The International Securities & Derivatives Group Pty Ltd have been providing financial product advice to retail clients since 2003. Our network of Authorised Representatives spans Australia and we are excited about seeking out new partnerships wth individuals and organisations that demonstrate they share the same values and ethical approach to providing financial services as we do.
Our Responsible Managers have over 20 years industry experience collectively, and have extensive experience in advising, dealing, funds managment, and compliance. All our Authorised Representatives are RG146 compliant in their relevant advisory area, and undertake continued professional development on an ongoing basis.
We hold RG126 compliant professional indemnity insurance as required by the corporations act, which covers the activity of both our current and past Authorised Representatives. We are a member of the Financial Ombudsman Service, and the Australisian Compliance Institute.
Disclosure Documentation for Clients
Financial Services Guide
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Complaints Handling Procedure
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