Built for Systematic Trading Firms
Comprehensive infrastructure for systematic trading across asset managers, proprietary trading firms, quant funds, and market makers. Unified data coverage, real-time risk oversight, advanced analytics, and performance verification.
Request Demo →Infrastructure for Systematic Trading Firms
Supporting quantitative asset managers, proprietary trading firms, and high-frequency operations
Omni-Assets and Venues
Unified coverage across crypto and traditional assets.
- CeFi, DeFi, and traditional equities
- Spot, perps, futures, options, and earn
- OTC trade and loan booking
- Multi-venue data aggregation
Portfolio Management
Multi-denomination, multi-layer portfolio structure with configurable table and graph views. Built for quantitative and high-frequency trading strategies.
- Multi-base currencies and multi-layer hierarchies
- Configurable table views for positions and balances
- Time-series graph views for performance tracking
- Real-time portfolio monitoring and aggregation
Risk Management
Real-time alerts, advanced risk analysis, and integrated collateral management.
- Real-time alerts on risk thresholds and exposures
- Stress testing and Value-at-Risk (VaR) analysis
- Loan and collateral management integration
- Multi-strategy risk aggregation and monitoring
Analysis and Reporting
Comprehensive analytics from trading statistics to PnL attribution and Sharpe ratio calculation.
- Trading statistics across strategies and venues
- PnL attribution by strategy and position
- Sharpe ratio and risk-adjusted performance metrics
- Trade reporting and post-trade analysis
Performance Verification
Performance sharing and investor reporting with verified data.
- Performance sharing for investor reporting
- Independently verified data
- Audit-ready history
Omni-Assets and Venues
Unified coverage across CeFi, DeFi, and traditional equities. Crypto asset coverage includes spot, perps, futures, options, and earn. Loan and OTC trade booking with multi-venue data aggregation.
Portfolio Management
Multi-denomination, multi-layer hierarchies with configurable table and time-series graph views for real-time portfolio monitoring and aggregation.

Risk Management
Real-time alerts on risk thresholds, stress testing, VaR analysis, and integrated loan and collateral management for proactive risk control.

Analysis and Reporting
Trading statistics, PnL attribution, Sharpe ratio calculation, and comprehensive trade reporting for performance analysis and optimization.

Performance Verification
Performance sharing for investor reporting with independently verified and audit-ready data.


Solution Definition
A systematic trading infrastructure should unify omni-asset data coverage, multi-layer portfolio management, real-time risk controls, comprehensive analytics, and verifiable performance reporting across quantitative asset managers, proprietary trading firms, quant funds, and market makers.
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