Infrastructure built for institutions
Dedicated account management, bespoke liquidity, FIX & REST connectivity, and white-label platforms — engineered for hedge funds, proprietary trading firms, family offices, and introducing brokers.
$4.2B+
Daily volume
<5ms
API latency*
99.99%
Uptime SLA
154+
Instruments
Institutional connectivity stack
Who we work with
From single-desk prop shops to multi-strategy hedge funds — scalable infrastructure that grows with your AUM and flow.
Hedge Funds
Multi-strategy funds needing prime brokerage, cross-margin, and regulatory reporting across CFD and futures books.
Prop Trading Firms
High-frequency and systematic desks requiring low-latency API access, custom fee tiers, and dedicated liquidity.
Introducing Brokers
Brokers launching or scaling CFD brands with white-label platforms, CRM integration, and revenue-share models.
Family Offices
Discretionary and advisory mandates with tailored credit lines, conservative leverage, and relationship management.
End-to-end institutional services
Modular capabilities you can adopt individually or as a fully managed prime brokerage stack.
Prime Brokerage
Cross-asset margin, portfolio netting, consolidated reporting, and bespoke credit facilities. One master agreement covers forex, indices, commodities, crypto and equity CFDs.
API & Connectivity
Production-grade FIX 4.4 session, REST trading API, and WebSocket market data feeds. Sandbox environment, dedicated IP whitelisting, and optional co-location.
White Label
Launch a fully branded CFD brokerage on our licensed infrastructure — front-end, back-office, payments, compliance workflow, and 24/7 NOC support.
Unified margin across your entire book
Institutional clients benefit from portfolio-level margin — offsetting long and short exposure across correlated instruments to reduce total collateral requirements.
Our prime desk provides daily MTM statements, real-time exposure dashboards, and integration with your middle-office systems via SFTP or API.
Credit lines are structured based on strategy type, historical performance, and regulatory jurisdiction — with relationship managers available around the clock during market hours.
- check_circleSegregated client funds with tier-1 custodians
- check_circleReal-time pre-trade risk checks & position limits
- check_circleCustom fee schedules based on monthly volume
- check_circleDedicated prime broker contact & escalation path
Portfolio margin example
POST /v2/orders
Authorization: Bearer <api_key>
{
"symbol": "EUR/USD",
"side": "buy",
"type": "limit",
"quantity": 100000,
"price": 1.08420,
"time_in_force": "gtc"
}
→ 201 Created
{
"order_id": "ord_8f3a2b1c",
"status": "open",
"filled": 0,
"latency_ms": 3.2
}
Enterprise API & FIX connectivity
Integrate programmatically via REST, WebSocket, or industry-standard FIX 4.4 sessions. Full order lifecycle, position queries, funding history, and market data subscriptions.
Sandbox credentials are provisioned during onboarding for UAT. Production keys require IP whitelisting and signed agreements. Average round-trip latency under 5ms from co-located clients.*
REST API
Orders, positions, account, history
WebSocket
L2 book, trades, private fills
FIX 4.4
Drop copy, order routing, sessions
Market Data
Tick, bar, and consolidated feed
White-label platform layers
Your brand & domain
Custom logo, colours, client portal URL, and email templates
Client-facing terminal
Web & mobile trading apps under your identity
Back-office & CRM
Onboarding, KYC workflow, IB tree, and rebates
Our infrastructure
Liquidity, risk engine, compliance, hosting & 24/7 NOC
Launch your brokerage on our stack
Go to market in weeks, not years. Our white-label programme provides a turnkey CFD brokerage — from client registration and KYC to liquidity, risk management, and post-trade reporting.
You focus on client acquisition and brand; we operate the engine. Flexible commercial models including revenue share, per-lot rebates, and setup licensing.
- →Fully branded client portal & admin dashboard
- →Multi-tier IB / affiliate structure
- →Payment gateway & PSP integrations
- →Regulatory hosting & data residency options
Liquidity & execution
Aggregated multi-source liquidity with smart order routing designed for size and speed.
$4.2B+
Avg. daily notional
Across all asset classes
12+
Liquidity providers
Tier-1 banks & ECNs
0.1
Min spread (majors)*
During peak FX sessions
100%
STP available
No dealing desk on API flow
Regulated infrastructure you can rely on
Institutional clients require more than speed — they need audit trails, segregated funds, and transparent reporting. Our platform is built to meet the expectations of regulated entities and their compliance teams.
Regulatory framework
Licensed entities in key jurisdictions with client fund segregation.
Risk controls
Pre-trade limits, kill switches, and real-time exposure monitoring.
Reporting
MiFID-style transaction reports, daily statements, and custom exports.
Security
SOC 2 practices, encryption at rest, 2FA, and IP-restricted API keys.
ISO 27001
InfoSec aligned
Segregated
Client funds
SOC 2
Type II ready
GDPR
Data compliant
Institutional onboarding
A structured process from first call to production go-live — typically 2–6 weeks depending on integration scope.
Discovery
Strategy review, volume forecasts, and product requirements
Due diligence
KYC/KYB, legal agreements, and credit assessment
Integration
API/FIX setup, sandbox UAT, and connectivity testing
Risk config
Limits, leverage tiers, and monitoring rules
Go live
Production keys, dedicated support channel, and SLA activation
Institutional FAQ
What is the minimum volume for institutional pricing? expand_more
Do you offer FIX drop copy? expand_more
Can we use our own liquidity? expand_more
How does white-label pricing work? expand_more
Speak with our institutional desk
Tell us about your strategy, flow profile, and integration requirements. A dedicated relationship manager will respond within one business day.
Direct line: support@webstriva.com