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FIBO Group

TRADING CONDITIONS



Contract specification

Updated on 2008/12/04



Currency pair

Spread

Rollover*

Standard lot size

Margin at the leverage 1:100

Margin for lock position**
(leverage 1:100 1 ê 100)

Cost of 1 pip
LONG SHORT
AUD/CAD 8 0.3874 -0.6751 100000 AUD 1000 AUD 250 AUD 10 CAD
AUD/CHF 10 0.4979 -0.7856 100000 AUD 1000 AUD 250 AUD 10 CHF
AUD/JPY 5(7)**** 0.6932 -0.9335 100000 AUD 1000 AUD 250 AUD 1000 JPY
AUD/NZD 12(36)**** -0.7102 0.3945 100000 AUD 1000 AUD 250 AUD 10 NZD
AUD/SGD 10(50)**** 0.9157 -1.2819 100000 AUD 1000 AUD 250 AUD 10 SGD
AUD/USD 3(5)**** 0.6141 -0.8598 100000 AUD 1000 AUD 250 AUD 10 USD
CAD/JPY 6 0.3479 -0.5798 100000 CAD 1000 CAD 250 CAD 1000 JPY
CHF/JPY 4 0.2320 -0.4639 100000 CHF 1000 CHF 250 CHF 1000 JPY
EUR/AUD 10(15)**** -1.2009 0.5221 100000 EUR 1000 EUR 250 EUR 10 AUD
EUR/CAD 9 0.1873 -0.4787 100000 EUR 1000 EUR 250 EUR 10 CAD
EUR/CHF 3 0.3955 -0.6453 100000 EUR 1000 EUR 250 EUR 10 CHF
EUR/GBP 2(3)**** -0.0112 -0.1227 100000 EUR 1000 EUR 250 EUR 10 GBP
EUR/JPY 3(5)**** 0.8516 -1.0601 100000 EUR 1000 EUR 250 EUR 1000 JPY
EUR/NOK 50(100)**** -4.3500 1.2083 100000 EUR 1000 EUR 250 EUR 10 NOK
EUR/NZD 12(50)**** -2.1082 1.6331 100000 EUR 1000 EUR 250 EUR 10 NZD
EUR/SEK 50(50)**** -2.7749 0.2775 100000 EUR 1000 EUR 250 EUR 10 SEK
EUR/USD 2 0.6930 -0.9062 100000 EUR 1000 EUR 250 EUR 10 USD
GBP/AUD 10 -1.6348 0.8013 100000 GBP 1000 GBP 250 GBP 10 AUD
GBP/CAD 10 0.0000 -0.4088 100000 GBP 1000 GBP 250 GBP 10 CAD
GBP/CHF 7(10)**** 0.3576 -0.7664 100000 GBP 1000 GBP 250 GBP 10 CHF
GBP/JPY 7(10)**** 0.8534 -1.3228 100000 GBP 1000 GBP 250 GBP 1000 JPY
GBP/NZD 30 -2.7715 1.8233 100000 GBP 1000 GBP 250 GBP 10 NZD
GBP/USD 3(5)**** 0.7416 -1.0033 100000 GBP 1000 GBP 250 GBP 10 USD
NZD/CAD 10 0.7194 -0.8749 100000 NZD 1000 NZD 250 NZD 10 CAD
NZD/JPY 8 0.9258 -1.0558 100000 NZD 1000 NZD 250 NZD 1000 JPY
NZD/SGD 15(50)**** 1.2845 -1.4821 100000 NZD 1000 NZD 250 NZD 10 SGD
NZD/USD 4(6)**** 0.8631 -0.9627 100000 NZD 1000 NZD 250 NZD 10 USD
USD/CAD 4 -0.5856 0.3579 100000 USD 1000 USD 250 USD 10 CAD
USD/CHF 3 -0.4229 0.1952 100000 USD 1000 USD 250 USD 10 CHF
USD/DKK 30 -6.1405 5.0093 100000 USD 1000 USD 250 USD 10 DKK
USD/HKD 10 -5.3176 2.5189 100000 USD 1000 USD 250 USD 10 HKD
USD/JPY 3 0.0543 -0.2717 100000 USD 1000 USD 250 USD 1000 JPY
USD/NOK 50 -7.6513 5.7621 100000 USD 1000 USD 250 USD 10 NOK
USD/MXN 70(400)**** -26.6998 21.0415 100000 USD 1000 USD 250 USD 10 MXN
USD/SEK 50(100)**** -6.6141 5.3130 100000 USD 1000 USD 250 USD 10 SEK
USD/SGD 5 -0.1236 -0.2060 100000 USD 1000 USD 250 USD 10 SGD
USD/ZAR 150(500)**** -30.7253 23.9276 100000 USD 1000 USD 250 USD 10 ZAR

The minimum level of placing orders in normal condition is equal to the spread of trading currency. 10 minutes before the end of trading or 10 minutes before release of important macroeconomic parameters, economic or political news given level for Orders Stop Loss can be widened up to 10 spread. ***

CFD Metals (Spot Precious Metals)

Symbol Size of 1 lot Swaps Size of 1 lot
in USD
Margin Margin for lock position** Minimum price fluctuation Value per 1 tick Spread Trading hours
(Server time)
Long Short
Gold 100 oz -$3.5 $0.7 100*price 2% 0.5% 1 pip = 0,1 10$ 5 pip(10)**** 00.00 Mon - 22.00 Fri

*Figures in columns show the number of pips, that are added to the open position of the client when transferring it to the next day. This value is calculated depending upon the short-term interest rates in the countries of the currencies in the pair.The value date of transactions entered into on Wednesday will be the next Monday; therefore rollover pips will be multiplied by 3 and added at Wednesday night.

** Margin for lock position is calculated in the following way: for example, there are open positions buy 1.0 EUR/USD and sell 1.0 EUR/USD; for this lock position (at the leverage 1:100) the margin will be equal to 250 EUR + 250 EUR= 500 EUR.

*** Present rule applies to the opening of market Orders with preset Stop Loss, if S/L falls into the range 10 spread. Such Orders will be declined automatically. The programme Metatrader 4 doesn't allow to modify separately Stop Loss and Take Profit Orders, that is why an attempt to modify Take Profit with preset Stop Loss, if S/L falls into the range 10 spread, will be blocked automatically.

**** Due to high volatility spreads of some currency pairs can be widened. The current value of spreads will be pointed in parentheses.