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RIGHT CHOICE!

  • Tired of bad execution?
  • Spreads too wide and commissions too hight?
  • Still struggling to get your funds back from your broker?

Come to VistaBrokers and experience the difference

RISK WARNING

Investments involve a high degree of risk

Licenses & Regulations

Vistabrokers CIF Ltd is a Cyprus Investment Firm (CIF) supervised by the Cyprus Securities and Exchange Commission (CySEC) License Number 190/13

Supervised by CySEC, Vistabrokers CIF Ltd is subject to the regulatory requirements of the Investment Services and Activities and Regulated Markets Law of 2007 of the Republic of Cyprus Law 144(I)/2007 and the European Markets in Financial Instruments Directive MiFID.
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CySEC European regulation

Cyprus Securities and Exchange Commission (CySEC) Regulation

In accordance with the EU Legislation, Cyprus Securities and Exchange Commission (CySEC) is a public corporate body. CySEC is responsible for the supervision and control of the Cyprus Stock Exchange, Investment and Brokerage services companies, Collective Investment schemes, Investment consultants and mutual funds management companies.

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MiFID European regulation

MiFID Regulation

The Markets in Financial Instruments Directive 2004/39/EC (well known as MiFID) as subsequently amended is a European Union law that provides harmonized regulation for Investment-Brokerage services across all member states of the European Economic Area (including Iceland, Norway and Liechtenstein).

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CySEC European regulation

Pillar III Disclosures Basel III Report-Y2016

The Pillar III Disclosures Basel III Report contains information on the capital adequacy of the Company and its risk management activity, in according to section 4, par. 32 of the Cyprus Securities and Exchange Commission Directive DI144-2014-14 for the prudential supervision of investment firms. To view Pillar III Disclosures Basel III Report-Y2016, please click on View Report.
CySEC European regulation

Pillar III Disclosures Basel III Report-Y2015

The Pillar III Disclosures Basel III Report contains information on the capital adequacy of the Company and its risk management activity, in according to section 4, par. 32 of the Cyprus Securities and Exchange Commission Directive DI144-2014-14 for the prudential supervision of investment firms. To view Pillar III Disclosures Basel III Report-Y2015, please click on View Report.
CySEC European regulation

Pillar III Disclosures Basel III Report-Y2014

The Pillar III Disclosures Basel III Report contains information on the capital adequacy of the Company and its risk management activity, in according to section 4, par. 32 of the Cyprus Securities and Exchange Commission Directive DI144-2014-14 for the prudential supervision of investment firms. To view Pillar III Disclosures Basel III Report-Y2014, please click on View Report.
CySEC European regulation

Disclosure and Market Discipline Report-Y2013

Disclosure and Market Discipline Report: The Disclosure and Market Discipline Report contains information on the capital adequacy of the Company and its risk management activity, in compliance with Directive (DI144-2007-05). To view Vistabrokers CIF Ltd Disclosure and Market Discipline Report, please click on the View Report.

Risk Disclaimer: Having opened a Trading Account and began trading, you acknowledge your awareness and full acceptance of the risks related to the trading of financial instruments and possible loss of your funds. Please read carefully General Risk Disclosure.

The information on this site is not directed at residents of USA, Japan, Australia, Belgium, North Korea and France, and is not intended for distribution to, or use by, any person in any country or jurisdiction where such distribution or use would be contrary to local law or regulation.The Company does not offer its services to residents of certain jurisdictions / countries, which may vary from time to time.