Members choose a trader to copy each weekday. Only capital that was copied that day trades. Every trading period is posted with a link to the broker statement. "Trading" is what the account made. "Paid to members" is what members received after the performance fee and the reserve.
| Trader | Period | Days | Trading | Paid to members | Reserve after | Capital loss | Statement |
|---|---|---|---|---|---|---|---|
| No results posted yet. | |||||||