Multiple Strategies. One firm.
Multiple Strategies. One firm.
Multiple Strategies. One firm.
Innovative Strategies for Global Markets
Innovative Strategies for Global Markets
Mercor Capital is a trading firm merging the agility of macro strategies with the precision of quantitative trading.
Mercor Capital is a trading firm merging the agility of macro strategies with the precision of quantitative trading.
Trading Strategies
+20
Active Strategies
Trading Strategies
+20
Active Strategies
Trading Strategies
+20
Active Strategies
Trading Volume
+$500M
Monthly Trading Volume
Trading Volume
+$500M
Monthly Trading Volume
Trading Volume
+$500M
Monthly Trading Volume
Global Markets
+300
Markets Traded
Global Markets
+300
Markets Traded
Global Markets
+300
Markets Traded



Trading. Research. Tech.
Trading. Research. Tech.
A Dual Approach to Balancing Risk and Reward
Trading. Research. Tech.
A Dual Approach to Balancing Risk and Reward
Harnessing the Power of Machines
Our systematic strategies, developed by our quant traders and engineers, leverage advanced math, computer science, and AI to build robust trading algorithms.
Harnessing the Power of Machines
Our systematic strategies, developed by our quant traders and engineers, leverage advanced math, computer science, and AI to build robust trading algorithms.
Macro Trading Driven by Fundamentals
Macro Trading Driven by Fundamentals
Macro Trading Driven by Fundamentals
While systematic trading relies on precision and algorithms, our macro traders take a step back to capture the big picture—the interplay of economies, politics, and social forces shaping markets.
While systematic trading relies on precision and algorithms, our macro traders take a step back to capture the big picture—the interplay of economies, politics, and social forces shaping markets.
Balancing Opposites for Market Edge
Balancing Opposites for Market Edge
Systematic trading provides mechanical precision, while global macro offers human adaptability. This unique combination creates robust, antifragile portfolios – the Mercor edge.
Balancing Opposites for Market Edge
Systematic trading provides mechanical precision, while global macro offers human adaptability. This unique combination creates robust, antifragile portfolios – the Mercor edge.
Innovation. Execution. Growth.
Innovation. Execution. Growth.
Engineering the Future of Trading
Innovation. Execution. Growth.
Engineering the Future of Trading
Culture of Collaboration
Every trade reflects the synergy of multiple minds and systems working together.
Seamless Market Integration
Our trading infrastructure is efficiently connected to global financial markets, ensuring speed, transparency, and optimal execution.


Comprehensive Risk Management
Real-time risk management and trade monitoring ensure precise control, responsiveness, and coordination across pods.
High Scalability
Our adaptable, growth-oriented systems ensure stable performance amidst evolving market conditions.
Culture of Collaboration
Every trade reflects the synergy of multiple minds and systems working together.
Seamless Market Integration
Our trading infrastructure is efficiently connected to global financial markets, ensuring speed, transparency, and optimal execution.


Comprehensive Risk Management
Real-time risk management and trade monitoring ensure precise control, responsiveness, and coordination across pods.
High Scalability
Our adaptable, growth-oriented systems ensure stable performance amidst evolving market conditions.
Culture of Collaboration
Every trade reflects the synergy of multiple minds and systems working together.
Seamless Market Integration
Our trading infrastructure is efficiently connected to global financial markets, ensuring speed, transparency, and optimal execution.


Comprehensive Risk Management
Real-time risk management and trade monitoring ensure precise control, responsiveness, and coordination across pods.
High Scalability
Our adaptable, growth-oriented systems ensure stable performance amidst evolving market conditions.
Building Careers at Mercor Capital
We specialize in allocating capital to proprietary trading teams and independent quantitative managers developing innovative trading strategies.
Building Careers at Mercor Capital
We specialize in allocating capital to proprietary trading teams and independent quantitative managers developing innovative trading strategies.
Capital Allocation
We allocate capital based on your pod's performance.
Future-Forward Solutions
Our Web3 fintech simplifies complex finance for all to access.
Profit Sharing
Performance-based payouts that reward strong risk-adjusted returns.
Profit Sharing
Performance-based payouts that reward strong risk-adjusted returns.
Fast & Decisive Support
Fast capital deployment by experts in systematic and macro trading.
Fast & Decisive Support
Fast capital deployment by experts in systematic and macro trading.
Global Flexibility
Trade from anywhere, with exclusive or non-exclusive collaboration.
Global Flexibility
Trade from anywhere, with exclusive or non-exclusive collaboration.
Independence
Operate with full autonomy : your strategy, your intellectual property.
Independence
Operate with full autonomy : your strategy, your intellectual property.
Institutional-Grade Infrastructure
Direct market access, top-tier fees, execution support.
Institutional-Grade Infrastructure
Direct market access, top-tier fees, execution support.
Capital Allocation
We allocate capital based on your pod's performance.
Profit Sharing
Performance-based payouts that reward strong risk-adjusted returns.
Fast & Decisive Support
Fast capital deployment by experts in systematic and macro trading.
Global Flexibility
Trade from anywhere, with exclusive or non-exclusive collaboration.
Independence
Operate with full autonomy : your strategy, your intellectual property.
Institutional-Grade Infrastructure
Direct market access, top-tier fees, execution support.
Your Questions Answered
Find answers to common questions about Mercor Capital.
Your Questions Answered
Find answers to common questions about Mercor Capital.
What Sharpe ratio do you prioritize?
We favor strategies with a Sharpe ratio above 1.5. However, we consider lower Sharpe ratios if the strategy is highly uncorrelated to the rest of the portfolio and offers unique alpha.