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Welcome to Wikilix

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In-depth Analysis

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Cyprus Securities and Exchange Commission  official logo

Cyprus Securities and Exchange Commission

Country
Cyprus
Jurisdiction
Government Reg.
Established in
2001
Forex Regulation

Performance Metrics

Regulator Performance Overview

License Value
80%Excellent
Regulatory Framework
80%Excellent
Institutional Strength
80%Excellent
Risk Management
80%Excellent
Overall Performance:Excellent (83.3%)
84
Overall Rating
216
Licensed Brokers
High
Transparency Index
Tier 2
Global Tier
IOSCO Member
FATF Member

Key Performance Indicators

Total Rating

500

Total cumulative score across all categories
Average Rating

84

Average score across all performance metrics
Years Active

24

Years of regulatory operation
Active Licenses

216

Currently active licenses
Regulated Instruments

8

Types of financial instruments
Geographical Coverage

1

Countries under jurisdiction

Client Protection Details

Client Fund Insurance

Insurance coverage protecting client deposits and funds

✓
Status:Up to €20000 (ICF)
Coverage: Up to €20000 (ICF)

Account Managed Separately

Requirement for client funds to be held separately from company funds

✓
Status:Required

Negative Balance Protection

Protection against negative account balances in trading

✓
Status:Supported

Investment Professional Support

Access to qualified investment professionals and advisory services

✓
Status:Available

Operational Metrics

compliance
Transparency Level

High

market
Market Position

Tier 2

regulatory
Regulatory Approach

Government-regulated

Coverage
Prohibited Countries

USA - North Korea - Iran - other sanctioned countries

Compliance Status

IOSCO Membership
Member of International Organization of Securities Commissions
✓ Compliant
FATF Membership
Financial Action Task Force compliance
✓ Compliant
Fund Insurance
Client fund protection schemes available
✓ Compliant
Account Managed Separately
Mandatory client account segregation
✓ Compliant

Regulatory Performance Scores

Detailed assessment of regulatory capabilities and effectiveness

Good
83SCORE
Overall Rating
1
Excellent
17
Excellence Rate
100
Highest Score
6
Above Average

Regulatory Support Features

Negative Balance Protection
Supported
Investment Professional
Supported
Account Managed Separately
Supported

Core Performance Metrics

Detailed breakdown of the 6 key regulatory performance indicators

License Value

Value and prestige of licenses issued by this regulator

80
out of 100
Good
Regulatory

Effectiveness of regulatory framework and enforcement

80
out of 100
Good
Institutional

Institutional strength and organizational capability

80
out of 100
Good
Risk Management

Risk assessment and management protocols

80
out of 100
Good
Investment Protection

Investor protection measures and safeguards

80
out of 100
Good
Client Fund Insurance Rating

Client fund protection and insurance coverage

100
out of 100
Excellent

Performance Summary

This regulator shows good performance with an overall score of 84.

Strongest performance in Client Fund Insurance Rating

Transparency Level: high

Global Tier: tier2

IOSCO Member
FATF Member
84
Overall

Licensed Brokers

Brokers authorized and regulated by this authority

0 Licensed Brokers

No brokers found

Try adjusting your search or filter criteria

About Cyprus Securities and Exchange Commission

The Cyprus Securities and Exchange Commission (CySEC) is an independent public supervisory authority with a crucial role in regulating, supervising, and developing the financial markets in the Republic of Cyprus.

Established in 2001 pursuant to Section 5 of the Securities and Exchange Commission (Establishment and Responsibilities) Law as a public legal entity with the explicit objective to ensure transparency, protect investors, and provide healthy capital market functionality.

CySEC has become an increasingly fundamental part of the financial ecosystem in Cyprus, serving as a key regulatory authority for various economic entities, including investment firms, asset managers, fund operators, and brokers.

Additionally, due to Cyprus's geographical location, CySEC has also become a pivot point for international investors to reach European, Asian, and Middle Eastern markets.

Mission and Vision

CySEC has a straightforward mission:

"To exercise effective supervision to protect investors and foster the dissemination of information for the healthy development of the securities market".

CySEC aims to ensure transparency, reliability, and security in all investment environments, thereby fostering trust among investors and other market participants.

The long-term vision is to create a safer, more competitive, and more attractive investment environment for Cyprus, positioning it as one of the safest investment locations in Europe.

To achieve the objectives of its regulatory purpose, CySEC regularly updates its regulatory framework to align with international standards and best practices, and continues to adapt to the fast-paced dynamics of the financial industry.

Core Values

CySEC is rooted in a set of core values that inform its directions relating to governance and regulation:

• Effectiveness – Utilising compelling, coherent, and timely supervision across all financial services

• Integrity and Trustworthiness – Committing to the highest principles of honesty and professionalism

• Transparency – Being clear in the laws, policies, practices, and communications of the organization

• Equity and Fairness – Making decisions that are fair, objective, and impartial

• Cooperation and Teamwork – Supporting practical cooperation with national and international stakeholders

• Open Communication – Engaging with market participants and the general public to foster trust and avoid creating unnecessary impositions.

 Each of those values represents CySEC's commitment to being both an investor protector and a driver to sustain growth in Cyprus's financial services markets. 

Roles and Responsibilities

CySEC's roles and responsibilities are clearly outlined in the Law on the Structure, Responsibilities, Powers, and Organization of the Cyprus Securities and Exchange Commission (Law 73 (I)/2009).CySEC has a wide-ranging mandate for regulatory and supervisory functions, including the following:

• Licensing and other licensing activities, such as review applications, issuing licenses, and the suspension or revocation of licenses

• Supervising regulated markets such as the Cyprus Stock Exchange and other organized markets

• Compliance monitoring - monitoring whether the entity is complying with national and EU legislation regulating its activities

• Investigations - conducting inquiries to investigate any suspected breaches or violations and liaising with foreign regulators where appropriate

• Information Requests - collecting the necessary information to enable the Commission to exercise its functions from any person, company, or organization

• Imposition of sanctions - administrative fines or disciplinary action for violations

• cease Unlawful Activities - directing ends to trades or activities that contravene securities regulations

• Judicial Applications - to freeze or detain assets or limit activities with judgments, if needed

• Issuing Directives and Decisions - addresses specific standards for regulation to provide consistency for regulated entities and transparency for the marketplace

• International Cooperation- information sharing and engaged closely with European and International supervisory authorities

With these functions, CySEC facilitates the activities of financial services institutions, enabling Cyprus to maintain a robust, transparent, and compliant financial system in accordance with national laws and EU regulations, as well as international standards.

Entities Under Supervision

CySEC's regulatory responsibilities are wide-ranging and include a few examples of the different types of entities regulated in the finance and investment industry, which include the following:

• Cyprus Investment Firms (CIFs)

• Branches of EU-based Investment Firms established in Cyprus

• Tied Agents of CIFs

• Undertakings for Collective Investment in Transferable Securities (UCITS) and their management companies

• UCITS Agents, and Cyprus branches of other EU member states UCITS management companies

• Administrative Service Providers, including trustees and fiduciary service providers

• Variable Capital Investment Companies

• Alternative Investment Fund Managers (AIFMs)

• Regulated Markets and Central Counterparty Clearing Houses (CCPs) for over-the-counter (OTC) derivatives

• Trade repositories for OTC derivatives

• Crypto-Asset Services Providers

As the structure and regulations evolve, CySEC is enhancing its supervision and regulation of new sectors, including digital assets and cryptocurrencies.

Official Description

Contact Information

website icon

Main Site

https://www.cysec.gov.cy/
live chat icon

Live chat

https://www.cysec.gov.cy/en-GB/investor-protection/non-regulated/
phone icon

Phone

357 22506600
at icon

Email

[email protected]

Instruments and Trading Limits

Regulated financial instruments

Forex, Stocks, Options, Derivatives, Commodity, Securities, Futures, CFD

Trading limits

Binary option