You are visiting the website that is operated by Ultima Markets Ltd, a licensed investment firm by the Financial Services Commission “FSC” of Mauritius, under license number GB 23201593. Please be advised that Ultima Markets Ltd does not have legal entities in the European Union.
U p c o m i n g
January 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
January 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
January 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
January 2025
The trading sessions of some products will be adjusted due to international holidays. Please refer to the following details: Holiday Date Adjustments (Product / Actions) USA Presidents Day 2025.02.17 18:30 Early Close VIX 20:00 Early Close USNote10Y, DJ30, DJ30ft, SP500,
January 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
January 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
January 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
January 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
January 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
January 2025
When you are trading in Contracts for Difference (CFDs) on spot stock indices, if a component of the underlying stock index pays a dividend/dividend (payout) to its shareholders, your trading account will be adjusted ex-dividend at 00:00 server time on
September 2023
The trading sessions for CHINA50 will be updated from 18 September 2023 as per the following schedule: Date Product Original Trading Sessions (GMT+3) Updated Trading Sessions (GMT+3) 2023/9/18 (Mon.) CHINA50 01:00-03:55 04:00-11:55 12:00-24:00 04:00-11:55 12:00-24:00 Friendly Reminder • The mentioned
August 2023
The trading sessions of some products will be adjusted due to international holidays. Please refer to the following details: Holiday Date Adjustments (Product / Actions) Labour Day 2023.09.04 Market Closed FX / USDBRL, USDCLP, USDCOP, USDTWD Commodities / Cocoa, Coffee,
August 2023
Due to the impact of holidays, the trading hours of some products will also be changed during and after the holiday, as follows: Holiday Date Adjustments (Product / Actions) Battle of Boyacá Day 2023.08.07 Market Closed USDCOP National Women’s Day