Doc 08 Withdrawals · Profit Share · Rebates · Placeholder · Outline only ← Back to Master Hub
10X
10X Trader
Doc 08 · v0.1 · 2026
Draft · Outline in progress
Partner Operations · How Money Moves Out

Withdrawals, profit share & rebates.

How earnings are calculated, when they're paid, and how partners and clients pull them out. Covers withdrawal SLAs, PAMM & Copy Trading performance fees, and the IB rebate cycle.

Audience
All clients · IBs · Money Managers
Sections
3 Withdrawals · Profit Share · Rebates
Outcome
Earnings understood & paid
Context
What this docwill cover.
02 / 03

This document is the back-end of the trading lifecycle the part where money leaves 10X and lands with clients, IBs, and money managers. Every other doc in the hub explains how a partner or client gets set up; this one explains how they get paid. Three sections, each addressed to a specific audience and answering a specific question: when, how much, and via what process.

Section 01

Withdrawals

The mechanics of pulling funds out of a 10X / MarketsVox account methods, processing windows, and what triggers a hold.

  • Withdrawal request flow (where to click, what's required)
  • SLAs and processing windows by method
  • Common holds (KYC re-check, source-of-funds, mismatched payment route)
Section 02

Profit Share

How performance & management fees are split on PAMM offers and Copy Trading subscriptions when they trigger and where each party sees them.

  • PAMM performance fee calculation (high-water mark, period close)
  • PAMM management fee calculation
  • Copy Trading subscription fee splits
Section 03

IB Rebates

How rebates are calculated for IB-attributed clients, the payout cycle, and where IBs see their accruals and payouts. Bridges directly off Doc 07 (the operational side of being an IB).

  • Rebate calculation per trade volume, instrument, tier
  • Payout cycle accrual window, payout date, where it lands
  • Where IBs read earnings the My Reports tabs (Rebates, Net Deposits, Referral Financials)
  • Edge cases reversed trades, refunded clients, retroactive tier changes
!

This document is a placeholder

The structure and section coverage are locked in step-by-step content (with screenshots, calculation worked examples, and SLA tables) is still being authored. Use this outline to see what's coming; reach out to the 10X team if you need a specific answer before the full doc ships.

Section Outline
Three sections,planned content.
03 / 03

A full inventory of the topics each section will cover when this doc is built out. Topics are listed in the order they'll appear in the finished document.

Section 01 · Withdrawals
01
Where to request a withdrawal
Dashboard path & My Wallet entry point
02
Withdrawal methods supported
Bank wire, card, e-wallet, crypto availability per region
03
Processing windows & SLAs
Expected timelines per method, weekend/holiday rules
04
Source-of-funds rule
Why withdrawals route back to the original deposit method
05
Common holds & how to clear
KYC re-check, AML review, payment-route mismatch
06
Status tracking & what each state means
Pending → Approved → Sent → Settled
Section 02 · Profit Share
07
PAMM performance fee mechanics
High-water mark, period close, worked example
08
PAMM management fee mechanics
Equity vs balance basis, accrual cadence
09
Agent commissions inside PAMM
Multi-level distribution scheme reference
10
Copy Trading subscription fees
Subscription / performance splits between provider and 10X
11
When fees actually settle
Trigger events & where each party sees the entry
Section 03 · IB Rebates
12
Rebate calculation per trade
Volume, instrument, tier inputs & formula
13
IB tiers & how they shift
What moves an IB up or down a tier
14
Accrual window vs payout date
When earnings appear in reports vs when they hit the wallet
15
Where IBs read their earnings
Cross-reference to Doc 07 Reports tabs (Rebates, Net Deposits, Referral Financials)
16
Withdrawing IB earnings
Same withdrawal rules as Section 01, plus rebate-specific notes
17
Edge cases & reversals
Reversed trades, refunded clients, retroactive tier changes

Back to the master hub

Return to the index to jump into the other flow documents while Doc 08 is being completed.

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