Securities Lending Platforms for Operations
Systems managing the lending and borrowing of securities, including collateral management, fee calculations, and position tracking.
Other Operations
Apex Securities Lending streamlines the lending process and improves capital efficiency through advanced technology, offering real-time data and analytics for better decision-making and risk assessment.
Citi's lending solutions focus on maximizing returns and minimizing risk, supported by a comprehensive global network and advanced technology for trade execution, analytics, and management.
Offers a fully integrated platform for securities lending that includes real-time analytics, risk management tools, and comprehensive reporting capabilities. Enhances operational efficiency and maximizes revenue opportunities through advanced optimization algorithms.
An intuitive solution that streamlines the securities lending process, offering features such as automated trade matching, monitoring tools, and risk assessment protocols, ensuring a high level of compliance with lending contracts.
A comprehensive suite designed to manage securities lending transactions, providing real-time tracking, advanced analytics, and customizable reporting, catering to both the buy and sell-side institutions.
Offers a comprehensive platform that facilitates securities lending through real-time pricing, risk management, and analytics tools, enabling users to optimize their lending strategies.
An integrated platform for agency securities lending including trade management, collateral processing, analytics, investor reporting, and compliance controls.
A fully managed agency lending program for brokerage firms, with robust trade execution, operational support, collateral management, reporting and compliance.
Agency and principal securities lending platform tailored for brokers and investment firms, with trade processing, risk analytics, collateral management, and regulatory reporting.
Automates the end-to-end securities lending process, including position management, trading, collateral management, reporting, and regulatory compliance. Provides real-time visibility into lending opportunities and risk exposure with advanced analytics and optimization tools.
Multi-asset securities finance trading platform with negotiation workflow, automated trade lifecycle management, integration with market data, real-time credit checking, and comprehensive reporting capabilities.
Comprehensive securities finance solution that automates the securities lending process with trading, position management, collateral tracking, billing, corporate actions, and reporting tools. Supports real-time updates and integrates with clearing and settlement systems.
Real-time collateral management platform for securities finance that includes exposure management, triparty allocation, billing, optimization, automated reconciliation, and regulatory reporting capabilities.
End-to-end securities lending platform that manages the full lifecycle of transactions including trading, position management, P&L reporting, corporate actions, collateral optimization, and regulatory compliance.
Securities lending solution that covers the entire transaction lifecycle with position monitoring, lending/borrowing management, collateral management, fee calculation, risk management, and regulatory compliance reporting.
Electronic trading platform for securities lending that provides access to liquidity pools, automated trade execution, competitive pricing discovery, post-trade processing, and reporting capabilities.
Middle and back-office securities processing platform with securities lending capabilities, supporting position management, trade processing, corporate actions, risk management, and regulatory reporting.
Integrated securities finance platform that optimizes borrowing costs, automates position reconciliation, provides counterparty exposure management, and delivers analytics for optimal allocation decisions.
Securities lending solution with modules for trading, inventory management, collateral optimization, margin calculation, fee billing, position reconciliation, and regulatory reporting.
A securities lending platform that provides trade capture, position management, fee billing, and corporate actions processing. Offers real-time availability of positions, automated processes for recalls and returns, and comprehensive reporting capabilities.
An AI-powered securities lending platform that optimizes lending opportunities and automates processes. Features include dynamic pricing algorithms, automated trade execution, real-time market data integration, and comprehensive analytics for performance measurement.
A platform for post-trade processing of securities lending transactions. Provides trade matching, confirmation, settlement, and regulatory reporting capabilities with connectivity to major market participants and infrastructure providers.