Regulation. Transparency. Accountability.

Operating under the supervision of the U.S. Securities and Exchange Commission (SEC) and the Financial Crimes Enforcement Network (FinCEN), BlueCrest Capital Management Ltd (U.S.) upholds the highest standards of investor protection, compliance governance, and operational integrity.

Regulatory Overview

Our Licensing & Oversight

BlueCrest Capital Management Ltd (U.S.) is a fully regulated investment management firm operating within the U.S. federal securities and financial framework.

Authority

License / Registration

Scope

U.S. Securities and Exchange Commission (SEC)

Registered Investment Entity

Authorized to provide institutional investment management and advisory services under U.S. securities laws

Financial Crimes Enforcement Network (FinCEN)

Money Services Business (MSB) License

Registered to conduct financial operations with full AML / CFT compliance and reporting obligations

Good Standing Status – Active registrations confirmed with both agencies.
Verification: SEC.gov • FinCEN.gov

Disclosure Documents

Publicly Available Disclosures

We maintain transparent disclosure of all required documents for institutional review and regulatory due diligence.

Available Documents:

Certain documents are available exclusively to qualified or institutional investors upon request.

Privacy & Data Protection

Safeguarding Your Information

We are committed to protecting all client and counterparty data through strict confidentiality, encryption, and limited-access protocols.

Our Privacy Policy aligns with:

Investor Eligibility

Service Availability

In compliance with U.S. federal securities law, services offered by BlueCrest Capital Management Ltd (U.S.) are restricted to:

We do not solicit or provide services to retail investors or individuals not meeting SEC qualification standards.

Risk Disclosures

Understanding Investment Risks

All investments involve risk, including potential loss of principal. Market conditions, interest rate movements, currency fluctuations, and geopolitical events can impact performance.

Past performance does not guarantee future results.
No material on this website constitutes investment advice or an offer to sell securities.

Investors should review all offering documents, risk factors, and suitability criteria before participating in any strategy.

Legal & Compliance Contact

Compliance Inquiries

 For regulatory or compliance-related questions, please contact:
📩 compliance@bluecrestus.com
Our Compliance Department will respond to institutional inquiries within 2–3 business days.

 

BlueCrest Capital Management Ltd (U.S.) is registered with the U.S. Securities and Exchange Commission (SEC) and licensed by FinCEN as a Money Services Business (MSB).
This page is for informational purposes only and does not constitute investment advice, solicitation, or an offer of securities.
Access to certain documents and services is limited to qualified institutional investors under applicable regulations.