Founded in 1835, ANZ has a wide network across 29 markets in Asia Pacific and is one of the top 25 banks in the world. ANZ has 40 years of experience in Asia market and has a long-term commitment to the region's growth with in-depth market insight. ANZ China QDII products allow you with access to the overseas markets and help you capture the potential opportunities.
Warning: Investment Product is not a deposit, the product carries risk, and investor should act prudently.
- Not traditional deposits. This product is an investment with risks. The principal is not guaranteed and the investment return is flexible. You should be fully aware of all the risks associated with the product and invest prudently.
- Principal/Return at Risk: The product value is in relation to the net value of the funds and the amount of return payable depends on the performance of the offshore funds and could pay zero return with partial or total principal loss. Offshore funds and / or its asset management company may have default risk in terms of fund redemption/ principal return. Investors should refer to the detailed product descriptions or prospectus for the risk disclosure and key risks.
- Foreign Exchange Risks: You may be exposed to foreign exchange risk as the Investment Currency may not be your preferred home currency of choice. You may incur potential foreign exchange losses if you convert the Investment Currency at maturity back to your preferred home currency.
- Investors should be prudent: the past performance is not indication of future performance. Investors shall not rely on any of the information provided by ANZ China, ANZBGL or any of its senior staff, employees or agencies.