Docklands Capital Management

Developing the next generation of investment strategies

A Netherlands-based investment manager focused on the development and backing of innovative trading and investment strategies across global financial markets.

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We work with experienced traders, quantitative researchers and investment professionals to develop robust, scalable investment solutions.

Docklands Capital Management B.V. identifies promising ideas across global financial markets and helps develop them into investment solutions built for the long term. By combining market expertise, disciplined research and sound risk management, we seek to build strategies capable of delivering long-term, risk-adjusted returns.

Our work sits at the intersection of trading experience and rigorous process — backing people and ideas we believe can perform consistently across changing market conditions.

Our Focus

Where we spend our time

From early-stage research through to capital allocation, our activity spans the full lifecycle of a strategy.

  • Research and development of trading strategies
  • Quantitative and systematic investment models
  • Portfolio construction and risk management
  • Strategy validation and performance analysis
  • Capital allocation to selected opportunities
  • Strategic partnerships within the investment industry
Markets We Cover

A broad research mandate

Our research spans a wide range of global asset classes, allowing us to follow opportunity rather than be confined to it.

Foreign Exchange (FX)

Spot, forward and derivative exposure across major and emerging currency pairs.

Global Equities

Discretionary and systematic exposure across developed and select emerging markets.

Commodities

Energy, metals and agricultural markets, traded across the futures curve.

Fixed Income

Sovereign and corporate credit, rates and term-structure strategies.

Digital Assets

Selective exposure to digital asset markets within a disciplined risk framework.

Multi-Asset Strategies

Blended approaches that combine markets and methodologies for diversified outcomes.

Our Philosophy

Discipline over dogma

Markets are constantly evolving — successful strategies require continuous refinement, not a fixed playbook.

We believe that disciplined research, robust data analysis and effective risk management are essential to building sustainable investment solutions. Rather than focusing on a single methodology, we explore a range of discretionary and systematic approaches, selecting those that demonstrate consistency, resilience and scalability.

Looking Ahead

Building toward institutional-quality solutions

As Docklands Capital Management continues to grow, we aim to expand our research capabilities, strengthen strategic partnerships and support the development of institutional-quality investment solutions for professional market participants.

Contact

Let's start a conversation

For general enquiries, partnership discussions or to learn more about our work, reach out using the details below.

General Enquiries contact@docklands.capital
Telephone +31 20 369 8557
Entity Docklands Capital Management B.V.
Amsterdam Litasweg 1, 1060 RV Amsterdam, The Netherlands
London 22 Gilbert Street, Mayfair, London, W1K 5HD, United Kingdom
Visiting address, by appointment
General Enquiries contact@docklands.capital
Telephone +31 20 369 8557
Entity Docklands Capital Management B.V.