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This is the website of the Churchill Group (“we”, “us”, “our”) under the domain name Your use of this site and its contents, including the information, graphics and material is subject to these Terms of Use. By using this site you agree to follow and be bound by these Terms of Use.           

We reserve the right, at our discretion, to amend these Terms of Use at any time, and any such modification will be effective immediately upon posting the modification on this Site. You should check these Terms of Use regularly for amendments. By using this Site after amendments have been posted, you will be bound by such amendments.

Investment Services

We offer investment services to institutional clients only.  That means that if you are a retail client we will not be able to service you.  Our member companies are registered with the appropriate regulatory bodies in the jurisdictions in which they operate, details of which are provided below.  Our member companies offer their services subject to the conditions of their respective registrations and authorisations.

No information or other content available through this website is in fact or purports to be legal or tax advice and should not be relied upon as such. You are solely responsible for seeking advice on any such issues, which considers your particular circumstances.

Any information presented on this website has been prepared without considering the objectives, financial situation or needs of any individual (“Your Needs”) and does not constitute any financial advice. Before acting on any information contained on this website, you should consider the appropriateness of the advice to your circumstances having regard to Your Needs. 

Any offer of product or services contained herein is directed only at countries other than the United States, except for certain institutional investors. Any transactions in the securities discussed herein that are executed by Churchill Capital affiliates on behalf of U.S. resident fiduciaries must be effected by Churchill Capital USA, Inc.

Churchill Capital USA, Inc. and Churchill Capital Ltd. have notified the Alberta Securities Commission (, the Autorité des marchés financiers (, the New Brunswick Securities Commission (, the Nova Scotia Securities Commission (, and the Ontario Securities Commission ( that each entity is relying on the "International Dealer" exemption from registration for trades involving Canadian residents.

Group Companies

Churchill Capital Ltd is licensed to conduct Investment Business by the Bermuda Monetary Authority

Churchill Capital USA, Inc. is a US Broker Dealer regulated by FINRA (, CRD# 143278 (, SEC# 8-67547

Churchill Capital UK Limited is authorised by the Financial Conduct Authority under
licence number 225631

Churchill Capital Australia Pty. Ltd. holds Australian
Financial Services Licence 306207

Churchill Capital S.A.M. (Monaco)
Registration: 6630Z10960

Churchill Singapore Pte Ltd is an Exempt Financial Advisor under the Monetary Authority of Singapore


We have adopted a privacy policy which is based on the requirements of the relevant privacy legislation in each jurisdiction in which we operate.  Our  web site is hosted externally by (

We record information about your visit to our site solely for the purpose of compiling statistical data and reporting on the usage of the website.

Information recorded by us includes, the date and timing of your visit, which pages you accessed and the type of browser you used to undertake this.

Other than through the website, we only collect personal information as necessary to provide a service to our clients. We use personal information to undertake our business activities and facilitate our legal and compliance operations.

This information is only made available to our employees and advisors who require the information in order to manage and service our business.

We reserve the right to disclose personal information (as may be necessary) when required by law, on a confidential basis to our agents, advisors or other third party service providers which provide services to our business, and when our clients authorise the disclosure to a third party at their direction. If you would like more information about our privacy policy please contact

Business Continuity for the U.S. Region

Consistent with FINRA Rule 4370(e), the US Broker-Dealer maintains a business continuity plan, which can be found here

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