SEC‑Registered Investment Adviser (RIA): Profity Capital is registered under the U.S. Investment Advisers Act of 1940, meeting all fiduciary, record‑keeping, and reporting requirements set by the SEC. FINRA & SIPC Member: We’re a member of FINRA, adhering to its stringent brokerage standards, and SIPC‑protected, which safeguards client assets in the unlikely event of firm insolvency. ISO/IEC 27001:2022 Certified: Our Information Security Management System is certified to the world’s leading standard for data protection and risk management, ensuring your information remains confidential, integral, and available. AML & KYC Compliance: We’ve implemented robust Anti‑Money Laundering (AML) and Know Your Customer (KYC) procedures, in line with FINRA’s AML template and global best practices, to prevent financial crime and protect our clients. Professional Credentials: Our advisory team holds advanced industry designations (e.g., CFA®, CFP®), ensuring you receive expert, standards‑driven guidance at every step.