At CryptoSync Legacy, the performance fee is charged only when your account generates profits, following a clear and transparent process.
Fee Charging Cycle
Billing Cycle:
The performance fee is calculated monthly, at the end of each cycle.The cycle period is from the 1st day to the 5th day of each month.
During this period, we will close open positions, calculate the net profits made in the previous month, and proceed with the fee settlement.
Liquidation & Result Assessment
At the end of each cycle:
We will liquidate capital (close trades and assess total balance).
Calculate the net profit generated.
Apply the 30% performance fee over your profits.
An invoice will be sent to your registered email with payment instructions.
In Case of Delay
If, for any reason (market conditions, risk management, or other strategic factors), it is not the right moment to liquidate positions and assess results between the 1st and the 5th day, we will:
Notify you via email explaining the reason for the delay.
Inform you of the new expected date to close positions and calculate the fee.
Summary
Period | Description |
Fee Cycle | 1st to 5th of each month |
Fee Type | 30% of net profits |
Liquidation | Positions closed & capital assessed during fee cycle |
Invoice Delivery | Sent to your email after result assessment |
Delay Communication | If liquidation isn’t possible, you will receive an email alert |