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Trading

At Norden Capital Group, we don't just manage a portfolio; we craft a legacy of intelligent, informed, and profitable equity trading, setting new benchmarks in the realm of capital management.

Portfolio Strategy

01

Proprietary Trading

Our Portfolio Management department adopts a dynamic and strategic approach to equity trading, focusing exclusively on optimizing Norden Capital Group's proprietary capital. Our strategies are built on a foundation of rigorous market analysis and forward-thinking investment philosophies.

02

Approaches

We leverage a diverse array of trading tactics, from long-term positional trades based on deep fundamental analysis to shorter-term opportunities identified through technical and trend analyses.

03

Adaptability 

Our team continuously monitors global market trends and economic indicators, enabling us to adapt our strategies to shifting market conditions, always aiming to maximize returns on our own capital.

04

Risk Management

Our dedication to risk management matches our commitment to innovation in trading strategies. We employ robust risk assessment tools and strict control measures to ensure the sustainability and growth of our portfolio. This disciplined approach positions Norden Capital Group to capitalize on market opportunities while safeguarding our financial resources.

Trading Strategies

Crafting the balance between opportunity and risk in the markets.

Fundamental Strategy

This strategy involves in-depth analysis of company fundamentals - financial health, industry position, and growth prospects. We assess long-term potential, looking beyond temporary market fluctuations to identify stocks that are undervalued relative to their intrinsic worth.

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Quantitative Strategy

Our quantitative approach leverages advanced algorithms and statistical models to identify trading opportunities. We analyze market data and historical trends, utilizing technology-driven insights to make informed trading decisions, focusing on mathematical precision.

Tactical Asset Allocation

This dynamic strategy involves adjusting the investment mix based on short-term market opportunities and economic indicators. We tactically shift allocations between asset classes to capitalize on market movements, balancing risk and reward effectively for optimal portfolio performance.

Canary Wharf London

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Contact Us

Address

71-75 Shelton St, WC2H, 9JQ London, United Kingdom

Ny Carlsberg Vej 80, 1760 Copenhagen, Denmark

Contact

Opening Hours

Mon - Thu

8:00 am – 6:00 pm

Friday

8:00 am – 5:00 pm

​Quai de l'Île 13 1204 Geneva, Switzerland

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