EURUSD ↗
1.0847
+0.0023
GBPUSD ↘
1.2634
-0.0019
BTC/USD ↗
43,250
+1,847

Master the Markets.
Trade with Confidence.

Join thousands of traders who choose LSExchange for lightning-fast execution, razor-sharp spreads, and institutional-grade trading technology.

0.0
Pips Spreads
50ms
Execution
500+
Instruments
24/7
Support
Regulated & Secure
Ultra-Fast Execution
Institutional Spreads
24/7 Expert Support

Regulatory Compliance

We adhere to the highest regulatory standards to protect your interests and ensure fair trading conditions.

Client Fund Protection

Segregated accounts ensure your funds are protected and separate from company assets

Negative Balance Protection

Never lose more than your account balance with our negative balance protection

Compensation Scheme

Coverage up to €100,000 per client under investor compensation schemes

Regular Audits

Independent audits ensure compliance and financial transparency

Our Regulatory Licenses

LSExchange operates under licenses from multiple top-tier financial regulators across different jurisdictions.

EU

CySEC License

Cyprus Securities and Exchange Commission

License Number: 394/20
Status: Active
Coverage: European Union
  • MiFID II Compliance
  • Client Fund Segregation
  • Investor Compensation Fund
UK

FCA Authorization

Financial Conduct Authority

Reference Number: 921783
Status: Authorized
Coverage: United Kingdom
  • FSCS Protection
  • Client Money Rules
  • Conduct of Business Rules
AU

ASIC License

Australian Securities and Investments Commission

AFSL Number: 491139
Status: Current
Coverage: Australia
  • Professional Indemnity Insurance
  • Trust Account Requirements
  • External Dispute Resolution

What This Means For You

Our regulatory compliance provides you with multiple layers of protection and peace of mind when trading.

Fund Security

Segregated Accounts

Your funds are held in segregated accounts, separate from company operational funds, ensuring they cannot be used for any other purpose.

Tier 1 Banks

Client funds are deposited with top-rated financial institutions, providing an additional layer of security.

Insurance Coverage

Professional indemnity and civil liability insurance provide additional protection for client assets.

Trading Protection

Fair Execution

Best execution policies ensure you receive fair pricing and transparent order execution at all times.

Dispute Resolution

Access to independent dispute resolution services and regulatory complaint procedures.

Negative Balance Protection

Retail clients are protected from negative balances, ensuring you can never lose more than your account balance.

Transparency & Reporting

We maintain the highest standards of transparency through regular reporting and independent audits.

Financial Reports

Annual audited financial statements published by independent auditors

View Reports →

Regulatory Filings

Regular submissions to regulatory authorities demonstrating compliance

View Filings →

Risk Disclosures

Comprehensive risk warnings and disclosures for informed trading decisions

View Disclosures →

Trade with Confidence

Start trading today knowing your funds are protected by multiple regulatory frameworks and industry-leading security measures.