Skip to main content

How do I choose an account type when creating a fund?

The FXTRADING.com Client Portal shows the account types currently available when a Funds Manager creates a fund. Availability can depend on the platform, profile, region and current product catalogue.

The FXTRADING.com Client Portal shows the account types currently available when a Funds Manager creates a fund. Availability can depend on the platform, profile, region and current product catalogue.

Compare the available options

For each account type shown, review:

  • MT4 or MT5 availability;

  • pricing and commission structure;

  • available instruments;

  • account currencies;

  • minimum funding requirement;

  • leverage and margin settings; and

  • order and volume limits.

These are product features, not a recommendation. Consider the fund's disclosed strategy and terms, and select only after reviewing the current specifications.

Can I change the account type later?

Review the confirmation before creating the fund. If the Client Portal does not display a change option after creation, the account type cannot be changed through self-service. You may need to create a new fund, subject to the actions and consequences shown in the portal.

Do not archive or replace an active fund before reviewing the effect on investors, open activity, settlement and existing records.

How are Funds Manager earnings shown?

Performance-fee and partner-reward records appear in the relevant Funds Management report, transaction history or wallet. The available destination and transfer or withdrawal actions are shown for the current record.

When should I contact FXTRADING.com?

Contact FXTRADING.com before creating the fund if the available account types or specifications are unclear. If the fund already exists, provide the fund reference, platform, current account type and the change you are trying to make.

Never provide a password or one-time code.

Did this answer your question?