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Office: 63 Chulia Street, OCBC Centre East, #15-01, Singapore, 049514
Main contacts:
[email protected]-Technical supports and inquiries
[email protected]-Free online reputation consulting services
[email protected]-Sales inquiries
Business Hours: Mon. - Fri. (11.00-19.00)
Time zone (Singapore)
DMCA.com Protection Status
Copyright © TrustFinance 2026 | V.2.0

TrustFinance is not a licensed financial advisor and is not affiliated with any financial institutions in your region. Please do your own research before investing.

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Alpha Management Limited

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United Arab Emirates

Founded in

2007 (19 Years)

Founded

Last online: No recent activity

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FTD LIMITED

FTD LIMITED

(505 reviews)

foundedInBritish Virgin Islands

2017

(9 years)

Security Information :

BVI FSC

Security Information

Warning

This company is currently Unproved.

Please be cautious of the potential risks!

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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.

Company Information

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Get to know Alpha Management Limited

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Company Information

Get to know Alpha Management Limited

Founded in 2009, Alpha Management Limited is a management company licensed and regulated by the Financial Services Commission (FSC) of Mauritius. The company specializes in creating, managing, and administering cross-border investment structures for a diverse clientele, including institutional investors, fund managers, and high-net-worth individuals. Its core mission is to provide bespoke, flexible, and efficient solutions in corporate structuring, fund administration, and private wealth management, leveraging Mauritius's position as an international financial center.

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Get to know Alpha Management Limited

Founded in 2009, Alpha Management Limited is a management company licensed and regulated by the Financial Services Commission (FSC) of Mauritius. The company specializes in creating, managing, and administering cross-border investment structures for a diverse clientele, including institutional investors, fund managers, and high-net-worth individuals. Its core mission is to provide bespoke, flexible, and efficient solutions in corporate structuring, fund administration, and private wealth management, leveraging Mauritius's position as an international financial center.

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  • Financial Legal ServicePRIMARY
  • Financial Investment
  • Financial Other Service

Software

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TrustFinance Intelligence Agency

Research date: Jun 28, 2026

Waton Financial Limited has launched MoTA Alpha, marking a strategic shift towards AI-native finance. The announcement was made via Quantisnow, a platform providing real-time market data and news for retail investors. Users can track Waton Financial and receive alerts on various financial activities, including SEC filings and press releases. Quantisnow offers a customizable feed for monitoring market movements.

Waton Financial Limited has launched MoTA Alpha, marking a strategic shift towards AI-native finance. The announcement was made via Quantisnow, a platform providing real-time market data and news for retail investors. Users can track Waton Financial and receive alerts on various financial activities, including SEC filings and press releases. Quantisnow offers a customizable feed for monitoring market movements.

AlphaSense is an AI-driven platform designed for financial analysis that integrates premium external content with internal enterprise knowledge. It provides comprehensive financial data, expert insights, and tools for efficient research and decision-making. Key features include access to curated datasets, AI-powered search and summarization, customizable dashboards, and collaboration tools. The platform is recognized for its innovative approach and has been validated as a leader in the competitive and market intelligence space.

AlphaSense is an AI-driven platform designed for financial analysis that integrates premium external content with internal enterprise knowledge. It provides comprehensive financial data, expert insights, and tools for efficient research and decision-making. Key features include access to curated datasets, AI-powered search and summarization, customizable dashboards, and collaboration tools. The platform is recognized for its innovative approach and has been validated as a leader in the competitive and market intelligence space.

Hub International Ltd. has been valued at $29 billion following a $1.6 billion equity investment led by T. Rowe Price, Alpha Wave Global, and Temasek Holdings. This valuation marks a significant increase from $4.4 billion in 2013. Hub, which provides employee and retirement benefits, has seen its revenue grow from $1.1 billion in 2013 to $4.9 billion in 2024. The investment will help Hub with growth initiatives and maintaining liquidity for current shareholders. The private equity interest in insurance brokers is attributed to rising insurance premiums and revenue growth, although the number of private equity deals has declined recently.

Hub International Ltd. has been valued at $29 billion following a $1.6 billion equity investment led by T. Rowe Price, Alpha Wave Global, and Temasek Holdings. This valuation marks a significant increase from $4.4 billion in 2013. Hub, which provides employee and retirement benefits, has seen its revenue grow from $1.1 billion in 2013 to $4.9 billion in 2024. The investment will help Hub with growth initiatives and maintaining liquidity for current shareholders. The private equity interest in insurance brokers is attributed to rising insurance premiums and revenue growth, although the number of private equity deals has declined recently.

BlackRock has introduced AlphaAgents, a multi-agent framework designed to enhance equity portfolio construction through collaborative reasoning and decision-making. The framework employs specialized agents for fundamental analysis, sentiment evaluation, and valuation assessment, each utilizing distinct tools and methodologies to mitigate cognitive biases and improve investment outcomes. The system architecture allows for role-specific prompting and coordination among agents, enabling a debate mechanism to reach consensus on stock selections. AlphaAgents also integrates risk tolerance modeling to tailor portfolio construction according to varying investor profiles. Evaluation metrics reveal that multi-agent collaboration can outperform traditional methods, especially in risk-neutral scenarios.

BlackRock has introduced AlphaAgents, a multi-agent framework designed to enhance equity portfolio construction through collaborative reasoning and decision-making. The framework employs specialized agents for fundamental analysis, sentiment evaluation, and valuation assessment, each utilizing distinct tools and methodologies to mitigate cognitive biases and improve investment outcomes. The system architecture allows for role-specific prompting and coordination among agents, enabling a debate mechanism to reach consensus on stock selections. AlphaAgents also integrates risk tolerance modeling to tailor portfolio construction according to varying investor profiles. Evaluation metrics reveal that multi-agent collaboration can outperform traditional methods, especially in risk-neutral scenarios.

The Investment Management Update from Skadden, Arps, Slate, Meagher & Flom LLP discusses regulatory developments from Q3 2023 affecting the investment management sector. Key topics include the SEC's adoption of amendments to the Fund Names Rule, Beneficial Ownership Reporting Rules, and enforcement actions against firms for misleading advertisements and recordkeeping failures. The amendments to the Fund Names Rule require stricter compliance for fund names suggesting investment focus, while the Beneficial Ownership Amendments accelerate reporting deadlines for significant ownership changes. The SEC also highlighted its focus on compliance and recordkeeping, particularly with the use of off-channel communications by broker-dealers. Additionally, the update outlines the SEC's proposed rules addressing conflicts of interest related to predictive data analytics and new requirements for investment advisers operating online. Finally, the SEC's Division of Examinations announced its priorities for 2024, emphasizing adherence to fiduciary duties and compliance programs for investment advisers.

The Investment Management Update from Skadden, Arps, Slate, Meagher & Flom LLP discusses regulatory developments from Q3 2023 affecting the investment management sector. Key topics include the SEC's adoption of amendments to the Fund Names Rule, Beneficial Ownership Reporting Rules, and enforcement actions against firms for misleading advertisements and recordkeeping failures. The amendments to the Fund Names Rule require stricter compliance for fund names suggesting investment focus, while the Beneficial Ownership Amendments accelerate reporting deadlines for significant ownership changes. The SEC also highlighted its focus on compliance and recordkeeping, particularly with the use of off-channel communications by broker-dealers. Additionally, the update outlines the SEC's proposed rules addressing conflicts of interest related to predictive data analytics and new requirements for investment advisers operating online. Finally, the SEC's Division of Examinations announced its priorities for 2024, emphasizing adherence to fiduciary duties and compliance programs for investment advisers.

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