风险警示: 从事诸如外汇和差价合约(CFDs)等交易带有很高的风险,可能产生丰厚的利润,但也蕴含大幅亏损的风险。比较好的做法是投资不要超过您的承受能力,因为您的损失可能超过初始投资。如果您没有足够的交易经验,我们建议您在投资前寻求独立建议。记住...时间是金钱,投资需明智。
How to Become a PAMM Strategy Provider
If you've decided to become a Strategy Provider, you need to register with Forex Time and apply with the FXTM PMD by submitting your trading history. If you already have trading history with FXTM or another broker, you can apply immediately; otherwise you will need to trade for a minimum period of one month before submitting your application.
The following step by step tutorial explains how you can become a Strategy Provider, create new strategies, fund your account and receive strategy fee payouts.
- Register with FXTM and open a live account (Please note that you must wait for approval by FXTM before proceeding to the next step).
- Submit your trading history.
- Clients with existing trading history (with FXTM or another broker) can apply immediately.
- Clients without sufficient trading history have to trade for one month, accumulate history and apply to the FXTM PMD for review.
How to apply:2.3. Provide your trading history by selecting FXTM or External broker and click “Submit”. - Your request will be queued for review by the FXTM PMD. Usually it takes one business day to process your request.If you didn't receive our email, please do the following:a) Check your email spam section
b) Contact the FXTM PMD. - Email Confirmation
- Approved Strategy providers will receive the following email confirmation:Dear Client,
Congratulations! You have been approved as a Strategy Provider by our Portfolio Management Department. You are now able to proceed with opening a new PAMM Strategy Provider account.
In order to proceed please click on the link below:
https://my.forextime.com/en/my_pamm/provider/ - Declined applicants will receive the following email.
Dear Client,
We have reviewed your request to become a strategy provider, but unfortunately you have not been approved. We recommend that you continue to trade, as your performance will be monitored and reviewed and you will be allowed to submit a new request to become a Strategy Provider after one month.
- Once your application is approved, please request a PAMM Strategy Provider account.
- Go to the Strategy provider tab
- Name your strategy and choose the account currency
- Add the participation deposit
- Choose the transitory account from which you will add the participation deposit
- Fund your transitory account, if said account is empty
- Note that the participation deposit will be the initial equity of the PAMM Account. The Strategy Provider is entitled to 100% of the profits and reserves the right to withdraw said profits at any time he so chooses
- After submitting your request you will automatically receive an email with your PAMM Strategy Provider account MetaTrader 4 username and password.Congratulations on your new PAMM SP AccountDear Client,
Congratulations! You've successfully opened a PAMM account as a Strategy Provider. Here are the details of your new PAMM SP Account:
Account Name: Strategy 2014
Account Currency: USD
Trading Platform: MetaTrader 4
MetaTrader 4 Login:
MetaTrader 4 Password: - To log in to PAMM SP you must open the MT4 Terminal and enter your PAMM SP account MetaTrader 4 login and password received via email. Then select "ForexTime-ECN Server" from the dropdown list.
- As a Strategy Provider you can view all strategies in MyFXTM under “My Strategies”.
- Additional strategies can be created by clicking on the “New Strategy” button.
- Strategy fee: The Strategy Provider gets paid a strategy fee when generating profit on the PAMM SP account at the agreed percentage strategy level.
- Payouts are made automatically on a monthly basis (end of trade interval) or on withdrawal of funds from the PAMM SP Account.
- Payments are made to the Strategy Provider’s Portfolio Management Cash (PMC).
In the above example:- Strategy Fee is 20%
- End of trade interval is 08.09.2014
- Fee overall is the total amount the Strategy Provider has received since day one for his strategy
- Fee now is the amount the Strategy Provider is entitled to receive for this month’s services (trade interval).
- How to fund a Strategy Provider Account:a. Internally from an existing personal trading account.b. Externally via bank, credit card or other payment method.
- When funds are allocated to a Strategy, the Strategy Provider receives the following email notification:
- To redeposit (deposit additional funds to your existing strategy): Choose the strategy in which you wish to add funds and click on the “Add Funds” button.
- To unsubscribe: If the Strategy Provider wishes to close an existing strategy he must click on the “Unsubscribe” button.
For more information you can contact us via Live Chat or reach the Portfolio Management Department directly by email atinvestments@fxtm.com