We are subject to rigorous compliance requirements that include: client fund management, keeping client accounts in segregated accounts and regularly reporting financial results.
Through our business partners, we enjoy licenses in various parts of the world. This means that our clients have the security that their trades will be handled by a trustworthy entity.
License to operate in Ireland (Central Bank of Ireland.)
Licensed to operate in Australia (Australian Securities & Investments Commission.)
Licensed to operate in the British Virgin Islands (Financial Services Commission)