Terms

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Terms and Conditions

1. Account Qualification & Binding Mandates

By accessing this platform, you represent that you meet the regulatory criteria for an accredited or professional investor in your local jurisdiction.

All systematically managed packages carry set duration windows (e.g., 7, 30, or 90 days). Once an allocation cycle commences, your capital remains committed for the full length of the selected timeframe to enable complete algorithmic strategy execution. Early withdrawals or mid-cycle terminations are disabled.

2. Capital Liquidity & Settlement

Upon the conclusion of your chosen allocation period, your principal and generated net yield automatically settle directly into your primary wallet. Settled funds are immediately available for external transfer or re-allocation.

3. Fee Structure & Performance Accrual

Platform transaction fees for deposits and withdrawals are 0%. Network or intermediary banking fees charged by third-party processors remain the sole responsibility of the investor. Performance fees, where applicable, accrue strictly under High-Water Mark parameters.

 

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Disclaimer

All market allocations carry financial risk. Past execution metrics do not guarantee future yields. Quantitative managed packages utilize programmatic risk controls; however, systemic market volatility, liquidity shocks, and execution slippage can impact absolute returns.

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