LP labels like “arb,” “toxic,” and “opportunistic” aren’t just insults—they’re pricing signals. Learn what each term usually means, how LPs detect it, and what brokers can do about it.
A broker-ready decision tree to separate requotes, partial fills, and slippage—using logs, timestamps, and LP metrics to resolve execution complaints faster.
A broker-ready runbook for LP outages, price spikes, and stale quotes—covering roles, decision thresholds, must-have logs, and client communications that reduce damage and disputes.
Faster FIX sessions don’t fix slow fills. Here’s why routing logic, last look, and server geography decide execution quality—and what brokers should measure instead.
Execution venue decisions shape slippage, rejects, and trade amendments—often triggering disputes. Learn how venue models change evidencing, controls, and complaint exposure.
Learn how to measure FX execution quality using slippage, requotes, fill ratios, and latency—plus a broker-ready reporting template you can operationalize.
Powering forex brokers, prop firms, bullion platforms, fintechs and wallets with institutional-grade technology.