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About Broadridge

Securities Finance

A front- to back-office solution for the full trade life cycle

Streamline securities finance and collateral management with an integrated solution for firms of all sizes on both the buy-side and sell-side. Optimize inventory, enhance trading opportunities, reduce costs and improve efficiency across your business through full front- to back-office functionality.

Streamline your securities finance transactions

Securities Finance and Collateral Management (SFCM) is a global, real-time, multi-asset solution for securities finance market participants of all sizes and complexities. Both our Full Service Mainline solution and the new FastStart rapid spin up operating solution supports both agency and principal trading of equities and fixed income securities across securities lending, repo and collateral management.

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Electronic Trading & Rapid Trade Entry
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Real-time Global Inventory Views
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Collateral Management & Optimization
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Trade Life Cycle Support & Automation
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Settlement Management
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Reporting and Analytics

Learn More About Securities Finance

FastStart Model

  • Simple UI-based, on-demand ETL & data management toolkit
  • Implemented in a few weeks
  • Core trading, inventory & collateral management, billing, reporting, P&L for Repo and SBL
  • AWS SaaS Model
  • Low entry point, 
  • Scalable to expand as required into Full Service model

Full Service Mainline Model

Securities Lending & Borrowing

  • Trade more effectively with clear views of global inventory, trading platform connectivity and rapid trade entry tools
  • Gain a reputation for operational efficiency through trade lifecycle automation and corporate actions processing
  • Full front- to back-office support with risk analytics, settlement tracking and flexible reporting tools

Full Service Mainline Model

Repo

  • Improve decision-making with global inventory management and support for balance sheet usage analysis, Basel III LCR and collateral upgrade/downgrade trades
  • Enhance full front- to back-office trade life cycle support across equity and fixed income, principal and agency
  • Streamline market activities through integrated liquidity aggregation in the inventory manager, enabling quoting, market-making, execution and optimization

Collateral Management

  • Realize the benefits of enterprise-wide collateral management and optimization for derivatives, securities lending and repo
  • Manage risk on a more holistic basis while efficiently matching collateral supply with demand across all obligations in an optimized way
  • Increase margin automation with workflow and connectivity to comply more easily with new regulatory requirements
How We Can Help

Market-leading functionality built over two decades

$7T
Fixed income and equity securities trades per day.
98%
Client Revenue Retention Rate.
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