Execution and market access

Deep liquidity access for brokers that need reliable pricing, execution, and risk visibility

Liquidity is the market access layer of the brokerage stack. It combines pricing, depth, symbol coverage, routing, markups, execution controls, and reporting so broker teams can serve clients with confidence.

Multi

asset coverage

Low

latency routing

Live

execution controls

Execution stack

Pricing streams

Organize market data, symbol groups, spreads, and pricing rules for client-facing trading conditions.

Smart routing

Route flow according to execution model, liquidity source, risk policy, and operational requirements.

Risk controls

Monitor exposure, abnormal flow, client groups, and execution quality from operational dashboards.

Reporting

Review fills, latency, rejected orders, symbol behavior, and commercial performance.

What it solves

Brokers need more than a price feed. They need a managed liquidity workflow that supports execution quality, commercial terms, and risk policy.

Best fit

Forex, CFD, crypto, and multi-asset brokers that need stable access to pricing and route control.

Broker value

Better execution visibility helps teams tune spreads, manage flow, and support clients with clear operational data.

Execution rollout

01

Map symbols

Define instruments, groups, margins, trading sessions, and commercial rules.

02

Connect sources

Prepare liquidity sources, bridges, and routing policies.

03

Validate execution

Test pricing, fills, rejection paths, and reporting before live traffic.

04

Monitor flow

Track execution quality, exposure, and performance in production.