Nikkei 225 Index CFD, cash (JPY) (JP225)

Începe tranzacționarea JP225

Obţine acces la cea mai mare piața financiară din lume şi tranzacționează cele mai populare instrumente în condiții competitive

Învață din mers

Tranzacționează de oriunde oricând

Profitați de toate oportunitățile piețelor

Începeţi cu doar 100 EUR

Specificațiile contractelor

Parameters Data
Marjă minimă, % 0.5 (Retail - 5)
Comision, JPY 0
Simbol [JP225]
Spread minim, JPY 7.0
Spread Tipic, JPY 9.0
Niveluri Limită/ Stop 0
Valoarea SWAP-ului (Long), Interest Rate -0.00817
SWAP Value (Short), Interest Rate -0.0085
3-day SWAPs Friday
Tick Size 0.01
Lot Size, Index Levels 10
Mărimea minimă a contractului, Loturi 1.0
Mărimea maximă a contractului, Loturi 500
Contract Step, Loturi 1.0
Valoarea Pip pe contract minim, JPY 10.0
Marja Minimă Hedge, % 0.25 (Retail - 2.5)
Platforma de tranzacționare Metatrader 5
Program de tranzacționare, EET 02:30 - 09:25 / 09:55 - 23:15 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
Marjă minimă, % 0.5 (Retail - 5)
Comision, JPY 0
Simbol [JP225]
Spread minim, JPY 7.0
Spread Tipic, JPY 9.0
Niveluri Limită/ Stop 0
Valoarea SWAP-ului (Long), Interest Rate -0.00817
SWAP Value (Short), Interest Rate -0.0085
3-day SWAPs Friday
Tick Size 0.01
Lot Size, Index Levels 10
Mărimea minimă a contractului, Loturi 1.0
Mărimea maximă a contractului, Loturi 500
Contract Step, Loturi 1.0
Valoarea Pip pe contract minim, JPY 10.0
Marja Minimă Hedge, % 0.25 (Retail - 2.5)
Platforma de tranzacționare Metatrader 4
Program de tranzacționare, EET 02:30 - 09:25 / 09:55 - 23:15 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
Marjă minimă, % 0.5 (Retail - 5)
Comision, JPY per lot (single side) 30
Simbol [JP225]-Z
Spread minim, JPY 2.0
Spread Tipic, JPY 3.0
Niveluri Limită/ Stop 0
Valoarea SWAP-ului (Long), Interest Rate -0.00817
SWAP Value (Short), Interest Rate -0.0085
3-day SWAPs Friday
Tick Size 0.01
Lot Size, Index Levels 10
Mărimea minimă a contractului, Loturi 1.0
Mărimea maximă a contractului, Loturi 500
Contract Step, Loturi 1.0
Valoarea Pip pe contract minim, JPY 10.0
Marja Minimă Hedge, % 0.25 (Retail - 2.5)
Platforma de tranzacționare MetaTrader 5
Program de tranzacționare, EET 02:30 - 09:25 / 09:55 - 23:15 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
Marjă minimă, % 0.5 (Retail - 5)
Comision, JPY per lot (single side) 30
Simbol [JP225]-ECN
Spread minim, JPY 2.0
Spread Tipic, JPY 3.0
Niveluri Limită/ Stop 0
Valoarea SWAP-ului (Long), Interest Rate -0.00817
SWAP Value (Short), Interest Rate -0.0085
3-day SWAPs Friday
Tick Size 0.01
Lot Size, Index Levels 10
Mărimea minimă a contractului, Loturi 1.0
Mărimea maximă a contractului, Loturi 500
Contract Step, Loturi 1.0
Valoarea Pip pe contract minim, JPY 10.0
Marja Minimă Hedge, % 0.25 (Retail - 2.5)
Platforma de tranzacționare Metatrader 4
Program de tranzacționare, EET 02:30 - 09:25 / 09:55 - 23:15 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.