Important Disclosures & Legal Information

Transparency and compliance are fundamental to our commitment to institutional integrity.

Our Commitment to Transparency and Compliance

Capital Bridge Securities Pte. Ltd, a company registered in Singapore (Co. Reg. No 202524021E), is dedicated to maintaining the highest standards of transparency, integrity, and compliance. This page provides important information regarding our legal terms, disclosures relevant to our operations and the services we provide to institutional investors. We believe clear and accessible information is essential for building and maintaining trust with our clients.


Our Services

Capital Bridge Securities Pte. Ltd provides capital markets services exclusively to Institutional and Accredited Investors. Our operations are guided by industry best practices, with a focus on transparency, integrity, and compliance. We are committed to upholding the highest standards in all client interactions. Should you have any questions or require additional information please contact us:
Email: contact@capitalbridgesecurities.com


Terms of Use

Access to and use of this website is subject to our comprehensive Terms of Use. By accessing this site, you acknowledge that you have read, understood, and agree to be bound by these terms. This includes, but is not limited to, disclaimers regarding the accuracy of information, intellectual property rights, and limitations of liability.


Privacy Policy

Capital Bridge Securities Pte. Ltd. is dedicated to safeguarding the privacy and security of your personal and financial information. Our Privacy Policy sets out how we collect, use, store, and protect your data in accordance with the Personal Data Protection Act of Singapore (PDPA). We have implemented strong safeguards and protocols to ensure your information remains secure and confidential at all times.


Conflict of Interest Policy

We maintain a stringent Conflict of Interest Policy to identify, manage, and mitigate any potential conflicts that may arise in the course of our business operations. Our policy is designed to ensure that our clients’ interests are always prioritized, and that all business is conducted fairly and transparently.


Anti-Money Laundering (AML) & Know Your Customer (KYC)

We adhere to applicable Anti-Money Laundering (AML) and Know Your Customer (KYC) regulations. We obtain and verify the identity of our clients, monitor transactions for suspicious activity, and maintain appropriate records to prevent illicit financial activities. By engaging with us, you acknowledge and agree to provide any necessary documentation required to meet these obligations.


Important Disclaimers

No Offer or Solicitation: The information on this website is for informational purposes only and does not constitute an offer to sell, or a solicitation of an offer to buy, any security, product, or service.

Forward-Looking Statements: Any forward-looking statements or projections made on this website are based on current expectations and assumptions, which are subject to change. Actual results may differ materially.

Past Performance: Past performance is not indicative of future results. The value of investments can go down as well as up.

Market Risks: All investments involve risk, including the potential loss of principal. Institutional investors should consult their own financial advisors to determine the suitability of any investment strategy.


For further clarification on any of the information presented here, please do not hesitate to contact us.