Institutional-Grade Capital Allocation
Deploy Capital.
Allocate with Discipline.
Allocate capital to reputation-weighted managers across prediction markets, with diversified portfolios and systematic risk controls.
Performance tracked across real trades
Access is granted on a rolling basis.
The Process
Three Steps to Portfolio Allocation
1
Discover Managers
Browse top-performing managers with verified track records, reputation scores, and consistent returns across prediction markets.
2
Configure Allocation
Set your capital allocation, risk parameters, and position limits. Customize strategies for each manager to match your portfolio goals.
3
Automated Execution
Our engine monitors markets 24/7, calculating optimal position sizes and executing allocations automatically with institutional precision.
24/7
Continuous Risk Monitoring
Reputation
Weighted Manager Selection
Drawdown
Controlled Allocation