We help brokers stay one step ahead of toxic traders — and ten steps ahead in profitability.

We help brokers detect toxic trading patterns, reduce exposure risks, 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!

Arvixon Trading Platform Illustration

Our Products

Average spread report

The Average Spread Report gives you visibility into one of the most silent profit killers in brokerage operations: inefficient pricing.

It analyzes your spreads by symbol, session, and LP source, and shows you exactly where you’re giving up edge — either by quoting too tightly to the client or overpaying to the LP.

This isn’t just about monitoring. It’s about recovering missed revenue, optimizing LP routing, and restoring control over your pricing logic — without touching your infrastructure.

It calculates:

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The average spread sent to clients
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The average spread received from each LP
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The real spread markup delta per symbol & session
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And flags loss-making spread routes you're not aware of

PNL Report

Most brokers check PNL daily — but very few know which side of the book made the money, and which source of flow is actually dragging performance.

The Arvixon Daily PNL Report breaks down your profit and loss by book type (A-book vs. B-book) and by execution source (API vs. retail) — giving you a high-level control panel that shows how your risk translates to revenue.

No more guessing whether your losses came from poor hedging, toxic retail behavior, or high-frequency API flow.Now you can see it — clearly, cleanly, and without needing to slice data manually.

It calculates:

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Book-based profitability (A-book vs. B-book, separated or combined)
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Source-based flow breakdown (API vs. Retail client flow)
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Reported on a daily, weekly, monthly, or custom time range
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Exportable summary tables and downloadable snapshots for management or audits

Exposure Overview

The Exposure Viewer gives you a live, dynamic view of your symbol-level exposure across the B-book — so you know exactly:

It calculates:

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What you're holding
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Where you're overexposed
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And when you need to hedge or rebalance

It’s built for brokers who want to stay within their internal risk limits, comply with regulator thresholds, and avoid unnecessary hedging costs.

Financial Trading Analytics Dashboard

Who We Are?

We're a team of fintech developers, quants, and former market participants who specialize in building tools that decode risk and restore broker control. Our platform delivers high-precision trade analytics, giving brokers the ability to identify toxic flow, measure trade lifecycle decay, and optimize internal routing — all without disrupting current systems.

From B-book exposure monitoring to latency-sensitive scalper detection, our suite is built for brokers which seek for data driven decisions. Our mission is simple: smarter risk controls, stronger margins, and zero tolerance for invisible losses.

Why Brokers Choose Us

Recover up to 27%

Recover up to 27%

Recover as much as 27% in silent losses caused by inefficiencies and exploitable trades.

Engineered By Insiders Pros

Engineered By Insiders Pros

Founded by former arbitrage strategists with deep knowledge of exploitative trading behaviors and broker-side vulnerabilities.

Data That Drives Gains

Data That Drives Gains

Deliver data-driven clarity for faster, smarter decisions at the intersection of risk and profitability.

Book Demo
Gable Sheber

Gabie Sheber

Book Your Free Advisory Call

45 min
Web conferencing details provided upon confirmation.

This is a Free 45 minutes meeting, we'll show you how our platform identifies structural inefficiencies, flags exploitable trade behaviors, and highlights where silent revenue losses—up to 27%—may be hiding. You'll get a firsthand look at how our tools turn raw broker data into clear, actionable insights that drive smarter, faster decisions and sustainable profitability.

Select a Date & Time

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