The ZagTrader Global Order Management solution brings together the best of both – the ZagTrader Sell – Side solution and the ZagTrader Buy – Side solution. Covering more than 200 exchanges worldwide with over 200,000 symbols and thousands of buy sides and sell sides. The ZagTrader global Order Management solution is your reliable agent for investments in global markets and is where you exceed the limits and become the prime brokerage or asset management firm you dream to be.
Supported Instruments
- Benchmarking, rebalancing and scenario analysis tools
- Equities Long / Short
- Futures Contracts Long / Short
- Leveraged Forex Long / Short
- CFDs Long / Short
- Derivatives Long / Short
- ETFs Long / Short
- Bonds and Sukuks
- Options (Calls, Puts, Naked Calls/Puts)
- Funds
Ready out of the box Connectivity to
- Bloomberg TSOX
- Bloomberg EMSX
- Bloomberg DMA
- Thomson Reuters ATR
- Ullink NYFIX
Global Coverage
- Covers more than 200 Markets (Including US, Europe, Middle Eastern markets)
- With more than 200,000 symbols to choose from
Direct Market Access
- Connectivity to hundreds of exchanges worldwide
- Connectivity to global routing networks (Bloomberg, Reuters, NYSE, NYFIX)
- Receive orders from institutional desks worldwide
- Manage Institutional or DMA client orders with automated routing rules
Manage portfolio and risk
- Benchmarking, rebalancing and scenario analysis tools
- Decision support and portfolio management
Optimize workflow
- Order flow capture and execution management with trading and sales workflows
- Algorithmic trading capabilities
- Trade processing solutions and customer account management
- Automatic trade reporting and real-time alerts for handling trading breach
- Customizable workspace
- Order and execution management solutions
- Execution management solutions with the ability to route to thousands of destinations, including DMA and dark pools
Enhance compliance
- Pre-trade, post-execution and end-of-day compliance
- Advanced compliance rule building, reporting and complete audit history
- Scalability to support high volumes of trades, compliance rules, accounts and account groups
Lower operational risk
- Post-trade matching, settlement and reconciliation
- Portfolio accounting
- Performance measurement
- Data aggregation and reporting
Giving buy side traders the ability to
- Manage their single stock and list trading processes
- Give them access to algorithmic trading and visual trading
- Pre and post trading transaction analysis
- Have direct market access
- Automated order routing
- Access to real time pricing
- Market Depth
Research Portal
- News feed
- Company profile and financials
- Peer Group Analysis
- Value Analysis
- Advanced Technical Analysis
Back office
- Maker checker deposits that require approval
- Advanced rebate management system
- Native payment gateway for accepting and receiving payments
- Accrued interests on a daily basis
- Automatic update of listings for global symbologies
- Dividends and rights issues system
- Global corporate actions
Flexibility and Scalability
- Multi lingual interface with dictionary based capabilities
- Open architecture: allows the traders to implement their own unique strategies.
- Provide white label solutions to other financial institutions
- Create your own algorithms and rules or connect to any 3rd party algorithmic solution desired.
- Seamless integration with any 3rd party solutions if needed.
- The ability to run more than 100,000 symbols simultaneously
- Extensive user privilege capabilities