Trading Tools
The Trading Tools are a suite of low-cost, lightweight browser-based trading front end Order / Execution Management tools that enable trading across your preferred Order Routing Network.
All Rapid Addition trading tools can be hosted in-house or by us, at our secure data centres, allowing further cost-savings against maintaining dedicated infrastructure and associated resource. The platform comprises three products:
u-Trader™
u-Trader™, our lightweight Buy-side trading application, connects traders to multiple trading counterparties, either Brokers or Execution Venues (e.g. Exchnages, MTFs, etc).
Using u-Trader™ gives institutions the ability to automate the flow of Equity Orders (including Limit, Care, etc), Equity Options, Program, List, and Portfolio Trades, and also supports Direct Market Access (DMA) and Algorithmic Trading. Orders can be typed in by users or uploaded using CSV files. u-Trader™ keeps a history of all activity, providing a full audit trail that can be downloaded at any time by authorised users. New activity is automatically displayed onscreen without the user having to refresh the screen.
u-Broker™
u-Broker™ is our Sell-side application that connects Brokers to multiple Institutions. u-Broker™ supports multiple asset classes, including Equities, Equity Options, and Futures. Users can accept and reject all orders from personal blotter screens, export data for automatic loading into 3rd-Party applications, and send Allocations. New activity is automatically displayed onscreen without the user having to refresh.
u-Reporter™
u-Reporter™ enables Buy-side firms to track the progress of manually placed orders with their Broker in real–time, thus catching errors before they happen.
Previously, the only way to track progress for manual orders was over the phone, via fax, or by sending an e-mail. However, using these media people often make mistakes, creating a need for large error budgets.
Web-Reporter™ allows orders to be seen on screen, as they happen, using nothing but a simple web-browser. Thus both buy-side and sell-side firms save time & money by reducing the chance of trading errors.
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