Trading schedule for Easter holiday 2024
Please consider this information when trading
Dear customers,
Please pay attention to the change of swap rates required by the internal optimization of the CFD trades maintenance. The group of CFD instruments which swap rate will change includes: share, futures, and currency indices CFDs. The new swap rates are set at -0.1 pips for long positions and -0.2 pips for short positions.
The new swap rates become effective on September 5, 2012.
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