The number of Securities accumulated for each period will be settled on the relevant Settlement Date in accordance with the schedule specified in the Term Sheet.

 
  • 每期累積證券將依照刊載于條款單張的時(shí)間表于有關(guān)交收日交收。
今日熱詞
目錄 附錄 查詞歷史
国内精品美女A∨在线播放xuan