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1.
Foreign exchange products
- FX Spot / FX Forward / FX Swap
- FX Time Option / Pro Rata
- Currency Option
2.
Banknotes
- Buy and sell 16 currencies
- AUD, CAD, CHF, CNY, DKK, EUR, GBP, HKD,
JPY, KRW, MYR, NOK, NZD, SEK, SGD, and USD
3.
Interest Rate Products
- Interest Rate Swap
- Cross Currency Interest Rate Swap
- Basis Swap
- Interest Rate Option (Cap, Floor, Collar) and Swaption
4.
Fixed Income Products
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Short-term Debt
Securities |
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Long-term Debt Securities |
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- Corporate debentures
- Government bonds
- Savings bonds
- FIDF Bonds
- BOT Bonds
- State enterprise bonds
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5. Structured
Notes Products
- UOB Index Linked Note
- UOB Range Accrual NoteUOB Equity Linked Note
- UOB Dual Currency Range Note
- UOB Dual Currency Note
For Further
information
1.
FX Trading Division |
0-2343-4372-3, 0-2287-2975-6, 0-2287-2980 |
2.
Fixed Income Trading Division |
0-2343-4377-8, 0-2213-2601-3 |
3.
IR & Derivatives Trading Division |
0-2343-4302-3, 0-2285-1339-40, 0-2286-5845
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4.
Commercial FX Division |
0-2343-4306-9, 0-2343-4311-2, 0-2285-1396-9 |
5.
Structured Products Division |
0-2343-4381-4, 0-2286-5243, 0-2286-5283 |
6.
Banknotes Division |
0-2343-4368-71, 0-2286-5332 |
7.
Fixed Income Sales Division |
0-2343-4379-80, 0-2286-5221, 0-2286-5226 |
8.
Asset Liability Management Division |
0-2343-4374-6, 0-2286-5310, 0-2286-5315 |
Fax : 0-2285-1365, 0-2285-1375
Contact Time : 8.30 – 17.30 hrs.
Any complaints, please contact Call Center 0-2285-1555 press
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