Important Disclaimer:
CFI Credit Financier Invest CTVM Ltda. (“CFI CTVM”), enrolled with the Brazilian National Registry of Legal Entities (CNPJ/MF) under No. 53.480.858/0001-67, is a financial institution duly authorized to operate by the Central Bank of Brazil and regulated by the Brazilian Securities and Exchange Commission (CVM), offering its products and services exclusively in Brazil.
CFI International Ltd., a Global Business Company incorporated in Mauritius under license number C161178 and duly authorized and regulated by the Financial Services Commission of Mauritius (“CFI Mauritius”), provides foreign brokerage and intermediation services.
CFI CTVM and CFI Mauritius have entered into an agreement pursuant to which CFI CTVM is responsible, in Brazil, for the offering and distribution of foreign intermediation services provided by CFI Mauritius, in accordance with CVM Guidance Opinion No. 33, dated September 9, 2005, and the decision rendered by the Board of the CVM on February 23, 2021, within the scope of SEI Proceedings Nos. 19957.010715/2018-37 and 19957.000495/2019-14.
The information contained on this website is provided solely for informational and educational purposes and does not constitute, nor should it be construed as, investment advice, investment analysis, solicitation, offer, recommendation to buy or sell any financial asset or investment product, legal or tax advice, portfolio allocation recommendation, or adoption of any investment strategy by CFI CTVM.
The financial assets and investments presented on this platform may not be suitable for all investors, as they do not take into consideration each investor’s specific investment objectives, financial situation, risk tolerance, or needs, in accordance with the applicable suitability rules and policies.
Before making any investment decision, investors are strongly encouraged to seek independent financial, legal, accounting, and tax advice tailored to their individual circumstances.
Investments in the financial and securities markets involve significant risks, including the possibility of partial or total loss of invested capital, especially due to market volatility and fluctuations in asset prices. Accordingly, investors should carefully assess whether they fully understand the characteristics and risks of the transactions contemplated, whether such transactions are appropriate for their investor profile, and whether they are financially capable of bearing the associated risks.
Derivatives are complex financial instruments and involve an elevated risk of loss, including the possibility of losses exceeding the amount initially invested, depending on the structure and leverage involved. Therefore, derivatives transactions may not be suitable for all investors. Investors should carefully evaluate whether they understand the nature and risks of these transactions and whether such transactions are appropriate for their financial condition and investor profile.
Past performance does not guarantee or predict future results. The value of investments may fluctuate significantly and may decline abruptly and, particularly in the case of volatile assets.
The products and services described herein may not be available to all investors and may be subject to restrictions based on the applicable suitability rules, regulatory requirements, and internal policies.
For security, compliance, and quality assurance purposes, telephone calls and electronic communications may be monitored and recorded.
Please note that client funds are maintained in registration accounts used exclusively by the brokerage firm for the recording and settlement of each client’s transactions, as provided for in Article 12 of CMN Resolution No. 5,008/2022. Such registration accounts are not equivalent to payment accounts referred to in Articles 6, item IV, and 12 of Law No. 12,865, dated October 9, 2013, and therefore are not subject to the same legal and regulatory regime applicable to funds held in payment accounts pursuant to Article 12 of Law No. 12,865/2013.