Home/Trade log
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Every session.
Every trade.
The same for everyone.

The pool trades together, so every investor sees the same trades at the same times. This page lists every trading session: when each OTC trade and each taker position was executed. Your own amounts for each trade are in your dashboard.

Rules

The rules the system runs on

The same for everyone — values read live from the server.

Session log

Each business day, trade by trade

Each row is one trading session. The bar is the session from open to close; gold dots are OTC trades, blue dots their taker (reverse) positions.

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OTC tradeTaker position
Calculate it yourself

Check a business day

Choose a session and enter your package. The result must match, to the cent, the daily result for that day in your dashboard.

Your net result for that business day
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Result = trades × principal × (1 + bonus) × tier rate − taker positions × principal × taker fee. Network deductions are applied at month end and are not part of the daily result.

Trust

Security

The coverage rule, custody and account security.

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Guide

OTC guide

How the desk trades, the business-day calendar and scam warnings.

Read the guide
Support

Frequently asked questions

Tiers, taker fees, releases and the network.

Go to the FAQ