Master investment strategies through realistic market simulation without risking real capital
Boost your investment simulation experience with real trading platform offers
Wagering requirements apply. Minimum deposit required for match bonuses. New users only. Bonus validity periods as stated. Trade responsibly.
CapitalGo operates on a sophisticated market simulation engine that mirrors real-world trading conditions without financial risk. The system processes live market data feeds and reconstructs price movements, volatility patterns, and order book dynamics identical to actual exchanges. Your virtual portfolio reacts to the same market forces that drive professional trading platforms.
The simulation incorporates realistic spread calculations, slippage modeling, and commission structures based on actual broker fees. When you execute a trade within CapitalGo, the system applies market impact algorithms that account for order size relative to simulated liquidity. Large position entries experience price slippage proportional to volume, teaching you optimal execution strategies before risking real capital.
Portfolio analytics run continuously in the background, calculating risk metrics including Value at Risk, Sharpe ratios, beta coefficients, and drawdown statistics. The system maintains a complete audit trail of every decision, enabling detailed performance review and strategy refinement. Historical backtesting functionality allows you to replay your strategies against past market conditions to validate approach effectiveness.
Access simulated feeds from major global exchanges including NYSE, NASDAQ, LSE, and TSE. Price updates refresh every second during market hours, incorporating bid-ask spreads, order depth visualization, and Level II market data. The system simulates after-hours trading sessions and pre-market activity to provide comprehensive market exposure.
Track performance across multiple timeframes with institutional-grade metrics. The analytics dashboard displays real-time P&L calculations, position-level attribution analysis, sector exposure breakdowns, and correlation matrices. Risk management tools include stop-loss automation, position sizing calculators, and margin requirement monitoring.
Build diversified portfolios spanning equities, ETFs, commodities, forex pairs, and cryptocurrency simulations. Each asset class features authentic trading mechanics including different order types, settlement periods, and margin requirements. Cross-asset correlation analysis helps identify diversification opportunities and portfolio hedging strategies.
Test trading strategies against 10 years of historical market data with tick-level precision. The backtesting engine accounts for transaction costs, slippage, and market impact to provide realistic performance projections. Monte Carlo simulation runs generate probability distributions for expected returns under varying market conditions.
Apply over 80 technical indicators including moving averages, Bollinger Bands, RSI, MACD, Fibonacci retracements, and custom indicator combinations. Charting tools support multiple timeframes from 1-minute to monthly candles, with drawing tools for trendlines, support/resistance levels, and pattern recognition overlays.
Compete in monthly trading challenges against other users with verified performance rankings. Leaderboards track absolute returns, risk-adjusted returns, maximum drawdown, and consistency metrics. Top performers earn badges and unlock advanced simulation features including options trading and leverage controls.
Free download for Android 8.0+. No subscription fees. No credit card required. Install completes in under 2 minutes.
Download for AndroidRated 17+ for simulated financial trading content. Contains in-app purchases for premium market data packages. Requires internet connection for real-time simulation feeds.