Rollovers: US30.std, US100.std, US500.std, US2000.std, US30.pro, US100.pro, US500.pro, US2000.pro

14-12-2018 09:32
December 18th, 2018 the base contracts for US30.std, US100.std, US500.std, US2000.std, US30.pro, US100.pro, US500.pro, US2000.pro will be changed.

The resulting rollover will be applied to all open positions with the addition or deduction of swap points. At the moment of publication, the swap points for:

•             US30.std  are long  -19 points and short +15 points.

•             US30.pro  are long  -18,5 points and short +15,5 points.

•             US100.std  are long  -260 points and short +250 points.

•             US100.pro  are long  -258,5 points and short +251,5 points.

•             US500.std  are long  -43 points and short +37 points.

•             US500.pro  are long  -41 points and short +39 points.

•             US2000.std  are long  -43 points and short +37 points.

•             US2000.pro  are long  -41 points and short +39 points.

In addition to the information on the swap points correction, clients holding open positions are also advised to review their stop and limit instructions and adjust cash balances to a level that allows to maintain the positions after calculation of swap points. The corrections will be applied at the end of the trading session on December 18th, 2018. Trading hours for the instrument can be found on http://en.tmseurope.com/

CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage.
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You should consider whether you understand how CFDs work and whether you can afford to take the risk of losing your money.