Performance fees for Fund Managers are calculated and distributed daily, with the billing cycle concluding on the final Friday of each month (between 23:50-23:59:59 UTC+0). A new billing period begins immediately afterward.
This automated payment system ensures Fund Managers receive their earnings promptly and accurately. All performance fees are deposited directly into the Manager's Partner Wallet, which is automatically created when setting up a Fund Management profile in the Client Portal.
Fund Managers can review detailed payment information for each investor under the Reports section of their fund page in the Fund Management area. For more information about performance fee calculation methods or billing periods, please contact our support team.
If you need assistance, please submit a ticket through our Service Hub, connect via Live Chat, or email [email protected].