ATGPrime Proprietary Trading Program

ATGPrime delivers consistent global returns through strategy-driven trading and disciplined risk control.

Proprietary Trading · Strategy-Driven · Risk-Controlled · Stable Returns

The ATGPrime Proprietary Trading Program

The ATGPrime Proprietary Trading Program is driven by strategy and guided by risk. Through advanced quantitative research and intelligent execution systems, it delivers stable and sustainable returns across multi-asset markets, supported by global liquidity infrastructure and robust risk management.

"Smart Strategy. Measured Risk. Steady Profit."

Global Offices

A Multi-Strategy System

For Consistent Global Returns

Global Offices

The ATGPrime proprietary trading program is specifically designed for institutions with either their own capital or investor funds. The objective is to achieve continuous and stable returns in the global foreign exchange, precious metals, commodities, index, and digital asset markets through efficient execution, dynamic risk control, and multi-strategy trading.

Core Advantages

  • Centralized Fund Management: Flexible allocation to different strategies and markets.
  • Multi-Strategy Execution: Arbitrage, trend-following, hedging, and quantitative models.
  • Closed-Loop Risk Control: Real-time monitoring, automatic hedging, and risk pool management.
  • Compliance and Transparency: Adhering to major global regulatory frameworks.

Trading Strategy Framework

High-Frequency Trading (HFT)

Leverages low-latency infrastructure to capture micro-price movements, generating profits from spreads and liquidity incentives.

Cross-Market & Cross-Asset Arbitrage

Integrates opportunities across exchanges and asset classes to construct diversified, multi-layered return structures.

Machine Learning & AI Decision Models

Applies historical data training and reinforcement learning algorithms for adaptive optimization and continuous strategy evolution.

Statistical Arbitrage

Employs correlation and cointegration models to identify price deviations and mean-reversion opportunities across related instruments.

Volatility Strategies

Utilizes volatility models in options, precious metals, and forex markets to capture nonlinear returns driven by market fluctuation.

Algorithmic Trading

Based on predefined strategies and models, trades are automatically executed by programs to enhance efficiency and reduce human intervention.

Risk Management System

Multi-layer Protection Framework

  • Centralized Fund Management: Flexible allocation to different strategies and markets.
  • Multi-Strategy Execution: Arbitrage, trend-following, hedging, and quantitative models.
  • Closed-Loop Risk Control: Real-time monitoring, automatic hedging, and risk pool management.
  • Compliance and Transparency: Adhering to major global regulatory frameworks.
Global Offices

Technology Infrastructure And Team & Governance

Technology Infrastructure

  • ATG Liquidity Bridge™: Low-latency liquidity bridge system for seamless execution and price aggregation.
  • OTSTrader™: Proprietary quantitative trading platform supporting API integration and automated execution.
  • Prime Aggregator: Real-time multi-liquidity source quoting and matching system.
  • AI Risk Engine: Machine learning–based risk prediction and management model.
  • Data Lake: Comprehensive market data and behavioral analytics system.

Core Team Background & Governance Structure

  • Composed of professionals from international investment banks, proprietary trading firms, and hedge funds.
  • Expertise in statistical modeling, quantitative development, and market microstructure research.
  • Extensive experience in cross-asset and multi-time-zone trading operations.
  • Strategy Level: Quantitative Researchers & Data Scientists
  • Execution Level: Trading Supervisors & Risk Managers
  • Oversight Level: Risk Committee & Compliance Monitoring Group