Ready to launch or upgrade your brokerage?
Talk to our team today. No pressure, no hard sell. Just a clear conversation about what your brokerage needs and exactly how TenaxCode can deliver it.
TenaxCode's PAMM Module gives your MT5 brokerage a complete Percentage Allocation Management Module — fund managers trade one master account while investor capital is allocated, profits distributed and performance fees collected automatically. No manual calculations. No spreadsheets. No errors.
Built for MT5 broker owners who want to attract professional fund managers and high-value investors as a premium product tier above standard retail trading.
PAMM — Percentage Allocation Management Module — is a managed account system where a professional fund manager trades a single master MT5 account and investor capital is automatically allocated proportionally. When the manager profits, investors profit. Performance fees are calculated and distributed automatically.
Fund manager opens a PAMM master account on your broker platform and sets their strategy parameters.
Investors browse strategies, review performance history, and allocate funds to chosen managers.
Fund manager trades master account — all trades mirror to investor sub-accounts proportionally.
Profits and losses distributed to investors. Performance fees transferred to the manager automatically.
Broker earns spread/commission on all PAMM activity — plus optional platform fee on performance fees.
Broker earns on every stepFund managers on your PAMM platform get a dedicated dashboard with everything they need to manage investor capital professionally — from strategy setup to performance reporting.
Configure parameters: name, min investment, performance fee, management fee, lock-up period & max drawdown limit.
Trade MT5 directly with full EA support, charting, and one-click trading. Essential for algorithmic managers.
Real-time dashboard showing AUM, active investors, current open P&L, and month-to-date performance.
Detailed analytics: equity curve, monthly returns, max drawdown, Sharpe ratio, win rate, and benchmark comparisons.
View individual investor accounts, unrealized positions, and manage/approve new investor join requests.
Automated performance fee calculation at each settlement period, transferred directly to manager's MT5 account.
Manage join/exit requests, process withdrawals, and handle lock-up period exceptions via dedicated queue.
Generate investor-ready PDF performance reports with risk metrics and fee summaries for recruitment.
Investors get a transparent, professional interface to discover fund managers, allocate capital, and monitor their investments in real time.
Browsable marketplace of all available PAMM strategies with performance charts, AUM, and risk ratings.
Detailed strategy pages showing equity curves, monthly returns, drawdown, Sharpe ratio, and manager profile.
Investors allocate funds in 3 clicks. Funds transfer automatically from investor's trading account to PAMM sub-account.
Consolidated view for investors allocating to multiple strategies, showing overall P&L and combined performance chart.
Live tracking of allocation value, unrealized P&L, fees accrued, and real-time equity of the sub-account.
Request full or partial withdrawals subject to lock-up periods, with real-time status and estimated processing dates.
Investors see exact fee percentages, calculation methods (high-water mark vs periodic), and historical fees paid.
Configurable alerts for profit targets, drawdown limits, large closed positions, and processed withdrawals.
Review and approve/reject new PAMM strategy applications. Set track record requirements for new managers.
Configure fee models, lock-up periods, investment limits, max strategies, and marketplace display settings.
Real-time overview of total AUM across all strategies by manager, strategy, and investor demographics.
Monitor master accounts for drawdowns and set automatic strategy suspension triggers to protect investors.
Configure automated platform fees — broker takes a percentage of each manager's performance fee.
Generate regulatory reports on PAMM activity, investor allocations, fund flows, and strategy performance.
Brokers often ask about both PAMM and MAM. Here is a clear comparison to help you choose — or offer both.
Investor capital is pooled proportionally into the master account. Trades execute at the master level and are allocated by percentage.
Best For:Retail investors allocating smaller amounts. Brokers wanting a simple, automated product with clear fee structures.
Fund manager trades a master account but investor sub-accounts execute trades independently with configurable lot allocation.
Best For:Institutional/HNW investors needing custom lot allocation. Managers requiring per-account trade sizing.
TenaxCode's PAMM Module supports both PAMM and MAM allocation models — brokers can offer both to their fund managers depending on the manager's strategy and investor profile.
Enable investors to browse and filter your top fund managers through a clean, professional interface. High-conversion strategy cards highlight the data investors care about most.
Build investor confidence with granular historical data. Our detailed strategy pages provide a full audit trail of a manager's performance before capital allocation.
Give your managers the professional environment they need. A command center for managing assets, monitoring investors, and tracking trading performance in real-time.
Empower investors to diversify their capital across multiple professional strategies. A centralized view of all active allocations and their combined performance.
Monitor every dollar on your PAMM platform. Powerful back-office tools allow you to vet managers, audit fund flows, and safeguard investor capital.
Automate the most complex part of fund management. Our engine handles performance fee calculations with institutional accuracy according to your rules.
PAMM master and sub-accounts are real MT5 accounts. No simulation, no mirroring delays, no third-party trade copying.
Positions on master account allocate to sub-accounts in real time. No batch processing or end-of-day reconciliation.
Fund managers can run EAs on the master account. EA trades allocate exactly like manual trades.
Standard, ECN, raw spread, and Islamic (swap-free) sub-accounts supported natively.
Integrates with any MetaQuotes-licensed MT5 server without custom plugins or server configuration changes.
Talk to our team today. No pressure, no hard sell. Just a clear conversation about what your brokerage needs and exactly how TenaxCode can deliver it.