Our solutions incorporate the latest algorithmic innovations to help you identify, assess, and act on risk in real time—ensuring your strategies evolve with the market.
Risk management is vital for ensuring stability and mitigating the impact of unforeseen market movements. It enables financial institutions to monitor their exposure in real time, control leverage, and apply strategies that support both capital preservation and growth. Prospera equips institutions with powerful tools to manage risk confidently and sustain long-term success.
Margin management involves overseeing the capital required to maintain active trading positions. It ensures that institutions hold sufficient collateral to cover potential losses, based on market volatility and trade size.
At Prospera, our margin management tools offer real-time margin visibility, helping institutions prevent margin calls and optimise capital usage. This supports stronger liquidity control and more efficient risk exposure management.