As a fully regulated brokerage firm, EBC Financial Group holds multiple regulatory licenses, including authorization and supervision by the UK Financial Conduct Authority (FCA) (License No. 927552), the Australian Securities and Investments Commission (ASIC) (License No. 500991), the Cayman Islands Monetary Authority (CIMA) (License No. 2038223), and the Financial Sector Conduct Authority (FSCA) of South Africa (License No. 51541).
We strictly adhere to all regulatory and compliance requirements and ensure that client funds are fully segregated from company funds, safeguarding client assets and preventing any risk of misappropriation.
You may verify our licenses through the following official websites:
UK (FCA) Register:
https://register.fca.org.uk/s/firm?id=0014G00002Vq7yNQAR
Australia (ASIC) Register:
https://connectonline.asic.gov.au/RegistrySearch/faces/landing/ProfessionalRegisters.jspx?_adf.ctrl-state=n3nc2spj0_6
Cayman Islands (CIMA) Register:
https://www.cima.ky/search-entities-cima/get_search_data
South Africa (FSCA) Register:
https://www2.fsca.co.za/Fais/Search_FSP.htm
Privacy Protection Policy
Collection and Use of Personal Information:
We collect clients’ personal information (such as identification documents, phone numbers, and email addresses) solely for identity verification, account security, and service provision. We will not use clients’ personal information for any unauthorized purposes.
Legality and Compliance:
All collection and processing of personal information are conducted in accordance with applicable laws, regulations, and regulatory requirements to ensure lawful and compliant handling of data.
Two-Factor Authentication:
To further enhance account security, we provide two-factor authentication (such as SMS verification codes and email verification) to prevent unauthorized access to your account.