COLMEX PRO LTD

active
Home member state
Cyprus
Competent authority
Cyprus Securities and Exchange Commission (CySEC)
Office type
Head office
Head office address
1, Chrysanthou Mylona Str, Megaro Panagides - 4th Floor - Office 3, CY-3030 Limassol
Authorisation date
19 October 2010

Authorised services

Reception and transmission of orders active
Execution of orders active
Dealing on own account active
Safekeeping and administration active
Granting credits or loans active
Foreign exchange services active
Research and financial analysis active

Sanctions

Administrative sanction and measure 28 November 2016

Issued by: Cyprus Securities and Exchange Commission (CySEC)

<a href='https://www.cysec.gov.cy/CMSPages/GetFile.aspx?guid=57023980'>https://www.cysec.gov.cy/CMSPages/GetFile.aspx?guid=57023980</a>-8613-48f5-8ba2-79f7973c88b0

Administrative sanction and measure 24 February 2025

Issued by: Cyprus Securities and Exchange Commission (CySEC)

"A settlement has been reached with the CIF Colmex Pro Ltd (‘the Company’) for possible violations of the Investment Services and Activities and Regulated Markets Law of 2017 (‘the Law’) and the Regulation (EU) Νο. 600/2014. More specifically, the investigation for which the settlement was reached involved a supervisory review conducted at the Company, which, during the period from 17.1.2021 to 24.2.2023, may have acted in violation of the: 1. Article 5(1) of the Law, regarding the requirement for CIF authorization. 2. Article 22(1) of the Law, as to the authorisation condition laid down in article 17(2) of the Law, regarding the organizational requirements with which a CIF is required to comply. 3. Article 24(1) of the Law, regarding the conflicts of interest. 4. Article 25, sections (1), (2)(b), (3)(a) and (4)(a)(ii) of the Law, regarding the general principles and information addressed to clients. 5. Article 26(3)(a) of the Law, regarding the assessment of appropriateness. 6. Article 28(7) of the Law, regarding the obligation to execute orders on terms most favourable to the client.7. Article 42 of the Regulation (EU) Νο. 600/2014 regarding the product intervention by competent authorities, particularly paragraph 5 of the CySEC’s Directive DI87-09 for the restriction on the marketing, distribution, and sale of contracts for difference (CFDs) to retail clients. The settlement reached with the Company for the possible violations is for the amount of €200.000, which the Company has already paid."

Data sourced from the ESMA MiFID investment firms register, updated weekly.

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