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.
The same for everyone — values read live from the server.
The desk's monthly result and what an investor of each level earns in that month under the current rules — net of taker fees.
Desk result as reported by the desk. Investor figures assume the full trading session on every business day of the month, at the level's rate, minus taker fees; network deductions and bonus volume are not included. A calculation based on past performance — not an income commitment.
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.
Choose a session and enter your package. The result must match, to the cent, the daily result for that day in your dashboard.
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.