Notice

Upcoming Share ETF CFD Corporate Actions and Price Adjustments

Dear clients,

The following table is the information on upcoming dates of ex-dividend or other corporate actions for the underlying stocks of our Share ETF CFD.

Symbol Company Ex-Dividend Date Dividend
#MSFT Microsoft Corporation(CFD) 2025-11-20 0.6370 USD
#MAR Marriott International Inc(CFD) 2025-11-20 0.4690 USD
#MCO Moodys Corporation(CFD) 2025-11-21 0.6580 USD
#HLT Hilton Worldwide Holdings Inc(CFD) 2025-11-21 0.1050 USD
#JNJ Johnson & Johnson(CFD) 2025-11-25 0.9100 USD
#TMUS T-Mobile US Inc (CFD) 2025-11-26 0.7140 USD
#EBAY eBay Inc.(CFD) 2025-11-28 0.2030 USD
#KHC Kraft Heinz Co(CFD) 2025-11-28 0.2800 USD

Please note that the dividend or price adjustment amounts listed are provided for reference by our Liquidity Provider only. These figures are subject to change.

Clients who hold CFD stocks or ETFs until the ex-dividend date listed below will receive or be charged dividends if they buy or sell CFD shares or ETFs respectively. Dividends will not be received or charged on or after the ex-dividend date.

Clients who hold buy/long CFD shares or ETFs may receive dividends calculated as follows:
Dividend received = Share Dividend declared x no. of CFD shares in long position

Clients who hold sell/short CFD shares or ETFs may be charged dividends calculated as follows:
Dividend charged = Share Dividend declared x no. of CFD shares in short position

Note: The dividends will be paid or charged on the ex-dividend date in your trading account.

 

Please feel free to contact us if you have any questions.

 

Sincerely,

ATFX

Indices Swaps – Adjustment

Dear Client,

The following table shows the overnight swaps of the Indices CFDs subject to adjustment. The changes are caused by ex-dividend of constituent stocks in certain indices on a certain date.

Symbols Indices Date Long Swap (Pips) Short Swap (Pips)
US30 US Dow Jones 30 Spot Index (CFD) 2025-11-17 +70.86 -95.13
US30 US Dow Jones 30 Spot Index (CFD) 2025-11-19 +21.61 -45.88
NAS100 US NASDAQ 100 Spot Index (CFD) 2025-11-19 +15.09 -36.58
US30 US Dow Jones 30 Spot Index (CFD) 2025-11-20 +112.11 -136.38
NAS100 US NASDAQ 100 Spot Index (CFD) 2025-11-20 -12.82 -8.67

Note:

  1. Pips refers to the smallest price movement of Index.
    For example, if HK50 price is 28,380.8, since the smallest price movement is 0.1, “1 pip” is the price movement of 0.1.
  2. The swaps will be calculated at the end of day, which is at 00:00 platform time. Clients are advised to closely monitor your open positions and maintain sufficient margin for the special overnight indices’ swaps charged.
  3. The values provided are received from liquidity providers (LP) and are subject to omissions or errors. If there is any change, the final values is subject to the trading platform.

ATFX will update the swaps at around 6:00PM (GMT+8). Clients can also view the swap information under the Product Specifications section of the MT4 platform.

If you require further clarification, please do not hesitate to contact us, thank you.

Regards,

ATFX

Upcoming Share ETF CFD Corporate Actions and Price Adjustments

Dear clients,

The following table is the information on upcoming dates of ex-dividend or other corporate actions for the underlying stocks of our Share ETF CFD.

Symbol Company Ex-Dividend Date Dividend
#HON Honeywell International Inc(CFD) 2025-11-14 0.8330 USD
#DUK Duke Energy Corporation(CFD) 2025-11-14 0.7455 USD
#XOM Exxon Mobil Corporation(CFD) 2025-11-14 0.7210 USD
#LLY Eli Lilly and Company(CFD) 2025-11-14 1.0500 USD
#MMM 3M Company(CFD) 2025-11-14 0.5110 USD
#SCHW Charles Schwab Corp (CFD) 2025-11-14 0.1890 USD
#SBUX Starbucks Corporation(CFD) 2025-11-14 0.4340 USD
#COP ConocoPhillips(CFD) 2025-11-17 0.5880 USD
#UPS United Parcel Service Inc(CFD) 2025-11-17 1.1480 USD
#CVX Chevron Corporation (CFD) 2025-11-18 1.1970 USD
#PRU Prudential Financial Inc(CFD) 2025-11-18 0.9450 USD
#VRSN VeriSign Inc (CFD) 2025-11-18 0.5390 USD
#PYPL PayPal Holdings Inc(CFD) 2025-11-19 0.0980 USD
#MSFT Microsoft Corporation(CFD) 2025-11-20 0.6370 USD
#MAR Marriott International Inc(CFD) 2025-11-20 0.4690 USD
#MCO Moodys Corporation(CFD) 2025-11-21 0.6580 USD
#HLT Hilton Worldwide Holdings Inc(CFD) 2025-11-21 0.1050 USD

Please note that the dividend or price adjustment amounts listed are provided for reference by our Liquidity Provider only. These figures are subject to change.

Clients who hold CFD stocks or ETFs until the ex-dividend date listed below will receive or be charged dividends if they buy or sell CFD shares or ETFs respectively. Dividends will not be received or charged on or after the ex-dividend date.

Clients who hold buy/long CFD shares or ETFs may receive dividends calculated as follows:
Dividend received = Share Dividend declared x no. of CFD shares in long position

Clients who hold sell/short CFD shares or ETFs may be charged dividends calculated as follows:
Dividend charged = Share Dividend declared x no. of CFD shares in short position

Note: The dividends will be paid or charged on the ex-dividend date in your trading account.

 

Please feel free to contact us if you have any questions.

 

Sincerely,

ATFX

ATFX Trading Schedule during Market Holidays in November 2025

Due to the upcoming US Thanksgiving Day holiday, the following instruments are subject to change. Please see the table below for the trading schedule.

 

Products 27/11/2025 (Thu) 28/11/2025 (Fri) 01/12/2025 (Mon)
Forex Normal Normal Normal
Metals Early Close at 21:30 Early Close at 21:45 Normal
Cryptos Normal Normal Normal
Energy 27/11/2025 (Thu) 28/11/2025 (Fri) 01/12/2025 (Mon)
USOIL Futures Early Close at 21:30 Early Close at 21:45 Normal
UKOIL Futures Early Close at 20:30 Early Close at 21:45 Normal
USOIL Spot Early Close at 21:30 Early Close at 21:45 Normal
UKOIL Spot Early Close at 20:30 Early Close at 21:45 Normal
US Natural Gas Futures Early Close at 21:30 Early Close at 21:45 Normal
Shares CFD 27/11/2025 (Thu) 28/11/2025 (Fri) 01/12/2025 (Mon)
US Shares Market Closed Early Close at 20:00 Normal
German Shares Normal Normal Normal
France Shares Normal Normal Normal
HK Shares Normal Normal Normal
Indices 27/11/2025 (Thu) 28/11/2025 (Fri) 01/12/2025 (Mon)
HK50 Normal Normal Normal
HKCH50 Normal Normal Normal
CHI50 Normal Normal Normal
AUS200 Normal Normal Normal
EU50 Normal Normal Normal
ESP35 Normal Normal Normal
FRA40 Normal Normal Normal
GER30 Early Close at 23:00 Early Close at 23:00 Normal
IT40 Normal Normal Normal
UK100 Early Close at 23:00 Early Close at 23:00 Normal
JP225 Early Close at 20:00 Early Close at 20:15 Normal
US30 Early Close at 20:00 Early Close at 20:15 Normal
NAS100 Early Close at 20:00 Early Close at 20:15 Normal
SPX500 Early Close at 20:00 Early Close at 20:15 Normal
US2000 Early Close at 20:00 Early Close at 20:15 Normal
USDX_DEC25 Normal Early Close at 20:15 Normal

 

Noted: The times mentioned above are MT Server time GMT+3. The above schedule may be subject to change without prior notice.

 

Risk disclosure: Before and after long holidays there is often a lack of liquidity on all financial instruments. This may lead to the widening of spreads, potential gapping and creates uncertainty in the markets. We advise that all clients should closely monitor their account situation and make sure you have sufficient margin in your account at all times.

 

Please feel free to contact us if you have any questions.

 

Happy trading,

ATFX

Netflix Share Split Announcement

Dear Clients,

 

Netflix announced its 10-for-1 share split will take place on 14 Nov 2025. This means every 1 share of Netflix Inc held by investors will be split to 10 shares. Meantime, the share price of NFLX will be adjusted to one tenth.

 

As the CFD product #NFLX provided by ATFX is derived from the Exchange-traded stock Netflix, the product’s price will also undergo the share split rule.

Symbol Product Corporate Action Date
#NFLX Netflix Inc CFD 10-for-1 share split 14 Nov 2025

 

The example below describes how #NFLX 10-for-1 share split affects current holding position.

Type Volume (Lot) Open price Trade date
Buy 100 1100 On or Before 14 November 2025
Buy 1000 110 After 14 November 2025

 

Type Volume (Lot) Open price Trade date
Sell 100 1100 On or Before 14 November 2025
Sell 1000 110 After 14 November 2025

 

Note:

  1. All pending orders Buy Limit/Sell Limit/Buy Stop/Sell Stop will be DELETED on 14 November 2025 after market close.
  2. In order to ensure the price stability after the share split and to avoid affecting clients’ transactions, the start trading time of #NFLX will be delayed by 5 minutes on 17 November 2025. It means the trading time start from 16:38 MT system time!!

 

Please feel free to contact us if you have any questions.

 

Sincerely,

ATFX

Futures CFDs Contract Expiry Notification, November 2025

Dear Clients,

Please note the following Futures CFDs will be expiring during the month of November 2025.

Products Name Contract Month Symbols First Trading Date Last Trading Date and Time
US WTI Crude Oil Futures December-2025 USOIL.DEC25 2025-10-15 2025-11-18, 23:54
US Natural Gas Futures December-2025 NGAS.DEC25 2025-10-23 2025-11-21, 23:54
Copper Futures December-2025 HG_DEC25 2025-08-25 2025-11-24, 23:54
UK BRENT Crude Oil Futures January-2026 UKOIL.JAN26 2025-10-27 2025-11-26, 23:54
Gold Futures December-2025 GOLD_DEC25 2025-07-25 2025-11-26, 23:54

Notice: Open positions on the expiration dates will be closed at the market settlement price. All pending orders that are associated with the expiring contracts will be cancelled.

 

New Futures CFDs contracts will be available for trading as below schedule:

Products Name Contract Month Symbols First Trading Date and Time Expiry Date
US WTI Crude Oil Futures January-2026 USOIL.JAN26 2025-11-14, 01:01 2025-12-17
US Natural Gas Futures January-2026 NGAS.JAN26 2025-11-19, 01:01 2025-12-24
Copper Futures March-2026 HG_MAR26 2025-11-21, 01:01 2026-02-24
UK BRENT Crude Oil Futures February-2026 UKOIL.FEB26 2025-11-24, 03:01 2025-12-26
Gold Futures February-2026 GOLD_FEB26 2025-11-24, 01:01 2026-01-28

Notice: The times mentioned above are Server time GMT+3. If the above information has changed, the final information will be subjected to the trading platform.

 

Please feel free to contact us if you have any questions. Thank you very much for your kind attention!

 

Sincerely,

ATFX

Upcoming Share ETF CFD Corporate Actions and Price Adjustments

Dear clients,

The following table is the information on upcoming dates of ex-dividend or other corporate actions for the underlying stocks of our Share ETF CFD.

Symbol Company Ex-Dividend Date Dividend
#F Ford Motor Company(CFD) 2025-11-07 0.1050 USD
#WFC Wells Fargo & Company(CFD) 2025-11-07 0.3150 USD
#PFE Pfizer Inc.(CFD) 2025-11-07 0.3010 USD
#IBM International Business Machines Corp(CFD) 2025-11-10 1.1760 USD
#AAPL Apple, Inc.(CFD) 2025-11-10 0.1820 USD
#TGT Target Corporation(CFD) 2025-11-12 0.7980 USD
#V Visa, Inc.(CFD) 2025-11-12 0.4690 USD

 

Symbol Company Ex-Dividend Date Dividend
#HK0005 HSBC Holdings(CFD) 2025-11-06 0.0850 USD
#HK0016 Sun Hung Kai Properties(CFD) 2025-11-10 2.3800 HKD
#HK2388 BOC Hong Kong Holdings(CFD) 2025-11-12 0.2465 HKD

Please note that the dividend or price adjustment amounts listed are provided for reference by our Liquidity Provider only. These figures are subject to change.

Clients who hold CFD stocks or ETFs until the ex-dividend date listed below will receive or be charged dividends if they buy or sell CFD shares or ETFs respectively. Dividends will not be received or charged on or after the ex-dividend date.

Clients who hold buy/long CFD shares or ETFs may receive dividends calculated as follows:
Dividend received = Share Dividend declared x no. of CFD shares in long position

Clients who hold sell/short CFD shares or ETFs may be charged dividends calculated as follows:
Dividend charged = Share Dividend declared x no. of CFD shares in short position

Note: The dividends will be paid or charged on the ex-dividend date in your trading account.

 

Please feel free to contact us if you have any questions.

 

Sincerely,

ATFX

Indices Swaps – Adjustment

Dear Client,

The following table shows the overnight swaps of the Indices CFDs subject to adjustment. The changes are caused by ex-dividend of constituent stocks in certain indices on a certain date.

Symbols Indices Date Long Swap (Pips) Short Swap (Pips)
US30 US Dow Jones 30 Spot Index (CFD) 2025-11-07 +85.02 -109.29
NAS100 US NASDAQ 100 Spot Index (CFD) 2025-11-07 +3.04 -24.53
CHI50 FTSE China A50 Spot Index (CFD) 2025-11-07 +43.24 -52.49
HK50 Hong Kong HSI Spot Index (CFD) 2025-11-07 +48.10 -61.71
AUS200 Australian S&P/ASX Spot Index (CFD) 2025-11-10 +81.00 -85.95
US30 US Dow Jones 30 Spot Index (CFD) 2025-11-11 +6.83 -31.10
UK100 UK FTSE 100 Spot Index (CFD) 2025-11-12 +140.76 -146.41
AUS200 Australian S&P/ASX Spot Index (CFD) 2025-11-12 +75.35 -80.30
US30 US Dow Jones 30 Spot Index (CFD) 2025-11-13 +132.43 -156.70
NAS100 US NASDAQ 100 Spot Index (CFD) 2025-11-13 +0.65 -22.14
SPX500 US S&P 500 Spot Index (CFD) 2025-11-13 -5.96 -8.77

Note:

  1. Pips refers to the smallest price movement of Index.
    For example, if HK50 price is 28,380.8, since the smallest price movement is 0.1, “1 pip” is the price movement of 0.1.
  2. The swaps will be calculated at the end of day, which is at 00:00 platform time. Clients are advised to closely monitor your open positions and maintain sufficient margin for the special overnight indices’ swaps charged.
  3. The values provided are received from liquidity providers (LP) and are subject to omissions or errors. If there is any change, the final values is subject to the trading platform.

ATFX will update the swaps at around 6:00PM (GMT+8). Clients can also view the swap information under the Product Specifications section of the MT4 platform.

If you require further clarification, please do not hesitate to contact us, thank you.

Regards,

ATFX

Indices Swaps – Adjustment

Dear Client,

The following table shows the overnight swaps of the Indices CFDs subject to adjustment. The changes are caused by ex-dividend of constituent stocks in certain indices on a certain date.

Symbols Indices Date Long Swap (Pips) Short Swap (Pips)
ESP35 Spain IBEX35 Spot Index (CFD) 2025-11-04 +352.56 -359.46
UK100 UK FTSE 100 Spot Index (CFD) 2025-11-05 +86.23 -91.88
HK50 Hong Kong HSI Spot Index (CFD) 2025-11-05 +143.18 -156.79

Note:

  1. Pips refers to the smallest price movement of Index.
    For example, if HK50 price is 28,380.8, since the smallest price movement is 0.1, “1 pip” is the price movement of 0.1.
  2. The swaps will be calculated at the end of day, which is at 00:00 platform time. Clients are advised to closely monitor your open positions and maintain sufficient margin for the special overnight indices’ swaps charged.
  3. The values provided are received from liquidity providers (LP) and are subject to omissions or errors. If there is any change, the final values is subject to the trading platform.

ATFX will update the swaps at around 6:00PM (GMT+8). Clients can also view the swap information under the Product Specifications section of the MT4 platform.

If you require further clarification, please do not hesitate to contact us, thank you.

Regards,

ATFX

Upcoming Share ETF CFD Corporate Actions and Price Adjustments

Dear clients,

The following table is the information on upcoming dates of ex-dividend or other corporate actions for the underlying stocks of our Share ETF CFD.

Symbol Company Ex-Dividend Date Dividend
#C Citigroup Inc(CFD) 2025-11-03 0.4200 USD
#NRG NRG Energy Inc(CFD) 2025-11-03 0.3080 USD
#LVS Las Vegas Sands Corp(CFD) 2025-11-04 0.1750 USD
#F Ford Motor Company(CFD) 2025-11-07 0.1050 USD
#PFE Pfizer Inc.(CFD) 2025-11-07 0.3010 USD

Please note that the dividend or price adjustment amounts listed are provided for reference by our Liquidity Provider only. These figures are subject to change.

Clients who hold CFD stocks or ETFs until the ex-dividend date listed below will receive or be charged dividends if they buy or sell CFD shares or ETFs respectively. Dividends will not be received or charged on or after the ex-dividend date.

Clients who hold buy/long CFD shares or ETFs may receive dividends calculated as follows:
Dividend received = Share Dividend declared x no. of CFD shares in long position

Clients who hold sell/short CFD shares or ETFs may be charged dividends calculated as follows:
Dividend charged = Share Dividend declared x no. of CFD shares in short position

Note: The dividends will be paid or charged on the ex-dividend date in your trading account.

 

Please feel free to contact us if you have any questions.

 

Sincerely,

ATFX