Founded to serve active traders and institutional investors, Stockee LLC provides direct market access, trade execution, and clearing services. Our core focus is minimizing execution costs and providing robust trading infrastructure.
SEC & FINRA
Stockee LLC is a registered broker-dealer and futures commission merchant, strictly regulated by the Securities and Exchange Commission (SEC) and the Financial Industry Regulatory Authority (FINRA).
SIPC Protection
Client accounts are protected by the Securities Investor Protection Corporation (SIPC) up to a maximum of $500,000 (including $250,000 for cash claims).
Global Jurisdictions
Through our international affiliates, we are regulated by the FCA (UK), ASIC (Australia), and the SFC (Hong Kong), adhering to the highest global compliance standards.
Client assets are strictly segregated from firm capital in accordance with SEC Rule 15c3-3. Stockee maintains excess regulatory capital significantly above mandated requirements to ensure uninterrupted operations and counterparty stability during market stress.
We utilize proprietary SmartRouting technology to continuously scan the National Best Bid and Offer (NBBO) across dark and lit venues, prioritizing price improvement and execution speed over rebate capture.
Our white-glove Estate Management service ensures your financial legacy is securely passed on. We provide dedicated support for beneficiaries to seamlessly access, manage, and withdraw inherited portfolios with full legal compliance and top-tier security.