Sterk Vekstnadet analyzes market data in real time and delivers concrete action proposals based on predictive models — without brokerage, platform fees or hidden costs on any transaction.
The analysis panel continuously shows the factors underlying each proposal: volume changes, volatility and historical patterns, updated continuously throughout the trading day.
Fees and noise are the two factors that reduce returns the most over time. Sterk Vekstnadet is built to eliminate both.
No commission or platform fee is charged on transactions. The profit generated stays with you, regardless of how often the models trade.
The models factor in historical patterns and current volume data to distinguish real signals from short-term fluctuations that often lead to wrong decisions.
Each proposal is followed by an assessment of downside risk, so that the capital is distributed in line with the risk tolerance you have defined.
The technical approach is built around continuous collection, pattern recognition and re-calibration — not isolated forecasts.
Market data, volume figures and macro indicators are collected continuously from several sources throughout the trading day.
Predictive models identify patterns in historical cycles and assess them against current market conditions.
The models translate the analysis into concrete proposals, marked with expected risk and time horizon.
Recommendations are continuously adjusted when new data change the assumptions on which the proposal was based.
The models are adapted to different needs, from individuals with limited time to decision makers with responsibility for larger capital.
Outcome: ongoing proposal without daily follow-up
The analysis runs continuously in the background and only alerts when a proposal requires your confirmation, making it possible to follow the market without spending working time on it.
Outcome: structured allocation with defined risk frameworks
Decision-makers can set upper limits for exposure, so that the models relate to the framework the company has already adopted.
Outcome: lower exposure in periods of weak earnings
The models take fluctuating cash flow into account and adjust the proposals in periods where you yourself have marked a lower risk appetite.
Sterk Vekstnadet has no external certificates to show as of today. Instead, emphasis is placed on making the calculation basis understandable and verifiable.
Returns shown in the analysis panel are calculated based on historical and simulated trends based on the models' own proposals, not actual customer portfolios. This is a methodological limitation we are clear about, rather than presenting numbers without context.
The models weight historical data against current market conditions and present a probability-weighted proposal. No guarantee of outcome is given, as future market developments can never be determined with certainty.
The cost structure is built so that the income does not come from transaction fees. This is a deliberate choice to avoid a conflict of interest between trading frequency and the user's return.
Yes. Each proposal in the panel is followed by a brief explanation of which factors — volume, volatility, historical patterns — have had the greatest impact.
The platform is designed to reduce the complexity of decisions, but a basic understanding of risk and investment horizon is a prerequisite regardless of the tool used.
Registration takes a few minutes and you can see how the analysis panel works before connecting to capital. No commitment period, no hidden steps.
Start the analysis Zero commission. Always.