Liquidity is only as good as the path it takes to reach the book. Our infrastructure is designed around that path — proximity to the venues we aggregate, redundant connectivity to each counterparty, and a single normalised layer for the platforms our clients actually use.
Atlas operates in three financial corridors: Equinix LD4 for Europe, NY4 for the Americas, and TY3 for Asia. Each site replicates the full stack — aggregation engine, risk bridge, and FIX gateway — with sub-millisecond round-trips to the prime venues at the same site. Where a client's platform lives elsewhere, we cross-connect through dedicated circuits rather than the public internet.

Dedicated institutional FIX sessions with market-data and order-entry streams. Sub-millisecond internal routing, per-session throttling and sequence-number resets handled on the wire.
Direct gateway integration for brokers running on MetaQuotes platforms. Price feed, trade execution, and post-trade reconciliation via MT server plug-ins or TFB / Brokeree bridges.
Native liquidity provisioning into Spotware cTrader and Match-Trader environments. For clients running multiple platforms, prices and executions stay consistent across venues.
Tier-one bank feeds and non-bank ECNs consolidated through Centroid and FXCubic. Smart-order routing with configurable last-look, skew, and mark-up tiers per client profile.
A-book, B-book and hybrid execution modes managed per account, per symbol, per session. Real-time exposure dashboards; automated hedging rules triggered on thresholds.
Your Bourse analytics layer for trade-cost analysis, slippage review, latency monitoring and PnL attribution. Daily settlement reports and on-demand drilldowns.
Primary European point-of-presence at Equinix LD4, Slough. Cross-connects to the majority of tier-one FX venues, plus direct lines to our aggregation stack and bridges.
Full replicated stack at NY4 (Secaucus) and TY3 (Tokyo). Clients on the Americas or Asia benefit from locally-terminated sessions without transiting to Europe.
24/5 desk coverage across trading weeks with formal escalation paths. Session monitoring, execution oversight, and a named account manager for every institutional relationship.
Our integration team shares FIX specifications, sample sessions, and onboarding checklists on request. Typical go-live for an MT4 / MT5 bridge takes five business days from signed term sheet.