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Understanding Profit Share Reports

Updated over 3 months ago

I'll explain how to access and understand profit share reports for your Fund Management investments.

Accessing Your Profit Share Report

  1. Log into your FXTRADING.com Client Portal

  2. Navigate to the Fund Management section

  3. Select the Asset Tab

  4. Choose one of your joined Fund Management strategies

Key Components of Your Profit Share Report

The report provides detailed information about fees paid to your Fund Manager:

  • Settlement Date: When profit sharing was processed

  • Floating P&L: Current unrealized profit/loss in your investor account

  • Balance: Your current account balance

  • Profit: Profits generated by your Fund Manager

  • Profit Share: Performance fees paid to your Fund Manager based on profitable trading

  • Management Fee: Daily management fees (if applicable) Example: For a $3,500 investment with a 4% management fee, the daily fee would be $3,500 × 4% ÷ 365 = $0.3836

  • Paid Profit Shares Since Inception: Total fees paid to the Fund Manager across all billing periods

  • Transaction List: Complete history of all fee payments

This report helps you track investment performance and understand the fee structure of your Fund Management arrangement.

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