Experienced professionals dedicated to rational capital growth
Orinexis was founded on the principle that sustainable wealth creation requires discipline, rational analysis, and long-term perspective. We provide educational resources and strategic insights designed for European investors who reject short-term speculation in favor of evidence-based capital allocation.
Our team combines decades of experience in financial markets, portfolio management, and risk analysis. We believe that financial education empowers individual investors to make informed decisions, avoid common pitfalls, and build resilient portfolios capable of weathering market volatility while capturing growth opportunities.
Evidence-based decision-making grounded in quantitative analysis and fundamental research, not market sentiment or emotional reactions.
Protecting principal through diversification, risk management, and defensive portfolio construction that prioritizes downside protection.
Building wealth across decades, not quarters, through patient capital accumulation and the power of compound growth.
Empowering individuals through comprehensive financial education, transparent analysis, and accessible investment frameworks.
Chief Investment Strategist
Elena brings 18 years of experience in European equity markets and portfolio construction. Previously serving as Senior Portfolio Manager at a Stockholm-based asset management firm, she specializes in risk-adjusted return optimization and behavioral finance applications for individual investors.
Head of Research & Analysis
Sophie holds a PhD in Financial Economics from the University of Paris and has published extensively on European market efficiency and capital allocation strategies. Her research focuses on translating institutional investment methodologies for individual investor application.
Risk Management Director
Marcus spent 15 years in quantitative risk management at major European financial institutions. He developed proprietary risk assessment frameworks now adapted for individual portfolio management, emphasizing stress testing and tail-risk protection.
Education & Content Director
Astrid has dedicated her career to financial literacy and investor education. A former university lecturer in finance, she creates accessible content that demystifies complex investment concepts while maintaining analytical rigor and practical applicability.
European Markets Analyst
Henrik provides macroeconomic analysis and sector-specific insights across European markets. His background in economic policy research and 12 years covering European equities informs Orinexis market perspectives and strategic recommendations.
Orinexis operates at the intersection of academic finance theory and practical market application. We distill institutional-quality investment frameworks into accessible strategies suitable for individual investors. Our content emphasizes:
The art and science of making decisions about investment mix and policy, matching investments to objectives, and balancing risk against performance.
Investment performance metrics that account for the amount of risk taken to achieve returns, providing more meaningful comparisons across strategies.
A field of study that combines psychology and economics to explain why investors make irrational financial decisions based on cognitive biases.
An investment strategy that balances risk and reward by apportioning portfolio assets according to individual goals, risk tolerance, and investment horizon.