AegeanLabs
Real-Time Business Intelligence & Decision Support

Real-Time Intelligence for Your Brokerage. Decide With Confidence.

One customizable dashboard for P&L, exposure, positions — across every server, from any device, always in sync.

See How It Works
Overview
Risk
P&L
Clients
Symbols
Gross Exp.
$24.8M
Net Exp.
$4.2M
Hedge Ratio
83%
Margin Used
67%
Exposure Heatmap
Low
Med
High
EUR
GBP
JPY
XAU
USD
CHF
Hedge Coverage
0%83% hedged100%
Open Positions24 active
SymbolSideVolumeP&L
EURUSDB15.0+$2,340
GBPJPYS8.5-$890
XAUUSDB25.0+$5,120
USDJPYS12.0+$1,200
AUDUSDB6.0-$340
USDCHFS10.0+$780
NZDUSDB4.5+$150
Overview
Risk
P&L
Clients
Symbols
Daily P&L
+$23,450
Weekly P&L
+$142,800
Max Drawdown
-$18,200
Win Rate
67.3%
P&L as Candlesticks — Daily
1D1W1M
$100K$75K$50K$25K$0
Overview
Risk
P&L
Clients
Symbols
Client Behavioral Profiling247 clients
A
Alpha Trading Ltd+$142K
85
High VolumeProfitable
B
Beta Capital Group+$98K
72
MomentumActive
G
Gamma Investments-$67K
35
Toxic FlowScalper
D
Delta Markets Inc-$89K
28
ArbitrageHigh Risk
E
Epsilon FX Corp+$45K
68
Steady
Client Segmentation
247clients
Profitable (35%)
Neutral (25%)
At Risk (25%)
Toxic (15%)
P&L by Client
Alpha
+$142K
Beta
+$98K
Epsilon
+$45K
Gamma
-$67K
Delta
-$89K
Overview
Risk
P&L
Clients
Symbols
Source 1
Source 2
Source 3
Source 4
Source 5
Exposure
$12.4M
Net P&L
+$847K
Margin
68%
Combined P&L
Volume Distribution
Exposure Heatmap
Top Symbols
EURUSD
GBPUSD
XAUUSD
USDJPY
Live Alerts
Margin warning — Src 2
Sync complete — Src 4
New session — Src 1
High exposure — XAUUSD
Overview
Risk
P&L
Clients
Symbols
P&L Overview
Net Exposure
$4.2M
+12.3%
Risk Heatmap
Active Positions
EURUSDBuy+$2.4K
GBPJPYSell-$890
XAUUSDBuy+$5.1K
USDJPYSell+$1.2K
Layouts
Share
Overview
Risk
P&L
Clients
Symbols
Risk
P&L
Exposure
Position
Volume
Grouping
Risk Asset
SymbolClientsBrokerHedge (%)Risk
GOLDRisk Asset
141.378.005.66%-133.37
XAUUSD
73.952.002.70%-71.95
XAUUSD.r
14.80-2.00-13.51%-16.80
XAUUSD.fix
4.500.000.00%-4.50
XAUUSD.f
12.000.000.00%-12.00
XAUUSD.d
2.030.000.00%-2.03
XAUUSD.t
1.000.000.00%-1.00
KGRUSD
27.501.003.64%-26.50
KGRUSD.r
8.001.0012.50%-7.00
KGRUSD.fix
3.000.000.00%-3.00
GRMUSD
28.424.0014.07%-24.42
GRMUSD.r
10.002.0020.00%-8.00
GRMUSD.fix
4.000.000.00%-4.00
GRMUSD.f
5.000.000.00%-5.00
TTBUSD
11.501.008.70%-10.50
TTBUSD.r
6.001.0016.67%-5.00
TTBUSD.fix
2.000.000.00%-2.00
Aliases roll up into templates, templates roll up into the risk asset — same grouping across every metric.
Overview
Risk
P&L
Clients
Symbols
Gross Exp.
$24.8M
Net Exp.
$4.2M
Hedge Ratio
83%
Margin Used
67%
Exposure Heatmap
Low
Med
High
EUR
GBP
JPY
XAU
USD
CHF
Hedge Coverage
0%83% hedged100%
Open Positions24 active
SymbolSideVolumeP&L
EURUSDB15.0+$2,340
GBPJPYS8.5-$890
XAUUSDB25.0+$5,120
USDJPYS12.0+$1,200
AUDUSDB6.0-$340
USDCHFS10.0+$780
NZDUSDB4.5+$150
Overview
Risk
P&L
Clients
Symbols
Daily P&L
+$23,450
Weekly P&L
+$142,800
Max Drawdown
-$18,200
Win Rate
67.3%
P&L as Candlesticks — Daily
1D1W1M
$100K$75K$50K$25K$0
Overview
Risk
P&L
Clients
Symbols
Client Behavioral Profiling247 clients
A
Alpha Trading Ltd+$142K
85
High VolumeProfitable
B
Beta Capital Group+$98K
72
MomentumActive
G
Gamma Investments-$67K
35
Toxic FlowScalper
D
Delta Markets Inc-$89K
28
ArbitrageHigh Risk
E
Epsilon FX Corp+$45K
68
Steady
Client Segmentation
247clients
Profitable (35%)
Neutral (25%)
At Risk (25%)
Toxic (15%)
P&L by Client
Alpha
+$142K
Beta
+$98K
Epsilon
+$45K
Gamma
-$67K
Delta
-$89K
Overview
Risk
P&L
Clients
Symbols
Source 1
Source 2
Source 3
Source 4
Source 5
Exposure
$12.4M
Net P&L
+$847K
Margin
68%
Combined P&L
Volume Distribution
Exposure Heatmap
Top Symbols
EURUSD
GBPUSD
XAUUSD
USDJPY
Live Alerts
Margin warning — Src 2
Sync complete — Src 4
New session — Src 1
High exposure — XAUUSD
Overview
Risk
P&L
Clients
Symbols
P&L Overview
Net Exposure
$4.2M
+12.3%
Risk Heatmap
Active Positions
EURUSDBuy+$2.4K
GBPJPYSell-$890
XAUUSDBuy+$5.1K
USDJPYSell+$1.2K
Layouts
Share
Overview
Risk
P&L
Clients
Symbols
Risk
P&L
Exposure
Position
Volume
Grouping
Risk Asset
SymbolClientsBrokerHedge (%)Risk
GOLDRisk Asset
141.378.005.66%-133.37
XAUUSD
73.952.002.70%-71.95
XAUUSD.r
14.80-2.00-13.51%-16.80
XAUUSD.fix
4.500.000.00%-4.50
XAUUSD.f
12.000.000.00%-12.00
XAUUSD.d
2.030.000.00%-2.03
XAUUSD.t
1.000.000.00%-1.00
KGRUSD
27.501.003.64%-26.50
KGRUSD.r
8.001.0012.50%-7.00
KGRUSD.fix
3.000.000.00%-3.00
GRMUSD
28.424.0014.07%-24.42
GRMUSD.r
10.002.0020.00%-8.00
GRMUSD.fix
4.000.000.00%-4.00
GRMUSD.f
5.000.000.00%-5.00
TTBUSD
11.501.008.70%-10.50
TTBUSD.r
6.001.0016.67%-5.00
TTBUSD.fix
2.000.000.00%-2.00
Aliases roll up into templates, templates roll up into the risk asset — same grouping across every metric.
Overview
Risk
P&L
Clients
Symbols
Gross Exp.
$24.8M
Net Exp.
$4.2M
Hedge Ratio
83%
Margin Used
67%
Exposure Heatmap
Low
Med
High
EUR
GBP
JPY
XAU
USD
CHF
Hedge Coverage
0%83% hedged100%
Open Positions24 active
SymbolSideVolumeP&L
EURUSDB15.0+$2,340
GBPJPYS8.5-$890
XAUUSDB25.0+$5,120
USDJPYS12.0+$1,200
AUDUSDB6.0-$340
USDCHFS10.0+$780
NZDUSDB4.5+$150
Overview
Risk
P&L
Clients
Symbols
Daily P&L
+$23,450
Weekly P&L
+$142,800
Max Drawdown
-$18,200
Win Rate
67.3%
P&L as Candlesticks — Daily
1D1W1M
$100K$75K$50K$25K$0
Overview
Risk
P&L
Clients
Symbols
Client Behavioral Profiling247 clients
A
Alpha Trading Ltd+$142K
85
High VolumeProfitable
B
Beta Capital Group+$98K
72
MomentumActive
G
Gamma Investments-$67K
35
Toxic FlowScalper
D
Delta Markets Inc-$89K
28
ArbitrageHigh Risk
E
Epsilon FX Corp+$45K
68
Steady
Client Segmentation
247clients
Profitable (35%)
Neutral (25%)
At Risk (25%)
Toxic (15%)
P&L by Client
Alpha
+$142K
Beta
+$98K
Epsilon
+$45K
Gamma
-$67K
Delta
-$89K
Overview
Risk
P&L
Clients
Symbols
Source 1
Source 2
Source 3
Source 4
Source 5
Exposure
$12.4M
Net P&L
+$847K
Margin
68%
Combined P&L
Volume Distribution
Exposure Heatmap
Top Symbols
EURUSD
GBPUSD
XAUUSD
USDJPY
Live Alerts
Margin warning — Src 2
Sync complete — Src 4
New session — Src 1
High exposure — XAUUSD
Overview
Risk
P&L
Clients
Symbols
P&L Overview
Net Exposure
$4.2M
+12.3%
Risk Heatmap
Active Positions
EURUSDBuy+$2.4K
GBPJPYSell-$890
XAUUSDBuy+$5.1K
USDJPYSell+$1.2K
Layouts
Share
Overview
Risk
P&L
Clients
Symbols
Risk
P&L
Exposure
Position
Volume
Grouping
Risk Asset
SymbolClientsBrokerHedge (%)Risk
GOLDRisk Asset
141.378.005.66%-133.37
XAUUSD
73.952.002.70%-71.95
XAUUSD.r
14.80-2.00-13.51%-16.80
XAUUSD.fix
4.500.000.00%-4.50
XAUUSD.f
12.000.000.00%-12.00
XAUUSD.d
2.030.000.00%-2.03
XAUUSD.t
1.000.000.00%-1.00
KGRUSD
27.501.003.64%-26.50
KGRUSD.r
8.001.0012.50%-7.00
KGRUSD.fix
3.000.000.00%-3.00
GRMUSD
28.424.0014.07%-24.42
GRMUSD.r
10.002.0020.00%-8.00
GRMUSD.fix
4.000.000.00%-4.00
GRMUSD.f
5.000.000.00%-5.00
TTBUSD
11.501.008.70%-10.50
TTBUSD.r
6.001.0016.67%-5.00
TTBUSD.fix
2.000.000.00%-2.00
Aliases roll up into templates, templates roll up into the risk asset — same grouping across every metric.
Overview
Risk
P&L
Clients
Symbols
Gross Exp.
$24.8M
Net Exp.
$4.2M
Hedge Ratio
83%
Margin Used
67%
Exposure Heatmap
Low
Med
High
EUR
GBP
JPY
XAU
USD
CHF
Hedge Coverage
0%83% hedged100%
Open Positions24 active
SymbolSideVolumeP&L
EURUSDB15.0+$2,340
GBPJPYS8.5-$890
XAUUSDB25.0+$5,120
USDJPYS12.0+$1,200
AUDUSDB6.0-$340
USDCHFS10.0+$780
NZDUSDB4.5+$150
Overview
Risk
P&L
Clients
Symbols
Daily P&L
+$23,450
Weekly P&L
+$142,800
Max Drawdown
-$18,200
Win Rate
67.3%
P&L as Candlesticks — Daily
1D1W1M
$100K$75K$50K$25K$0
Overview
Risk
P&L
Clients
Symbols
Client Behavioral Profiling247 clients
A
Alpha Trading Ltd+$142K
85
High VolumeProfitable
B
Beta Capital Group+$98K
72
MomentumActive
G
Gamma Investments-$67K
35
Toxic FlowScalper
D
Delta Markets Inc-$89K
28
ArbitrageHigh Risk
E
Epsilon FX Corp+$45K
68
Steady
Client Segmentation
247clients
Profitable (35%)
Neutral (25%)
At Risk (25%)
Toxic (15%)
P&L by Client
Alpha
+$142K
Beta
+$98K
Epsilon
+$45K
Gamma
-$67K
Delta
-$89K
Overview
Risk
P&L
Clients
Symbols
Source 1
Source 2
Source 3
Source 4
Source 5
Exposure
$12.4M
Net P&L
+$847K
Margin
68%
Combined P&L
Volume Distribution
Exposure Heatmap
Top Symbols
EURUSD
GBPUSD
XAUUSD
USDJPY
Live Alerts
Margin warning — Src 2
Sync complete — Src 4
New session — Src 1
High exposure — XAUUSD

One Dashboard. Only What Matters.

Dealing desk, risk function, C-suite — we've lived all three. Positions, exposure, P&L scattered across multiple sources, every minute of every session, is the job we're here to fix.

One dashboard, customized for every role in the company. Echo connects directly to your trading platforms, aggregates every server, and gives each person exactly the data they need to do their job — nothing more, nothing less.

No bridge. No complex setup. No irrelevant numbers in the way.

Why Brokers Choose Echo

Every metric. One clear view.

Positions, exposure, P&L, margin — every signal that matters, on one screen, in real time. No more spreadsheets, no more tab-switching.

Group anything. Track it your way.

Roll up symbols into risk assets. Roll up accounts into virtual groups. Track P&L, exposure, and positions exactly the way your desk thinks — not the way the platform exports them.

Your dealing desk fits in your pocket

Full dashboard experience on desktop, tablet, and mobile. Not a stripped-down version — the real thing.

Setup takes less time than your morning coffee

Connect to your trading platform. Aggregate multiple servers. Go live in a single session.

Stop watching screens. Let Echo do the watching.

Set custom alerts on anything you track — margin levels, exposure limits, P&L swings, feed interruptions. Free to define, free to change.

Every role sees only the data they should

Dealers, risk managers, owners — each role sees only the accounts, symbols, and metrics their permissions allow. No one drowns in irrelevant data. No one sees what they shouldn't.

Every Signal. Instantly Echoed.

Explore the intelligence modules and features that power your daily decisions.

Multiple Servers. One Unified View.

Plug in every source. Echo aggregates positions, exposure, and P&L across all of them in real time — one dashboard, zero tab-switching.

Build It. Save It. Share It.

Drag and drop widgets, set filters and alerts, save layouts — and share them with your team in one click. Every role builds a workspace around their responsibilities, not a one-size-fits-all screen.

Risk & Positions. Always in Focus.

Real-time open positions, pending orders, net and gross exposure, hedge ratios, and margin utilization — across all symbols and accounts. Drill down to any client or instrument instantly.

Read Your P&L Like a Price Chart.

Historical and real-time P&L displayed as candlestick charts — spot patterns, identify your best sessions, and track drawdowns the same way you'd read the market.

Every Symbol. Grouped the Way You Think.

Echo lets you consolidate aliases and templates into the risk assets your desk actually tracks — and this grouping runs across the entire app, not just one module.

Group Your Clients the Same Way You Group Your Symbols.

Build virtual groups of accounts, desks, or regions on the fly — VIPs, scalpers, a specific funnel — and track their exposure, P&L, and behavior as a single unit.

Overview
Risk
P&L
Clients
Symbols
Source 1
Source 2
Source 3
Source 4
Source 5
Exposure
$12.4M
Net P&L
+$847K
Margin
68%
Combined P&L
Volume Distribution
Exposure Heatmap
Top Symbols
EURUSD
GBPUSD
XAUUSD
USDJPY
Live Alerts
Margin warning — Src 2
Sync complete — Src 4
New session — Src 1
High exposure — XAUUSD
Overview
Risk
P&L
Clients
Symbols
P&L Overview
Net Exposure
$4.2M
+12.3%
Risk Heatmap
Active Positions
EURUSDBuy+$2.4K
GBPJPYSell-$890
XAUUSDBuy+$5.1K
USDJPYSell+$1.2K
Layouts
Share
Overview
Risk
P&L
Clients
Symbols
Gross Exp.
$24.8M
Net Exp.
$4.2M
Hedge Ratio
83%
Margin Used
67%
Exposure Heatmap
Low
Med
High
EUR
GBP
JPY
XAU
USD
CHF
Hedge Coverage
0%83% hedged100%
Open Positions24 active
SymbolSideVolumeP&L
EURUSDB15.0+$2,340
GBPJPYS8.5-$890
XAUUSDB25.0+$5,120
USDJPYS12.0+$1,200
AUDUSDB6.0-$340
USDCHFS10.0+$780
NZDUSDB4.5+$150
Overview
Risk
P&L
Clients
Symbols
Daily P&L
+$23,450
Weekly P&L
+$142,800
Max Drawdown
-$18,200
Win Rate
67.3%
P&L as Candlesticks — Daily
1D1W1M
$100K$75K$50K$25K$0
Overview
Risk
P&L
Clients
Symbols
Risk
P&L
Exposure
Position
Volume
Grouping
Risk Asset
SymbolClientsBrokerHedge (%)Risk
GOLDRisk Asset
141.378.005.66%-133.37
XAUUSD
73.952.002.70%-71.95
XAUUSD.r
14.80-2.00-13.51%-16.80
XAUUSD.fix
4.500.000.00%-4.50
XAUUSD.f
12.000.000.00%-12.00
XAUUSD.d
2.030.000.00%-2.03
XAUUSD.t
1.000.000.00%-1.00
KGRUSD
27.501.003.64%-26.50
KGRUSD.r
8.001.0012.50%-7.00
KGRUSD.fix
3.000.000.00%-3.00
GRMUSD
28.424.0014.07%-24.42
GRMUSD.r
10.002.0020.00%-8.00
GRMUSD.fix
4.000.000.00%-4.00
GRMUSD.f
5.000.000.00%-5.00
TTBUSD
11.501.008.70%-10.50
TTBUSD.r
6.001.0016.67%-5.00
TTBUSD.fix
2.000.000.00%-2.00
Aliases roll up into templates, templates roll up into the risk asset — same grouping across every metric.
Overview
Risk
P&L
Clients
Symbols
Virtual Group BuilderDrag accounts to build a group
3 of 4 selected
Account Pool128 accts
C-10293VIP · DXBScalper
C-10488VIP · LONMomentum
C-10612Retail · ISTNews
C-10745VIP · SGPScalper
GROUPVIP Scalpers · APAC+EMEA
3 accounts · live aggregation
P&L (24h)
+$24,180
Net Exposure
$3.4M
Positions
38
Behavior
toxicscalperhigh-vol
Members
C-10293 · VIP · DXBC-10488 · VIP · LONC-10745 · VIP · SGP

Up and Running in a Single Session.

01
Connect & Aggregate
02
Define Roles & Data Scope
03
Build & Share Workspaces
04
Monitor. Alert. Decide.

From the Dealing Desk to the Dashboard.

Echo was built by former chief dealers who spent years running risk desks just like yours.

Every feature exists because someone on our team needed it.

24/7 Support

From people who know brokerage operations

Hands-On Onboarding

Setup assistance from day one

Full Documentation

Training, docs, and demo environment included

Ongoing Updates

Continuous updates at no additional cost

The Clearest Echo of Your Brokerage.

Book a demo and see your servers, your metrics, your way — in real time.

Contact Us