Aktualitātes

2021-05-26 22:20
Aktualności
Rollover – update
Rollovers 27.05.2021 the base contracts for instruments: CATTLE.pro, CATTLE.std will be changed. The resulting rollover will be applied to all open positions with the addition or deduction of swap...
2021-05-24 23:16
Aktualności
Rollover – final values
PALLAD.pro are long -114 points and short 74 points PALLAD.std are long -144 points and short 44 points
2021-05-23 22:39
Aktualności
Rollovers – update
Rollovers 24.05.2021 the base contracts for instruments: PALLAD.pro, PALLAD.std will be changed. The resulting rollover will be applied to all open positions with the addition or deduction of swap...
TMS Connect & Prime Rollovers 24.05.2021 the base contracts for instruments: PALLAD.std, PALLAD.pro will be changed. The resulting rollover will be applied to all open positions with the addition...
2021-05-20 23:48
Aktualności
Rollovers - final value
TMS Connect & Prime GASOLIN.std are long -20 points and short -40 points PLATIN.std are long -85 points and short -15 points PLATIN.pro are long -36.5 points and short 33.5 points HOIL.std are...
2021-05-19 23:21
Aktualności
Rollovers - final value
TMS Connect & Prime NATGAS.pro are long -65 points and short 63 points NATGAS.std are long -89 points and short 39 points
2021-05-19 22:44
Aktualności
Rollovers - update
TMS Connect & Prime Rollovers 20.05.2021 the base contracts for instruments: HOIL.std, HOIL.pro, GASOLIN.std, GASOLIN.pro, OILBRNT.pro, OILBRNT.std, PLATIN.pro, BITCOIN, PLATIN.std will be...
2021-05-18 22:28
Aktualności
Rollovers - update
TMS Connect & Prime Rollovers 19.05.2021 the base contracts for instruments: NATGAS.pro, NATGAS.std will be changed. The resulting rollover will be applied to all open positions with the...
2021-05-13 23:16
Aktualności
Rollovers – final values
OILWTI.pro are long -2.5 points and short 1.5 points OILWTI.std are long -7 points and short -3 points
Rollovers 19.05.2021 the base contracts for instruments: NATGAS.pro, NATGAS.std will be changed. The resulting rollover will be applied to all open positions with the addition or deduction of swap...
CFD ir sarežģīti instrumenti, un tiem ir augsts risks attiecībā uz strauju naudas zaudēšanu sviras finansējuma dēļ.
75% no šā produktu sniedzēja privāto ieguldītāju kontiem zaudē naudu, veicot CFD tirdzniecību.
Jums būtu jāapsver tas, vai izprotat, kā CFD darbojas, un vai Jūs varat atļauties uzņemties augsto naudas zaudēšanas risku.