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Investment Advisor Contract Template for Hong Kong

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Key Requirements PROMPT example:

Investment Advisor Contract

"I need an Investment Advisor Contract for my Hong Kong-based wealth management firm providing services to high-net-worth individual clients, with specific provisions for ESG investment strategies and cross-border investment in Asian markets."

Document background
The Investment Advisor Contract is essential for any investment advisory relationship in Hong Kong's financial services sector. This document is required when an SFC-licensed investment advisor (whether an individual or company) provides professional investment advice to clients. It must comply with Hong Kong's Securities and Futures Ordinance and the SFC's Code of Conduct, incorporating mandatory risk disclosures, client protections, and regulatory requirements. The contract defines the scope of advisory services, fee structures, fiduciary duties, and risk management protocols while addressing data privacy under Hong Kong's Personal Data (Privacy) Ordinance. It's particularly crucial for establishing clear boundaries of the advisory relationship and ensuring regulatory compliance in Hong Kong's dynamic financial market.
Suggested Sections

1. Parties: Identification of the investment advisor and the client, including licensing details and registration numbers

2. Background: Context of the agreement and brief description of the investment advisory services to be provided

3. Definitions: Key terms used throughout the agreement, including regulatory and technical terms

4. Appointment and Scope of Services: Detailed description of investment advisory services, including any limitations or restrictions

5. Regulatory Compliance: Compliance with SFC requirements and other applicable Hong Kong regulations

6. Representations and Warranties: Statements of fact and promises made by both parties regarding their capacity and authority

7. Fees and Payment Terms: Structure of advisory fees, payment schedule, and other charges

8. Client's Obligations: Responsibilities of the client, including providing accurate information and prompt communication

9. Risk Disclosures: Mandatory risk warnings and acknowledgments required by Hong Kong regulations

10. Confidentiality and Data Protection: Obligations regarding client data protection and confidential information

11. Limitation of Liability: Extent and limitations of the advisor's liability

12. Termination: Conditions and procedures for terminating the advisory relationship

13. General Provisions: Standard contractual terms including governing law, notices, and amendments

Optional Sections

1. Delegation: Include when the advisor may need to delegate certain functions to third parties

2. Performance Reporting: Include when specific performance reporting requirements are needed

3. Conflict of Interest: Include when there are specific potential conflicts to disclose

4. Investment Guidelines: Include when client has specific investment restrictions or preferences

5. Force Majeure: Include when specific force majeure provisions are required beyond general provisions

6. Additional Services: Include when offering services beyond standard investment advisory

7. International Considerations: Include when dealing with cross-border investments or international clients

Suggested Schedules

1. Schedule 1 - Services Description: Detailed breakdown of investment advisory services and methodologies

2. Schedule 2 - Fee Schedule: Comprehensive fee structure including all charges and calculation methods

3. Schedule 3 - Risk Disclosure Statement: Detailed risk disclosures required by Hong Kong regulations

4. Schedule 4 - Investment Guidelines: Specific investment parameters and restrictions

5. Appendix A - Client Information Form: KYC documentation and client profile information

6. Appendix B - Authorized Personnel: List of authorized representatives for both parties

7. Appendix C - Compliance Procedures: Internal compliance procedures and reporting requirements

Authors

Alex Denne

Head of Growth (Open Source Law) @ ¶¶Òõ¶ÌÊÓÆµ | 3 x UCL-Certified in Contract Law & Drafting | 4+ Years Managing 1M+ Legal Documents | Serial Founder & Legal AI Author

Relevant legal definitions






































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Relevant Industries

Financial Services

Investment Management

Wealth Management

Private Banking

Asset Management

Corporate Finance

Insurance

Family Office Services

Pension Fund Management

Private Equity

Hedge Funds

Real Estate Investment

Relevant Teams

Legal

Compliance

Investment Advisory

Wealth Management

Risk Management

Client Relations

Portfolio Management

Operations

Finance

Private Banking

Corporate Advisory

Product Development

Investment Research

Regulatory Affairs

Relevant Roles

Investment Advisor

Portfolio Manager

Wealth Manager

Financial Consultant

Chief Investment Officer

Compliance Officer

Legal Counsel

Risk Manager

Client Relationship Manager

Investment Strategist

Financial Planning Director

Asset Management Director

Private Banking Manager

Investment Advisory Director

Regulatory Compliance Manager

Industries








Teams

Employer, Employee, Start Date, Job Title, Department, Location, Probationary Period, Notice Period, Salary, Overtime, Vacation Pay, Statutory Holidays, Benefits, Bonus, Expenses, Working Hours, Rest Breaks,  Leaves of Absence, Confidentiality, Intellectual Property, Non-Solicitation, Non-Competition, Code of Conduct, Termination,  Severance Pay, Governing Law, Entire Agreemen

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