AGRUD ADVISORS PTE. LTD

Incorporated in Singapore

Licence Type/Status

Exempt Corporate Finance Adviser

An exempt person providing corporate finance advisory services is only permitted to serve accredited investors, expert investors or institutional investors, and is exempted from licensing and business conduct requirements under the Securities and Futures Act and the relevant regulations.

Exempt Person Providing Financial Advisory Services

An Exempt Person Providing Financial Advisory Services is only permitted to give advice or issue/promulgate analyses or reports, on investment products (other than life policies), to not more than 30 accredited investors. Due to its limited business scope, it is exempted from licensing and business conduct requirements under the Financial Advisers Act and the relevant regulations.

Advising on Investment Products

  • Collective Investment Schemes
  • Securities
  • Exchange-Traded Derivatives Contracts
  • Over-The-Counter Derivatives Contracts
  • Spot Foreign Exchange Contracts for the Purposes of Leveraged Foreign Exchange Trading
  • Spot Foreign Exchange Contracts other than for the Purposes of Leveraged Foreign Exchange Trading
  • Structured Deposits

Issuing or Promulgating Analyses/Reports on Investment Products

  • Collective Investment Schemes
  • Securities
  • Exchange-Traded Derivatives Contracts
  • Over-The-Counter Derivatives Contracts
  • Spot Foreign Exchange Contracts for the Purposes of Leveraged Foreign Exchange Trading
  • Spot Foreign Exchange Contracts other than for the Purposes of Leveraged Foreign Exchange Trading
  • Structured Deposits

Key Personnel

Chief Executive Officer

SAYANTA BASU

contact

http://www.agrud.com
+65 66795678
300 TAMPINES AVE 5 TAMPINES JUNCTION LEVEL 09-02 529653