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Information disclosure system
The information disclosed is a copy of the data submitted to the CMVM in compliance with legislation and regulations in force and is the sole responsibility of the respective entity.

Financial intermediaries

UK credit institutions on a transitional regime

House of Borse Ltd

Address:

33 Cavendish Square
W1G 0PW London, ENGLAND

Authorised services

Service
Registration date
   
Reception and transmission of orders relating to securities 15/11/2017
Dealing for own account with respect to financial contracts for differences 15/11/2017
Reception and transmission of orders relating to units in collective investment undertakings 15/11/2017
Reception and transmission of orders relating to options, futures, swaps, forward rate agreements and any other derivative contracts relating to securities, currencies, interest rates or yields, or other derivatives instruments, financial indices or financial measures which may be settled physically or in cash 15/11/2017
Reception and transmission of orders relating to options, futures, swaps, forward rate agreements and any other derivative contracts relating to commodities that must be settled in cash or may be settled in cash at the option of one of the parties (otherwise than by reason of a default or other termination event); 15/11/2017
Reception and transmission of orders relating to financial contracts for differences 15/11/2017
Execution of securities orders on behalf of clients 15/11/2017
Execution of money-market instruments orders on behalf of clients 15/11/2017
Execution of orders on behalf of clients relating to units in collective investment undertakingscolectivo 15/11/2017
Execution of orders on behalf of clients relating to options, futures, swaps, forward rate agreements and any other derivative contracts relating to securities, currencies, interest rates or yields, or other derivatives instruments, financial indices or financial measures which may be settled physically or in cash 15/11/2017
Execution of orders on behalf of clients relating to options, futures, swaps, forward rate agreements and any other derivative contracts relating to commodities that must be settled in cash or may be settled in cash at the option of one of the parties (otherwise than by reason of a default or other termination event); 15/11/2017
Execution of orders on behalf of clients relating to financial contracts for differences 15/11/2017
Dealing in securities for own account 15/11/2017
Dealing for own account with regard to money market instruments 15/11/2017
Dealing in units in collective investment undertakings for own account 15/11/2017
Dealing for own account with regard to options, futures, swaps, forward rate agreements and any other derivative contracts relating to securities, currencies, interest rates or yields, or other derivatives instruments, financial indices or financial measures which may be settled physically or in cash 15/11/2017
Dealing for own account with regard to options, futures, swaps, forward rate agreements and any other derivative contracts relating to commodities that must be settled in cash or may be settled in cash at the option of one of the parties (otherwise than by reason of a default or other termination event); 15/11/2017
Reception and transmission of orders relating to money-market instruments 15/11/2017