Register of Insured Deposits as at May 2017

  J.P. Morgan Chase Bank Berhad   REGISTER OF INSURED DEPOSITS (CONVENTIONAL)
No. Name of Deposit Type Deposit Type Currency Deposit Product Code
1 Demand Deposit Account Demand Deposit RM 0215CR0100000001
2 Foreign Currency Current Account Demand Deposit Foreign 0215CF0100000002
3 Foreign Currency Time Deposits Fixed Deposit Foreign 0215CF0300000002
4 Guru Index Structured Investment Investment Linked to Derivatives Offered / Structured Product RM 0215CR1200000002
5 Interest Bearing Current Account Demand Deposit RM and Foreign 0215CM0100000001
6 Savings Account Savings Deposit RM 0215CR0200000001
7 Time Deposit Account Fixed Deposit RM 0215CR0300000001
8 USD Current Account Demand Deposit Foreign 0215CF0100000001
9 USD Time Deposit Fixed Deposit Foreign 0215CF0300000001
10 IncomeFX MYR Structured Investment Investment Linked to Derivatives Offered / Structured Product RM 0215CR1200000005
11 MYR CMS Spread Linked Structued Deposit Investment Linked to Derivatives Offered / Structured Product RM 0215CR1200000004
12 Unitized Time Deposit Program Fixed Deposit RM & Foreign 0215CM0300000002
13 Callable Accreting MYR Structured Deposit Investment Linked to Derivatives Offered / Structured Product RM 0215CR1200000003
14 Special Deposit Facility Interest Bearing Current Account RM 0215CR0100000002

 


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