FxPro Help Centre: التداول والتنفيذ

What is Swap (rollover)?

Since every currency trade involves borrowing one currency to buy another, interest rollover charges are part of forex trading.

Interest is paid on the currency that is borrowed, and earned on the one that is bought. Swap may be positive or negative and applies whenever you leave a trade open overnight.

If you are buying a currency with a higher interest rate than the one you are borrowing, then the net interest rate differential will be positive and you will earn funds as a result. Conversely, if the interest rate differential is negative then you will be charged.

Swap also applies to non-FX instruments, due to the fact that all instruments are traded in particular currency which incurs an interest rate.

On the platforms, ’swap’ is automatically converted into the balance currency. The Operation is conducted at midnight server time (10pm UK time) and will only be charged/gained if you have an open trade at this time.

the swap is calculated and charged once every weekday, however, to account for weekends, a triple charge will take place on Wednesday for FX & metals, and on Friday for other instruments. FxPro Swap rates are in line with the Banks and are reviewed and updated on a weekly basis by the Execution department.

The up-to-date swap lists can be viewed at any time on our website in the instrument specifications or via the trading terminals: http://www.fxpro.co.uk/trading/forex

هل كان المقال مفيدا"؟
  1. ما هو CFD؟
  2. كيف تتم قراءة العملات الثنائيّة؟
  3. ما هي الفوارق التي تقدّمونها؟
  4. لماذا لم يتم تنفيذ طلبي و هو قيد الانتظار؟
  5. ما هي العمولات التي سيتم خصمها للتداول؟
  6. ما هي الأدوات التي تقدمونها للتداول؟
  7. هل تقدمون العملات الرقميّة؟
  8. ما هو الفرق بين تنفيذ السوق والتنفيذ الفوري؟
  9. هل تضمنون وقف الخسارة؟
  10. ما هي المنازل العشرية في تحديد الأسعار؟
  11. ما هو نموذج FxPro للتنفيذ؟
  12. هل يحدث انزلاقات سعرية على منصاتكم؟
  13. هل تقدمون وحدات مايكرو (0.01) ؟
  14. ما القدرات المالية التي تقدمها؟
  15. ما هي الفروقات الثابتة؟
  16. ما هي الفوارق العائمة؟
  17. هل سأشهد إعادة تسعير؟
  18. ما هو مستوى الإيقاف؟
  19. ما الفرق بين طلب الإيقاف وطلب الحد؟
  20. هل سيستمر الاكسبرت/cBot في العمل بعد إغلاق المنصة؟
  21. كيف يتم احتساب المبادلة؟
  22. What is leverage?
  23. What is VWAP?
  24. What is a market order?
  25. What is a Stop Loss order?
  26. What is a Take Profit order?
  27. What is a Stop Out?
  28. How can I show the ASK price on the platform?
  29. What is slippage?
  30. What is Spread?
  31. What do I do if I have a question or enquiry regarding one of my trades?
  32. Why has my pending order been executed or Stop loss/take profit triggered when the price has not reached the specified price?
  33. What is liquidity?
  34. What is Swap (rollover)?