OPERATIONAL EFFICENCY

Build a long-term investment strategy for greater efficiency

See how Propellant’s analytics solutions are adopted across the financial industry, helping institutions solve challenges, innovate faster, and achieve measurable impact.

Fragmented data sources

Inconsistent coverage across jurisdictions and providers.

Data quality issues

Inconsistent coverage across jurisdictions and providers.

Reporting complexities

Inconsistent coverage across jurisdictions and providers.

High operational costs

Sourcing, cleaning, normalising, and aggregating data is time-consuming and expensive.

Propellant delivers a global consolidated tape for all asset classes

Real-time, normalised, and aggregated data across jurisdictions and sources.
Historical data storage, enabling trend analysis and regulatory back-testing.
Seamless delivery through API and pre/post-trade integration across internal systems.
Propellant sample reports

Use Cases by Institution

Discover how financial institutions leverage Propellant’s technology to manage risk across desks, understand market activity, assess liquidity, and make more informed trading decisions with data-driven insight.
PRE EXECUTION
Research
Market structure
Learn the market structure for a product to optimise your execution strategy (e.g. clip sizes, popular venues, trade timing).
Research
Backtesting
Use historical trades to backtest your trading strategies and algorithms.
Pre-trade analytics
Pricing
Discover current levels from recent prints and calibrate your pricing or validate the quotes you receive.
Pre-trade analytics
Order / Execution management
Enrich your O/EMS or trading strategy with liquidity and pricing measures (e.g. volumes per trading venue, average prices, trading protocols).
Pre-trade analytics
Activity monitoring
Monitor intraday trading activity to keep informed of market movements.
POST EXECUTION
Risk management
Risk factor monitoring
Track your portfolio’s risk factors over time using real market activity (e.g., ADV, price trends, on- vs off-venue liquidity).
Risk management
Stress testing
Use historical data to simulate market scenarios and how your portfolio would be impacted.
Performance measurement
Market share
Upload your transactions to see them overlayed against the wider market and learn what share of the market your desk captures.
Performance measurement
Flow analysis
See the trades you missed to learn whether you need to adapt your pricing and sales strategy.
Performance measurement
Trade valuations
Create more realistic valuations of your trade or position using real market activity.
Performance measurement
Portfolio and new issue performance
Track your portfolio’s performance over time or see how your debt is trading after issue.
Dashboard with pie charts showing bond universe and bond type distribution, a detailed trading desk table with bond volumes and percentages, and a stacked bar chart of real-time transaction data over several weeks.

Business impacts for Banks

Market transparency. Unprecedented visibility into global fixed income markets with timely insights.
Profit growth. Increase market share and profitability through improved price discovery and execution.
Operational efficiency. Reduce operational overhead, freeing up internal resources to focus on alpha generation.
PRE EXECUTION
Research
Market structure
Learn the market structure for a product to optimise your execution strategy (e.g. clip sizes, popular venues, trade timing).
Research
Backtesting
Use historical trades to backtest your trading strategies and algorithms.
Pre-trade analytics
Pricing
Discover current levels from recent prints and calibrate your pricing or validate the quotes you receive.
Pre-trade analytics
Order / Execution management
Enrich your O/EMS or trading strategy with liquidity and pricing measures (e.g. volumes per trading venue, average prices, trading protocols).
Pre-trade analytics
Activity monitoring
Monitor intraday trading activity to keep informed of market movements.
POST EXECUTION
Risk management
Risk factor monitoring
Track your portfolio’s risk factors over time using real market activity (e.g., ADV, price trends, on- vs off-venue liquidity).
Risk management
Stress testing
Use historical data to simulate market scenarios and how your portfolio would be impacted.
Performance measurement
Best execution & Transaction Cost Analysis (TCA)
Benchmark your traded levels against similar prints to understand your trading costs / profit.
Performance measurement
Market share
Upload your transactions to see them overlayed against the wider market and learn what share of the market your desk captures.
Performance measurement
Flow analysis
See the trades you missed to learn whether you need to adapt your pricing and sales strategy.
Performance measurement
Trade valuations
Create more realistic valuations of your trade or position using real market activity.
Performance measurement
Portfolio and new issue performance
Track your portfolio’s performance over time or see how your debt is trading after issue.
Propellant sample report

Business impacts for Asset Managers

Market transparency. Unprecedented visibility into global fixed income markets with timely insights.
Execution analytics. Better execution through price discovery and TCA.
Operational efficiency. Reduce operational overhead, freeing up internal resources to focus on alpha generation.
POST EXECUTION
Performance measurement
Market share
Upload your transactions to see them overlayed against the wider market and learn what share of the market your desk captures.
Performance measurement
Flow analysis
See the trades you missed to learn whether you need to adapt your pricing and sales strategy.
Propellant sample report

Business impacts for Trading Venues

Market transparency. Unprecedented visibility into global fixed income markets with timely insights.
Profit growth. Increase market share and profitability through improved price discovery and execution.
Operational efficiency. Reduce operational overhead, freeing up internal resources to focus on alpha generation.
PRE EXECUTION
Research
Market structure
Learn the market structure for a product to optimise your execution strategy (e.g. clip sizes, popular venues, trade timing).
Research
Backtesting
Use historical trades to backtest your trading strategies and algorithms.
Pre-trade analytics
Pricing
Discover current levels from recent prints and calibrate your pricing or validate the quotes you receive.
Pre-trade analytics
Order / Execution management
Enrich your O/EMS or trading strategy with liquidity and pricing measures.
Pre-trade analytics
Activity monitoring
Monitor intraday trading activity to keep informed of market movements.
POST EXECUTION
Risk management
Risk factor monitoring
Track your portfolio’s risk factors over time using real market activity.
Risk management
Stress testing
Use historical data to simulate market scenarios.
Performance measurement
Market share
Upload your transactions to see them overlayed against the wider market.
Performance measurement
Flow analysis
See the trades you missed to learn whether you need to adapt your strategy.
Performance measurement
Trade valuations
Create more realistic valuations of your trade using real market activity.
Performance measurement
Portfolio and new issue performance
Track your portfolio’s performance over time.
Propellant sample report

Business impacts for Hedge Funds

Market transparency. Unprecedented visibility into global fixed income markets with timely insights.
Profit growth. Increase market share and profitability through improved price discovery and execution.
Operational efficiency. Reduce operational overhead, freeing up internal resources to focus on alpha generation.
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