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Fees

One row per fee charged on a product. Every row carries a source_page reference to the original bank PDF. NULL amount means 'on request' (tailored pricing) or 'not published in current source'.

Data license: CC-BY-4.0 · Data source: bankproducts.info

5 rows where bank_id = "reyl" sorted by amount descending

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Suggested facets: fee_type, frequency, valid_from (date)

id product_id bank_id fee_type label amount ▲ currency frequency tier channel note source_page valid_from access_tier
reyl:vermoegensverwaltung:mgmt_fee Discretionary Portfolio Management reyl:vermoegensverwaltung REYL Intesa Sanpaolo reyl mgmt_fee Discretionary Mandate Management Fee (CH tailored)   percent per_annum_pct     No CH-entity public schedule. Italian-parent Intesa Sanpaolo regulated under Banca d'Italia + CONSOB; the parent and its EU subsidiaries publish MiFID II-compliant pre-contractual disclosure but REYL Intesa Sanpaolo Geneva does not publish a CH-entity schedule.   2026-06-03 pro
reyl:anlageberatung:advisory_fee Investment Advisory Mandate reyl:anlageberatung REYL Intesa Sanpaolo reyl advisory_fee Advisory Mandate Fee (CH tailored)   percent per_annum_pct     No CH-entity public schedule.   2026-06-03 pro
reyl:asset_services:platform_fee Asset Services (custody + administration) reyl:asset_services REYL Intesa Sanpaolo reyl platform_fee Asset Services Platform Fee (CH tailored)   percent per_annum_pct     No CH-entity public schedule for EAM/institutional Asset Services.   2026-06-03 pro
reyl:corporate_advisory:advisory_fee Corporate Advisory & Structuring reyl:corporate_advisory REYL Intesa Sanpaolo reyl advisory_fee Corporate Advisory Fee (CH tailored)   percent per_transaction     Mandate-specific. No public schedule.   2026-06-03 pro
reyl:reyl_overseas_us:mgmt_fee REYL Overseas US (SEC-registered Investment Advisor) reyl:reyl_overseas_us REYL Intesa Sanpaolo reyl mgmt_fee REYL Overseas US Fee (tailored)   percent per_annum_pct     REYL Overseas Ltd is SEC-registered Investment Advisor; would publish a Form ADV with fee disclosures. Not captured in this CH-domain crawl. SEC Form ADV is the canonical US disclosure document.   2026-06-03 pro

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CREATE TABLE fee (
    id          TEXT PRIMARY KEY,       -- zkb:privatkonto:account_mgmt
    product_id  TEXT NOT NULL REFERENCES product(id),
    bank_id     TEXT NOT NULL REFERENCES bank(id),  -- denormalized
    fee_type    TEXT NOT NULL,          -- standardized key
    label       TEXT,                   -- human-readable German label from PDF
    amount      REAL,                   -- NULL if text-only or varies
    currency    TEXT DEFAULT 'CHF',     -- CHF, EUR, USD, percent
    frequency   TEXT,                   -- monthly, annual, quarterly, per_txn, one_time, per_annum_pct
    tier        TEXT,                   -- for tiered pricing: "3rd card onwards", "vol:>250k", "member"
    channel     TEXT,                   -- ebanking, paper, counter, atm, app, post_office, all
    note        TEXT,                   -- conditions, fine print
    source_page INTEGER,
    valid_from  TEXT,
    access_tier TEXT NOT NULL DEFAULT 'free'  -- freemium gating; propagated from parent product
        CHECK (access_tier IN ('free', 'pro', 'business'))
);
CREATE INDEX idx_fee_product ON fee(product_id);
CREATE INDEX idx_fee_bank ON fee(bank_id);
CREATE INDEX idx_fee_type ON fee(fee_type);
CREATE INDEX idx_fee_category ON fee(fee_type, bank_id);
CREATE INDEX idx_fee_access_tier ON fee(access_tier);
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