Regulation
At I Grow Networks, our clients are at the heart of everything we do. Guided by our "Clients Come First" philosophy, we ensure that our financial operations are governed by stringent international regulations for the safety and security of client assets.
I Grow Regulatory Compliance
We hold international licenses from both the USA, AU, & UK, reflecting our commitment to upholding the highest regulatory standards in the industry.
USA REGULATION:
Our operations in the United States are governed by several key regulatory.
- US SEC (United States Securities and Exchange Commission)
As a financial services provider, we adhere to SEC regulations that safeguard investors and maintain fair, orderly, and efficient markets. Our compliance with SEC rules ensures transparency and protection for all our clients.
 
- US FINRA (United States Financial Industry Regulatory Authority)Â
We are registered with FINRA under License No: CRD 24409. FINRA’s oversight ensures that we operate with integrity, ensuring investor protection and market fairness. We strictly follow FINRA’s regulations to maintain compliance and uphold industry standards.
 
- US FinCEN (United States Financial Crimes Enforcement Network)Â
We are registered with FinCEN under MSB Registration Number: 31000255627030. This registration signifies our commitment to combating financial crimes, including money laundering and terrorist financing. Our compliance with FinCEN ensures that we maintain the highest standards of financial integrity and security.
 
AUSTRALIA REGULATIONS:
Our operations in the United States are governed by several key regulatory.
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- ASIC (Australian Securities & Investments Commission)
We are licensed by ASIC under License No: 444062, authorizing us to provide payment and exchange services. ASIC’s regulation ensures that our operations are compliant with Australia’s financial laws, promoting transparency, fairness, and trust in our offerings.

- AUSTRAC (Australian Transaction Reports and Analysis Centre)
Our operations in Australia are also governed by AUSTRAC, with dual registrations:

These registrations highlight our commitment to meeting stringent requirements for anti-money laundering and counter-terrorism financing. Our compliance with AUSTRAC regulations ensures that our financial transactions are secure and fully aligned with Australian legal standards.
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UK Regulation:
I Grow Networks is licensed under the Financial Conduct Authority (FCA), a globally respected regulatory body. This license guarantees that our services comply with UK laws, providing a secure, compliant environment for managing investments and asset management solutions.
 
Commitment to Regulatory Standards
Our adherence to international regulatory frameworks not only protects our clients’ assets but also reinforces our dedication to transparency, legal compliance, and investor protection. With a strong foundation in global financial regulations, we offer clients the confidence and security they need for successful financial growth.
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