Our Methodology

At Omega Trading, we accept the markets for what they are. The markets are irrational but they are NEVER wrong. It is only those operating within them that are wrong.

For every investor – institutional or individual – that wins, there is someone on the other side of the trade who loses and this will remain the case for as long as markets exist. It goes without saying that we aim to be on the winning team as often as we possibly can and, in order to achieve this, we must rely upon being better informed than those who lose. We do not claim to have access to privileged information – that’s illegal – but we make more of the information we have by using analysts and researchers who better understand the information. 

Omega Trading retains some of the most experienced global market analysts and we charge them with a single mission – To provide our clients with the highest returns on investment with the lowest risk.

Omega Trading’s analysts successfully achieve this balance through the use of both technical and fundamental analysis. Omega Trading uses a combination of both schools when evaluating the suitability of a particular equity, fixed income product or commodity for a portfolio.

Make no mistake, it is the repetitive and methodical dissection of the available information that makes the difference rather than the star traders who apparently succeed against all odds that make our success possible ... and consistent.