Top Features & Highlights
- Global non-bank market maker
- Award winning liquidity: FX, precious metals, energy, commodities & indices
- Institutional-grade execution & pricing
- In-house developed pricing built on proprietary technology
- Prime of Prime services
- Parallax risk-sharing model
- Apex liquidity bridge
- RADAR risk management platform
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Key Data & Tradable Assets
Provider Type
LP Non Bank
Sector
Liquidity
Founded
2014
Employees
200
Regulators
Server Locations
Tradable Assets
iSAM Securities is a global market maker and liquidity and technology provider within the iSAM Group, which includes iSAM Funds, a $5bn alternative asset manager specialising in systematic investing. Established 11 years ago, we operate globally with offices in London, Hong Kong, Florida, Cayman, and Cyprus.
Leveraging deep quantitative expertise, iSAM Securities was founded as a prime-of-prime, delivering institutional-grade execution and infrastructure to retail markets before evolving into a market maker serving institutional clients and trading venues. This progression combines hedge fund precision with broker-driven market insight to deliver robust, adaptable liquidity solutions.
Our liquidity offering spans FX, precious metals, energy, indices, and commodities, alongside our Parallax risk-sharing model and a crypto margin facility allowing digital assets to be posted as margin. All pricing is built in-house using advanced proprietary technology.
Our technology suite includes the Apex liquidity bridge, Radar risk management platform, Surge, an intelligent book and execution optimisation platform, and global hosting services.
Data Sheet: iSAM Securities
Updated: Dec 15th 2025
All information is provided for general information purposes only. It does not claim to be or constitute legal or other professional advice and cannot be relied upon as such. Please refer to the Terms of Service & Privacy Policies of LiquidityFinder and iSAM Securities for more details.
Provider Type:
LP Non Bank
Sector:
Liquidity
Founded:
2014
Phys FX Delivery:
N/A
EE Access:
N/A
Server Locations:
Fees:
N/A
Terms:
N/A
Regulators:
Min. Capital Requirements:
$ undefined USD
Min. Client Collateral Requirements:
$ undefined USD
Min. Balance Requirements:
$ undefined USD
Min. Balance Sheet Requirements:
$ undefined USD
CCY Min. Ticket Size:
$ undefined USD
CCY Max. Ticket Size:
$ undefined USD
Min. Spread 1M EUR/USD:
$ undefined USD
Min. Spread 1M GBP/USD:
$ undefined USD
Min. Spread 1K oz Gold XAU/USD:
$ undefined USD
Min. Spread 1 BTC/USD:
$ undefined USD
Accepts Retail Clients:
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Segregated Account for Funds:
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Last Look Option:
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Passive/Aggressive Orders:
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Single NOP Limit across Venue:
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Centralized Clearing:
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Overnight Rollover Charges:
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Margin Offered FX Majors:
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Margin Offered FX Emerging Markets:
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Margin Offered Precious Metals:
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Tier 1 Bank Prime Brokers Used:
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Bridge Offered:
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MT4:
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MT5:
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Risk Management Offered:
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Negative Balance Guaranteee:
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Asset Management Incubation:
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Provider Type:
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Adheres to FX Global Code:
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Affiliate Rebate:
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PLC:
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London - FCA Regulated
Florida
Cayman - CIMA Registered
Hong Kong - SFC Regulated
Cyprus
iSAM Securities
Corporate Info
Provider Type: LP Non Bank
Sector: Liquidity
Established: 2014
Employees: 200
40 Leadenhall Street London EC3A 2BJ United Kingdom
Main HQ Region: europe
Office Locations: Click To View
Website: Outbound Link
Disclaimers: Privacy Policy
