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Persons in respect of whom such prohibitions apply must not access the AK Partners website. The password protected areas of the AK Partners website, and the information contained in or through those areas may be accessed only by persons who have been authorized by AK Partners to use such areas pursuant to the Terms of Use and solely based on written representations and warranties or other information such persons have given to AK Partners.
AK Partners believes that the information herein is accurate as of the date of publication. However, none of AK Partners and its affiliates makes any warranty of accuracy or completeness of the information, and they shall not be liable for any losses or damages relating to the adequacy, accuracy or completeness of any information on herein or the use of such information. The information presented herein is provided for information only and should not form the basis of an investment decision.
Nothing herein should be construed as a solicitation or offer, or recommendation, to acquire or dispose of any investment or to engage in any other transaction. The past performance of any investment described herein is not necessarily a guide to the future performance of thereof. Investors should read the offering documents of the relevant investment product for details and risk factors associated with investment therein.
All copyright, patent, intellectual and other property rights in connection with the information contained herein are owned by AK Partners or its affiliates. © 2007 AK Partners (Hong Kong) Ltd and AK Asset Management Co., Ltd.
AK Partners investment products are not currently available to persons residing in Hong Kong other than professional investors.
See also the Definition of professional investor.
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CAP 571D SECURITIES AND FUTURES (PROFESSIONAL INVESTOR) RULES
For the purposes of paragraph (j) of the definition of "professional investor" in section 1 of Part 1 of Schedule 1 to the Ordinance, the following persons are prescribed as within the meaning of that definition for the purposes of any provision of the Ordinance other than Schedule 5 -
- any trust corporation having been entrusted under the trust or trusts of which it acts as a trustee with total assets of not less than $40 million or its equivalent in any foreign currency -
- as stated in the most recent audited financial statement prepared -
- in respect of the trust corporation; and
- within 16 months before the relevant date;
- as ascertained by referring to one or more audited financial statements, each being the most recent audited financial statement, prepared -
- in respect of the trust or any of the trusts; and
- within 16 months before the relevant date; or
- as ascertained by referring to one or more custodian statements issued to the trust corporation -
- in respect of the trust or any of the trusts; and
- within 12 months before the relevant date;
- as stated in the most recent audited financial statement prepared -
- any individual, either alone or with any of his associates on a joint account, having a portfolio of not less than $8 million or its equivalent in any foreign currency -
- as stated in a certificate issued by an auditor or a certified public accountant of the individual within 12 months before the relevant date; or (23 of 2004 s. 56)
- as ascertained by referring to one or more custodian statements issued to the individual (either alone or with the associate) within 12 months before the relevant date;
- any corporation or partnership having -
- a portfolio of not less than $8 million or its equivalent in any foreign currency; or
- total assets of not less than $40 million or its equivalent in any foreign currency, as ascertained by referring to -
- the most recent audited financial statement prepared -
- in respect of the corporation or partnership (as the case may be); and
- within 16 months before the relevant date; or
- one or more custodian statements issued to the corporation or partnership (as the case may be) within 12 months before the relevant date; and
- any corporation the sole business of which is to hold investments and which is wholly owned by an individual who, either alone or with any of his associates on a joint account, falls within the description in paragraph (b).