Regulatory Disclosure
This disclosure is provided by Skymont Investment Solutions Limited (the "Firm") and sets out important information regarding the Firm's regulatory status and the client categories with which it is authorised to conduct business.
Regulatory Status
Skymont Investment Solutions Limited is authorised and regulated by the Financial Conduct Authority (FCA) under Firm Reference Number 1042431. The Firm is registered in England and Wales under company number 15877858, with its Registered Office at The Leadenhall Building, 122 Leadenhall Street, London, England, EC3V 4AB.
Details of our authorisation can be verified on the FCA Register by searching our Firm Reference Number or company name.
Client Categorisation
The services provided by the Firm are exclusively available to clients who are categorised under the FCA Rules as either:
· Professional Clients
· Eligible Counterparties
We do not provide services to, or accept instructions from, Retail Clients.
By only dealing with Professional Clients and Eligible Counterparties, the Firm benefits from regulatory exemptions. Consequently, clients dealing with the Firm will not benefit from the full range of protections afforded to Retail Clients under the FCA Rules.
In particular, clients should note the following key areas where protections are reduced or do not apply:
· Financial Ombudsman Service (FOS)
Clients categorised as Professional Clients or Eligible Counterparties are generally not eligible to refer complaints to the Financial Ombudsman Service.
· Financial Services Compensation Scheme (FSCS)
Access to the FSCS may be limited depending on the nature of the claim and the client's categorisation.
· Information and Disclosure
The Firm is subject to less prescriptive requirements regarding the disclosure of information about the firm, its services, costs, and charges compared to those that apply when dealing with Retail Clients.
· Suitability and Appropriateness
In most cases, the Firm is entitled to assume that Professional Clients and Eligible Counterparties possess the necessary experience and knowledge to understand the risks involved in the transactions or services offered.
Investment Risk
All investments carry risk. The value of investments, and the income from them, can fall as well as rise and you may not get back the amount you originally invested. Past performance is not a reliable indicator of future results.
This website and the information contained herein are not an offer or solicitation to buy or sell any security or financial instrument in any jurisdiction where such offer or solicitation is unlawful.
This website does not constitute personal advice or a personal recommendation. Any decision to invest must be based on your own assessment and/or the advice of an independent financial advisor.
Jurisdiction
This website is intended for persons located in the United Kingdom. The information contained within this website is directed only at persons who are Professional Clients or Eligible Counterparties in the UK. Any person who is not a Professional Client or Eligible Counterparty should not rely on this website or act on any information contained within it.
Contact Information
For all regulatory enquiries or to discuss client categorisation, please contact the Firm at compliance@skymont.co.uk
Copyright © 2025 Skymont - All Rights Reserved.
Skymont Investment Solutions Ltd. is authorised and regulated by the Financial Conduct Authority (FCA) under Firm Reference Number 1042431. Registered in England and Wales under company number: 15877858.