MarketShield® | BuySide Trader™ delivers unique functionality for buyers of bulk pools:
- Automated file uploads of seller tapes with data normalization
- Customizable data imports and exports to accommodate seller data formats
- Price pools and formulate bids based on their actual available end executions
- Customize profit margins at multiple levels and add loan-level payups in real-time
- Email integration to automatically send bids to sellers
Position Management Tools
- Flexible Position Reporting
- Best Execution, Gain/Loss Reporting and Accounting
- MIAC Libor Market Model (LMM) – Interest Rate Model
- Daily Loan Level Mark-to-Market and Expected Gain/Loss
- Best Execution, Price and Pull-Through Loan Level Auditor
- Multiple Hedge Instruments & Templates
- Intraday Position Analytics
- Intuitive Hedge Activity Input and Maintenance
- TradeWeb™ STP Integration
- Intraday Hedge Valuation
- Daily Change Attribution Reporting
- P&L Reporting
- Daily GAAP Accounting Reporting
Data Management and Reporting
- MIAC® DataRaptor® File Mapping and Auditing
- User-Defined Reporting
Manage you pipeline with MarketShield® | BuySide Trader™
- Automated pool generation
- Intelligent trade allocation
- Specified premium optimizer
- Temporary price & delivery spiff support
- Supports sandboxed environment for pools
- Activity tool calculates intra-day position
- Eliminates need for separate spreadsheets
- Supports & optimizes bulk bids
