Dow Jones Index CFD, cash (USD) (DJI30)
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Comienza con sólo 100 EUR
Especificaciones del Contrato
Parameters | Data |
---|---|
Minimum Margin, % | 0.2 (Retail - 5) |
Commission, USD | 0 |
Symbol | [DJI30] |
Minimum Spread, Pips | 1.5 |
Typical Spread, Pips | 1.5 |
Limit / Stop Levels | 0 |
SWAP Value (Long), Interest Rate | -3.13 |
SWAP Value (Short), Interest Rate | -2.87 |
3-day SWAPs | Friday |
Tick Size | 0.01 |
Lot Size, Index Levels | 1 |
Minimum Contract Size, Lots | 0.1 |
Maximum Contract Size, Lots | 100 |
Contract Step, Lots | 0.1 |
Pip Value Per Minimum Contract, USD | 0.1 |
Minimum Hedged Margin, % | 0.1 (Retail - 2.5) |
Trading Platform | Metatrader 5 |
Trading Schedule, EET | 01:00 - 23:15 / 23:30 - 23:59 Mon - Fri; pre-close margining from 22:00 Fri |
NOTA: Tenga en cuenta que las posiciones en este instrumento están sujetas posibles ajustes de efectivo que reflejarán el efecto ponderado de los pagos de dividendos. Su cuenta será acreditada cuando mantenga una posición larga (compra) o debitada si mantiene una posición corta (venta) por la cantidad apropiada en las fechas ex-dividendo de las acciones constitutivas del índice.
Parameters | Data |
---|---|
Minimum Margin, % | 0.2 (Retail - 5) |
Commission, USD | 0 |
Symbol | [DJI30] |
Minimum Spread, Pips | 1.5 |
Typical Spread, Pips | 1.5 |
Limit / Stop Levels | 0 |
SWAP Value (Long), Interest Rate | -3.13 |
SWAP Value (Short), Interest Rate | -2.87 |
3-day SWAPs | Friday |
Tick Size | 0.01 |
Lot Size, Index Levels | 1 |
Minimum Contract Size, Lots | 0.1 |
Maximum Contract Size, Lots | 100 |
Contract Step, Lots | 0.1 |
Pip Value Per Minimum Contract, USD | 0.1 |
Minimum Hedged Margin, % | 0.1 (Retail - 2.5) |
Trading Platform | Metatrader 4 |
Trading Schedule, EET | 01:00 - 23:15 / 23:30 - 23:59 Mon - Fri; pre-close margining from 22:00 Fri |
NOTA: Tenga en cuenta que las posiciones en este instrumento están sujetas posibles ajustes de efectivo que reflejarán el efecto ponderado de los pagos de dividendos. Su cuenta será acreditada cuando mantenga una posición larga (compra) o debitada si mantiene una posición corta (venta) por la cantidad apropiada en las fechas ex-dividendo de las acciones constitutivas del índice.
Parameters | Data |
---|---|
Minimum Margin, % | 0.2 (Retail - 5) |
Commission, USD per lot (single side) | 0.3 |
Symbol | [DJI30]-Z |
Minimum Spread, Pips | 0.9 |
Typical Spread, Pips | 0.9 |
Limit / Stop Levels | 0 |
SWAP Value (Long), Interest Rate | -3.13 |
SWAP Value (Short), Interest Rate | -2.87 |
3-day SWAPs | Friday |
Tick Size | 0.01 |
Lot Size, Index Levels | 1 |
Minimum Contract Size, Lots | 0.1 |
Maximum Contract Size, Lots | 100 |
Contract Step, Lots | 0.1 |
Pip Value Per Minimum Contract, USD | 0.1 |
Minimum Hedged Margin, % | 0.1 (Retail - 2.5) |
Trading Platform | MetaTrader 5 |
Trading Schedule, EET | 01:00 - 23:15 / 23:30 - 23:59 Mon - Fri; pre-close margining from 22:00 Fri |
NB! Please note that positions in this instrument are subject to cash adjustments reflecting the weighted effect of dividend payouts. Your account will be credited when holding a long position (buy) or debited when holding a short position (sell) for the appropriate amount on the ex-dividend dates of the index constituent stocks.
Parameters | Data |
---|---|
Minimum Margin, % | 0.2 (Retail - 5) |
Commission, USD per lot (single side) | 0.3 |
Symbol | [DJI30]-ECN |
Minimum Spread, Pips | 0.9 |
Typical Spread, Pips | 0.9 |
Limit / Stop Levels | 0 |
SWAP Value (Long), Interest Rate | -3.13 |
SWAP Value (Short), Interest Rate | -2.87 |
3-day SWAPs | Friday |
Tick Size | 0.01 |
Lot Size, Index Levels | 1 |
Minimum Contract Size, Lots | 0.1 |
Maximum Contract Size, Lots | 100 |
Contract Step, Lots | 0.1 |
Pip Value Per Minimum Contract, USD | 0.1 |
Minimum Hedged Margin, % | 0.1 (Retail - 2.5) |
Trading Platform | Metatrader 4 |
Trading Schedule, EET | 01:00 - 23:15 / 23:30 - 23:59 Mon - Fri; pre-close margining from 22:00 Fri |
NB! Please note that positions in this instrument are subject to cash adjustments reflecting the weighted effect of dividend payouts. Your account will be credited when holding a long position (buy) or debited when holding a short position (sell) for the appropriate amount on the ex-dividend dates of the index constituent stocks.