Through our technological platform we process mutual fund subscription and redemption orders between managers and dealers. The full operational process is automated, reducing operational risk, allowing our clients to have scalable and cost efficient operations, having real time information with the transparency, security and continuity that matches the industry’s needs.
Main objectives
Contribute to the development of the open architecture of Investment Funds.
Promote international best practices and the use of standards in the Mutual Fund Industry.
Real time processing of mutual fund subscription, redemption and transfer orders
Support Tutorials
Found creation
Price upload
and assignation
Calendar creation
Re process consoult
Re process request
Settlement
accounts creation
Download
summary operations
Password change
Operation boundaries
Legal information: Authorized by the National Banking and Securities Commision (CNBV), through an official notice dated April 25, 2018, to administer an electronic mechanism for trading investment fund shares.