Our Order Execution Policy describes the principles that we follow when we execute orders in financial instruments. The principles ensure that we take all sufficient steps to provide our customers with best execution.
The policy will be reviewed annually. The date of the Order Execution Policy refers to the date of the most recent changes. If the annual review does not result in changes, the date on the Order Execution Policy will not change.
Below are the different language versions of the Order Execution Policy. No differences between the different language versions are intended. If you trade financial instruments, we have sent you the language version that applies to your trading.