Investment Mandate Agreement for Malta
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Investment Mandate Agreement
"I need an Investment Mandate Agreement for a Malta-based wealth management firm providing discretionary portfolio management services to high-net-worth retail clients, with specific provisions for ESG investment restrictions and quarterly performance reporting."
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1. Parties: Identification of the investment manager and the client, including regulatory status and contact details
2. Background: Context of the agreement and brief description of the services to be provided
3. Definitions and Interpretation: Definitions of key terms used throughout the agreement and interpretation rules
4. Appointment and Scope of Services: Formal appointment of the investment manager and outline of core services
5. Regulatory Status and Client Classification: Confirmation of the manager's regulatory status and client's classification under MiFID II
6. Investment Objectives and Restrictions: Agreed investment strategy, objectives, and any specific restrictions
7. Powers and Duties of the Investment Manager: Detailed description of the manager's authority, responsibilities, and duties
8. Client's Representations and Warranties: Client's confirmations regarding their status, authority, and understanding
9. Risk Disclosures: Mandatory risk warnings and acknowledgments
10. Fees and Charges: Detailed fee structure, calculation methods, and payment terms
11. Reporting and Valuations: Frequency and content of reports, valuation methods
12. Conflicts of Interest: Disclosure and management of potential conflicts
13. Liability and Indemnification: Extent of manager's liability and mutual indemnification provisions
14. Term and Termination: Duration of agreement and termination provisions
15. Confidentiality and Data Protection: Confidentiality obligations and GDPR compliance measures
16. General Provisions: Standard clauses including notices, amendments, governing law, etc.
1. Voting Rights: Include when the manager has authority to exercise voting rights attached to investments
2. Custody Arrangements: Include when custody services are provided or arranged by the manager
3. Foreign Account Provisions: Include when dealing with non-EU clients or investments
4. Electronic Services: Include when providing online portfolio access or trading platforms
5. Additional Services: Include when providing ancillary services beyond portfolio management
6. Best Execution Policy: Include detailed execution policies for retail clients
7. Sustainable Investment Provisions: Include when ESG factors are part of the investment strategy
1. Investment Policy Statement: Detailed investment strategy, asset allocation, and benchmarks
2. Fee Schedule: Comprehensive breakdown of all fees, charges, and calculation methods
3. Risk Profile Questionnaire: Client's completed risk assessment and investment profile
4. Authorized Persons: List of persons authorized to give instructions on behalf of the client
5. Custody Terms: Terms and conditions for custody services if applicable
6. Best Execution Policy: Detailed policy for achieving best execution for clients
7. Conflicts of Interest Policy: Detailed policy for managing conflicts of interest
8. Data Protection Notice: Detailed privacy notice and data protection provisions
Authors
Financial Services
Investment Management
Wealth Management
Banking
Insurance
Private Equity
Fund Management
Professional Services
Corporate Services
Trust and Fiduciary Services
Legal
Compliance
Investment Management
Risk Management
Client Services
Operations
Finance
Portfolio Administration
Regulatory Affairs
Due Diligence
Investment Analysis
Wealth Management
Investment Manager
Portfolio Manager
Compliance Officer
Legal Counsel
Risk Manager
Client Relationship Manager
Investment Advisor
Chief Investment Officer
Wealth Manager
Financial Controller
Operations Manager
Due Diligence Officer
Investment Analyst
Director of Investment Services
Regulatory Affairs Manager
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