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Regulation

Hoch Capital Ltd is a Cyprus Investment Firm regulated by the Cyprus Securities and Exchange Commission under the license number 198/13.

Hoch Capital Ltd is governed by the Law L. 87(I)/2017 on provision of Investment Services, the exercise of Investment Activities, the operation of Regulated Markets and other related matters, and operates in accordance with the European Union Directive 2014/65/EU on Markets in Financial Instruments (MiFID II).
The objective of MiFID II is to create an integrated financial market in which investors are effectively protected and the efficiency and integrity of the overall market are safeguarded.
Hoch Capital is additionally registered with the following competent authorities:


Country Regulator Registration
Austria FMA See the registration
Bulgaria FSC See the registration
Croatia HANFA See the registration
Czech Republic CNB See the registration
Denmark FINANSTILSYNET See the registration
Estonia FI See the registration
Finland FFI See the registration
France REGAFI See the registration
Germany BaFin See the registration
Greece HCMC See the registration
Hungary MNB See the registration
Iceland FME See the registration
Ireland BCE See the registration
Italy CONSOB See the registration
Latvia FKTK See the registration
Liechtenstein FMA See the registration
Lithuania BOL See the registration
Malta MFSA See the registration
Netherlands AFM See the registration
Norway FSAN See the registration
Poland KNF See the registration
Portugal CMVM See the registration
Romania CNVMR See the registration
Slovakia NBS See the registration
Slovenia ATVP See the registration
Spain CNMV See the registration
Sweden FI See the registration
United Kingdom FCA See the registration
 
Theklas Lysioti 29, 2nd Floor, Office 202, 3030 Limassol, Cyprus
Contact
T +357 253 271 00
info@hochcapital.com

Risk Disclosure
Complaints
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Regulation
Risk Warning:

Please note, The Company is under examination for voluntary Renunciation of the authorization.

Trading in financial instruments may result in losses as well as profits. Past performance does not guarantee future results. Trading in derivatives (e.g. options, futures, and swap contracts) could result to the loss of the whole capital invested. Forex, CFDs and Derivatives are leveraged products and involve a high level of risk. Trading in leveraged instruments can result in losses, however you cannot lose more than your invested capital. Ensure you fully understand the risks involved and seek independent advice if necessary, taking into account your investment objectives and level of experience. You should not risk more than you are prepared to lose. Never risk medical and other emergency funds, retirement savings, funds set aside for purposes such as home ownership and funds required to meet your living expenses. Hoch Capital Ltd is regulated by the Cyprus Securities and Exchange Commission (License No. 198/13). Under the supervision of CySEC, Hoch Capital Ltd. is governed by all regulatory requirements under L.87(I)/2017 regarding the provision of investment services, the exercise of investment activities and the operation of regulated markets as well as under the European Markets in Financial Instruments Directive II (MiFID II).

Warning Regarding Web Fraud and Phishing Please note, The Company is not able to carry out investment services and having its license under examination for voluntary renunciation of the authorization.
Hoch Capital Ltd is not permitted to provide regulated financial services to residents of the United Kingdom.
Risk Warning: CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. 79.19% of retail investor accounts lose money when trading CFDs with this provider. You should consider whether you understand how CFDs work and whether you can afford to take the high risk of losing your money.