Fixed Income
Corporate Bonds
Electronic trading platform that offers transparency and scalability to increase liquidity for corporate bonds including: debentures, agricultural receivables certificates (CRAs), and real estate receivables certificates (CRIs). Precise pricing calculations and real-time trade capturing by B3 clearing ensure high trading governance, along with dissemination of market data, make the platform suitable for retail brokers.
ASSET MANAGERS
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Electronic trading ensures trading scalability.
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Integrations with trading systems allow order routing and drop copy.
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Organized order book guarantees best execution.
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Integrations with custodians save time and ensure accuracy.
BROKERS
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Electronic processes between brokers and asset managers eliminate errors and save resources.
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Integrated calculation of price units (PUs) and quick allocations eliminate post trade reconciliation.
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Integrations with trading and back-office systems eliminate internal processes and overhead.