Canadian Investment Regulatory Organization (CIRO)

Wealthstrategy is committed to maintaining the highest standards of compliance and ensuring that our services adhere to relevant regulations. In Canada, we are fully regulated by the Canadian Investment Regulatory Organization (CIRO).

As a CIRO-regulated entity, Wealthstrategy complies with all necessary requirements to operate as a licensed financial service provider. This includes:

  • Investor Protection: CIRO regulates firms to ensure transparency, fairness, and the protection of investors' interests.
  • Adherence to Legal Standards: Wealthstrategy follows strict industry regulations for trading and investment practices.
  • Ongoing Compliance: We are subject to regular audits and oversight to ensure that we meet the highest standards of service, security, and regulatory compliance.

Our license under CIRO ensures that we operate with integrity, providing you with the confidence that your investments are being managed within a regulated environment.

Cyprus Securities & Exchange Commission (CySEC)

Wealthstrategy is committed to maintaining the highest standards of compliance and ensuring that our services adhere to relevant regulations. We are fully regulated in multiple regions to give you confidence in the safety of your investments.

In Cyprus, we are regulated by the Cyprus Securities and Exchange Commission (CySEC), one of the leading financial regulators in the European Union. As a CySEC-regulated entity, we comply with all EU regulations and standards, ensuring the protection of your investments.

As a CySEC-regulated firm, Wealthstrategy adheres to all required legal standards, including:

  • Investor Protection: CySEC ensures that financial institutions operate fairly and transparently, protecting investor interests.
  • Regulatory Compliance: Wealthstrategy follows strict regulations set by CySEC to ensure that our trading practices are secure and in compliance with EU laws.
  • Ongoing Monitoring: We undergo regular audits and inspections to maintain our compliance with CySEC’s requirements.

Cayman Islands Monetary Authority (CIMA)

Wealthstrategy is committed to maintaining the highest standards of compliance and ensuring that our services adhere to relevant regulations. We are fully regulated in multiple regions to give you confidence in the safety of your investments.

In the Cayman Islands, we are regulated by the Cayman Islands Monetary Authority (CIMA), the primary financial regulatory authority in the jurisdiction. As a CIMA-regulated entity, we comply with the necessary requirements and standards to ensure the protection of your assets and transactions.

As a CIMA-regulated firm, Wealthstrategy ensures compliance with local and international financial standards, which include:

  • Investor Protection: CIMA ensures that firms operating in the Cayman Islands adhere to stringent rules that safeguard investors' interests.
  • Regulatory Compliance: Wealthstrategy follows the financial regulations set by CIMA, maintaining the highest standards of transparency and accountability.
  • Ongoing Supervision: We are subject to regular audits and inspections by CIMA to ensure continued compliance with their regulatory framework.

Our license under CIMA gives you the assurance that your investments are managed in a secure and regulated environment, offering peace of mind while using our services in the Cayman Islands.

Financial Conduct Authority (FCA)

Wealthstrategy is committed to maintaining the highest standards of compliance and ensuring that our services adhere to relevant regulations. We are fully regulated in multiple regions to provide you with confidence in the safety of your investments.

In the United Kingdom, we are regulated by the Financial Conduct Authority (FCA), the leading regulatory body overseeing financial markets and firms in the UK. As a FCA-regulated entity, we comply with the necessary requirements to ensure the protection of your assets and investments.

As a FCA-regulated firm, Wealthstrategy adheres to strict legal and operational standards, including:

  • Investor Protection: The FCA ensures that firms operate in a way that prioritizes investor protection and promotes transparency in financial services.
  • Regulatory Compliance: Wealthstrategy follows all financial regulations set by the FCA, ensuring transparent, fair, and ethical practices.
  • Ongoing Supervision: We are subject to regular audits and inspections by the FCA to maintain compliance with its strict regulatory standards.

Our license under FCA guarantees that your investments are managed within a regulated, secure, and trustworthy environment, offering you peace of mind while using our services in the United Kingdom.

The Financial Services Agency (FSA)

Wealthstrategy is committed to maintaining the highest standards of compliance and ensuring that our services adhere to relevant regulations. We are fully regulated in multiple regions, providing you with the confidence that your investments are handled securely and in line with industry standards.

In Japan, we are regulated by the Financial Services Agency (FSA), the government agency responsible for overseeing Japan's financial markets. As a FSA-regulated entity, we adhere to the strict regulations in place to protect investors and ensure fair and transparent financial practices.

As a FSA-regulated firm, Wealthstrategy follows comprehensive standards, including:

  • Investor Protection: The FSA enforces regulations that safeguard investor interests, ensuring firms operate transparently and ethically.
  • Regulatory Compliance: Wealthstrategy complies with all applicable rules and guidelines set by the FSA, maintaining the highest standards of financial operations.
  • Ongoing Oversight: Wealthstrategy is subject to regular audits and inspections by the FSA to ensure we maintain full compliance with Japanese financial laws.

Our license under FSA guarantees that your investments are managed within a regulated and secure environment, providing you with peace of mind while using our services in Japan.

The Monetary Authority of Singapore (MAS)

Wealthstrategy is committed to maintaining the highest standards of compliance and ensuring that our services adhere to relevant regulations. We are fully regulated in multiple regions to offer you the confidence that your investments are handled securely and in line with industry best practices.

In Singapore, we are regulated by the Monetary Authority of Singapore (MAS), the central bank and financial regulatory authority of Singapore. As a MAS-regulated entity, we comply with strict regulations to ensure the safety of your investments and the transparency of our financial services.

As a MAS-regulated firm, Wealthstrategy operates with a high standard of integrity and transparency, including:

  • Investor Protection: The MAS ensures that financial institutions operate transparently and fairly, safeguarding investor interests in Singapore.
  • Regulatory Compliance: Wealthstrategy adheres to all applicable rules and regulations set by the MAS, ensuring ethical and lawful trading practices.
  • Continuous Monitoring: Wealthstrategy is regularly monitored and audited by the MAS to ensure full compliance with their stringent regulatory framework.

Our license under MAS provides assurance that your investments are managed in a secure, regulated environment, giving you peace of mind while using our services in Singapore.

Australian Securities and Investments Commission (ASIC)

Wealthstrategy is committed to maintaining the highest standards of compliance and ensuring that our services adhere to relevant regulations. We are fully regulated in multiple regions to ensure your investments are handled securely and in line with industry standards.

In Australia, we are regulated by the Australian Securities and Investments Commission (ASIC), the national regulatory authority for financial markets in Australia. As an ASIC-regulated entity, we adhere to the strict regulatory requirements set by the commission to protect investors and ensure fair and transparent financial services.

As a ASIC-regulated firm, Wealthstrategy follows rigorous standards, including:

  • Investor Protection: ASIC enforces regulations to protect investors and ensures financial services are conducted with integrity and transparency.
  • Regulatory Compliance: Wealthstrategy complies with all necessary regulations set by ASIC, maintaining the highest standards in financial practices.
  • Ongoing Supervision: We are subject to regular audits and monitoring by ASIC to ensure that we remain compliant with Australian financial regulations.

Our license under ASIC provides the assurance that your investments are managed in a secure and regulated environment, ensuring peace of mind while using our services in Australia.

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