Libra
REGULATIONS

Regulation and compliance

Commitment and transparency: Libra Investment Advisors complies with strict regulatory standards set by the Florida Office of Financial Regulation (OFR) and follows FINRA (Financial Industry Regulatory Authority) guidelines. Our registration as an Investment Advisor (RIA) in the United States ensures full compliance with local regulations, as well as independent audits that reinforce our commitment to anti-money laundering (AML) standards.

Network of first-level counterparties: We partner with AAA banks and top-tier brokers, all regulated by the SEC (Securities and Exchange Commission) and other international authorities, to provide security in every transaction. Our counterparties include institutions with a strong track record of solvency and operational excellence, supporting Libra in delivering a competitive and secure investment service. These partnerships allow us to operate with segregated accounts under limited management powers, ensuring both autonomy and absolute control of the client over their assets.

  • Trust

    Every decision we make reflects our commitment to the interests of our clients.

  • Transparency

    We operate with complete clarity, ensuring our clients understand every step of the process.

  • Excellence

    We strive for perfection in every aspect of our work.

Full Image
SEND MESSAGE

Contact us