Trading Solutions Tailored For Institutional Investors

Multi-asset, multi-market, multi-strategy execution for efficiency & capital optimization

Multi-Asset Coverage

Enabling seamless access across global equities, ETFs, bonds, FX, metals, and commodities — all within one unified execution environment.

Liquidity Technology Solutions

Global Exchange Connectivity

Access to major markets including NYSE, NASDAQ, HKEX, LSE, SGX, and more.

Data Capture

Fixed Income Quote Aggregation

Real-time pricing for sovereign bonds, corporate bonds, and structured bonds.

Compliance

Flexible

Supporting gold, silver, platinum, and G10 currency pair trading.

Policy Enforcement

Comprehensive Trading Accounts

Multi-asset portfolio management under a unified risk control framework.

Block Trade & Cross-Border Execution

Expertise in executing large and complex trades across borders — with precision, discretion, and optimal cost efficiency.

  • Bulk Order Matching: Access global OTC and dark pool liquidity to minimize market impact
  • Structured Order Execution: Supports algorithmic order slicing, futures-spot arbitrage, and cross-product trading.
  • Multi-Currency Settlement System: Direct connectivity through clearing hubs in London, Dubai, Hong Kong, and Singapore.
  • Transaction Cost Analysis (TCA): Provides execution reports and cost optimization models.

Smart Execution System

Intelligent, latency-optimized execution powered by AI, algorithmic trading, and dark-pool connectivity.

  • Low-Latency Matching Engine: Millisecond-order response times, connected to LD4/TY3/SG1 data centers
  • Automated generation of client statements, financial reconciliation, and risk management reports.
  • Dark Pool Execution: Anonymous trading mechanisms protect large order confidentiality.
  • AI Execution Optimization: Real-time market microstructure learning enables dynamic trading decisions.

Tailored Liquidity Solutions

Delivering liquidity as a service — customized, aggregated, and adaptive to every client's trading profile.

Tiered Client Quoting System

Customized pricing based on trading volume and risk profile.

Multi-Source Liquidity Aggregation

Connects banks, LPs, and ECNs to deliver optimal execution prices.

Personalized Execution Channels

Supports RFQ, private matching, and dedicated limit order books.

Risk Tiering & Hedging Mechanisms

Dual-channel risk control through prime brokerage and internal liquidity pools.

Global 24/7 Execution Support

Continuous execution and monitoring — 24 hours a day, 7 days a week, across all global markets.

24/7 Global Execution

Seamless coverage across Asian, European, and American trading sessions.

Multi-Region Operations

Real-time support from hubs in Hong Kong, Dubai, Singapore, London, and New York.

International Regulatory Compliance

Adherence to FCA, SFC, MAS, and DFSA standards.

High-Availability Architecture

99.99% system uptime SLA guarantee.