Account Types Mini Standard VIP Premium Temporary Benefit No Spread No Commission
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2 Account Types Mini Standard VIP Premium Temporary Commission Minimum Deposit $250 $1,000 $5,000 $100, Commissions $15.0 $12.5 $2.0 $1.0 $1.0 From $32.5 $0.0 Daily Market Reviews X X X VOD Library X X X Daily Analyst Recommendations X X X X 24 h Live Support Dedicated account manager X X X VIP Trading Support X X X X Personalized Daily Updates X X X SMS Trading Alerts X X X Demo Account Swaps* From 5.9 From 3.68 From 2.65 From 0.83 From 0.83 From 0.83 From 0.83 From From From From From Raw From Direct access to Trading manager X X X X Automatic notifications X X X X Margin Level 40% 40% 30% 25% 25% 40% 40% FX Pairs Full Full Full Full Indices & Commodities Full Full Full Full Full Withdrawal fee charge 1 time exemption 4 times exemption X X Execution STP STP STP STP STP STP STP Negative Balance Protection***
3 Trading Platform Mini Standard VIP Premium Web, MT4, Web, MT4, Web, MT4, Web, MT4, Mobile Mobile Mobile Mobile Temporary Commission Web, MT4, Web, MT4, Web, MT4, Mobile Mobile Mobile Leverage 01:50 01:50 01:50 1:100 ** 1:100 ** 01:50 01:50 Deep liquidity pool X X X X X Hedging allowed X X Islamic Account X * Swaps refer to rates for EUR/USD currency pair in USD per lot ** Leverage of 1:100 is available only for professional clients as defined by CySEC directives or clients who passed the highest level of appropriateness test and aware of the involved risk *** Negative Account protection as required by various EU regulators, our clients accounts are fully protected from getting into negative balance **** Commissions are presented per 1 lot per side (open or close).
4 Finmarket is a brand owned and operated by K-DNA Financial Services LTD (hereinafter called the Company or KDNA Financial Services LTD ), a company regulated by the Cyprus Securities and Exchange Commission license 273/15, incorporated and registered under the laws of the Republic of Cyprus, registration , registered office at 56 Griva Digeni, Anna tower, Limassol, 3063, Cyprus. If there are any discrepancies between this document and the trading system, then the trading system will be considered the correct one. Forex Pairs Trading times Most of the Forex pairs are traded 24 hours a day, 5 days a week, starting at 21:00 GMT on Sunday and closing at 21:00 GMT on Friday, allowing clients to access the market during all trading sessions. Some Forex pairs are traded on an abbreviated schedule. For full details, see the table below. Order Types Client terminal allows to prepare requests and request for execution of trading operations. Moreover, terminal allows to control and manage open positions. For these purposes, several types of trading orders are used. The following orders are used in the terminal: Market order, Pending order, Stop Loss and Take Profit. For more details about order types please see definitions at the end of the document. Order Size Minimum order size is 0.01 Lot or 1,000 units of a base currency. Rollover/Swap Please refer to the swaps in the Trading platform for current swap rates. The rollovers are charged/credited at the end of each trading day. Rollover from Wednesday to Thursday is charged at triple rate. Margin Requirement / Leverage Margin requirement for FX pairs depends on the leverage applied to the trading account and can be calculated using the following formula: 100,000 * Volume / Leverage Tel: + (357) info@finmarket.com Web: Page 4
5 Symbol Digits Leverage* MT4 1 lot Minimum Trade Maximum Trade Step Trading hours (GMT) EURUSD 5 Up to ,000 EUR Sunday 22:00 - Friday 22:00 GBPUSD 5 Up to ,000 GBP Sunday 22:00 - Friday 22:00 USDJPY 3 Up to ,000 USD Sunday 22:00 - Friday 22:00 NZDUSD 5 Up to ,000 NZD Sunday 22:00 - Friday 22:00 AUDUSD 5 Up to ,000 AUD Sunday 22:00 - Friday 22:00 USDCAD 5 Up to ,000 USD Sunday 22:00 - Friday 22:00 USDCHF 5 Up to ,000 USD Sunday 22:00 - Friday 22:00 EURCHF 5 Up to ,000 EUR Sunday 22:00 - Friday 22:00 EURGBP 5 Up to ,000 EUR Sunday 22:00 - Friday 22:00 EURJPY 3 Up to ,000 EUR Sunday 22:00 - Friday 22:00 GBPJPY 3 Up to ,000 GBP Sunday 22:00 - Friday 22:00 AUDCAD 5 Up to ,000 AUD Sunday 22:00 - Friday 22:00 AUDJPY 3 Up to ,000 AUD Sunday 22:00 - Friday 22:00 CADCHF 5 Up to ,000 CAD Sunday 22:00 - Friday 22:00 AUDCHF 5 Up to ,000 AUD Sunday 22:00 - Friday 22:00 CHFJPY 3 Up to ,000 CHF Sunday 22:00 - Friday 22:00 AUDNZD 5 Up to ,000 AUD Sunday 22:00 - Friday 22:00 CADJPY 3 Up to ,000 CAD Sunday 22:00 - Friday 22:00 EURAUD 5 Up to ,000 EUR Sunday 22:00 - Friday 22:00 EURNZD 5 Up to ,000 EUR Sunday 22:00 - Friday 22:00 EURCAD 5 Up to ,000 EUR Sunday 22:00 - Friday 22:00 GBPAUD 5 Up to ,000 GBP Sunday 22:00 - Friday 22:00
6 Symbol Digits Leverage* MT4 1 lot Minimum Trade & Step Maximum Trade Step Trading hours (GMT) GBPCAD 5 Up to ,000 GBP Sunday 22:00 - Friday 22:00 GBPCHF 5 Up to ,000 GBP Sunday 22:00 - Friday 22:00 GBPNZD 5 Up to ,000 GBP Sunday 22:00 - Friday 22:00 NZDCAD 5 Up to ,000 NZD Sunday 22:00 - Friday 22:00 NZDCHF 5 Up to ,000 NZD Sunday 22:00 - Friday 22:00 NZDJPY 3 Up to ,000 NZD Sunday 22:00 - Friday 22:00 * Provided that the client passes the appropriateness test. ** Trading hours may be affected by holidays or other changes in the underlying markets` trading hours
7 Typical s** Symbol Mini STD VIP Premium Temporary s and Commissions Commissions* Commission Mini STD VIP Premium Temporary Commission EURUSD GBPUSD USDJPY NZDUSD AUDUSD USDCAD USDCHF EURCHF EURGBP EURJPY GBPJPY AUDCAD AUDJPY CADCHF AUDCHF CHFJPY AUDNZD CADJPY
8 Typical s** Symbol Mini STD VIP Premium Temporary Commissions* Commission Mini STD VIP Premium Temporary Commission EURAUD EURNZD EURCAD GBPAUD GBPCAD GBPCHF GBPNZD NZDCAD NZDCHF NZDJPY * Commissions are presented per 1 lot per side (open or close). ** The above spreads are applicable under normal trading conditions and are susceptible to underlying market conditions *** reflects prices which are coming directly from the market with the lowest existing spread, the company cannot guarantee 0 spread due to different market conditions which might affect the spread for each product
9 Symbol Mini Mini STD STD VIP VIP Swaps Premium Premium Temp. Temp. EURUSD GBPUSD USDJPY NZDUSD AUDUSD USDCAD USDCHF EURCHF EURGBP EURJPY GBPJPY AUDCAD AUDJPY CADCHF AUDCHF CHFJPY AUDNZD CADJPY Comm Comm
10 Symbol Mini Mini STD STD VIP VIP Premium Swaps Premium Temp. Temp. EURAUD EURNZD EURCAD GBPAUD GBPCAD GBPCHF GBPNZD NZDCAD NZDCHF NZDJPY Comm Comm * The company has the right to adjust the swaps from time to time, at its sole discretion ** If there are differences between this table and trading platform, the rates in the trading platform shall prevail. *** Swaps are charged at the end of each trading day. A 3-days swap is charged on Wednesday. **** The swap value is according to the symbol's base currency and is per day per lot.
11 CFDs Trading times The CFDs are traded at the hours of their respective underlying asset. Pricing All CFDs prices are quoted in USD except of the following: GER30 and FRA40 in EUR JPN225 in JPY UK100 in GBP Order Types Client terminal allows to prepare requests and request for execution of trading operations. Moreover, terminal allows to control and manage open positions. For these purposes, several types of trading orders are used. The following orders are used in the terminal: Market order, Pending order, Stop Loss and Take Profit. For more details about order types please see definitions at the end of the document. Order Size Minimum order size is 0.01 Lot. The number of contracts will depend on the settings of the particular instrument. Please see the table below for details. Rollover/Swap Please refer to the swaps in the Trading platform for current swap rates. The rollovers are charged/credited at the end of each trading day. Rollover from Wednesday to Thursday is charged at triple rate. Dividends Most of the indices are subject to dividends debit/credit on the ex-dividend date of the constituent members of the relevant index. The adjustment will apply to the positions that were withstanding at 21:00 GMT on the eve of the ex-dividend date. The adjustment will be applied as debit/credit in the trading account. Margin Requirement / Leverage Margin requirement for CFDs depends on the leverage applied to the trading account and can be calculated using the following formula: Num. of Contracts * Volume * Price / (Leverage / 4) Tel: + (357) info@finmarket.com Web: Page 11
12 Symbol Digits Leverage** 1 lot (Num. of contracts) Currency Min. Trade Max. Trade Step Trading hours** (GMT) XAUUSD 3 Up to contracts of Gold USD Sunday 23:00 - Friday 22:00 XAGUSD 2 Up to contracts of Silver USD Sunday 23:00 - Friday 22:00 BRNT-Date* 2 Up to 100 1,000 contracts of Crude Oil USD Daily 01:00-23:00, Friday close 22:00 CL-Date* 2 Up to 100 1,000 contracts of Brent Oil USD Sunday 23:00 - Friday 22:00, Break 22:15-23:00 NGAS-Date* 3 Up to ,000 contracts of Natural Gas USD Sunday 23:00 - Friday 22:00, Break 22:15-23:00 RBOB-Date* 4 Up to ,000 contracts of RBOB Gasoline USD Sunday 23:00 - Friday 22:00, Break 22:15-23:00 CAC-Date* 2 Up to contracts CAC 40 EUR Daily 07:00-21:00 DAX-Date* 2 Up to contracts of DAX 30 EUR Daily 07:00-21:00 DOW-Date* 2 Up to contracts of Dow Jones 30 USD Sunday 23:00 - Friday 21:15, Break 21:15-21:30 & 22:00-23:00 FTSE-Date* 2 Up to contracts of FTSE 100 GBP Daily 07:00-21:00 NK-Date* 2 Up to contracts of Nikkei 225 USD Sunday 22:00 - Friday 21:15, Break 21:15-22:00 NSDQ-Date* 2 Up to contracts of Nasdaq 100 USD Sunday 23:00 - Friday 21:15, Break 21:15-21:30 & 22:00-23:00 SP-Date* 2 Up to contracts of S&P 500 USD Sunday 23:00 - Friday 21:15, Break 21:15-21:30 & 22:00-23:00 * Has monthly expiration ** Provided that the client passes the appropriateness test. *** Trading hours may be affected by holidays or other changes in the underlying markets` trading hours
13 Symbol Mini STD VIP Premium Typical s** Temporary s and Commission Commission Mini STD VIP Premium Commissions* Temporary Commission XAGUSD XAUUSD BRNT - Date CL - Date NGAS - Date RBOB - Date CAC - Date DAX - Date DOW - Date FTSE - Date NK - Date NSDQ - Date SP - Date * Commissions are presented per 1 lot per side (open or close). ** The above spreads are applicable under normal trading conditions and are susceptible to underlying market conditions *** reflects prices which are coming directly from the market with the lowest existing spread, the company cannot guarantee 0 spread due to different market conditions which might affect the spread for each product
14 Symbol Mini Swaps Mini STD STD VIP VIP Premium Premium Temp. Temp. XAGUSD XAUUSD BRNT - Date CL - Date NGAS - Date RBOB - Date CAC - Date DAX - Date DOW - Date FTSE - Date NK - Date NSDQ - Date SP - Date Comm Comm * The company has the right to adjust the swaps from time to time, at its sole discretion ** If there are differences between this table and trading platform, the rates in the trading platform shall prevail. *** Swaps are charged at the end of each trading day. A 3-days swap is charged on Wednesday. **** The swap value is according to the symbol's base currency and is per day per lot.
15 Definitions Market Order Market order is a request to buy or sell a security at the current market price. Execution of this order results in opening of a trade position. Securities are bought at ASK price and sold at BID price. Stop Loss and Take Profit orders (described below) can be attached to a market order. Pending Orders Pending order is the client's request to buy or sell a security at a pre-defined price in the future. This type of orders is used for opening of a trade position provided the future quotes reach the pre-defined level. There are four types of pending orders available in the terminal: Buy Limit buy provided the future "ASK" price is equal to the pre-defined value. The current price level is higher than the value of the placed order. Orders of this type are usually placed in anticipation of that the security price, having fallen to a certain level, will increase. Buy Stop buy provided the future "ASK" price is equal to the pre-defined value. The current price level is lower than the value of the placed order. Orders of this type are usually placed in anticipation of that the security price, having reached a certain level, will keep on increasing. Sell Limit sell provided the future "BID" price is equal to the pre-defined value. The current price level is lower than the value of the placed order. Orders of this type are usually placed in anticipation of that the security price, having increased to a certain level, will fall. Sell Stop sell provided the future "BID" price is equal to the pre-defined value. The current price level is higher than the value of the placed order. Orders of this type are usually placed in anticipation of that the security price, having reached a certain level, will keep on falling. Orders of Stop Loss and Take Profit can be attached to a pending order. After a pending order has triggered, its Stop Loss and Take Profit levels will be attached to the open position automatically. Stop Loss This order is used for minimizing of losses if the security price has started to move in an unprofitable direction. If the security price reaches this level, the position will be closed automatically. Such orders are always connected to an open position or a pending order. The brokerage company can place them only together with a market or a pending order. Terminal checks long positions with BID price for meeting of this order provisions (the order is always set below the current BID price), and it does with ASK price for short positions (the order is always set above the current ASK price). To automate Stop Loss order following the price, one can use Trailing Stop.
16 Take Profit Take Profit order is intended for gaining the profit when the security price has reached a certain level. Execution of this order results in closing of the position. It is always connected to an open position or a pending order. The order can be requested only together with a market or a pending order. Terminal checks long positions with BID price for meeting of this order provisions (the order is always set above the current BID price), and it does with ASK price for short positions (the order is always set below the current ASK price). Kindly note: Stop Loss and Take Profit orders can only be executed for an open position, but not for pending orders; Charts are drawn only for BID prices in the terminal. At that, a part of orders shown in charts is drawn for ASK prices. To enable displaying of the latest bar ASK price, one has to flag the "Show Ask line" in the terminal settings. Trailing Stop Stop Loss is intended for reducing of losses where the symbol price moves in an unprofitable direction. If the position becomes profitable, Stop Loss can be manually shifted to a break-even level. To automate this process, Trailing Stop was created. This tool is especially useful when price changes strongly in the same direction or when it is impossible to watch the market continuously for some reason. Trailing Stop is always attached to an open position and works in client terminal, not at the server like Stop Loss, for example. To set the trailing stop, one has to execute the open position context menu command of the same name in the "Terminal" window. Then one has to select the desirable value of distance between the Stop Loss level and the current price in the list opened. Only one trailing stop can be set for each open position. After the above actions have been performed, at incoming of new quotes, the terminal checks whether the open position is profitable. As soon as profit in points becomes equal to or higher than the specified level, command to place the Stop Loss order will be given automatically. The order level is set at the specified distance from the current price. Further, if price changes in the more profitable direction, trailing stop will make the Stop Loss level follow the price automatically, but if profitability of the position falls, the order will not be modified anymore. Thus, the profit of the trade position is fixed automatically. After each automatic Stop Loss order modification, a record will be made in the terminal journal.
17 Trailing stop can be disabled by setting "ne" in managing menu. And trailing stops of all open positions and pending orders will be disabled if the "Delete All" command of the same menu has been executed. Trailing Stop works in the client terminal, not in the server (like Stop Loss or Take Profit). This is why it will not work, unlike the above orders, if the terminal is off. In this case, only the Stop Loss level will trigger that has been set by trailing stop. Trailing Stop is processed once per tick. If multiple orders with Trailing Stop are open for one symbol, only the trailing stop of the latest open order is processed. Rollover Rollover is the interest paid or earned for holding a position overnight. A credit or debit for each position open at the end of the day is applied directly to your account balance. The terminal automatically calculates your rollover amounts. To check current swap rates, in the Market Watch window right-click on the relevant instrument and then on Specifications, then scroll down for Swap specifications. Alternatively, in the Trading platform click on View and then on Symbols (or press CTRL+U), select the relevant instrument and click on Properties. In the new window scroll down to check Swap Type, Swap Long and Swap Short. Margin Requirements Margin is a portion of your account`s equity set aside as collateral for your trade. Margin requirements are based on your account type and are updated at least once a month to account for price fluctuations. You can keep track of your Used and Usable Margin on your trading platforms.
WWW.KDNA-INVESTMENT.COM Account Types Mini Standard VIP Premium Temporary Commission Minimum Deposit $1,000 $5,000 $10,000 $100,000 - - - Commissions $15.0 $12.5 $11.0 $10.0 $8.0 $35.0 $0.0 Daily Market
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