8VI Global Whistleblowing Policy

Subject Ethics and Governance Compliance
Section Whistleblowing Policy & Procedures
Division All Operation Units
Version V1/2017
Effective Date 2 May 2017

8VI Global Pte Limited (“the Company”) does not tolerate any malpractice, impropriety, statutory non-compliance or wrongdoing by staff in the course of their work.  This Whistleblowing Policy (the “Policy”) is intended to provide a framework to promote responsible and secure whistleblowing without fear of adverse consequences.

Employees and outside parties, such as suppliers, customers, contractors and other stakeholders, may use the procedures set out in the Policy to report any concern or complaint regarding questionable accounting or auditing matters, internal controls, disclosure matters, conflict of interest, insider trading, collusion with competitors, serious breaches of the policy, unsafe work practices or any other matters involving fraud, corruption and employee misconduct.
The Policy allows for reporting by employees or outside parties to the management without fear of reprisal, discrimination or adverse consequences, and also permits the Company to address such reports by taking appropriate action, including, but not limited to, disciplining or terminating the employment and/or services of those responsible.
The Policy is meant to protect genuine whistleblowers from any unfair treatment as a result of their report. The Policy is also not a route for taking up personal grievances. These should continue to be taken up directly with Division or Department heads.



Each employee has a responsibility for raising concerns about unacceptable practice or behavior: to prevent the problem worsening or widening; to protect or reduce risks to others; to prevent becoming implicated yourself.
The responsibility for the implementation of this policy rests with senior management team and the Head of department.

The Company encourages employees and outside parties to put their names to their allegations whenever possible.  Concerns or irregularities expressed anonymously are more difficult to act upon effectively but they will be considered, taking into account the seriousness and credibility of the issues raised, and the likelihood of confirming the allegation from attributable sources and information provided.  All concerns or irregularities raised will be treated with confidence and every effort will be made to ensure that confidentiality is maintained throughout the process.Concerns may be raised verbally or in writing.  As it is essential for the Group to have all critical information in order to be able to effectively evaluate and investigate a complaint, the report made should provide as much detail and be as specific as possible.  The complaint should include details of the parties involved, dates or period of time, the type of concern, evidence substantiating the complaint, where possible, and contact details, in case further information is required.  The Receiving Officer is the Chairman of Audit Committee.  The contact details of the Receiving Officer are as follows: Email    :  whistleblow@valueinvestingcollege.com Complaints raised to other parties within the Company will be directed to the Receiving Officer, who is responsible for maintaining a centralized repository of all reported cases and ensuring that issues raised are properly resolved.  All matters reported will be reviewed within a reasonable timeframe, and after due consideration and inquiry, a decision will be taken on whether to proceed with a detailed investigation.  Guidance/direction may be sought from the Executive Chairman and other appropriate parties.  While all complaints received by the Receiving Officer will be reported to the Executive Chairman, whistleblowing complaints alleging fraud and breaches of corporate governance will be escalated to the Audit Committee and the Chairman of the Board of the Company.In addition, where the complaints relate to a senior executive and/or the Executive Chairman, the Receiving Officer will escalate these to the Chairman of the Board, who will then decide whether to report the matter to the Board.  Other than those complaints which are escalated to the Audit Committee and the Chairman of the Board, the Executive Chairman will decide on the cases those which ought to be escalated to the Audit Committee and the Chairman of the Board of the Company.The whistleblower email and hotline are for reporting irregularities such as -1) Forgery2) Misappropriation of funds and classified documents3) Abuse and misrepresentation of power and authority4) Failure to comply with laws and regulations5) Discrimination on the basis of gender, race, disabilities6) Harassment 7) Corruption and bribery8) Theft
SafeguardsThe Company prohibits discrimination, retaliation or harassment of any kind against a whistleblower who submits a complaint or report in good faith.  If a whistleblower believes that he or she is being subjected to discrimination, retaliation or harassment for having made a report under this Policy, he or she should immediately report those facts to the Executive Chairman.  Reporting should be done promptly to facilitate investigation and the taking of appropriate action. At the appropriate time, the party making the report/complaint may need to come forward as a witness.   If an employee or outside party makes an allegation in good faith but it is not confirmed by the investigation, no action will be taken against him or her.  If, however, an employee has made an allegation frivolously, maliciously or for personal gain, disciplinary action may be taken against him or her.  Likewise, if investigations reveal that the outside party making the complaint had done so maliciously or for personal gain, appropriate action, including reporting the matter to the police, may be taken.


The Receiving Officer, may, in consultation with the Executive Chairman and/or senior management, direct the complaint to the division/department best placed to address it, or lead the investigation to ensure prompt and appropriate investigation and resolution.  All information disclosed during the course of investigation will remain confidential, except as necessary or appropriate to conduct the investigation and to take any remedial action, in accordance with any applicable laws and regulations. The Company reserves the right to refer any concerns or complaints to appropriate external regulatory authorities.  Depending on the nature of the complaint, the subject of the complaint may be informed of the allegations against him or her and be provided with an opportunity to reply to such allegations.  Employees who fail to cooperate in an investigation, or deliberately provide false information during an investigation, shall be subject to strict disciplinary action up to, and including, immediate dismissal.If, at the conclusion of an investigation, the Company determines that a violation has occurred or the allegations are substantiated, effective remedial action commensurate with the severity of the offence will be taken.RECORDING AND MONITORING  The Receiving Officer will maintain a whistleblowing register containing all concerns that are brought to her attention. All officers allocated to look into a concern must ensure the Receiving Officer is provided with sufficient details for the whistleblowing register. The whistleblowing register shall detail the following Background of Issue (i.e. Incident no, Name of whistle-blower, and Manager in charge of the incident).Incident classification (i.e. Legal/regulatory, Integrity/conduct, Informational request, Public/unrelated inquiry).Description of Issue Evaluation of Issue based on Potential magnitude of Incident, Reputational damage and likelihood of similar incidents happening, in which ratings of High, Medium or Low may be assigned to each category. Date received/ acknowledged / resolved. Required resolution date. Actions taken and date.

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