INFINITAS CFDs are based on Futures contracts which expire on a specific date. It means there are no overnight financing costs or daily adjustments to your position, the underlying Futures price already accounts for these factors. Upon expiry, any open positions will automatically be closed-out at the closing price of the relevant contract. If you want to continue trading in the instrument you need only re-open your position in the new contract date.
SYMBOL | RELATED MARKET | DEALING HOURS (CET) |
LAST DEALING DAY (CURRENT CONTRACT MONTH) |
LAST DEALING DAY (CURRENT CONTRACT MONTH) CONTRACT MONTHS |
---|---|---|---|---|
Blg20 | BEL 20 Index | 09:00–17:35 |
14/7/2016 July |
All |
Bra50 | IBOVESPA | 14:00–22:55 |
16/8/2016 Aug |
Feb Apr Jun Aug Oct Dec |
Esp35 | IBEX 35 | 09:00–20:00 |
14/7/2016 July |
All |
Euro50 | Eurostoxx 50 | 08:00–22:00 |
15/9/2016 Sep |
Mar Jun Sep Dec |
Fra40 | CAC 40 | 08:00–22:00 |
14/7/2016 July |
All |
GerTec | TechDAX IndexGer30 | 09:00–17:30 |
15/9/2016 Sep |
Mar Jun Sep Dec |
Ger30 | DAX30 | 08:00–22:00 |
15/9/2016 Sep |
Mar Jun Sep Dec |
HKInd | HANG SENG | 03:15–06:00 07:00–10:15 |
28/6/2016 Jun |
<All |
Ind50 | NIFTY 50 | 02:00–11:10 |
29/6/2016 Jun |
All |
Ita40 | FTSE MIB | 09:00–17:50 |
15/9/2016 Sep |
Mar Jun Sep Dec |
Jp225 | NIKKEI 225 | 00:00–22:15 22:30–23:00 |
7/9/2016 Sep |
Mar Jun Sep Dec |
Neth25 | AEX 25 | 08:00–21:00 |
14/7/2016 July |
All |
Nor25 | OBX | 09:00–16:20 |
20/7/2016 July |
All |
Swi20 | SMI 20 | 08:50–17:30 |
15/9/2016 Sep |
Mar Jun Sep Dec |
UK100 | FTSE 100 | 09:00–22:00 |
15/9/2016 Sep |
Mar Jun Sep Dec |
Usa500 | S&P500 | 00:00–22:15 22:30–23:00 |
15/9/2016 Sep |
Mar Jun Sep Dec |
UsaInd | DOW JONES INDUSTRIAL | 00:00–22:15 22:30–23:00 |
15/9/2016 Sep |
Mar Jun Sep Dec |
UsaRus | RUSSEL 2000 | (Monday 00:00–24:00) 02:00–24:00 |
15/9/2016 Sep |
Mar Jun Sep Dec |
UsaTec | NASDAQ 100 | 00:00–22:15 22:30–23:00 |
15/9/2016 Sep |
Mar Jun Sep Dec |
UsaVix | VOLATILITY INDEX | 14:00–22:15 |
19/7/2016 July |
All |
USDInd | US DOLLAR INDEX | 02:00–23:00 |
16/9/2016 Sep |
Mar Jun Sep Dec |
SYMBOL | RELATED MARKET | DEALING HOURS (CET) |
LAST DEALING DAY (CURRENT CONTRACT MONTH) |
LAST DEALING DAY (CURRENT CONTRACT MONTH) CONTRACT MONTHS |
---|---|---|---|---|
EuBund | German Bund | 08:00–22:00 |
7/9/2016 Sep |
Mar Jun Sep Dec |
EuBbl | Euro-Bobl | 08:00–22:00 |
7/9/2016 Sep |
Mar Jun Sep Dec |
EuStz | Euro-Schatz | 08:00–22:00 |
7/9/2016 Sep |
Mar Jun Sep Dec |
UsaTB | 30 -YEAR US TREASURY BOND | 00:00–23:00 |
20/9/2016 Sep |
Mar Jun Sep Dec |
UsaTN | 10 -YEAR US TREASURY NOTE | 00:00–23:00 |
20/9/2016 Sep |
Mar Jun Sep Dec |
Please Note: All our transactions are structured like a CFD; therefore they are cash settled and do not result in the delivery of the underlying instrument.