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55 Vyzantiou Street, Nicosia 2064

+357 22 258790

Investments

J. Knobel Investor Services Limited acts as a tied agent of Mega Equity Securities and Financial Services Public Ltd, licensed and regulated by CySEC (License No. 011/03). All investment services are provided under Mega Equity’s license. Investing involves risk, including possible loss of capital.

Investment Offering

Domestic Equities & Bonds

Direct access to the Greek and Cypriot stock exchanges, including fixed income markets

Global Equities & Bonds

Direct market access to 35+ International stock exchanges and OTC fixed income markets

Exchange Traded Funds (ETFs)

Access a deep range of ETFs with direct market access to 35+ global exchanges 

Futures and Options (Greek Markets)

Direct exchange access to futures and options on FTSE/ATHEX 25 Index, and on all available underlying large and mid-cap stocks of the Athens Stock Exchange

Risk Warning: Investing in financial instruments involves risk, including the possible loss of capital. 

Market Leadership - since 1999

Market Leadership


Since 1999, Mega Equity ranks among the leading brokerage firms in Cyprus, maintaining a top market share on the Cyprus Stock Exchange and an active presence on the Athens Stock Exchange (ASE) and Athens Derivatives Exchange (ADEX).

Regulated and Secure


  • Mega Equity operates under CySEC supervision, ensuring full compliance with European MiFID II investor-protection standards.


  • Through J. Knobel Investor Services Limited, clients access Mega Equity’s licensed investment services within a framework of integrity, transparency, and accountability.

Best Execution and Transparent Operations


  • Mega Equity applies a Best Execution Policy designed to deliver the best possible results for client orders across markets in Cyprus, Greece, and globally.


  • Clients receive detailed confirmations, regular statements, and clear reporting for every transaction.

Investor Compensation Protection


  • Clients of Mega Equity are protected by the Investor Compensation Fund (ICF) for Investment Firms’ Clients  an additional safeguard for eligible retail investors in the event of firm insolvency.


Custody and Safekeeping


  • Client assets are held in segregated accounts under the Safeguarding of Client Assets Directive (DI87-01).


  • This ensures full protection against intermediary default and guarantees that securities and funds remain in the client’s name.



Integrity and Transparency


  • All communications and client orders are recorded and retained for up to seven years, ensuring traceability and compliance.


  • Comprehensive anti-money-laundering (AML) and conflict-of-interest policies protect every client relationship.

All investment, advisory, execution, clearing, and custody services presented on this page are provided by Mega Equity Securities and Financial Services Public Ltd in accordance with MiFID II and CySEC regulations.

Your Gateway to Local Expertise and Global Markets

Serving Cyprus investors for over 25 years with trusted advisory services and direct access to worldwide investment opportunities.


  • Equities in Cyprus, Greece, Europe, the US, and Asia
  • Bonds, ETFs, and derivatives
  • Investment advisory (where applicable)
  • Clearing, settlement, and custodial services


This provides a complete, regulated investment experience within one trusted framework.


J. Knobel does not execute trades, hold client funds, or provide custodial or independent advisory services. All regulated activities are performed by Mega Equity under its full responsibility.