Why Regulation Matters

Regulation is crucial in ensuring the safety and security of your investments. It provides a
framework for financial institutions to operate with transparency, integrity, and
accountability. As a regulated entity, we adhere to strict guidelines and
standards set by FSC to protect your interests.

FSC Regulation

FTMO Global Markets operates under an Investment Dealer License issued by the Financial Services Commission (FSC). This license authorizes us to provide financial services and manage financial products. Our compliance with FSC regulations ensures that we meet the highest industry standards and maintain the trust of our clients.

Client Fund Safety

One of the key benefits of being regulated by FSC is the assurance of the safety of your funds. FTMO Global Markets maintains segregated client accounts, meaning your funds are kept separate from our operational accounts. This segregation ensures that your investments are protected, even in the unlikely event of our financial difficulties.

Transparency and Accountability

FSC regulations require us to provide transparent and accurate information to our clients. We are committed to maintaining the highest level of transparency in all our dealings. Our financial statements, terms and conditions, and fee structures are readily available for your review.

Complaints Handling

In compliance with FSC guidelines, we have established a robust complaints handling process. If you have any concerns or complaints, please contact our dedicated support team, and we will address your issues promptly and fairly.

Contact Us

If you have any questions about our regulatory status or need further information,
please don’t hesitate to get in touch with us. We’re here to assist you.