SSAB AB (Class A) (SSAB.A.FI)
Inizia ad operare SSAB.A.FI
Entra nel mercato finanziario più grande del mondo e opera gli strumenti più conosciuti a condizioni competitive
Impara strada facendo
Opera dove vuoi, come vuoi e quando vuoi
Non perdere mai un`opportunità di trading
Inizia solo con 100 EUR
Specifiche del contratto
Invest.MT5
Parametri
Dati
Minimum Margin, %
100
Minimum Margin – the amount of funds required to open and maintain a 1-lot position with the lowest margin requirements.
Commission-free trades
1 per day
No commission will be charged for the opening and/or closing of positions in this instrument within the allowed number of daily free trades.
The standard commission will apply to all following trades. Your daily allowance of commission-free trades resets each day, applying only to the first trades of that day. Other fees as per the Contract Specification may still apply.
For Invest.MT5 and Trade.MT5 accounts a commission-free trade constitutes a one-side trade, while for Trade.MT4 it refers to a round-turn trade, encompassing both opening and closing of the same position.
The standard commission will apply to all following trades. Your daily allowance of commission-free trades resets each day, applying only to the first trades of that day. Other fees as per the Contract Specification may still apply.
For Invest.MT5 and Trade.MT5 accounts a commission-free trade constitutes a one-side trade, while for Trade.MT4 it refers to a round-turn trade, encompassing both opening and closing of the same position.
Commission, %
0.15
Commission – The service charge for executing a per-side transaction, i.e., opening or closing a position in an instrument. Depending on the instrument, the commission might be set in the per cent of trade value, or a flat rate per share.
Minimum Commission, EUR
1
Minimum Commission – the minimum service charge applied to each transaction (the opening or closing a position) in the event that the calculated payable commission falls below the defined minimum.
Symbol
SSAB.A.FI
Symbol – the instrument ticker in the trading platform.
Lot Size, Shares
1
Lot Size – a quantity of the underlying asset units in a single standardized contract (1.0 Lots).
Minimum Contract Size, Lots
1
Minimum Contract Size – the minimum contract size for opening a position. Lot – the standardized contract for a certain amount of units of the underlying asset (e.g. 100 barrels of crude oil, 100 troy oz of gold or 100,000 units of the base currency).
Maximum Contract Size, Lots
10000
Maximum Contract Size The maximum contract size for opening a position Lot The standardized contract for a certain amount of units of the underlying asset (e.g. 100 barrels of crude oil, 100 troy oz of gold or 100,000 units of the base currency).
Contract Step, Lots
1
Contract Step – the minimum increment of the contract above the minimum contract size level. Lot – the standardized contract for a certain amount of units of the underlying asset (e.g. 100 barrels of crude oil, 100 troy oz of gold or 100,000 units of the base)
Trading status
Long Only
Trading status shows whether the instrument is generally available for trading and if any restrictions apply.
Additional fee, tax or levy
No
Dove applicabile, le transazioni e le distribuzioni saranno rettificate per le ritenute d'acconto applicabili e alcune altre tasse e prelievi sull'acquisto e la vendita di strumenti, come l'imposta di bollo del Regno Unito e il prelievo PTM del Regno Unito, l'imposta sulle transazioni finanziarie francese e spagnola, la ritenuta d'acconto sulle partnership.
Tieni presente che potresti anche essere tenuto al pagamento di imposte aggiuntive su eventuali plusvalenze o pagamenti di dividendi. Se non sei sicuro dei tuoi obblighi, dovresti verificare con l'autorità fiscale competente o parlare con uno specialista fiscale.
Tieni presente che potresti anche essere tenuto al pagamento di imposte aggiuntive su eventuali plusvalenze o pagamenti di dividendi. Se non sei sicuro dei tuoi obblighi, dovresti verificare con l'autorità fiscale competente o parlare con uno specialista fiscale.
Dividend Adjustment per Share, EUR
8.7
Dividend Adjustment per Share – amount of funds to be credited (for Buy positions) or debited (for Sell positions) in order to account for dividend payouts on underlying assets of the stock and index CFDs. Dividend adjustment payments are subject to local withholding taxes, with the rates depending on the country where the underlying share is traded. Please consult your tax advisor. Please also note that dividend adjustment values in this specification are based on forecasts provided by information agencies and may not correctly reflect resulting dividend adjustments that will be made on the basis of actual dividend payouts.
Dividend Adjustment Date
19.04.2023
Dividend Adjustment Date – the date of the next dividend adjustment (the ex-dividend date of the underlying asset) or the last announced dividend date of the underlying asset.
Trading Platform
Metatrader 5
Trading Platform – a trading software required to start trading this instrument.
Trading Schedule, EET
10:01 - 18:25 Mon - Fri
EET – trading hours in Eastern European Time (GMT+2, summer - GMT+3).