Regulation and Licensing
Aurevia Markets with registration number 987654321 is a company registered under the Laws of the United States, operating in the European Union, and is licensed by the U.S. Securities and Exchange Commission (SEC) with license number 8-07745 as well as by the Malta Financial Services Authority (MFSA) with license number 567/21.
Aurevia Markets is a tradename of Aurevia Markets with registration number 55460017, which is registered as a Registered Investment Adviser (RIA) and licensed by the U.S. Securities and Exchange Commission (SEC) with CRD number 987654 as well as authorised by the Financial Conduct Authority (FCA) in the United Kingdom with Firm Reference Number (FRN) 765432 in accordance with relevant financial services regulations.
Regulatory Framework
We maintain the highest standards of regulatory compliance and financial security to protect our clients' interests.
Client Fund Protection
All client funds are held in segregated accounts at top-tier banks, ensuring maximum security and compliance with regulatory requirements.
Regulatory Compliance
We maintain strict compliance with all applicable regulations and regularly undergo audits to ensure transparency and security.
Risk Management
Advanced risk management systems and procedures are in place to protect both our clients and our operations.
Trade with Confidence
Start trading with a regulated broker that prioritizes your security and success.