Financial Industry Regulatory Authority
We are a registered broker-dealer under FINRA, the self-regulatory organization that oversees all broker-dealers operating in the US.
Regulatory Framework
Edge Capital operates within a strict regulatory framework covering registration, disclosure, investor protection, and data privacy. We hold ourselves to the highest standard.
Regulatory Bodies
We are registered with and regulated by the leading US financial authorities.
We are a registered broker-dealer under FINRA, the self-regulatory organization that oversees all broker-dealers operating in the US.
Our operations comply fully with SEC rules and regulations, ensuring the highest standards of disclosure, fairness, and investor protection.
Edge Capital is a SIPC member, providing customers up to $500,000 in securities protection in the event of firm insolvency.
Our Compliance
Beyond regulatory requirements, we maintain internal standards that exceed industry minimums. From data protection to trade transparency, compliance is embedded in everything we do.
Edge Capital operates under the strictest regulatory standards in the industry. Your trust is our licence to operate.
Open Free AccountLIQUIDITY PROVIDERS
Edge Capital currently has a variety of liquidity providers, including but not limited to:
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