Comprehensive services spanning the full spectrum of European power trading, from millisecond execution to multi-year hedging strategies.
Expert execution across all European power market timeframes, from long-term forwards to real-time balancing.
Day-ahead and intraday market participation with algorithmic execution for optimal pricing. Real-time position management across EPEX SPOT, Nord Pool, and regional exchanges.
Strategic forward curve management and structured hedging programmes. We help you lock in prices and manage exposure across monthly, quarterly, and annual contracts.
Exploit price differentials across interconnected markets. Our models continuously monitor spread opportunities between bidding zones.
Maximise the value of your generation assets and consumption portfolios through intelligent dispatch and procurement strategies.
Dynamic scheduling of flexible generation assets to capture peak pricing. Our algorithms balance technical constraints with market opportunities in real-time.
Specialist optimisation for wind, solar, and hybrid portfolios. We manage intermittency risk and maximise capture rates against benchmark prices.
Optimise procurement timing for large consumers. Shift flexible loads to capture price troughs and reduce overall energy costs.
Proprietary machine learning systems that analyse vast datasets to generate actionable trading signals and accurate market forecasts.
Multi-horizon price predictions combining fundamental analysis, weather models, and market sentiment. Updated continuously as new data arrives.
Granular forecasts of system demand and renewable generation. Essential inputs for trading decisions and imbalance position management.
Automated trading strategies that execute based on model signals. From simple limit orders to complex multi-market strategies.
Real-time monitoring for unusual market conditions and pricing opportunities. Get alerts when our systems detect tradeable events.
Comprehensive frameworks to identify, measure, and mitigate energy market risks. Protect your portfolio against adverse price movements and volatility.
Tailored hedging programmes aligned with your risk appetite and business objectives. We balance protection costs against exposure reduction.
Continuous tracking of open positions, mark-to-market valuations, and risk metrics. Immediate visibility into portfolio health.
Sophisticated VaR modelling incorporating price volatility, correlation structures, and tail risk scenarios.
Scenario analysis for extreme market events. Understand how your portfolio performs under crisis conditions.
Enterprise-grade infrastructure powering all our trading and analytics capabilities.
Sub-100ms order execution to all major European exchanges
Bank-grade security with SOC 2 Type II compliance
Direct API links to 15+ exchanges and data providers
Multi-site deployment with automatic failover
Every portfolio is unique. Contact us for a tailored assessment of how Krom Capital can add value to your operations.
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