Enterprise-Grade Financial Intelligence
A Bloomberg-inspired institutional finance dashboard built with Next.js, shadcn/ui, and Tailwind CSS v4. Multi-asset trading, risk analytics, compliance monitoring, and portfolio management — all in one dense, professional interface.
57+
Pages
13
Finance Pages
10
Chart Types
3
Languages
Built for Institutional Finance
Six core modules covering the full institutional workflow, from trade execution to client reporting.
Multi-Asset Trading
Fixed income, FX, derivatives, and equities — all asset classes in one unified interface with real-time blotters.
Risk Analytics
Value-at-Risk, stress testing, scenario analysis, and risk factor sensitivity across your entire portfolio.
Regulatory Compliance
Trade surveillance, violation tracking, regulatory calendars, and limit utilization monitoring in real-time.
Portfolio Management
Holdings analysis, performance attribution, Brinson decomposition, and benchmark tracking for institutional portfolios.
Treasury Operations
Cash flow forecasting, money market rates, counterparty exposure limits, and maturity ladder visualization.
Client Reporting
Automated report generation, client portfolio templates, and branded deliverables for institutional clients.
13 Domain-Specific Finance Pages
Purpose-built pages for every aspect of institutional finance. Each page comes with realistic mock data and production-ready layouts.
Fixed Income
Bond inventory, yield curves, and sector allocation
FX Trading
Live rates grid, position blotter, currency exposure
Derivatives
Options chain, Greeks panel, P&L by strategy
Risk Management
VaR trend, stress tests, factor sensitivity
Compliance
Violations, regulatory calendar, limit utilization
Order Management
Live blotter, execution venues, fill analytics
Portfolio
Holdings, performance vs benchmark, sector exposure
Attribution
Brinson waterfall, factor attribution, monthly heatmap
Treasury
Cash flow forecast, MM rates, maturity ladder
Market Data
Index grid, economic calendar, correlation matrix
Research
Analyst reports, category filters, reading list
Counterparty
Exposure table, rating distribution, margin alerts
Client Reports
Report templates, client list, activity timeline
+ 44 more pages including analytics, charts, calendar, kanban, team management, notifications, settings, documentation, 8 auth pages, and more.
Explore All PagesWhy Fortress?
More than a template — it's a production-ready starting point for your next institutional finance application.
Dark-First Design
Bloomberg-inspired dark interface as the hero identity. Light mode included for every screen.
Responsive & Fast
Mobile-ready layouts with lazy-loaded charts and optimized bundles under 200KB first load.
10 Chart Types
Area, bar, pie, radar, treemap, scatter, heatmap, waterfall, and more — all with Recharts.
Institutional Data
Realistic mock data modeled after Bloomberg, Refinitiv, and FactSet — ready for your APIs.
Multi-Language
Built-in i18n with English, German, and French. Easy to extend to any locale.
Enterprise Aesthetic
IBM Plex Sans typography, muted steel blue palette, and compact density by default.
Modern Stack, Zero Compromise
Built with the latest tools so you can ship fast and maintain confidence.
Simple, Transparent Pricing
One-time purchase. No subscriptions. Free updates included.
Personal
For individual developers and side projects.
- Single project license
- All 57+ pages & components
- Dark & light mode
- 6 months of updates
- Community support
Developer
For freelancers and small teams building client projects.
- Unlimited projects
- All 57+ pages & components
- Dark & light mode
- 12 months of updates
- Priority email support
- Figma source files
Lifetime
One-time purchase. Lifetime updates, forever.
- Unlimited projects
- All 57+ pages & components
- Dark & light mode
- Lifetime updates
- Priority support forever
- Figma source files
- Early access to new templates
Build Your Trading Desk in Minutes
Clone the repo, connect your data feeds, and deploy. Fortress gives you the institutional-grade UI so you can focus on what matters — managing risk and generating alpha.