Prediction trading / Directional Prediction

Between rises and falls A new prediction experience

Offer session-based prediction products. Users choose a price direction and review results by session. Partners configure instruments, periods and participation terms in one back office.

How it works

One session Two directions

Users share opening and settlement times to predict price direction. After participation closes, results follow the rules applicable to that session.

  • Clear session timing

    Opening, participation cutoff and result times are recorded separately so users can identify each stage.

  • Two-sided pools and dynamic odds

    Funds on the up and down sides contribute to odds calculations. Quotes change with the current pool state.

  • Results linked to session records

    Link opening prices, settlement prices, actual direction and final order status for result queries.

Product experience

Structured sessions, clear feedback

Bring participation times, two-sided distributions and historical results into a clear experience.

  • Participate at defined times

    Check opening, cutoff and result times. Choose a direction and amount during the open window.

  • Understand quotes and participation

    Two-sided fund distribution informs dynamic odds. Review the current quote before submitting; orders retain accepted terms.

  • Connect results with orders

    Review price decisions and order outcomes after each session. Partners can inspect participation, amounts and payout summaries.

Partner and white-label back office

Built for users, managed by your team

Manage product settings, order queries, reporting and reconciliation from a unified partner back office.

Product configuration

Manage instruments, periods, target payout ratios and per-order amount limits.

Sessions and orders

View round times, bet distribution and current orders, and review past results.

Business reports

Review participating users, trading volume, returns and actual payout rates by day or month.

Users and funds

Reconcile returns, refunds, void status and settlement transactions by user or order.