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United Kingdom
2005 (21 Years)
Last online: No recent activity
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TrustFinance is not a licensed financial advisor and is not affiliated with any financial institutions in your region. We encourage you to do your own research before making any investment decisions.
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This company is currently Unproved.
Please be cautious of the potential risks!
License
A Grade License
Issued by globally renowned regulators, these licenses ensure the highest trader protection through strict compliance, fund segregation, insurance, and regular audits. Dispute resolution and adherence to AML/CTF standards further enhance security.
B Grade License
Granted by respected regional regulators, these licenses offer robust safety measures such as fund segregation, financial reporting, and compensation schemes. Though slightly less strict than Tier 1, they provide dependable regional protection.
C Grade License
Issued by regulators in emerging markets, these licenses offer basic protections such as minimum capital requirements and AML policies. Oversight is less stringent, so traders should exercise caution and verify safety measures.
D Grade License
From jurisdictions with minimal oversight, these licenses often lack key protections like fund segregation and insurance. While attractive for operational flexibility, they pose higher risks to traders.
TrustFinance is not a licensed financial advisor and is not affiliated with any financial institutions in your region. We encourage you to do your own research before making any investment decisions.
Get to know duff & phelps, compliance and regulatory consulting practice
Company Information
Get to know duff & phelps, compliance and regulatory consulting practice
Originally known as Duff & Phelps, the company rebranded to Kroll in 2021 to unify its diverse services under a single corporate identity. The Compliance and Regulatory Consulting practice is a key service line within Kroll's Financial Services Compliance and Regulation division. It specializes in helping firms across the financial sector—including asset management, brokerage, and banking—to meet their regulatory obligations, manage compliance risks, and respond to regulatory inquiries. With a history rooted in expert valuation and corporate finance, the practice now leverages a global team of former regulators and compliance professionals to offer solutions ranging from regulatory authorization and outsourced compliance to risk management and response to regulatory enforcement.
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