About Kane Capital

Our experience of risk management and financial instruments is long and solid.

We have been active in the equity, interest and currency markets for many years. The experience also consists of having managed major banks' portfolios in shares, interest-bearing paper, currencies and derivative instruments. It also consists of having worked in brokerage firms that have specialized in so-called futures and options on financial products.

Today, we have built a company that focuses on management within the Swedish and European stock markets with an emphasis on derivatives trading. Why emphasis on derivatives trading? Yes, because it gives us an opportunity to get a return regardless of whether the stock market goes up or down.

 

Currently, we only trade in the stock market, and then largely stock indices and options on stock indices such as the Swedish OMX S30 index (the 30 largest companies in Sweden) and the Eurostoxx 50 index (the 50 largest companies in Europe). The reason for this is, among other things, that large volumes are traded in these companies and that liquidity is very high in these indexes. This means that even in difficult market conditions, you can buy and sell your positions without problems.

We can also invest a smaller part of the portfolio directly into a company if our analysis tells us that it can give a good return.