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Currency pair

Typical Spread (pips)*

on our Premiere account

Typical Spread (pips)*

on our Executive account

Max Leverage

(Floating)

Margin

EURUSD0.21.61:5000.20%
AUDUSD0.22.11:5000.20%
USDCHF0.22.51:5000.20%
USDJPY0.22.11:5000.20%
NZDUSD0.72.21:5000.20%
EURCHF0.22.21:5000.20%
EURGBP0.92.31:5000.20%
EURJPY0.42.51:5000.20%
USDCAD0.62.51:5000.20%
GBPUSD0.22.31:5000.20%
GBPJPY1.53.11:5000.20%
GBPCHF1.94.31:5000.20%
HKDJPY0.91.11:5000.20%
CADJPY1.52.41:5000.20%
AUDJPY1.32.91:5000.20%
EURAUD0.42.91:5000.20%
EURCAD0.42.81:5000.20%
NZDJPY0.431:5000.20%
AUDCAD1.73.51:5000.20%
AUDCHF1.63.21:5000.20%
AUDNZD1.631:5000.20%
CADCHF1.63.51:5000.20%
CHFJPY1.53.31:5000.20%
EURNZD0.43.81:5000.20%
GBPCAD2.14.41:5000.20%
GBPAUD0.44.51:5000.20%
GBPNZD0.45.11:5000.20%
GBPSGD2.55.11:5000.20%
AUDSGD34.71:5000.20%
CADSGD2.54.51:5000.20%
CHFSGD3.861:5000.20%
EURDKK510.51:5000.20%
EURMXN41.556.81:5000.20%
EURNOK18.1251:5000.20%
EURPLN8.925.41:5000.20%
EURSEK15.721.81:5000.20%
EURSGD2.44.81:5000.20%
EURTRY23.743.21:205%
GBPHKD15.123.41:5000.20%
GBPNOK30361:5000.20%
GBPSEK40.252.81:5000.20%
MXNJPY11.11:5000.20%
NOKJPY1.11.31:5000.20%
NOKSEK6.610.21:5000.20%
NZDCAD1.93.31:5000.20%
NZDCHF1.93.31:5000.20%
NZDSGD2.94.11:5000.20%
SEKJPY1.21.41:5000.20%
SGDJPY1.43.21:5000.20%
USDCNH6.113.31:5000.20%
USDDKK6.712.41:5000.20%
USDHKD413.41:5000.20%
USDNOK16.721.71:5000.20%
USDMXN3335.61:5000.20%
USDPLN9.726.91:5000.20%
USDRUB20401:5000.20%
USDSEK15.822.21:5000.20%
USDSGD1.431:5000.20%
USDTRY15.417.61:205%
USDZAR41601:5000.20%
EURHKD9.217.11:5000.20%


Forex Rolling

Trade our swap-free rolling forex futures with fixed spreads and no expiry dates.

SymbolFrom (lots)To (lots)Tier 1 MarginTier 1 LeverageFrom (lots)To (lots)Tier 2 MarginTier 2 LeverageFrom (lots)To (lots)Tier 3 MarginTier 3 LeverageFrom (lots)To (lots)Tier 4 MarginTier 4 LeverageFrom (lots)To (lots)Tier 5 MarginTier 5 Leverage

EURUSDFut

01000.20%5001002000.50%2002003001%100300over3%33----

GBPUSDfut

01000.20%5001002000.50%2002003001%100300over3%33----

EURGBPfut

01000.20%5001002000.50%2002003001%100300over3%33----

Spreads are variable and can widen during overnight hours.

Considering recent market developments relating to Brexit, liquidity conditions have changed in GBP pairs particularly at the Sunday market open. As a result, pricing for GBP pairs will start from 21:05 GMT on Sundays until further notice.

There will be a three-minute pause to FX products over the rollover between Monday to Thursday, open will be at 22:02 GMT and close will be at 21:59 GMT and a one-minute pause to Sunday market open and Friday market close respectively. Sunday open will be at 22:01 GMT and Friday close will be at 21:58 GMT.

*Average prices are during London and New York sessions.

**Trading hours can change due to public holidays. Please check our holiday schedule.

Please note that liquidity and spreads can change due to market conditions. The information in this table is correct at the time of publication, we reserve the right to change its contents at any time. For up to date information please refer to the trading platform or call the support desk.

Forex Rolling

Trade our swap-free rolling forex futures with fixed spreads and no expiry dates.

SymbolFrom (lots)To (lots)Tier 1 MarginTier 1 LeverageFrom (lots)To (lots)Tier 2 MarginTier 2 LeverageFrom (lots)To (lots)Tier 3 MarginTier 3 LeverageFrom (lots)To (lots)Tier 4 MarginTier 4 LeverageFrom (lots)To (lots)Tier 5 MarginTier 5 Leverage

EURUSDFut

01000.20%5001002000.50%2002003001%100300over3%33----

GBPUSDfut

01000.20%5001002000.50%2002003001%100300over3%33----

EURGBPfut

01000.20%5001002000.50%2002003001%100300over3%33----