MX.3 is a trading and risk management software platform from Murex that supports financial institutions in managing their operations. It combines portfolio management, trade capture, and risk analytics so firms can make informed decisions. This platform is designed to handle complex asset classes and provides real-time data visualization for better insights. Users benefit from integrated compliance and regulatory reporting features, ensuring adherence to local and international regulations. Key capabilities: trade execution risk assessment market data integration regulatory compliance portfolio management Best for: financial institutions that need a comprehensive solution for trading and risk management.
MX.3 by Murex is a highly sophisticated investment management and capital markets solution designed for financial institutions seeking a unified platform to support trading, treasury, risk, and post-trade operations. Positioned as an all-in-one system, MX.3 serves a wide range of financial players including global banks, asset managers, hedge funds, pension funds, insurance companies, and clearing houses. Its primary purpose is to streamline complex operations across front, middle, and back offices, providing integrated tools for trading, risk management, and regulatory compliance. The software’s key features include real-time data analytics, cross-asset class support, automated risk calculations, and a highly scalable architecture that can adapt to varied business models. The user interface of MX.3 is functional, albeit more complex compared to some newer platforms. Given the depth of functionality it provides, the interface tends to be data-dense, which may pose a learning curve for new users. However, for seasoned professionals in investment management or capital markets, the interface is highly informative and configurable.
A single platform covering treasury, trading, and investment activities across asset classes.
Supports all major asset classes and functions.
Built-in features to ease compliance with market standards and regulations.
Offers out-of-the-box and bespoke interfaces for connecting with various providers and systems.
Allows for quick onboarding of new functions while retaining customization options.
Supports various deployment models, including IaaS, PaaS, BPaaS, and SaaS with full or hybrid cloud.
Offers specific functionalities for asset managers, insurance companies, pension funds, and hedge funds.
Catalog of over 350 ready-to-use payoffs across various asset classes.
Combines various functionalities for financial markets.
Large global user base.
Used by major financial institutions.
Significant market share in foreign exchange.
Commitment to ongoing development.
High-quality platform for financial institutions.
Extensive client portfolio.
Supports a wide range of financial instruments.
Manages treasury operations.
Supports trading activities.
Facilitates investment management.
Streamlines key banking processes.
Enhances oversight and governance.
Flexible implementation options.
Collaboration with industry infrastructure.
Helps meet regulatory requirements.
Supports clearing processes.
Manages collateral.
Facilitates reporting obligations.
Tools for managing market risk.
Manages risk associated with counterparties.
Helps manage funding risks.
Global presence.
Long history in the industry.
Adapts to regional and international requirements.
Robust integration capabilities.
Pre-built connections to market data and service providers.
Pre-built connections to market infrastructure.
Pre-built connections for regulatory reporting.
Ability to create custom connections.
Adapts to existing IT infrastructure.
Efficient deployment for new areas.
Utilizing pre-configured functionalities.
Allowing tailored configurations.
Enhancing operational processes.
Improving data management.
Enhancing analytical capabilities.
Client-centric approach to implementation.
Ongoing platform development.
Efficient and collaborative development practices.
Cloud infrastructure options.
Cloud platform options.
Cloud-based business process services.
Cloud-based software delivery.
Flexible cloud deployment models.
Specific features for asset management.
Offers a unique approach.
Supports a wider range of investment products.
Facilitates adherence to regulatory requirements.
Enables independent valuation of derivatives.
Advanced modeling for liability-driven investing.
Enhanced risk management and performance evaluation tools.
Seamless integration with investment processes.
Enhances collaboration in trading operations.
Enhances collaboration in investment management.
Enhances regulatory adherence.
Enhances collateral management.
Enhances post-trade operations.
Ensuring regulatory compliance.
Facilitating connections with market participants.
Improves efficiency.
Increases automation of trade processing.
Centralized investment data for better collaboration.
Extensive library of financial instrument building blocks.
Flexibility in creating complex instruments.
Tools for developing proprietary financial products.
Wide range of supported asset classes (with specific examples listed).
Supports business development.
Facilitates market connectivity.
Different aspects of their offerings.
Diverse client base.
Information about the company.
Collaboration with other organizations.
Ways to get in touch.
Access for existing clients.
Platform for user interaction.
Information on data handling.
Legal agreements for using the platform.
Options for managing cookies.
General legal information.
Copyright information.
Be the first to drop a review
SecondSTAX is a financial software platform from SecondSTAX that provides investment portfolio analysis. It includes…
Grow For Me is a productivity platform from Grow For Me that supports agricultural decision-making.…
Tynka Global is an investment platform from Tynka Global that helps users find businesses to…
Spot something wrong or outdated?
Suggest a correction — a reviewer verifies every change.
MX.3 is a trading and risk management software platform from Murex that supports financial institutions in managing their operations. It combines portfolio management, trade capture, and risk analytics so firms can make informed decisions. This platform is designed to handle complex asset classes and provides real-time data visualization for better insights. Users benefit from integrated compliance and regulatory reporting features, ensuring adherence to local and international regulations. Key capabilities: trade execution risk assessment market data integration regulatory compliance portfolio management Best for: financial institutions that need a comprehensive solution for trading and risk management.
Does MX.3 have an in-app market place?
Yes
How many Mini-Apps in the marketplace?
1
N/A
USD ($), EUR (€), GBP (£), JPY (¥), AUD (A$), CAD (C$), CHF (CHF), CNY (¥), SEK (kr), NOK (kr), DKK (kr), SGD (S$), HKD (HK$), NZD (NZ$), KRW (₩), INR (₹), RUB (₽)
Contact
+33 1 44 50 35 35Community Forums
https://cz.murex.com/SecondSTAX is a financial software platform from SecondSTAX that provides investment portfolio analysis. It includes…
Grow For Me is a productivity platform from Grow For Me that supports agricultural decision-making.…
Tynka Global is an investment platform from Tynka Global that helps users find businesses to…