Safety and compliance as the basis of the service

Regulatory information

Mora Capital Management’s business in Switzerland is governed by a robust regulatory framework aimed at investor protection, transparency and the stability of the financial system.

A sound and transparent regulatory environment

Switzerland stands out for the robustness of its financial system and its demanding regulatory framework that promotes security, transparency and investor protection. As a FINMA-supervised institution, we carry out our business in accordance with these principles, ensuring responsible and professional management of financial advice.

  • Compliance with Swiss financial regulations.

  • Client protection and information transparency.

  • Continuous monitoring by specialized bodies.

FinSA prospectus

In accordance with FinSA regulations, we provide our clients with a prospectus detailing the key aspects of the service, the nature of the financial advice, the risks involved and the client’s rights. This document is part of our commitment to transparency and clear information.

FinSA prospectus