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Financial Advisor Contract
1. Parties: Identification of the Financial Advisor and the Client, including registration numbers and contact details
2. Background: Context of the agreement and brief description of the advisory services to be provided
3. Definitions: Key terms used throughout the agreement, including specific financial and technical terms
4. Scope of Services: Detailed description of the financial advisory services to be provided, including any limitations
5. Advisor's Obligations: Specific duties and responsibilities of the Financial Advisor, including regulatory compliance requirements
6. Client's Obligations: Client's responsibilities, including provision of accurate information and cooperation
7. Fees and Payment: Fee structure, payment terms, and any additional costs or expenses
8. Confidentiality: Obligations regarding confidential information and data protection requirements
9. Compliance with Laws: Commitment to comply with relevant Danish and EU financial regulations
10. Liability and Indemnification: Extent and limitations of advisor's liability and indemnification provisions
11. Term and Termination: Duration of the agreement and circumstances for termination
12. General Provisions: Standard clauses including notices, amendments, and governing law
1. Investment Strategy: Used when the advice includes specific investment strategy recommendations
2. Portfolio Management: Include when the advisor has discretionary management authority
3. Regulatory Disclosures: Additional section for specific regulatory requirements based on service type
4. Performance Reporting: Include when regular performance reporting is part of the service
5. Third-Party Services: Used when external service providers or platforms are involved
6. Insurance Coverage: Details of professional indemnity insurance when required by client
7. Conflict Resolution: Additional dispute resolution procedures beyond standard provisions
8. International Services: Include when advisory services extend beyond Denmark
1. Schedule A - Fee Schedule: Detailed breakdown of all fees, charges, and commission structures
2. Schedule B - Service Level Agreement: Specific details about service delivery, response times, and reporting frequency
3. Schedule C - Investment Policy Statement: Document outlining investment objectives, constraints, and guidelines
4. Schedule D - Risk Disclosure: Detailed disclosure of risks associated with different types of investments
5. Appendix 1 - Advisor Qualifications: Details of advisor's certifications, registrations, and qualifications
6. Appendix 2 - Compliance Procedures: Overview of internal compliance procedures and controls
7. Appendix 3 - Data Processing Agreement: GDPR-compliant data processing terms and procedures
8. Appendix 4 - Client Risk Profile: Template for documenting client's risk tolerance and investment profile
Authors
Agreement
Applicable Law
Asset Class
Business Day
Client
Confidential Information
Conflicts of Interest
Danish Financial Business Act
Data Protection Laws
Effective Date
Fees
Financial Advice
Financial Advisor
Financial Instruments
Force Majeure
Investment Objectives
Investment Policy
Investment Strategy
MiFID II
Personal Data
Portfolio
Professional Client
Regulatory Authority
Related Party
Retail Client
Risk Profile
Services
Sophisticated Investor
Term
Territory
Transaction
Investment Recommendation
Material Change
Performance Report
Professional Standards
Regulatory Requirements
Service Level
Working Hours
Investment Horizon
Risk Tolerance
Scope of Services
Regulatory Compliance
Fiduciary Duties
Service Standards
Fees and Compensation
Payment Terms
Client Obligations
Advisor Obligations
Representations and Warranties
Confidentiality
Data Protection
Intellectual Property
Record Keeping
Reporting Requirements
Risk Disclosure
Conflicts of Interest
Liability and Indemnification
Insurance
Term and Duration
Termination
Force Majeure
Assignment
Non-Solicitation
Anti-Money Laundering
Notice Requirements
Amendment
Severability
Entire Agreement
Governing Law
Dispute Resolution
Client Classification
Investment Objectives
Performance Standards
Documentation Requirements
Communication Methods
Complaints Handling
Third-Party Services
Regulatory Reporting
Best Execution
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