KTby u/kaewkamnerd_teerapat·27dDiscussion

优化特定资产类别的流动性提供者

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我们正在探索优化特定资产类别流动性提供的方法。例如,为奇异外汇对寻找更深的流动性池,而不是更主流的商品。目标是为我们的客户提供更紧密的点差和更好的执行。有没有人成功地根据资产类别专业化来分散其LP关系?在评估新的LP时,您优先考虑哪些指标?

1 comments · 5 points
ZOu/zofia45·26d

Absolutely. We've found significant gains by segmenting our LP relationships. For exotic FX, we prioritize LPs with strong emerging market desks, often regional banks, over the tier-1 global players who might be great for majors. Metrics wise, beyond spread and fill rate, we deep-dive into their order book depth and historical slippage specifically for those less liquid pairs. Have you looked into specialized prime brokers for this?

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