TB
TrustBroker Global Digital Intelligence
Back to List
EX

EXCENT CAPITAL

Audit ID: #35 Risk Alert
1.4
Regulation 0.0
License 0.0
Software 4.0
Risk Control 0.0
Business 6.2

Data Source: WikiFX (天眼评分). Evaluated across 5 key dimensions: Regulation, License, Software, Risk Control, and Business capabilities.

Last Updated: Feb 02, 2026

Broker Operational DNA

Regulation Status
Unverified
License Quality
Historical Record
Software Suite
MT4/MT5 Compatible
Audit Confidence
High Risk
Visit Website
Secure Connection
Investment Protection

Connect with AA-Rated verified brokers through our private channel.

Audit Executive Summary

"TrustBroker verified by retrieving records from wikifx.com on February 3, 2026. The overall score of 1.41 indicates an extremely high-risk profile. The regulatory and risk control scores are 0.00, suggesting suspected serious deficiencies in compliance qualifications. Investors are strongly advised to stay away."

Regulatory Certificate

Official Registry Citation

All regulatory information displayed below is retrieved directly from the official databases of the respective financial authorities (e.g., FCA, ASIC, CySEC). Data is cross-referenced with WikiFX intelligence to ensure authenticity. Last Synchronized: Feb 02, 2026

The Seychelles Financial Services Authority

The Seychelles Financial Services Authority

Unverified

Derivatives Trading License (EP)

Entity

Excent Capital Ltd

Effective

--

Sharing

No Sharing

Phone

of Licensed Institution: +248 4373651

Address

of Licensed Institution: CT House, Office 3C, Providence, Mahe, Seychelles

Website Link
AUDIT REF: EXCENT C Chain Verified 2026
Full Disclosure Mode

Forensic Audit Investigation

TrustBroker Third-Party Investigation Report

Based on real-time monitoring data synchronized by TrustBroker in the WikiFX database, this report provides an independent audit of EXCENT CAPITAL. The broker's extremely low overall score of 1.41 warrants a high-risk classification.

[Regulatory Section]: The broker holds a Derivatives Trading License from The Seychelles Financial Services Authority, but its status is marked as 'Unverified' with a regulation score of 0.00. This indicates a lack of verified, enforceable protections such as mandatory client fund segregation agreements typically enforced by stringent regulators. The license details, including effective and expiration dates, show a delay in synchronizing information from public channels. Users should manually verify the current status on the official website of the regulatory agency.

[Physical Section]: Specific execution speed and spread parameters are currently in verification synchronization (Data as of February 2026). The business score of 6.21 suggests some operational activity, but this is overshadowed by the critical compliance failures indicated by the 0.00 scores in regulation and risk control.

[Transparency Logic]: Several data points, such as license effective dates, are marked '--', which reflects a delay in information synchronization via public channels rather than a confirmed defect. For the most accurate and current information, investors are directed to perform manual verification on the broker's official website or the official website of the relevant regulatory authority.

Standard Industry Risk Disclosure

Trading foreign exchange, CFDs, and other financial instruments on margin carries a high level of risk and may not be suitable for all investors. The high degree of leverage can work against you as well as for you. Before deciding to trade, you should carefully consider your investment objectives, level of experience, and risk appetite.