These terms govern the execution, management, and reporting of financial investment strategies allocated by investors through the i-investor platform.
Investments are routed according to selected investment plans. Yield projections are calculated based on historical trade execution algorithms and asset performance metrics.
Client funds and digital asset collateral are held in secure segregated vaults with institutional multi-signature custody controls.
Accrued yields can be withdrawn in accordance with active plan settlement rules and minimum profit withdrawal percentages established in platform settings.