Premium Kapital brings together price data, order books and liquidity metrics from multiple exchanges in one interface and supplements them with AI-supported assessments. You retain decision-making authority, the system provides the basis for analysis.
Instead of switching between multiple trading interfaces, Premium Kapital consolidates position data, open orders and liquidity depth from connected trading venues into a unified view. Data formats are normalized so that key figures can be directly compared regardless of the source exchange.
This reduces the time spent manually comparing individual platforms and creates a consistent basis for assessing market situations across multiple venues.
The underlying models are trained with historical and current market data and identify probability-weighted scenarios for short-term price trends. Each output receives a confidence value that makes the model security transparent.
The forecasts do not replace your own risk assessment, but rather provide an additional, data-supported perspective for decision-making in day-to-day business.
The processing path from raw data to a usable recommendation follows three clearly defined steps. This creates traceability and reduces the risk of making decisions based on incomplete information.
Tick data, order book depth and relevant macro indicators are continuously recorded via the APIs of the connected exchanges and converted into a uniform data schema.
The models compare current market structures with historical patterns and highlight statistical abnormalities in volume, volatility and order flow.
Findings are translated into compact suggestions for action with confidence intervals and risk parameters. The execution remains completely in your hands.
The user interface of Premium Kapital is deliberately designed to be reserved: dark areas, clear contrasts and few color accents are intended to support readability over longer sessions without distracting from the actual data.
The following examples show in which situations the combination of multi-exchange data and model analysis provides a concrete basis for decision-making.
If there are unusual volume or price swings, the system highlights the deviation and provides context to comparable historical periods as a basis for adjusting position size.
Holdings across multiple exchanges are merged and aligned with a defined target allocation. Deviations are quantified and issued as a rebalancing notice.
Price differences between connected trading venues are continuously recorded. Spreads that exceed a defined threshold, taking fees into account, are highlighted.
An excerpt of the questions we are regularly asked by technically savvy users.
API connections are set up with read permissions only, if supported by the respective exchange. Transmitted data is encrypted, both during transmission and at rest. Access keys with withdrawal authorization are not processed by the system.
Premium Kapital is designed as a decision support, not an execution system for high frequency trading. Small, network-related delays in data transmission therefore only influence the quality of the pattern analysis to a negligible extent. The actual order execution continues to take place via the respective exchange.
Each output shows the underlying factors and a confidence score, no recommendation is presented without context. The models are regularly checked and adjusted based on current market data, and changes to the methodology are documented.
Arrange a system demo and find out how Premium Kapital transfers your existing exchange connections into a common analysis environment.
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