Our business

Lind Capital’s business strategy is to create value through exploitation of market inefficiencies, liquidity and risk imbalances in financial markets.

At Lind Capital, we use a market neutral approach, where we attempt to create value independently from the increase or decline of the market. By means of data, market knowledge, and well-tested models, we attain an informational insight that we then act on.

On the Danish market, we act as an active investor on investment funds. On the basis of statistical models, we furthermore act as participant on international exchanges.


At Lind Capital, we trade at our own risk, using our own capital. This makes us more independent and provides us with the opportunity to be innovative.

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Risk management

As market neutral participant, risk management plays a significant role in Lind Capital’s business strategy.

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