Pengumuman

Kami komited untuk memastikan anda sentiasa dimaklumkan dengan berita dan perkembangan terkini berkaitan alat dagangan, produk, serta persekitaran perdagangan kami. Di halaman ini, anda boleh mendapatkan maklumat terperinci mengenai kemas kini pelayan, sebarang perubahan terhadap produk atau alat dagangan, pelancaran produk baharu, dan pelbagai makluman penting yang lain.

  • Lain-lain
  • Dividen
  • Kemas kini produk
  • Pergantian CFD
  • Waktu dagangan
  • Penyelenggaraan

15 February 2024

Ultima Markets – The Adjustments of Leverage for US Share

The specification for US shares CFD will be adjusted during the end of the earnings season. Adjustment Details 1. Effective Date: Since 19th , Feb 2024 2. Adjustment: The leverage of US Shares CFD will be adjusted from 20:1 to “33:1”.

From 19th , Feb 2024

Product

Previous Leverage

Leverage after updating

US share CFDs

20:1

33:1

Friendly Reminder

• The margin requirements for the above products will decrease with the leverage adjustment. The margin level may be affected; please pay attention to your trading strategy and account risk.

• Due to the inherent uncertainty in the market, please refer to the MT4 software as the primary source for executing trades and monitoring market conditions.

• The holding positions can be kept after the adjustment.

If you have any questions or require assistance, please do not hesitate to contact [email protected].

1 February 2024

Ultima Markets The trading sessions of holiday in Feb

The trading sessions of some products will be adjusted due to international holidays. Please refer to the following details:
Holiday Date Adjustments (Product / Actions)
LUNAR NEW YEAR 2024.02.09 10:30 Early Close HK50, HK50ft
LUNAR NEW YEAR 2024.02.12 Market Closed HK50, HK50ft, BVSPX
LUNAR NEW YEAR 2024.02.13 Market Closed HK50, HK50ft, BVSPX
LUNAR NEW YEAR 2024.02.14 18:00 Late Open BVSPX
21:55 Early Close
USA Presidents Day 2024.02.19 Market Closed Cotton, OJ, Cocoa, Coffee, Sugar,
Soybean,Wheat
US shares
18:30 Early Close VIX
20:00 Early Close DJ30, DJ30ft, SP500, SP500ft, NAS100,
NAS100ft, US2000, Nikkei225, JPN225ft, TY
21:30 Early Close GOLD, SILVER, COPPER, XPDUSD,XPTUSD
USOUSD, CL-OIL, NG, GAS
23:00 Early Close UK100, UK100ft, GER40, GER40ft, EU50

Friendly Reminder

  • • The mentioned times are based on DST system time GMT+2.
  • • Liquidity providers might adjust the trading sessions base on the dynamic nature of market conditions. The up-to-date execution data should be subject to information on the MetaTrader software/application.
    If you have any questions or require assistance, please do not hesitate to contact [email protected]
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31 January 2024

Ultima Markets – The Rollover Schedule of Futures in Feb

Futures contracts switch to new contracts on the expiration date regularly, the process is known as “Rollover.” Market prices may experience fluctuations caused by non-market factors after the rollover. Positions in futures contracts will undergo corresponding funding adjustments based on the rollover direction to reflect the value change when transitioning between old and new contracts. Below is the schedule for the futures contract rollover at Ultima Markets in February.

The Rollover Schedule of Futures in Feb

Symbol

Description

Rollover Date

Current Contract

Next Contract

VIX

Volatility

2024/2/8

Feb-24

Mar-24

CL-OIL

Crude Oil West Texas Future

2024/2/15

Mar-24

Apr-24

FRA40ft

France 40 Index Future

2024/2/15

Feb-24

Mar-24

FLG

UK Long Gilt Futures

2024/2/21

Mar-24

Jun-24

CHINA50ft

CHINA50 Future

2024/2/22

Feb-24

Mar-24

UKOUSDft

Brent Oil Future

2024/2/23

Apr-24

May-24

HK50ft

Hong Kong 50 Future

2024/2/27

Feb-24

Mar-24

TY

US 10 YR T-Note Futures Decimalised

2024/2/27

Mar-24

Jun-24

FGBX

Euro – BUXL Futures

2024/3/1

Mar-24

Jun-24

FGBS

Euro – Schatz Futures

2024/3/1

Mar-24

Jun-24

Friendly Reminder

• Internal transfers will be suspended during the half-hour before and after the rollover.

• Investors are advised to carefully manage their positions or adjust the take-profit and stop-loss settings before the rollover.

• Liquidity providers might adjust the rollover schedules base on the dynamic nature of market conditions. The up-to-date execution data should be subject to information on the MetaTrader software/application.

If you have any questions or require assistance, please do not hesitate to contact [email protected].

3 January 2024

Ultima Markets The trading sessions of holiday in Jan

The trading sessions of some products will be adjusted due to international holidays. Please refer to the following details:
Holiday Date Adjustments (Product / Actions)
Martin Luther King Jr.Day 2024.01.15 Market Closed Cotton. OJ, Cocoa, Coffee, Sugar,
Soybean, Wheat
US shares
18:30 Early Close VIX
20:00 Early Close DJ30, DJ30ft, SP500, SP500ft,
NAS100, NAS100ft, US2000,
Nikkei225, JPN225ft, TY
23:00 Early Close UK100, UK100ft, GER40, GER40ft
21:15 Early Close XPDUSD, XPTUSD
21:30 Early Close GOLD, SILVER
USOUSD, CL-OIL, NG, GAS, Copper
Australia Day 2024.01.25 23:00 Early Close SPI200
Australia Day 2024.01.26 Market Closed USDINR
08:10 Late Open SPI200

Friendly Reminder

  • • The mentioned times are based on DST system time GMT+2.
  • • Liquidity providers might adjust the trading sessions base on the dynamic nature of market conditions. The up-to-date execution data should be subject to information on the MetaTrader software/application.
    If you have any questions or require assistance, please do not hesitate to contact [email protected]
.holiday_product .inner .sheet tr:nth-child(10) td:nth-child(1){padding:10px}

28 December 2023

Ultima Markets – The Rollover Schedule of Futures in Jan

Futures contracts switch to new contracts on the expiration date regularly, the process is known as “Rollover.” Market prices may experience fluctuations caused by non-market factors after the rollover. Positions in futures contracts will undergo corresponding funding adjustments based on the rollover direction to reflect the value change when transitioning between old and new contracts. Below is the schedule for the futures contract rollover at Ultima Markets in January.

The Rollover Schedule of Futures in Jan

Symbol

Description

Rollover Date

Current Contract

Next Contract

VIX

Volatility

2024/1/12

Jan-2024

Feb-2024

CL-OIL

Crude Oil West Texas Future

2024/1/17

Feb-2024

Mar-2024

FRA40ft

France 40 Index Future

2024/1/18

Jan-2024

Feb-2024

CHINA50ft

CHINA50 Future

2024/1/24

Jan-2024

Feb-2024

UKOUSDft

Brent Oil Future

2024/1/25

Mar-2024

Apr-2024

HK50ft

Hong Kong 50 Future

2024/1/26

Jan-2024

Feb-2024

Friendly Reminder

• Internal transfers will be suspended during the half-hour before and after the rollover.

• Investors are advised to carefully manage their positions or adjust the take-profit and stop-loss settings before the rollover.

• Liquidity providers might adjust the rollover schedules base on the dynamic nature of market conditions. The up-to-date execution data should be subject to information on the MetaTrader software/application.

If you have any questions or require assistance, please do not hesitate to contact [email protected].

Notis Pelarasan Dividen Indeks Ultima Markets

Penapis:

Apabila anda berdagang Kontrak untuk Perbezaan (CFD) ke atas indeks saham, sekiranya salah satu komponen dalam indeks saham asas membuat pembayaran dividen kepada pemegang saham, akaun dagangan anda akan dilaras secara ex-dividen pada jam 00:00 waktu pelayan pada hari yang sama. Keuntungan atau caj yang sepadan akan dikenakan bergantung pada posisi yang anda pegang dan ia akan dipaparkan dalam sejarah akaun anda.
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• Data di atas dinyatakan dalam mata wang asas bagi setiap indeks.

• Mengikut amalan pasaran, data pelaksanaan sebenar mungkin berubah. Sila rujuk perisian MT4 untuk maklumat lanjut.

Apabila indeks saham melalui tarikh ex-dividen, pelarasan dividen akan dibuat dalam bentuk penolakan dana.

Anda boleh melihat rekod penolakan dana dengan anotasi berikut: “Div & nama indeks saham & lot bersih” dalam sejarah akaun. Ini merupakan pelarasan dividen. Lot beli (long) dikira sebagai “nilai positif”, manakala lot jual (short) dikira sebagai “nilai negatif”. Jumlah kedua-duanya adalah “lot bersih”.

Contoh adalah seperti berikut:

Sekiranya anda berdagang lebih daripada 5 lot DJ30, anda boleh melihat rekod pelarasan dividen “Div & DJ30 & 5” dalam bentuk baki di sejarah akaun; manakala untuk posisi jual, anda akan melihat rekod pelarasan dividen “Div & DJ30 & -5” dalam bentuk baki.

Kami mengesyorkan agar anda menilai dengan teliti posisi semasa anda dan mempertimbangkan sama ada untuk mengekalkannya semalaman.

Sekiranya anda mempunyai sebarang pertanyaan atau memerlukan bantuan, sila hubungi kami di [email protected] tanpa segan silu.

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