Our Approach to Order Execution
We always ensure that we get you the best deal possible when executing your orders.
We factor in a number of criteria, including; price; speed; likelihood of execution; likelihood of settlement; costs; size; plus other factors that are relevant to the deal.
We consider price and speed as the two primary factors, when we execute your orders.
We publish a report every year showing execution quality data for each type of instrument we offer. Our report for 2018 can be found below:
If you are interested in more information about how we achieve this for different types of assets, the 2018 report above will provide the most up-to-date execution data along with, what we do if issues with your deal occur and how this is remedied.
In terms of the counterparties, we execute your trades with; we have no favourable relationships or soft commission arrangements in place and operate strictly according to the factors outlined above.
We have also published a 2017 Execution Quality Report.