This page constitutes a marketing communication under MiFID II. All investments involve risks, including the potential loss of capital. J. Knobel Investor Services Limited does not provide independent advice, execute trades, or hold client funds.
J. Knobel Investor Services Limited, based in Nicosia, was registered as a tied agent of Mega Equity Securities & Financial Services Public Ltd (CIF License No. 011/03) with CySEC in November 2020. Authorized under MiFID II and the Investment Services Law of 2017 (Law 87(I)/2017), we provide non-independent investment advice and reception and transmission of orders (RTO) for financial instruments like stocks, bonds, and ETFs.
Investing involves risks, including market volatility and potential loss of capital. Past performance is not indicative of future results.
We work exclusively with Mega Equity, a Cyprus-based investment firm established on December 17, 1999, and regulated by CySEC since May 2003 (CIF License No. 011/03). A member of the Cyprus Stock Exchange (CSE) since January 2000, Mega Equity expanded its reach in 2006 with licenses from the Hellenic Capital Market Commission and Athens Stock Exchange (ASE). In 2013, Mega Equity joined the XNET network, enabling access to over 35 global markets via the ASE platform.
All client accounts and assets are held and administered solely by Mega Equity, ensuring robust investor protection under MiFID II. J. Knobel does not hold funds or execute trades; we transmit your orders to Mega Equity for execution.
Risk Warning: International markets carry additional risks, such as currency fluctuations and regulatory differences. Consult Mega Equity’s Key Information Documents (KIDs) before investing.
Our Managing Director, John Knobel, brings over 20 years of experience in Cyprus’s financial sector (since November 2000). A CySEC Advanced Certificate holder (CN 1583) and listed in the CySEC Register of Tied Agents, John played a key role in integrating XNET access for Mega Equity, enhancing client access to global markets. His leadership ensures our advice aligns with your financial goals under strict regulatory standards.
Investments are subject to risks, and returns are not guaranteed. Always seek professional advice before making investment decisions.
We believe in personalized investment guidance, not generic solutions. Our recommendations are based on a MiFID II-compliant suitability assessment, considering your financial situation, objectives, and risk tolerance. Whether planning for retirement, diversifying with ETFs and bonds, or exploring equities, we aim to provide clarity and structure.
As a tied agent, our advice is non-independent and may involve conflicts of interest, such as inducements, which are disclosed by Mega Equity. Fees are managed by Mega Equity and detailed in their client agreements. We are committed to transparency and compliance with MiFID II investor protection standards.
Risk Warning: Financial instruments carry risks, including potential loss of capital due to market fluctuations. Review Mega Equity’s fee disclosures and conflict of interest policy.
Contact us to discuss your financial goals with a CySEC-regulated tied agent. All advice is provided under MiFID II suitability rules, and your investments are managed by Mega Equity.
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This is a marketing communication. Information provided is not investment advice and should not be relied upon without consulting Mega Equity. All investments carry risks, including potential loss of capital.