What is CFD? 什么是CFD ? CFD 란?
What are CFDs? 什么是差价合约 CFD ? CFD 란?

CFD stands for Contracts for Difference. It is simply margined trading. When the position is closed, you pay or receive the profit or loss made on the trade. CFD 表示差价合约。简单的说就是保证金交易。当头寸平仓,您收取或支付该笔交易的盈利或亏损。 CFD는 Contracts for Difference를 나타냅니다. 단순한 마진 거래로 포지션이 클로즈 된 경우 거래에서 발생한 손익을 지급받습니다.

A CFD gives you all the benefits of the underlying cash equity whilst avoiding many of the typical costs associated with dealing in the physical underlying product. CFD trading allows you to gain cost-effective, flexible and geared exposure to financial products globally. 一份差价合约能给您所有现金购买资产好处的同时,还能避免许多交易实际产品所产生的典型成本。CFD能让您低成本,灵活,和杠杆的交易全球金融产品。 CFD는 많은 현금을 제공하여 자산 혜택을 구입할 수있는 동시에 많은 실제 제품을 거래하는 전형적인 비용을 피할 수 있습니다. CFD를 사용하면 저렴한 비용, 유연성 및 영향력으로 글로벌 금융 상품을 거래 할 수 있습니다. 

As it is a margined product you only have to put up a fraction of the actual value of the trade you wish to do. We have introduced CFDs on indices as well as Forex onto the MetaTrader 4 platform. These can be trialled on the demo platform and it is advised that you practice trading them first if you are not familiar with the product. 因为CFD是杠杆交易产品,所有您只需付出您想要交易产品实际价值一小部分的资金。我们在MetaTrader平台引入了指数和外汇的差价合约。模拟平台上也可以试用这些差价合约,而且我们建议如果您不熟悉这类产品,您应该先进行模拟交易。 CFD는 레버리지 거래 제품이기 때문에 지불해야하는 것은 거래하고자하는 제품의 실제 가치의 일부분입니다. 메타 트레이더 플랫폼에 지수 및 외환 CFD를 도입했습니다. 데모 플랫폼에서 테스트를 할 수 있으며, 제품에 익숙하지 않은 경우 먼저 거래를 연습하는 것이 좋습니다.


Who trades in CFDs and why? 谁交易差价合约?为什么? CFD에서 누가 거래합니까?

人们交易差价合约有很多原因:

一些客户认为交易相应金融工具或证券的价格或价值波动能够获利。比如,CFD交易员可能是短线投资者,他们寻找相应市场日内波动或隔夜波动的获利机会。

CFD交易员可能不想本人亲自买卖对应资产,但是希望交易他们所关心产品的市场波动。

还有一些客户交易CFD来对冲相应金融工具的敞口。例如,CFD可以作为一种风险管理工具,通过建立一个“卖空”的CFD头寸,来帮助那些持有相应实际股票的客户来锁定一个有效的卖出价。如果投资者持有的相应产品的价格下跌,卖空的CFD头寸将完全或一部分的对冲实际持股产生的亏损。

CFD也能让人们进行杠杆交易。您能用相对较小的一笔投入作为初始保证金,来获得对相应产品或金融工具的敞口。

People trade in CFDs for a variety of reasons:

Some trade to speculate with a view to profiting from fluctuations in the price or value of the underlying instrument or security. For example, CFD traders may be short-term investors who are looking to profit from intra-day and overnight movements in the underlying market.

CFD traders may not wish to sell or purchase the underlying products themselves, but may instead be looking to trade on market movements in the products concerned.

Others trade CFDs to hedge their exposures to the underlying instrument. For example, CFDs can be used as a risk management tool to enable those with existing holdings of underlying shares to lock in an effective sale price for the products concerned by taking a "short" CFD position. If the price of the underlying products the investor holds falls, the short CFD positions will wholly or partly offset the losses incurred on the physical holdings.

CFDs also allow people to trade on a leveraged basis. You are able to outlay a relatively small amount (in the form of Initial Margin) to secure an exposure to the underlying product/instrument.

사람들은 다양한 이유로 CFD를 거래합니다.

일부 고객은 해당 금융 상품이나 유가 증권의 가격이나 가치 거래가 수익이 될 수 있다고 생각합니다. 예를 들어, CFD 거래자는 시장에서 변동 또는 변동하는 기회를 찾는 단기 투자자 일 수 있습니다.

CFD 거래자는 개인적으로 자산을 사고 파는 것을 원하지 않을 수 있지만, 관심있는 제품의 시장 변동성을 거래하고자합니다

해당 금융 상품에 대한 위험을 회피하기 위해 CFD를 거래하는 고객도 있습니다. 예를 들어, CFD는 효과적인 판매 가격을 고정 하여 실제 해당하는 주식을 보유한 고객을 지원하기 위해 CFD의 매도 포지션 설립을 통해, 리스크 매니지먼트 툴로써 사용할 수 있습니다. 투자자가 보유한 해당 제품의 가격이 하락하면 공매도 CFD는 실제 주식 보유로 인한 손실을 전액 또는 부분적으로 회피 할 것입니다.

CFD는 또한 사람들이 레버리지 거래를 할 수 있도록합니다. 상대적으로 적은 액수의 투자를 초기 예금으로 사용하여 해당 제품이나 금융 상품에 대한 노출을 얻을 수 있습니다.

Indices Trading 指数交易 Indices Trading
Futures Indices 指数期货 Futures Indices

Stock market volatility can create exciting investment opportunities for the trader willing to take on a degree of uncertainty in search of potentially higher profits. By trading index related products such as Futures Index CFDs you may be able to benefit from a product that combines leverage, low costs and ease of trading and also allows you to trade in both rising and falling markets from exchanges all over the world. 股票市场的波动性能为交易员创造令人兴奋的投资机会,交易员愿意接受一定程度的不确定性来寻求更高的回报。通过交易指数相关产品,例如指数期货差价合约,您能享受到一项综合了杠杆交易、低成本和交易简便三大特性的产品所带来的优点,同时也能让您对全世界各大证券交易所指数的涨跌进行双向交易。 Stock market volatility can create exciting investment opportunities for the trader willing to take on a degree of uncertainty in search of potentially higher profits. By trading index related products such as Futures Index CFDs you may be able to benefit from a product that combines leverage, low costs and ease of trading and also allows you to trade in both rising and falling markets from exchanges all over the world.


Why trade Futures Indices? 为什么交易指数期货? Why trade Futures Indices?

Index-tracking CFDs give traders the capability of trading an entire index on real-time prices whilst enabling them to maximise their exposure with minimal investment from margins as low as 1% and without the exposure to any one particular underlying component of the index (e.g. listed company). 追踪指数的差价合约让交易员能够根据实时报价交易指数,同时使他们能够用最小的本金最大化他们的敞口,保证金最低仅需1%,还不用交易指数中任何的特定成分股 (例如上市公司)。 Index-tracking CFDs give traders the capability of trading an entire index on real-time prices whilst enabling them to maximise their exposure with minimal investment from margins as low as 1% and without the exposure to any one particular underlying component of the index (e.g. listed company).


Benefits Include 优点包括: Benefits Include

These indicies are linked to the performance of the stock market index

They can be short sold, opening the possibility to make a profit in a falling market

Maximum exposure with minimal capital outlay, margins from as low as 1%

Tight spreads, allowing you to profit from as little as a 3 pip movement

No brokerage fees and no commission on Standard Account

这些指数与股票市场指数表现相关联。

它们可以卖空,使得在市场下跌中也有可能获利。

用最小资本最大化敞口,保证金最低仅需 1%。

极小点差,使得您仅需3个点的波动就可立刻盈利。

无额外佣金或费用 – 仅限标准账户。

交易全球股票交易所10种以上的指数。

They can be short sold, opening the possibility to make a profit in a falling market

Maximum exposure with minimal capital outlay, margins from as low as 1%

Tight spreads, allowing you to profit from as little as a 3 pip movement

No brokerage fees and no commission on Standard Account

Trading Hours 交易时段 거래 시간
*The above times quoted in terms of the Local Time Zone of the underlying exchange. For Non-US exchanges the Daylight Savings changes in the underlying exchanges time zone will change the sessions times relative to MT4 server time. 3 The ASX S&P200 extends its trading session to 08:00 AEST time during US Day light Savings *The above times quoted in terms of the Local Time Zone of the underlying exchange. For Non-US exchanges the Daylight Savings changes in the underlying exchanges time zone will change the sessions times relative to MT4 server time. 3 The ASX S&P200 extends its trading session to 08:00 AEST time during US Day light Savings *위의 시간은 현지 표준 시간대로 표시됩니다.미국 이외의 경우 썸머타임 으로 인해 MT4 서버 시간을 기준으로 세션 시간이 변경됩니다. 3 ASX S & P200는 자사의 거래 세션을 미국의 썸머타임 동안 오전 8 시까 지 연장합니다
Index Futures Rollovers Explained 指数期货展期解释 Index Futures Rollovers Explained Accounts will be cash adjusted on positions held at the following times: FRA40 Future - Close of business on the day before the 3rd Friday of expiry month. DAX30 Future - Close of business on the day before the 3rd Friday of expiry month. SPX500 Future - Close of business on the Wednesday the week before the 3rd Friday of expiry month. UK100 Future - Close of business on the day before the 3rd Friday of expiry month. US30 Future - Close of business on the Wednesday the week before the 3rd Friday of expiry month. AUS200 Future - Close of business one day before the 3rd Thursday of expiry month. 账户在下列时间将对头寸进行现金调整: FRA40期货 - 合约到期月第3个星期五之前的交易日收市时刻。 DAX30期货 - 合约到期月第3个星期五之前的交易日收市时刻。 SPX500期货 - 合约到期月第3个星期五的前一周的周三收市时刻。 UK100期货 - 合约到期月第3个星期五之前的交易日收市时刻。 US30期货 - 合约到期月第3个星期五的前一周的周三收市时刻。 AUS200期货 - 合约到期月第3个星期四之前的交易日收市时刻。 Accounts will be cash adjusted on positions held at the following times: FRA40 Future - Close of business on the day before the 3rd Friday of expiry month. DAX30 Future - Close of business on the day before the 3rd Friday of expiry month. SPX500 Future - Close of business on the Wednesday the week before the 3rd Friday of expiry month. UK100 Future - Close of business on the day before the 3rd Friday of expiry month. US30 Future - Close of business on the Wednesday the week before the 3rd Friday of expiry month. AUS200 Future - Close of business one day before the 3rd Thursday of expiry month.
Gold & Silver Trading 黄金&白银交易 금 & 은 거래
Trading Hours 交易时段 거래 시간
In the Forex market, gold (MT4 symbol XAUUSD) is considered a form of currency, and so is silver (MT4 symbol XAGUSD). Trading in gold is electronic, the same as other currencies. Spot gold and silver is traded in a similar way to margin FX although are still classified as a CFD product. Spot gold and silver can only be traded against United States dollars (USD). Prices are always expressed in terms of the US dollar. Like foreign currency rates, trading spot gold and silver does not require the "physical" purchase or sale of the underlying commodities. You do not purchase gold that you can hold. The trading method for gold is called 'over the counter' or OTC. OTC deals are not part of the Stock or Futures Exchange of any country and so the deals are not controlled by the same methods as the Exchange. OTC trading is performed directly between the seller and the buyer, that is between you and Myfx Markets. The price of gold is measured by its weight. The price shows how much it costs for one ounce of gold in US dollars. For example, if the gold (XAUUSD) price is $1600.00, it means that an ounce of gold is traded at US$1600.00. Similarly, the price of silver is its price per ounce in USD. If the silver (XAGUSD) price is 28.00, it means that an ounce of silver is traded at US$28.00. If you have bought gold for $1600, you do not have an ounce of gold that you can hold, but you rather have the obligation to buy XAU at US$1600. When you close your position, you sell the XAU (gold) and close your exposure. If you sell it for $1605.00, you have made profit of $5 for every ounce (unit) of gold in your contract. The same theory applies to silver trading. If you have bought silver (XAGUSD) for $28.00 and sell at $28.50, you would have made a profit of $0.50 for every ounce of silver in your contract. Trading in gold and silver is easy with Myfx Markets. To establish an account to trade gold (XAU) or silver (XAG), open an account NOW. 在外汇市场中,黄金 (MT4代码 XAUUSD)被认为是一种货币形式,白银 (MT4代码 XAGUSD)也是一样。黄金交易与其它货币交易一样都是电子化交易。现货黄金和现货白银交易方式与外汇保证金交易方式相同。 现货黄金和现货白银交易只能以美元 (USD)计价。价格永远用美元表示。与外汇汇率相同,交易现货黄金和现货白银不需要“实物”买入或卖出对应的商品。您并没有买入并持有实物黄金。 黄金交易方式叫做“场外交易”或OTC。OTC的交易单并不属于任何国家的任何股票或期货交易所,所以并不适用于交易所的管理办法。OTC交易是在买家和卖家之间直接建立交易。 黄金的价格用单位重量表示。价格表示每一盎司黄金需要花费多少美元。比方说,如果黄金(XAUUSD) 的价格是 $1600.00,那么表示一盎司黄金价格为$1600.00美元。同样的白银价格表示每盎司白银的美元价格。如果,白银 (XAGUSD) 价格是 $28.00,那么表示一盎司白银价格为$28.00美元。 如果您以 $1600 美元的价格买入黄金,您并没有买入一盎司的实物黄金,您所拥有的是以 $1600 美元的价位买入 XAU 的权利。当您平仓时,您卖出 XAU (黄金) 并关闭您的敞口。如果您在 $1605.00 美元价位卖出,您在您的合约中获得每盎司黄金(单位) $5 美元的利润。这个原理同样适用于白银交易。如果您在 $28.00 美元价位买入白银 (XAGUSD) 并在 $28.50 美元价位卖出,那么您在您合约中获得每盎司白银 $0.50 美元的利润。在Myfx Markets交易黄金和白银非常简单,只需开设账户就可以交易黄金 (XAU) 或白银 (XAG) Forex 시장에서 금 (MT4 기호 XAUUSD)은 통화 형태로 간주되며 (MT4 기호 XAGUSD)도 마찬가지입니다. 금 거래는 다른 통화와 마찬가지로 전자 방식입니다. 현물 금은은 CFD 상품으로 분류되지만 마진 FX와 비슷한 방식으로 거래됩니다. 현물 금은은 미국 달러 (USD)에 대해서만 상장 될 수 있습니다.가격은 항상 미국 달러로 표시됩니다. 환율과 마찬가지로 거래 현장 금과 현물은 "물리적 구매"또는 해당 상품의 판매를 요구하지 않습니다.  금 거래 방법은 "over the counter"또는 OTC라고합니다. 장외 시장의 거래 주문은 어느 국가의 어떤 주식이나 선물 거래소에도 속하지 않으므로 거래소의 경영 관행에는 적용되지 않습니다. 장외 거래는 구매자와 판매자 간의 직접 거래입니다. 금의 가격은 무게로 측정됩니다.가격은 1 온스의 금값이 미국 달러로 얼마인지를 보여줍니다. 예를 들어, 금 (XAUUSD) 가격이 $ 1600.00이라면 금 온스는 미화 1600.00 달러입니다. 유사하게, 은의 가격은 달러당 온스당 가격입니다. 실버 (XAGUSD) 가격이 28.00이라면은 1 온스가 28 달러에 거래된다는 의미입니다. $ 1600에 금을 구입했다면 보유 할 수있는 금의 온스는 없지만, XAU를 1600 달러에 살 권리는 있습니다. 포지션을 클로즈 하면 XAU (금)을 팔게 되고 정보는 사라지게 됩니다.$ 1605. 00에 판매하는 경우 계약시 금 1 온스 당 5 달러의 이익을 얻습니다. 같은 이론이 은 거래에 적용됩니다. 실버 (XAGUSD)를 $ 28.00에 구입하고 $ 28.50에 팔 경우 계약시 실버 온스 당 $ 0.50의 이익을 얻습니다. Myfx Markets에서 금과은 트레이딩은 매우 간단합니다. 금 (XAU) 또는은 (XAG) 거래 계좌를 개설하려면 지금 계좌를 개설하십시오 .
Commodities Trading 商品交易 원자재 거래
Trading Hours 交易时段 거래 시간
Advantages of Trading Oil (WTI) with Myfx Markets: 在Myfx Markets交易原油 (WTI)的优势 Myfx Markets에서의 원유 거래 (WTI) 장점 Experience all the benefits of trading oil whilst still utilising MT4's impressive functionality Low Margin of 1% Variable highly competitive spread No dealer intervention No brokerage fees and no commission on Standard Account 享受交易原油的所有优点同时使用 MT4 平台的先进功能 保证金仅需 1% 浮动的有竞争力的点差 无后台干预 标准账户无经纪费用并不收取佣金 MT4의 인상적인 기능을 활용하면서 원류 거래의 모든 이점을 경험할 수 있습니다. 1 %의 낮은 마진 가변적인 매우 경쟁적인 스프레드 딜러 개입 없음 "중개 수수료 및 표준 계정에 대한 수수료 없음
Oil Rollover Explained 原油展期解释 오일 롤오버 설명

Myfx Markets' oil contract (WTI) is based on the ICE futures price (Front-Spot Month). This futures price is the largest price benchmark for the oil industry worldwide. Futures contracts expire because they are related to a definitive date and there are many months traded.

(The forward prices can be higher or lower depending on market conditions).

In order to remove final day volatility at Myfx Markets we switch from using the front month contract into the second month's contract one trading day prior to the exchange expiry.

In order to make sure this does not affect our clients, a cash adjustment needs to be made. Please find two examples below:

Myfx Markets的原油合约 (WTI) 是以洲际交易所 ICE 期货价格(当月现货价格) 为基准。该期货价格是全球石油行业最主要的基准价格。期货合约到期是因为合约中所明确的特定到期日期。期货合约有很多并对应很多月份。

(远期价格根据市场状况可能高也可能低)

为了去除合约最后一日的波动性,在Myfx Markets,我们在交易所合约到期日的前一个交易日把当前月份的合约转换到下一个月份的合约。

为了确保不影响我们的客户,需要进行现金调整。 请看以下两个案例:

Myfx Markets의 석유 계약 (WTI)은 ICE 선물 가격 (Front-Spot Month)을 기준으로합니다. 이 선물 가격은 전 세계 석유 산업의 가장 큰 가격 기준입니다. 선물 계약은 계약서에 명시된 만료 날짜로 인해 만료되며 많은 선물 계약이 있으며 여러 달 동안 일치합니다.

(선물환 가격은 시장 상황에 따라 더 높거나 낮을 수 있습니다.)

Myfx Markets에서는 최종일의 변동성을 제거하기 위해 계약 만료 1일(영업일 기준) 전에 새로운 계약으로 바꿉니다.

이것이 고객에게 영향을 미치지 않는지 확인하기 위해 현금을 조정해야합니다. 아래의 두 가지 예를 참고하십시오.


Example 1: 案例 1 Example 1:

Long position of 1000 barrels: 做多 1000 桶 价位为 $113.47 1000 배럴의 매수 포지션 :

September Contract closes @ $110.00 账户进行现金调整,现金减少 $1,380 9 월 계약 클로즈 @ $ 110.00

October Contract opens @ $111.38 10 월 계약 체결 @ $ 111.38

Cash adjustment of – $1,380 is made on account -$1,380의 현금 조정이 이루어짐. 

Profit of $1,380 is made on open position 开仓头寸增加 $1,380 盈利 $1,380의 이익은 오픈포지션

Net financial effect is zero. 调整净值为0 재무 효과는 0

Example 2: 案例 2 Example 2:

Short position of 2000 barrels: 做空 2000 桶 价位为 $113.47 2000 년 배럴의 매도 포지션 :

September Contract closes @ $110.00 9 월 계약 클로즈 @ 110.00 달러

October Contract opens @ $111.38 10 월 계약 오픈 @ 111.38 달러

Cash adjustment of +$2,760 is made on account 账户进行现金调整,现金增加 $2,760 현금 조정 +$2,760 달러가 계좌

Loss of $2,760 is incurred on open position 开仓头寸增加 $2,760 亏损 $2,760 손실은 오픈 포지션

Net financial effect is zero. 调整净值为0 재무 효과는 0

MYFX Markets PTY Ltd (MYFX Markets) is registered in England & Wales under Company Number 10265168 registered address 71-75 Shelton Street, London WC2H 9JQ. MYFX Markets (FCA Registration Number FRN 795679) is an Appointed Representative of FXI PLC, UK, authorised and regulated by the Financial Conduct Authority (FCA) of the United Kingdom under FRN 448399.
Risk Warning CFDs, spread betting and rolling spot forex are complex instruments and come with a high risk of losing money rapidly due to leverage. 66% of retail investor accounts lose money when trading CFDs with FIXI. You should consider whether you understand how these instruments work and whether you can afford to take the high risk of losing your money.
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What is CFD? 什么是CFD ? CFD 란?

CFD stands for Contracts for Difference. It is simply margined trading. When the position is closed, you pay or receive the profit or loss made on the trade. CFD 表示差价合约。简单的说就是保证金交易。当头寸平仓,您收取或支付该笔交易的盈利或亏损。 CFD는 Contracts for Difference를 나타냅니다. 단순한 마진 거래로 포지션이 클로즈 된 경우 거래에서 발생한 손익을 지급받습니다.

A CFD gives you all the benefits of the underlying cash equity whilst avoiding many of the typical costs associated with dealing in the physical underlying product. CFD trading allows you to gain cost-effective, flexible and geared exposure to financial products globally. 一份差价合约能给您所有现金购买资产好处的同时,还能避免许多交易实际产品所产生的典型成本。CFD能让您低成本,灵活,和杠杆的交易全球金融产品。 CFD는 많은 현금을 제공하여 자산 혜택을 구입할 수있는 동시에 많은 실제 제품을 거래하는 전형적인 비용을 피할 수 있습니다. CFD를 사용하면 저렴한 비용, 유연성 및 영향력으로 글로벌 금융 상품을 거래 할 수 있습니다. 

As it is a margined product you only have to put up a fraction of the actual value of the trade you wish to do. We have introduced CFDs on indices as well as Forex onto the MetaTrader 4 platform. These can be trialled on the demo platform and it is advised that you practice trading them first if you are not familiar with the product. 因为CFD是杠杆交易产品,所有您只需付出您想要交易产品实际价值一小部分的资金。我们在MetaTrader平台引入了指数和外汇的差价合约。模拟平台上也可以试用这些差价合约,而且我们建议如果您不熟悉这类产品,您应该先进行模拟交易。 CFD는 레버리지 거래 제품이기 때문에 지불해야하는 것은 거래하고자하는 제품의 실제 가치의 일부분입니다. 메타 트레이더 플랫폼에 지수 및 외환 CFD를 도입했습니다. 데모 플랫폼에서 테스트를 할 수 있으며, 제품에 익숙하지 않은 경우 먼저 거래를 연습하는 것이 좋습니다.


Who trades in CFDs and why? 谁交易差价合约?为什么? CFD에서 누가 거래합니까?

人们交易差价合约有很多原因:

一些客户认为交易相应金融工具或证券的价格或价值波动能够获利。比如,CFD交易员可能是短线投资者,他们寻找相应市场日内波动或隔夜波动的获利机会。

CFD交易员可能不想本人亲自买卖对应资产,但是希望交易他们所关心产品的市场波动。

还有一些客户交易CFD来对冲相应金融工具的敞口。例如,CFD可以作为一种风险管理工具,通过建立一个“卖空”的CFD头寸,来帮助那些持有相应实际股票的客户来锁定一个有效的卖出价。如果投资者持有的相应产品的价格下跌,卖空的CFD头寸将完全或一部分的对冲实际持股产生的亏损。

CFD也能让人们进行杠杆交易。您能用相对较小的一笔投入作为初始保证金,来获得对相应产品或金融工具的敞口。

People trade in CFDs for a variety of reasons:

Some trade to speculate with a view to profiting from fluctuations in the price or value of the underlying instrument or security. For example, CFD traders may be short-term investors who are looking to profit from intra-day and overnight movements in the underlying market.

CFD traders may not wish to sell or purchase the underlying products themselves, but may instead be looking to trade on market movements in the products concerned.

Others trade CFDs to hedge their exposures to the underlying instrument. For example, CFDs can be used as a risk management tool to enable those with existing holdings of underlying shares to lock in an effective sale price for the products concerned by taking a "short" CFD position. If the price of the underlying products the investor holds falls, the short CFD positions will wholly or partly offset the losses incurred on the physical holdings.

CFDs also allow people to trade on a leveraged basis. You are able to outlay a relatively small amount (in the form of Initial Margin) to secure an exposure to the underlying product/instrument.

사람들은 다양한 이유로 CFD를 거래합니다.

일부 고객은 해당 금융 상품이나 유가 증권의 가격이나 가치 거래가 수익이 될 수 있다고 생각합니다. 예를 들어, CFD 거래자는 시장에서 변동 또는 변동하는 기회를 찾는 단기 투자자 일 수 있습니다.

CFD 거래자는 개인적으로 자산을 사고 파는 것을 원하지 않을 수 있지만, 관심있는 제품의 시장 변동성을 거래하고자합니다

해당 금융 상품에 대한 위험을 회피하기 위해 CFD를 거래하는 고객도 있습니다. 예를 들어, CFD는 효과적인 판매 가격을 고정 하여 실제 해당하는 주식을 보유한 고객을 지원하기 위해 CFD의 매도 포지션 설립을 통해, 리스크 매니지먼트 툴로써 사용할 수 있습니다. 투자자가 보유한 해당 제품의 가격이 하락하면 공매도 CFD는 실제 주식 보유로 인한 손실을 전액 또는 부분적으로 회피 할 것입니다.

CFD는 또한 사람들이 레버리지 거래를 할 수 있도록합니다. 상대적으로 적은 액수의 투자를 초기 예금으로 사용하여 해당 제품이나 금융 상품에 대한 노출을 얻을 수 있습니다.


Indices Trading 指数交易 Indices Trading
Futures Indices 指数期货 Futures Indices

Stock market volatility can create exciting investment opportunities for the trader willing to take on a degree of uncertainty in search of potentially higher profits. By trading index related products such as Futures Index CFDs you may be able to benefit from a product that combines leverage, low costs and ease of trading and also allows you to trade in both rising and falling markets from exchanges all over the world. 股票市场的波动性能为交易员创造令人兴奋的投资机会,交易员愿意接受一定程度的不确定性来寻求更高的回报。通过交易指数相关产品,例如指数期货差价合约,您能享受到一项综合了杠杆交易、低成本和交易简便三大特性的产品所带来的优点,同时也能让您对全世界各大证券交易所指数的涨跌进行双向交易。 Stock market volatility can create exciting investment opportunities for the trader willing to take on a degree of uncertainty in search of potentially higher profits. By trading index related products such as Futures Index CFDs you may be able to benefit from a product that combines leverage, low costs and ease of trading and also allows you to trade in both rising and falling markets from exchanges all over the world.


Why trade Futures Indices? 为什么交易指数期货? Why trade Futures Indices?

Index-tracking CFDs give traders the capability of trading an entire index on real-time prices whilst enabling them to maximise their exposure with minimal investment from margins as low as 1% and without the exposure to any one particular underlying component of the index (e.g. listed company). 追踪指数的差价合约让交易员能够根据实时报价交易指数,同时使他们能够用最小的本金最大化他们的敞口,保证金最低仅需1%,还不用交易指数中任何的特定成分股 (例如上市公司)。 Index-tracking CFDs give traders the capability of trading an entire index on real-time prices whilst enabling them to maximise their exposure with minimal investment from margins as low as 1% and without the exposure to any one particular underlying component of the index (e.g. listed company).


Benefits Include 优点包括: Benefits Include

These indicies are linked to the performance of the stock market index

They can be short sold, opening the possibility to make a profit in a falling market

Maximum exposure with minimal capital outlay, margins from as low as 1%

Tight spreads, allowing you to profit from as little as a 3 pip movement

No brokerage fees and no commission on Standard Account

这些指数与股票市场指数表现相关联。

它们可以卖空,使得在市场下跌中也有可能获利。

用最小资本最大化敞口,保证金最低仅需 1%。

极小点差,使得您仅需3个点的波动就可立刻盈利。

无额外佣金或费用 – 仅限标准账户。

交易全球股票交易所10种以上的指数。

They can be short sold, opening the possibility to make a profit in a falling market

Maximum exposure with minimal capital outlay, margins from as low as 1%

Tight spreads, allowing you to profit from as little as a 3 pip movement

No brokerage fees and no commission on Standard Account


Trading Hours 交易时段 거래 시간
*The above times quoted in terms of the Local Time Zone of the underlying exchange. For Non-US exchanges the Daylight Savings changes in the underlying exchanges time zone will change the sessions times relative to MT4 server time. 3 The ASX S&P200 extends its trading session to 08:00 AEST time during US Day light Savings *The above times quoted in terms of the Local Time Zone of the underlying exchange. For Non-US exchanges the Daylight Savings changes in the underlying exchanges time zone will change the sessions times relative to MT4 server time. 3 The ASX S&P200 extends its trading session to 08:00 AEST time during US Day light Savings *위의 시간은 현지 표준 시간대로 표시됩니다.미국 이외의 경우 썸머타임 으로 인해 MT4 서버 시간을 기준으로 세션 시간이 변경됩니다. 3 ASX S & P200는 자사의 거래 세션을 미국의 썸머타임 동안 오전 8 시까 지 연장합니다
Index Futures Rollovers Explained 指数期货展期解释 Index Futures Rollovers Explained
Accounts will be cash adjusted on positions held at the following times: FRA40 Future - Close of business on the day before the 3rd Friday of expiry month. DAX30 Future - Close of business on the day before the 3rd Friday of expiry month. SPX500 Future - Close of business on the Wednesday the week before the 3rd Friday of expiry month. UK100 Future - Close of business on the day before the 3rd Friday of expiry month. US30 Future - Close of business on the Wednesday the week before the 3rd Friday of expiry month. AUS200 Future - Close of business one day before the 3rd Thursday of expiry month. 账户在下列时间将对头寸进行现金调整: FRA40期货 - 合约到期月第3个星期五之前的交易日收市时刻。 DAX30期货 - 合约到期月第3个星期五之前的交易日收市时刻。 SPX500期货 - 合约到期月第3个星期五的前一周的周三收市时刻。 UK100期货 - 合约到期月第3个星期五之前的交易日收市时刻。 US30期货 - 合约到期月第3个星期五的前一周的周三收市时刻。 AUS200期货 - 合约到期月第3个星期四之前的交易日收市时刻。 Accounts will be cash adjusted on positions held at the following times: FRA40 Future - Close of business on the day before the 3rd Friday of expiry month. DAX30 Future - Close of business on the day before the 3rd Friday of expiry month. SPX500 Future - Close of business on the Wednesday the week before the 3rd Friday of expiry month. UK100 Future - Close of business on the day before the 3rd Friday of expiry month. US30 Future - Close of business on the Wednesday the week before the 3rd Friday of expiry month. AUS200 Future - Close of business one day before the 3rd Thursday of expiry month.
Gold & Silver Trading 黄金&白银交易 금 & 은 거래
Trading Hours 交易时段 거래 시간

In the Forex market, gold (MT4 symbol XAUUSD) is considered a form of currency, and so is silver (MT4 symbol XAGUSD). Trading in gold is electronic, the same as other currencies. Spot gold and silver is traded in a similar way to margin FX although are still classified as a CFD product. 在外汇市场中,黄金 (MT4代码 XAUUSD)被认为是一种货币形式,白银 (MT4代码 XAGUSD)也是一样。黄金交易与其它货币交易一样都是电子化交易。现货黄金和现货白银交易方式与外汇保证金交易方式相同。 Forex 시장에서 금 (MT4 기호 XAUUSD)은 통화 형태로 간주되며 (MT4 기호 XAGUSD)도 마찬가지입니다. 금 거래는 다른 통화와 마찬가지로 전자 방식입니다. 현물 금은은 CFD 상품으로 분류되지만 마진 FX와 비슷한 방식으로 거래됩니다.


Spot gold and silver can only be traded against United States dollars (USD). Prices are always expressed in terms of the US dollar. Like foreign currency rates, trading spot gold and silver does not require the "physical" purchase or sale of the underlying commodities. You do not purchase gold that you can hold. 现货黄金和现货白银交易只能以美元 (USD)计价。价格永远用美元表示。与外汇汇率相同,交易现货黄金和现货白银不需要“实物”买入或卖出对应的商品。您并没有买入并持有实物黄金。 현물 금은은 미국 달러 (USD)에 대해서만 상장 될 수 있습니다.가격은 항상 미국 달러로 표시됩니다. 환율과 마찬가지로 거래 현장 금과 현물은 "물리적 구매"또는 해당 상품의 판매를 요구하지 않습니다. 


The trading method for gold is called 'over the counter' or OTC. OTC deals are not part of the Stock or Futures Exchange of any country and so the deals are not controlled by the same methods as the Exchange. OTC trading is performed directly between the seller and the buyer, that is between you and Myfx Markets. 黄金交易方式叫做“场外交易”或OTC。OTC的交易单并不属于任何国家的任何股票或期货交易所,所以并不适用于交易所的管理办法。OTC交易是在买家和卖家之间直接建立交易。 금 거래 방법은 "over the counter"또는 OTC라고합니다. 장외 시장의 거래 주문은 어느 국가의 어떤 주식이나 선물 거래소에도 속하지 않으므로 거래소의 경영 관행에는 적용되지 않습니다. 장외 거래는 구매자와 판매자 간의 직접 거래입니다.


The price of gold is measured by its weight. The price shows how much it costs for one ounce of gold in US dollars. For example, if the gold (XAUUSD) price is $1600.00, it means that an ounce of gold is traded at US$1600.00. Similarly, the price of silver is its price per ounce in USD. If the silver (XAGUSD) price is 28.00, it means that an ounce of silver is traded at US$28.00. 黄金的价格用单位重量表示。价格表示每一盎司黄金需要花费多少美元。比方说,如果黄金(XAUUSD) 的价格是 $1600.00,那么表示一盎司黄金价格为$1600.00美元。同样的白银价格表示每盎司白银的美元价格。如果,白银 (XAGUSD) 价格是 $28.00,那么表示一盎司白银价格为$28.00美元。 금의 가격은 무게로 측정됩니다.가격은 1 온스의 금값이 미국 달러로 얼마인지를 보여줍니다. 예를 들어, 금 (XAUUSD) 가격이 $ 1600.00이라면 금 온스는 미화 1600.00 달러입니다. 유사하게, 은의 가격은 달러당 온스당 가격입니다. 실버 (XAGUSD) 가격이 28.00이라면은 1 온스가 28 달러에 거래된다는 의미입니다.


If you have bought gold for $1600, you do not have an ounce of gold that you can hold, but you rather have the obligation to buy XAU at US$1600. When you close your position, you sell the XAU (gold) and close your exposure. If you sell it for $1605.00, you have made profit of $5 for every ounce (unit) of gold in your contract. The same theory applies to silver trading. If you have bought silver (XAGUSD) for $28.00 and sell at $28.50, you would have made a profit of $0.50 for every ounce of silver in your contract. Trading in gold and silver is easy with Myfx Markets. To establish an account to trade gold (XAU) or silver (XAG), open an account NOW. 如果您以 $1600 美元的价格买入黄金,您并没有买入一盎司的实物黄金,您所拥有的是以 $1600 美元的价位买入 XAU 的权利。当您平仓时,您卖出 XAU (黄金) 并关闭您的敞口。如果您在 $1605.00 美元价位卖出,您在您的合约中获得每盎司黄金(单位) $5 美元的利润。这个原理同样适用于白银交易。如果您在 $28.00 美元价位买入白银 (XAGUSD) 并在 $28.50 美元价位卖出,那么您在您合约中获得每盎司白银 $0.50 美元的利润。在Myfx Markets交易黄金和白银非常简单,只需开设账户就可以交易黄金 (XAU) 或白银 (XAG) $ 1600에 금을 구입했다면 보유 할 수있는 금의 온스는 없지만, XAU를 1600 달러에 살 권리는 있습니다. 포지션을 클로즈 하면 XAU (금)을 팔게 되고 정보는 사라지게 됩니다.$ 1605. 00에 판매하는 경우 계약시 금 1 온스 당 5 달러의 이익을 얻습니다. 같은 이론이 은 거래에 적용됩니다. 실버 (XAGUSD)를 $ 28.00에 구입하고 $ 28.50에 팔 경우 계약시 실버 온스 당 $ 0.50의 이익을 얻습니다. Myfx Markets에서 금과은 트레이딩은 매우 간단합니다. 금 (XAU) 또는은 (XAG) 거래 계좌를 개설하려면 지금 계좌를 개설하십시오 .


Commodities Trading 商品交易 원자재 거래
Trading Hours 交易时段 거래 시간
Advantages of Trading Oil (WTI) with Myfx Markets: Myfx Markets原油交易优势 Myfx Markets에서의 원유 거래 (WTI) 장점 Experience all the benefits of trading oil whilst still utilising MT4's impressive functionality Low Margin of 1% Variable highly competitive spread No dealer intervention No brokerage fees and no commission on Standard Account 享受交易原油的所有优点同时使用 MT4 平台的先进功能 保证金仅需 1% 浮动的有竞争力的点差 无后台干预 标准账户无经纪费用并不收取佣金 MT4의 인상적인 기능을 활용하면서 원류 거래의 모든 이점을 경험할 수 있습니다. 1 %의 낮은 마진 가변적인 매우 경쟁적인 스프레드 딜러 개입 없음 "중개 수수료 및 표준 계정에 대한 수수료 없음
Oil Rollover Explained Oil Rollover Explained 오일 롤오버 설명

Myfx Markets' oil contract (WTI) is based on the ICE futures price (Front-Spot Month). This futures price is the largest price benchmark for the oil industry worldwide. Futures contracts expire because they are related to a definitive date and there are many months traded.

(The forward prices can be higher or lower depending on market conditions).

In order to remove final day volatility at Myfx Markets we switch from using the front month contract into the second month's contract one trading day prior to the exchange expiry.

In order to make sure this does not affect our clients, a cash adjustment needs to be made. Please find two examples below:

Myfx Markets的原油合约 (WTI) 是以洲际交易所 ICE 期货价格(当月现货价格) 为基准。该期货价格是全球石油行业最主要的基准价格。期货合约到期是因为合约中所明确的特定到期日期。期货合约有很多并对应很多月份。

(远期价格根据市场状况可能高也可能低)

为了去除合约最后一日的波动性,在Myfx Markets,我们在交易所合约到期日的前一个交易日把当前月份的合约转换到下一个月份的合约。

为了确保不影响我们的客户,需要进行现金调整。 请看以下两个案例:

Myfx Markets의 석유 계약 (WTI)은 ICE 선물 가격 (Front-Spot Month)을 기준으로합니다. 이 선물 가격은 전 세계 석유 산업의 가장 큰 가격 기준입니다. 선물 계약은 계약서에 명시된 만료 날짜로 인해 만료되며 많은 선물 계약이 있으며 여러 달 동안 일치합니다.

(선물환 가격은 시장 상황에 따라 더 높거나 낮을 수 있습니다.)

Myfx Markets에서는 최종일의 변동성을 제거하기 위해 계약 만료 1일(영업일 기준) 전에 새로운 계약으로 바꿉니다.

이것이 고객에게 영향을 미치지 않는지 확인하기 위해 현금을 조정해야합니다. 아래의 두 가지 예를 참고하십시오.


Example 1: 案例 1 Example 1:

Long position of 1000 barrels: 做多 1000 桶 价位为 $113.47 1000 배럴의 매수 포지션 :

September Contract closes @ $110.00 账户进行现金调整,现金减少 $1,380 9 월 계약 클로즈 @ $ 110.00

October Contract opens @ $111.38 10 월 계약 체결 @ $ 111.38

Cash adjustment of – $1,380 is made on account -$1,380의 현금 조정이 이루어짐. 

Profit of $1,380 is made on open position 开仓头寸增加 $1,380 盈利 $1,380의 이익은 오픈포지션

Net financial effect is zero. 调整净值为0 재무 효과는 0


Example 2: 案例 2 Example 2:

Short position of 2000 barrels: 做空 2000 桶 价位为 $113.47 2000 년 배럴의 매도 포지션 :

September Contract closes @ $110.00 9 월 계약 클로즈 @ 110.00 달러

October Contract opens @ $111.38 10 월 계약 오픈 @ 111.38 달러

Cash adjustment of +$2,760 is made on account 账户进行现金调整,现金增加 $2,760 현금 조정 +$2,760 달러가 계좌

Loss of $2,760 is incurred on open position 开仓头寸增加 $2,760 亏损 $2,760 손실은 오픈 포지션

Net financial effect is zero. 调整净值为0 재무 효과는 0

MYFX Markets PTY Ltd (MYFX Markets) is registered in England & Wales under Company Number 10265168 registered address 71-75 Shelton Street, London WC2H 9JQ. MYFX Markets (FCA Registration Number FRN 795679) is an Appointed Representative of FXI PLC, UK, authorised and regulated by the Financial Conduct Authority (FCA) of the United Kingdom under FRN 448399.
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