Data Ingestion Layer
Market feeds, order book depth, and macroeconomic indicators are collected continuously from multiple independent sources.
xxoninvestment runs predictive models against live market data and adjusts positions within fixed risk parameters. No manual trading is required, and no lock-up period restricts access to your funds.
The platform separates decision-making into three continuous processes. Each runs independently of user input, and each is visible in the account dashboard as it happens.
Pricing, volume, and volatility data are processed continuously to forecast short-term movement. The model recalculates on every new data point rather than at fixed intervals.
Exposure limits and stop conditions are applied automatically per account. Drawdown is constrained by the model's parameters, not by manual monitoring after the fact.
Approved adjustments are executed directly within pre-set bounds. There is no order queue for the user to manage and no configuration step before execution.
Access to capital is treated as a default condition of the account, not an upgrade. Every account operates under the same withdrawal terms from the first deposit.
There are no minimum holding periods, no scheduled withdrawal windows, and no exit fees. A withdrawal can be requested the same day a deposit is made.
Requests are made directly from the account dashboard. No supporting documents are required beyond standard identity verification.
Each request passes a standard security check against the account's verified details before release is authorised.
Approved funds are transferred to the linked UK bank account, typically within one business day of the request.
Every position adjustment can be traced back through four stages. Nothing is applied to an account without passing through all four.
Market feeds, order book depth, and macroeconomic indicators are collected continuously from multiple independent sources.
Incoming data is filtered and weighted against historical pattern sets to isolate signal from short-term noise.
Refined signal is converted into a bounded position adjustment consistent with the account's set risk profile.
Every adjustment is logged and displayed in the dashboard, so it can be reviewed independently after the fact.
Standard identity verification is required before an account becomes active. Entry requirements are confirmed and displayed during setup, before any deposit is made.
Financial and identity data is encrypted in transit and in storage. Internal access to account records is limited to verification and support functions only.
Requests are submitted from the account dashboard and pass a standard security check. Once cleared, funds are released with no holding period and no minimum balance requirement.
No. Model selection and execution are handled automatically. Support is available for account setup and verification queries during standard business hours.