At GrønlandsBANKEN, you receive the same investor protection when trading securities as in Denmark. We do this to provide you with the best possible protection as an investor when trading securities.
In short, this means that:
You are in the 'retail' customer category
This means that you are covered by the highest level of investor protection.
When you trade securities, it is based on an investment profile agreement.
This ensures that we have a comprehensive picture of your finances, your investment goals, your risk tolerance, and an assessment of your knowledge of securities in our advisory services. This allows us to provide more accurate advice.
Assessment of appropriateness and 'execution only
We will assess the appropriateness of your transactions with more complex products based on your investment profile. As a retail customer, you can always choose to execute transactions on an 'execution only' basis. In this case, you opt out of receiving advice for the specific transaction.
Once the bank has assessed that the product is appropriate for you, the bank will not reassess the appropriateness of the product for subsequent transactions by default.
Information from us
The bank must have clear guidelines for how we comply with the rules for investor protection for our customers. These guidelines are described in a series of documents, which you can find below. Any future changes to investor protection for the bank's customers will also be found here.
Here you can read more about:
» Order Execution Policy
» Conflict of Interest Handling Policy
» Basic Information about Securities Trading (Financial Instruments)
» Risk Labeling of Investment Products
» Terms for Trading Securities (Financial Instruments)
» Terms for Storing Securities in Custody as of 03-01-2018
» Best Execution Report
» Sustainability Risk Integration Policy
» Standard Information on Sustainability Risk Integration
» Statement on the Most Significant Negative Sustainability Impacts
Here you can see an overview of GrønlandsBANKEN's partners in the execution of your fund orders.