杜高斯贝提供的石油,天然气,铜,指数,债券和软商品的差价合约是未到期的现货交易衍生产品。现货价格受相应商品,指数或债券(在下面提供完整工具清单)的当前期货合约价格的影响,这些期货都在交易所交易。
When the underlying future contract is due to expire, the CFD is switched to another contract. Due to this switch, CFD price is changing to the price of the new futures contract. Such switch affects all the open positions. The price switch of CFD from old to new futures contract occurs during the market break of the adjustment date. In order to compensate price difference between old and new contracts the adjustment is applied as debit/credit to the account.
The adjustment is done at least one day prior to the expiry date of the current future contracts.
At 13:50 GMT summer / 14:50 GMT winter time on the respective days Dukascopy determines adjustment rate for the concerned CFD as the price difference between frontal and next month futures.
Dukascopy publishes adjustment rates on website shortly after.
Instruments subjected to the price adjustment are following:
Client accounts will be adjusted according to the published adjustment rates.
Positive adjustments are made before market is opened; negative adjustments are processed shortly after market opening.
Price adjustment calendar is provided below. Values are shown as a pips difference between expiring/next month underlying future:
Depending on the direction of the client position this may be a credit or a debit to the client. Feel free to use the above provided price adjustment calendar in order to estimate the effect of CFD monthly adjustment to your account.
愿意避免调整率的客户都应在调整休息时间开始之前平仓头寸。
Please be aware that on the adjustment day trading of CFDs will be stopped 20 minutes earlier:
工具 | 调整时的休息开始时间 | |
---|---|---|
夏令时间(GMT) | 冬令时间(GMT) | |
BRENT.CMD/USD | 20:40 | 21:40 |
LIGHT.CMD/USD | 20:40 | 21:40 |
GAS.CMD/USD | 20:40 | 21:40 |
DIESEL.CMD/USD | 20:40 | 21:40 |
COPPER.CMD/USD | 20:40 | 21:40 |
XPT.CMD/USD | 20:40 | 21:40 |
XPD.CMD/USD | 20:40 | 21:40 |
OJUICE.CMD/USX | 17:40 | 18:40 |
COCOA.CMD/USD | 17:10 | 18:10 |
COFFEE.CMD/USX | 17:10 | 18:10 |
COTTON.CMD/USX | 18:00 | 19:00 |
SUGAR.CMD/USD | 16:35 | 17:35 |
SOYBEAN.CMD/USX | 18:00 | 19:00 |
DOLLAR.IDX/USD | 20:40 | 21:40 |
PLN.IDX/PLN | 14:30 | 15:30 |
BUND.TR/EUR | 19:40 | 20:40 |
UKGILT.TR/GBP | 16:40 | 17:40 |
USTBOND.TR/USD | 20:40 | 21:40 |
VOL.IDX/USD | 20:40 | 21:40 |
SOA.IDX/ZAR | 15:10 | 15:10 |
After adjustment trading starts according to the regular trading time schedule.
风险提示 差价合约是复杂的交易工具,因为杠杆的原因,有快速亏损的风险。 71.84%的个人零售交易者账户交易差价合约是亏钱的。 Show more 您应该考虑您是否懂得差价合约如何工作,及您是否能承担会带来亏损的高风险。 Show less