Company: ETX Capital, Monecor
Headquarter: One Broadgate, London, EC2M 2QS, United Kingdom
Regulation: FCA Regulated
Company: 1000 trading group
Headquarter: 88 Wood Street London EC2V 7AJ United Kingdom
Regulation: New zealnd
Company: SM Global Investment Ltd
Headquarter: P.O. Box 84059,Office No-2609 Concord Building, Tecom, Dubai
Company: AFSL license (ASIC)
Headquarter: SVS Securities 110 Fenchurch Street London, EC3M 5JT
Regulation: Regulated by the Financial Conduct Authority (Reg. 220929
Company: Alvast Trade Limited
Headquarter: 1st Floor 2, Woodberry Grove, Finchley, N12 0DR, London, United Kingdom
Regulation: FSA Seychelles (reg. #154483)
Company: Ocean Edge Limited
Headquarter: The Hansa Bank Building, 1st Floor PO 727 Landsome Road, The Valley, Anguilla.
Company: Leverate Financial Services Limited
Headquarter: Heron Tower, 110 Bishopsgate,London, EC2N 4AY
Regulation: Regulated by the Cyprus Securities and Exchange Commission
Company: Exo Capital Markets Ltd
Headquarter: Marshall Islands
Company: Esther Holdings Limited
Headquarter: 1167,14 Tottenham Court Road, W1T 1JY London, United Kingdom
Company: Striker Group Incorporated, New Zealand
Headquarter: New Zealand
Company: IFC Markets Corp
Headquarter: Quijano Chambers, P.O. Box 3159, Road Town, Tortola, British Virgin Islands
Regulation: BVI FSC ( British Virgin Islands Financial Services Commission)
Company: Global Prime Pty Ltd,
Headquarter: Level 27 25 Bligh Street Sydney NSW 2000 Australia
Regulation: Australian Financial Services Licence (AFSL)
Company: Lead Capital Markets Ltd:
Headquarter: 9, Kafkasou Street 5th Floor, 2112 Aglantzia Nicosia, Cyprus
Regulation: Regulated by the Cyprus Securities and Exchange Commission (“CySEC”)
Company: Nimrod Markets LTD.
Headquarter: Suite No305, Griffith Corporate Center, Beachmont Kingstown, St.vincent & The Grenadlines.
Regulation: FSA Regulated . Registration Number 22304 IBC 2014.
Company: Fairbanks Ltd
Headquarter: Trident Chambers, Victoria, Mahe, 1388, Seychelles
Regulation: registered or regulated by any U.S. or Canadian regulator, including FINRA, SEC, FSC, NFA and CFTC.