Example 1: If Performance Fees (PFs) were paid on August 1st and no trades were opened by the 15th, any withdrawals made would adjust the Allocation and Multiplier. The multiplier is set once a trade is placed, and withdrawals made afterward are considered mid-month withdrawals.
Example 2: If PFs were paid on August 1st and a trade was opened on the 2nd, a withdrawal afterward would result in forfeiting any profit share for that month.
Before making a withdrawal, please make sure you have read our Withdrawal Cases and Program Rules.
For more information about withdrawing funds from your Axi Select Account, check the video below.