FXTRADING.com Funds Management is a service through which a Fund Manager can create and manage a fund and eligible investors can allocate funds to it. Current fund information and available actions are displayed in the Client Portal or supported FXTRADING.com platform.
What can a Fund Manager do?
Depending on current product availability, a Fund Manager can:
create and configure a fund;
provide eligible investors with a fund invitation;
review subscription or redemption requests;
trade through the fund structure;
view fund and investor information; and
receive an agreed performance fee when the applicable conditions are met.
Available settings can differ by profile, legal entity, platform and product version.
How do I manage my funds effectively?
How do I access my Funds Management dashboard?
To begin managing your funds:
Log into your Client Portal
Navigate to the Funds Management tab
Click "Fund Manager"
Select "My Strategies"
How do I access individual fund settings?
To manage a specific fund:
Locate the fund you wish to manage in your list
Click the three-dot menu icon (⋮) next to the fund name
Select your desired management option from the dropdown menu
Key Management Options
Important: Review the current archive confirmation before proceeding. Do not assume a fund can be reactivated after archiving; use only the status and actions shown for that fund.
Review Investor Applications
Fund Managers can review subscription and redemption requests in the Funds Management area of the FXTRADING.com Client Portal. Each request type has its own independent automatic review setting.
Check fund and request status
The Client Portal shows the fund's current configuration, each request's current status and any action needed. Follow the current record rather than using another fund, another request or a previous outcome to predict the result.
Fund Status Requirements
After creating a fund, use its current status in the Client Portal to determine whether it is Inactive or Active. Under the current requirements, a fund reaches Active status when either of the following criteria is met in the platform record. Active status is not a trading result, endorsement, or performance guarantee.
Minimum Assets Under Management: Total invested capital counted in the current fund record is USD 2,000 or more, or the equivalent. Do not assume invitations, pending requests, or unallocated funds count; check the displayed figure and status.
Minimum Number of Investor Accounts: The current fund record shows three or more active investor accounts. A sent link or a pending or rejected request does not establish an active investor.
Are returns guaranteed?
No. Funds Management involves trading risk. Past performance does not guarantee future results, and an investment can lose value. FXTRADING.com does not select a fund for you or guarantee a Fund Manager's performance.
Can an investor redeem immediately?
A redemption is not guaranteed to complete immediately. It may pass through request, review, calculation, settlement and transfer stages. Use the status and timing information displayed for the current investment.
