Building Global Market Making Infrastructure for Clients

Global Liquidity · Robust Risk Management · Profitable Market Making

ATG Market Maker: Controlled Risk, Sustainable Returns

The ATGPrime Market Maker Solution is specifically designed for forex, precious metals, energy, commodities, and digital asset markets. It integrates four core capabilities: liquidity bridging, risk management, order internalization, and revenue optimization.

Through flexible allocation of A-Book and B-Book strategies, combined with ATGPrime's RADAR risk engine, it enables trading institutions to provide market liquidity while achieving controlled risk and sustainable profitability.

Global Offices

ATGPrime Market Making

Intelligent Architecture for Liquidity, Risk & Compliance

Global Offices

A-Book / B-Book Hybrid

  • A-Book Execution: Direct connectivity to global LPs, banks, and ECNs ensures high-speed order hedging and transparent execution.
  • B-Book Execution: Internal matching and risk pool management internalizes small or high-frequency orders to enhance profit margins.
  • Hybrid Mode Intelligence: Intelligently routes orders based on trading rules (volume, client profile, timeframes) to optimize the balance between profitability and risk.

Liquidity & Pricing Management

  • Global Liquidity Aggregation: Connects to top-tier global liquidity providers to deliver deep, executable market depth across multiple asset classes.
  • Dynamic Spread Management: Enables real-time bid-ask spread adjustment optimized for normal, high-volatility, and low-liquidity market environments.
  • Automated Pricing Engine: Maintains stable and competitive quotes through intelligent, algorithm-driven pricing systems.
Global Offices
Global Offices

Risk Management (ATG RADAR Engine))

  • Real-Time Risk Monitoring: Tracks live exposure per client, overall portfolio positions, and real-time market risk across all trading activities.
  • Auto-Hedging Triggers: Executes automatic hedging strategies using instruments like forwards, futures, and swaps when predefined risk thresholds are breached.
  • Proactive Risk Alerts & Reporting: Delivers instant risk notifications and live exposure reports to prevent blowout risks during extreme market volatility.

Reporting & Compliance

  • Unified Reporting Infrastructure: Built-in server with SQL database and cloud storage supports both daily and real-time reconciliation processes.
  • Seamless Regulatory Integration: Pre-configured interfaces for global compliance standards including EMIR, MiFIR, MAS, ASIC, CFTC, and NFA requirements.
  • Automated Report Generation: Systematically produces client statements, liquidity provider reconciliation reports, and internal risk management documentation.
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Technical Advantages

This suite of technical advantages delivers a powerful combination of speed, resilience, and adaptability—providing the foundational infrastructure for competitive trading operations across global markets.

Lightning-Fast Execution

Millisecond-order matching engineered for high-frequency trading and block orders.

Robust Stability

Multi-data center redundancy architecture guarantees 24/7 uninterrupted operation.

Ultimate Flexibility

ustomizable A/B Book routing logic, spread management, and risk pool configuration.

Compliance Embedded

Seamless integration with global regulatory reporting frameworks for cross-border compliance.

Multi-Asset Universe

Comprehensive coverage across forex, gold, silver, crude oil, indices, and digital assets.

Revenue Models

Our revenue structure is built upon delivering core value, generating income through transparent spreads, sophisticated risk management, and partnership-based commissions, ensuring our success is aligned with that of our clients.

Global Offices

Risk Management System (ATG RADAR)

This diversified revenue framework enables market participants to capture value across multiple dimensions—from dynamic spread management and order internalization to sophisticated arbitrage strategies—while creating aligned incentives with clients and partners through transparent fee structures.

  • Spread Revenue: Generate increased profits through flexible spread management during market volatility.
  • Internalization Profit: Internalize select client orders to capture spreads and liquidity pool returns.
  • Hedging Arbitrage: Execute cross-platform and cross-regional liquidity arbitrage to enhance overall returns.
  • Service & Commission: Share revenues with clients and partners through service fees and commission structures.

Our Clients

We work with a diverse range of clients, including global financial institutions, proprietary trading firms, family offices, and investment funds, who trust us to deliver exceptional market making services.

Market Analysis

Brokers

Build proprietary liquidity pools to diversify revenue streams.

Technology

Trading Platforms

Enhance system stability and strengthen client retention.

Risk Management

Proprietary Trading Firms

Maximize profitability within controlled risk parameters.

Market Analysis

Family Offices / Investment Funds

Generate stable cash flow through market making operations.