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The Professional trading account has strict qualifying criteria. If you consider yourself a professional trader, our Professional Account could be the right choice for you.
ESMA (the European Securities and Marketing Authority) imposed a number of restrictions in 2018, designed to protect retail clients.
When classed as a professional you automatically forgo these safeguards afforded to retail clients.
Once you’ve opened a Professional account the leverage you can use increases and the margins to open and hold positions can reduce.
To qualify as a professional trader, you will need to provide evidence that you meet two of the following three criteria:
Applying for our professional trader account is a straightforward process. You’ll follow a similar path toopening any other account. Once we have your application, we’ll turn it around as quickly as possible.
Opening the Professional account requires careful consideration. In this FAQ section, we’ve answered a few of the most common questions our clients raise before they commit to opening their account.
You need to satisfy the criteria laid out in the application process. It’s strict, but this is in order to protect you and your funds, because there are more risks associated with the Professional account.
Make sure you understand both the risks and rewards of a Professional account . There are features which can potentially impact on your trading outcomes.
If you’re not eligible for a professional trading account, we’ll let you know ASAP. But don’t be concerned, our Edge and Premium accounts are retail alternatives. Both offer some of the same features and benefits the Professional account has.
If you currently have an VYNTOR trading account we’ll process your pro-account request ASAP. However, there are no exceptions to the conditions required to open the Professional account. You still have to satisfy the criteria laid out in the application process.
ESMA, the European Securities and Marketing Authority, is an independent EU Authority that contributes to safeguarding the stability of the European Union’s financial system. It does this by protecting investors and promoting stable and orderly financial markets.
In 2018, ESMA put in place a framework to protect and safeguard retail CFD traders. Their primary areas of focus were leverage, margin and negative balances. These three concepts form the bedrock of the protection ESMA has put in place.
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Legal Statement: Vyntor Global Group Ltd is a company registered in the United States. It has completed registration and filing with relevant financial regulatory agencies in the United States and has the following compliance qualifications:
Registered with the U.S. Securities and Exchange Commission (SEC), registration number: 0002070907
Registered as a Money Services Business (MSB) with the U.S. Treasury Department’s Financial Crimes Enforcement Network (FinCEN) with registration number: 31000300306142
Registered address: 1312 17th St #2199, Denver, OH, United States, Ohio
Risk Disclosure Statement
Contracts for Difference (CFD) are complex financial products that involve leverage and can result in a rapid loss of capital. Based on historical data, the majority of retail investor accounts lose money when trading CFDs.
Before deciding whether to participate in such transactions, investors should fully understand how they work and carefully assess whether they can bear the potential high risks based on their own financial situation. For more information, please refer to the full risk disclosure policy listed on pages 42 to 45 of the Standard Terms of Business.
Service Compliance Statement (International)
In accordance with local laws and regulations of each country, the promotion, marketing and customer acquisition activities of Vyntor Global Group Ltd's financial products and services may only be carried out by financial entities authorized by the relevant regulatory authorities in the target country or region, or their registered agents in accordance with the law. Before using the company's services, customers should ensure that their location allows access to and use of relevant financial services.
About VYNTOR Brand
VYNTOR is an international business brand used by multiple compliant financial institutions. The relevant entities include:
Vyntor Global Group Ltd
Authorized and regulated by the U.S. Securities and Exchange Commission (SEC)
Registration number: 0002070907
Registered address: 1312 17th St #2199, Denver, OH, United States, Ohio
Vyntor Global Markets (CY) Ltd
Regulated by the Cyprus Securities and Exchange Commission (CySEC)
License number: 285/15
Registered address: Maryvonne Building, Limassol, Cyprus
Vyntor Global Group Ltd (Finland Representative Office)
Regulated by the Finnish Securities Market Supervisory Authority (CySEC)
License number: 285/15
Registered address: Maryvonne Building, Limassol, Cyprus
Vyntor Global Group Ltd (Mauritius)
Regulated by the Mauritius Financial Services Commission (FSC)
License Number: C118023331
Registered address: The Catalyst Building, Ebène, Mauritius
VYNTOR MENA Financial Services LLC
Regulated by the Securities and Commodities Authority (SCA) of the UAE
License number: 20200000078
Emerging Markets
Acting as the agent of Vyntor Global Group Ltd in the Hashemite Kingdom
Regulated by the JSC
Agent License Number: 643
Vyntor Global Group Ltd (Saint Vincent and the Grenadines)
Register as a limited liability company
Company ID: 333 LLC 2020
Registered Address: Euro House Building, Kingstown, St. Vincent and the Grenadines
Vyntor Global Group Ltd (Spain Representative Office)
Office address: Spaces Río, Calle Manzanares 4, Madrid, Spain
Scope of application statement
The information contained in this website is not intended for residents of the United States, Belgium, the United Kingdom or other countries or regions where the dissemination of relevant information is prohibited by law or regulation. Before using the information or services provided by this website, users must confirm whether the access and use of such content is permitted in their jurisdiction.
VYNTOR UK (AT Global Markets (UK) Ltd.) focuses on developing institutional business and professional investors and does not accept retail clients under its UK Financial Conduct Authority (FCA) license.
For professional client applications, please contact [email protected] .
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Restrictions on Use
Restrictions on Use
Products and Services on this website are not suitable for the UK residents. Such information and materials should not be regarded as or constitute a distribution, an offer, or a solicitation to buy or sell any investments. Please visit /en/ to proceed.
Restrictions on Use
Products and Services on this website are not suitable for the UK residents. Such information and materials should not be regarded as or constitute a distribution, an offer, or a solicitation to buy or sell any investments. Please visit /en/ to proceed.
Restrictions on Use
Products and Services on this website are not available for Hong Kong investors and not related to any corporation licensed by the Securities and Futures Commission in Hong Kong.
All the information and materials posted on this website should not be regarded as or constitute a distribution, an offer, solicitation to buy or sell any investments.
使用限制:本網站的產品及服務不適用於香港投資者及與任何香港證監會持牌公司無關。
網站內部的信息和素材不應被視為分銷,要約,買入或賣出任何投資產品。
Restrictions on Use
AT Global Markets (UK) Limited does not offer trading services to retail clients.
If you are a professional client, please visit
https://www.vyntor.com/