Trading on COCOA, COFFEE, SUGAR
Dear Client,
Today (31.08.2015) trading on following instruments will start at 13.30 CEST
- COCOA, COFFEE, SUGAR
Dear Client,
Today (31.08.2015) trading on following instruments will start at 13.30 CEST
- COCOA, COFFEE, SUGAR
Dear Clients,
Please see below events that could affect your trading for the next week:
Rollovers:
Wednesday 02.09 - BUNDY10Y, SCHATZ2Y
Due to national holidays trading on following instruments will be cancelled:
Monday 31.08 - ALUMINIUM, COPPER, NICKEL, ZINC, UK100
Thursday 03.09 – HKComp, CHNComp
Dividends Equity CFD (paid in cash):
Monday 31.08 - BHI.US, HAL.US, QCOM.US, SLB.US
Tuesday 01.09 - HD.US, ITUB.US, VIV.US
Wednesday 02.09 - BAC.US, BBD.US, KMB.US, LPP.PL, NTRS.US, PEP.US
Thursday 03.09 - AGK.UK, ARM.UK, GFS.UK, MGGT.UK, NKE.US, SHP.UK, SLH.US, STJ.UK
Friday 04.09 - APC.US, FOXA.US, HPQ.US
Dear Clients,
Today there is a change of delivery date for CHNComp, HKComp, , INDIA50, and TNOTE instruments. Clients who have open positions will be credited or debited with proper swap points amounts.
These are:
- CHNComp, 15 swap points for long position; -15 swap points for short position
- HKComp, 128 swap points for long position; -128 swap points for short position
- INDIA50, -285 swap points for long position; 285 swap points for short position
- TNOTE, 56 swap points for long position; -56 swap points for short position
In order to check the dates when rollovers will apply you can visit our rollover table.
Should you have any question do not hesitate to contact us.
XTB Team
Dear Client,
Today, at the end of trading day CHNComp, HKComp, INDIA50, and TNOTE underlying instruments will change their delivery dates. Current difference between prices of futures with consecutive delivery terms is:
- CHNComp, approx. -13 index points
- HKComp, approx. -113 index points
- INDIA50, approx. 28,5 index points
- TNOTE, approx. -0,56 index points
It means that if nothing occurs between today’s closing and tomorrow’s opening, open price for INDIA50 should be higher, and lower for remaining mentioned instruments by given values.
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.
In order to check the dates when rollovers will apply you can visit our rollover table.
Should you have any question do not hesitate to contact us.
XTB Team
Dear Client,
Today, there is a change of delivery date for NATGAS instruments. Clients who have open positions will be credited or debited with proper swap points amounts.
These are:
- NATGAS, -10 swap points for long position; 10 swap points for short position.
In order to check the dates when rollovers will apply you can visit our rollover table.
Should you have any questions do not hesitate to contact us.
XTB Team
Dear Client,
Today at the end of trading day NATGAS underlying instrument will change their delivery dates. Current difference between prices of futures with consecutive delivery terms is:
- NATGAS, approx. 0,01 USD
It means that if nothing occurs between today’s closing and tomorrow’s opening, open price for NATGAS should be higher by given values.
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.
In order to check the dates when rollovers will apply you can visit our rollover table.
Should you have any question do not hesitate to contact us.
XTB Team
YASAL UYARI: Burada yer alan yatırım bilgi, yorum ve tavsiyeleri yatırım danışmanlığı kapsamında değildir. Yatırım danışmanlığı hizmeti, yetkili kuruluşlar tarafından kişilerin risk ve getiri tercihleri dikkate alınarak kişiye özel sunulmaktadır. Burada yer alan yorum ve tavsiyeler ise genel niteliktedir. Bu tavsiyeler mali durumunuz ile risk ve getiri tercihlerinize uygun olmayabilir. Bu nedenle, sadece burada yer alan bilgilere dayanılarak yatırım kararı verilmesi beklentilerinize uygun sonuçlar doğurmayabilir. Forex (Kaldıraçlı alım satım) ve CFD (fark kontratı) piyasası işlemlerin kaldıraçlı gerçekleştiği bir yatırım piyasasıdır. Bu sebeple yüksek seviyelerde kayıplarla sonuçlanabilecek riskler taşımaktadır. Kaldıraçlı alım satım işlemleri sonucunda kâr elde edebileceğiniz gibi zarar riskiniz de bulunmaktadır. Forex ve CFD işlemleri, yatırılan paranın tamamını kaybetme riski içerdiğinden her yatırımcı için uygun olmayabilir. Bu nedenle işlem yapmaya karar vermeden önce karşılaşabileceğiniz riskleri tam olarak anladığınızdan emin olunuz ve gerektiğinde uzmanlardan veya yetkili kurumlardan destek alınız. 2017 Yılı 3. Çeyrek Müşteri Hesapları Kar Zarar Oranı %45 - %55'tür.
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