Avisos de la mesa de Trading

miércoles - 19 de julio de 2017
19:08

Rollover on NATGAS, NATGAS+, NATGAS., NATGAS.. - 19.07.2017

Today, there is a change of delivery date for NATGAS, NATGAS+, NATGAS., NATGAS.. instruments. Clients who have open positions will be credited or debited with proper swap points amounts.

These are:

- NATGAS+, NATGAS., NATGAS.., NATGAS 10 swap points for long position; -10 swap points for short position

XTB

8:09

Rollover on NATGAS, NATGAS+, NATGAS., NATGAS.. - 19.07.2017

Today, at the end of trading day NATGAS, NATGAS+, NATGAS. and NATGAS.. underlying instruments will change their delivery dates. Current difference between prices of futures with consecutive delivery terms is:


- NATGAS+, NATGAS., NATGAS.., NATGAS approx. -0.017 USD


It means that if nothing occurs between today's closing and tomorrow’s opening, open price for  should be lower.
Change of position value connected with base change will be corrected by swap points equal to base value. Clients with limit and stop orders close to current price are kindly requested to adjust their position to changes in base value. Otherwise stop and limit orders will be executed according to standard procedure.


XTB

viernes - 14 de julio de 2017
10:29

Rollovers, holidays and dividends in the following week 14-07-2017:

Rollovers:

Wednesday 19.07 – NATGAS, NATGAS., NATGAS.., NATGAS+

Thursday 20.07 – FRA40, FRA.40, FRA.40., FRA.40.., FRA.40+, SPA35, SPA.35, SPA.35., SPA.35.., SPA.35+, NED25, NED25., NED25..,NED25+, OILs, OILs., OILs.., OILs+

 

Due to national holidays trading on following instruments will be cancelled:

Monday 17.07 – JAP225, JAP225., JAP225.., JAP225+ 

 

Dividends Cash Indices CFD (paid in cash):

17.07 – Monday – US30.cash, US500.cash

18.07 – Tuesday – US30.cash, US500.cash

19.07 – Wednesday – US500.cash

21.07 – Friday – EU50.cash, ITA40.cash, US100.cash, US500.cash

 

Dividends Equity CFD (paid in cash):

17.07 – Monday – CLX.US, ORCL.US

18.07 – Tuesday – CAT.US, DRYS.US, GPW.PL, PGN.PL

19.07 – Wednesday – APA.US, COO.US, CPS.PL, OGZD.UK, PG.US,  PKI.US, PNR.US, WSM.US

20.07 – Thursday – ADEN.CH, BCR.US, COP.US, CVS.US, F.US,  HPT.US, SNH.US

21.07 – Friday – ENA.PL, SZU.DE

 

Equity CFD spinoff:

18.07 – Tuesday – VNO.US

 

Equity CFD Split:

17.07 – Monday – SVXY.US

 

Equity CFD rights issue:

19.07 – Wednesday – GFC.FR

 

XTB

miércoles - 12 de julio de 2017
19:22

Rollover on OIL.WTI, OIL.WTI+, OIL.WTI., OIL.WTI.. 12.07.2017

Today, there is a change of delivery date for OIL.WTI, OIL.WTI+, OIL.WTI., OIL.WTI.. instruments. Clients who have open positions will be credited or debited with proper swap points amounts.

These are:

- OIL.WTI, OIL.WTI., OIL.WTI.., OIL.WTI+ -16 swap points for long position; 16 swap points for short position

XTB

7:45

Rollover on OIL.WTI, OIL.WTI+, OIL.WTI., OIL.WTI.. 12-07-2017

Today, at the end of trading day OIL.WTI, OIL.WTI+, OIL.WTI. and OIL.WTI.. underlying instruments will change their delivery dates. Current difference between prices of futures with consecutive delivery terms is:

- OIL.WTI, OIL.WTI., OIL.WTI.., OIL.WTI+ approx. 0.17 USD

It means that if nothing occurs between today's closing and tomorrow’s opening, open price for OIL.WTI, OIL.WTI+, OIL.WTI., OIL.WTI.. should be higher.

Change of position value connected with base change will be corrected by swap points equal to base value. Clients with limit and stop orders close to current price are kindly requested to adjust their position to changes in base value. Otherwise stop and limit orders will be executed according to standard procedure.

XTB

viernes - 7 de julio de 2017
10:47

We’re updating our Margin Table

Dear Trader,

We are writing to inform you that we’re introducing changes to our margin requirements on certain instruments.

Please remember these changes will take effect from Sunday 16th July 2017.

Please find below the list of amendments:

  • Wording of comment no.1 will be changed, by adding the new instruments US30, US.30, US.30., US.30.., US.30+, US100, US.100, US.100., US.100.., US.100+, US500, US.500, US.500., US.500.., US.500+, UK100, UK.100, UK.100., UK.100.., UK.100+, DE30, DE.30, DE.30., DE.30.., DE.30+, EU50, EU.50, EU.50., EU.50.., EU.50+, US30.cash, US100.cash, US500.cash, UK100.cash, DE30.cash, EU50.cash and removing the instruments EURCZK, EURCZK., EURCZK.., EURCZK+, USDCZK, USDCZK., USDCZK.., USDCZK+

    Wording after amendments:

    Financial instruments should be recognized as currency financial instruments except: USDCHF, USDCHF., USDCHF.., USDCHF+, EURCHF, EURCHF., EURCHF.., EURCHF+, GBPCHF, GBPCHF., GBPCHF.., GBPCHF+, AUDCHF, AUDCHF., AUDCHF..,AUDCHF+, CADCHF, CADCHF., CADCHF.., CADCHF+, CHFJPY, CHFJPY., CHFJPY.., CHFJPY+, CHFPLN, CHFPLN., CHFPLN.., CHFPLN+, CHFHUF, CHFHUF., CHFHUF.., CHFHUF+, USDBRL, USDBRL., USDBRL.., USDBRL+, instruments based on interest rates: TNOTE, TNOTE., TNOTE.., TNOTE+, BUND10Y, BUND10Y., BUND10Y.., BUND10Y+, SCHATZ2Y, SCHATZ2Y., SCHATZ2Y.., SCHATZ2Y+, instruments which price is based on market value of troy ounce of gold: GOLD, GOLDs, GOLDs., XAUUSD, XAUUSD.., GOLDs+ as well as instruments which price is based on indices: US30, US.30, US.30., US.30.., US.30+, US100, US.100, US.100., US.100.., US.100+, US500, US.500, US.500., US.500.., US.500+, UK100, UK.100, UK.100., UK.100.., UK.100+, DE30, DE.30, DE.30., DE.30.., DE.30+, EU50, EU.50, EU.50., EU.50.., EU.50+, US30.cash, US100.cash, US500.cash, UK100.cash, DE30.cash, EU50.cash.
     
  • Wording of comment no.2 will be changed, by adding the  new instruments SPA35, SPA.35, SPA.35., SPA.35.., SPA.35+, SPA35.cash and removing the instruments US30, US.30, US.30., US.30.., US.30+, US100, US.100, US.100., US.100.., US.100+, US500, US.500, US.500., US.500.., US.500+, UK100, UK.100, UK.100., UK.100.., UK.100+, DE30, DE.30, DE.30., DE.30.., DE.30+, EU50, EU.50, EU.50., EU.50.., EU.50+, US30.cash, US100.cash, US500.cash, UK100.cash, DE30.cash, EU50.cash

    Wording after amendments:

    Margin collected at opening transactions referred to the following instruments: FRA40, FRA.40, FRA .40., FRA.40.., FRA.40+, ITA40, ITA .40, ITA.40., ITA.40.., ITA.40+, SPA35, SPA.35, SPA.35., SPA.35.., SPA.35+, FRA40.cash, ITA40.cash, SPA35.cash
     
  • Wording of comment no.4  will be changed, by removing the instrument SPA35, SPA.35, SPA.35., SPA.35.., SPA.35+, SPA35.cash

    Wording after amendments:

    Margin collected at opening transactions referred to the following instruments: W20, W.20, W.20., W.20.., W.20+, SILVER, SILVERs, SILVERs., SILVERs+, XAGUSD, XAGUSD.., PLATINUM, PLATINUM., PLATINUM.., PLATINUM+, COPPER, COPPER., COPPER.., COPPER+, ALUMINUM, ALUMINIUM., ALUMINIUM.., ALUMINIUM+, ZINC, ZINC., ZINC.., ZINC+, NICKEL, NICKEL., NICKEL.., NICKEL+, OIL, OILs, OILs., OILs.., OILs+, OIL.WTI, OIL.WTI., OIL.WTI.., OIL.WTI+, NATGAS, NATGAS., NATGAS.., NATGAS+, CORN, CORN., CORN.., CORN+, SOYBEAN, SOYBEAN., SOYBEAN.., SOYBEAN+, WHEAT, WHEAT., WHEAT.., WHEAT+, SUGAR, SUGARs, SUGARs., SUGARs.., SUGARs+, COTTON, COTTONs, COTTONs., COTTONs.., COTTONs+, COFFEE, COFFEE., COFFEE.., COFFEE+, EMISS, EMISS., EMISS.., EMISS+, COCOA, COCOA., COCOA.., COCOA+, POR20, POR20., POR20.., POR20+,USDBRL, USDBRL., USDBRL.., USDBRL+
     
  • Comment number 5 will be removed.
     
  • Numeration of comments now has changed due to the removal of comment 5. Comment 6 has now changed and wording of such is as follows:

    for BTCUSD
    Nominal Portfolio Value in EUR Margin
    0 - 2 000 000    5%
    0 - 10 000 000  10%

    for ETHUSD
    Nominal Portfolio Value in EUR Margin
    0 - 2 000 000    10%
    0 - 10 000 000  20%

    for XRPUSD, LTCUSD, DSHUSD
    Nominal Portfolio Value in EUR Margin
    0 - 2 000 000    20%
    0 - 10 000 000  40%

If you have any questions or enquiries, please don’t hesitate to get in touch with our customer support team at ukservice@xtb.co.uk or call us on +44 20 3695 3085.

Kind regards,
The XTB UK team

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La información y condiciones de esta página aplican únicamente para clientes que abren cuenta con XTB Agente de Valores SpA* a partir del 02 de Julio de 2025. Clientes residentes en Chile que hayan abierto cuenta antes de esa fecha podrían estar sujetos a las condiciones de XTB International Limited
*XTB Agente de Valores SpA se encuentra en el Registro de Agentes de Valores de la CMF bajo el N°216.

XTB Agente de Valores SpA se encuentra en el Registro de Agentes de Valores de la CMF bajo el N°216.