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Notice Regarding the Expiration of Financial Products(01 Sep - 31 Oct, 2022)

2022-11-14

Dear customers,

There are 94 products of “Financial Products of Bank of China, Macau Branch” that will expire during 01 Sep - 31 Oct, 2022. The details of these products are as follows:

This Product is an investment tool that links to foreign exchange rate or precious metal (gold or silver) and provide principal protection. Investor can final gain based on the performance of underlying foreign exchange or precious metal.

Product Code Accrual Date Maturity Date Actual Rate of Return
SO220251HK06M 2022/04/12 2022/10/14 0.95%
SO220252MO06M 2022/04/12 2022/10/14 0.90%
XO220255CN06M 2022/04/13 2022/10/19 2.75%
SO220287HK06M 2022/04/26 2022/10/28 1.05%
SO220288MO06M 2022/04/26 2022/10/28 1.00%
XO220369HK03M 2022/05/30 2022/09/01 1.10%
XO220370MO03M 2022/05/30 2022/09/01 1.05%
XO220371US03M 2022/05/30 2022/09/01 1.45%
XO220372CN03M 2022/05/30 2022/09/01 2.70%
FO220374HK03M 2022/05/31 2022/09/02 2.20%
FO220376CN03M 2022/05/31 2022/09/02 5.00%
FN220375HK03M 2022/05/31 2022/09/02 0.20%
FN220377CN03M 2022/05/31 2022/09/02 0.30%
CO220389CN03M 2022/05/31 2022/09/02 2.60%
XO220379HK03M 2022/06/02 2022/09/06 1.25%
XO220380MO03M 2022/06/02 2022/09/06 1.20%
XO220381US03M 2022/06/02 2022/09/06 1.50%
XO220382CN03M 2022/06/02 2022/09/06 2.70%
PO220383HK03M 2022/06/02 2022/09/06 1.35%
PO220384MO03M 2022/06/02 2022/09/06 1.30%
PO220385US03M 2022/06/02 2022/09/06 1.60%
PO220386CN03M 2022/06/02 2022/09/06 2.80%
FO220395HK03M 2022/06/07 2022/09/09 2.20%
FN220396HK03M 2022/06/07 2022/09/09 0.20%
BO220402HK03M 2022/06/09 2022/09/13 1.30%
CO220405HK03M 2022/06/09 2022/09/13 1.25%
XO220391HK03M 2022/06/09 2022/09/09 1.25%
XO220392MO03M 2022/06/09 2022/09/09 1.20%
XO220393US03M 2022/06/09 2022/09/09 1.50%
XO220394CN03M 2022/06/09 2022/09/09 2.70%
PO220398HK03M 2022/06/10 2022/09/13 1.35%
PO220399MO03M 2022/06/10 2022/09/13 1.30%
PO220400US03M 2022/06/10 2022/09/13 1.60%
PO220401CN03M 2022/06/10 2022/09/13 2.80%
XO220406HK03M 2022/06/13 2022/09/15 1.25%
XO220407MO03M 2022/06/13 2022/09/15 1.20%
XO220408CN03M 2022/06/13 2022/09/15 2.70%
XO220409US03M 2022/06/13 2022/09/15 1.50%
FO220411HK03M 2022/06/14 2022/09/16 2.20%
FN220412HK03M 2022/06/14 2022/09/16 0.20%
XO220413HK03M 2022/06/16 2022/09/21 1.25%
XO220415US03M 2022/06/16 2022/09/21 1.50%
XO220416CN03M 2022/06/16 2022/09/21 2.70%
PO220417HK03M 2022/06/17 2022/09/21 1.35%
PO220418MO03M 2022/06/17 2022/09/21 1.30%
PO220419CN03M 2022/06/17 2022/09/21 2.80%
PO220420US03M 2022/06/17 2022/09/21 1.60%
XO220422HK03M 2022/06/20 2022/09/22 1.25%
XO220423MO03M 2022/06/20 2022/09/22 1.20%
XO220424US03M 2022/06/20 2022/09/22 1.70%
XO220425CN03M 2022/06/20 2022/09/22 2.70%
FO220426HK03M 2022/06/21 2022/09/23 2.20%
FN220427HK03M 2022/06/21 2022/09/23 0.20%
XO220430HK03M 2022/06/23 2022/09/27 1.35%
XO220431MO03M 2022/06/23 2022/09/27 1.30%
XO220432US03M 2022/06/23 2022/09/27 2.00%
XO220433CN03M 2022/06/23 2022/09/27 2.70%
XO220435HK03M 2022/06/30 2022/09/30 1.25%
XO220436MO03M 2022/06/30 2022/09/30 1.20%
XO220437CN03M 2022/06/30 2022/09/30 2.60%
XO220438US03M 2022/06/30 2022/09/30 1.90%
BO220447HK02M 2022/07/06 2022/09/08 1.20%
XO220441HK03M 2022/07/07 2022/10/11 1.40%
XO220442MO03M 2022/07/07 2022/10/11 1.35%
XO220443CN03M 2022/07/07 2022/10/11 2.50%
XO220444US03M 2022/07/07 2022/10/11 2.10%
XO220448HK03M 2022/07/13 2022/10/17 0.90%
XO220449MO03M 2022/07/13 2022/10/17 0.85%
XO220450CN03M 2022/07/13 2022/10/17 2.20%
XO220451US03M 2022/07/13 2022/10/17 1.70%
XO220454HK03M 2022/07/20 2022/10/24 1.35%
XO220455MO03M 2022/07/20 2022/10/24 1.30%
XO220456CN03M 2022/07/20 2022/10/24 2.20%
XO220457US03M 2022/07/20 2022/10/24 2.00%
CO220464CN03M 2022/07/25 2022/10/27 2.40%
CO220468CN03M 2022/07/26 2022/10/28 2.40%
XO220460HK03M 2022/07/27 2022/10/31 1.40%
XO220461MO03M 2022/07/27 2022/10/31 1.35%
XO220462CN03M 2022/07/27 2022/10/31 2.00%
XO220463US03M 2022/07/27 2022/10/31 2.30%
CO220474CN03M 2022/07/29 2022/10/28 2.40%
CO220476MO01M 2022/08/02 2022/09/06 1.00%
SO220475CN01M 2022/08/04 2022/09/06 3.30%
SO220485CN01M 2022/08/11 2022/09/13 3.30%
SO220491HK01M 2022/08/18 2022/09/19 2.50%
SO220499HK01M 2022/08/26 2022/09/26 2.40%
SO220506HK01M 2022/08/26 2022/09/26 2.40%
SO220509HK01M 2022/09/01 2022/09/30 2.40%
CO220521MO01M 2022/09/07 2022/10/07 1.50%
SO220520CN01M 2022/09/08 2022/10/12 3.00%
BO220529HK01M 2022/09/09 2022/10/13 1.75%
SO220530CN01M 2022/09/15 2022/10/17 3.00%
BO220545US01M 2022/09/26 2022/10/17 2.00%
CO220548HK01M 2022/09/29 2022/10/19 2.00%

Please refer to Product term sheet.

If there is any inconsistency or conflict between the English and Chinese versions, the Chinese version shall prevail for all purposes.

Thank you for your kind attention and support to the wealth management products of Bank of China.

Bank of China Macau Branch
14 Nov, 2022

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