Institutional trading

Execution infrastructure built around professional workflows.

Aggregate liquidity, apply routing logic, manage multi-venue execution and unify trading workflows through one institutional interface.

EXECUTION LAYER

From price discovery to post-trade visibility.

Order and execution management
Liquidity aggregation and routing
RFQ-style institutional workflows
Allocations, limits and reporting hooks
Trading stack

Support different institutional operating models.

Configure the platform around funds, brokers, banks, OTC businesses or proprietary trading workflows without forcing every participant into the same interface.

Smart Routing

Define routing policies across connected venues and counterparties based on your execution logic.

Aggregated Liquidity

Normalize market access into a consolidated view that can support internal and external price sources.

RFQ Workflows

Enable high-touch and electronic quote workflows for block and relationship-driven trading.

Trader Controls

Apply permissions, limits and portfolio-level controls around who can trade and how.

Allocations

Structure account, portfolio and customer allocations in a workflow that fits the operating model.

Post-Trade Data

Capture execution information for reconciliation, analytics and downstream reporting.

For institutions

One entry point to a fragmented market.

Buy-sideFunds, asset managers and treasury teams
Sell-sideBrokers, banks and customer-facing platforms
LiquidityExchanges, OTC desks and market makers