Contract specifications

Browse through our comprehensive contract specifications and decide which products you would like to add to your trading portfolio next.

 




Instrument Lot size Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Min spread (Pro) Max leverage*
(for retail traders)
EUR/USD 100 000 0.01 40 0.0001 0.00001 0.4 0.1 30:1
USD/JPY 100 000 0.01 40 0.01 0.001 0.4 0.1 30:1
GBP/USD 100 000 0.01 40 0.0001 0.00001 0.4 0.1 30:1
USD/CHF 100 000 0.01 40 0.0001 0.00001 0.4 0.1 30:1
AUD/CAD 100 000 0.01 40 0.0001 0.00001 0.4 0.1 20:1
*Maximum leverage for professional traders is 400:1
Margin Call Policy: The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details. 
Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). All spot FX instruments have no expiry.
Instrument Lot size Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Min spread (Pro) Max leverage*
(for retail traders)
AUD/CHF 100 000 0.01 40 0.0001 0.00001 0.4 0.1 20:1
AUD/JPY 100 000 0.01 40 0.01 0.001 0.4 0.1 20:1
AUD/NZD 100 000 0.01 40 0.0001 0.00001 0.4 0.1 20:1
AUD/USD 100 000 0.01 40 0.0001 0.00001 0.4 0.1 20:1
CAD/CHF 100 000 0.01 40 0.0001 0.00001 0.4 0.1 20:1
*Maximum leverage for professional traders is 400:1
Margin Call Policy:
The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details.
Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). All spot FX instruments have no expiry.
Instrument Lot size Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Mins pread (Pro) Max leverage*
(for retail traders)
CAD/JPY 100 000 0.01 40 0.01 0.001 0.4 0.1 30:1
CHF/JPY 100 000 0.01 40 0.01 0.001 0.4 0.1 30:1
EUR/AUD 100 000 0.01 40 0.00001 0.00001 0.4 0.1 20:1
EUR/CAD 100 000 0.01 40 0.00001 0.00001 0.4 0.1 30:1
EUR/CHF 100 000 0.01 40 0.00001 0.00001 0.4 0.1 30:1

*Maximum leverage for professional traders is 400:1​

Margin Call Policy: The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details.

Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). All spot FX instruments have no expiry.
Instrument Lot size Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Min spread (Pro) Max leverage*
(for retail traders)
EUR/GBP 100 000 0.01 40 0.00001 0.00001 0.4 0.1 30:1
EUR/JPY 100 000 0.01 40 0.01 0.001 0.4 0.1 30:1
EUR/NOK 100 000 0.01 40 0.0001 0.00001 0.4 0.1 20:1
EUR/NZD 100 000 0.01 40 0.0001 0.00001 0.4 0.1 20:1
GBP/AUD 100 000 0.01 40 0.0001 0.00001 0.4 0.1 20:1
*Maximum leverage for professional traders is 400:1​
Margin Call Policy:
The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details.
Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). All spot FX instruments have no expiry.
Instrument Lot size Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Min spread (Pro) Max leverage*
(for retail traders)
GBP/CAD 100 000 0.01 40 0.0001 0.0001 0.4 0.1 30:1
GBP/CHF 100 000 0.01 40 0.0001 0.0001 0.4 0.1 30:1
GBP/JPY 100 000 0.01 40 0.001 0.001 0.4 0.1 30:1
GBP/NZD 100 000 0.01 40 0.00001 0.00001 0.4 0.1 20:1
NZD/CAD 100 000 0.01 40 0.00001 0.00001 0.4 0.1 20:1
*Maximum leverage for professional traders is 400:1​
Margin Call Policy:
The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details.
Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). All spot FX instruments have no expiry.
Instrument Lot size Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Min spread (Pro) Max leverage*
(for retail traders)
NZD/CHF 100 000 0.01 40 0.00001 0.00001 0.4 0.1 20:1
NZD/JPY 100 000 0.01 40 0.01 0.001 0.4 0.1 20:1
NZD/USD 100 000 0.01 40 0.0001 0.00001 0.4 0.1 20:1
USD/CAD 100 000 0.01 40 0.0001 0.00001 0.4 0.1 30:1
USD/CNH 100 000 0.01 40 0.0001 0.00001 4.9 0.1 20:1
*Maximum leverage for professional traders is 400:1​
Margin Call Policy:
The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details.
Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). All spot FX instruments have no expiry.
Instrument Lot size Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Min spread (Pro) Max leverage*
(for retail traders)
USD/NOK 100 000 0.01 40 0.0001 0.00001 0.4 0.1 20:1
USD/SGD 100 000 0.01 40 0.0001 0.00001 0.4 0.1 20:1
USD/TRY 100 000 0.01 1 0.0001 0.00001 0.4 0.1 20:1**
EUR/TRY 100 000 0.01 1 0.0001 0.00001 0.4 0.1 20:1**
USD/MXN 100 000 0.01 40 0.0001 0.00001 5 3 20:1
USD/ZAR 100 000 0.01 40 0.0001 0.00001 70 40 20:1***
*Maximum leverage for professional traders is 400:1​
**Maximum leverage for professional traders is 20:1
***Maximum leverage for professional taders is 50:1

Margin Call Policy:
The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details.
Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). All spot FX instruments have no expiry.
Currency pair Lot Size (Volume 1.0) Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Max leverage* (for retail traders)
EURUSD_SB 1 GBP 0.10 1000 0.0001 0.00001 0.8 30:1
USDJPY_SB 1 GBP 0.10 1000 0.01 0.001 1 30:1
GBPUSD_SB 1 GBP 0.10 1000 0.0001 0.00001 1.2 30:1
USDCHF_SB 1 GBP 0.10 1000 0.0001 0.00001 1 30:1
AUDCAD_SB 1 GBP 0.10 1000 0.0001 0.00001 2 20:1
*Maximum leverage for professional traders is 400:1
Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). All spot FX instruments have no expiry.
Currency pair Lot Size (Volume 1.0) Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Max leverage* (for retail traders)
EURAUD_SB 1 GBP 0.10 1000 0.0001 0.00001 1.6 30:1
EURCAD_SB 1 GBP 0.10 1000 0.0001 0.00001 1.8 30:1
EURCHF_SB 1 GBP 0.10 1000 0.0001 0.00001 1.1 30:1
EURGBP_SB 1 GBP 0.10 1000 0.0001 0.00001 1 30:1
EURJPY_SB 1 GBP 0.10 1000 0.01 0.001 1.1 30:1
EURNOK_SB 1 GBP 0.10 1000 0.0001 0.00001 8.4 20:1
EURNZD_SB 1 GBP 0.10 1000 0.0001 0.00001 2.8 20:1
*Maximum leverage for professional traders is 400:1
Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). 
Currency pair Lot Size (Volume 1.0) Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Max leverage* (for retail traders)
GBPAUD_SB 1 GBP 0.10 1000 0.0001 0.00001 1.7 20:1
GBPCAD_SB 1 GBP 0.10 1000 0.0001 0.00001 4 30:1
GBPCHF_SB 1 GBP 0.10 1000 0.0001 0.00001 2.6 30:1
GBPJPY_SB 1 GBP 0.10 1000 0.01 0.01 1.1 30:1
GBPNZD_SB 1 GBP 0.10 1000 0.0001 0.00001 4 20:1

*Maximum leverage for professional traders is 400:1​

Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). 
Currency pair Lot Size (Volume 1.0) Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Max leverage*
(for retail traders)
NZDCAD_SB 1 GBP 0.10 1000 0.0001 0.00001 2.6 20:1
NZDCHF_SB 1 GBP 0.10 1000 0.0001 0.00001 2 20:1
NZDJPY_SB 1 GBP 0.10 1000 0.01 0.001 1.6 20:1
NZDUSD_SB 1 GBP 0.10 1000 0.0001 0.00001 2 20:1
*Maximum leverage for professional traders is 400:1​
Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). 
Currency pair Lot Size (Volume 1.0) Min trade size Max trade size Pip increment Minimal increment Min spread (Standard) Max leverage*
(for retail traders)
USDCAD_SB 1 GBP 0.10 1000 0.0001 0.00001 0.9 30:1
USDCNH_SB 1 GBP 0.10 1000 0.0001 0.00001 30 20:1
USDNOK_SB 1 GBP 0.10 1000 0.0001 0.00001 8.6 20:1
USDSGD_SB 1 GBP 0.10 1000 0.0001 0.00001 1.9 20:1
USDTRY_SB 1 GBP 0.10 1000 0.0001 0.00001 0.8 20:1
*Maximum leverage for professional traders is 400:1​
Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). 
Trading break from 00:00 - 00:05
Index name Type Currency Min trade size Max trade size Increment Increment value Max leverage*
(for retail traders)
Contract size Target spread Trading hours
(GMT+2)
AUS200_SB (ASX) Cash GBP 0.10 1000 1 GBP 1 20:1 1 1 Monday 00:05 to Friday 00:00
Trading break from 00:00 - 00:05
FRA40_SB
(CAC)
Cash GBP 0.10 1000 1 GBP 1 20:1 1 0.9 Monday 00:05 to Friday 00:00
Trading break from 00:00 - 00:05
GER30_SB
(DAX)
Cash GBP 0.10 1000 1 GBP 1 20:1 1
1
2
5
10:00 - 18:30
09:00 - 10:00 and
18:30 - 22:00
22:00 - 09:00
UK100_SB
(FTSE)
Cash GBP 0.10 1000 1 GBP 1 20:1 1
2
1
4
09:00 - 10:00 and 18:30 - 22:00
10:00 - 18:30
All other times
SPX500_SB
(S&P)
Cash GBP 0.10 1000 1 GBP 1 per full Index point 20:1 1 2.9 Monday 00:05 to Friday 00:00
Trading break from 00:00 - 00:05
US30_SB
(DOW)
Cash GBP 0.10 1000 1 GBP 1 20:1 1
1.6
2.4
9.8
3.8
16:30 - 22:00
10:00 - 16:30
22:15 - 22:30 and 
00:00 - 01:00
All other times
ESTX50_SB
(ESTX)
Cash GBP 0.10 1000 1 GBP 1 per full Index point 20:1 1 1 Monday 00:05 to Friday 00:00
Trading break from 00:00 - 00:05
JPN225_SB
(Nikkei)
Cash GBP 0.10 1000 1 GBP 1 20:1 1 7 Monday 00:05 to Friday 00:00
Trading break from 00:00 - 00:05
*Maximum leverage for professional traders is 400:1​
Spot Lot Size Volume (1.0): Min trade size Max trade size Whole increment Minimal increment Increment Value Avg. Spread Max leverage*
(for retail traders)
XAUUSD_SB (Gold) 1 0.10 1000 0.01 0.01 GBP 1 20 cents 20:1
XAGUSD_SB (Silver) 1 0.10 1000 0.01 0.001 GBP 1 3 cents 10:1
*Maximum leverage for professional traders is 400:1​
Trading hours: The markets are open from Monday 00:00 (GMT+2) to Friday 23:59 (GMT+2). All spot FX instruments have no expiry.
Spot Type Currency Exchange Min trade size Max trade size Increment Increment value Max leverage*
(for retail traders)
Contract size Average Spread Trading hours
WTI_SB
(WTICrude Oil)
Cash GBP NYM - New York 0.10 1000 0.01 GBP 1 10:1 1 0.04 points Monday 01:00 - Friday 24:00
Break from 00:00 - 01:00
BRENT_SB
(Brent Crude Oil)
Cash GBP ICE - London 0.10 1000 0.01 GBP 1 10:1 1 00.05 points Monday 03:00 - Friday 24:00
Break from 00:00 - 03:00
*Maximum leverage for professional traders is 400:1​
Instrument Ticker Currency Min.trade size Max.trade size Contract size Increment Increment value Max.
leverage* (for retail traders)
Fixed spread (Trade Interceptor) Target spread (Standard) Trading hours (GMT+2)
ASX 200 AUS200 AUD 1 100 1 0.01 0.01 AUD 20:1 1 1 00:50 to 07:30 and
08:10 to 22:00 (daily)
France CAC 40 FRA40 EUR 1 100 1 0.01 0.01 EUR 20:1 1 0.9 09:00 to 23:00 (daily)
German DAX 30 GER30 EUR 1 100 1 0.01 0.01 EUR 20:1 1
1
2
5
10:00 - 18:30
09:00 - 10:00 and
18:30 - 23:00
23:00 - 10:00
FTSE100 UK100 GBP 1 100 1 0.01 0.01 GBP 20:1 1
2
1
4
09:00 - 10:00 and 18:30 - 23:00
10:00 - 18:30
All other times
S&P 500 SPX500 USD 1 100 10 0.01 0.10 USD 20:1 0.4 2.9 Mon 01:00 to Fri 23:15;
Break from 23:15 to 23:30 and
00:00 to 01:00 (daily)
Dow Jones Index US30 USD 1 100 1 0.01 0.01 USD 20:1 1.5
1.6
2.4
9.8
3.8
16:30 - 23:00
10:00 - 16:30
22:15 - 23:30 and 
00:00 - 01:00
All other times
EuroStoxx 50 ESTX50 EUR 1 100 1 0.01 0.01 EUR 20:1 1.5 1 09:00 to 23:00 (daily)
Nikkei 225 JPN225 JPN 1 100 100 0.01 1 JPY 20:1 6 7 Mon 02:00 to Fri 23:15;
Break from 23:15 to 02:00 (daily)
Nasdaq NAS100 USD 1 100 1 0.01 0.01 USD 20:1 1 0.9 Mon 01:00 to Fri 23:15;
Break from 23:15 to 23:30 and 00:00 to 01:00 (daily)
Spain 35 SPAIN35 EUR 1 100 1 0.01 0.01 EUR 10:1 0.5 0.1 09:00 to 23:00 (daily)
Hong Kong HS50 HK50 HKD 1 25 1 0.01 0.01 HKD 50:1 5 4 Mon 04:15 to Fri 20:00;
Break from 07:00 to 08:00 and 11:30 to 12:15 (daily)
China A50 CHINA50 USD 1 25 1 0.01 0.01 USD 50:1 10 10 03:00 to 10:00 and 
10:40 to 20:00 (daily)
*Maximum leverage for professional traders is 200:1
Margin Call Policy: The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details.
Instrument Ticker Currency Min.trade size Max.trade size Increment Increment value Min.spread Average spread Max leverage* (for retail traders) Trading hours (GMT+2)
US Crude Oil WTI USD 1 100 0.01 1 USD 3 6 10:1 Mon 01:00 - Fri 23:45
Break from 00:00-01:00
Brent Crude Oil BRENT USD 1 100 0.01 1 USD 2 6 10:1 Mon 01:00 - Fri 23:45
Break from 00:00-01:00
*Maximum leverage for professional traders is 200:1
Margin Call Policy:
The forced liquidation level is 50%. Please review the ThinkMarkets Margin Call Policy for complete details.
Instrument Ticker Currency Min trade size Max trade size Min spread Average spread Max leverage* (for retail traders)
Gold XAU/USD USD 0.01 10 25 cents 30 cents 20:1
Gold Pro XAU/USD pro USD 0.01 10 15 cents 25 cents 20:1
Mini Gold XAU/USD Mini USD 0.01 10 25 cents 30 cents 20:1
Silver XAG/USD USD 0.01 10 35 cents 40 cents 10:1
Mini Silver XAG/USD Mini USD 0.01 10 35 cents 40 cents 10:1
*Maximum leverage for professional traders is 200:1
Important note:
There is a daily 1 hour break from 0:00 to 01:00 (GMT+2) server time.
Instrument Ticker Target spread Max leverage (for retail traders) Increment Increment value Max trade size Trading times (GMT+2)
Bitcoin BTC/USD 60 USD 2:1* 0.01 0.01 USD 5 contracts Mon 01:00 to Fri 23:00
Break from 00:00-01:00 (daily)
Bitcoin Cash BCH/USD 4 USD 2:1* 0.01 0.01 USD 3 contracts Mon 01:00 to Fri 23:00
Break from 00:00-01:00 (daily)
Bitcoin Gold BCG/USD 15 USD 2:1** 0.01 0.01 USD 3 contracts Sun 23:59 to Fri 23:00
Bitcoin Mini BTC/USDmini 80 USD 2:1* 0.01 0.01 USD 3 contracts Sun 23:59 to Fri 23:00
Dash DASH/USD 7 USD 2:1** 0.01 0.01 USD 3 contracts Sun 23:59 to Fri 23:00
NEO NEO/USD 0.70 USD 2:1 0.01 0.01 USD 3 contracts Sun 23:59 to Fri 23:00
Ethereum ETH/USD 5 USD 2:1 0.01 0.01 USD 3 contracts Mon 01:00 to Fri 23:00
Break from 00:00-01:00 (daily)
Ethereum Mini ETH/USDmini 7 USD 2:1** 0.01 0.001 USD 3 contracts Sun 23:59 to Fri 23:00
Ripple XRP/USD 0.60 USD 2:1* 0.001 0.01 USD 3 contracts Mon 01:00 to Fri 23:00
Break from 00:00-01:00 (daily)
*Maximum leverage for professional traders is 5:1
** Maximum leverage for professional traders is 20:1
Important Note:
All crypto instruments will have a fixed weekly expiry. They will expire each week on Friday 23:00 GMT+2 and open for trading again Sunday 23:59 GMT+2.
Markets Contract size Min trade size Max leverage (for retail & professional) Spread Currency Increment value Trading times (GMT+2)
Equities UK 100 shаres 1 CFD 5:1 variable GBP 0.01 10:00 to 18:30
Equities EU 1 shаre 1 CFD 5:1 variable EUR 0.1 10:00 to 18:30
Equities US 1 shаre 1 CFD 5:1 variable USD 0.1 16:30 to 23:00
Equities CH 1 shаre 1 CFD 5:1 variable CHF 0.10 10:00 to 18:30
Equities GR 1 shаre 1 CFD 5:1 variable EUR 0.1 10:30 to 17:00
Equities SE 1 shаre 1 CFD 5:1 variable SEK 0.1 10:00 to 18:30
Equities PL 1 shаre 1 CFD 5:1 variable PLN 0.1 10:00 to 18:00
Equities AU 10 shаres 1 CFD 5:1 variable AUD 0.1 01:00 to 07:00
Equities HK 100 shаres 1 CFD 5:1 variable HKD HKD 1 04:30 to 11:00
Berkshire 1 shаre 1 CFD 1:1 variable USD USD 1 16:30 to 23:00
LPP 1 shаre 1 CFD 1:1 variable PLN PLN 1 10:00 to 18:30
 
Instrument Value of 1 contract
(per tick)
Min spread Margin percentage Contract months Last dealing day Trading times (GMT+2)
Copper 1 USD 10 points 10% Dec, Mar, May, Jul, Sep 3 business days prior to the first calendar day of the contract month 01:00 to 00:00 (daily)
Platinum 10 USD 2 points 10% Mar, Apr, May, Jul, Oct, Jan The 4th Friday of prior month 01:00 to 00:00 (daily)
Natural Gas 0.10 USD 10 points 10% Monthly 4 trading days prior to the first calendar day of contract month 01:00 to 00:00 (daily)
Coffee Robusta 2 USD 4 points 10% Jan, Mar, May, Jul, Sep, Nov 4 business days prior to the first calendar day
of the delivery month
11:00 to 19:30 (daily)
Wheat (US) 25 USD 1 point 10% Mar, May, Jul, Sep, Dec The 2nd Friday (or previous business day)
​of current month
03:00 to 15:45 and
16:30 to 21:20 (daily)
Corn (US) 25 USD 1 point 10% Mar, May, Jul, Sep, Dec The 2nd Friday (or previous business day)
​of current month
03:00 to 15:45 and
16:30 to 21:20 (daily)
Cotton (US) 2.5 USD 15 points 10% Mar, May, Oct, Jul, Dec The 2nd Friday (or previous business day)
​of current month
04:00 to 21:20 (daily)
Soybean (US) 25 USD 1 point 10% Jan, Mar, May, Jul, Aug, Sep, Nov The 2nd Friday (or previous business day)
​of current month
03:00 to 15:45 and
16:30 to 21:20 (daily)
Cocoa (US) 5 USD 8 points 10% Mar, May, Jul, Sep, Dec The 2nd Friday (or previous business day)
​of current month
11:40 to 20:30 (daily)
Greece 25 1 EUR 20 points 10% Monthly The 3rd Friday of contract month or previous business day 10:15 to 17:20 (daily)
USD Index 5 USD 5 points 10% Dec, Mar, June, Sep The Friday, preceding the 3rd Wednesday of the contract month 03:00 to 00:00 (daily)
 




CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. 69.1% 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.

69.1% of retail investor accounts lose money when trading CFDs with this provider. You should consider whether you can afford to take the high risk of losing your money.

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