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Investment Advisor License

The Investment Advisor License is regulated by the Financial Services Commission (“FSC”) in Mauritius. It allows a global business company to:

  • Advise, guide or recommend other persons, or hold himself out to advise, guide or recommend other persons, whether personally or through printed materials or by other means, to enter into securities transactions; or
  • Manage or hold himself out to manage, under a mandate, whether discretionary or not, a portfolio of securities.

According to the Securities Act 2005, the three types of Investment Advisor License are: Investment Adviser (Unrestricted), Investment Adviser (Restricted) and Investment Adviser (Corporate Finance Advisory).

Please contact us for more information.