SG Kleinwort Hambros Bank Limited - Gibraltar Branch
Name |
SG Kleinwort Hambros Bank Limited - Gibraltar Branch |
---|---|
Address |
Unit 5.02 Madison Queensway Gibraltar GX111AA |
Telephone | 20002000 |
Fax | 20079037 |
gibraltar@sghambros.com | |
Website | http://www.kleinworthambros.com |
Legal Form | Private Company Limited By Shares |
Country of Incorporation | United Kingdom |
Incorporation Number | 122377 |
Incorporation Date | 09/07/1970 |
Other names
- Previous Name - Hambros (Gibraltar) Limited
- Previous Name - Hambros Bank (Gibraltar) Limited
- Previous Name - SG Hambros Bank & Trust (Gibraltar) Limited
- Previous Name - SG Hambros Bank (Gibraltar) Limited
- Previous Name - SG Kleinwort Hambros Bank (Gibraltar) Limited
Permissions
The firm is authorised to carry out services in Gibraltar from the following countries:
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Insurance Distribution
- 1 Insurance Distribution
-
Regulated activity
- Accepting Deposits (Banking)
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Reception and transmission of orders in relation to one or more of the Instruments listed in section C. (MiFID)
- Instrument 9 - Restricted to Professional Clients only
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Execution of orders on behalf of clients. (MiFID)
- Instrument 9 - Contracts for differences excludes spread betting and are restricted to professional clients only
-
Portfolio Management. (MiFID)
- Instrument 9 - Contracts for differences excludes spreadbetting and are restricted to professional clients only
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Investment advice. (MiFID)
- Instrument 9 - Contracts for differences excludes spreadbetting and are restricted to professional clients only
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Underwriting of financial instruments or placing of financial instruments, listed in Section C, on a firm commitment basis. (MiFID)
- Instrument 9 - Contracts for differences excludes spreadbetting and are restricted to professional clients only
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Service (Banking)
- 2 Lending
- 3 Financial leasing.
-
4
Payment services as specified in Schedule 2, paragraph 17 of the Financial Services Act 2019
- 5 Issuing and administering other means of payment (e.g. travellers' cheques and bankers' drafts) insofar as such activity is not covered by point 4.
- 6 Guarantees and commitments.
- 7a Trading for own account or for account of customer in any of the following: Money market instruments (cheques, bills, CDs etc.).
- 7b Trading for own account or for account of customer in any of the following: Foreign exchange.
- 7c Trading for own account or for account of customer in any of the following: Financial futures and options.
- 7d Trading for own account or for account of customer in any of the following: Exchange and interest rate instruments.
- 7e Trading for own account or for account of customer in any of the following: Transferable securities.
- 8 Participation in share issues and the provision of services relating to such issues.
- 9 Advice to undertakings on capital structure, industrial strategy and related questions and advice and services relating to mergers and the purchase of undertakings.
- 10 Money broking.
- 11 Portfolio management and advice.
- 12 Safekeeping and administration of securities.
- 13 Credit references services.
- 14 Safe custody services.
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Ancillary services (MiFID)
-
1
Safekeeping and administration of financial instruments for the account of clients, including custodianship and related services such as cash/collateral management and excluding maintaining securities accounts at the top tier level
- Instrument 9 - Contracts for differences excludes spreadbetting and are restricted to professional clients only
-
2
Granting credits or loans to an investor to allow him to carry out a transaction in one or more financial instruments, where the firm granting the credit or loan is involved in the transaction.
- Instrument 9 - Contracts for differences excludes spreadbetting and are restricted to professional clients only
-
4
Foreign exchange services where these are connected to the provision of investment services.
- Instrument 9 - Contracts for differences excludes spreadbetting and are restricted to professional clients only
-
1
Safekeeping and administration of financial instruments for the account of clients, including custodianship and related services such as cash/collateral management and excluding maintaining securities accounts at the top tier level
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Other services (MiFID)
- 1 Holding customer money.
- 2 Holding customer assets.
- 3 Controlling customer monies.
- 4 Controlling customer assets.
- 5 Stock lending.
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(Unspecified)
- II(b) Collective Investment Scheme Intermediary.
The firm is authorised to carry out services in the following countries:
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Bank
- 1 Acceptance of deposits and other repayable funds from the public.
- 1 Acceptance of deposits and other repayable funds from the public.
- 2 Lending.
- 2 Lending.
- 4 Payment services as specified in Schedule 1 of the Financial Services (Payment Services) Regulations 2018.
- 4 Payment services as specified in Schedule 1 of the Financial Services (Payment Services) Regulations 2018.
- 5 Issuing and administering other means of payment (e.g. travellers' cheques and bankers' drafts) insofar as this activity is not covered by paragraph 4.
- 5 Issuing and administering other means of payment (e.g. travellers' cheques and bankers' drafts) insofar as this activity is not covered by paragraph 4.
- 6 Guarantees and commitments.
- 6 Guarantees and commitments.
- 7a Money market instruments (cheques, bills CD's etc).
- 7b Foreign exchange.
- 7c Financial futures and options.
- 7d Exchange and interest rate instruments.
- 7e Transferable securities.
- 8 Participation in share issues and the provision of services relating to such issues.
- 10 Money broking.
- 11 Portfolio management and advice.
- 12 Safekeeping and administration of securities.
- 14 Safe custody services.
* Firms with an asterisk by their name may have for example a restricted or suspended licence. Please click on "Show All" under Permissions to establish the current state of the entity.