MiFID Information

On 3 January 2018, MiFID II, the Markets in Financial Instruments Directive of the European Union, and numerous related legal acts entered into force. MiFID II is a continuation of the MiFID directive, which took effect in 2007.

It contains additional requirements for the providers of investment services. On this page you will find some of our major MiFID II policies relating to best execution of customer orders, protection of customer assets, as well as information about investment instruments and risk awareness.   

In relation to MiFID II reporting obligations, we would also like to inform you that WOOD has been allocated a LEI (Legal Entity Identifier): 549300UYJKOXE3HB8L79.

 

ENGLISH VERSION

DATE OF PUBLICATION
08.03.2019
Information about Investment Services and Investment Instruments and Related Risks
DATE OF PUBLICATION
05.03.2019
Information about Total Effect on Fees and Other Costs
DATE OF PUBLICATION
25.02.2019
Claims Policy
DATE OF PUBLICATION
25.02.2019
Information about the Securities Broker´s Guarantee Fund
DATE OF PUBLICATION
25.02.2019
Measures to Prevent Conflict of Interest and Market Manipulation
DATE OF PUBLICATION
25.02.2019
Categorization of Clients
DATE OF PUBLICATION
28.01.2019
Client Order Execution Policy
DATE OF PUBLICATION
30.06.2019
RTS 27 Execution Quality Report 2019/Q1
DATE OF PUBLICATION
29.03.2019
RTS 27 Execution Quality Report 2018/Q4
DATE OF PUBLICATION
31.12.2018
RTS 27 Execution Quality Report 2018/Q3
DATE OF PUBLICATION
30.09.2018
RTS 27 Execution Quality Report 2018/Q2
DATE OF PUBLICATION
30.06.2018
RTS 27 Execution Quality Report 2018/Q1
DATE OF PUBLICATION
30.04.2019
RTS 28 (Best Execution) Report 2018
DATE OF PUBLICATION
30.04.2018
RTS 28 (Best Execution) Report 2017

CZECH VERSION

DATE OF PUBLICATION
25.02.2019
Informace pro zákazníky o investičních nástrojích a rizicích
DATE OF PUBLICATION
25.02.2019
Souhrnný dopad nákladů na návratnost investice
DATE OF PUBLICATION
28.01.2019
Strategie provádění pokynů zákazníků
DATE OF PUBLICATION
21.08.2018
Reklamační řád
DATE OF PUBLICATION
21.08.2018
Opatření k zamezení střetu zájmů a manipulace s trhem
DATE OF PUBLICATION
21.08.2018
Kategorizace zákazníků
DATE OF PUBLICATION
21.08.2018
Informace o garančním fondu obchodníků s cennými papíry
DATE OF PUBLICATION
30.04.2018
Informační povinnost dle RTS 28 (Best Execution Report)

POLISH VERSION

DATE OF PUBLICATION
05.08.2019
Informacja o usługach, instrumentach finansowych i ryzykach
DATE OF PUBLICATION
30.07.2019
Informacja o wplywie oplat i kosztow na inwestycje
DATE OF PUBLICATION
30.07.2019
Informacja o Funduszu Gwarancyjnym
DATE OF PUBLICATION
30.07.2019
Środki zapobiegania konfliktom interesów i manipulacjom rynkowym
DATE OF PUBLICATION
01.02.2019
Polityka wykonywania zleceń
DATE OF PUBLICATION
26.07.2019
Klasyfikacja klientow
DATE OF PUBLICATION
26.07.2019
Procedura rozpatrywania reklamacii
DATE OF PUBLICATION
06.08.2019
INFORMACJE DOTYCZĄCE WOOD & COMPANY FINANCIAL SERVICES A.S. SPÓŁKA AKCYJNA ODDZIAŁ W POLSCE
DATE OF PUBLICATION
06.08.2019
INFORMATION ON WOOD & COMPANY FINANCIAL SERVICES A.S. SPÓŁKA AKCYJNA ODDZIAŁ W POLSCE

ARCHIVE

DATE OF PUBLICATION
17.02.2009
Strategie provádění pokynů za nejlepších podmínek / Best execution policy
DATE OF PUBLICATION
09.12.2015
Polityka wykonywania zleceń
DATE OF PUBLICATION
01.08.2018
POLITYKA WYKONYWANIA ZLECEŃ_2018