Rollovers, holidays and dividends in the following week

Dear Clients,
 
Rollovers:
 
Tuesday 27.09  - HKComp, CHNComp, INDIA50
 
 
 
Due to national holidays trading on following instruments will be cancelled:
 
Wednesday 28.09
 
CZKCASH
 
 
 
Dividends Equity CFD (paid in cash):
 
Monday 26.09 - PM.US
 
Tuesday 27.09 - CABK.ES, CIB.US, ERJ.US, FP.FR, MDT.US, RCL.US, SRE.US
 
Wednesday -  28.09 - DOW.US, GTT.FR, PXD.US, RL.US, USB.US, XRX.US, ACE.US, AMT.US, ARE.US, AVB.US,BEN.US, BXP.US, CB.US, CPT.US, CSAL.US, DE.US, DEI.US, DHR.US, EIX.US, ESS.US, FITB.US, FLS.US,FMC.US, HST.US, ITW.US, LECO.US, LHO.US, LII.US, MDLZ.US, NUE.US, OFC.US, PCG.US, PKX.US, PPS.US,RGLD.US, STJ.US, STLD.US, SYK.US, TW.US, UMPQ.US, WDC.US, XRAY.US, WLTW.US
 
Thursday 29.09 - EBRO.ES, ITRK.UK, MRW.UK, PKO.PL, PZU.PL, STT.US, CAH.US, CCE.US, CXW.US,INGR.US, LPT.US, O.US, RCII.US, RJF.US, RSG.US, TTC.US, UFS.US, WERN.US, SMDS.UK, IGG.UK,ESNT.UK, KIE.UK, FRCL.UK
 
Friday 30.09 - A.US, COLR.BE, DGX.US
 
 
 
Equity CFD Spin-offs:
 
Friday 30.09 - PGS.US
 
Kind regards,
Forex Rally

Razvan Mihai


Rollover on NATGAS and OIL

Dear Clients,
 
Please note that yesterday there was a change of delivery date for NATGAS and OIL instruments. Clients who had open positions were credited or debited with proper swap points amounts.
 
These are:
 
- NATGAS: -71 swap points for long position; 71 swap points for short position
 
- OIL: -45 swap points for long position; 45 swap points for short position
 
 
 
Kind regards,
Forex Rally

Razvan Mihai


Rollover on NATGAS and OIL

Dear Clients,
 
Please note that today at the end of trading day NATGAS and OIL underlying instruments will change their delivery dates. Current difference between prices of futures with consecutive delivery terms is:
- NATGAS approx. 0,07 USD,
- OIL approx. 0,48 USD.
It means that if nothing occurs between today's closing and tomorrow’s opening, open price for NATGAS and OIL should be higher by given values.
Change of position value connected with base change will be corrected by swap points equal to base value. Clients with limit and stop orders close to current price are kindly requested to adjust their position to changes in base value. Otherwise stop and limit orders will be executed according to standard procedure.
 
 
Kind regards,
Forex RallyDear Clients,
Dear Clients,
 
Please note that today at the end of trading day NATGAS and OIL underlying instruments will change their delivery dates. Current difference between prices of futures with consecutive delivery terms is:
- NATGAS approx. 0,07 USD,
- OIL approx. 0,48 USD.
It means that if nothing occurs between today's closing and tomorrow’s opening, open price for NATGAS and OIL should be higher by given values.
Change of position value connected with base change will be corrected by swap points equal to base value. Clients with limit and stop orders close to current price are kindly requested to adjust their position to changes in base value. Otherwise stop and limit orders will be executed according to standard procedure.
 
 
Kind regards,
Forex Rally

Razvan Mihai


MetaTrader – maintenance services

Dear Clients,
 
On Saturday 17.09.2016  from 8 a.m till 8 p.m there will be maintenance services on MetaTrader servers. During this period clients will not be able to log in to the platform.
 
 
Kind regards,
Forex Rally

Razvan Mihai


Rollovers, holidays and dividends in the following week

Dear Clients,
 
 
Rollovers:
 
Wednesday 21.09  – NATGAS, OIL
 
 
 
Due to national holidays trading on following instruments will be cancelled:
 
Monday 19.09 - USDCLP, JAP225
 
Thursday 22.09 - JAP225
 
 
 
Dividends (paid in cash):
 
Monday 19.09 - ENI.IT, STM.FR, STM.IT, STX.US, CINF.US, STR.US
 
Tuesday 20.09 - FRT.US, OMC.US, TSS.US
 
Wednesday 21.09 - CFR.CH, MAR.US, AAP.US, CFR.CH, CPT.US, HOT.US, ZBH.US
 
Thursday 22.09 - GALP.PT, GAS.ES, OML.UK, PFC.UK, PGE.PL, WEIR.UK, EQR.US, IFF.US, MGNT.UK,PTEC.UK, DRX.UK, BVS.UK, LAD.UK, CRST.UK, RDW.UK, INPP.UK
 
 
 
Equity CFD Splits :
 
Monday 19.09 - TTC.US
 
 
 
Equity CFD Spin-offs:
 
Monday  19.09 - XLF.US
 
 
 
Kind regards,
Forex Rally

Razvan Mihai


Rollover on European Indices

Dear Clients,
 
Please note that yesterday there was a change of delivery date for DE30, EU50, FRA40, ITA40, SPA35, SUI20, UK100, W20, NED25 and POR20 instruments. Clients who had open positions were credited or debited with proper swap points amounts.
These are:
 
- DE30: 100 swap points for long position; -100 swap points for short position,
 
- EU50: 170 swap points for long position; -170 swap points for short position,
 
- FRA40: 125 swap points for long position; -125 swap points for short position,
 
- ITA40: 132 swap points for long position; -132 swap points for short position,
 
- SPA35: 35 swap points for long position; -35 swap points for short position,
 
- SUI20: 24 swap points for long position; -24 swap points for short position,
 
- UK100: 410 swap points for long position; -410 swap points for short position,
 
- W20: 50 swap points for long position; -50 swap points for short position,
 
- NED25: 25 swap points for long position; -25 swap points for short position,
 
- POR20: 18 swap points for long position; -18 swap points for short position.
 
 
 
Kind regards,
Forex Rally

Razvan Mihai


Rollover on European Indices

Dear Clients,
 
Today, at the end of trading day UK100, DE30, EU50, FRA40, SPA35, ITA40, SUI20, NED25 and POR20 underlying instruments will change their delivery dates. Current difference between prices of futures with consecutive delivery terms is:
 
- UK100, approx. -41 index points
 
- DE30, approx. -9 index points
 
- EU50, approx. -15 index points
 
- FRA40, approx. -12 index points
 
- SPA35, approx. -33 index points
 
- ITA40, approx. -140 index points
 
- SUI20, approx. -24 index points
 
- W20, approx. -11 index points
 
- NED25, approx. -0,35 index points
 
- POR20, approx. -18 index points
 
It means that if nothing occurs between today's closing and tomorrow’s opening, open price for UK100, DE30, EU50, FRA40, SPA35, ITA40, SUI20, W20, NED25 and POR20 should be lower by given values.
 
Change of position value connected with base change will be corrected by swap points equal to base value. Clients with limit and stop orders close to current price are kindly requested to adjust their position to changes in base value. Otherwise stop and limit orders will be executed according to standard procedure.
 
 
 
Kind regards,
Forex Rally

Razvan Mihai


Rollover on AUS200, MEXComp, OIL.WTI

Dear Clients,
 
Please be informed that today at the end of trading day AUS200, MEXComp and OIL.WTI underlying instruments will change their delivery dates. Current difference between prices of futures with consecutive delivery terms is:
 
- AUS200 approx. -15 index points,
 
- MEXComp approx. 386 index points,
 
- OIL.WTI approx. 0,55 USD.
 
It means that if nothing occurs between today's closing and tomorrow’s opening, open price for MEXComp and OIL.WTI should be higher, and lower for remaining mentioned instruments  by given values.
 
Change of position value connected with base change will be corrected by swap points equal to base value. Clients with limit and stop orders close to current price are kindly requested to adjust their position to changes in base value. Otherwise stop and limit orders will be executed according to standard procedure.
 
 
 
Kind regards,
Forex Rally

Razvan Mihai


Rollovers, holidays and dividends in the following week

Dear Clients,
 
Rollovers:
 
Wednesday 14.09  - AU200, MEXComp, OIL.WTI
 
Thursday 15.09 - UK100, DE30, EU50, FRA40, SPA35, ITA40, SUI20, W20, NED25, POR20
 
 
 
Due to national holidays trading on following instruments will be cancelled:
 
Tuesday 13.09
 
INDIA50
 
Wednesday 14.09
 
KOSP200
 
Thursday 15.09
 
KOSP200
 
Friday 16.09
 
HKComp, CHNComp, MEXComp, KOSP200
 
 
 
Dividends Equity CFD (paid in cash):
 
Monday 12.09 - APC.US,  BOL.FR, DG.US, FOXA.US, GLEN.UK, HPQ.US, NWSA.US, POP.ES, FOX.US, HRB.US, LRCX.US,NWS.US, PSA.US
 
Tuesday 13.09 - AIG.US, BME.ES, KO.US, M.US, MO.US, MRK.US, MSI.US, ALB.US, ALLE.US, BR.US, BR.US, BXS.US, CAA.US,CMA.US, DPZ.US, DVN.US, EMN.US, EXR.US, KBR.US, LEG.US, NEM.US, PKG.US, RNR.US, SCI.US, SNV.US, TCO.US, TMO.US,TROW.US, UGI.US, VTR.US, XEL.US, XL.US
 
Wednesday 14.09 - BBBY.US,  GILD.US, LWB.PL, NDAQ.US, NOV.US, WU.US, AME.US, CCI.US, CDK.US, EQY.US, FIS.US, ICE.US,LAMR.US, RRC.US, TDS.US, THG.US
 
Thursday 15.09 - HL.UK, AVGO.US, DTE.US, ES.US, HBAN.US, HES.US, LUK.US, MENT.US, MJN.US, PLD.US, DLN.UK, RTN.UK,BBA.UK
 
Friday 16.09 - TIF.US, ECL.US, PHM.US, TUP.US, WRB.US
 
 
 
Equity Spin-offs:
 
Monday 12.09 - EOAN.DE
 
 Kind regrads, 
 Forex Rally

Razvan Mihai


Rollover on US30, US100, US500, US2000, VOLX, RUS50, SUGAR

Dear Clients,
 
Yesterday, there was a change of delivery date for US30, US100, US500, US2000, VOLX, RUS50 and SUGAR instruments. Clients who had open positions were credited or debited with proper swap points amounts.
 
These are:
 
- US30, 68 swap points for long position; -68 swap points for short position
 
- US100, 400 swap points for long position; -400 swap points for short position
 
- US500, 67 swap points for long position; -67 swap points for short position
 
- US2000, 42 swap points for long position; -42 swap points for short position
 
- VOLX, -252 swap points for long position; 252 swap points for short position
 
- RUS50, 47 swap points for long position; -47 swap points for short position
 
- SUGAR, -66 swap points for long position; 66 swap points for short position
 
 
 
Kind regards,
Foex Rally

Razvan Mihai

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