Method 3
Designed for professional/regulated asset managers
Supports multiple asset managers, notional account pooling,
full risk exposure and margin arrangements, administrative functionality and percentage-based customer account allocation
Set up multiple proprietary traders anonymously or openly
Administrative function for managing, allocating and determining credit lines and leverage (within regulatory limits) as well as closing out positions
Track membership of accounts and total account equity for all accounts to be traded by prop trader (based on notional account value)
Percentage-based allocation scheme for anonymous customer account setup
Access to VIP dealing services
Accounts can be added or removed, and funds can be deposited and withdrawn.*