ThinkMarketsThinkMarkets
ThinkMarketsThinkMarkets

Contract specifications

Excellent trading conditions on thousands of instruments.

FOREX

INDICES

COMMODITIES

ETFS

STOCKS

FUTURES

CRYPTO

Type
INSTRUMENT
CONTRACT SIZE
MIN TRADE SIZE
MAX TRADE SIZE
MIN SPREAD
MAX LEVERAGE
EUR/USD
EUR/USD
100000
0.01
50
1.1
500:1
USD/JPY
USD/JPY
100000
0.01
50
1.4
500:1
GBP/USD
GBP/USD
100000
0.01
50
1.3
500:1
USD/CHF
USD/CHF
100000
0.01
50
1.5
500:1
USD/CAD
USD/CAD
100000
0.01
50
1.2
500:1
AUD/USD
AUD/USD
100000
0.01
50
1.1
500:1
CAD/JPY
CAD/JPY
100000
0.01
50
1.2
500:1
CHF/JPY
CHF/JPY
100000
0.01
50
1.2
500:1
EUR/CAD
EUR/CAD
100000
0.01
50
1.2
500:1
EUR/CHF
EUR/CHF
100000
0.01
50
1.2
500:1
EUR/GBP
EUR/GBP
100000
0.01
50
1.1
500:1
EUR/JPY
EUR/JPY
100000
0.01
50
1.2
500:1
GBP/CAD
GBP/CAD
100000
0.01
50
1.2
500:1
GBP/CHF
GBP/CHF
100000
0.01
50
1.2
500:1
GBP/JPY
GBP/JPY
100000
0.01
50
1.2
500:1
NZD/USD
NZD/USD
100000
0.01
50
1.2
500:1

TRADING HOURS

The markets are open from Monday 00:03 (GMT+3) to Friday 23:55 (GMT+3). All spot FX instruments have no expiry.

MARGIN CALL POLICY

The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details.

OTHER NOTES

  • For more information on our overnight charges (swap rates), please click here.
  • Commissions may apply when using the ThinkZero account.
  • Maximum exposure is subject to underlying market conditions
INSTRUMENT
TICKER
CURRENCY
MIN TRADE SIZE
MAX TRADE SIZE
CONTRACT SIZE
MAX LEVERAGE
TARGET SPREAD
TRADING HOURS (GMT+3)*
ASX 200
ASX 200
AUS200
AUD
0.1
50
1
50:1
1.2
01:00 - 24:00
France CAC 40
France CAC 40
FRA40
EUR
0.1
100
1
200:1
1.5
01:00 - 24:00
German DAX 40
German DAX 40
GER40
EUR
0.1
100
1
200:1
0.6
01:00 - 24:00 
Spain 35
Spain 35
SPAIN35
EUR
0.1
100
1
200:1
3.0
01:00 - 24:00 
FTSE100
FTSE100
UK100
GBP
0.1
100
1
200:1
0.7
01:00 - 24:00 
S&P 500
S&P 500
SPX500
USD
0.1
100
10
200:1
0.4
01:00 - 24:00 
Dow Jones Index
Dow Jones Index
US30
USD
0.1
100
1
200:1
1.5
01:00 - 24:00 
Nasdaq
Nasdaq
NAS100
USD
0.1
100
1
200:1
0.8
01:00 - 24:00 
US Dollar Index
US Dollar Index
USDINDEX
USD
0.1
50
100
100:1
3.0
03:00 - 24:00
Russell 2000
Russell 2000
US2000
USD
0.1
100
1
200:1
1.2
01:00 - 24:00 
Volatility index
Volatility index
VIX
USD
0.1
100
1
20:1
10.0
01:00 - 24:00
Nikkei 225
Nikkei 225
JPN225
JPN
1
100
100
200:1
5.0
01:00 - 24:00 
Hong Kong HS50
Hong Kong HS50
HK50
HKD
0.1
100
1
100:1
5.2
04:15 - 20:00
China A50
China A50
CHINA50
USD
0.1
50
1
50:1
8.0
01:00 - 24:00
FTSE Taiwan RIC Capped Index
FTSE Taiwan RIC Capped Index
TAIEX
USD
0.1
100
1
100:1
2
01:00 - 24:00
Singapore 20 Index
Singapore 20 Index
SINGAPORE20
SGD
0.01
50
1
50:1
0.5
01:00 - 24:00
China H Shares Index
China H Shares Index
CHINA_H
HKD
0.01
50
1
50:1
8
01:00 - 24:00
Hang Seng Tech Index
Hang Seng Tech Index
HSTECH
HKD
0.01
50
1
50:1
4
01:00 - 24:00

TARGET SPREADS*

Typical spread in the active trading hours. During out of hours (OOH) sessions spread may widen, depending on the market conditions.

MARGIN CALL POLICY

The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details.

DIVIDEND ADJUSTMENTS

  • Dividend adjustments are applied (credited or debited) to open CFD positions when an index announces a dividend.
  • For long positions, a brokerage adjustment of 5% is applied (except for UK100 indices) to account for dividend payments.
  • ThinkMarkets applies dividend adjustments one trading day prior to the ex-dividend date.
  • These adjustments will be displayed as a separate journal entry (deposit or withdrawal) in the client trading account.

OTHER NOTES

  • 3-day swaps are applied at market close on Friday for positions held over the weekend.
  • Maximum exposure is subject to underlying market conditions.
Dividend adjustments are applied (credited or debited) to CFD positions you hold open in an Index that announces a dividend. For dividend payments in long positions a brokerage adjustment of 5% is applied (except for UK100 indices).

Dividend adjustments are applied at rollover 1 day prior to the Ex-div date. 
Adjustments will be displayed as a separate journal entry (deposit or withdrawal) in the client trading account.
Target spread for normal market hours. During out of hours sessions spreads may widen.

To account for positions held over the weekend, 3-Day swaps are applied at market close on Friday.
Type
INSTRUMENT
TICKER
CURRENCY
CONTRACT SIZE
MIN TRADE SIZE
MAX TRADE SIZE
TARGET SPREAD
MAX LEVERAGE
Platinum
Platinum
XPT/USD
USD
10
0.01
1
1.5 USD
200:1
High Grade Copper
High Grade Copper
COPPER
USD
10000
0.1
25
34 cents
200:1
Gold in EUR
Gold in EUR
XAU/EUR
EUR
100
0.01
10
30 cents
400:1
Gold
Gold
XAU/USD
USD
100
0.01
10
19 cents
400:1
Silver
Silver
XAG/USD
USD
5000
0.01
10
2.6 cents
125:1
Mini Silver
Mini Silver
XAG/USD Mini
USD
500
0.01
10
2.6 cents
125:1
Mini Gold
Mini Gold
XAU/USD Mini
USD
10
0.01
10
19 cents
400:1

MARGIN CALL POLICY

The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details.

TRADING HOURS

01:03 (Monday) to 23:59 (Friday) GMT+3

IMPORTANT NOTE

There is a daily 1 hour break from 0:00 to 01:01 (GMT+3) server time.

Please click here for further details on maximum leverage allowance.

Mini Gold and Mini Silver are available only on ThinkZero and Standard accounts on Metatrader 4.

Trading hours: 01:05 (Monday) to 23:59 (Friday) GMT+3
Important note: There is a daily 1 hour break from 0:00 to 01:01 (GMT+3) server time.

To account for positions held over the weekend, 3-Day swaps are applied at market close on Wednesday.
INSTRUMENT
RIC
FULL NAME
COUNTRY
CURRENCY
PLATFORM
MAX LEVERAGE
MAX TRADE SIZE
A200
A200
A200.AX
BetaShares Australia 200 ETF
AU
AUD
TT & MT5
1:1
2500
AAXJ
AAXJ
AAXJ.N
iShares MSCI All Country Asia ex Japan ETF
US
USD
TT
5:1
2500
ACWI
ACWI
ACWI.O
iShares MSCI ACWI ETF
US
USD
TT & MT5
10:1
2500
ACWV
ACWV
ACWV.P
iShares Edge MSCI Min Vol Global ETF
US
USD
TT & MT5
10:1
1000
ACWX
ACWX
ACWX.O
iShares MSCI ACWI ex US ETF
US
USD
TT & MT5
6.66:1
5000
AGG
AGG
AGG.P
iShares Core US Aggregate Bond ETF
US
USD
TT & MT5
3.33:1
1000
AMCIACQUISITION
AMCIACQUISITION
AMCI.N
AMCI Acquisition Corp II
US
USD
TT
5:1
20000
AMERICANTOWER
AMERICANTOWER
AMT.N
American Tower Corporation (REIT)
US
USD
TT & MT5
10:1
500
AMERICOLDREALTY
AMERICOLDREALTY
COLD.N
Americold Realty Trust
US
USD
TT & MT5
10:1
5000
AMLP
AMLP
AMLP.N
ALPS Alerian MLP ETF
US
USD
TT
5:1
5000
ANGL
ANGL
ANGL.N
VanEck Fallen Angel High Yield Bond ETF
US
USD
TT
5:1
5000
AOM
AOM
AOM.N
iShares Core Moderate Allocation ETF
US
USD
TT
5:1
2500
AOR
AOR
AOR.N
iShares Core Growth Allocation ETF
US
USD
TT
5:1
2500
ARKF
ARKF
ARKF.N
Ark Fintech Innovation ETF
US
USD
TT
5:1
5000
ARKG
ARKG
ARKG.N
ARK Genomic Revolution ETF
US
USD
TT
5:1
2500
ARKK
ARKK
ARKK.N
ARK Innovation ETF
US
USD
TT & MT5
1:1
2500
ARKQ
ARKQ
ARKQ.N
ARK Autonomous Technology & Robotics ETF
US
USD
TT
5:1
2500
ARWK
ARWK
ARKW.N
ARK Next Generation Internet ETF
US
USD
TT
5:1
2500
ARYASCI
ARYASCI
ARYE.O
ARYA Sciences Acquisition Corp V
US
USD
TT
5:1
20000
ASHR
ASHR
ASHR.N
Xtrackers Harvest CSI 300 China A-Shares ETF
US
USD
TT
5:1
5000
AVUS
AVUS
AVUS.N
Avantis US Equity ETF
US
USD
TT
5:1
2500
AVUV
AVUV
AVUV.N
Avantis US Small Cap Value ETF
US
USD
TT
5:1
2500
BIL
BIL
BIL.N
SPDR Bloomberg 1-3 Month T-Bill ETF
US
USD
TT
5:1
1000
BITO
BITO
BITO.K
ProShares Bitcoin Strategy ETF
US
USD
TT & MT5
10:1
5000
BIV
BIV
BIV.P
Vanguard Intermediate Term Bond ETF
US
USD
TT & MT5
3.33:1
1000
BLACKSTONEMORT
BLACKSTONEMORT
BXMT.N
Blackstone Mortgage Trust Inc
US
USD
TT & MT5
10:1
5000
BLOK
BLOK
BLOK.N
Amplify Transformational Data Sharing ETF
US
USD
TT
5:1
5000
BLV
BLV
BLV.N
Vanguard Long-Term Bond ETF
US
USD
TT
5:1
1000
BND
BND
BND.N
Vanguard Total Bond Market ETF
US
USD
TT
5:1
1000
BNDX
BNDX
BNDX.N
Vanguard Total International Bond ETF
US
USD
TT
5:1
2500
BOND
BOND
BOND.N
PIMCO Active Bond Exchange-Traded Fund
US
USD
TT
5:1
1000
BSV
BSV
BSV.N
Vanguard Short-Term Bond ETF
US
USD
TT
5:1
2500
CAMDENPROPERTY
CAMDENPROPERTY
CPT.N
Camden Property Trust
US
USD
TT & MT5
5:1
1000
CETF
CETF
CETF.AX
Vaneck Vectors Ftse China A50 ETF
AU
AUD
TT & MT5
1:1
2500
CLOU
CLOU
CLOU.N
Global X Cloud Computing ETF
US
USD
TT
5:1
5000
CMF
CMF
CMF.N
iShares California Muni Bond ETF
US
USD
TT
5:1
2500
COMT
COMT
COMT.N
iShares GSCI Commodity Dynamic Roll Strategy ETF
US
USD
TT
5:1
2500
CQQQ
CQQQ
CQQQ.N
Invesco China Technology ETF
US
USD
TT
5:1
2500
CROWNCASTLE
CROWNCASTLE
CCI.N
Crown Castle International Corp. (REIT)
US
USD
TT & MT5
3.33:1
1000
CURE
CURE
CURE.AX
ETFs S&P Biotech ETF
AU
AUD
TT & MT5
1:1
5000
CWB
CWB
CWB.N
SPDR Bloomberg Convertible Securities ETF
US
USD
TT
5:1
2500
CWI
CWI
CWI.N
SPDR MSCI ACWI ex-US ETF
US
USD
TT
5:1
5000
DBC
DBC
DBC.P
Invesco DB Commodity Index Tracking Fund
US
USD
TT & MT5
6.66:1
10000
DBEF
DBEF
DBEF.N
Xtrackers MSCI EAFE Hedged Equity ETF
US
USD
TT
5:1
5000
DGRO
DGRO
DGRO.N
iShares Core Dividend Growth ETF
US
USD
TT
5:1
2500
DIA
DIA
DIA.P
SPDR Dow Jones Industrial Average ETF Trust
US
USD
TT & MT5
6.66:1
500
DLR
DLR
DLR.N
Digital Realty Trust Inc
US
USD
TT & MT5
3.33:1
1000
DRAGONEER
DRAGONEER
DGNU.O
Dragoneer Growth Opportunities III Corp
US
USD
TT
5:1
20000
DSI
DSI
DSI.N
iShares MSCI KLD 400 Social ETF
US
USD
TT
5:1
1000
DVY
DVY
DVY.O
iShares Select Dividend ETF
US
USD
TT & MT5
3.33:1
1000

ABBREVIATIONS


A: American Stock Ex   AS: Euronext Amsterdam
AX*: Australian Securities Ex   DE: Deutsche Borse (XETRA)
HE: NASDAQ OMX Helsinki   HK: Hong Kong Ex
J: Johannesburg Stock Ex   K/N: NYSE   MC: BME Spanish Ex
MI: Milan Stock Ex   O: NASDAQ   P: New York Stock Ex (ARCA)
PA: Euronext Paris

*Dividend adjustments are applied (credited or debited) to CFD positions you hold open in an Equity that announces a dividend. ThinkMarkets will register dividend adjustments on the Ex-dividend date before the exchange where the equity is traded opens. For dividend payments in long positions a brokerage adjustment of 15% is applied.

We will display the adjustment as a separate journal entry (deposit or withdrawal) in the client’s trading account. If the overall dividend amount for a distinct equity position is less than 0.5 cents, we will round the dividend to 0.

View the following document here for information on corporate actions that may influence share prices.

To account for positions held over the weekend, 3-Day swaps are applied at market close on Friday.

TRADING HOURS:


Equities US: 16:30 to 23:00 GMT+3
Equities AU**: 01:05 to 06:55 GMT+3
Equities HK: 03:30 to 06:00, 07:00 to 10:00 GMT+3
Equities SA: 09:00 to 11:59, 12:20 to 16:50 GMT+3

Maximum exposure is subject to underlying market conditions


OTHER NOTES
  • Australian (AU) equities are only available for trading through live accounts.
Platform
INSTRUMENT
RIC
FULL NAME
COUNTRY
CURRENCY
PLATFORM
MAX LEVERAGE
MAX TRADE SIZE
A2MILK
A2MILK
A2M.AX
A2 Milk Company Ltd AU Share
AU
AUD
TT & MT5
6.66:1
50000
AADIBIO
AADIBIO
AADI.O
Aadi Bioscience Inc
US
USD
TT
1:1
10000
AAON
AAON
AAON.N
Aaon Inc
US
USD
TT
5:1
2500
AAP
AAP
AAP.N
Advance Auto Parts Inc
US
USD
TT & MT5
5:1
1000
ABACUS
ABACUS
ABP.AX
Abacus Property Group
AU
AUD
TT & MT5
6.66:1
50000
ABBOTT
ABBOTT
ABT.N
Abbott Laboratories
US
USD
TT & MT5
10:1
1000
ABBVIE
ABBVIE
ABBV.N
AbbVie Inc
US
USD
TT & MT5
10:1
2500
ABERCROMBIEFITCH
ABERCROMBIEFITCH
ANF.N
Abercrombie & Fitch Co
US
USD
TT
5:1
5000
ABMINDUSTRIES
ABMINDUSTRIES
ABM.N
ABM Industries Inc
US
USD
TT
5:1
2500
ABSA
ABSA
ABGJ.J
Absa Group Ltd South African Share
SA
ZAR
TT & MT5
5:1
20000
ACACIARESEARCH
ACACIARESEARCH
ACTG.N
Acacia Research Corp
US
USD
TT
5:1
50000
ACADIAREALTY
ACADIAREALTY
AKR.N
Acadia Realty Trust
US
USD
TT
5:1
5000
ACCELERATEDIAGNOSTICS
ACCELERATEDIAGNOSTICS
AXDX.N
Accelerate Diagnostics Inc
US
USD
TT
5:1
50000
ACCENTURE
ACCENTURE
ACN.N
Accenture PLC
US
USD
TT & MT5
5:1
1000
ACCOBRANDS
ACCOBRANDS
ACCO.N
ACCO Brands Corp
US
USD
TT
5:1
20000
ACCURAY
ACCURAY
ARAY.N
Accuray Inc
US
USD
TT
5:1
50000
ACIWORLDWIDE
ACIWORLDWIDE
ACIW.N
ACI Worldwide Inc
US
USD
TT
5:1
5000
ACMEUNITED
ACMEUNITED
ACU.N
Acme United Corp
US
USD
TT
5:1
5000
ACMRESEARCH
ACMRESEARCH
ACMR.N
ACM Research Inc
US
USD
TT
5:1
1000
ACRESCOMM
ACRESCOMM
ACR
Acres Commercial Realty Corp
US
USD
TT
5:1
10000
ACUSHNETHOLDING
ACUSHNETHOLDING
GOLF.N
Acushnet Holdings Corp
US
USD
TT
5:1
2500
ADAPTHEALTHCORP
ADAPTHEALTHCORP
AHCO.N
Adapthealth Corp
US
USD
TT
5:1
10000
ADCOCKINGRAM
ADCOCKINGRAM
AIPJ.J
Adcock Ingram Holdings Ltd South African Share
SA
ZAR
TT & MT5
5:1
50000
ADDUSHOMECARE
ADDUSHOMECARE
ADUS.N
Addus Homecare Corp
US
USD
TT
5:1
1000
ADECOAGRO
ADECOAGRO
AGRO.N
Adecoagro SA
US
USD
TT
10:1
10000
ADI
ADI
ADI.O
Analog Devices Inc
US
USD
TT & MT5
10:1
1000
ADIENT
ADIENT
ADNT.N
Adient PLC
US
USD
TT
5:1
5000
ADM
ADM
ADM.N
Archer-Daniels-Midland Company
US
USD
TT & MT5
3.33:1
5000
ADOBE
ADOBE
ADBE.O
Adobe Systems Inc
US
USD
TT & MT5
10:1
500
ADP
ADP
ADP.O
Automatic Data Processing Inc
US
USD
TT & MT5
10:1
1000
ADT
ADT
ADT.N
ADT Inc
US
USD
TT
5:1
20000
ADTALEMGLOBAL
ADTALEMGLOBAL
ATGE.N
Adtalem Global Education Inc
US
USD
TT
5:1
5000
ADTRAN
ADTRAN
ADTN.N
ADTRAN Inc
US
USD
TT
5:1
10000
ADVANCEDDRAINAGE
ADVANCEDDRAINAGE
WMS.N
Advanced Drainage Systems Inc
US
USD
TT
5:1
1000
ADVANCEDENERGY
ADVANCEDENERGY
AEIS.N
Advanced Energy Industries Inc
US
USD
TT
5:1
1000
ADVANSIX
ADVANSIX
ASIX.N
AdvanSix Inc
US
USD
TT
5:1
2500
AECOM
AECOM
ACM.N
AECOM Engineering
US
USD
TT & MT5
3.33:1
5000
AEHRTEST
AEHRTEST
AEHR.N
Aehr Test Systems
US
USD
TT
5:1
10000
AEMETIS
AEMETIS
AMTX.N
Aemetis Inc
US
USD
TT
5:1
10000
AERCAPHOLDING
AERCAPHOLDING
AER.N
AerCap Holdings NV
US
USD
TT
5:1
2500
AEROJETROCKETDYNE
AEROJETROCKETDYNE
AJRD.N
Aerojet Rocketdyne Holdings Inc
US
USD
TT
5:1
5000
AEROVIRONMENT
AEROVIRONMENT
AVAV.N
AeroVironment Inc
US
USD
TT
5:1
2500
AERSALE
AERSALE
ASLE.O
AerSale Corp
US
USD
TT
5:1
10000
AES
AES
AES.N
The AES Corporation
US
USD
TT & MT5
3.33:1
10000
AEVATECH
AEVATECH
AEVA.K
Aeva Technologies Inc
US
USD
TT
5:1
20000
AFLAC
AFLAC
AFL.N
Aflac Inc
US
USD
TT & MT5
5:1
5000
AFRICANRAINBOW
AFRICANRAINBOW
ARIJ.J
African Rainbow Minerals Ltd South African Share
SA
ZAR
TT & MT5
5:1
10000
AFYA
AFYA
AFYA.N
Afya Ltd
US
USD
TT
5:1
10000
AGCOCORP
AGCOCORP
AGCO.N
AGCO Corp
US
USD
TT & MT5
3.33:1
2500
AGILENT
AGILENT
A.N
Agilent Technologies Inc
US
USD
TT & MT5
10:1
2500

ABBREVIATIONS


A: American Stock Ex   AS: Euronext Amsterdam
AX*: Australian Securities Ex   DE: Deutsche Borse (XETRA)
HE: NASDAQ OMX Helsinki   HK: Hong Kong Ex
J: Johannesburg Stock Ex   K/N: NYSE   MC: BME Spanish Ex
MI: Milan Stock Ex   O: NASDAQ   P: New York Stock Ex (ARCA)
PA: Euronext Paris

*Dividend adjustments are applied (credited or debited) to CFD positions you hold open in an Equity that announces a dividend. ThinkMarkets will register dividend adjustments on the Ex-dividend date before the exchange where the equity is traded opens. For dividend payments in long positions a brokerage adjustment of 15% is applied.

We will display the adjustment as a separate journal entry (deposit or withdrawal) in the client’s trading account. If the overall dividend amount for a distinct equity position is less than 0.5 cents, we will round the dividend to 0.

View the following document here for information on corporate actions that may influence share prices.

To account for positions held over the weekend, 3-Day swaps are applied at market close on Friday.

TRADING HOURS:


Equities US: 16:30 to 23:00 GMT+3
Equities AU**: 01:05 to 06:55 GMT+3
Equities HK: 03:30 to 06:00, 07:00 to 10:00 GMT+3
Equities SA: 09:00 to 11:59, 12:20 to 16:50 GMT+3

Maximum exposure is subject to underlying market conditions


OTHER NOTES
  • Australian (AU) equities are only available for trading through live accounts.
INSTRUMENT
CONTRACT SIZE
MIN TRADE SIZE
TARGET SPREAD
MAX LEVERAGE
CONTRACT MONTHS
LAST DEALING DAY
TRADING HOURS (GMT+3)*
LCO*5 (BRENT)
LCO*5 (BRENT)
100
1
5
100:1
Monthly
The last business day of the second month preceding the contract month.
03:00 - 00:00
WTCL*5 (WTI)
WTCL*5 (WTI)
100
1
4
100:1
Monthly
The 4th business day prior to the 25th calendar day of the month preceding the contract month.
01:00 - 00:00
FFI*5 (UK100)
FFI*5 (UK100)
1
1
4
200:1
Mar, Jun, Sep, Dec
The 3rd Friday of the contract month
01:00 - 00:00
YM*5 (US30)
YM*5 (US30)
1
1
6
200:1
Mar, Jun, Sep, Dec
The 3rd Friday of the contract month
01:00 - 00:00
NQ*5 (NAS100)
NQ*5 (NAS100)
1
1
3
200:1
Mar, Jun, Sep, Dec
The 3rd Friday of the contract month
01:00 - 00:00
ES*5 (SPX500)
ES*5 (SPX500)
1
1
1
200:1
Mar, Jun, Sep, Dec
The 3rd Friday of the contract month
01:00 - 00:00

CONTRACT MONTH CODES

January - F; February - G; March - H; April -J; May - K; June - M; July - N; August - Q; September - U; October - V; November - X; December- Z

OTHER NOTES

Maximum exposure is subject to underlying market conditions
INSTRUMENT
TICKER
CONTRACT SIZE
MIN TRADE SIZE
MAX LEVERAGE
TARGET SPREAD
MAX TRADE SIZE
TRADING HOURS (GMT+3)*
Bitcoin
Bitcoin
BTC/USD
1
0.01
50:1
30 USD
5 BTC
24/7
Ethereum
Ethereum
ETH/USD
1
0.1
50:1
1.50 USD
400 ETH
24/7
Litecoin
Litecoin
LTC/USD
1
0.1
25:1
15 USD
200 LTC
24/7
Bitcoin Cash
Bitcoin Cash
BCH/USD
1
0.1
25:1
3 USD
200 BCH
24/7
XRP
XRP
XRP/USD
1
100
2:1
0.25 USD
5000 XRP
24/7
Cardano
Cardano
ADA/USD
1
100
2:1
0.10 USD
5000 ADA
24/7
Dogecoin
Dogecoin
DOGE/USD
1
100
2:1
0.02 USD
5000 DOGE
24/7
BAT
BAT
BAT/USD
1
100
2:1
0.2 USD
5000 BAT
24/7
Solana
Solana
SOL/USD
1
0.1
2:1
1.00 USD
20 SOL
24/7
Polkadot
Polkadot
DOT/USD
1
100
2:1
0.20 USD
100 DOT
24/7
EOS
EOS
EOS/USD
1
100
2:1
0.20 USD
1000 EOS
24/7
Chainlink
Chainlink
LINK/USD
1
0.1
2:1
0.70 USD
100 LINK
24/7
Tezos
Tezos
XTZ/USD
1
100
2:1
0.20 USD
1000 XTZ
24/7
Stellar
Stellar
XLM/USD
1
100
2:1
0.015 USD
5000 XLM
24/7
Uniswap
Uniswap
UNI/USD
1
100
2:1
0.50 USD
400 UNI
24/7
SHIBA INU
SHIBA INU
SHIB/USD
1
10000
2:1
0.000004 USD
50 mil SHIB
24/7
Decentraland
Decentraland
MANA/USD
1
100
2:1
0.06 USD
5000 MANA
24/7
The Sandbox
The Sandbox
SAND/USD
1
100
2:1
0.08 USD
5000 SAND
24/7
Cosmos
Cosmos
ATOM/USD
1
100
2:1
0.70 USD
100 ATOM
24/7
Algorand
Algorand
ALGO/USD
1
100
2:1
0.04 USD
5000 ALGO
24/7
Avalanche
Avalanche
AVAX/USD
1
0.1
2:1
1 USD
20 AVAX
24/7
Binance Coin
Binance Coin
BNB/USD
1
0.1
2:1
15 USD
20 BNB
24/7
TRUMPUSD
TRUMPUSD
TRUMP/USD
1
0.1
2:1
0.10 USD
100 TRUMP
Monday 00:03 to Friday 23:55

TRADING HOURS*

All cryptocurrencies have two breaks on Saturday. The first break is from 00:00 to 01:00 (GMT+3) and the second break is from 12:00 - 16:00 (GMT+3). Then one break on Sunday from 12:00 to 12:15 (GMT+3).

 

OTHER NOTES

  • To account for positions held over the weekend, 3-Day swaps are applied at market close on Friday.
  • Maximum exposure is subject to underlying market conditions.
  • The required margin is blocked for both legs of the hedged positions on both MT4 and MT5.
On the MT4 and the MT5 platforms the required margin is blocked for both legs of the hedged positions.

To account for positions held over the weekend, 3-Day swaps are applied at market close on Friday.