Tiered Packages
Offer multiple account levels so users can move from basic access to stronger trading support.
Choose account packages that fit your trading goals, then manage subscriptions, deposits, and activity from the same Kortex Prime dashboard.
Kortex Prime packages are built around platform access, market tools, account support, and clear subscription history.
Offer multiple account levels so users can move from basic access to stronger trading support.
Every package activation is logged so users can review subscription dates and package status.
Package purchases use total deposit funds, keeping the funding model consistent across the platform.
Users receive email confirmation when package activity is recorded on their account.
Administrators can review and manage packages from the admin section.
Support routes help users choose the right account level before upgrading.
The platform is built around the full broker journey: onboarding, verification, deposits, trading, copy trading, subscriptions, withdrawals, history, and support.
A trader creates an account, completes profile details, and submits KYC when verification is required for stronger account trust.
Deposit requests are recorded, reviewed from admin, and reflected in total deposit once approved.
Stocks, packages, and copy-trade allocations use deposit funds and write clear records into account history.
Users can inspect transactions, P/L, packages, withdrawal history, and email confirmations before taking the next action.
This page explains how Kortex Prime works as a connected account platform with funding, trading, support, and admin-backed review.
The public content now explains that total deposit is the operational funding source for purchases, package upgrades, copy trading, and withdrawal checks.
Trading history, P/L records, package history, withdrawal history, and transaction history are presented as part of one broker-grade account record.
Deposits, withdrawals, KYC, user details, password updates, and admin account entry are described as managed workflows rather than loose pages.
The copy explains email updates for important user actions including deposits, withdrawals, trades, copy trading, KYC, profile changes, and package activity.
Fund your account, choose a package, and keep all subscriptions visible in package history.