The complete exchange stack, from order book to payout.
A central limit order book for binary and multi-outcome contracts, with resolution, clearing, risk, surveillance, back office, apps and APIs. Deployed as your venue, under your brand and your permissions — every component built to stand in front of a regulator.
Four layers, with the boundary between us and you drawn on each.
Select a layer to see what it contains and what it commits to.
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Reported monthly against your own venue. Contractual remedies attach to the liquidity coverage schedule and to platform uptime, as set out in your agreement.
The consoles your team and your traders actually use.
Five surfaces from the same deployment. Every number below is simulated, but the layout and fields are as shipped.
Colour, radius and type follow tenant configuration — this is the default skin.
Binary, multi-outcome and scalar, on the same book.
Multi-outcome markets net across outcomes, so a trader holding every leg posts collateral once rather than per leg. That is the difference between a listable long-tail market and a dead one.
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From order entry to settled cash, with the check at each hop.
Every hop is logged with a sequence number and is replayable for surveillance and dispute review.