Important Information

You are visiting the website that is operated by Ultima Markets Ltd, a licensed investment firm by the Financial Services Commission “FSC” of Mauritius, under license number GB 23201593. Please be advised that Ultima Markets Ltd does not have legal entities in the European Union.

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.

Thông báo quan trọng

Công ty sẽ gửi tin tức và thông tin mới nhất về các công cụ giao dịch, sản phẩm và môi trường giao dịch đến quý khách theo thời gian thực. Công ty sẽ bao gồm các thông báo quan trọng như cập nhật máy chủ, tối ưu hóa sản phẩm giao dịch, ra mắt tính năng mới, v.v., để giúp bạn nắm bắt tiên cơ của thị trường mọi lúc.

  • Những người khác
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16 April 2025

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]

15 April 2025

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]

14 April 2025

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]

14 April 2025

Ultima Markets–The Adjustments for US Shares

The specification for US shares CFD will be adjusted during the upcoming US earnings season. Adjustment Details 1. Effective Date: Since 14th , April 2025 2. Adjustment: The leverage of US Shares CFD will be adjusted from 33:1 to “20:1”.

From 14th , Apr 2025

Product

Previous Leverage

Leverage after updating

US share CFDs

33:1

20:1

Friendly Reminder

• The margin requirements for the above products will increase/decrease 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.

• During both the update and adjustment period, as well as after the update, positions in clients’ portfolios can continue to be held without any impact.

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

11 April 2025

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]

Thông báo điều chỉnh chỉ số cổ tức của Ultima Markets

Bộ lọc:

Khi giao dịch theo chỉ số chứng khoán CFD, nếu các thành phần chỉ số trả cổ tức, tài khoản của bạn sẽ tự động được điều chỉnh trả cổ tức vào lúc 00:00 giờ máy chủ trừ ngày nghỉ. Hệ thống sẽ tự động điều chỉnh lợi nhuận và thua lỗ của bạn dựa trên các lệnh đóng của bạn và hiển thị chúng trong lịch sử giao dịch của bạn.
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Vui lòng thử một thuật ngữ tìm kiếm khác.

• Tất cả dữ liệu về chỉ số đều được hiển thị tính theo đơn vị tiền tệ cơ sở.

• Căn cứ quy định thị trường, dữ liệu khi giao dịch thực tế có thể thay đổi liên tục. Vui lòng tham khảo dữ liệu thời gian thực trên nền tảng MT4.

Khi chỉ số chứng khoán đóng lệnh vào những ngày giao dịch không được hưởng cổ tức, hệ thống sẽ tự động xử lý những thay đổi về cổ tức dưới hình thức điều chỉnh cổ tức biến động.

Trong lịch sử giao dịch của tài khoản, "Cổ tức & Tên chỉ số & số Lot" đều được gọi là hồ sơ điều chỉnh cổ tức. Số Lot ròng là tổng các lệnh mua và bán, trong đó lệnh mua là dương và vị thế bán là âm.

Ví dụ:

Khi bạn giao dịch hơn 5 lot DJ30, hồ sơ điều chỉnh cổ tức dưới dạng "Cổ tức & DJ30 & 5" sẽ được hiển thị trong lịch sử tài khoản; nếu giao dịch là lệnh bán 5 lot DJ30, hồ sơ điều chỉnh cổ tức dưới dạng "Cổ tức & DJ30 & -5" sẽ được hiển thị.

Công ty đề xuất quý khách nên đánh giá cẩn thận tình hình giao dịch lệnh trước mắt của mình và thận trọng quyết định có nên giữ lệnh qua đêm hay không.

Nếu quý khách có bất kỳ thắc mắc nào, vui lòng gửi email cho chúng tôi theo địa chỉ [email protected].

Hãy hành động ngay! Đăng ký tài khoản và tận hưởng thị trường toàn cầu chỉ trong 3 phút!