Open funds
8
All masters verified
Total AUM
$16.55M
+4.2% this month
Investors
5,311
across all funds
Next rollover
Fri 00:00
Daily funds · weekly on Mon
NAV units
You own units of a pooled account; value = units × NAV.
Rollover queue
Invest and redeem requests execute at the next rollover.
High-water mark
Performance fee only on new profits above your previous peak.
Investor stop-loss
Auto-redeem if your investment drops by your chosen %.
Drawdown freeze
Fund trading freezes if it breaches its max drawdown.
8 funds · sorted by AUM
NAV per unit
172.40000.09%
AUM
$5.81M
Investors
1,084
Return 1Y
+28.9%
Max DD
-6.2%
Perf. fee
20% HWM
Min
$1,000
monthly · Thu 1 Oct 00:00 GMT+3 90d lock-in Freeze -15%
NAV per unit
164.90000.73%
AUM
$2.98M
Investors
578
Return 1Y
+24.1%
Max DD
-7.4%
Perf. fee
20% HWM
Min
$500
weekly · Mon 00:00 GMT+3 30d lock-in Freeze -15%
NAV per unit
158.10000.04%
AUM
$2.64M
Investors
335
Return 1Y
+22.6%
Max DD
-5.1%
Perf. fee
18% HWM
Min
$1,000
monthly · Thu 1 Oct 00:00 GMT+3 60d lock-in Freeze -15%
NAV per unit
284.60000.04%
AUM
$2.12M
Investors
966
Return 1Y
+62.4%
Max DD
-11.8%
Perf. fee
25% HWM
Min
$500
weekly · Mon 00:00 GMT+3 30d lock-in Freeze -25%
NAV per unit
412.60000.27%
AUM
$1.18M
Investors
1,395
Return 1Y
+104.4%
Max DD
-31.2%
Perf. fee
30% HWM
Min
$250
weekly · Mon 00:00 GMT+3 14d lock-in Freeze -40%
NAV per unit
144.20000.21%
AUM
$954.92K
Investors
583
Return 1Y
+19.6%
Max DD
-6.8%
Perf. fee
15% HWM
Min
$200
monthly · Thu 1 Oct 00:00 GMT+3 30d lock-in Freeze -15%
NAV per unit
138.60000.15%
AUM
$455.64K
Investors
177
Return 1Y
+17.2%
Max DD
-9.8%
Perf. fee
20% HWM
Min
$100
daily · Fri 00:00 GMT+3 7d lock-in Freeze -25%
NAV per unit
121.40000.73%
AUM
$402.6K
Investors
193
Return 1Y
+21.4%
Max DD
-4.3%
Perf. fee
15% HWM
Min
$250
monthly · Thu 1 Oct 00:00 GMT+3 30d lock-in Freeze -15%

For masters
Become a master Launch your own PAMM fund
Earn up to 50% performance fees above the high-water mark. 90-day track record and 10% own capital required.
PAMM investing involves risk; past performance is not a guarantee of future results. Units are issued and redeemed at the NAV calculated at rollover (server time GMT+3). Masters keep at least 10% of their own capital in each fund.







