Regulation & Compliance
We operate under strict regulatory oversight to ensure the highest standards of security, transparency, and client protection.
FCA RegulatedComoros LicensedClient Fund Protection
Regulatory Oversight
Our operations are supervised by multiple regulatory authorities to ensure compliance with international standards.
Financial Conduct Authority
UKLicensed and regulated by the FCA
- Client fund protection
- Segregated accounts
- Regular audits
Comoros Union Mwali International Services Authority.
EULicensed and regulated by MISA
- MiFID II compliance
- Investor compensation fund
- Capital adequacy requirements
Mwali International Services Authority (MISA)
ComorosLicensed and regulated by MISA
- Financial services license
- Client money protection
- Professional indemnity insurance
Compliance & Security
We maintain the highest standards of compliance and security to protect our clients' interests.
Fund Protection
Client funds are held in segregated accounts at top-tier banks
Regular Audits
Annual audits by independent auditors to ensure compliance
AML Compliance
Anti-money laundering procedures and KYC requirements
Risk Management
Comprehensive risk management and monitoring systems
Trade with Confidence
Join thousands of traders who trust our regulated platform for their trading needs.