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Open an account

To open an account under Asset Management Agreement, you will need to:

  • Fill out the relevant forms for the account opening that you may found in the Asset Management Agreement and Terms of Business section below.
  • Prepare a package of documents listed in the List of the Required Documents

After filling out the document described in bullets 1 above, you will need to send it to Otkritie Capital Cyprus Limited at fax +357 (25) 431457 or email at infocyprus@otkritiefinance.com.cy which provides Otkritie Capital Cyprus Limited with relevant service in accordance with cooperation agreement.

Originals of all documents (as listed under bullets 1 through 3) must also be mailed or delivered by courier to Otkritie Capital Cyprus Limited at: 42, Leoforos Amathountos, Millios Building, office No.2,  Agios Tychonas, 4532 Limassol, Cyprus.

To open an account under Brokerage agreement, you will need to:

  • Fill out relevant forms for the account opening that you may found in the General Rules and Regulations Brokerage section below.
  • Prepare a package of documents listed in the List of the Required Documents

After filling out the document described in bullets 1 above, you will need to send it to Otkritie Capital Cyprus Limited at fax +357 (25) 431457 or email at infocyprus@otkritiefinance.com.cy which provides Otkritie Capital Cyprus Limited with relevant service in accordance with cooperation agreement.

Originals of all documents (as listed under bullets 1 through 3) must also be mailed or delivered by courier to Otkritie Capital Cyprus Limited at: 42, Leoforos Amathountos, Millios Building, office No.2,  Agios Tychonas, 4532 Limassol, Cyprus.

We would like that our clients, as well as potential clients pay special attention on the Product Governance and Risk Disclosure Statement (see attachment below).

The Client should be aware that there are significant risks in investing in the Securities of any Issuer in the securities market as well as market indices and other instruments. Such investments may be highly speculative, involve a high degree of risk and may result in the loss of the entire investment.

For enhance the level of investor protection and for acting in the clients’ best interests as well as in accordance with MiFID II legislative, OCCL developed Product Governance Procedure. In accordance with this procedure all products as well as all clients classified for the Target Groups.

Each client (existing or potential) will be informed about his Target Client Group, Target Group of products/financial instruments, as well as information about the appropriate and non-appropriate financial instruments for the client.

Should you require additional information with respect to Product Governance Procedure don’t hesitate to contact us at infocyprus@otkritiefinance.com.cy

Asset Management Agreement and Terms of Business
Asset Management Agreement and Terms of Business for CASS accounts within Prime Broker
Asset Management Agreement and Terms of Business
Notification of amendments to General Rules and Regulations AMA 19.01.2017
Notification of amendments to General Rules and Regulations AMA 21.10.2016
General Rules and Regulations Brokerage
General Rules and Regulations Brokerage
Agreement
Applications to General Rules and Regulations Brokerage
Notification of amendments to General Rules and Regulations 28.02.2019
Notification of amendments to General Rules and Regulations
Product Governance and Risk Disclosure Statement
Product Governance and Distribution Policy
Product Governance Risk Disclosure Statement
List of the Required Documents
List of the Required Documents
Benchmarking Policy
Benchmarking Policy
Complaints Policy
Complaints Policy & Procedure
Execution Policy
Execution Policy
Investors Compensation Fund
Investors Compensation Fund

Note: Please contact Otkritie Capital Cyprus Ltd at infocyprus@otkritiefinance.com.cy for more information for accessing these documents