Managing deal execution for the equity primary issuance process
Successful deal execution is reliant upon many critical factors, including precise order entry, strict regulatory adherence, unequivocal price discovery, fair allocation practices, and more. We enable capital markets professionals to execute deals more efficiently with an end-to-end execution platform for the equity primary issuance process. Our Equity Bookbuild (EBB) platform manages all facets of the deal lifecycle, including marketing, syndicate collaboration, order/allocation management, and post-settlement activities.
- Joint Bank Operability - Extensive global network of banks that rely on our utility to communicate and share deal information on a real-time basis. Unique reconciliation process to identify and marry joint institutional orders.
- Comprehensive Functionality - from origination through post-settlement, while eliciting straight-through-processing to drive efficiency.
- Data Integration - Seamless integration with our complete set of ancillary modules (Events, Compliance, Prospectus, Issuer Solutions) to analyze investor activity and fulfillment alongside orders/allocations.
- Enriched Analytics - Extensive amalgamation of data sets (e.g. price thresholds, drop-off levels, demand build-up, hit ratios) to support thoughtful allocations and healthy aftermarket performance.