THE CHALLENGE
When you’re running a multi-strategy book or accessing liquidity across global venues, every millisecond and every routing decision matters. But most trading infrastructure isn’t built to keep pace. Fragmented connectivity, limited routing control and slow risk systems all erode the edge that your strategy was built to capture.
THE RAPTOR SOLUTION
Execute algorithmic, basket and multi-leg strategies across equities, options and futures – all from a centralized blotter with real-time P&L visibility.
Route to all your brokers, algo providers and execution venues via a single connection, with custom routing logic you own and control.
Trade on a global, multi-asset network with strict uptime SLAs and zero tolerance for link disruption.
Institutional Asset Managers
THE CHALLENGE
You operate across dozens of global markets with a need to maintain firm-wide visibility and control. Centralizing order management, ensuring consistent compliance and consolidating reporting across geographies are operational challenges that grow with every new market and mandate.
THE RAPTOR SOLUTION
Manage complex, multi-asset portfolios across global markets from a single order management environment – with multi-custodian allocation support and full post-trade integration.
Connect every desk, broker and system through one normalized infrastructure, eliminating the fragmentation of managing point-to-point relationships across geographies.
Meet compliance and reporting obligations across jurisdictions from a single, flexible reporting layer, without building bespoke solutions for every market.
THE CHALLENGE
You’re running sophisticated investment strategies on lean operational infrastructure. Connecting to custodians and executing brokers, managing allocations across a growing client base and keeping pace with compliance obligations are all table stakes – but they’re increasingly difficult to manage without the dedicated technology teams that larger firms take for granted.
THE RAPTOR SOLUTION
Connect to custodians and executing brokers through a single, centralized trading hub – via flexible FIX or API integration that works with the OMS and workflows already in place.
Automate allocation processing and FIX-to-file conversions across a multi-account client base, reducing manual effort and the operational risk that comes with it.
Access post-trade reporting – including CAT, best execution and Rule 605/606 – from the same infrastructure, without adding headcount or complexity.