Technology

Bridge, routing and risk control in one operating layer.

APOGEEX gives brokers and professional trading firms the tools to connect platforms, route flow, monitor exposures and investigate execution without losing operational context.

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01

APOGEEX Bridge

A multi-asset bridge engineered around control.

Connect MT4, MT5 and FIX-based systems to multiple liquidity venues while maintaining a consistent view of routing, provider state, ticket lifecycle and reconciliation.

01Trading PlatformsMT4 · MT5 · FIX
02APOGEEX BridgeRoute · Control · Record
03Liquidity VenuesMulti-provider access
01

Context-aware routing

Route by symbol, account, group, volume, direction, order source, time and other operating criteria.

02

A-book and B-book control

Apply approved risk profiles consistently and record every change to the routing configuration.

03

LP reconciliation

Compare platform, book and provider positions to surface breaks before they become end-of-day problems.

04

Provider health

Monitor price streams, reject behaviour and connection state with defined fallback paths.

05

Symbol management

Maintain mapping, precision, sessions and trading states across platforms and liquidity venues.

06

Operational audit

Review the full ticket lifecycle and the rule context applied to each routed order.

Risk & exposure

See the whole book, then act on the detail.

Consolidate exposures across servers, books and provider accounts. Move from a high-level brokerage view to client, symbol and trade detail without changing systems or rebuilding the investigation.

  • Exposure by server, book, account and symbol
  • Configurable alerts and ownership workflow
  • Flow and profitability investigation
NET EXPOSURELIVE
BOOKS04SERVERS08ALERTS02

Reporting

Operational data that can support a decision.

Access structured execution and pricing data for internal analysis, reconciliation and reporting. Build shared operating views around the same underlying event record.

01

Execution reports

Order state, fills, rejects, slippage and provider response.

02

Reconciliation

Expected and actual positions across platform, books and providers.

03

Flow analysis

Account, symbol, server and time-based views for investigation.

04

Data access

Structured exports for approved internal and third-party analytics.

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