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Objectives
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A better approach of client exposure.
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An accurate monitoring of the trading activity.
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The ability to cope with exponential volume increase |
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Main Features
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Real time monitoring of risk exposure
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Limits including Open Trade Equity, Margins requirements, Cash Balances, Net Option value, …
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User defined cross-margins and cross-assets computation including F&O, Equity Options, FX, CFDs, OTCs, …
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Flexible Bottom-up account structure
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Color coded alerts sent by email, pager, pre-trade risk management system, …
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Drill-down function for in-depth and quick investigation upon alerts
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Real time trade upload from different providers
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Real time quotes from various sources |
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Versatile static data interface with exception management |