UI Visibility
Show or hide every column, badge, and panel. 150+ atomic toggles — your platform admin runs the show.
Fund Management Software
Offer professional fund management under your brand. Percent-based allocation, automated profit distribution, High Water Mark protection — a fully branded PAMM platform for your brokerage.
Runs on

The mechanics your clients see
This is what runs behind your brand: investors pool capital, the manager opens one position, and P&L distributes proportionally to each share — to the cent, with zero slippage between investors.
Deposits are aggregated into the master account at the next rollover.
The manager trades the combined capital as a single account. Same price, same fill, every time.
Each investor receives a virtual position sized by their share of the pool.
No slippage between investors
Everyone fills at the same price — the master price.
Zero execution delays
One trade, one terminal call — no per-account replication.
Identical to the master
Investor P&L mirrors manager performance perfectly.
150+ configurable settings
The admin panel exposes 150+ toggles your team — not ours — controls. Hide a column, rename a tab, change a fee disclaimer, swap a logo. Your PAMM platform, your rules — no release cycle, no support tickets to B2COPY.
Logo, favicon, brand colour palette, custom domain (copy.yourbroker.com), multilingual labels.
Click any swatch under the leaderboard preview — CTA buttons and brand-aware pills recolour across the entire client surface in real time.
Rhythm Fast
TopTopTrader · > 2 months
Return
+295.5%
7d
-0.1%
Risk
MediumScore
100/100
Followers
133
AUM
$398K
Show or hide every column, badge, and panel. 150+ atomic toggles — your platform admin runs the show.
Account events, subscription alerts, performance reports — all sent under your domain, your logo, your tone.
Configure 6 fee types per program, plus the legal disclaimers your compliance team needs displayed.
Key features
Investor funds are pooled and allocated proportionally. Profits and losses are distributed based on each investor's share of the total pool.
Performance fees are only charged on new profits. Investors are protected from paying fees on recovered losses — industry-standard fund protection.
Performance, management, subscription, volume, joining, and lock-in fees. Configure the revenue model that works for your brokerage.
Detailed NAV tracking, equity curves, allocation history, and fee breakdowns — white labeled reports under your brand for investor transparency.
Daily loss limits, maximum drawdown thresholds, and investment caps. Protect investors with configurable risk management rules.
Manage PAMM accounts, investor subscriptions, fee configurations, and platform settings from a centralized admin panel.
Broker benefits
PAMM attracts institutional and high-net-worth investors who prefer professional fund management over active trading.
Fund managers seek brokers with PAMM infrastructure. Compete for top talent and their investor networks.
PAMM investors commit capital for extended periods. Lock-in fees and performance-based relationships create stickier accounts.
Performance fees on profitable periods, management fees on AUM, and volume-based broker commissions.
Platform support
Deploy branded PAMM across all four platforms — cross-platform copying included, no client migration required.
Cross-platform engine
A manager on MT5 with investors on cTrader, MT4 or B2Trader — PAMM bridges platforms without migrating a single account.
Branded PAMM on the most popular platform — automated profit distribution and fee calculation.
Multi-asset PAMM (forex, equities, futures, crypto) with enhanced MT5 trade reporting.
Modern investment experience via Open API with native investment account architecture.
Native PAMM on B2Broker's multi-asset platform with unified account management.
Frequently Asked
A white label PAMM (Percent Allocation Management Module) platform is a turnkey investment solution that brokers rebrand as their own. Fund managers trade a pooled account, and profits/losses are distributed to investors proportionally based on their equity share.
In PAMM, investor funds are pooled into a single master account and allocated by percentage. In MAM, each investor has a separate sub-account controlled by the money manager. PAMM is better for fund-style investing; MAM offers more flexibility per account.
High Water Mark ensures performance fees are only charged on new profits. If a PAMM account drops from $100K to $80K and recovers to $100K, no performance fee is charged on the recovery. Fees only apply when equity exceeds the previous high.
Yes. Brokers and fund managers can configure minimum deposit requirements for each PAMM account, targeting specific investor segments — from retail to institutional.
Investors see real-time NAV, equity curves, allocation breakdown, fee history, and trade performance — all branded with your company identity. Managers also get detailed analytics on their fund performance.
Widget-based integration takes as little as 30 minutes — embed an iframe with SSO authentication. Full API integration (REST/gRPC) typically takes 2–3 weeks. No trading server modifications are required, and most brokers go live within 5 business days.
Everything client-facing: company logo and favicon, brand colors and themes, custom domain (e.g. copy.yourbroker.com), email notification templates, widget appearance, and 150+ UI visibility settings — all managed from the admin panel without development.
B2COPY operates on a SaaS subscription model. Infrastructure (AWS hosting, Kubernetes, monitoring, scaling) is included at no extra cost, with no setup fees for standard deployments. Pricing depends on your brokerage's scale — contact our team for a personalized quote.
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