Every Friday at GMT+0, we perform a recalculation of balances and adjustments to account performance. This process ensures that all investors start the new week with an updated balance and under the same conditions.
If you activate your investment during the week, the profits for that week have already been calculated and adjusted during Friday’s process. As a result, your trading results will only begin to count from Saturday onward.
This mechanism is designed to maintain a fair and transparent environment for all investors.