*/

Specifica degli strumenti di trading

Symbol Swap long Swap short Swap type Contract size Min. trade size Tick size Tick value Dividend charges
XAUUSD -12,145 3,686 points 100 0,01 0,01 1
No
XAGUSD -2,002 0,53 points 5000 0,01 0,001 5
No
XPTUSD -13,046 -1,551 points 50 0,1 0,01 0,5
No
XPDUSD -15,763 -38,28 points 100 0,1 0,01 1
No
CL -1,947 -3,267 points 100 0,01 0,01 10
No
DAX -0,165 -0,2134 by interest 10 0,1 0,1 2,5
No
CAC -0,177 -0,2028 by interest 10 0,1 0,1 1
Schedule
Ex‑Dividend Day Dividend value / 1 lot
25.11.2019 17,23778 EUR
2.12.2019 24,93402 EUR
3.12.2019 2,85361 EUR
6.12.2019 27,29792 EUR
STOXX50 -0,177 -0,2028 by interest 10 0,1 0,1 1
Schedule
Ex‑Dividend Day Dividend value / 1 lot
2.12.2019 14,6901 EUR
6.12.2019 8,20504 EUR
FTSE -0,2956 -0,0841 by interest 10 0,1 0,1 1
Schedule
Ex‑Dividend Day Dividend value / 1 lot
28.11.2019 39,77796 GBP
5.12.2019 2,92396 GBP
ASX -0,3515 -0,0401 by interest 10 0,1 0,1 1
Schedule
Ex‑Dividend Day Dividend value / 1 lot
27.11.2019 9,35746 AUD
29.11.2019 0,40285 AUD
2.12.2019 5,97468 AUD
5.12.2019 2,77964 AUD
6.12.2019 0,52761 AUD
NIKKEI -0,2056 -0,1741 by interest 10 0,1 1 1000
Schedule
Al momento non ci sono dividendi disponibili.
NSDQ -2,101 0,1035 by interest 2 0,5 0,1 2
Schedule
Ex‑Dividend Day Dividend value / 1 lot
22.11.2019 1,43932 USD
25.11.2019 1,40756 USD
26.11.2019 2,42596 USD
27.11.2019 9,21438 USD
29.11.2019 2,18778 USD
4.12.2019 14,04236 USD
5.12.2019 2,58624 USD
6.12.2019 24,87714 USD
SP -2,101 0,1845 by interest 2 0,5 0,1 5
Schedule
Ex‑Dividend Day Dividend value / 1 lot
22.11.2019 6,53725 USD
25.11.2019 17,6489 USD
26.11.2019 3,87635 USD
27.11.2019 22,3583 USD
29.11.2019 33,8245 USD
2.12.2019 3,70595 USD
3.12.2019 4,78785 USD
4.12.2019 8,23095 USD
5.12.2019 39,5302 USD
6.12.2019 28,49115 USD
DOW -0,8206 0,0684 by interest 5 0,2 1 5
Schedule
Ex‑Dividend Day Dividend value / 1 lot
25.11.2019 32,215255 USD
27.11.2019 23,737555 USD
29.11.2019 106,47989 USD
5.12.2019 64,0914 USD
6.12.2019 67,821585 USD
*DAX is a total reinvestment index. The underlying stocks have withholding tax charges on any dividends paid. This needs to be taken into consideration by our LPs when calculating the index price to better track the underlying market. Please note that after dividends settlement, there may be a correction in your trading account. This means that when you hold an opened short position (SELL) you will receive a reverse dividend credit to your trading account and conversely, when you hold an opened long position (BUY) you will be charged a reverse dividend debit. Our liquidity provider unfortunately does not provide us with the exact dates when the correction occurs.

 

Dividends on CFD Indices

Please note that trading positions in stock indices are subject to cash adjustments reflecting the weighted effect of dividend payouts. More information may be found here.

Dividends will be credited to or debited from your account on ex-dividend day. The credit or debit transaction will be based on the type of position (long or short) you are holding from the preceding day. If you hold a BUY position, we will credit you the dividend. In case of SELL position, the dividend will be debited from you.

If you hold your positions open for longer than a day, please be careful and aware of the upcoming ex-dividend dates. You can find them in the table below. The overview has informational character only. Changes may apply.
 

Swap

Swap is listed in points (except for indicies which are in percentage terms).

Important: Changes in our swap interest rates and calculations shall be at the Company’s own discretion and without notice. Rates may change quickly due to market conditions (changes in interest rates, volatility, liquidity etc.) and due to various risk related matters that are at the firm’s sole discretion. Your account will then be credited or debited accordingly.

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