Spreads Conditions

Currency Pair Spreads
AUDCAD 7 Spreads
AUDCHF 7 Spreads
AUDJPY 3 Spreads
AUDNZD 7 Spreads
AUDUSD 3 Spreads
CADCHF 7 Spreads
CADJPY 7 Spreads
CHFJPY 7 Spreads
EURAUD 7 Spreads
EURBRL 7 Spreads
EURCAD 7 Spreads
EURCHF 3 Spreads
EURDKK 7 Spreads
EURGBP 3 Spreads
EURJPY 3 Spreads
EURNZD 7 Spreads
EURTRY 7 Spreads
EURUSD 3 Spreads
GBPAUD 7 Spreads
GBPCAD 7 Spreads
GBPCHF 7 Spreads
GBPJPY 7 Spreads
GBPNZD 7 Spreads
GBPUSD 3 Spreads
NZDCAD 7 Spreads
NZDCHF 7 Spreads
NZDHKD 7 Spreads
NZDJPY 7 Spreads
NZDUSD 3 Spreads
USDBRL 7 Spreads
USDCAD 3 Spreads
USDCHF 3 Spreads
USDCNH 7 Spreads
USDDKK 7 Spreads
USDJPY 3 Spreads
USDSGD 7 Spreads
USDTRY 7 Spreads

  • For deposits greater than 10,000 the maximum available leverage is 1:200. For deposits greater than 100,000 the maximum available leverage is 1:100.
  • Affliate bonus calculations for premium accounts is set at 3.
  • Swaps for Forex are calculated in points. For futures and CFD's on Equities are calculated in terms of monetary basis in margin currency. Swaps are subject to changes according to the company's liquidity providers rates
  • Stop Out Level will altered every Friday at 17:00 GMT to 60%, and resume back to normal every Sunday at 23:00 GMT

Spreads Conditions

Currency Pair Spreads
AUDCAD Variable Spreads
AUDCHF Variable Spreads
AUDJPY Variable Spreads
AUDNZD Variable Spreads
AUDUSD Variable Spreads
CADCHF Variable Spreads
CADJPY Variable Spreads
CHFJPY Variable Spreads
EURAUD Variable Spreads
EURBRL Variable Spreads
EURCAD Variable Spreads
EURCHF Variable Spreads
EURDKK Variable Spreads
EURGBP Variable Spreads
EURJPY Variable Spreads
EURNZD Variable Spreads
EURTRY Variable Spreads
EURUSD Variable Spreads
GBPAUD Variable Spreads
GBPCAD Variable Spreads
GBPCHF Variable Spreads
GBPJPY Variable Spreads
GBPNZD Variable Spreads
GBPUSD Variable Spreads
NZDCAD Variable Spreads
NZDCHF Variable Spreads
NZDHKD Variable Spreads
NZDJPY Variable Spreads
NZDUSD Variable Spreads
USDBRL Variable Spreads
USDCAD Variable Spreads
USDCHF Variable Spreads
USDCNH Variable Spreads
USDDKK Variable Spreads
USDJPY Variable Spreads
USDSGD Variable Spreads
USDTRY Variable Spreads

Spreads Conditions - Metals

Currency Pair Spreads
XAUUSD Variable Spreads
XAGUSD Variable Spreads
XAUEUR Variable Spreads

  • For deposits greater than 10,000 the maximum available leverage is 1:200. For deposits greater than 100,000 the maximum available leverage is 1:100.
  • Affliate bonus calculations for premium accounts is set at 3.
  • Swaps for Forex are calculated in points. For futures and CFD's on Equities are calculated in terms of monetary basis in margin currency. Swaps are subject to changes according to the company's liquidity providers rates
  • Stop Out Level will altered every Friday at 17:00 GMT to 60%, and resume back to normal every Sunday at 23:00 GMT