Monthly Archives: February 2025

Dividend Adjustment Notice – Feb 18 ,2025

Written on February 18, 2025 at 7:27 am, by

Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”. Please refer to the table below for moreContinue Reading

Dividend Adjustment Notice – Feb 17 ,2025

Written on February 17, 2025 at 7:57 am, by

Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”. Please refer to the table below for moreContinue Reading

Notification of Trading Adjustment in Holiday –  Feb 17 ,2025

Written on February 17, 2025 at 7:24 am, by

Dear Client, Affected by international holidays, the trading hours of some VFTradings products will be adjusted. Please check the following link for the affected products: Notification of Trading Adjustment in Holiday Note: The dash sign (-) indicates normal trading hours. Friendly Reminder: The above data is for reference only, please refer to the MT5 softwareContinue Reading

Dividend Adjustment Notice – Feb 14 ,2025

Written on February 14, 2025 at 6:56 am, by

Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”. Please refer to the table below for moreContinue Reading

Dividend Adjustment Notice – Feb 13 ,2025

Written on February 13, 2025 at 6:40 am, by

Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”. Please refer to the table below for moreContinue Reading

Dividend Adjustment Notice – Feb 12 ,2025

Written on February 12, 2025 at 7:42 am, by

Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”. Please refer to the table below for moreContinue Reading

February Futures Rollover Announcement –  Feb 11 ,2025

Written on February 11, 2025 at 8:08 am, by

Dear Client, New contracts will automatically be rolled over as follows: Please note: • The rollover will be automatic, and any existing open positions will remain open. • Positions that are open on the expiration date will be adjusted via a rollover charge or credit to reflect the price difference between the expiring and newContinue Reading

Dividend Adjustment Notice – Feb 11 ,2025

Written on February 11, 2025 at 8:00 am, by

Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”. Please refer to the table below for moreContinue Reading

Dividend Adjustment Notice – Feb 10 ,2025

Written on February 10, 2025 at 7:24 am, by

Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”. Please refer to the table below for moreContinue Reading

Dividend Adjustment Notice – Feb 07 ,2025

Written on February 7, 2025 at 7:02 am, by

Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”. Please refer to the table below for moreContinue Reading