top of page

Aurion Capital Group

  • Instagram
  • Facebook
  • X
  • LinkedIn
  • Youtube

 Aurion Capital Group
Market Intelligence and Proprietary Trading

 Aurion Capital Group is the trading name of AOMI Holdings Pty Ltd (ABN 34 672 170 777).
All information on this website is general in nature and does not constitute personal financial advice.
Aurion Capital Group does not manage client funds or provide recommendations to buy or sell financial products.
Trading involves risk and past performance is not indicative of future results.

Who We Are

Aurion Capital Group is an independent market intelligence firm delivering macro-driven, multi-asset analysis across global markets. In parallel, we conduct internal proprietary trading and quantitative research aimed at building scalable, systematic trading capabilities over time, informed by institutional risk and execution standards.

Industries/Expertise

Importers, Exporters & Cross-Border Trading Businesses

Automotive Dealership Groups & Vehicle Importers

Manufacturing & Industrial Businesses

Trading Firms, Prop Desks & OTC Desks

Family Offices & Private Investment Entities

Gold Miners, Refiners & Distributors


Explore Our Solutions

Aurion Capital Group delivers independent, multi-asset market intelligence designed to help organisations understand market risk, volatility, and structural dynamics across global financial markets.

All services are provided as general market information only.

Risk Management

We help organisations identify and understand exposure to market movements by mapping price sensitivity, volatility ranges, and key risk drivers across relevant asset classes, without providing advice or execution.

Market Analysis

We provide macro-driven and technical analysis across FX, commodities, equities, indices, futures, and digital assets. Our research focuses on market structure, volatility regimes, and scenario development to support informed decision-making.

Scenario & Stress Analysis

We develop scenario-based frameworks that illustrate how different market outcomes may impact pricing, costs, or financial exposure under varying macro and volatility conditions.

Strategic Market Context

We provide high-level market context to support strategic planning, budgeting, and operational decision-making, helping businesses interpret macro trends and cross-asset relationships.

Proprietary Trading & Technology Research

Aurion Capital Group maintains an internal proprietary trading and technology research function focused on systematic strategy development, execution research, and risk frameworks using company capital only.

More About Our Solutions

Market Analyst

Our daily market analysis delivers a cross-asset perspective on global markets, covering commodities, equities, index funds, currencies, and macro-driven instruments. We focus on structural trends, relative performance, and market dynamics to provide context around evolving risk conditions and capital flows. This content is for general informational purposes only.

Check back soon
Once posts are published, you’ll see them here.

Our Clients

We believe every client is a valuable, long-term partner.

The Perfect Customer Experience

“What stood out was Aurion’s ability to translate complex market risk into clear, scenario-based frameworks. Their stress analysis allowed us to visualise downside exposure under different macro conditions without receiving prescriptive advice. This materially improved our risk awareness and planning process.”
Poul Gingere

— Risk Manager
Corporate Treasury Team

“Aurion Capital Group’s technical and quantitative research is rigorous and well-structured. Their analysis of market structure and volatility regimes helped us frame price action more objectively across multiple asset classes. The content is thoughtful, data-driven, and clearly produced by practitioners who understand institutional markets.”
Adam Barne

— Portfolio Analyst
Multi-Asset Research Desk

“Aurion Capital Group provides a level of market context that goes beyond surface-level commentary. Their cross-asset analysis helped us understand how macro developments, volatility regimes, and capital flows were interacting across commodities, equities, and indices. The work added clarity to our internal discussions and improved decision discipline.”
Zachi Bloom

— Head of Strategy
Mid-Market Investment Firm

  • Instagram
  • Facebook
  • X
  • LinkedIn
  • Youtube
bottom of page