Trading complex financial instruments requires knowledge and understanding. Prices may fluctuate and render securities valueless; losses may exceed potential profits, be unlimited, and exceed deposited amounts.

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Legal documents

This section brings together every document you need to review before trading with us. Please take the time to read each one carefully; they set out the terms of our relationship and the way we conduct business.

Why these documents matter

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Clarity & transparency

They explain our services, charges, and how your funds are protected.

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Regulatory compliance

They reflect the rules under which we are licensed in Seychelles by the FSA.

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Informed decision‑making

Understanding the risks and obligations helps you trade with confidence.

Client agreement

Outlines the complete terms of our relationship, including order execution, client funds management, and all mandatory risk disclosures.

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Client agreement

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Order execution policy

Describes how we execute and handle your orders, including the factors we consider to achieve best execution and how different market conditions and instructions may affect order processing.

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Order execution policy

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Conflict of interests prevention policy

Explains how we collect and use your personal data, in line with applicable data protection laws.

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Conflict of interests prevention policy

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General risk disclosure

Provides an overview of the general risks involved in trading financial instruments, including market, technical and leverage risks, and acknowledges that you understand these before trading.

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General risk disclosure

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Client's privacy policy

Explains how we collect, use, store, protect and share your personal data, and your rights regarding the privacy and security of that information.

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Client's privacy policy

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Terms of personal data processing

Outlines how and why we process your personal data, your rights under applicable data protection laws, and the legal basis for handling that information.

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Terms of personal data processing

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Client’s complaints or grievances procedures

Explains how you can submit a complaint or grievance, the process we follow to investigate and respond, and the expected timelines for resolution.

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Client’s complaints or grievances procedures

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Affiliate agreement

Sets out the terms of our partnership program, outlining partners’ rights, responsibilities, commission and settlement procedures, and how the relationship works.

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Affiliate agreement

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Regulation in Seychelles

RoboMarkets Global Ltd, a financial brokerage company regulated by the Financial Services Authority (FSA) in Seychelles, license No. SD048.

Registered address: CT House, Office 9A, Providence, Mahe, Seychelles