Skip to main content

+357 22 258790

55 Vyzantiou Street, Nicosia 2064

Client Terms & Conditions

J. Knobel Investor Services Limited

Tied Agent of Mega Equity Securities and Financial Services Public Limited

These Terms and Conditions (“Terms”) govern your use of the investment services offered by J. Knobel Investor Services Limited (“the Tied Agent”), under the responsibility of Mega Equity Securities and Financial Services Public Limited (“the CIF”), a Cyprus Investment Firm regulated by CySEC (license no. 011/03).

1. Scope of Services


J. Knobel Investor Services Limited is authorized to provide:


  • Investment advice
  • Reception and transmission of orders


All execution, custody, and client account operations are performed by the CIF.

2. Client Classification


Clients will be classified in accordance with MiFID II (Retail, Professional, or Eligible Counterparty) and have corresponding levels of protection and disclosure.

3. Suitability and Appropriateness


Investment advice is subject to suitability assessments as per MiFID II rules. Clients must provide accurate and up-to-date information to support this process.

4. Accuracy of Information


Although reasonable efforts are made to ensure the accuracy of the information on this website, J. Knobel Investor Services Limited does not guarantee its completeness or timeliness. The Company accepts no liability for any losses or damages arising from reliance on the information presented.

5. Fees and Costs


The Tied Agent does not charge any fees directly. All applicable costs, commissions, and charges are disclosed by the CIF before services are rendered.

6. Conflicts of Interest


J. Knobel Investor Services Limited maintains a Conflicts of Interest Policy to identify, prevent, and manage any potential conflicts. Clients may request a copy of this policy at any time.

7. Complaints Handling


All complaints must be addressed to the Tied Agent initially. If unresolved, complaints will be escalated to the CIF in accordance with its official complaints policy.

8. Data Protection


Personal data is handled in accordance with GDPR and our Privacy Policy. Clients have full access to their rights under applicable data protection law.

9. Risk Warning


Investing in financial instruments involves risks, including the potential loss of capital. Past performance is not indicative of future results. Clients are advised to carefully consider their investment objectives and risk tolerance before acting.

10. Governing Law


These Terms shall be governed by and interpreted in accordance with the laws of the Republic of Cyprus.