Hartmann Kapital
Actively traded DAX CFD Strategy.
Return since inception
40.45%
Actively traded Index Investment Strategy
Active DAX long and short trading for maximum market flexibility.
Own Account
with a renowned broker in Europe.
Risk management
Every trade is immediately subject to a risk limit. In addition, once certain thresholds are reached, trading is suspended for the day or the trading week.
CFD Strategy
Hartmann Kapital
The DAX CFD strategy is based exclusively on the principles of technical analysis. Fundamental data plays no role in trading decisions but is taken into account when assessing volatility. To profit from both rising and falling prices, long or short positions are opened to ensure maximum market flexibility.
Strategy objectives
Use of CFDs
Technical analysis methods
Concentrated expertise
Focused trading
Security
Hartmann Kapital
The Hartmann Kapital strategy focuses on the short-term trading of the German bench-mark index (DAX).
The strategy is based on over two decades of experience in the field of technical analysis. The focus is to be on the basic concept of the trend. The carefully selected entries and exits in the respective positions shall only be made by applying technical analysis.
Trading shall be implemented with a well-thought-out risk and money management. Highly profitable entries against and with the trend are predominantly sought. This results in the possibility of quickly hedging the position and achieving a high risk-reward ratio.
Trading Mentor
Thomas Hartmann
Thomas Hartmann is an official member of the Forbes Finance Council, a certified exchange trader of the Frankfurt Stock Exchange, and has more than 25 years of experience in the financial markets.
Throughout his career, he has managed substantial trading volumes and established a strong reputation in the field of copy trading. His trading track record is based on real capital deployment and professional market execution.
His approach follows a clearly defined, rule-based framework grounded in structured technical analysis, defined support and resistance zones, and consistent risk management principles. Trading decisions are guided by a systematic and repeatable process with fixed entry criteria, predefined risk parameters, and disciplined execution standards – rather than arbitrary or impulsive decisions.
Past performance is not an indicator of future results. Copy trading involves risks, including the possible loss of capital.
SMARTER INVESTMENTS – A BRAND OF
Van Sterling Capital Limited
Regulated by the Malta Financial Services Authority (MFSA). Licence: VANS-IF-9616.
across various asset classes: Equities, CFDs, ETFs.
of initiators since the company was founded.
Van Sterling Capital Limited specialises in structuring investment strategies, financial instruments and security tokens. The company offers customised asset management solutions under a number of proprietary brands to cover a wide range of financial services.
In addition to Smarter Investments, through which investment strategies can be subscribed to, Van Sterling Capital works with brands such as Intokia zto structure and bring to market Security Token Offerings (STOs) and other digital financial instruments.
Kunden profitieren von der umfassenden Expertise des Unternehmens bei der Entwicklung innovativer Finanzprodukte, die auf die individuellen Bedürfnisse der Anleger zugeschnitten sind.
Van Sterling Capital takes particular care to ensure that its structured financial products not only offer a high level of client value, but also provide maximum legal certainty. This is achieved through careful compliance with regulatory requirements and cooperation with regulated partners.
Van Sterling
Benefits for
our clients
Full cost transparency
Regular reporting
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Trading Mentor