Trade EAST with EASE!


Enjoy ZERO COMMISSION for East Asia Index CFDs (HK, CN, JP)*
From 3 October 2022 to 31 December 2022!
Low Upfront Capital
Up to 20x Leverage
Award-winning Trading Platform
Round-the-clock Local Trade Support

Trade East With Ease!

Promotion Period
FXCFD Contract size

3 October 2022 – 31 December 2022
.

Zero Commission

ZERO COMMISSION for
East Asia Index CFDs

Trading Lot

From 1 Unit
.

Discover the available East Asia Index CFDs offered for this promotion!

197570

Hong Kong Index HKD1 CFD

Contract Specifications
Value of 1 Index Point HKD1
Category of World Indices CFD: Cash-Correlating
Related Cash Index Hang Seng Index
Contract Size HK$1 x Hong Kong Index HKD1 CFD Price x Quantity
Target Spreads (points)5 8
Margin Requirements 5%
Market Trading Hours 09:16 – 12:00
13:00 – 16:29
17:16 – 02:45
Order Submission Range +/- 20% from bid/ask price
Settlement Currency1 Hong Kong Dollars
Dividend Adjustment2 Yes

Hong Kong Index HKD5 CFD

Contract Specifications
Value of 1 Index Point HKD5
Category of World Indices CFD: Cash-Correlating
Related Cash Index Hang Seng Index
Contract Size HK$5 x Hong Kong Index HKD5 CFD Price x Quantity
Target Spreads (points)5 8
Margin Requirements 5%
Market Trading Hours 09:16 – 12:00
13:00 – 16:29
17:16 – 02:45
Order Submission Range +/- 20% from bid/ask price
Settlement Currency1 Hong Kong Dollars
Dividend Adjustment2 Yes

Hong Kong Tech Index HKD10 CFD

Contract Specifications
Value of 1 Index Point HKD10
Category of World Indices CFD: Cash-Correlating
Related Cash Index Hang Seng TECH Index
Contract Size HK$10 x Hong Kong Tech Index HKD10 CFD Price x Quantity
Target Spreads (points)5 11
Margin Requirements 5%
Market Trading Hours 09:16 – 12:00
13:00 – 16:29
Order Submission Range +/- 20% from bid/ask price
Settlement Currency1 Hong Kong Dollars
Dividend Adjustment2 Yes

H-Shares Index HKD1 CFD

Contract Specifications
Value of 1 Index Point HKD1
Category of World Indices CFD: Cash-Correlating
Related Cash Index Hang Seng China Enterprises Index
Contract Size HK$1 x H-Shares Index HKD1 CFD Price x Quantity
Target Spreads (points)5 8
Margin Requirements 5%
Market Trading Hours 09:16 – 12:00
13:00 – 16:29
17:16 – 02:45
Order Submission Range +/- 20% from bid/ask price
Settlement Currency1 Hong Kong Dollars
Dividend Adjustment2 Yes
197375

China A50 Index USD1 CFD

Contract Specifications
Value of 1 Index Point USD1
Category of World Indices CFD: Cash-Correlating
Related Cash Index FTSE China A50 Index
Contract Size US$1 x China A50 Index USD1 CFD Price x Quantity
Target Spreads (points)5 10
Margin Requirements 20%
Order Submission Range +/- 20% from bid/ask price
Market Trading Hours 09:01 – 16:29
17:01 – 04:00
Settlement Currency1 US Dollars
Dividend Adjustment2 Yes
197604

Japan 225 Index JPY100 CFD

Contract Specifications
Value of 1 Index Point ¥100
Category of World Indices CFD: Cash-Correlating
Related Cash Index Nikkei 225
Contract Size ¥100 x Japan 225 Index JPY100 CFD Price x Quantity
Target Spreads (points)5 10
Margin Requirements 5%
Order Submission Range +/- 20% from bid/ask price
Market Trading Hours 07:31 – 14:24
14:56 – 04:00
Settlement Currency1 Japanese Yen
Dividend Adjustment2 Yes

Tokyo Index JPY1000 CFD

Contract Specifications
Value of 1 Index Point ¥1000
Category of World Indices CFD: Cash-Correlating
Related Cash Index Tokyo Stock Price Index
Contract Size ¥1000 x Tokyo Index JPY1000 CFD Price x Quantity
Target Spreads (points)5 1
Margin Requirements 5%
Order Submission Range +/- 20% from bid/ask price
Market Trading Hours 08:01 – 10:34
10:46 – 14:05
Settlement Currency1 Japanese Yen
Dividend Adjustment2 Yes

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Terms & Conditions

Terms & Conditions

  1. This promotion is valid from 3 October to 31 December 2022 (“Promotion Period”), both dates inclusive, for the following Contracts for Difference (CFD) products(“Eligible CFD Products”):
    1. China A50 Index USD1 CFD
    2. Hong Kong Index HKD1 CFD
    3. Hong Kong Index HKD5 CFD
    4. Hong Kong Tech Index HKD10 CFD
    5. H-Shares Index HKD1 CFD
    6. Japan 225 Index JPY100 CFD
    7. Tokyo Index JPY1000 CFD
  2. There will be Zero Commissions for all Eligible CFD Products during the Promotion Period.
  3. This promotion is applicable to the following (“Eligible Accounts”):
    1. All Phillip Securities Pte Ltd (“PSPL”) Customers with a CFD account
  4. Standard Finance Charges and prevailing exchange rates apply. Learn more here: https://www.phillipcfd.com/pricing/
  5. The following Customers are NOT eligible to participate in this promotion unless approved by the management of PSPL:
    1. All employees of PSPL / Phillip Nova Pte Ltd (“PNPL”) and its associated entities (e.g. trading representatives, financial adviser representatives); PSPL and all its subsidiaries (direct or indirect); and their immediate families (e.g. spouse and children).
  6. In the event of a dispute over the Customer’s eligibility to participate in this promotion, PSPL’s decision will be final.
  7. Notwithstanding anything herein contained, PSPL reserves the right at any time in its absolute discretion to (i) amend, add and / or delete these Terms and Conditions without prior notification (including eligibility; replacement of the prize; promotional mechanics, promotion duration without prior notification, qualifying terms and criteria), and all participants shall be bound by such amendments, additions and / or deletions when effected, or (ii) vary, withdraw, or cancel any items or the promotion without having to disclose a reason thereof and without any compensation or payment whatsoever. PSPL’s decision on all matters relating to the promotion shall be final and binding on all participants.
  8. This advertisement has not been reviewed by the Monetary Authority of Singapore.
  9. By taking part in this promotion, the participant acknowledges that he / she has read and consented to these Terms & Conditions.

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Award 2

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24/5 Round-the-clock Trade Support

Round-the-clock
Local Trade Support

Trade CFDs on our award-winning suite of POEMS Platforms. Open a CFD Account now!

Ongoing CFD Promotions

Disclaimer

This material is provided to you for general information only and does not constitute a recommendation, an offer or solicitation to buy or sell the investment product mentioned. It does not have any regard to your specific investment objectives, financial situation or any of your particular needs. Accordingly, no warranty whatsoever is given and no liability whatsoever is accepted for any loss arising whether directly or indirectly as a result of your acts based on this information.

Investments are subject to investment risks. The risk of loss in leveraged trading can be substantial. You may sustain losses in excess of your initial funds and may be called upon to deposit additional margin funds at short notice. If the required funds are not provided within the prescribed time, your positions may be liquidated. The resulting deficits in your account are subject to penalty charges. The value of investments denominated in foreign currencies may diminish or increase due to changes in the rates of exchange. You should also be aware of the commissions and finance costs involved in trading leveraged products. This product may not be suitable for clients whose investment objective is preservation of capital and/or whose risk tolerance is low. Clients are advised to understand the nature and risks involved in margin trading.

You may wish to obtain advice from a qualified financial adviser, pursuant to a separate engagement, before making a commitment to purchase any of the investment products mentioned herein. In the event that you choose not to obtain advice from a qualified financial adviser, you should assess and consider whether the investment product is suitable for you before proceeding to invest and we do not offer any advice in this regard unless mandated to do so by way of a separate engagement. You are advised to read the trading account Terms & Conditions and Risk Disclosure Statement (available online at www.poems.com.sg) before trading in this product.

Any CFD offered is not approved or endorsed by the issuer or originator of the underlying securities and the issuer or originator is not privy to the CFD contract. This advertisement has not been reviewed by the Monetary Authority of Singapore.