Ballinger Markets Ltd

This page contains key regulatory and statutory information relating to Ballinger Markets Ltd, including relevant policies and disclosures. If you require any further information not listed below, please send an email to traders@ballinger.group.

 

 

Ballinger Markets Ltd is authorized and regulated by the Malta Financial Services Authority to provide investment services under the Investment Services Act (Cap. 370 of the Laws of Malta) and Ballinger Markets Ltd holds a Class II License under the Investment Firms Regulation (Regulation (EU) 2019/2033) and Directive (Directive (EU) 2019/2034).

Ballinger Markets Ltd
Fino Buildings, Level 3, Triq l-Imdina, Zone 4, Central Business District, Birkirkara, CBD 4010, Malta

Ballinger Markets Policies and Disclosures

Order Execution Policy

This Policy outlines all the sufficient steps that Ballinger must take to ensure that we obtain the best possible results when carrying out transactions on your behalf

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Conflict of Interest Policy

The purpose of this policy is to identify in a summary form potential conflicts which Ballinger Markets Ltd experiences as an organisation and to describe how it addresses the challenges that such conflicts create

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Complaints Policy

As an authorised firm, Ballinger Markets Ltd is required to investigate complaints in line with the relevant regulations

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Pillar 3 Disclosure Requirements

The purpose of Pillar 3 disclosures is to provide information on the risks, capital and risk management arrangements of Ballinger Markets Ltd

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