Products
Data license: CC-BY-4.0 · Data source: bankproducts.info
10 rows where bank_id = "saxo" sorted by bank_id descending
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Suggested facets: category, target_group, access_tier
| 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 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| saxo:trading_classic | SAXO BANK (SCHWEIZ) AG saxo | current_account | Saxo Classic | multi | private | standard | Standard trading account tier. Stock/ETF custody 0.15% p.a. Earned by default — no min balance. | BPG003C64MZW | free | 0 | ||||
| saxo:trading_platinum | SAXO BANK (SCHWEIZ) AG saxo | current_account | Saxo Platinum | multi | private | wealthy | Higher-tier account. Stock/ETF custody 0.12% p.a. Eligibility via Saxo Rewards (trading volume + balance). | BPG003QZMYF4 | free | 0 | ||||
| saxo:trading_vip | SAXO BANK (SCHWEIZ) AG saxo | current_account | Saxo VIP | multi | private | premium | Premium tier. Stock/ETF custody 0.09% p.a. Best per-trade rates. Eligibility via Saxo Rewards. | BPG003SMT28C | free | 0 | ||||
| saxo:stock_trading | SAXO BANK (SCHWEIZ) AG saxo | securities_trading | Stock Trading | multi | private | standard | Direct stock trading on 50+ global exchanges. Per-share (US) or per-bps (EMEA/APAC) commission models. | BPG003DTY3WT | pro | 0 | ||||
| saxo:etf_trading | SAXO BANK (SCHWEIZ) AG saxo | securities_trading | ETF / ETC Trading | multi | private | standard | ETF and ETC trading. Same commission schedule as stocks; same custody fees. | BPG003N3VHQV | pro | 0 | ||||
| saxo:bond_trading | SAXO BANK (SCHWEIZ) AG saxo | securities_trading | Bond Trading | multi | private | wealthy | Direct bond trading. 0.15/0.12/0.09% custody by tier. | BPG003PPKJWG | pro | 0 | ||||
| saxo:cfd_trading | SAXO BANK (SCHWEIZ) AG saxo | securities_trading | CFD Trading | multi | private | wealthy | Contract-for-Difference trading on stocks/indices/commodities. Margin product — leverage. Bid/Offer financing rates apply. | BPG003F9KR9E | pro | 0 | ||||
| saxo:fx_trading | SAXO BANK (SCHWEIZ) AG saxo | securities_trading | FX Trading | multi | private | standard | Spot FX trading. Spread-based pricing. | BPG00354GQ7A | pro | 0 | ||||
| saxo:options_trading | SAXO BANK (SCHWEIZ) AG saxo | securities_trading | Options Trading | multi | private | wealthy | Listed and OTC options trading. Margin product. | BPG0035M4HM9 | pro | 0 | ||||
| saxo:futures_trading | SAXO BANK (SCHWEIZ) AG saxo | securities_trading | Futures Trading | multi | private | wealthy | Futures contracts on global exchanges. | BPG003XNMJ0P | 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;