Our Regulations
At Bold Prime, we prioritize the safety and security of our clients' investments by adhering to stringent regulatory standards. Our operations are regulated by esteemed authorities to ensure the highest level of transparency and trust.
Our multi-jurisdictional regulatory compliance reflects our commitment to excellence, integrity, and client protection. At Bold Prime, we strive to provide a secure and trustworthy trading experience, backed by some of the most respected regulatory bodies in the financial industry.
Fully Authorized and Licensed Broker
Australian Securities & Investments Commission
We adhere to the stringent regulatory requirements set forth by Australian Securities & Investments Commission(ASIC), which ensures our practices meet the highest standards of financial integrity and consumer protection.
Union
Of Comoros
Our license from the Union of Comoros allows us to operate within a robust regulatory framework, ensuring the safety and reliability of our financial services.
St Vincent &
The Grenadine
We are licensed by the authorities of St. Vincent & The Grenadines, reinforcing our commitment to regulatory compliance and the secure management of our clients’ investments.
Fully Authorized and Licensed Broker

Saint Vincent and the Grenadines
Financial Services Authority (FSA)
License no. 26184

Republic of Mauritius
Financial Service Commission (FSC)
License no. GB20025993

Union of Comoros
International Brokerage and Clearing House License
License no. 31896

Union of Comoros
International Brokerage and Clearing House License
License no. 31896

Saint Vincent and the Grenadines
Financial Services Authority (FSA)
License no. 26184

Republic of Mauritius
Financial Service Commission (FSC)
License no. GB20025993

Union of Comoros
International Brokerage and Clearing House License
License no. 31896