[{"data":1,"prerenderedAt":-1},["ShallowReactive",2],{"doc-seo-183825-105":3,"detail-sidebar-cat-0-en-105":81,"doc-detail-183825-en":130},{"code":4,"msg":5,"data":6},0,"ok",{"site_id":7,"language":8,"slug":9,"title":10,"keywords":11,"description":12,"schema_data":13,"social_meta":74,"head_meta":76,"extra_data":78,"updated_unix":80},105,"en","product-schedule-trading-parameters-and-fees","Product Schedule - Trading Parameters and Fees","","Comprehensive product schedule detailing trading and account parameters for various instruments, including margin tiers, position sizing, and applicable margin rates. Specifies financing and rollover charges or benefits, dividend adjustments, and the contract types where each adjustment applies. Covers deposits and monthly inactivity fees by account currency, fee rates for card payments, and bank transfer terms. Provides leverage caps by instrument group and market-specific trading conditions such as contract size, pip value, minimum/maximum trade size, financing window, trading hours, breaks, and timezone.",{"@graph":14,"@context":73},[15,34,56],{"@type":16,"itemListElement":17},"BreadcrumbList",[18,23,27,31],{"item":19,"name":20,"@type":21,"position":22},"https://docshare.wps.com","Home","ListItem",1,{"item":24,"name":25,"@type":21,"position":26},"https://docshare.wps.com/document/","Document",2,{"item":28,"name":29,"@type":21,"position":30},"https://docshare.wps.com/document/research-report/","Research & Report",3,{"item":32,"name":10,"@type":21,"position":33},"https://docshare.wps.com/document/product-schedule-trading-parameters-and-fees/183825/",4,{"url":32,"name":10,"@type":35,"image":36,"author":41,"headline":10,"publisher":44,"fileFormat":47,"inLanguage":8,"description":12,"dateModified":48,"datePublished":49,"encodingFormat":47,"isAccessibleForFree":50,"interactionStatistic":51},"DigitalDocument",{"url":37,"@type":38,"width":39,"height":40},"https://docshare.wps.com/thumbnails/product-schedule-trading-parameters-and-fees/183825.png","ImageObject",300,407,{"name":42,"@type":43},"วิน","Person",{"url":19,"name":45,"@type":46},"DocShare","Organization","application/pdf","2026-10-08","2026-09-02",true,{"@type":52,"interactionType":53,"userInteractionCount":55},"InteractionCounter",{"@type":54},"ViewAction",9,{"@type":57,"mainEntity":58},"FAQPage",[59,65,69],{"name":60,"@type":61,"acceptedAnswer":62},"What does the document specify about financing, rollover, and dividend adjustments?","Question",{"text":63,"@type":64},"It lists financing charge/benefit and rollover charge/benefit rules, then specifies dividend adjustments. It also states which contract types each adjustment applies to.","Answer",{"name":66,"@type":61,"acceptedAnswer":67},"How are deposit fees and monthly inactivity fees determined?",{"text":68,"@type":64},"Deposit methods include bank transfers with no limit and card payments with a stated fee rate above a US$50,000 threshold. Monthly inactivity fees are provided per account currency.",{"name":70,"@type":61,"acceptedAnswer":71},"What trading parameters are provided for each instrument or market?",{"text":72,"@type":64},"For each symbol, the document includes maximum product leverage, contract size currency per lot, value per pip, minimum and maximum trade sizes, three-day financing, trading open/close days, trading breaks, and the timezone (e.g., MT5 server).","https://schema.org",{"og:url":32,"og:type":75,"og:title":10,"og:site_name":45,"og:description":12},"article",{"robots":77,"canonical":32},"index,follow",{"doc_id":79,"site_id":7},183825,1788354125,{"code":4,"msg":82,"data":83},"success",[84,88,92,96,101,106,111,115,119,122,126],{"id":22,"doc_module":4,"doc_module_name":25,"category_name":85,"show_sort_weight":86,"slug":87},"Story & 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Per Standard Contract |\n| --- | --- | --- | --- |\n| AUD | $4.50 | JPY | ¥500 |\n| CAD | $6.00 | NZD | $7.00 |\n| CHF | 4.50 | PLN | zł17.00 |\n| EUR | €4.00 | SGD | $6.00 |\n| GBP | £3.50 | USD | $4.50 |\n| HKD | $35.00 | Other | USD$4.50 /\u003Cbr>equivalent |\n\n\n| Charges Benefits and Adjustments | Applicable Contract types |\n| --- | --- |\n| Financing\u003Cbr>Charge/Benefit | Margin FX Contract Bullion Spot CFDs Commodity Cash CFDs Index Cash CFDs / Cryptocurrency CFDs Share CFDs |\n| Rollover\u003Cbr>Charge/Benefit | Commodity Futures CFD Index Futures CFDs |\n| Dividend Adjustments | Index Cash CFDs Share CFDs |\n\n\n| Deposit Method | Monthly Limit | Fees |\n| --- | --- | --- |\n| Bank transfers | no limit | No fees |\n| Card payments | more than US$50,000 | 3.0% |\n| Other methods | more than US$50,000 | 3.0% |\n\n\n| Account Currency | Monthly inactivity fee |\n| --- | --- |\n| AUD | 10 |\n| CAD | 10 |\n| CHF | 10 |\n| EUR | 10 |\n| GBP | 10 |\n| HKD | 80 |\n| JPY | 1000 |\n| NZD | 10 |\n| PLN | 40 |\n| SGD | 10 |\n| USC | 1000 |\n| USD | 10 |\n| ZAR | 177 |\n\n\n| Margin Tiers Position Sizes Margin Rate |  |  |  |  |  |  |  |\n| --- | --- | --- | --- | --- | --- | --- | --- |\n|  | Symbols in this margin group |  |  |  |  |  |  |\n| Tier 1 \u003C USD 2,000,000 0.5 % Tier 2 USD 2,000,000 to USD 4,000,000 2 % Tier 3 USD 4,000,000+ 3.3%\u003Cbr>Crypto – Minors 1 |  |  |  |  |  |  |  |\n|  | BTCUSD | BTCJPY | ETHUSD | ETHJPY |  |  |  |\n|  |  |  |  |  |  |  |  |\n\n\n| Margin Tiers | Position Sizes | Margin Rate |\n| --- | --- | --- |\n| Tier 1 | \u003C USD 500,000 | 1 % |\n| Tier 2 | USD 500,000+ | 20 % |\n\n\n| Symbols in this margin group |\n| --- |\n| XRPUSD |\n\n\n| Margin Tiers | Position Sizes | Margin Rate |\n| --- | --- | --- |\n| Tier 1 | \u003C USD 250,000 | 2 % |\n| Tier 2 | USD 250,000 + | 20 % |\n|  |  |  |\n\n\n| Symbols in this margin group |\n| --- |\n| All Crypto symbols other than Bitcoin, Ethereum and Ripple |\n\n\n| Margin Tiers | Position Sizes | Margin Rate |\n| --- | --- | --- |\n| Tier 1 | \u003C USD 500,000 | 1 % |\n| Tier 2 | USD 500,000+ | 2 % |\n|  |  |  |\n\n\n| Symbols in this margin group |  |  |  |  |  |\n| --- | --- | --- | --- | --- | --- |\n| WTI.fs | BRENT.fs |  |  |  |  |\n\n\n| Margin Tiers | Position Sizes | Margin Rate |\n| --- | --- | --- |\n| Tier 1 | \u003C USD 500,000 | 1 % |\n| Tier 2 | USD 500,000+ | 3 % |\n\n\n| Symbols in this margin group |  |  |  |  |  |\n| --- | --- | --- | --- | --- | --- |\n| NATGAS.fs | COCOA.fs | COFFEE.fs | SOYBEAN.fs | COPPER.fs |  |\n\n\n|  |  | Leverage Caps | Leverage Caps | Leverage Caps | Leverage Caps |\n| --- | --- | --- | --- | --- | --- |\n| Instrument / Group | Included / Symbols | News Release | Market Closure | Daily Break | Weekend Break |\n| FX | FX excluding NDFs | 200:1 | 200:1 | 200:1 | 200:1 |\n| Metals | XAU, XAG & XPT | 200:1 | 100:1 to 50:1 | 200:1 | 100:1 to 50:1 |\n| Cash Indices | All | 100:1 | 100:1 | 100:1 | 100:1 |\n| Oil | USOIL, UKOIL, WTI, BRENT | N/A | 50:1 to 20:1 | 100:1 | 50:1 to 20:1 |\n\n\n| Symbol | Market Description | Maximum Product Leverage | Contract Size Currency per 1 Lot | 1 Lot Value per Pip | Min Trade Size (Lots) | Max Trade Size (Lots) | 3 Day Financing | Open Monday | Close Friday | Trading Break | Time Zone |\n| --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- |\n| XAGUSD.c | Silver vs US Dollars | 1000:1 | 50 | USD 5 per 0.1 | 0.01 | 500 | Wednesday | 01:01 | 23:58 | 23:59 – 01:01 | MT5 server |\n| XAUUSD.c | Gold vs US Dollar | 1000:1 | 1 | USD 1 per 1.00 | 0.01 | 500 | Wednesday | 01:01 | 23:58 | 23:59 – 01:01 | MT5 server |\n\n\n| Symbol | Market Description | Maximum Product Leverage | Contract Size Currency per 1 Lot | 1 Lot Value per Pip | Min Trade / Size (Lots) | Max Trade / Size (Lots) | 3 Day Financing | Open Monday | Close Friday | Trading Break | Time Zone |\n| --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- |\n| AUDCAD.c | Australian Dollar vs Canadian Dollar | 1000:1 | AUD 1,000 | CAD 0.10 per 0.0001 | 0.01 | 2,000 | Wednesday ","cbCaiaFw2UVV6ls2","https://ap.wps.com/l/cbCaiaFw2UVV6ls2","pdf",1542321,74,"English","# Account and Contract Charges\n## Financing and Rollover Charges/Benefits\n## Dividend Adjustments\n# Deposits and Inactivity Fees\n## Deposit Methods and Monthly Limits\n## Monthly Inactivity Fee by Account Currency\n# Margin Tiers and Position Sizing\n## Margin Groups and Applicable Symbols\n## Margin Rates by Tier\n# Leverage Caps by Instrument Group\n## News Release, Market Closure, Daily and Weekend Break\n# Instrument Specifications and Trading Conditions\n## Contract Size, Pip Value, and Trade Size Limits\n## Trading Schedule and Time Zone","[{\"question\":\"What does the document specify about financing, rollover, and dividend adjustments?\",\"answer\":\"It lists financing charge/benefit and rollover charge/benefit rules, then specifies dividend adjustments. It also states which contract types each adjustment applies to.\"},{\"question\":\"How are deposit fees and monthly inactivity fees determined?\",\"answer\":\"Deposit methods include bank transfers with no limit and card payments with a stated fee rate above a US$50,000 threshold. Monthly inactivity fees are provided per account currency.\"},{\"question\":\"What trading parameters are provided for each instrument or market?\",\"answer\":\"For each symbol, the document includes maximum product leverage, contract size currency per lot, value per pip, minimum and maximum trade sizes, three-day financing, trading open/close days, trading breaks, and the timezone (e.g., MT5 server).\"}]","Product Schedule - Trading Parameters and Fees | PDF",186]