U p c o m i n g
March 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
March 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
March 2025
The trading sessions for EU&UK Daylight Saving (DST) will be updated from 30 March 2025 as per the following schedule: Date Product Original Trading Sessions (GMT+3) Updated Trading Sessions (GMT+3) 2025/03/30 (Sun.) Cocoa Mon -Fri: 12:45-20:30 Mon-Fri: 11:45-20:30 Coffee Mon-Fri:
March 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
March 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
March 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
March 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
March 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
March 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
March 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
August 2023
The trading sessions of some products will be adjusted due to international holidays. Please refer to the following details: Holiday Date Adjustments (Product / Actions) Labour Day 2023.09.04 Market Closed FX / USDBRL, USDCLP, USDCOP, USDTWD Commodities / Cocoa, Coffee,
August 2023
Due to the impact of holidays, the trading hours of some products will also be changed during and after the holiday, as follows: Holiday Date Adjustments (Product / Actions) Battle of Boyacá Day 2023.08.07 Market Closed USDCOP National Women’s Day