CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. The vast majority of retail client accounts lose money when trading in CFDs. You should consider whether you understand how CFDs work and whether you can afford to take the high risk of losing your money.
CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. 76% of retail investor accounts lose money when trading CFDs with this provider. You should consider whether you understand how CFDs work and whether you can afford to take the high risk of losing your money.

Trading Product Details

We are committed to providing you a safe and reliable trading environment that helps protect your investments and maximize your chances of success.

Our goal is to be a world-leading provider of products, technologies, and services in the field of online foreign exchange (Forex) and CFD trading while maintaining competitive spreads and first-rate service.

You can click below to view the specific trading conditions for each of our product categories.

Fortrade Trading Conditions

Currencies PAIRS

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Product NameMT4 SymbolAverage SpreadInitial MarginLeverageLong Position Daily RateShort Position Daily RateAmount For SwapTrading Hours (GMT)

Fortrade Trading Conditions

Currencies CAD PAIRS

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Product NameMT4 SymbolAverage SpreadInitial MarginLeverageLong Position Daily RateShort Position Daily RateAmount For SwapTrading Hours (GMT)

Fortrade Trading Conditions

Digital Currencies PAIRS

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Product NameMT4 SymbolAverage SpreadInitial MarginLeverageLong Position Daily RateShort Position Daily RateAmount For SwapMeasurement UnitCcyQuoted MonthsTrading Hours (GMT)

Fortrade Trading Conditions

Indices

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Product NameMT4 SymbolAverage SpreadInitial MarginLeverageLong Position Daily RateShort Position Daily RateAmount For SwapCountryCcyQuoted MonthsTrading Hours (GMT)

Fortrade Trading Conditions

Indices CAD

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Product NameMT4 SymbolAverage SpreadInitial MarginLeverageLong Position Daily RateShort Position Daily RateAmount For SwapCountryCcyQuoted MonthsTrading Hours (GMT)

Fortrade Trading Conditions

EU Stocks

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Product NameMT4 SymbolAverage SpreadInitial MarginLeveragePremium Buy(Yearly %)Premium Sell(Yearly %)Amount For SwapMeasurement UnitCountryCcyTrading Hours (GMT)

Fortrade Trading Conditions

US Stocks

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Product NameMT4 SymbolAverage SpreadInitial MarginLeveragePremium Buy(Yearly %)Premium Sell(Yearly %)Amount For SwapMeasurement UnitCountryCcyTrading Hours (GMT)

Fortrade Trading Conditions

AU Stocks

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Product NameMT4 SymbolAverage SpreadInitial MarginLeveragePremium Buy(Yearly %)Premium Sell(Yearly %)Amount For SwapMeasurement UnitCountryCcyTrading Hours (GMT)

Fortrade Trading Conditions

Commodities

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Product NameMT4 SymbolCommoditiesAverage SpreadInitial MarginLeverageLong Position Daily RateShort Position Daily RateAmount For SwapMeasurement UnitCcyQuoted MonthsTrading Hours (GMT)

Fortrade Trading Conditions

US Treasuries

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Product NameMT4 SymbolAverage SpreadInitial MarginLeverageLong Position Daily RateShort Position Daily RateAmount For SwapMeasurement UnitCountryCcyQuoted MonthsTrading Hours (GMT)

Fortrade Trading Conditions

ETFs

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Product NameMT4 SymbolAverage SpreadInitial MarginLeverageLong Position Daily RateShort Position Daily RateAmount For SwapMeasurement UnitCountryCcyTrading Hours (GMT)

Fortrade Trading Conditions

Night Spreads

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SymbolTrading Hours (GMT)Average Spread

General Conditions of Trading:

  1. All interest rate daily swap costs are indicative and may be subject to change (example provided is in respect of 100 USD or EUR or GBP) night spread
  2. Trading hours commence 22:00 GMT (wintertime), 21:00 GMT (summertime). night spread
  3. Times shown will be Greenwich Mean Time (GMT), may change due to British Summer Time (BST). night spread
  4. All open positions held at Wednesday night's close are applied (charged/credited) with a triple rollover ahead of weekend's (3 days).
  5. Account dormancy fees are charged for inactive accounts after 6 month period (fee is either $10, € 10 or £ 10.00 per month depending on account currency).
  6. The stated spread is an average spread and not fixed spread.
  7. This currency pair has a night spread from 20:55 to 21:25 GMT.
  8. This currency pair has an evening spread from 16:00 to 19:30 GMT; from 19:30 to 03:00; and from 03:00 to 06:00 GMT.

Additional Trading Conditions:

  1. All interest rate daily swap costs are indicative and may be subject to change (example provided is in respect of 100 USD or EUR or GBP)
  2. Trading hours commence 22:00 GMT (wintertime), 21:00 GMT (summertime).
  3. Times shown will be Greenwich Mean Time (GMT), may change due to British Summer Time (BST).
  4. All open positions held at Wednesday night's close are applied (charged/credited) with a triple rollover ahead of weekend's (3 days).
  5. Account dormancy fees are charged for inactive accounts after 6 month period (fee is either $10, € 10 or £ 10.00 per month depending on account currency).
  6. The stated spread is an average spread and not fixed spread.
  7. This currency pair has a night spread from 20:55 to 21:25 GMT.
  8. This currency pair has an evening spread from 16:00 to 19:30 GMT; from 19:30 to 03:00; and from 03:00 to 06:00 GMT.