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辦公室: 63 Chulia Street, OCBC Centre East, #15-01, Singapore, 049514
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辦公室: 63 Chulia Street, OCBC Centre East, #15-01, Singapore, 049514
主要聯繫方式:
[email protected]-技術支援和諮詢
[email protected]-免費在線聲譽諮詢服務
[email protected]-銷售諮詢
營業時間:週一至週五 (11:00-19:00)
時區(新加坡)
DMCA.com Protection Status
版權所有 © TrustFinance 2026 | V.2.0

TrustFinance 不是持牌金融顧問,也與您所在地區的任何金融機構無關聯。投資前請自行研究。

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Alpina Group

不適用

成立於

2021 (5 年)

成立

最後上線: 最近無活動

索償公司訪問網站

暫無 TrustScore分數不足,無法顯示趨勢。

成為首個為該公司評分與評論的使用者。

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暫無 TrustScore分數不足,無法顯示趨勢。

成為首個為該公司評分與評論的使用者。

TrustFinance 不是持牌金融顧問,也與您所在地區的任何金融機構無關聯。我們鼓勵您在做出任何投資決定前自行研究。

Markets.com

Markets.com

(326 評論)

foundedInUnited States

2008

(18 年)

安全資訊 :

FSCA

安全資訊

警告

該公司目前 未經證實.

請注意潛在風險!

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牌照

甲級牌照

由全球知名監管機構頒發,這些許可證透過嚴格的合規性、資金隔離、保險和定期審計,確保最高程度的交易者保護。爭議解決和遵守 AML/CTF 標準進一步提高了安全性。

B 級牌照

由受尊敬的區域監管機構授予,這些許可證提供強大的安全措施,例如資金隔離、財務報告和補償計劃。雖然沒有等級 1 那麼嚴格,但它們提供可靠的區域保護。

C 級牌照

由新興市場的監管機構頒發,這些許可證提供基本保護,例如最低資本要求和 AML 政策。監管較不嚴格,因此交易者應謹慎行事並驗證安全措施。

D 級牌照

來自監管最少的司法管轄區,這些許可證通常缺乏關鍵保護,例如資金隔離和保險。雖然它們對營運彈性很有吸引力,但它們對交易者構成較高的風險。

TrustFinance 不是持牌金融顧問,也與您所在地區的任何金融機構無關聯。我們鼓勵您在做出任何投資決定前自行研究。

公司資料

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公司資料

了解 Alpina Group

Alpina Group positions itself as an international online broker providing access to financial markets for traders globally. The company offers Contracts for Difference (CFDs) on various asset classes such as forex, indices, stocks, and commodities through its proprietary trading platform. Its stated mission is to provide clients with a secure and user-friendly trading environment, competitive conditions, and dedicated support. Despite its active operations, the company has been flagged by several European financial regulators for operating without the required authorizations.

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行業

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了解 Alpina Group

Alpina Group positions itself as an international online broker providing access to financial markets for traders globally. The company offers Contracts for Difference (CFDs) on various asset classes such as forex, indices, stocks, and commodities through its proprietary trading platform. Its stated mission is to provide clients with a secure and user-friendly trading environment, competitive conditions, and dedicated support. Despite its active operations, the company has been flagged by several European financial regulators for operating without the required authorizations.

行業

  • 外匯 零售經紀主要
  • 財務 保險
  • 財務 其他服務

軟件

無可用數據

呢個部分好似係空嘅。 快啲返嚟睇更新!

聯絡

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Alpina Group 評論

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IUX

88
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XM

84
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FXGT

23
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Deriv

71
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Exness

69
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IUX

88
building-icon

XM

84
building-icon

FXGT

23
building-icon

Deriv

71
building-icon

Exness

69

新聞

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TrustFinance 情報機構

研究日期: Th06 28, 2026

Rapid7's case study highlights how Alpina Group, a Dutch insurance technology firm, improved its cybersecurity posture by implementing Rapid7's InsightVM for vulnerability management and InsightIDR for threat detection. The company's security officer, Joost Dubbelman, aimed to enhance visibility and reduce risks as the organization expanded. The tools provided extensive scan results and effective reporting features, enabling better risk management and proactive threat detection. Dubbelman noted that the integration of these solutions saved time and resources compared to their previous SIEM platform, allowing for a more streamlined security operation.

Rapid7's case study highlights how Alpina Group, a Dutch insurance technology firm, improved its cybersecurity posture by implementing Rapid7's InsightVM for vulnerability management and InsightIDR for threat detection. The company's security officer, Joost Dubbelman, aimed to enhance visibility and reduce risks as the organization expanded. The tools provided extensive scan results and effective reporting features, enabling better risk management and proactive threat detection. Dubbelman noted that the integration of these solutions saved time and resources compared to their previous SIEM platform, allowing for a more streamlined security operation.

The legal battle between Alpine Securities Corp. and the Financial Industry Regulatory Authority (Finra) continues as Finra seeks to finalize the expulsion of the firm due to violations of industry rules, including egregious misconduct and unauthorized transactions. Alpine Securities is appealing the decision while also challenging Finra's authority in federal court. The National Adjudicatory Council (NAC) upheld the expulsion but stayed the decision pending a review by the SEC. The case highlights ongoing tensions between regulatory authority and the financial industry, particularly under the current administration's deregulatory stance.

The legal battle between Alpine Securities Corp. and the Financial Industry Regulatory Authority (Finra) continues as Finra seeks to finalize the expulsion of the firm due to violations of industry rules, including egregious misconduct and unauthorized transactions. Alpine Securities is appealing the decision while also challenging Finra's authority in federal court. The National Adjudicatory Council (NAC) upheld the expulsion but stayed the decision pending a review by the SEC. The case highlights ongoing tensions between regulatory authority and the financial industry, particularly under the current administration's deregulatory stance.

Alpine Securities is appealing a ban from the Financial Industry Regulatory Authority (Finra) after allegedly increasing customer fees by 60,000% and violating orders multiple times. The firm argues that Finra operates like a government agency without constitutional oversight. The case could have significant implications for self-regulatory organizations (SROs) in the U.S., potentially affecting their authority and the financial markets. Other brokers are also using Alpine's case to contest Finra's actions against them. The Supreme Court may need to address these challenges to SROs' powers, which are seen as vital for market oversight.

Alpine Securities is appealing a ban from the Financial Industry Regulatory Authority (Finra) after allegedly increasing customer fees by 60,000% and violating orders multiple times. The firm argues that Finra operates like a government agency without constitutional oversight. The case could have significant implications for self-regulatory organizations (SROs) in the U.S., potentially affecting their authority and the financial markets. Other brokers are also using Alpine's case to contest Finra's actions against them. The Supreme Court may need to address these challenges to SROs' powers, which are seen as vital for market oversight.

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