Regulation
NCE has always treated compliance as a strategic asset, not as a passive obligation. We proactively follow the financial regulatory frameworks and codes of conduct of leading international jurisdictions, internalizing compliance culture from policy documents into institutional operating standards across the full process.
We have built a multi-level internal control system and an independent compliance audit mechanism to ensure that every step, from front-office trade execution to back-office clearing and settlement, strictly follows client fund segregation, AML and KYC policies, and fair order execution principles. All client trades receive unbiased order routing and fully transparent price transmission, eliminating any potential conflict of interest or execution unfairness.
Our compliance commitment is not superficial. It is quantified and verified through regular penetration-style stress testing, complete information disclosure, and periodic independent third-party audits. Choosing NCE means choosing an institutional safeguard centered on fiduciary responsibility and supported by verifiable execution records.
We firmly believe that trust is not a slogan. It is a moat built through regulatory licenses, segregated accounts, compliance audits, and sustainable risk-control capability. With compliance standards that exceed industry benchmarks, NCE ensures that every order and every dollar is protected to the greatest extent possible in a highly controlled and fully traceable environment. Choosing NCE means choosing to stand with verifiable trust and institutionalized security.

Seychelles
NCE SC Limited, a company incorporated under the laws of Seychelles, registration number (Co. No. 8428537-1), registered address: House Of Francis, Office 301(D), Ile Du Port Mahe, Seychelles
Licence Number: SD112

