The MT5 social & copy investing platform, end to end.
Signal providers publish their strategies. Followers browse, discover and subscribe in one place. Every subscribed trade replicates to the follower's own MT5 account in real time — no manual intervention, no separate wallet, no synthetic ledger.
From provider discovery to real MT5 settlement.
A clean four-step flow, without adding unrelated copy-trading controls to the Social Trading product.
Provider
Strategy providers publish a live track record, returns, instruments, risk and trading statistics.
Follower
Followers browse ranked providers, compare performance and subscribe to a strategy.
Copy Engine
Subscribed trades replicate to the follower's own MT5 account using the platform's execution engine.
Broker Control
Broker operations retain custody, administration, monitoring, fees, payouts and audit visibility.
Seven timeframes. Three metrics. Twenty-one ranking views.
The discovery layer lets followers compare providers without changing the underlying product design.
Top Providers
Showing 6 providers · Ranked by recent performance
Every timeframe has a different purpose.
Instead of hiding the seven periods inside one dropdown, show the comparison model directly.
7 Timeframes
| Timeframe | What it highlights |
|---|---|
| Instant | Current momentum and active winners. |
| Daily | Short-term and intraday performance. |
| Weekly | Consistent weekly performance. |
| Monthly | Mainstream month-over-month comparison. |
| Quarterly | Quarter-level consistency. |
| Half-Yearly | Multi-quarter consistency. |
| Yearly | Full-track-record credibility. |
3 Ranking Metrics
| Metric | Used to compare |
|---|---|
| ROI | Return generated over the selected timeframe. |
| Total Profit | Absolute P/L produced during the period. |
| Win Rate | Percentage of profitable trades. |
| 21 Views | 7 timeframes × 3 ranking metrics. |
| Card View | Fast visual discovery with sparkline and terms. |
| Table View | Dense side-by-side comparison across providers. |
Performance fees with a clear watermark.
The high watermark prevents a provider from repeatedly charging performance fees on the same gains. Agent revenue sharing sits separately from the follower's headline fee.
Charge only on new net performance.
When equity exceeds the previous high watermark, the new gain becomes the basis for the performance fee. Losses remain below the watermark until recovered.
One follower-facing fee.
The provider sets the performance-fee model. The follower sees the commercial terms; the platform calculates the fee at the appropriate crystallisation point.
Up to four agents.
Up to four agents can participate in the provider's performance-fee stream. Their percentages are configured separately and the provider retains the remainder after the split.
Four analytical views. One consistent profile.
All four views are visible in the design. No unrelated copy-trading permission matrix and no CRM-style back button or fake Subscribe controls.
Provider Performance
Return, trading, instruments and trade statistics
Summary
Provider-level performance snapshot
| Risk Level | Medium |
| Balance | $138,344.71 |
| Equity | $138,344.71 |
| Total Trades | 454 |
Return
Return / period and cumulative P/L
| Avg Return (Weekly) | 0.69% |
| Avg Return (Monthly) | 2.99% |
| Return Deviation (Daily) | 459.80 |
| Return Deviation (Monthly) | 2,056.29 |
Trading
Risk & performance metrics
| Absolute Gain | 32.74% |
| Sharpe Ratio | 0.16 |
| Volatility Ratio | 0.00 |
| Max Drawdown | 6.26% |
Instruments
Trade distribution by symbol
Performance evidence without visual clutter.
Detailed provider statistics, organised into compact evidence cards instead of a long raw table.
Monthly Statistics
Return behaviour and deviation
Trade Statistics
Execution results and average trade performance
Three screens. One coherent story.
Recreated in Fiboniq's visual language instead of using a foreign provider's screenshot, company name or branding.
Institutional foundations, without repeating the same card grid.
Cloud-native on AWS, horizontally scalable, real-time monitoring, official MT5 Manager API and a deployment path designed for days rather than weeks.
Real-time replication designed to scale horizontally.
No engine-enforced cap on subscriptions per trader.
Cloud-native deployment with continuous monitoring.
Availability target measured monthly.
Provision
Environment provisioning and infrastructure setup.
Configure
MT5 Manager configuration and operator users.
Brand
Client-facing GUI branding and setup.
Launch
Hand-off training, support and first live trader.
Turn provider performance into a broker-owned experience.
Give followers a clear discovery layer, real MT5 execution and transparent provider evidence — all under your brokerage brand.