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28 March 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]

28 March 2024

Ultima Markets – Trading Session Adjustment for EU/UK Daylight Saving (DST)

The trading sessions for EU&UK Daylight Saving (DST) will be updated from 31 March 2024 as per the following schedule:
Date Product Original Trading Sessions (GMT+3) Updated Trading Sessions (GMT+3)
2024/03/31 (Sun.) UKOUSD Mon 02:00-24:00
Tue-Fri 00:00-01:00; 03:00-24:00
Mon 01:00-24:00
Tue-Fri 03:00-24:00
Ger40 Mon-Fri 03:15-24:00 Mon-Thu 03:15-24:00
Fri 03:15-23:00
Ger40ft Mon-Fri 03:15-24:00 Mon-Thu 03:15-24:00
Fri 03:15-23:00
ES35 Mon-Fri 10:00-22:00 Mon-Fri 09:00-21:00
Cocoa Mon-Fri 12:45-20:30 Mon-Fri 11:45-20:30
Coffee Mon-Fri 12:15-20:30 Mon-Fri 11:15-20:30
Gasoil Mon 02:00-24:00
Tue-Fri 00:00-01:00; 04:00-24:00
Mon 01:00-24:00
Tue-Fri 03:00-24:00
Sugar Mon-Fri 11:30-20:00 Mon-Fri 11:30-20:00
FGBL Mon-Fri 03:15-24:00 Mon-Fri 03:15-23:00
FGBM Mon-Fri 03:15-24:00 Mon-Fri 03:15-23:00
FGBX Mon-Fri 03:15-24:00 Mon-Fri 03:15-23:00
FGBS Mon-Fri 03:15-24:00 Mon-Fri 03:15-23:00
FLG Mon-Fri 11:00-20:00 Mon-Fri 10:00-20:00
FEI Mon-Fri 04:00-24:00 Mon-Fri 03:00-23:00

Friendly Reminder

  • • The mentioned times are based on DST system time GMT+3.
  • • 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]

27 March 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]

26 March 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]

26 March 2024

Ultima Markets The Adjustments of Leverage for TRY

The specification for TRY Crosses will be adjusted during the end of the upcoming Turkish election. Adjustment Details 1. Effective Date: Since 28th , Mar 2024 2. Adjustment: The leverage of TRY Crosses will be adjusted from 20:1 to “5:1”. Trading access will be adjusted to “Close Only”

From 28th , Mar 2024

Product

Previous Leverage

Leverage after updating

USDTRY, EURTRY

20:1

5:1

Previous Access

Access after updating

Full Access

Close-Only

Friendly Reminder

• The margin requirements for the above products will increase with the leverage adjustment. The margin level may be affected; please pay attention to your trading strategy and account risk.

• Due to the inherent uncertainty in the market, please refer to the MT4 software as the primary source for executing trades and monitoring market conditions.

• The holding positions can be kept after the adjustment.

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

Ultima Markets - Avviso di Adeguamento dell'Indice dei Dividendi

Filtri:

Quando fai trading su Contratti per Differenza (CFD) su indici azionari spot, se uno dei componenti dell’indice sottostante distribuisce un dividendo ai propri azionisti, il tuo conto di trading verrà rettificato ex-dividendo alle 00:00 ora del server nello stesso giorno, e verrà applicato il relativo accredito o addebito a seconda della posizione detenuta. Il movimento sarà visibile nello storico del conto.
Ultima Markets Social Trading Loading

Nessun risultato

Prova un termine di ricerca diverso.

• I dati sopra riportati sono espressi nella valuta base di ciascun indice.

• Secondo la prassi di mercato, i dati di esecuzione effettivi possono variare. Per favore, fare riferimento al software MT4 per i dettagli.

Quando l’indice azionario entra in fase ex-dividendo, il dividendo verrà rettificato sotto forma di movimento di fondi.

Puoi visualizzare il movimento di fondi con la seguente annotazione: “Div & nome indice & lotti netti” nello storico del conto. Si tratta della rettifica del dividendo. I lotti long sono calcolati come “valore positivo” e i lotti short come “valore negativo”. La somma dei due rappresenta i “lotti netti”.

Un esempio è il seguente.

Se operi con più di 5 lotti di DJ30, potrai visualizzare la voce “Div & DJ30 & 5” come rettifica del dividendo nello storico del conto sotto forma di saldo; oppure “Div & DJ30 & -5” per le posizioni short.

Ti consigliamo di valutare attentamente le tue posizioni attuali e considerare se mantenerle aperte durante la notte.

Se hai domande o necessiti assistenza, non esitare a contattarci all’indirizzo [email protected]

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