About Us | INVESTMENT RISK MANAGEMENT LTD

ABOUT US

Built on Experience. Driven by Discipline.

INVESTMENT RISK MANAGEMENT LTD brings together market expertise, structured risk management, professional trading operations and modern financial technology within one evolving ecosystem.

More Than a Company Name

Investment Risk Management is built around a simple principle: participation in financial markets requires more than opportunity. It requires structure, discipline, technology and an understanding of risk.

Since its incorporation in 2009, the company has developed within changing global market environments while maintaining a focus on professional market operations, analytical infrastructure and structured decision-making.

INVESTMENT RISK MANAGEMENT LTD
Corporate Identity
Company Number
06880571
Incorporated
17 April 2009
Company Status
Active
Company Type
Private Limited Company
Registered Office
18–19 Salmon Fields Business Village
Salmon Fields Royton
Oldham
OL2 6HT
United Kingdom

Independently Verifiable Corporate Information

Corporate information should not rely solely on statements made by a company. INVESTMENT RISK MANAGEMENT LTD can be independently reviewed through the official UK Companies House register.

The FCA record states that the firm is authorised for specific activities and product types. Please note that possessing an FCA Firm Reference Number does not mean that every product, investment activity, or digital-asset service described anywhere on this website is FCA-regulated or covered by regulatory protection. Visitors are encouraged to independently inspect the official FCA Register for the exact scope of permissions.

GOV.UK
Corporate Registration
Companies House
06880571
Verify on GOV.UK
FCA
Regulatory Information
Financial Conduct Authority
501839
Verify FCA Register
Leadership & Corporate Responsibility
Philip Stephen Wilde
Role
Director — Active
Appointed
15 May 2009
Nationality
British
Country of Residence
United Kingdom
Identity Verification
Verification requirements complete
Kathleen Helen Wilde
Role
Secretary — Active
Appointed
15 May 2009
Nationality
British
Ownership & Significant Control
INVESTMENT RISK MANAGEMENT LTD
Notified: 2 October 2023
Mrs Kathleen Helen Wilde
Active Person with Significant Control
Nature of Control
Ownership of shares — More than 25% but not more than 50% Ownership of voting rights — More than 25% but not more than 50% Right to appoint or remove directors
Notified: 16 April 2017
Mr Philip Stephen Wilde
Active Person with Significant Control
Nature of Control
Ownership of shares — More than 25% but not more than 50%
2009 2026

Built Through Changing Markets.

17 April 2009 — Incorporated in the UK

Financial markets have changed substantially since 2009. Market structure, technology, digital assets, trading infrastructure and data analysis have continued to evolve. Our approach is built around adapting to that changing environment while maintaining structured risk principles.

Who We Are Today

INVESTMENT RISK MANAGEMENT LTD operates at the intersection of professional market participation, risk management, technology and digital-asset infrastructure. The company's broader operating environment combines professional traders with proprietary analytical technologies designed to support market monitoring, structured analysis and disciplined decision-making.

3,200+
Global Trading Network
Global Expertise. Connected Infrastructure.

Markets Change. Principles Matter.

Markets Evolve. So Do We.

Since 2009, financial markets have continued to evolve through changing economic cycles, technological development and the emergence of new asset classes. Our operating approach is built around adapting to that environment through market expertise, structured risk principles and modern analytical technology.

Professional Market Participation

Markets are complex, adaptive systems. No single model, indicator or individual perspective is sufficient across every market environment. The company's trading ecosystem is designed around professional participation operating within defined frameworks, analytical processes and risk-management principles.

Technology Built for Internal Intelligence

Alongside professional market participation, the company uses proprietary analytical technology, including AI-assisted systems and internal trading tools, to support data interpretation, market monitoring and operational decision-making.

These systems are intended for internal company operations and are not presented as public consumer trading software.

Experience Meets Intelligence

Professional Traders
Market Data
AI-Assisted Analysis
Risk Framework
Structured Decision-Making

Risk Is Part of Every Decision

Risk cannot be eliminated. It must be understood, measured and managed.

Risk management is not a separate layer added after a trading decision. It is part of the decision itself.

Capital Allocation
Position Sizing
Exposure Control
Volatility Assessment
Market Monitoring
Portfolio Oversight
Trading Discipline

Technology-Driven Capital Interaction

The platform incorporates smart-contract infrastructure within defined capital-interaction, distribution and withdrawal processes.

01
Investor
02
Smart Contract
03
Trading Framework
04
Result Calculation
05
Distribution
06
Investor Access

Capital Should Never Be Treated Casually.

Our operating philosophy is based on the principle that investor capital deserves structured processes, transparent rules and disciplined market participation. Technology should reduce unnecessary operational friction while market expertise and risk management remain central to trading decisions.

Our Operating Principles

Structure
Discipline
Transparency
Technology
Risk Awareness
Long-Term Alignment

What Professional Markets Require

  • Trading is not risk-free.
  • No strategy guarantees every trade will be profitable.
  • AI cannot eliminate financial-market uncertainty.
  • Past performance cannot guarantee future results.
  • Smart contracts introduce technical as well as operational considerations.

Trust Should Be Built Into the Structure.

Transparency is strongest when users can independently verify information, understand the rules governing capital interaction and clearly see how operational processes are designed to work.

STRUCTURE
Technology
Markets
Transparency
Capital
Risk

Experience. Structure. Technology. Risk Discipline.

INVESTMENT RISK MANAGEMENT LTD

Operating since 2009 within an evolving global financial landscape.