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L` 81% dei conti retail perde denaro a causa delle negoziazioni in CFD con questo fornitore. I CFD sono strumenti complessi e presentano un rischio significativo di perdere denaro rapidamente a causa della leva finanziaria. L` 81% dei conti di investitori al dettaglio perdono denaro a causa delle negoziazioni in CFD con questo fornitore. Valuti se comprende il funzionamento dei CFD e se può permettersi di correre questo alto rischio di perdere il Suo denaro. expand_more

Standard and Poor's Index CFD, cash (USD) (SP500)

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

Parameters Data
Minimum Margin, % 0.2 (Retail - 5)
Commission, USD 0
Symbol [SP500]
Minimum Spread, Pips 0.4
Typical Spread, Pips 0.4
Limit / Stop Levels 0
SWAP Value (Long), % -3.14
SWAP Value (Short), % -2.86
3-day SWAPs Friday
Tick Size 0.01
Lot Size, Index Levels 1.0
Minimum Contract Size, Lots 0.1
Maximum Contract Size, Lots 500
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 23:00 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 0
Symbol [SP500]
Minimum Spread, Pips 0.4
Typical Spread, Pips 0.4
Limit / Stop Levels 0
SWAP Value (Long), % -3.14
SWAP Value (Short), % -2.86
3-day SWAPs Friday
Tick Size 0.01
Lot Size, Index Levels 1.0
Minimum Contract Size, Lots 0.1
Maximum Contract Size, Lots 500
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 23:00 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) 0.15
Symbol [SP500]-Z
Minimum Spread, Pips 0.1
Typical Spread, Pips 0.1
Limit / Stop Levels 0
SWAP Value (Long), % -3.14
SWAP Value (Short), % -2.86
3-day SWAPs Friday
Tick Size 0.01
Lot Size, Index Levels 1.0
Minimum Contract Size, Lots 0.1
Maximum Contract Size, Lots 500
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 23:00 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) 0.15
Symbol [SP500]-ECN
Minimum Spread, Pips 0.1
Typical Spread, Pips 0.1
Limit / Stop Levels 0
SWAP Value (Long), % -3.14
SWAP Value (Short), % -2.86
3-day SWAPs Friday
Tick Size 0.01
Lot Size, Index Levels 1.0
Minimum Contract Size, Lots 0.1
Maximum Contract Size, Lots 500
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 23:00 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.