Multi Asset
Trading Solutions

FCA- regulated liquidity for institutions (hedge funds, family offices, brokers) and professional traders.

Why MAS Markets

Globally Recognised Institutional Liquidity

MAS Markets services institutional clients in over 35 countries with headquarters in London, and regional hubs in the EMEA and APAC regions.

Award winning

32nd Fastest Growing Company in the UK

MAS Markets named in the Business Leader Growth 500, as the 32nd fastest growing company in the UK. The Growth 500 is the UK’s definitive list of the fastest-growing private companies, measuring revenue performance over the past three years.

B2B Best Institutional Forex Broker

MAS Markets was named the best institutional forex broker for 2025 at the Global Forex Awards. 7,500 verified votes were casted by professionals worldwide.

Why MAS Markets

Reliable Technology & Conditions

MAS Markets exists to give professional traders and institutions a more reliable foundation for multi-asset execution.
From our headquarters in London and under the oversight of the FCA, we deliver liquidity and technology built to strengthen performance, reduce friction and elevate trading standards globally.

FCA Regulation

Our operations are anchored in the City of London and supervised by the FCA — providing a regulatory framework that institutional clients can trust.

 

 

Tier-1 Partnerships

We maintain custody and funding arrangements through Tier-1 banks and regulated investment funds across major currencies, ensuring institutional security and operational robustness.

 

Purpose-Built Technology

Our execution ecosystem is powered by proprietary systems that integrate seamlessly with leading global vendors, delivering low-latency connectivity and dependable multi-asset performance.

Why MAS Markets

Client Solutions

MAS Markets provides bespoke solutions to a wide range of institutional clients. 

Professional Traders

Access tailored multi-asset liquidity across FX, indices, and commodities, with execution routing aligned to your strategy and flow.

Trading environments structured around your specific trading style, ensuring product selection, pricing, and execution are fully aligned with how you operate. Flexible margin frameworks and risk parameters designed to improve capital efficiency while maintaining control. Institutional-grade technology combined with direct, experienced support to optimise execution, scalability, and performance.

FX / CFD Brokers

Access tailored multi-asset liquidity across FX, indices, and commodities, with execution configured for broker flow, including A/B book models, internalisation, and external hedging.

Broker environments structured around your client base and flow profile, ensuring pricing, mark-ups, and execution are aligned with your commercial and risk objectives. Flexible margining, credit arrangements, and risk controls designed to optimise capital efficiency while managing exposure. Institutional-grade infrastructure, including bridge connectivity, aggregation, and real-time risk monitoring, supported by experienced teams to enhance execution quality, scalability, and operational performance.

Hedge Funds / Family Offices

Multi-asset liquidity across FX, indices, and commodities, with execution configured for institutional flow, including aggregation, and customised routing.

Trading environments structured around your fund’s mandate and portfolio construction, ensuring product selection, pricing, and execution align with your investment objectives. Flexible margining, financing, and risk frameworks designed to optimise capital efficiency and portfolio exposure. Institutional-grade infrastructure with low-latency execution, robust reporting, and dedicated support to enhance performance, scalability, and operational control.

Commodities Dealers

Direct access to deep liquidity across precious metals and commodities, with execution configured to support physical flows, inventory management, and hedging activity.

Trading environments aligned to dealer operations, ensuring pricing, spreads, and execution integrate with client flow, inventory positions, and risk exposure. Flexible margining, credit, and risk frameworks structured to optimise capital usage while maintaining tight control over market risk. Delivered through institutional-grade infrastructure with real-time pricing, transparent reporting, and dedicated support to enhance execution efficiency, risk management, and scalability.

Corporates

Liquidity access across FX and commodities tailored to corporate hedging needs, enabling efficient management of currency and raw material exposures.

Execution and pricing structured around treasury and operational objectives, ensuring seamless integration with cash flow planning and risk mitigation processes. Margining, credit, and risk frameworks can be adapted to improve cost efficiency while maintaining control over exposures. Backed by institutional-grade infrastructure, transparent reporting, and dedicated support to strengthen hedge effectiveness, governance, and scalability.

Why Mas Markets

Market Intelligence & Insights

Global financial markets research, news and insights.
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+44 (0) 208 6162303
info@mas-markets.com
131 Finsbury Pavement
London EC2A 1NT, UK

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© 2026. All rights reserved by Multi Asset Solutions Limited (trading name MAS Markets).

Multi Asset Solutions Limited is a company registered in England and Wales with company number 12590608 and regulated by the Financial Conduct Authority under firm reference number (FRN) 926482. Our registered address is 131 Finsbury Pavement, London, EC2A 1NT, United Kingdom.

The information on this website is only directed at Institutional and Professional Clients. It is not directed at residents of any jurisdiction where FX Trading and/or CFD Trading is restricted or prohibited by local laws or regulations.