At KDI, we are governed by the Guidelines on Conduct for Capital Market Intermediaries issued by the Securities Commission Malaysia which requires us to have in place relevant processes to enable us and our representatives to respond appropriately to vulnerable clients.
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- What is KDI’s responsibility towards vulnerable clients?
What is KDI’s responsibility towards vulnerable clients?
Related Articles
- How will KDI use my information and will it be shared with any other parties?
- Is this declaration mandatory, and can I refuse to complete the declaration?
- If I have trouble with the declaration form, can I request for the Customer Service representative to call me?
- What are the factors that may contribute to a person’s vulnerability?
- Upon filling in the Contact Form relating to a vulnerable status, what do I do next?
- Who are vulnerable clients? If i am vulnerable, how can KDI support me?