Every feature is built to keep your capital working, not waiting.
True Pledgorine combines disciplined allocation tools, transparent reporting, and a straightforward fee structure so you always know where your capital stands and why.
No jargon, no hidden mechanics — just the details that matter.
Built around clarity, discipline, and control
Each feature exists to answer one of three questions: where is my capital, why is it there, and what happens next.
Structured Allocation
Capital is placed according to a defined framework rather than ad-hoc decisions, so every position can be traced back to a clear rationale.
Ongoing Monitoring
Allocations are reviewed on a continuous basis, allowing adjustments to be made in response to changing conditions rather than left static.
Transparent Reporting
You receive clear statements showing where capital is deployed and how it has moved, without needing to interpret dense financial language.
Defined Risk Boundaries
Every allocation operates within pre-set boundaries, keeping exposure aligned with the parameters agreed at the outset.
Straightforward Fee Structure
Fees are laid out plainly before you commit, so there are no surprises buried in fine print later on.
Direct Access to Your Data
Your allocation details are available to you directly, rather than filtered through layers of intermediaries or delayed updates.
One principle underlies every feature: capital should always be accounted for, purposeful, and visible to its owner.
Ask a QuestionA consistent process behind every allocation
The same three-step approach applies whether capital is being placed, reviewed, or reported on.
Assess
Your objectives and constraints are reviewed to establish the boundaries within which capital will be allocated.
Allocate
Capital is placed according to the agreed framework, with every decision documented and traceable.
Report
Updates are provided on a regular schedule, giving you a consistent view of how your capital is positioned.
What these features mean day to day
Know exactly where capital sits, at any point
Rather than a single end-of-period summary, allocation details are kept current, so you are never left guessing between updates.
Reflects ongoing tracking rather than periodic snapshots.
Exposure stays within agreed limits
Defined boundaries mean capital is never stretched beyond the parameters you agreed to at the outset, regardless of market movement.
Illustrative representation of boundary-based allocation.
Understand costs before you commit
Every fee is disclosed up front, so the relationship between cost and outcome is clear from the very first conversation.
No fees are introduced after the fact.
Straightforward pricing, disclosed before you commit
We believe cost clarity is a feature in itself. Here is the general structure discussed with every client before any capital is allocated.
Request Full Fee DetailsFeature-related questions
A few common questions about how these features work in practice.
How often is allocation information updated?
Allocation details are monitored on an ongoing basis and reflected in your reporting on a regular schedule, giving you a current view rather than a delayed one.
Are fees the same for every client?
Fee arrangements are discussed and agreed individually before any capital is allocated, and every applicable cost is disclosed at that stage.
Can risk boundaries be adjusted?
Boundaries are set based on your objectives and can be revisited if your circumstances or objectives change, following a discussion with our team.
How do I access my reporting?
Reporting access details are provided directly to you as part of onboarding, so you can review your allocation whenever you need to.
See these features applied to your own capital
Speak with our team to understand how structured allocation, clear reporting, and transparent fees could work for you.
Optimise Your Capital