Proprietary Trading
We develop and execute proprietary trading strategies across a range of financial instruments and markets using the company's own capital.
NexoNova Systems is a proprietary trading company focused on trading financial contracts using its own capital.
Our activities span derivatives, futures, options, and other financial instruments, with strategies developed through a combination of quantitative analysis, market research, and disciplined decision-making.
We believe sustainable market participation requires a structured framework for assessing risk, executing strategies, monitoring exposure, and continuously adapting to changing market conditions.
NexoNova Systems – 3-102-956041 SRL
We develop and execute proprietary trading strategies across a range of financial instruments and markets using the company's own capital.
Costa Rica

We develop and execute proprietary trading strategies across a range of financial instruments and markets using the company's own capital.
Our activities may include derivatives, futures, options, and other financial contracts selected according to our internal trading strategies and risk parameters.
We monitor international financial markets to identify potential opportunities across different asset classes, geographies, and market environments.
Market data, analytical methodologies, and quantitative models support our assessment of pricing dynamics, volatility, market behaviour, and potential opportunities.
Risk management is integrated throughout our trading activities, from initial analysis and strategy development to execution and ongoing position monitoring.
Our Approach
Financial markets continuously evolve. Our approach combines research, technology, quantitative analysis, and defined risk parameters to support disciplined decision-making.

Our strategies are informed by market data, quantitative analysis, and structured research.
Our methodologies are designed to adapt as market conditions, volatility, and opportunities evolve.
Capital preservation and controlled exposure are fundamental components of our trading framework.
We evaluate opportunities across international financial markets, asset classes, and market environments.
To identify and pursue opportunities across global financial markets through disciplined analysis, structured proprietary trading strategies, and responsible risk management.
To build a sophisticated and adaptive proprietary trading operation recognized for analytical discipline, technological capability, and consistent execution.
A Systematic Approach to Market Opportunity
NexoNova Systems was built around a straightforward principle: effective participation in financial markets requires structure, discipline, and adaptability.
We combine analytical research, technology, market intelligence, and disciplined execution to develop and manage proprietary trading strategies.
Our activities are conducted exclusively on the company's own behalf and using its own capital.

Every strategy begins with understanding the market. We analyze data, market structure, volatility, and broader market conditions before capital is deployed.
Clear frameworks and defined parameters guide decision-making and help maintain consistency across changing market environments.
Every market opportunity carries risk. We evaluate potential exposure alongside potential return and incorporate risk controls throughout the trading lifecycle.
Markets change, and strategies must evolve with them. We continuously review methodologies and adjust our approach based on market behaviour and performance.
Research, technology, and market knowledge are continuously refined to strengthen our trading capabilities and decision-making processes.
NexoNova Systems – 3-102-956041 SRL