FOREX TRADE TABLE
UC10F_BBJ  &  UC1010_BBJ
SPESIFIKASI REMARKS
Swiss Franc
USD/CHF
Kode Kontrak UC10F_BBJ UC1010_BBJ
Kurs Mengambang ( USD ) Tetap( USD 1 = IDR 10.000 )
Satuan Kontrak USD 100,000 USD 100,000
Hari Perdagangan Senin - Jumat Senin - Jumat
Jam Perdagangan    
- Summer (Daylight Saving Time) 07:00-03:00 WIB 07:00-03:00 WIB
- Winter 07:00-04:00 WIB 07:00-04:00 WIB
     
Margin untuk Transaksi Harian USD 1,000 / Lot IDR 10.000.000 / Lot
Margin untuk Transaksi Menginap USD 2,000 / Lot IDR 20.000.000 / Lot
     
Komisi USD15/Lot/Sisi IDR 150.000/Lot/Sisi
Biaya Rollover untuk Jual / Beli USD5/Lot/Malam IDR 50.000/Lot/Malam
PPN* 11% dari Komisi dan Biaya untuk Jual/Beli 11% dari Komisi dan Biaya untuk Jual/Beli
     
Maintenance Margin 70% dari Kebutuhan Margin 70% dari Kebutuhan Margin
Auto Liquidation 30% dari Kebutuhan Margin 30% dari Kebutuhan Margin
     
Sumber Harga Telequote Telequote
Harga Acuan Last Trade Last Trade
     
Spread Kuotasi Harga Minimum 4 pips/side 4 pips/side
Spread Kuotasi Harga Hectic Based on Market Based on Market
Pergerakan Harga Minimum 0.0001 pip (Tick value : CHF 10) 0.0001 pip (Tick value : CHF 10)
Rentang Harga untuk Limit dan Stop Order 20-2000 Points/pips 20-2000 Points/pips
Rentang Harga Hectic untuk Limit & Stop Order Base On Market Base On Market
Penyelesaian Cash Settlement Cash Settlement

* Changes in VAT fees to 11% (Effective as of April 01st, 2022)

ATTENTION!
MANAGEMENT OF PT. SOLID GOLD BERJANGKA (PT SGB) APPRECIATES TO THE ENTIRE COMMUNITY TO BE MORE CAREFUL FOR SOME OF THE INVESTMENT SCOPE FOR PT SGB BY USING ELECTRONIC MEDIA OR SOCIAL MEDIA. FOR ITS TO BE ENSURED THAT THE FUNDS TRANSFER TO THE GOAL ACCOUNT (SEGREGATED ACCOUNT) TO IMPLEMENT THE TERM TRADING TRANSACTION IS THE NAME OF PT SOLID GOLD TERM, NOT THE INDIVIDUAL NAME.

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