FIS' securities finance solutions assist securities finance market participants achieve greater transparency, efficiency and automation in an evolving market place. Our solutions provide a consolidated platform for an adaptive enterprise, incorporating trading, inventory and operations that supports principal, agency or hybrid securities finance models for the entire range of treasury, delta one, repo, securities lending and borrowing.
FIS® Securities Finance Trading Manager (formerly Apex Securities Finance) is an integrated global securities financing solution for repo and securities borrowing and lending across equity and fixed income. With its real-time global inventory and position management, collateral management, post-trade processing and integrated market analytics, you can increase efficiency and automation.
FIS® Securities Finance Trading and Collateral Platform (formerly Apex Collateral) is a single solution for managing, trading and optimizing securities finance and collateral. It centralizes securities lending and repo trading with cross-product collateral management and optimizes asset allocations – so you can get the full value of your inventory and handle the volume and complexity of collateralization.
FIS® Securities Finance Market Data (formerly Astec Analytics) gives you the latest available global securities lending data, including independent, cost-effective intraday market volume and pricing data on more than 53,000 securities globally. With accurate information and greater transparency, you’ll be the first to know when the market moves so you can maximize your program efficiency.