On each trading day, our risk management technology analyses the market and reviews your portfolio in order to determine whether its asset allocation should be rebalanced, in accordance with your objectives.
This means that we don't necessarily trade positions every day. Our algorithms take all costs into consideration and aim at reducing rotation to achieve the most beneficial outcome. As a result, we only operate when the probability of a better return is there.
The value of your assets is calculated when the stock exchange closes and you can usually see the update of your portfolio the following day.