Kapitl is growing fast. Here is what is coming for students, professors, and institutions.
Put and call options, Greeks, volatility strategies, and covered calls — applied to your real virtual portfolio.
Individual bonds, yield curve positioning, credit spreads, duration laddering — the full fixed income toolkit used by professional portfolio managers.
Major and minor currency pairs, carry trades, purchasing power parity, and global macro strategies — connecting international finance to live FX markets.
Every stock has hidden supply chain dependencies. The Supply Chain layer maps them and alerts you when real-world disruptions could affect your positions — before the market prices it in.
Professors assign structured modules. Students trade through each concept as they learn it — no separate LMS, no context switching. The portfolio is the classroom.
Want early access when these launch?