Options don't have to be confusing. But too many tools add pressure instead of clarity: hidden risk, moving numbers, and a push to trade now. Praevue was built to do the opposite. To slow the moment down. To make risk and outcomes obvious before any capital is on the line.
The full picture, first
A better outcome starts with a better decision. So Praevue focuses on the part most tools skip, seeing the full picture first. Max loss. Max gain. Breakeven. And the assumptions behind every number.

What Praevue is
A decision-quality layer for retail options traders
A scenario modeling and visualization tool for planning and learning
A trust brand built on disclosure, clarity, and consistency

What Praevue is not
Not a broker
Not investment advice
Not signals, picks, or "alpha"
Doesn't tell you what to trade, it helps you see what a scenario could mean before you decide

Clarity over cleverness
Plain English in, clear outcomes out. No jargon walls, no spreadsheets, no black boxes.

Assumptions always visible
Every chart, every export, every outcome shows the pricing mode, IV inputs, and timestamp behind it. Nothing hidden, nothing to guess.

Defined risk by default
Maximum loss is shown upfront, every time. You see the worst case before you start.

No hype, no pressure
No countdowns. No urgency. No promises. Just calm, accurate information you can think with.

Built to learn over time
Scenarios you can save, compare, and remix, including the ones that don't work out, so each outcome teaches you something.

Scenarios, not predictions
Praevue does not claim to know what happens next. It helps you explore possible outcomes and make decisions with clearer context.
Clarity before commitment. Educational options modeling with assumptions always visible.