OPERATION AND SERVICES:
In the pursuit of our core belief of giving better value to our customers, we have completely computerized our back office operations covering order procurement, execution, clearings, settlement, portfolio tracking and risk management. Now with the click of a mouse, we can generate variety of reports for our clients on a daily/weekly/monthly basis. These reports will help you to track your portfolio value at any time, and the trading results you make on your weekly sales and purchase.

CUSTOMIZED PRICING SYSTEM:
IMS offers you a variety of brokerage options, each with a different combination of service charges, custodial fees, and other features. Allowing you to select the method that is most appropriate for you. Ask your personal Financial consultant for more information.

KEEPING TRACK OF YOUR INVESTMENT:
At IMS, an individual from our sales team will be assigned to you as our personal Financial Consultant (PFC). Your PFC will provide you with the latest market information and help you manage your portfolio and actively place orders/trades through reliable and professional advice. All trades, no matter what their size, placed though IMS are speedily executed with prompt confirmation and with complete confidentiality.

Regular customer statements will be provided to you showing all transactions and cumulative year to date activities. You can obtain performance information on your holdings at any time on a request basis that consists your present holdings, payable/receivable or any transaction you made that particular, you can request your PFC to send regular report about its movement.

REGULAT UPDATES:
All information related to your investment would be communicated to you as follows:

  • Latest rates will be communicated to you on continuous basis or as requested by you during trading hours.
  • All your transactions made during the day will be faxed to you daily and the same will be confirmed on telephone as soon as the deal in executed.
  • A weekly statement will also be faxed to you giving details of all deals carried out by you during one trading week and showing your net delivery position.
  • On the last working day of the week you will be informed of your current positions in order to settle your transactions as required by you.
  • We will also provide you financial and other relevant information requested by you of and particular company.
  • Any other assistance requested by you relating to the Exchange will be provided.