License & Regulation

1. CYSEC

The Cyprus Securities and Exchange Commission (better known as CySEC), is the supervisory and regulatory authority of the Cyprus Stock Exchange and investment services firms in Cyprus. CySEC is a member of the European Securities and Markets Authority (ESMA). .

2. MIFID II

The Markets in Financial Instruments Directive (MiFID) Directive 2014/65/EU which came into effect on 15th of May 2014, is a European Union Law that provides harmonized regulation for investment services across the 31 member states of the European Economic Area. The main objective of the European Union's MiFID II is to harmonize the governing of financial markets within the European Economic Area (EEA), and therefore to increase efficiency, improve financial transparency and consumer protection in investment services. MiFID II allows an investment firm to freely provide its services both across the EEA and to other countries, provided that such services are covered by the investment firm's authorization.

3. Investor Compensation Fund(IFC)

The Company is a member of the Investor Compensation Fund, which covers eligible clients of Cyprus Investment Firms. Being a member of the Investor Compensation Fund provides our clients with an additional protection for their investment, MiFID retails clients are covered up to €20,000 by the ICF in Cyprus. The objective of the ICF is to secure claims (in connection with investment services - or ancillary services) against Cyprus Investment Firms, in the event of the inability of the member to fulfil its financial obligations. For more details click here. (Link to ICF pdf).