Dear Valued Client,
Please be advised that the dividends of the following index CFDs will be adjusted by upcoming ex-dividend dates. The comment for trading index CFDs will be in the following format “Div&<Product Name>&<Net Volume>” which show in the balance after the close of the day before the dividend payment date.
Please refer to the table below for more details:
*All dates are provided in GMT+2 (Server Time in MT4.)
Please note the above data are subject to changes. Please refer to MT4 for details.
If you have any questions or require any assistance, please contact our support team via Live Chat, email: [email protected] , or phone 400 120 0576.