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Regulatory Disclaimer & Compliance Statement

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Seduris Wealth SA is an independent asset management company incorporated in Switzerland and is duly licensed and supervised by the Swiss Financial Market Supervisory Authority (FINMA) as a portfolio manager pursuant to the Financial Institutions Act (FinIA).
 
Seduris Wealth provides investment management and advisory services to professional and institutional clients in accordance with Swiss regulatory requirements. Our activities are conducted with full adherence to applicable AML (Anti-Money Laundering), KYC (Know Your Client), and cross-border compliance protocols.
 
Jurisdictional Disclaimer
 
The information contained on this website is not directed at or intended for distribution to any person or entity in any jurisdiction where such distribution or use would be contrary to local law or regulation. It is the responsibility of each visitor to ensure that their access to this website is in accordance with the laws applicable in their jurisdiction.
 
Services and investment products described herein may not be available to residents or citizens of certain countries, including the United States, except under applicable exemptions such as Regulation D (for Accredited Investors). Seduris Wealth does not conduct any retail or general public marketing of securities in the U.S. or in jurisdictions where such activity requires registration or licensing.
 
Professional Client Criteria
 
Certain offerings described on this website may only be available to professional clients, qualified investors, or accredited investors as defined under relevant regulations including MiFID II (EU), FinSA (Switzerland), or Reg D (USA).
 
Seduris Wealth SA does not provide investment advice or portfolio management services to retail investors unless permitted by law under specific exemptions and only after completing all suitability and onboarding checks.
 
Risk Disclosure
 
Investing in financial instruments, including asset-backed bonds and real asset strategies, involves risk of loss, and past performance is not indicative of future results. Potential investors are urged to consult their legal, tax, and financial advisors before making any investment decision.
 
Data Privacy & Security
 
Seduris Wealth adheres to strict data protection and client confidentiality policies in line with Swiss law and GDPR (where applicable). Personal data is collected only for compliance and operational purposes and is never shared without consent or legal obligation.
 
Contact for Regulatory Matters
 
For any compliance-related inquiries or to request regulatory documents,
please contact: 📧 compliance@seduriswealth.com

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Regulated activities are currently conducted under Del Mar Research GmbH, which is licensed by FINMA and undergoing a formal name change to Seduris Wealth SA.

Seduris Wealth SA is a FINMA-regulated Swiss asset manager. Services provided to qualified clients only. This content does not constitute investment advice or no solicitation.

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