Prad Kapintov team analysing market data on screens
About Us

Built on discipline, data, and long-term thinking

Prad Kapintov exists to bring structure and rigour to how everyday investors approach the trading pairs market — combining AI-driven analysis with sound risk management principles.

Prad Kapintov analysts reviewing strategy documents

Why we started Prad Kapintov

Prad Kapintov was founded on a simple observation: most individuals trying to navigate trading pairs markets were relying on fragmented information, gut instinct, or generic advice that didn't account for their personal risk tolerance or financial goals.

We set out to build a different kind of resource — one that pairs systematic, AI-assisted data analysis with clear, honest communication about what markets can and cannot promise. Since our founding, that principle has guided every decision we've made, from the tools we build to the way we explain them.

We are not a brokerage and we do not manage funds on behalf of clients. Our focus is on analysis, education, and giving people better information so they can make their own informed decisions.

Making rigorous market analysis accessible

We believe informed decision-making shouldn't be reserved for institutions with large research desks. Our mission is to translate complex market data into clear, actionable insight for individual investors and families.

01

Clarity over noise

We prioritise straightforward explanations of methodology and risk over sensational claims or guaranteed outcomes.

02

Discipline over impulse

Our approach is built around structured, repeatable processes rather than reactive, emotion-driven decisions.

03

Transparency over hype

We aim to be upfront about how our analysis works and what its limitations are, so users can weigh it appropriately.

What guides how we work

These principles shape our internal processes, our communication with users, and the standards we hold our analytical tools to.

Integrity

Honest representation

We describe our tools and their outputs accurately, without overstating certainty or downplaying the risks inherent to trading pairs markets.

Risk Awareness

Managed exposure

Risk management is embedded in our approach from the outset, not treated as an afterthought once analysis is complete.

Continuous Improvement

Evolving methodology

We regularly review and refine our analytical processes as markets, data availability, and tools continue to change.

Accessibility

Plain-language insight

We work to make technical analysis understandable to people without a professional finance background.

People behind the analysis

Prad Kapintov is run by a small, focused team spanning data analysis, financial research, and product design. We work collaboratively to ensure our methodology stays grounded, our communication stays clear, and our tools stay useful.

Data & Research

Responsible for building and refining the analytical models that underpin our market data coverage.

Risk & Methodology

Focused on ensuring our approach reflects sound risk-management principles rather than speculative shortcuts.

User Communication

Dedicated to translating technical output into content that is clear, honest, and genuinely useful to our users.