Important Information

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If you wish to open an account in an EU investment firm and protected by EU laws, you will be redirected to Ultima Markets Cyprus Ltd (the “CIF”), a Cyprus investment firm duly licensed and regulated by the Cyprus Securities and Exchange Commission with license number 426/23.

Pengumuman

Kami berkomitmen untuk memastikan anda senantiasa mendapatkan informasi terkini mengenai alat perdagangan, produk, serta ekosistem perdagangan kami. Di halaman ini, anda akan menemukan informasi mendalam mengenai pembaruan server, perubahan pada produk atau alat perdagangan, peluncuran produk terbaru, serta berbagai pemberitahuan penting lainnya.

  • Lainnya
  • Deviden
  • Produk Update
  • CFD Rollover
  • Waktu Perdagangan
  • Maintenance

31 October 2024

Ultima Markets-The Rollover Schedule of Futures in November

Futures contracts switch to new contracts on the expiration date regularly, the process is known as “Rollover.” Market prices may experience fluctuations caused by non-market factors after the rollover. Positions in futures contracts will undergo corresponding funding adjustments based on the rollover direction to reflect the value change when transitioning between old and new contracts. Below is the schedule for the futures contract rollover at Ultima Markets in November.

The Rollover Schedule of Futures in November

Symbol

Description

Rollover Date

Current Contract

Next Contract

FRA40ft

France 40 Index Future

2024-11-14

Nov-24

Dec-24

CL-OIL

Crude Oil West Texas Future

2024-11-15

Dec-24

Jan-25

VIX

Volatility

2024-11-19

Nov-24

Dec-24

UKOUSDft

Brent Oil Future

2024-11-20

Jan-25

Feb-25

CHINA50ft

CHINA50 Future

2024-11-26

Nov-24

Dec-24

LongGilt

UK Long Gilt Futures

2024-11-26

Dec-24

Mar-25

HK50ft

Hong Kong 50 Future

2024-11-27

Nov-24

Dec-24

USNote10Y

US 10 YR T-Note Futures Decimalised

2024-11-27

Dec-24

Mar-25

EUB30Y

Euro – BUXL Futures

2024-12-03

Dec-24

Mar-25

EUB2Y

Euro – Schatz Futures

2024-12-03

Dec-24

Mar-25

EUB10Y

Euro – Bund Futures

2024-12-04

Dec-24

Mar-25

EUB5Y

Euro – BOBL Futures

2024-12-04

Dec-24

Mar-25

Friendly Reminder

• Internal transfers will be suspended during the half-hour before and after the rollover.

• Investors are advised to carefully manage their positions or adjust the take-profit and stop-loss settings before the rollover.

• Liquidity providers might adjust the rollover schedules base on the dynamic nature of market conditions. The up-to-date execution data should be subject to information on the MetaTrader software/application.

If you have any questions or require assistance, please do not hesitate to contact [email protected].

30 October 2024

Ultima Markets Index Dividend Adjustment Notice

When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on the same day, and the corresponding gain or expense will occur depending on the position you are holding and will be reflected in the account history.

• The above data are expressed in the base currency of each index.

• According to market practice, the actual execution data may change, please refer to MT4 software for details.

When the stock index goes ex-dividend, the dividend will be adjusted in the form of fund deduction.

You can view the fund deduction record with the following annotation “Div & stock index name & net lot” in the account history,It is the dividend adjustment. The long lot is calculated as a “positive value”, and the short lot is calculated as a “negative value”. The sum of the two is the “net lot”.

An example is as follows.

If you trade more than 5 lots of DJ30, you can view the “Div & DJ30 & 5” dividend adjustment record in the form of balance in the account history; View the “Div & DJ30 & -5” dividend adjustment records in the form of balance.

We recommend that you carefully evaluate your current positions and consider whether to hold it overnight.

If you have any questions or require assistance, please do not hesitate to contact [email protected]

30 October 2024

Ultima Markets – The trading sessions of holiday in Nov

The trading sessions of some products will be adjusted due to international holidays. Please refer to the following details:
Holiday Date Adjustments (Product / Actions)
All Saints’ Day 2024.11.01 Market Closed USDCLP, USDINR
All Saints’ Day 2024.11.04 Market Closed USDCOP
Independence of Cartagena 2024.11.11 Market Closed USDCOP
Republic Day 2024.11.15 Market Closed BVSPX, USDBRL, USDINR
Black Awareness Day 2024.11.20 Market Closed BVSPX
Indonesia’s regional elections 2024.11.27 Market Closed USDIDR
Thanksgiving 2024.11.28 18:30 Early Close VIX
20:00 Early Close DJ30, DJ30ft, SP500, SP500ft, NAS100,
NAS100ft, US2000, Nikkei225, JPN225ft,
USNote10Y
20:30 Early Close UKOUSD, UKOUSDft, Gasoil
21:30 Early Close GOLD, SILVER, Copper
XPDUSD, XPTUSD
USOUSD, CL-OIL, NG, GAS
23:00 Early Close UK100, UK100ft, GER40, GER40ft
Market Closed Cotton, OJ, Cocoa, Coffee, Sugar,
Soybean, Wheat
US shares
USDBRL, USDCLP, USDCOP
Thanksgiving 2024.11.29 03:00 Late Open UKOUSDft
15:00 Late Open Cotton
16:30 Late Open Soybean, Wheat
20:00 Early Close US shares
20:05 Early Close Soybean, Wheat
20:15 Early Close USNote10Y, VIX, USDX
DJ30, DJ30ft, SP500, SP500ft, NAS100,
NAS100ft, US2000, Nikkei225, JPN225ft
20:30 Early Close Cotton, OJ
21:00 Early Close UKOUSD, UKOUSDft, Gasoil
21:45 Early Close GOLD, SILVER, Copper
XPDUSD, XPTUSD
NG, GAS, USOUSD, CL-OIL
Thanksgiving 2024.11.30 03:00 Late Open UKOUSDft

Friendly Reminder

  • • The mentioned times are based on DST system time GMT+2.
  • • Liquidity providers might adjust the trading sessions base on the dynamic nature of market conditions. The up-to-date execution data should be subject to information on the MetaTrader software/application.
    If you have any questions or require assistance, please do not hesitate to contact [email protected]

29 October 2024

Ultima Markets Index Dividend Adjustment Notice

When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on the same day, and the corresponding gain or expense will occur depending on the position you are holding and will be reflected in the account history.

• The above data are expressed in the base currency of each index.

• According to market practice, the actual execution data may change, please refer to MT4 software for details.

When the stock index goes ex-dividend, the dividend will be adjusted in the form of fund deduction.

You can view the fund deduction record with the following annotation “Div & stock index name & net lot” in the account history,It is the dividend adjustment. The long lot is calculated as a “positive value”, and the short lot is calculated as a “negative value”. The sum of the two is the “net lot”.

An example is as follows.

If you trade more than 5 lots of DJ30, you can view the “Div & DJ30 & 5” dividend adjustment record in the form of balance in the account history; View the “Div & DJ30 & -5” dividend adjustment records in the form of balance.

We recommend that you carefully evaluate your current positions and consider whether to hold it overnight.

If you have any questions or require assistance, please do not hesitate to contact [email protected]

29 October 2024

U.S. Presidential Election Risk Notice – Prepare for Potential Market Volatility

With the upcoming U.S. Presidential Election expected to significantly increase market volatility, Ultima Markets prioritizes the safety and security of our clients and our company. Ahead of the November 5th, 2024 election, we have thoroughly reviewed our risk management policies and, as of now, have decided to maintain our current margin requirements. However, please be advised that in the event of extreme market conditions, we may implement additional risk controls as needed to manage heightened volatility. These actions could take place with little or no advance notice.

Here are some potential risks you may encounter during this period:

Spreads:

There may be times when spreads are significantly wider than usual.

Liquidity:

As uncertainty pervades the market, Liquidity Providers and Banks may reduce liquidity. As a result, orders (including market positions) may experience greater slippage, and execution levels may differ significantly from anticipated levels.

Volatility:

The market may respond with extreme volatility to news releases and election updates.

To mitigate these risks, Ultima Markets may consider implementing the following measures:

Margin Increases:

As market conditions warrant, we may raise margin requirements on key instruments. This measure aims to reduce clients’ risk of negative equity and limit exposure in volatile conditions. This could also involve increased margins on hedged positions to manage liquidity risks.

Moving Instruments to Close-Only:

In cases of extremely low liquidity and high volatility, we may deem it necessary to set certain instruments to close-only status.

We will make every effort to notify you in advance of any such changes through email and the mailbox section of your MT4 platform.

If you have any questions or require assistance, please do not hesitate to contact [email protected]

Pemberitahuan Penyesuaian Dividen Indeks Ultima Markets

Penapis:

Saat anda memperdagangkan Kontrak untuk Perbedaan (CFD) pada indeks saham, apabila salah satu komponen dalam indeks saham dasar memberikan dividen kepada pemegang sahamnya, akun perdagangan anda akan disesuaikan secara ex-dividen pada pukul 00:00 waktu server pada hari yang sama. Keuntungan atau biaya yang sesuai akan dikenakan tergantung pada posisi yang anda pegang dan akan ditampilkan dalam riwayat akun anda.
Ultima Markets Social Trading Loading

Tiada Keputusan

Sila cuba istilah carian lain.

• Data di atas dinyatakan dalam mata uang dasar dari masing-masing indeks.

• Sesuai dengan praktik pasar, data eksekusi yang sebenarnya dapat berubah. Silakan merujuk pada perangkat lunak MT4 untuk informasi lebih lanjut.

Ketika indeks saham memasuki tanggal ex-dividen, dividen akan disesuaikan dalam bentuk pemotongan dana.

Anda dapat melihat catatan pemotongan dana dengan anotasi berikut: “Div & nama indeks saham & lot bersih” pada riwayat akun. Ini merupakan penyesuaian dividen. Lot beli (long) dihitung sebagai “nilai positif”, sementara lot jual (short) dihitung sebagai “nilai negatif”. Jumlah keduanya merupakan “lot bersih”.

Contohnya adalah sebagai berikut:

Jika anda melakukan perdagangan lebih dari 5 lot DJ30, anda dapat melihat catatan penyesuaian dividen “Div & DJ30 & 5” dalam bentuk saldo pada riwayat akun; sedangkan untuk posisi jual, anda akan melihat catatan penyesuaian dividen “Div & DJ30 & -5” dalam bentuk saldo.

Kami menyarankan agar anda mengevaluasi posisi anda saat ini dengan cermat dan mempertimbangkan apakah akan mempertahankannya semalam.

Jika anda memiliki pertanyaan atau memerlukan bantuan, jangan ragu untuk menghubungi kami di [email protected].

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