Trading Styles:
Current
| Indigo 360 Advice | Trading From | 29 Jun 2022 |
| AXG Advice Ltd | Registered From | 17 May 2022 |
Previous From To
| AXG Asset Management Limited | Registered | 09 Mar 2022 | 16 May 2022 |
| AXG Asset Management | Registered | 02 Sept 2021 | 09 Mar 2022 |
| AXG ASSET MANAGEMENT LIMITED | Registered | 02 Sept 2021 | 02 Sept 2021 |
| AXG Asset Management | Trading | 02 Sept 2021 | 10 Nov 2021 |
| AXG Asset Management | Registered | 11 Feb 2021 | 02 Sept 2021 |
| GSB Capital | Trading | 31 Jan 2021 | 03 Feb 2023 |
| Wealth Management Partners Limited | Registered | 05 Aug 2020 | 11 Feb 2021 |
| AHR Asset Management | Trading | 29 Jun 2020 | 11 Feb 2021 |
| AHR Financial Planning | Trading | 29 Jun 2020 | 11 Feb 2021 |
| AXG Asset Management | Trading | 29 Jun 2020 | 11 Feb 2021 |
| AXG Asset Management Limited | Registered | 08 May 2019 | 05 Aug 2020 |
| AXG Fixed Income | Trading | 22 Apr 2019 | 02 Sept 2021 |
| AXG Money | Trading | 22 Apr 2019 | 02 Sept 2021 |
| AXG Money Limited | Registered | 08 Jan 2018 | 08 May 2019 |
| Pension Money | Trading | 08 Jan 2018 | 02 Sept 2021 |
| The Salmon Partnership | Trading | 20 Oct 2010 | 07 Jun 2017 |
| The Salmon Financial Partnership Limited | Registered | 13 Apr 2006 | 08 Jan 2017 |
Why can you claim for compensation or redress against AXG Advice Ltd, formerly The Salmon Financial Partnership Ltd
The Financial Services Compensation Scheme has declared AXG Advice Ltd, formerly The Salmon Financial Partnership Ltd as failed as of 02/05/25.
The firm is in an insolvency process.
Background
Companies House show the Company was incorporated on 17/01/2006.
According to the FCA Register the company has been authorised since 03/07/2006 and has applied to cancel its authorisation since 11/04/24.
This company is associated with claims for pension transfer advice and self-invested personal pensions.
Who was involved?
The following is a list of individuals who are currently or were previously involved in regulated activities at AXG Advice Ltd, formerly The Salmon Financial Partnership Ltd
Current
| Gary Michael Day |
| Gabor Nagy |
| Adrian Stuart Westbrook Douglas |
| Liam Patrick George Martin |
Previous
What can this firm do in the European Economic Area?
Passport out: Regulated activities this firm can offer in other EEA countries.
A ‘passport’ enables this authorised firm to provide financial products or services, set up a base, or carry on its permitted activities in Gibraltar.
Country
GIBRALTAR
Directive
Insurance Distribution
Passport type
Service
Insurance Distribution or Reinsurance Distribution
Appointed representatives and agents.
The following are the Appointed Representatives and Payment services / Electronic money agents currently or previously connected with this firm. In each case, the principal is / was responsible for the regulated activities carried out on its behalf by its appointed representatives / agents during the dates shown below as Effective from and Effective to (when the relationship ended). An agent or Appointed Representative may act of behalf of more than one principal firm.
Current
| E44 Ltd | Effective From 23 Nov 2017 |
Previous From To
| Clark Brookes Turner Cary Wealth Management Ltd | 22 Apr 2013 | 18 Apr 2017 |
| Pinfields Wealth Management Ltd | 01 Sept 2010 | 18 Apr 2017 |
How can we help?
We have helped thousands of customers on a no-win no-fee basis get the compensation and justice they deserve when making claim against regulated companies like AXG Advice Ltd, formerly The Salmon Financial Partnership Ltd
How does it work?
The first step is a free no-obligation consultation, you can learn more about services on our making a claim page.
Once we have assessed your claim, if we believe you are due compensation then we will help you build the best possible complaint by launching a full investigation, gathering evidenced from all the relevant parties to package your claim and submit to the Financial Services Compensation Scheme. We will argue your case to ensure you receive the maximum amount of compensation available to you.
Seek Claim Advice Today
We offer an expert pension consulting service. One of our experts will be able to talk through your options and tell you what the best option for you is. If you do decide to use our services, then know that our fees are very reasonable. However, you need to act fast as there may be time-barring restrictions in place.
Call us now for a phone or video consultation with one of our legal experts on 0800 041 8358 to find out if you are entitled to compensation, you may even be entitled to additional compensation if you have successfully claimed in the past.
NB: Information for this page was gathered on 08/05/2025 from the following sources, FSCS Website, FCA Register, Companies House Register and is to our knowledge accurate as of that date.
Company background (public record)
The company was incorporated at Companies House on 17 January 2006 under company number 05677304. Its status at Companies House is recorded as dissolved.
Registered office: Resolve Advisory Limited, 22 York Buildings, London, WC2N 6JU.
Previously named: AXG ASSET MANAGEMENT LIMITED; WEALTH MANAGEMENT PARTNERS LIMITED; AXG ASSET MANAGEMENT LIMITED; AXG MONEY LIMITED; THE SALMON FINANCIAL PARTNERSHIP LIMITED.
Nature of business (SIC): 66190.
Company timeline (public record)
Key dated events for this firm, drawn from public records. Each entry shows its source.
| Date | Event | Source |
|---|---|---|
| 03 Jul 2003 | Robin Davies approved by the FCA at the firm | FCA Register |
| 17 Jan 2006 | Company incorporated | Companies House |
| 17 Jan 2006 | Jennifer Walker appointed secretary | Companies House |
| 17 Jan 2006 | Jpcors Limited appointed corporate-nominee-secretary | Companies House |
| 17 Jan 2006 | Jpcors Limited resigned as corporate-nominee-secretary | Companies House |
| 17 Jan 2006 | Robin Joseph Davies appointed director | Companies House |
| 17 Jan 2006 | Jpcord Limited appointed corporate-nominee-director | Companies House |
| 17 Jan 2006 | Jpcord Limited resigned as corporate-nominee-director | Companies House |
| 13 Mar 2009 | Alan Danks approved by the FCA at the firm | FCA Register |
| 01 Sep 2010 | Pinfields Wealth Management Ltd appointed as appointed representative | FCA Register |
| 07 Dec 2011 | Halina Joan Margaret Venn appointed secretary | Companies House |
| 01 Mar 2021 | Mohammed Aftab Ahmed Khan approved by the FCA at the firm | FCA Register |
| 01 Mar 2021 | Adrian Stuart Westbrook Douglas approved by the FCA at the firm | FCA Register |
| 01 Mar 2021 | Liam Patrick George Martin approved by the FCA at the firm | FCA Register |
| 07 Feb 2022 | Daniel Goggin approved by the FCA at the firm | FCA Register |
| 12 Feb 2022 | Timothy John Corcoran resigned as director | Companies House |
| 12 Feb 2022 | Adam John Royce resigned as director | Companies House |
| 09 Mar 2022 | Paul Michael Shadbolt approved by the FCA at the firm | FCA Register |
| 13 May 2022 | Company renamed (previously AXG ASSET MANAGEMENT LIMITED) | Companies House |
| 31 May 2022 | Bernard Buckley approved by the FCA at the firm | FCA Register |
| 31 Mar 2023 | Anthony Paul David Catt approved by the FCA at the firm | FCA Register |
| 09 Feb 2024 | Company wound up (creditors’ voluntary liquidation) | Companies House |
| 09 Feb 2024 | Insolvency practitioner appointed: Cameron Gunn | Companies House |
| 09 Feb 2024 | Insolvency practitioner appointed: Simon Jagger | Companies House |
| 02 May 2025 | Declared in default by the FSCS | FSCS |
| 11 Jul 2025 | Company dissolved (creditors’ voluntary liquidation) | Companies House |
| 19 Sep 2025 | FCA status recorded as: No longer authorised | FCA Register |
| 19 Sep 2025 | E44 Ltd ceased as appointed representative | FCA Register |
Focused on the firm’s early history and the events leading up to and following its failure. 29 routine entries from its active years are omitted.
Who was involved?
The following individuals are listed on public records in connection with the firm. These are matters of public record only and their inclusion does not imply any wrongdoing by any named person.
- Anthony Paul David Catt. Listed on the FCA Register as having held SMF17 Money Laundering Reporting Officer (MLRO) (31/03/2023 to 20/07/2023), SMF16 Compliance Oversight (31/03/2023 to 20/07/2023) at the firm.
- Timothy John Corcoran. Listed on the FCA Register as having held CF30 Customer (05/09/2019 to 08/12/2019), CF1 Director (05/09/2019 to 08/12/2019), SMF3 Executive Director (09/12/2019 to 24/04/2022) at the firm.
- Adam John Royce. Listed on the FCA Register as having held SMF17 Money Laundering Reporting Officer (MLRO) (09/12/2019 to 07/03/2022), SMF16 Compliance Oversight (09/12/2019 to 07/03/2022), SMF3 Executive Director (09/12/2019 to 07/03/2022), CF11 Money Laundering Reporting (29/11/2017 to 08/12/2019) at the firm.
- Ross Andrew George Whatnall. Listed on the FCA Register as having held [FCA CF] Client dealing (25/02/2021 to 22/06/2022), [FCA CF] Functions requiring qualifications (25/02/2021 to 22/06/2022) at the firm.
- Mohammed Aftab Ahmed Khan. Listed on the FCA Register as having held [FCA CF] Client dealing (01/03/2021 to 18/05/2023), [FCA CF] Functions requiring qualifications (01/03/2021 to 18/05/2023) at the firm.
- Gary Michael Day. Listed on the FCA Register as having held CPD21 – Advising or arranging equity release transactions (from), CPD20 – Advising or arranging regulated mortgage contracts (from), CPD11 – Pension transfer specialist (from), CPD7 – Personal recommendation on long-term care insurance (from) at the firm.
- Daniel Goggin. Listed on the FCA Register as having held [FCA CF] Client dealing (07/02/2022 to 22/08/2022), [FCA CF] Functions requiring qualifications (07/02/2022 to 22/08/2022) at the firm.
- Bernard Buckley. Listed on the FCA Register as having held [FCA CF] Client dealing (31/05/2022 to 16/02/2023), [FCA CF] Functions requiring qualifications (31/05/2022 to 16/02/2023) at the firm.
- Luke James Mortimer-Westbury. Listed on the FCA Register as having held [FCA CF] Client dealing (22/06/2020 to 18/01/2021), [FCA CF] Functions requiring qualifications (22/06/2020 to 18/01/2021) at the firm.
- Paul Michael Shadbolt. Listed on the FCA Register as having held [FCA CF] Functions requiring qualifications (09/03/2022 to 13/12/2022), [FCA CF] Client dealing (09/03/2022 to 30/12/2022) at the firm.
Appointed Representatives and Agents
While it was authorised, the firm acted as principal for the following appointed representatives. An appointed representative carries on regulated business under the responsibility of its principal, so their conduct can be relevant to a claim.
| Appointed representative | Reference | Effective from | Ended |
|---|---|---|---|
| Clark Brookes Turner Cary Wealth Management Ltd | FRN 599841 | 22/04/2013 | 18/04/2017 |
| E44 Ltd | FRN 587971 | 23/11/2017 | 19/09/2025 |
| Pinfields Wealth Management Ltd | FRN 530939 | 01/09/2010 | 18/04/2017 |
Review page sources: FCA Register (FRN 450813) · Companies House (05677304) · FSCS. Public records, provided for transparency.


