🏛 Global Equity Capital Ltd — A Global Brokerage Firm Licensed by the U.S. SEC
Global Equity Capital Ltd is an international financial brokerage company regulated under the dual supervision of the U.S. Securities and Exchange Commission (SEC) and the Financial Industry Regulatory Authority (FINRA).
The company specializes in global securities investment and AI-driven quantitative trading services.
Headquartered in the United States, Global Equity Capital operates across major global financial markets, providing investors with secure, transparent, and fully compliant investment solutions.
Regulatory Credentials
Regulatory Authorities: U.S. Securities and Exchange Commission (SEC)
Registration Number (CIK): 0002087302
Approval Number: 3235-0076
Regulatory System: Dual supervision by SEC and FINRA
Industry Category: Investment (Securities Trading and Capital Markets Services)
Business Scale: Total assets of approximately USD 10 billion, with operations spanning the U.S. and international markets
Compliance Assurance
All client funds are segregated and held in dedicated custodial accounts with partner banks — including global financial institutions such as Citibank and J.P. Morgan — and are completely separated from the company’s operational funds.
All operations strictly adhere to SEC and FINRA compliance standards, implementing bank-level security protocols and dual audit mechanisms.
The company fully complies with the U.S. National Securities Markets Improvement Act of 1996, ensuring all investment activities are lawful and properly supervised.
Investor Trust and Protection
The company’s legal name and SEC registration information are fully verifiable on the official SEC EDGAR database.
All fund transfers are conducted exclusively through regulated banking channels, with complete transaction records maintained for transparency.
A dual protection system of custodial banking and regulatory auditing ensures the security and transparency of investors’ assets.
Global Equity Capital Ltd enjoys a strong reputation in international financial markets as a trusted and compliant financial institution.
AI Quantitative Trading System
Global Equity Capital Ltd has also developed an institutional-grade AI quantitative trading system, leveraging artificial intelligence algorithms and global market data analytics to deliver intelligent investment decisions.
Regulatory Oversight: Supervised by both SEC and FINRA
Accessibility: Designed for both beginner and professional investors, enabling automated investment execution that captures market opportunities and aims for consistent, data-driven returns.
🏛 Global Equity Capital Ltd — A Regulated U.S. Securities Broker Empowering Global Investors
Global Equity Capital Ltd is a fully regulated U.S. securities brokerage firm, licensed under the Securities and Exchange Commission (SEC) and the Financial Industry Regulatory Authority (FINRA).
Headquartered in the United States, we specialize in global securities trading, AI-driven quantitative investment, and capital market access, offering institutional-grade infrastructure with transparent, compliant operations.
Regulatory Excellence
Regulators: U.S. Securities and Exchange Commission (SEC) & FINRA
CIK Number: 0002087302 | Approval No.: 3235-0076
Regulatory Framework: Dual supervision under SEC & FINRA
Industry Category: Investment – Securities Trading & Capital Markets
Asset Scale: Over USD 10 billion under management and expanding globally
Global Equity Capital ensures full fund segregation between client assets and operational accounts, with custodial arrangements through Citibank and J.P. Morgan, guaranteeing bank-level protection and dual-audit compliance.
All trading and investment activities comply with the U.S. National Securities Markets Improvement Act of 1996, ensuring absolute transparency and investor confidence.
📊 Real-Time Market Insight — Empowering Every Decision
Through our advanced trading platform, investors gain access to live U.S. stock market data, including performance across major indices and real-time price movements of top-performing equities.
Stock Indices Snapshot
SPX: 6,886.99 (+0.16%)
DJI: 47,817.19 (+0.57%)
NDX: 25,918.62 (+0.37%)
DJT: 15,748.84 (+0.54%)
These dynamic charts provide instant insight into market direction, helping investors track opportunities and make informed decisions.
Market Leaders — Daily Gain List
| Company | Symbol | Gain |
|---|---|---|
| Spruce Biosciences, Inc. | XNAS:SPRB | +14,190.25% |
| Exela Technologies, Inc. | XNAS:XELA | +10,145.90% |
| Alternus Clean Energy, Inc. | XNAS:ALCE | +3,081.82% |
| Wolfspeed, Inc. | XNYS:WOLF | +1,966.12% |
| Northann Corp. | XASE:NCL | +657.50% |
Investors can easily browse, search, and monitor stocks through a clean, intuitive interface, enabling seamless navigation between indices, watchlists, and asset management tools.
🤖 AI Quantitative Trading System
Driven by advanced AI algorithms and real-time market analytics, Global Equity Capital’s institutional-grade AI trading system delivers intelligent portfolio optimization and automated execution.
Regulatory Oversight: SEC + FINRA
Functionality: Auto-trading for both beginners and professionals
Goal: Smarter, faster, and more consistent investment performance
The platform’s AI Multiplier module integrates machine learning with cross-market data to identify high-potential assets and execute trades with precision.
💼 Trust, Transparency, and Technology
Every client relationship is built on integrity, regulatory compliance, and innovation.
Global Equity Capital Ltd combines Wall Street expertise with next-generation fintech infrastructure, positioning itself as one of the most trusted and compliant brokerage firms in the U.S. and global markets.
📍 Global Equity Capital Ltd
Registered and Regulated by SEC & FINRA
Visit geclpro.com for full disclosure, licensing details, and market insights.
U.S. registered structure. Compliance-first operations.
GECLPro operates under Global Equity Capital in the United States. We follow U.S. KYC / AML requirements, maintain Money Services Business registration, and provide access to securities offerings made in compliance with SEC exempt filing rules.
