Liquidity connectivity

Institutional access, configured around your flow.

APOGEEX connects trading platforms to selected liquidity venues across FX, precious metals and CFDs, with the controls required to manage pricing, depth, routing and provider resilience.

Talk to our team
01

FX & Precious Metals

Precision connectivity for the world's most active OTC markets.

Access configurable liquidity across major, minor and emerging-market FX pairs, plus XAU and XAG. Build dedicated profiles around depth, size, mark-up and venue priority without fragmenting day-to-day operations.

FXMajor, minor and EM pairs
XAUGold liquidity connectivity
XAGSilver liquidity connectivity

A differentiated operating model

Control the route from price to fill.

01

Provider aggregation

Combine selected liquidity sources while retaining control over priority, depth, mark-up and failover.

02

Custom liquidity profiles

Create instrument, account and client-group profiles aligned with commercial and risk objectives.

03

Execution transparency

Review provider responses, fills, rejects, slippage and ticket states from one operating layer.

04

Session controls

Manage trading sessions, symbol states and provider availability around holidays, rollovers and maintenance.

02

CFDs

One operational workflow across multiple asset classes.

Extend the same routing and monitoring framework to index, energy, commodity and digital-asset CFDs. APOGEEX standardises symbol mapping, session controls and provider monitoring while preserving the detail required by each market.

IndicesMajor US, European and APAC benchmarks
EnergiesCrude oil and natural gas references
CommoditiesMetals and selected commodity markets
Digital assetsProfessional CFD connectivity where available

Liquidity network

Provider choice without operational fragmentation.

APOGEEX is designed to connect your trading environment to multiple liquidity relationships. Provider selection remains subject to onboarding, jurisdiction, instrument availability and the commercial agreements maintained by each client.

Discuss your liquidity setup
  1. 01
    Assess

    Review platforms, flow, instruments and current provider relationships.

  2. 02
    Design

    Define profiles, routing logic, operational controls and failover.

  3. 03
    Certify

    Test price, order, reject, recovery and reconciliation scenarios.

  4. 04
    Optimise

    Use execution data to refine routing and provider allocation.