Regulation & Client Protection
I.W.G. International Wealth Group Ltd (IWG) is authorized and regulated by the Cyprus Securities and Exchange Commission, License no. 380/19 as a Cyprus Investment Firm. IWG are authorized to offer, Investment Advice, Portfolio Management and the Investment service of Reception and Transmission of orders in relation to one or more financial instrument.
IWG is regulated in accordance with the European Markets in Financial Instruments Directive (MIFID). As our client you will benefit from strict and rigorous regulatory requirements of The Cyprus Securities and Exchange Commission (CySEC).
We do not offer any services in relation to the custody of client funds.
IWG’s Head office is incorporated in Cyprus, we offer our services via our Investment Advisors who are qualified and trained to high standards.
IWG work on both a discretionary and non-discretionary basis that fits our clients’ investment profiles, in order to enable our clients to structure their financial needs and investment strategy. We pride ourselves on offering best advice and services at all times.
There is always an element of risk when trading in financial instruments or when participating in any type of investment service, the level of risk depends on the nature of the investment that may not be suitable for all clients. The value of your investment may increase or decrease, depending on volatility in the markets, and you may lose up to all invested capital. For further information on risks involved please refer to our Risk Disclosure Policy.
If your wish to make a complaint to us, please make contact immediately. Please refer to our Complaint Policy.