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81% de las cuentas minoristas pierden dinero al operar CFDs con este proveedor. Los CFDs son instrumentos complejos y tienen un alto riesgo de perder dinero rápidamente debido al apalancamiento. 81% de las cuentas de inversores minoristas pierden dinero cuando operan con CFDs con este proveedor. Debe considerar si entiende cómo funcionan los CFDs y si puede permitirse tomar este alto riesgo de perder su dinero. expand_more

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

Accede al mercado de inversiones más grande del mundo y opera los instrumentos más populares con excelentes condiciones

Aprende mientras inviertes

Opera desde donde quieras y cuando quieras

No te pierdas ninguna oportunidad de invertir

Comienza con 100 EUR

Especificaciones del Contrato

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
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
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
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
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.