We detect toxic trading patterns, reduce exposure risks, and unlock hidden profitability with web-based, integration-light tools – built by professionals who understand how arbitrage actually works.
5 STARS
The system continuously audits live pricing and execution speeds to uncover micro-delays that high-frequency strategies exploit. By benchmarking your feed against multiple liquidity sources, it identifies inefficiencies and recommends optimal routing or provider tuning — ensuring your pricing remains synchronized, resilient, and ahead of opportunistic flow. As technology rapidly evolves and the future of trading remains fragile and vulnerable, we innovate and deliver sophisticated systems and solutions that safeguard both your present and your future.
Even a 0.5-pip mismatch in overnight swaps can drain thousands in silent losses every month — and most brokers never notice until it’s too late. Our solution monitors every swap rate in real time, detects exploitable gaps before traders do, and simulates mirror-position scenarios to show exactly where carry-traders would strike. Automated recommendations instantly rebalance or align your rates, stopping the bleed and recovering margin you didn’t know you were losing.
The system checks around news times for double hits within the incoming trading flow to spot clusters of traders running the same system. It also generates reports to provide long-term insights into the positive or negative impact of news on brokers’ profitability.
Our decay analysis solution is capable of detecting any HFT trading because it continuously monitors the profitability of each incoming order. If orders reach break-even or profit faster than average, the system issues instant alarms to the trading desk to take action within minutes.
Get instant visibility into one of the most silent profit drains in brokerage operations — inefficient pricing. The report analyzes your spreads by symbol, session, and liquidity provider to reveal exactly where margins slip — whether from quoting too tight to clients or overpaying upstream. It’s not just a monitor — it’s a margin recovery tool that optimizes LP routing and restores control of your pricing logic without changing your infrastructure.
1. Average spreads shown to clients
2. Average spreads received from each LP
3. Real markup delta per symbol and session
4. Automatic alerts for loss-making routes
Every broker tracks PnL — but few know where it actually comes from. This report breaks down profitability by book type and flow source, revealing which side of your business drives gains and which quietly erodes them. No more blind spots between A-Book, B-Book, or API flow. You see exactly how risk converts to revenue — cleanly, automatically, and without manual slicing.
1. Book-based performance view (A-Book vs. B-Book)
2. Flow breakdown by source (API vs. Retail)
3. Flexible time filters: daily, weekly, or custom
4. Exportable summaries and audit-ready snapshots
See your live exposure across all books — symbol by symbol, second by second. The viewer shows exactly what you’re holding, where you’re overexposed, and when it’s time to hedge or rebalance. Built for brokers who want to stay within risk limits, meet compliance thresholds, and cut unnecessary hedge costs — all without guesswork.
1. Current exposure by symbol
2. Overexposure alerts
3. Real-time hedge and rebalance signals
Recover as much as 27% in silent loses caused by inefficiencies and exploitable trades.
Formed by former arbitrage strategists with deep knowledge of exploitive trading behaviours and broker side vulnerabilities.
Deliver-data-driven clarity for faster, smarter decisions at the intersection of risk and profitability.
Recover as much as 27% in silent loses caused by inefficiencies and exploitable trades.
Formed by former arbitrage strategists with deep knowledge of exploitive trading behaviours and broker side vulnerabilities.
Deliver-data-driven clarity for faster, smarter decisions at the intersection of risk and profitability.
Anti Arbitrage Systems
The system continuously audits live pricing and execution speeds to uncover micro-delays that high-frequency strategies exploit.
By benchmarking your feed against multiple liquidity sources, it identifies inefficiencies and recommends optimal routing or provider tuning — ensuring your pricing remains synchronized, resilient, and ahead of opportunistic flow with AI rapidly and exponentially growing the future of trading remains fragile and vulnerable, we innovate and produce sophistaces systems and solutions that can secure your now and future.
Even a 0.5-pip mismatch in overnight swaps can drain thousands in silent losses every month — and most brokers never notice until it’s too late.
Our solution monitors every swap rate in real time, detects exploitable gaps before traders do, and simulates mirror-position scenarios to show exactly where carry-traders would strike.
Automated recommendations instantly rebalance or align your rates, stopping the bleed and recovering margin you didn’t know you were losing.
The system cross-checks trade timestamps against major economic release windows to expose patterns of pre-news positioning and instant execution.
It identifies clients who consistently profit only during these volatility spikes and flags them as toxic flow. Detailed analytics help brokers isolate and manage these accounts before they impact overall exposure.
The system cross-checks trade timestamps against major economic release windows to expose patterns of pre-news positioning and instant execution.
It identifies clients who consistently profit only during these volatility spikes and flags them as toxic flow. Detailed analytics help brokers isolate and manage these accounts before they impact overall exposure.
Profitability Optimization
Get instant visibility into one of the most silent profit drains in brokerage operations — inefficient pricing.
The report analyzes your spreads by symbol, session, and liquidity provider to reveal exactly where margins slip — whether from quoting too tight to clients or overpaying upstream.
It’s not just a monitor — it’s a margin recovery tool that optimizes LP routing and restores control of your pricing logic without changing your infrastructure.
It calculates:
Average spreads shown to clients
Average spreads received from each LP
Real markup delta per symbol and session
Automatic alerts for loss-making routes
Every broker tracks PnL — but few know where it actually comes from.
This report breaks down profitability by book type and flow source, revealing which side of your business drives gains and which quietly erodes them.
No more blind spots between A-Book, B-Book, or API flow.
You see exactly how risk converts to revenue — cleanly, automatically, and without manual slicing.
Features:
Book-based performance view (A-Book vs. B-Book)
Flow breakdown by source (API vs. Retail)
Flexible time filters: daily, weekly, or custom
Exportable summaries and audit-ready snapshots
See your B-book exposure in real time — symbol by symbol, second by second.
The viewer shows exactly what you’re holding, where you’re overexposed, and when it’s time to hedge or rebalance.
Built for brokers who want to stay within risk limits, meet compliance thresholds, and cut unnecessary hedge costs — all without guesswork.
It tracks:
Current exposure by symbol
Overexposure alerts
Real-time hedge and rebalance signals
We’re a team of fintech engineers, quants, and former market participants building tools that give brokers control over risk and returns. Our analytics expose toxic flow, track trade decay, and optimize routing — all without disrupting existing systems. From real-time exposure monitoring to latency-aware scalper detection, we deliver data-driven solutions for smarter risk controls, stronger margins, and zero invisible losses.
Saurabh Rathore stands as a compelling example of what relentless drive, strategic clarity, and entrepreneurial instinct can create in just over a decade. A dynamic business leader with a diverse portfolio of ventures, he has built a reputation for transforming ideas into thriving enterprises while inspiring teams to push beyond conventional boundaries. A successful businessman by every measure, Saurabh has been featured in Forbes and YourStory, acknowledgments that reflect his impact on the modern entrepreneurial landscape. His journey includes the creation of an award-winning brand that expanded to an impressive 104 stores, a milestone that showcases both his operational mastery and his nuanced understanding of India’s evolving consumer markets. Leading teams has always been central to Saurabh’s leadership DNA. He has guided a workforce of more than 400 people, orchestrating complex operations with precision while fostering a culture of accountability, innovation, and shared ambition. His ability to scale organizations while keeping them agile highlights both his strategic foresight and his human-centric approach to leadership. Beyond entrepreneurship, Saurabh also runs his own private investment fund. With deep involvement in the financial markets, he brings extensive experience across stocks, crypto, commodities, and forex, navigating volatility with the sensibilities of a seasoned market practitioner. His multidisciplinary investment exposure shapes the way he evaluates ventures, risks, and long-term value creation.
Currently, Saurabh serves as the Director at A-Bot, where he leads all key decision-making and oversees critical operations. His role at A-Bot reflects the broad scope of his expertise—merging technology, business strategy, and operational excellence into a cohesive formula for growth. Alongside this, he spearheads three companies across diverse industries, each benefiting from his sharp analytical approach and forward-looking vision. A decade into his professional journey, Saurabh Rathore continues to exemplify dynamism and purpose. Whether driving expansion, steering investments, or pioneering innovation across sectors, he stands as a powerful testament to modern leadership—bold, adaptive, and uncompromising in pursuit of excellence.
Alex’s journey through the global financial markets spans 17 years, but it’s the way he navigated those years that defines him. Known for his calm precision and a rare instinct for opportunity, he built a track record of generating more than $10 million in trading profits—mostly through strategies few even understood, let alone mastered. His approach blends engineering-level thinking with trader-level intuition, a combination that has shaped every step of his career. Over the years, Alex didn’t just trade the markets—he learned how to build the systems around them. He’s managed and scaled forex brokerages across multiple regulatory regimes, often stepping into roles where both pressure and expectations were high. Colleagues remember him as the person who could translate complex market mechanics into actionable decisions, and teams credit him for creating environments where innovation actually meant something. His leadership goes beyond numbers. Alex has built and mentored fintech and quant teams from the ground up, leading ambitious technology development cycles while keeping a relentless focus on efficiency, risk control, and profitability. He’s the kind of operator who sees a weakness in a system before it becomes a problem—and designs the fix before anyone else recognizes the threat. Today, he combines trading expertise with operational clarity to build broker-side systems that close hidden leaks, eliminate inefficiencies, and safeguard long-term profitability. His career reflects more than experience—it reflects a mindset shaped by discipline, insight, and the belief that precision is the most powerful form of leadership.
Oussama’s story in the FX world didn’t start at the top — it started on the front lines. Over the past decade, he moved from customer support to becoming the person brokers rely on when the stakes are highest. Every step in between sharpened his understanding of how traders behave, how risk evolves, and how a brokerage truly survives in volatile markets. What sets Oussama apart isn’t just technical skill – it’s the way he sees the entire ecosystem. He has run dealing desks, managed exposure across fast-moving sessions, and optimized flow for brokers operating under strict regulatory environments. Teams who worked with him describe him as the one who notices what others miss — the silent inefficiencies, the leaking margins, the hidden vulnerabilities buried inside execution models. His results speak clearly: Oussama has consistently lifted brokerage profitability by as much as 35%, not through gambles, but through smarter allocation, exposure tuning, and disciplined margin control. He blends operational depth with strategic foresight, turning risk management into a competitive edge instead of a defensive chore. Today, Oussama brings a rare mix of experience, intuition, and leadership to the table — the kind of presence that strengthens every system he touches and elevates every team he works with. His journey is proof that real expertise is built, not inherited, and that the best leaders often rise from understanding the ground level better than anyone else.
Accounting & Finance
Social Media & GD Specialist
Marketing & SEO Specialist
Latency
The system continuously audits live pricing and execution speeds to uncover micro-delays that high-frequency strategies exploit. By benchmarking your feed against multiple liquidity sources, it identifies inefficiencies and recommends optimal routing or provider tuning — ensuring your pricing remains synchronized, resilient, and ahead of opportunistic flow, with AI rapidly and exponentially growing the future of trading remains fragile and vulnerable, we innovate and produce sophisticated systems and solutions that can secure your now and future
Latency
Swap Arbitrage
Even a 0.5-pip mismatch in overnight swaps can drain thousands in silent losses every month — and most brokers never notice until it’s too late. Our solution monitors every swap rate in real time, detects exploitable gaps before traders do, and simulates mirror-position scenarios to show exactly where carry-traders would strike. Automated recommendations instantly rebalance or align your rates, stopping the bleed and recovering margin you didn’t know you were losing.
Swap Arbitrage
News Arbitrage
The system cross-checks trade timestamps against major economic release windows to expose patterns of pre-news positioning and instant execution. It identifies clients who consistently profit only during these volatility spikes and flags them as toxic flow. Detailed analytics help brokers isolate and manage these accounts before they impact overall exposure.
News Arbitrage
Scalping & Decay Analysis
An advanced decay engine maps each trade’s performance curve over time, revealing patterns of micro-timing exploitation invisible to standard analytics. It visualizes toxic short-term flow and isolates sessions where profit decays unnaturally fast, empowering brokers to recalibrate spreads or routing logic while preserving healthy trading activity.
Scalping & Decay Analysis
Average Spread Analysis
Get instant visibility into one of the most silent profit drains in brokerage operations — inefficient pricing. The report analyzes your spreads by symbol, session, and liquidity provider to reveal exactly where margins slip — whether from quoting too tight to clients or overpaying upstream. It’s not just a monitor — it’s a margin recovery tool that optimizes LP routing and restores control of your pricing logic without changing your infrastructure.
Average Spread Analysis
PnL Reporting
Every broker tracks PNL — but few know where it actually comes from. This report breaks down profitability by book type and flow source, revealing which side of your business drives gains and which quietly erodes them. No more blind spots between A-Book, B-Book, or API flow. You see exactly how risk converts to revenue — cleanly, automatically, and without manual slicing.
PnL Reporting
Live Exposure
See your B-book exposure in real time — symbol by symbol, second by second.
The viewer shows exactly what you’re holding, where you’re overexposed, and when it’s time
to hedge or rebalance.
Built for brokers who want to stay within risk limits, meet compliance thresholds, and cut
unnecessary hedge costs — all without guesswork.
It tracks:
● Current exposure by symbol
● Overexposure alerts
● Real-time hedge and rebalance signals
Live Exposure
The system continuously audits live pricing and execution speeds to uncover micro-delays that high-frequency strategies exploit.
By benchmarking your feed against multiple liquidity sources, it identifies inefficiencies and recommends optimal routing or provider tuning — ensuring your pricing remains synchronized, resilient, and ahead of opportunistic flow, with AI rapidly and exponentially growing the future of trading remains fragile and vulnerable, we innovate and produce sophisticated systems and solutions that can secure your now and future
Even a 0.5-pip mismatch in overnight swaps can drain thousands in silent losses every month — and most brokers never notice until it’s too late.
Our solution monitors every swap rate in real time, detects exploitable gaps before traders do, and simulates mirror-position scenarios to show exactly where carry-traders would strike.
Automated recommendations instantly rebalance or align your rates, stopping the bleed and recovering margin you didn’t know you were losing.
The system cross-checks trade timestamps against major economic release windows to expose patterns of pre-news positioning and instant execution.
It identifies clients who consistently profit only during these volatility spikes and flags them as toxic flow. Detailed analytics help brokers isolate and manage these accounts before they impact overall exposure.
An advanced decay engine maps each trade’s performance curve over time, revealing patterns of micro-timing exploitation invisible to standard analytics.
It visualizes toxic short-term flow and isolates sessions where profit decays unnaturally fast, empowering brokers to recalibrate spreads or routing logic while preserving healthy trading activity.
Every broker tracks PNL — but few know where it actually comes from. This report breaks down profitability by book type and flow source, revealing which side of your business drives gains and which quietly erodes them.
No more blind spots between A-Book, B-Book, or API flow. You see exactly how risk converts to revenue cleanly, automatically, and without manual slicing.
Features:
Get instant visibility into one of the most silent profit drains in brokerage operations — inefficient pricing. The report analyzes your spreads by symbol, session, and liquidity provider to reveal exactly where margins slip — whether from quoting too tight to clients or overpaying upstream.
It’s not just a monitor — it’s a margin recovery tool that optimizes LP routing and restores control of your pricing logic without changing your infrastructure.
It calculates:
See your B-book exposure in real time — symbol by symbol, second by second.
The viewer shows exactly what you’re holding, where you’re overexposed, and when it’s time to hedge or rebalance.
Built for brokers who want to stay within risk limits, meet compliance thresholds, and cut
unnecessary hedge costs — all without guesswork.
It tracks:
● Current exposure by symbol
● Overexposure alerts
● Real-time hedge and rebalance signals
Recover as much as 27% in silent losses caused by inefficiencies and exploitable trades
Founded by former arbitrage strategists with deep knowledge of exploitative trading behaviors and broker-side vulnerabilities.
Deliver data-driven clarity for faster, smarter decisions at the intersection of risk and profitability.
We help brokers detect toxic trading patterns, reduce exposure risk, and unlock hidden profitability.
Our tools are web-based, integration-light, and designed by people who understand how arbitrage actually works — because we’ve done it!
PHONE : +971 56 230 7433
EMAIL : info@a-botcorp.com
© 2025. All rights reserved.
PHONE : +1-800-555-0199
EMAIL : info@a-botcorp.com
© 2025. All rights reserved.