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Reception and transmission of orders
NTEX Liquidity Insight ®
Can you describe the processes and systems that you use to achieve and evidence best execution?
Can you extend your counterparty list to include specific brokers?
Do you provide market colour ?
Do you provide regular Best Execution reports to your clients? Are these produced in-house or using an external provider?
Do you support the matching and settlement of trades that you execute?
How do clients communicate orders to you?
How do you charge for your services?
What is the typical implementation and client onboarding process?
What is your issue reporting process in the event of an error?
What types of specific risks are considered in the securities financing transaction business?
What differentiates us ?