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Regulatory Information

Commitment to Compliance

At Fortuna Markets, regulatory compliance is a core pillar of our operations. We adhere to international financial laws and cooperate fully with the authorities in every jurisdiction where we operate.

Licensing & Supervision

Fortuna Markets is authorized and regulated by reputable financial authorities. All client activities are monitored under strict financial conduct rules to ensure transparency and integrity.

Segregation of Client Funds

Client funds are kept in fully segregated accounts with top-tier international banks.These funds are never used for operational expenses or hedging.

Risk Disclosure

Trading leveraged financial products carries a high level of risk. We encourage all clients to read our Risk Disclosure Statement and ensure they understand the implications of margin trading.

AML & KYC Policies

We fully comply with global Anti-Money Laundering (AML) and Know Your Customer (KYC) regulations. Every account is verified to prevent fraud and ensure secure transactions.