Strategy Setup
Manager defines min investment, performance fee & trading parameters.
Tenax One includes a complete PAMM module — fund managers trade one master account while investor capital is allocated, profits distributed and performance fees collected automatically. Launch a professional managed account marketplace with zero extra development.
PAMM (Percentage Allocation Management Module) is a managed account system where a professional fund manager trades one master account and investor capital is automatically allocated proportionally. Your broker earns on every trade, fund managers earn performance fees, and investors earn returns — and it all runs automatically.
Manager defines min investment, performance fee & trading parameters.
Investors review performance history and allocate capital to chosen strategies.
Manager trades master account — all trades are mirrored to sub-accounts.
Profits/losses distributed proportionally. Fees calculated and credited automatically.
Broker earns spreads on all trades plus platform fees on collected performance fees.
PAMM elevates your broker above standard retail platforms. It attracts professional fund managers and high-value investors from launch.
PAMM investors typically allocate significantly more capital than retail traders. Higher AUM means higher trading volume and broker revenue.
Earn spread income on master trades plus platform fees on performance fees. Revenue continues even during low retail trading periods.
Every fund manager gets a dedicated professional dashboard branded as your brokerage to perform and grow their investor base.
Configure name, trading style, management fees, and lock-up periods easily.
Trade the master account on Platform exactly like a standard account with full EA support.
Real-time overview of total capital, investor count, and month-to-date return percentages.
Full metrics: equity curve, monthly breakdown, Sharpe ratio, and risk-adjusted returns.
View individual sub-accounts, join dates, and current P&L. Approve new join requests.
Performance fees calculated and transferred directly to fund manager account on settlement.
Manage join and withdrawal requests from a dedicated queue with automated responses.
Generate investor-ready PDF reports with equity curves and risk metrics for recruitment.
Investors get a transparent, professional interface to discover strategies, review performance, and monitor their investments.
Browsable marketplace of active strategies filterable by return, drawdown, and risk rating.
Full detail pages with monthly return tables, trade history, and fund manager profiles.
3-step allocation: choose strategy, enter amount, and confirm. Funds transfer automatically.
Consolidated portfolio view showing individual and combined performance across multiple strategies.
Live tracking of sub-account equity, floating P&L, and accrued performance fees.
Request withdrawals subject to lock-up terms with real-time status tracking.
Clear view of HWM vs periodic fee calculation methods before any capital is allocated.
Configurable alerts for profit targets, drawdown limits, and withdrawal approvals.
Manage your entire PAMM ecosystem with full oversight and configuration controls.
Review and approve new strategy applications based on track record requirements (e.g. 90 days history).
Set featured strategies, sort order defaults, and minimum requirements for marketplace listing visibility.
Configure auto-collection of a percentage of all performance fees. A fully passive revenue stream for the broker.
Real-time view of assets under management by strategy, manager, investor nationality, and account type.
Monitor master accounts for drawdown breaches and unusual patterns. Configure automatic suspension triggers.
Generate regulatory reports on activity, allocation records, and fee collection audit trails.
A clear comparison of allocation models to help you offer the right product to your fund managers.
Percentage Allocation Management Module
Investor capital pooled proportionally into the master account. All trades execute at master level and allocate to investors by percentage of total AUM.
Best For: Retail and semi-professional investors. Simple, scalable managed account structure for new broker launches.
Multi-Account Manager
Manager trades master account but each investor account executes trades independently with configurable lot allocation (fixed, proportional, equity-based).
Best For: High-net-worth and institutional investors needing custom trade sizing per account and capital size.
Real interface screenshots for investors, managers and broker administration.
Confirm PAMM runs natively on your dedicated Tenax One server for institutional performance.
Real accounts on your dedicated server. No simulation, no mirroring services, and no third-party trade copying latency.
Investor sub-accounts receive proportional allocation immediately when master trades open. No batch processing required.
Fund managers can run Expert Advisors on master accounts — trades allocate exactly like manual executions.
Sub-accounts can be swap-free for Muslim investors, applied at sub-account level without affecting master settings.
Activates on existing server via standard manager API. No changes to configuration or custom plugin installations.
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.