Multi-tiered Liquidity & Efficient Clearing Solutions

Multi-tier Liquidity Access System

ATG's liquidity network features a multi-layered architecture designed to maintain stable pricing and deep liquidity execution across all market conditions.

Liquidity Technology Solutions

Tier-1 Liquidity

Access to global top-tier banks and major Electronic Communication Networks (ECNs) ensures transparent pricing and fast execution.

Data Capture

Tier-2 Liquidity

Integrating Prime of Prime (PoP) partner resources to provide high-quality secondary liquidity channels for small and medium-sized institutions and brokers.

Compliance

ATG Internal Pool

Leveraging proprietary risk management and internal matching systems to achieve internal order flow matching, thereby increasing fill rates and optimizing spreads.

LP Bridging & Trading Technology

ATG employs a three-tier bridging architecture integrating MT5 Bridge, Aggregator, and API interfaces to achieve high-efficiency, low-latency trading connectivity

Global Offices
  • Bridge System (MT5 Bridge): Direct order routing to LP clearing channels.
  • Aggregation Engine (Liquidity Aggregator): Intelligent matching of optimal quotes with dynamic flow allocation.
  • API Interfaces (FIX/REST): Direct access support for institutional clients and quantitative traders.
  • Multi-Asset Coverage: Foreign exchange (FX), precious metals (Gold/Silver), global indices, cryptocurrency CFDs, and more.

Clearing Models

ATG provides flexible execution models (A-Book/B-Book/Hybrid) that enable brokers to balance risk control with profitability through transparent LP routing, internalized flow management, or algorithmic allocation.

Liquidity Technology Solutions

A-Book (STP/ECN Direct Clearing)

  • Direct clearing to top-tier banks and ECNs.
  • Suitable for brokers and institutional clients seeking transparent and fair pricing.
  • Revenue primarily generated through commissions and spread margins.
Data Capture

B-Book (Proprietary Market-Making Model)

  • Internalizes trading flow without connecting to external LPs
  • Enhances profit potential and optimizes capital utilization
  • Monitors client net positions and risk exposure via real-time risk control models

Compliance

Hybrid Model

  • Integrates benefits of both A-Book and B-Book models through dynamic hedging and selective internalization
  • Employs smart algorithms to evaluate client trading patterns and risk profiles, automatically routing orders to optimal clearing channels

Risk Control and Monitoring

All clearing activities comply with international regulatory standards (MiFID II/ASIC/DFSA/SFC) and AML/KYC requirements.

Meets the needs of Client net positions and exposure risks.

Price discrepancies and liquidity depth across LPs.

Order latency and slippage analysis during market volatility.

Automated hedging and stop-loss mechanisms.

Our Advantages

Multi-tier liquidity access for more stable and deeper pricing.

Market Analysis

Deep Liquidity

Multi-tier liquidity access for more stable and deeper pricing

Technology

Efficient Execution

Intelligent matching and dynamic clearing for high execution efficiency.

Risk Management

Real-time Risk Control

Proprietary risk management system with real-time exposure protection.

Market Analysis

Flexible Access

Modular APIs and white-label solutions enabling rapid partner deployment.

Market Analysis

24/7 Global Coverage

Global clearing network (Hong Kong/London/Dubai/Singapore) with 24/7 operation.