This policy is designed to cover the risks associated with Stock Brokers and Stock Exchange operations. The primary risks covered are Direct Financial Loss arising from Incomplete transactions, Fidelity, Loss of Property, Forgery or Alteration, Securities, Counterfeit currency, investigation costs, Errors and Omissions, Negligence, Libel and Slander, Breach of Copyright, Conversion, Unintentional Breach of Trust and Unintentional Breach of Fiduciary Duty and dishonesty etc.
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