Mengekalkan keselamatan dana anda adalah yang paling penting di Putera Pasar. Pertimbangan yang rapat perlu diambil sebelum memilih broker pertukaran asing. Peniaga harus melihat dengan teliti bagaimana broker pertukaran asing mereka memastikan deposit mereka dijaga. Di Prince Markets, banyak langkah telah diambil untuk memastikan dana pelanggan kami selamat.
Di Prince Markets, kami berterima kasih kepada kepercayaan pelanggan kami di dalam kami, dan kami melakukan semua yang berada dalam kuasa kami untuk mengekalkan tahap perlindungan tertinggi dana mereka pada setiap masa.
Di Prince Markets, kami sangat komited kepada pelanggan kami. Ini terbukti melalui keputusan perniagaan yang kami buat dan perkhidmatan yang sempurna yang kami berikan kepada semua pelanggan kami. Integriti kewangan kami dan reputasi yang hebat adalah segalanya kepada kami, oleh itu perlindungan dana pelanggan datang terlebih dahulu sebelum apa-apa lagi.
Sering kali, cara terbaik untuk menilai integriti kewangan firma adalah dengan reputasi dan komitmen yang ditunjukkan kepada pelanggannya melalui perkhidmatan dan keputusan perniagaannya. Kesetiaan kami kepada pelanggan kami telah menjadikan syarikat kami sebagai pemimpin industri yang dihormati. Pelabur mestilah berhemat berhati-hati dengan di mana mereka memegang dana mereka, dan penting untuk mempertimbangkan integriti firma dan pengurusannya apabila membuat keputusan seseorang.
Pematuhan dengan undang-undang & peraturan
Semua pekerja bertanggungjawab untuk mematuhi semua undang-undang dan peraturan yang berkaitan, serta peraturan dan prinsip yang digariskan dalam Tatakelakuan. Pekerja mesti memastikan bahawa mereka sudah biasa dengan undang-undang, peraturan, amalan perniagaan yang terbaik, dan kelakuan etika yang diperlukan yang sesuai untuk menjadi pekerja Prince Markets.
Kerahsiaan.
Semasa aktiviti perniagaan harian, pekerja adalah istimewa kepada maklumat pelanggan yang berkaitan dengan butiran akaun, amalan perdagangan & corak, yuran & pendapatan, amalan pemasaran, dan sebagainya. Pekerja dikehendaki menyimpan maklumat ini secara rahsia. Ini bermakna mereka tidak dibenarkan untuk mendedahkan maklumat ini kepada mana-mana pihak ketiga melainkan jika mereka dibenarkan untuk berbuat demikian.
At our brokerage business, we are committed to protecting the privacy and confidentiality of our clients’ personal and financial information. This policy outlines the types of information we collect, how we use and safeguard it, and the circumstances under which we may share it.
Collection of Information
We collect personal and financial information from clients when they open an account with us, update their account information, or engage in transactions with us. This information may include:
– Name, address, and contact information
– Social Security number or other government-issued identification number
– Financial information, such as income and assets
– Investment objectives and risk tolerance
– Trading history and account balances
We may also collect information from third-party sources such as credit reporting agencies, public records, and other institutions with which the client has a relationship.
Use of Information
We use clients’ information to provide them with brokerage services and to comply with legal and regulatory requirements. Specifically, we may use the information for the following purposes:
– Opening and maintaining client accounts
– Executing transactions on behalf of clients
– Communicating with clients about their accounts and transactions
– Conducting research and analysis to improve our services
– Complying with legal and regulatory requirements, such as tax reporting and anti-money laundering laws
We may also use clients’ information to market our services to them, but only with their consent.
Safeguarding Information
We take appropriate measures to safeguard clients’ personal and financial information against unauthorized access, use, or disclosure. These measures include physical, electronic, and procedural safeguards, such as secure data storage, access controls, and employee training on privacy and security.
Sharing of Information
We may share clients’ information with third parties in certain circumstances, such as:
– To execute transactions on behalf of clients
– To comply with legal and regulatory requirements
– To service client accounts, such as with custodians or other service providers
– To prevent fraud or unauthorized transactions
– With the client’s consent
We do not sell clients’ personal or financial information to third parties for marketing purposes.
Changes to this Policy
We may update this privacy policy from time to time to reflect changes in our business practices or legal requirements. We will notify clients of any material changes to the policy and obtain their consent as required by law.
Contact Information
If you have any questions or concerns about our privacy practices, please contact us at [email protected]
Risk Warning: Trading Contract for Difference (CFD) carries a high level of risk to your capital and may result in losses that exceed your deposits due to leverage. It’s important to understand how CFDs work and assess whether you can afford the high risk of losing your money. When acquiring our derivative products, you do not own or have rights in the underlying assets. Past performance is not indicative of future results. The information on this website is general and does not take into account your personal objectives, financial circumstances, or needs. Seek independent advice from qualified experts if necessary, and ensure you fully understand the risks before making any trading decisions.
WFICM Markets Ltd is authorized and regulated by the Saint Vincent and Grenadines under License No. GB23202672, with registered address at Kingstown Ferry Terminal, Bay Street Kingston Kingstown ferry terminal VC, St. Vincent and Grenadines.
The information on this website is not intended for residents of certain jurisdictions, including the United States, Singapore, Australia, China, and jurisdictions listed on the FATF and EU/UN sanctions lists. It is not intended for distribution or use where such distribution or use would be contrary to local law or regulation. While the Authority has granted a securities or derivatives investment business licence to the Licensee, it does not endorse the products offered.
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