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Products

Retail banking products. Each row is one product offered by one bank. Categories: current_account, savings_account, pillar_3a, vested_benefits, mortgage, credit_card, debit_card, term_deposit, wealth_management, securities_trading, etc.

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

7 rows where bank_id = "bordier" sorted by bank_id descending

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id bank_id ▲ category name currency client_type target_group description valid_from source_document_id bpg access_tier is_tailored notice_period_days iso_account_type
bordier:mgmt_mandate Bordier & Cie SCmA bordier wealth_management Management mandate / Comprehensive advisory mandate CHF private high_net_worth Discretionary asset management (or full-portfolio advisory). Investment commission tiered: 0.90% < CHF 1M / 0.70% CHF 1-2M / 0.55% CHF 2-5M / 0.35% > CHF 5M. Min CHF 1,600 p.a. Custody + brokerage charged separately at published tiered rates. Retrocession-waiver clients add +0.20% (atom #289). Quarterly invoicing on weighted monthly average asset value.     BPG003NFGDPE pro 0    
bordier:all_in_fee Bordier & Cie SCmA bordier wealth_management All-in-fee account CHF private high_net_worth Single all-in fee bundling management or advisory commission + custody + brokerage. Tiered: 1.50% < CHF 2M / 1.20% CHF 2-5M / 1.00% CHF 5-10M / 0.80% > CHF 10M. Min CHF 25,000 p.a. — the highest fee floor in the Bordier schedule, suggesting the all-in is positioned for ≥ CHF 2M clients.     BPG003MS9PCK pro 0    
bordier:execution_only Bordier & Cie SCmA bordier wealth_management Execution-only / Specific advisory mandate CHF private wealthy Custody account without management mandate, or with transaction-by-transaction advisory. Administrative commission: 0.40% < CHF 1M / 0.35% CHF 1-2M / 0.30% CHF 2-5M / 0.28% > CHF 5M. Min CHF 1,600, max CHF 15,000 — the cap is unusual (most private banks have only floors). Plus custody + brokerage tiered separately.     BPG0031F0Y9H pro 0    
bordier:crypto_custody Bordier & Cie SCmA bordier wealth_management Custody account for crypto assets CHF private wealthy Crypto-asset custody and brokerage (BTC / ETH / XRP). Administrative commission tiered same as execution-only. Brokerage 1.00% on crypto trades, min CHF 150 per transaction (correspondent fees NOT included, unlike securities). Min CHF 500 admin. Custody 0.20% (named) / 0.25% (numbered/corporate).     BPG003QKC0GE pro 0    
bordier:investment_fund_account Bordier & Cie SCmA bordier wealth_management Investment fund account (Bordier funds: fee-free) CHF private standard Custody account holding exclusively Bordier & Cie funds. No mgmt or admin commission, no custody fee, no brokerage on revised allocations between Bordier funds. Effectively free wealth management for clients fully invested in Bordier in-house funds — a captive-funds pricing model that mirrors Pictet/Lombard Odier flagship-fund self-distribution.     BPG003VRXCH5 pro 0    
bordier:fiduciary_money_market Bordier & Cie SCmA bordier wealth_management Fiduciary money-market investments CHF private wealthy Fiduciary placements with third-party banks (off-balance-sheet). Min CHF 100,000. Commission 0.50% p.a., min CHF 125 per transaction. Same rate applies to treasury bills and other short-term placements.     BPG003ADQH17 pro 0    
bordier:safe_deposit_box Bordier & Cie SCmA bordier securities_trading Safe deposit box CHF private standard Physical safe deposit box at Geneva/Nyon/Bern/Zürich branches. CHF 200 or CHF 500/year depending on size. Note: NOT chargeable on Bordier-fund-only accounts (waived alongside other custody-related fees).     BPG00399MKAV pro 0    

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CREATE TABLE product (
    id                  TEXT PRIMARY KEY,  -- zkb:privatkonto, ubs:key4_banking
    bank_id             TEXT NOT NULL REFERENCES bank(id),
    category            TEXT NOT NULL,     -- current_account, savings_account, pillar_3a, vested_benefits,
                                           -- debit_card, credit_card, prepaid_card, package, ebanking,
                                           -- mortgage, wealth_management, term_deposit, securities_trading,
                                           -- fiduciary_deposit, safe_deposit, guarantee, leasing,
                                           -- financial_planning, personal_advisory, loyalty_program,
                                           -- digital_vault, fx_subscription, robo_advisory, self_directed_trading,
                                           -- metal_account, deposit_account, check
    name                TEXT NOT NULL,     -- bank's own product name
    currency            TEXT DEFAULT 'CHF',
    client_type         TEXT DEFAULT 'private',  -- private, business, institutional
    target_group        TEXT,              -- standard, young, children, students, seniors, eco, gift, rental_deposit, member
    description         TEXT,
    valid_from          TEXT,
    source_document_id  INTEGER REFERENCES source_document(id),
    bpg                 CHAR(12)        -- opaque global id, BPG003xxxxxx; populated post-load by bpg_assignments.sql
        CHECK (bpg IS NULL OR bpg GLOB 'BPG003[0-9A-HJKMNP-TV-Z][0-9A-HJKMNP-TV-Z][0-9A-HJKMNP-TV-Z][0-9A-HJKMNP-TV-Z][0-9A-HJKMNP-TV-Z][0-9A-HJKMNP-TV-Z]'),
    access_tier         TEXT NOT NULL DEFAULT 'free'  -- freemium gating: free public, pro/business paid
        CHECK (access_tier IN ('free', 'pro', 'business')),
    is_tailored         INTEGER             -- v2.6 (atom #278): mirrors CDS-AU (Australian Open Banking) isTailored.
                                            --   0 = pricing publicly published in a schedule (machine-readable, comparable);
                                            --   1 = negotiated per client (UHNW classical private banking, business loans);
                                            --   NULL = unknown / not yet classified (default for new loads).
                                            -- Distinguishes "we haven't crawled it" (NULL) from "bank deliberately
                                            -- doesn't publish because it's relationship-priced" (1) — three states
                                            -- that previously collapsed into "fee.amount IS NULL".
        CHECK (is_tailored IS NULL OR is_tailored IN (0, 1)),
    notice_period_days  INTEGER             -- v2.7 (atom #307): normalised withdrawal notice in days.
                                            --   0/NULL = on-demand; X = days notice. Conversion: months×30,
                                            --   years×365, days verbatim. Backfilled from
                                            --   product_feature.notice_period free-text by
                                            --   db/notice_period_backfill.sql.
        CHECK (notice_period_days IS NULL OR notice_period_days >= 0),
    iso_account_type    CHAR(4)             -- v2.8 (atom #308): ISO 20022 ExternalCashAccountType1Code.
                                            --   4-letter code from the official ISO enum: CACC (Current),
                                            --   SVGS (Savings), LOAN, SACC (Special), MOMA (Money Market),
                                            --   CHAR (Charges), CASH, etc.
                                            --   NULL for categories outside ISO scope: cards
                                            --   (debit/credit/prepaid), mandates (wealth_management,
                                            --   securities_trading, fiduciary_deposit), CH-specific
                                            --   (pillar_3a, vested_benefits, pension_account).
                                            --   Mapped from `category` by db/iso_account_type_backfill.sql.
                                            --   Backfill is conservative — when in doubt, leave NULL rather
                                            --   than force-fit a code that misrepresents the product.
        CHECK (iso_account_type IS NULL OR iso_account_type GLOB '[A-Z][A-Z][A-Z][A-Z]')
);
CREATE INDEX idx_product_bank ON product(bank_id);
CREATE INDEX idx_product_category ON product(category);
CREATE INDEX idx_product_lookup ON product(bank_id, category, client_type, target_group);
CREATE UNIQUE INDEX idx_product_bpg ON product(bpg) WHERE bpg IS NOT NULL;
CREATE INDEX idx_product_access_tier ON product(access_tier);
CREATE INDEX idx_product_is_tailored ON product(is_tailored) WHERE is_tailored IS NOT NULL;
CREATE INDEX idx_product_iso_account_type ON product(iso_account_type) WHERE iso_account_type IS NOT NULL;
CREATE INDEX idx_product_notice_period ON product(notice_period_days) WHERE notice_period_days IS NOT NULL;
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