Client agreement and policies
- Terms and Conditions The terms governing the relationship between the Company and its clients, including the services provided, client obligations, order handling, safeguarding of client assets, fees, and termination.
- Client Categorisation Policy The criteria applied in categorising clients as retail clients, professional clients or eligible counterparties, the protections attaching to each category, and the procedure for requesting a change of category.
- Best Interest and Order Execution Policy The steps taken by the Company to obtain the best possible result for clients when receiving, transmitting and executing orders, the execution factors and their relative importance, and the execution venues used.
- Conflicts of Interest Policy The Company's arrangements for identifying, preventing and managing conflicts of interest that may arise in the course of providing investment and ancillary services, and for disclosing them where they cannot be avoided.
- Risk Disclosure and Warnings Notice The nature of the risks involved in dealing in the financial instruments to which the Company's services relate, including market, liquidity, currency, counterparty, leverage and technical risks, and applicable charges and taxes.
- Investor Compensation Fund Policy The Company's membership of the Investor Compensation Fund, the services and clients covered, the categories of excluded investor, the amount of compensation, and the procedure for submitting a claim.
- Complaints Policy and Complaint Form The procedure for submitting a complaint to the Company, the time limits applying to its handling, the escalation route to the Financial Ombudsman of the Republic of Cyprus, and the standard complaint form.
- Privacy Policy How the Company collects, uses, discloses and retains personal data, the legal bases for processing, the recipients of personal data, and the rights of data subjects under Regulation (EU) 2016/679.
Prudential disclosures
Part Six of Regulation (EU) 2019/2033
Annual disclosure reports covering risk management objectives and policies, governance arrangements, own funds, own funds requirements and remuneration policy.
Notes
Documents are amended from time to time. The version published on this page is the version in force. Clients are notified of material amendments in accordance with the Terms and Conditions.
Where a document published on this page was issued before the Company changed its name, it is published under the former name, T.C.R. International Ltd. The change of name does not affect the legal personality of the Company, its registration number or its CIF licence number.
A printed copy of any document on this page, or its content in an accessible format, is available free of charge on request to info@hi2morrowsecurities.com. The content of this website is provided for information only and does not constitute an offer, solicitation or advice. Where the site links to a third-party website, the Company is not responsible for its content. Governing law: Republic of Cyprus.