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Member of Jakarta Futures Exchange Member of Indonesian Derivatives Clearing House Member of Indonesian Derivatives Broker Association |
| Trading Regulation Forex |
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Page 1 of 3 III. KETENTUAN TRADINGA. KONTRAK BERJANGKA MATA UANG ASING1. KONTRAKJenis kontrak adalah kontrak gulir yaitu kontrak berjangka yang pada akhir hari perdagangan seluruh posisi akan diperpanjang secara otomatis ke hari perdagangan berikutnya sampai posisi tersebut ditutup. |
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| Jenis Mata Uang | Kode | Contract Size |
| EUR / USD | EUR | EUR 100.000 |
| GBP / USD | GBP | GBP 100.000 |
| USD / JPY | JPY | USD 100.000 |
| USD / CHF | CHF | USD 100.000 |
| AUD / USD | AUD | AUD 100.000 |
· USD / YEN, USD / CHF
Gross P/L = {(Selling Price – Buying Price) x Amount of Lots x Contract Size} / Liquidation Price
Nett P/L = Gross – (Lot x Commission)
· EUR / USD, GBP / USD, AUD / USD
Gross P/L = (Selling Price – Buying Price) x Amount of Lots x Contract Size
Nett P/L = Gross – (Lot x Commission)
{(Opening Price x Amount of Lot x Contract Size x Interest Rate x Number of Day) /Closing Price} / 360 Hari
* Tingkat interest rate dapat dilihat dan diakses pada trading platform PT. Mahadana Asta Berjangka. Interest rate berubah sesuai dengan tingkat suku bunga currency swap yang berlaku.
Hari perdagangan: Senin - Jum'at
Jam Perdagangan:
Open: 07.00WIB - 04.30WIB (next day) (winter)
Open: 07.00WIB - 03.30WIB (next day) (summer)
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