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Active Trading

 

At Universal Capital, we run an active trading fund that strategically allocates capital to the derivatives markets. Our investment approach is tailored to navigate highly liquid and volatile markets, using a dynamic blend of quantitative analysis, market intuition and advanced risk management. While we specialise in commodities, we are also active in the major index and currency markets, using a diversified strategy that allows us to take advantage of opportunities across asset classes and adapt to the ever-changing dynamics of the financial markets.

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Expertise, Agility, and Opportunity

 

Our active trading fund is characterised by precision and expertise, honed by years of experience and a deep understanding of market dynamics. We recognise that success in active trading requires a unique blend of market insight, disciplined risk management and a proactive approach to capturing opportunities. In addition, our commitment to continuous learning and adaptation ensures that our strategies remain agile in response to evolving market conditions, allowing us to manage the complexities of the financial landscape with resilience and foresight.

 

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Focus on High-Liquidity Markets

 

At the core of our strategic approach is a dedicated focus on high liquidity markets, a deliberate choice driven by the recognition that these markets provide the essential flexibility and depth required for the successful implementation of active trading strategies. By focusing on these robust financial arenas, we ensure not only the ability to respond quickly to dynamic market movements, but also the ability to execute trades with a higher degree of precision. This emphasis on high-liquidity environments serves as a cornerstone in our quest to optimise trading outcomes, facilitate seamless market participation and enhance our overall ability to navigate the intricacies of the financial landscape with agility and acumen.​

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​Strength Across Markets

 

While commodities are a primary focus of our active trading fund, we also actively participate in major indices and currency markets. This diversified approach allows us to take advantage of opportunities across asset classes and adapt our strategies to changing market conditions. In addition, our commitment to diversification not only mitigates risk, but also enables us to capitalise on a wider range of market movements, creating a resilient and adaptive trading portfolio.

 

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Strategy, Precision, and Innovation

 

Exploring our Active Trading Fund provides an insight into our meticulous approach to active trading. We combine quantitative analysis, price action expertise and market intuition to create a dynamic and responsive investment strategy. Each trade is executed with a clear objective and a keen understanding of the risk/reward dynamics. Furthermore, our ongoing investment in advanced technology and data analysis enables us to stay ahead of market trends, ensuring that our strategies evolve and adapt to the constantly changing financial landscape.

 

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Turning Volatility into Opportunity

 

We know that volatility can create opportunities for astute traders. A look at our active trading fund will give you an insight into the specific instruments we use to identify and capitalise on market movements. Our portfolio demonstrates our commitment to adding value to our fund through active trading strategies.

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“If you want to succeed you should strike out on new paths, rather than travel the worn paths of accepted success.”

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John D. Rockefeller, Entrepreneur

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