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Fully Licensed & Regulated

Regulation & Compliance

Your security is our priority. We operate under strict regulatory oversight to ensure transparency, fairness, and client protection.

Licensed
Secure
Compliant
Trusted

Our Regulatory Framework

We maintain the highest standards of regulatory compliance

Licensed Broker

Trade Support is authorized and regulated by top-tier financial authorities. Our licenses ensure we meet strict capital requirements and operational standards.

Segregated Funds

Client funds are held in segregated accounts with tier-1 banks, completely separate from company operational funds for maximum protection.

Transparent Operations

We maintain full transparency in our operations, pricing, and execution. Regular audits ensure compliance with all regulatory requirements.

Client Protection

Negative balance protection, investor compensation schemes, and strict KYC/AML procedures protect your interests at all times.

Dispute Resolution

Access to independent dispute resolution services and ombudsman schemes ensures fair treatment and conflict resolution.

Regular Audits

Independent third-party audits of our financial statements and operations ensure ongoing compliance and transparency.

Client Fund Protection

Segregated Client Accounts

All client funds are held in segregated accounts with tier-1 banks. This means your money is kept completely separate from our operational funds and cannot be used for any company purposes. In the unlikely event of company insolvency, your funds remain protected and accessible.

Investor Compensation Scheme

As a regulated broker, we participate in investor compensation schemes that provide additional protection for eligible clients. This ensures that even in extreme circumstances, your investments are safeguarded up to the regulatory limits.

Negative Balance Protection

We offer negative balance protection on all retail accounts. This means you can never lose more than your account balance, even in highly volatile market conditions. Your liability is limited to your deposited funds.

Secure Transactions

All financial transactions are protected by bank-level SSL 256-bit encryption. We use advanced security protocols and multi-factor authentication to ensure your funds and personal information remain secure at all times.

Compliance Standards

We adhere to the highest international standards

KYC/AML Procedures

We implement strict Know Your Customer (KYC) and Anti-Money Laundering (AML) procedures to prevent financial crime and ensure platform integrity.

  • Identity verification for all clients
  • Source of funds documentation
  • Ongoing transaction monitoring
  • Suspicious activity reporting

Data Protection

We comply with GDPR and international data protection regulations to safeguard your personal information and privacy rights.

  • Encrypted data storage
  • Limited data access controls
  • Right to data portability
  • Regular security audits

Risk Disclosure

We provide clear and comprehensive risk warnings to ensure clients understand the risks associated with leveraged trading.

  • Clear risk warnings
  • Educational resources
  • Appropriateness assessments
  • Leverage limitations

Fair Treatment

We are committed to treating all clients fairly and ensuring best execution on all trades without conflicts of interest.

  • Best execution policy
  • No dealing desk model
  • Transparent pricing
  • Complaints procedure

Trade with Confidence

Our regulatory compliance and client protection measures ensure you can focus on trading with peace of mind.

10+
Years Licensed
$2.5B+
Client Funds Protected
99.9%
Compliance Rate

For regulatory inquiries, please contact our compliance department