EU-licensed specialist broker-dealer

Integrated brokerage services in the US equity markets for professional and institutional clients

Our mission is to provide our clients with reliable and efficient trading environment

We build and customize our trading solutions for the use by hedge funds and professional traders, and well as regulated financial intermediaries such as broker-dealers and asset managers, to help them achieve their financial goals.

License information

We operate in accordance with the Markets in Financial Instruments Directive (MiFID) under the license number 403/21 by the Cyprus Securities and Exchange Commission (CySEC).
Learn more

Client categorization

We provide services only to professional clients and eligible counterparties in the MiFID meaning, located in the EU/EEC area, as well as in some 3rd countries such as UAE and Ukraine.
Learn more

Documents & Disclosures

Terms and Conditions of Services

Terms and Conditions of Services

Standard client agreement language, including terms and conditions of brokerage services and custody
Standard Settlement Instructions

Standard Settlement Instructions

Bank and security delivery/settlement details of the company
Conflicts of Interest

Conflicts of Interest

Document describing what conflicts of interest we may have, and how we manage them
Disclosure Reports

Disclosure Reports

Regulatory disclosures, including Pillar III and RTS 28 under Mifid II
Follow on