info
Investera ansvarsfullt.
Investera ansvarsfullt.Investera ansvarsfullt.CFDs are complex instruments and have with a high risk of losing money rapidly due to leverage. 77% of retail investors lose money with this provider. Consider if you understand how CFDs work and if you can afford losing your money.
Investera Ansvarsfullt: Handla med CFD innebär signifikanta risker.

Specifikationer

Vänligen läs information nedan gällande orderutförandepolicyn på var och en av våra 3 huvudsakliga handelsplattformar. Notera att den maximala håvstång som erbjuds av FxPros rättigheter förklaras mer detaljerat nedan.

Finansiella InstrumentMaximal
Hävstång
(FxPro Global Markets Ltd)
Maximal
Hävstång
(FxPro Global Markets MENA Ltd)
Maximal
Hävstång
(FxPro Financial Services Ltd)
Maximal
Hävstång
(FxPro UK Limited)
Forex Majors1:5001:501:301:30
Forex Minors1:5001:201:201:20
GOLD, GOLDEURO, GOLDoz, GOLDgr1:2001:501:201:20
SILVER, SILVEREURO1:2001:201:101:10
PLATINA1:501:201:101:10
Spot Indices Major1:500 (cTrader 1:50)1:501:201:20
Spot Indices Minor1:200 (cTrader 1:50)1:201:101:10
Future Indices Major1:501:501:201:20
Future Indices Minor1:501:201:101:10
Energy Spot1:1001:201:101:10
Energy Futures1:1001:201:101:10
Commodity Futures1:501:201:101:10
US, UK, French & German Shares1:251:101:51:5
Cryptos1:20 - - 1:2
Finansiella InstrumentMaximal
Hävstång
(FxPro Global Markets MENA Ltd)
Forex Majors1:50
Forex Minors1:20
GOLD, GOLDEURO, GOLDoz, GOLDgr1:50
SILVER, SILVEREURO1:20
PLATINA1:20
Spot Indices Major1:50
Spot Indices Minor1:20
Future Indices Major1:50
Future Indices Minor1:20
Energy Spot1:20
Energy Futures1:20
Commodity Futures1:20
US, UK, French & German Shares1:10
Cryptos -
Finansiella InstrumentMaximal
Hävstång
(FxPro Financial Services Ltd)
Forex Majors1:30
Forex Minors1:20
GOLD, GOLDEURO, GOLDoz, GOLDgr1:20
SILVER, SILVEREURO1:10
PLATINA1:10
Spot Indices Major1:20
Spot Indices Minor1:10
Future Indices Major1:20
Future Indices Minor1:10
Energy Spot1:10
Energy Futures1:10
Commodity Futures1:10
US, UK, French & German Shares1:5
Cryptos -
Finansiella InstrumentMaximal
Hävstång
(FxPro UK Limited)
Forex Majors1:30
Forex Minors1:20
GOLD, GOLDEURO, GOLDoz, GOLDgr1:20
SILVER, SILVEREURO1:10
PLATINA1:10
Spot Indices Major1:20
Spot Indices Minor1:10
Future Indices Major1:20
Future Indices Minor1:10
Energy Spot1:10
Energy Futures1:10
Commodity Futures1:10
US, UK, French & German Shares1:5
Cryptos1:2
Forex Leverage

FxPro uses a dynamic forex leverage model on the MT4, MT5 and cTrader platforms which automatically adapts to the clients trading positions. As the volume per Instrument of a client increases the maximum leverage offered decreases accordingly; as per the following table.

This is done per trading instrument; thus if a client has positions open across multiple instruments the leverage will be calculated separately on each forex symbol. For example, if a trader has 300 lots Buy on USDJPY and then starts trading EURUSD, his/her margin requirement for EURUSD will not be affected by the existing USDJPY positions.

The sum of the positions is calculated in the following way. Consider a trader has 300 lots Buy and 200 Lots Sell. To calculate the required margin, one would take the side with the largest volume (sum). In this example, the side with the largest exposure is the 300 Buy, and as such, 300 would be the value used in calculating the required margin. Furthermore, a trader with 6 positions of 50 lots Buy (or Sell), and a trader of a single position of 300 lots Buy (or Sell), would require the same margin; given their accounts have identical leverage settings.

Öppna AndelarMaximal Hävstångseffekt
0-100Max 1:500
100-200Max 1:200
200-300Max 1:100
300-500Max 1:50
500+Max 1:33

Notera: Maximal hävstångseffekt för ZAR korsning är 1:100, för CNH, ILS, THB & RUB korsning är 1:50, och för DKK, CZK, HKD, TRY & SGD korsning är 1:20.

Client Account Leverage – 1:30
Consider a EUR account with  5 Buy (or Sell) lots  EURUSD.

AndelarMaximal HävstångseffektTillämplig Hävstångseffekt Marinal
51:301:305 (Andelar) * 100,000 / 30 (hävstång) = 16,666.67 EUR
   Total Nödvändig Marginal: 16,666.67 EUR
Metals Margin Requirements

FxPro uses a dynamic leverage model on the MT4, MT5 and cTrader platforms for trading precious metals, which automatically adapts to clients' trading positions. As the trading volume per Instrument of a client increases, the maximum leverage offered decreases accordingly; as per the following table.

This is done per Trading Instrument, so if a client has positions open across multiple Instruments, the leverage will be calculated separately on each symbol. For example, if a trader has a position in Silver and then starts trading Gold, his/her margin requirement for Gold will not be affected by the existing Silver positions.

SymbolerAndelar Nödvändig Marginal Maximal Hävstångseffekt
GULD, GULDEURO, SILVER, SILVEREURO0-500.50%1:200
>501%1:100
GOLDoz0-5,0000.5%1:200
>5,0001%1:100
GOLDgr0-155,5000.5%1:200
>155,5001%1:100
PLATINAAlla2%1:50

Client Account Leverage – 1:30
Consider a USD account with  3 Buy (or Sell) lot of Gold at spot price of 1,500 USD. In this example, the symbols' leverage is less than the account's leverage, so the margin required would be as below:

AndelarTillämplig Nödvändig Marginal MarinalMarinal
35%5% (nödvändig marginal) * 100 (oz) * 3 (Andelar) * 1,500 (pris på guldspot)$22,500.00
Futures Marginalkrav

FxPro använder en dynamisk hävstångsmodell på MT4 och MT5 plattformarna för handel futures, som automatiskt anpassar sig till kundens handelspositioner. Eftersom handelsvolymen per instrument för en kund ökar minskar den maximala hävstångseffekten i enlighet med; enligt följande tabell.

Öppna Andelar Nödvändig Marginal Maximal Hävstångseffekt
0-502%1:50
50-1004%1:25
100-15010%1:10
150-30016%1:6.25
>30020%1:5

Client Account Leverage – 1:30
Consider a EUR account with  10 Buy (or Sell) lots of DAX Future at 12,400. In this example, the symbols' leverage is less (1:20) than the account's leverage (1:30), so the margin required would be as below:

AndelarTillämplig Nödvändig Marginal MarinalMarinal USD
105%10(Andelar) *25(EUR) *12,400 (Öppningspris) * 5%(nödvändig marginal)155000 EUR
Energi Futures/Spotmarginal Krav

FxPro använder en dynamisk hävstångsmodell för handel med framtida energier, som automatiskt anpassar sig till kundens handelspositioner. Eftersom handelsvolymen per instrument för en kund ökar minskar den maximala hävstångseffekten i enlighet därmed; enligt följande tabell.

Öppna AndelarNödvändig Marginal
0-201.00%
20-1002.50%
>1005.00%

Client Account Leverage – 1:30
Consider a USD account with  3 Buy (or Sell) lot of WTI at spot price of 55.10 USD. In this example, the symbols' leverage is less (1:10) than the account's leverage (1:30), so the margin required would be as below:

AndelarTillämplig Nödvändig Marginal ÖppningsprisMarinal
310%10%(nödvändig marginal) *1000 (Kontraktstorlek) * 3 (Andelar) * 55.10(price of WTI spot)$16530.00
Indices Margin Requirements

FxPro uses a dynamic leverage model for indices, which automatically adapts to clients' trading positions. As the amount of indices of a client increases, the leverage offered decreases accordingly; as per the following table.

Please note that on the cTrader platform dynamic leverage is not applicable for indices.

Nödvändig Marginal0.20%0.50%0.75%1.00%1.50%2%4%10%16%20% (för större än)
(AUS200, Euro50, France40, Germany30, Japan225, UK100, US30, USNDAQ100, USSPX500)2525-501003007501,0001,2503,500
(Swiss20, Spain35, US2000)-2525501003007501,0001,2503,500
(Canada60, ChinaA50, ChinaHStar, France120, Germany50, GerTech30, Greece25, Holland25, HongKong50, Poland20, SAfrica40, UKmid250)---1001003007501,0001,2503,500

Client Account Leverage – 1:30
Consider a USD account with  4 Buy (or Sell) lot of #US30 at spot price of 27082. In this example, the symbols' leverage is less (1:20) than the account's leverage (1:30), so the margin required would be as below:

EnheterTillämplig Nödvändig Marginal Marginal (Enheter*Nödvändig Marginal*Öppningspris)MarinalMarginal Valuta
45%4*5%*270825,416USD
Shares Margin Requirements

FxPro uses a dynamic leverage model for trading shares, which automatically adapts to clients' trading positions. As the exposure of a client increases, the maximum leverage offered decreases accordingly; as per the following table.

Please note that margin requirements for shares may be increased up to 5 business days prior to an upcoming company earnings report and/or corporate and/or other action. For more information, please click here.

Nödvändig Marginal4.00 %10.00 %20.00 %60.00 %
Franska Aktier< 25,000< 50,000< 75,00075,000+
Tyska Aktier< 25,000< 50,000< 75,00075,000+
Brittiska Aktier< 25,000< 50,000< 75,00075,000+
Amerikanska Aktier *< 25,000< 50,000< 75,00075,000+

Client Account Leverage – 1:30
Consider an EUR account with  1500 shares Buy (or Sell) of #Lufthansa at 14.30 EUR. In this example, the symbols' leverage is less (1:5) than the account's leverage (1:30), so the margin required would be as below:

Volume in USDIndicative Antal AktierNödvändig MarginalÖppningsprisMarinal
21,450.001,50020.0%14.301,500(Shares) * 14.30 (Öppningspris) * 20.0%(nödvändig marginal) = 4290 EUR
   Total nödvändig marginal = 4290 EUR