... overall retirement objectives. Make your annuity part of your retirement wealth portfolio Premiums Income period Annuity income Non- guaranteed Guaranteed 5 6 7 8 6 ...
https://www.ia.org.hk/english/infocenter/files/Tips_on_Purchasing_Annuity_Products_Eng.pdf -
Date: 2021-12-14
... overall retirement objectives. Make your annuity part of your retirement wealth portfolio Premiums Income period Annuity income Non- guaranteed Guaranteed 5 6 7 8 6 ...
https://www.ia.org.hk/english/qualifying_deferred_annuity_policy/files/Tips_on_Purchasing_Annuity_Products_Eng.pdf -
Date: 2020-06-23
... overall retirement objectives. Make your annuity part of your retirement wealth portfolio Premiums Income period Annuity income Non- guaranteed Guaranteed 5 6 7 8 6 ...
https://www.ia.org.hk/english/infocenter/files/Tips_on_Purchasing_Annuity_Products_Eng.pdf -
Date: 2022-05-24
... and transportation expenses incurred according to the specific hours of delay (e.g. 6 hours or more) stated in the policy. Trip curtailment The insured person can be reimbursed for irrecoverable deposits or prepaid expenses (e.g. accommodation, transportation...
https://www.ia.org.hk/english/travel_insurance/common_coverage.html -
Date: 2024-01-18
... overall retirement objectives. Make your annuity part of your retirement wealth portfolio Premiums Income period Annuity income Non- guaranteed Guaranteed 5 6 7 8 6 ...
https://www.ia.org.hk/english/infocenter/files/Tips_on_Purchasing_Annuity_Products_Eng.pdf -
Date: 2020-06-23
... account of in determining the client money requirement. Such reconciliations should be carried out whenever the ledgers are updated which should be no less than monthly. 4.6 Make good the balance of the client accounts within the next business day, (a) When a deficiency of funds in client accounts is...
https://www.ia.org.hk/english/supervision/reg_ins_intermediaries/files/1_CIB_GN11_Guidance_Note_on_Keeping_of_Separate_Client_Monies_v1_16_8_2013_eg19.pdf -
Date: 2019-12-20
... will also need to be taken account of in determining the client money requirement. Such reconciliations should be carried out whenever the ledgers are updated which should be no less than monthly. 4.6 Make good the balance of the client accounts within the next business day, (a) When a deficiency of...
https://www.ia.org.hk/english/supervision/reg_ins_intermediaries/files/2_CIB_GN11_Guidance_Note_on_Keeping_of_Separate_Client_Monies_v2_12_5_2015_eg19.pdf -
Date: 2019-12-20
... ...
https://www.ia.org.hk/english/supervision/reg_ins_intermediaries/files/1a_HKFI_Initiative_on_Needs_Analysis_v1_6_2001_20190823.pdf -
Date: 2019-12-20
... ...
https://www.ia.org.hk/english/supervision/reg_ins_intermediaries/files/1_IARB_Circular_Enhanced_Vetting_Req_v2_23_6_2017_20190823.pdf -
Date: 2019-12-20
... ...
https://www.ia.org.hk/english/supervision/reg_ins_intermediaries/files/2a_GN_Comp_CPD_Transit_v2_13_6_2005_20190823.pdf -
Date: 2019-12-20