In an era of rapid regulatory and technological change, one constant is our ability to help customers be ready for whatever is around the corner. Find out more below:
We are dedicated to mitigating risk, increasing efficiency, reducing costs and streamlining increasingly complex processes for our clients. We offer the opportunity to optimise both regulatory and financial resources.
Our established multilateral networks and subject matter expertise enables us to provide a suite of services to our clients to optimise their financial resources, reduce their costs, simplify their workflows whilst giving them confidence in their own data. These solutions are a prerequisite for any client operating in an increasingly capital and regulatory intensive environment.
Jenny Knott, CEO NEX Optimisation
Abide Financial is a leading regulatory reporting provider with proven solutions across all regulatory regimes.
An Approved Reporting Mechanism (ARM) for MiFID, a reporting hub for EMIR and Regulatory Reporting Mechanism (RRM) for REMIT, Abide Financial is helping a diverse range of market participants meet regulatory reporting obligations in the most efficient way.
ENSO is the leading treasury and portfolio finance solution for the Hedge Fund industry with over 1 Trillion in AUA.
Having created a consolidation point for our client's treasury activities we help our customers by delivering actionable information in a platform that allows them to generate financing alpha via PB optimization management, cost savings and the creation of revenue opportunities.
For Prime Brokers, we have created a better medium via the ENSO Color Portal for which they can communicate and advertise financing opportunities and color commentary to their customers and their prospects.
Nex Data delivers pricing, analytics, Index and regulatory reporting solutions to a global and diverse client base providing innovative insights in pre and post trade services that enable confident trading decisions and market analysis.
Our holistic portfolio of multi-asset class data services support clients in solving the various challenges faced in todays global financial markets.
RESET is a provider of risk mitigation services that manage basis risk in trading portfolios for the derivatives marketplace.
With strong expertise, extensive client engagement and the most advanced matching engine in the market, RESET removes and reduces fixing risk across 34 currencies.
Traiana enables global market participants to automate cross-asset risk management and pre/post-trade processing, for both listed and over the counter transactions.
We solve the complex problems facing both the markets and individual organisations in a creative way, so firms can implement the most cost-effective solution.
TriOptima is the award-winning provider of critical post trade infrastructure and risk management services for the OTC derivatives market.
triReduce multilateral portfolio compression
triResolve portfolio reconciliation, repository reconciliation and margin management
triCalculate XVA risk analytics
triBalance counterparty risk rebalancing
NEX Group plc offers customers better ways to execute trades and manage risk. Our products and services underpin the entire trade lifecycle, pre, during and post execution. Our electronic trading platforms are industry standards. Customers use our lifecycle management and information services to optimise portfolios, control risk and reduce costs. We partner with emerging technology companies to bring greater efficiency.
© 2017 NEX Group plc
NEX Group plc, 2 Broadgate, London EC2M 7UR, UK.
T: + 44 (0)20 7818 9000