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TrustFinance adalah informasi yang dapat dipercaya dan akurat yang dapat Anda andalkan. Jika Anda mencari informasi bisnis keuangan, ini adalah tempatnya. Sumber informasi bisnis keuangan yang lengkap. Prioritas kami adalah keandalan.

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Kantor: 63 Chulia Street, OCBC Centre East, #15-01, Singapore, 049514
Kontak utama:
[email protected]-Dukungan teknis dan pertanyaan
[email protected]-Layanan konsultasi reputasi online gratis
[email protected]-Pertanyaan penjualan
Jam Kerja: Sen. - Jum. (11.00-19.00)
Zona waktu (Singapura)
DMCA.com Protection Status
Hak Cipta © TrustFinance 2022 | V.2.0

TrustFinance adalah informasi yang dapat dipercaya dan akurat yang dapat Anda andalkan. Jika Anda mencari informasi bisnis keuangan, ini adalah tempatnya. Sumber informasi bisnis keuangan yang lengkap. Prioritas kami adalah keandalan.

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navigate nextPialang Ritelnavigate next AGM Financial Services Group Pty Ltd

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LAYANAN INI TIDAK TERSEDIA DI WILAYAH ANDA
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AGM Financial Services Group Pty Ltd

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Afrika Selatan

Didirikan

1994 (32 Tahun)

Ditemukan

Terakhir online: Tidak ada aktivitas terbaru

Kunjungi Situs Web

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SKOR KESELURUHAN
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FTD LIMITED

FTD LIMITED

(505 ulasan)

foundedInBritish Virgin Islands

2017

(9 tahun)

Informasi Keamanan :

BVI FSC

Informasi Keamanan

Peringatan

Perusahaan ini saat ini Belum Terbukti.

Harap berhati-hati terhadap potensi risiko!

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Lisensi

Lisensi Kelas A

Dikeluarkan oleh regulator terkenal secara global, lisensi ini memastikan perlindungan pedagang tertinggi melalui kepatuhan yang ketat, pemisahan dana, asuransi, dan audit rutin. Penyelesaian sengketa dan kepatuhan terhadap standar AML/CTF semakin meningkatkan keamanan.

Lisensi Kelas B

Diberikan oleh regulator regional yang dihormati, lisensi ini menawarkan langkah-langkah keamanan yang kuat seperti pemisahan dana, pelaporan keuangan, dan skema kompensasi. Meskipun sedikit kurang ketat daripada Tingkat 1, lisensi ini memberikan perlindungan regional yang dapat diandalkan.

Lisensi Kelas C

Dikeluarkan oleh regulator di pasar negara berkembang, lisensi ini menawarkan perlindungan dasar seperti persyaratan modal minimum dan kebijakan AML. Pengawasan kurang ketat, sehingga pedagang harus berhati-hati dan memverifikasi langkah-langkah keamanan.

Lisensi Kelas D

Dari yurisdiksi dengan pengawasan minimal, lisensi ini seringkali tidak memiliki perlindungan utama seperti pemisahan dana dan asuransi. Meskipun menarik untuk fleksibilitas operasional, lisensi ini menimbulkan risiko yang lebih tinggi bagi pedagang.

Informasi Perusahaan

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Mengenal AGM Financial Services Group Pty Ltd

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Informasi Perusahaan

Mengenal AGM Financial Services Group Pty Ltd

AGM Financial Services Group Pty Ltd, operating under the brand name AGM Markets, is a financial services company specializing in online trading for retail and institutional clients. Established to provide a comprehensive trading experience, the company offers access to a wide range of financial instruments, including Forex, indices, precious metals, and commodities, through Contracts for Difference (CFDs). Regulated by the Australian Securities and Investments Commission (ASIC), AGM Markets emphasizes providing a secure, transparent, and technologically advanced trading environment, utilizing popular platforms like MetaTrader 4.

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Berita

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TrustFinance Badan Intelijen

Tanggal penelitian: Apr 28, 2026

The Australian Securities and Investments Commission (ASIC) has permanently banned Jason Damien Prasad, a former insurance broker, following his conviction for fraud-related offences. Prasad received a 16-month prison sentence and was ordered to pay a total of $16,175.25 in fines and compensation for using fraudulent insurance documents. The ban prohibits him from providing financial services or engaging in credit activities and has been added to ASIC's banned register. Separately, ASIC is consulting on updates to financial reporting relief instruments, with feedback accepted until August 1.

The Australian Securities and Investments Commission (ASIC) has permanently banned Jason Damien Prasad, a former insurance broker, following his conviction for fraud-related offences. Prasad received a 16-month prison sentence and was ordered to pay a total of $16,175.25 in fines and compensation for using fraudulent insurance documents. The ban prohibits him from providing financial services or engaging in credit activities and has been added to ASIC's banned register. Separately, ASIC is consulting on updates to financial reporting relief instruments, with feedback accepted until August 1.

3D Investment Partners has issued an open letter to shareholders of Sapporo Holdings urging them to vote for the appointment of Paul Brough to the board, highlighting concerns over the company's governance and past mismanagement. They emphasize the need for enhanced oversight and capital allocation discipline, especially as Sapporo plans to divest real estate and reinvest the proceeds. Both ISS and Glass Lewis support the proposed board changes, citing the necessity for improved governance and strategic execution. The letter calls for shareholders to vote before the March 27 deadline.

3D Investment Partners has issued an open letter to shareholders of Sapporo Holdings urging them to vote for the appointment of Paul Brough to the board, highlighting concerns over the company's governance and past mismanagement. They emphasize the need for enhanced oversight and capital allocation discipline, especially as Sapporo plans to divest real estate and reinvest the proceeds. Both ISS and Glass Lewis support the proposed board changes, citing the necessity for improved governance and strategic execution. The letter calls for shareholders to vote before the March 27 deadline.

The content provides a detailed overview of executive moves in global wealth management as of November 2019, highlighting various appointments and promotions across major financial institutions and regions, including the UK, Europe, Asia-Pacific, and North America. Key highlights include leadership changes at firms like Deutsche Bank, GAM Holding, and Quilter Investors, as well as new hires across various roles in wealth management, compliance, and investment strategies. The article emphasizes the evolving landscape of wealth management with a focus on strategic hires and leadership changes aimed at enhancing client services and operational efficiency.

The content provides a detailed overview of executive moves in global wealth management as of November 2019, highlighting various appointments and promotions across major financial institutions and regions, including the UK, Europe, Asia-Pacific, and North America. Key highlights include leadership changes at firms like Deutsche Bank, GAM Holding, and Quilter Investors, as well as new hires across various roles in wealth management, compliance, and investment strategies. The article emphasizes the evolving landscape of wealth management with a focus on strategic hires and leadership changes aimed at enhancing client services and operational efficiency.

The Australian financial regulator ASIC has cancelled the AFS license of retail OTC derivatives issuer XTrade due to serious breaches of financial services laws, including unconscionable conduct and failure to protect vulnerable clients. XTrade's license was revoked after it was found that the company encouraged clients to trade CFDs without proper guidance, leading to significant losses. XTrade has applied for a review of this decision, but the license remains cancelled until the review is concluded. ASIC has been actively pursuing enforcement actions against various retail OTC derivative issuers to protect consumers.

The Australian financial regulator ASIC has cancelled the AFS license of retail OTC derivatives issuer XTrade due to serious breaches of financial services laws, including unconscionable conduct and failure to protect vulnerable clients. XTrade's license was revoked after it was found that the company encouraged clients to trade CFDs without proper guidance, leading to significant losses. XTrade has applied for a review of this decision, but the license remains cancelled until the review is concluded. ASIC has been actively pursuing enforcement actions against various retail OTC derivative issuers to protect consumers.

The article investigates a network of brokers in Australia, particularly focusing on Aviv Talmor and Yossi Herzog, who have allegedly scammed customers out of millions through high-risk financial products like contracts for difference (CFDs) and binary options. Despite being licensed by the Australian Securities and Investments Commission (ASIC), these brokers engaged in fraudulent activities, leading to significant financial losses for Australian consumers. The investigation highlights the weak regulatory oversight by ASIC and the challenges faced by victims in recovering their funds. It also points out that many brokers operated with little consequence, contributing to a culture of exploitation in the financial derivatives market.

The article investigates a network of brokers in Australia, particularly focusing on Aviv Talmor and Yossi Herzog, who have allegedly scammed customers out of millions through high-risk financial products like contracts for difference (CFDs) and binary options. Despite being licensed by the Australian Securities and Investments Commission (ASIC), these brokers engaged in fraudulent activities, leading to significant financial losses for Australian consumers. The investigation highlights the weak regulatory oversight by ASIC and the challenges faced by victims in recovering their funds. It also points out that many brokers operated with little consequence, contributing to a culture of exploitation in the financial derivatives market.

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