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I was doing business with a financial broker, who is execution only under the regulator's permissions, however, they have interfered in my trading, have negotiated my trading style with me which i rejected, and have threatened that they will break contractual terms unless I agree with their "guideline", which they actually broke with the contractual term with my bonus amount of money.
Yes I still need an answer
I have asked the firm questions but they have ducked it... I want to tell them of their consequences if they continue like this
Ok, if they have acted in violation to their permissions granted by the FCA, what are my rights? Can I talk to the FCA about it?