XM operates under strict regulatory oversight from multiple top-tier financial authorities worldwide. We maintain the highest standards of compliance, transparency, and client protection.
Authorized and regulated by leading financial authorities
Cyprus
Cyprus Securities and Exchange Commission
Regulated by CySEC, one of the most respected financial regulators in Europe. CySEC ensures compliance with MiFID II directives and provides comprehensive investor protection.
Australia
Australian Securities and Investments Commission
Licensed by ASIC, Australia's premier financial regulator known for stringent standards and robust consumer protection frameworks.
Belize
Financial Services Commission
Authorized by the FSC Belize, providing regulatory oversight for international financial services with focus on transparency and client protection.
Belize
International Financial Services Commission
Regulated by IFSC for international financial services, ensuring adherence to global best practices in financial regulation.
Multiple layers of security to protect your investments
Client funds are held in segregated bank accounts, completely separate from company operational funds, ensuring your money is protected.
You can never lose more than your account balance. Our negative balance protection ensures you're protected from market volatility.
Eligible clients are covered by investor compensation schemes up to €20,000 under CySEC regulation.
Independent audits by leading accounting firms ensure compliance with regulatory requirements and financial transparency.
Bank-grade encryption and advanced security protocols protect your personal information and trading data.
Access to independent dispute resolution services and regulatory complaint procedures for fair treatment.
Adhering to international regulatory frameworks
Strict AML policies and procedures to prevent financial crimes and ensure legitimate trading activities.
Comprehensive identity verification processes to protect clients and maintain regulatory compliance.
Full compliance with Markets in Financial Instruments Directive for enhanced investor protection.
Adherence to GDPR and international data protection standards to safeguard client privacy.
Our commitment to regulation and compliance has earned the trust of millions of traders globally.
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