Regulation

Trade with a reliable Worldwide Regulated Forex Broker.

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About InvestM

  • We realize the importance of offering a safe and secure trading environment for our clients at InvestM.
  • As a respectable Forex brokerage, we are devoted to complying with the highest regulatory compliance requirements to protect your interests and maintain the integrity of our operations.
  • We are committed to providing you with detailed information about our regulatory framework, proving our commitment to transparency, and providing you with peace of confidence while joining us.

Trust Your Trading Partner with Confidence

In today's dynamic financial market, we realize the crucial value of creating transparency and confidence. As a regulated company, we are dedicated to maintaining the highest levels of integrity, compliance, and security, ensuring that you may conduct trade with us with confidence.

Regulatory Compliance

InvestM complies with the most strict regulatory criteria to assure the fairness, transparency, and security of all financial services.
Our adherence to the rules and regulations indicates our dedication to operating with the highest level of honesty.

Client Fund Protection

We put a premium on the security of our client’s funds. As a registered Forex brokerage, we keep customer money separate from operating accounts. This means that your funds are maintained in separate, secure accounts with respected financial institutions, guaranteeing that they will not be impacted by our business activity.

Data Security and Privacy

We take data security and privacy seriously. Our clients’ sensitive information is safeguarded utilizing industry-leading encryption technology. We rigorously follow data protection rules and do not disclose your personal or financial information to any unauthorized third parties.

Risk Management

We take data security and privacy seriously. Our clients’ sensitive information is safeguarded utilizing industry-leading encryption technology. We rigorously follow data protection rules and do not disclose your personal or financial information to any unauthorized third parties.

Complaints Handling

We appreciate your thoughts and take all complaints seriously at InvestM. If you have any questions or concerns, we have a dedicated customer support staff ready to help. We follow an efficient and open complaints-handling process.

Regulatory Compliance

InvestM complies with the most strict regulatory criteria to assure the fairness, transparency, and security of all financial services.
Our adherence to the rules and regulations indicates our dedication to operating with the highest level of honesty.

Client Fund Protection

We put a premium on the security of our client’s funds. As a registered Forex brokerage, we keep customer money separate from operating accounts. This means that your funds are maintained in separate, secure accounts with respected financial institutions, guaranteeing that they will not be impacted by our business activity.

Data Security and Privacy

We take data security and privacy seriously. Our clients’ sensitive information is safeguarded utilizing industry-leading encryption technology. We rigorously follow data protection rules and do not disclose your personal or financial information to any unauthorized third parties.

Risk Management

We take data security and privacy seriously. Our clients’ sensitive information is safeguarded utilizing industry-leading encryption technology. We rigorously follow data protection rules and do not disclose your personal or financial information to any unauthorized third parties.

Complaints Handling

We appreciate your thoughts and take all complaints seriously at InvestM. If you have any questions or concerns, we have a dedicated customer support staff ready to help. We follow an efficient and open complaints-handling process.

Securities and Exchange Regulator of Cambodia

License No. 038 SERC/A.B/Chh.O

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As a licensed derivative broker under the Securities and Exchange Regulator of Cambodia (SERC), we are committed to complying with all applicable laws and regulations, as well as maintaining the highest standards of professional conduct.

SERC plays an important role in regulating the securities market to assist socioeconomic development by encouraging capital mobilization from customers and securities investors.

Financial Services Commission, Mauritius

Mariutus License No. GB23201641

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The Financial Services Commission (FSC) of Mauritius is a primary regulatory entity in charge of managing and regulating the country’s financial services industry. It is the integrated regulator for the non-bank financial services sector and global business.

The Financial Services Commission (FSC), established under the Financial Services Act of 2007, plays a critical role in promoting a healthy and transparent financial environment, supporting economic growth, and assuring investor safety.

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