Maklumat leverage

Leverage Pro-Powered!

Untuk traders yang berpengalaman atau volum tinggi

1:10k
pada FX & Emas
Tersedia di semua
Akaun Trading kami

Global Markets

FxPro Global Markets LTD

Pelanggan Runcit

Sila baca maklumat di bawah mengenai leveraj maksimum yang ditawarkan kepada Pelanggan Runcit untuk Entiti FxPro yang berkenaan.

Instrumen Kewangan

Leverage Maksimum
Forex Majors
1:200
Forex Minors
1:200
Logam Spot (Emas, Perak, Platinum dan Palladium)
1:200
Logam Asas Spot (Aluminium, Kuprum, Plumbum & Zink)
1:40
Indeks Spot Major
1:200
Indeks Spot Minor
1:100

Instrumen Kewangan

Leverage Maksimum
Futures Indeks
1:50
Tenaga spot
1:200
Futures Tenaga
1:200
Futures pada Komoditi
1:50
Semua Saham
1:25
Cryptos
1:20

Leverage dinamik

FxPro menggunakan model leverage dinamik untuk kumpulan aset yang disenaraikan di bawah pada platform FxPro, MT4, MT5 yang secara automatik menyesuaikan diri dengan kedudukan trading pelanggan. Apabila volum setiap Instrumen pelanggan meningkat, leverage maksimum yang ditawarkan berkurangan dengan sewajarnya. Sila klik di sini untuk maklumat leverage yang lebih dinamik.

Increased Margin Requirements

During periods of heightened market volatility, higher margin amounts are necessary to initiate new trades. This measure aims to minimize traders' exposure to price instability during significant economic events.

Therefore, new orders opened within 15 minutes before and 5 minutes after high-impact economic news releases are subject to these elevated margin requirements. Once this critical period ends, typically 5 minutes after the news release, the HMR (Higher Margin requirements) is lifted, and margin requirements are reevaluated based on the trading account's equity and leverage.

Trading instruments affected by weekend or public holiday trading breaks will observe increased margin requirements for new orders opened within 1 hour before the market closes and 1 hour after it reopens.

Higher Margin Requirements:

  • Forex: 1:250
  • Precious Metals (spot and future): 1:250
  • Indices (spot and future): 1:100
  • Energy (spot and future): 1:100

The duration of higher margin requirements may be extended based on risk management decisions.