Risk solutionsPatsystems offers comprehensive pre-trade and post-trade risk management solutions. The solutions ensure that traders can operate according to parameters specified by risk administrators, who, in turn, are able to access all the information necessary to maintain control of the trading community they are responsible for managing. Patsystems' standalone, multi-asset class risk management solutions include: Platform independence and multi-asset capability Both Risk Monitor and Risk Informer are trading-platform independent and do not require an existing Patsystems’ installation. All that’s required is the ability to communicate with the Patsystems’ host system. Our platform-independence allows for easy integration with virtually any system, including FIX-based systems. No matter which asset classes you trade, Risk Monitor and Risk Informer can be integrated with your system. The default asset class is exchange-traded futures and options, but both systems support CFDs, FX, Cash Bonds and Cash Equities. Total control For the ultimate risk solution, Risk Monitor is designed to integrate with Patsystems’ Risk Informer. With Risk Monitor and Risk Informer combined, you have a consistent and coherent risk solution that gives you total control and total flexibility, meaning you can take on more business with confidence. |