Dividend Payment or Charge Adjustments on Shares and Spot Stock Indices (27th May – 2nd Jun 2025) and Applicable Leverages (27th May – 2nd Jun 2025) Announcement - Zeal Capital Market

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Dividend Payment or Charge Adjustments on Shares and Spot Stock Indices (27th May – 2nd Jun 2025) and Applicable Leverages (27th May – 2nd Jun 2025) Announcement

Please be advised that when trading shares and spot stock indices using contracts for difference (CFDs), when an underlying listed company or a listed company (component) of an underlying stock index pays dividend to its shareholders, the value of the corresponding position held in the client’s trading account will be affected after the market close (trading platform / server time). Determined by whether the client’s position is long or short, the trading account will incur a net of tax dividend adjustment, which may be a payment or a charge. (Please note that stock indices futures CFDs do not participate in dividend adjustment. The composition of each Standard Lot referred to here may vary significantly from one trading product to another, please refer to contract specification for details.)

The projected impact of any dividend issued by a component on a stock index is weighted and calculated, and such figures are published and updated on our website.

Dividend payment received when holding a long position:

Dividend Payment = Component Dividend (weighted, per stock index contract) × Position Size in Standard Lot × Contract Size per Standard Lot Currency Multiplier

Dividend charge deducted when holding a short position:

Dividend Charge = Component Dividend (weighted, per stock index contract) × Position Size in Standard Lot × Contract Size per Standard Lot Currency Multiplier

Please find stock indices dividend figures below for this week:

(Please note that the dividend payment for Spot Stock Indices provided below is based on public information obtained 10 days in advance, the actual dividend payments may change due to the market change. If there have any changes, we will update the dividend values in the announcement section.

Symbol 27 May 28 May 29 May 30 May 02 Jun Dividend Payout Time
(GMT+1)
FRA40 4.65963   2.55254 2.75956 1.15438 21:55
US30 7.99095     18.44064 13.33873 21:55
NAS100   0.06565   2.29246   21:55
SPX500 0.48645 0.06686 0.09540 0.57096 0.70381 21:55
ChinaA50     1.91953     18:55
HK50 11.00940 26.53804 1.20751 2.25662 2.10564 19:45
AUS200     0.08467     21:55
SPAIN35 3.43852         18:55
UK100     9.54457     21:55
EURO50 1.56059         21:55
JAPAN225           21:55
FRA40min 4.65963   2.55254 2.75956 1.15438 21:55
US30min 7.99095     18.44064 13.33873 21:55
NAS100min   0.06565   2.29246   21:55
SPX500min 0.48645 0.06686 0.09540 0.57096 0.70381 21:55
ChinaA50min     1.91953     18:55
HK50min 11.00940 26.53804 1.20751 2.25662 2.10564 19:45
US30e 7.99095     18.44064 13.33873 21:55
NAS100e   0.06565   2.29246   21:55
SPX500e 0.48645 0.06686 0.09540 0.57096 0.70381 21:55
JAPAN225e           21:55

For Share CFDs

Dividend payment received when holding a long position:

Dividend Payment = Individual Stock Dividend (per share) × Position Size in Standard Lot × Contract Size per Standard Lot

Dividend charge deducted when holding a short position:

Dividend Charge = Individual Stock Dividend (per share) × Position Size in Standard Lot × Contract Size per Standard Lot

Please find expected stock dividend figures below for this week:

Symbol 27 May 28 May 29 May 30 May 02 Jun Dividend Payout Time   (GMT+1)
JNJ 1.3         21:00
EBAY       0.29   21:00
GS       3   21:00
TMUS       0.88   21:00
LMT         3.3 21:00
NKE         0.4 21:00

(Please note that the above information is indicative only and may be subject to change Dividend payout of an individual stock normally takes place after the close of its last trading session prior to the announced ex-dividend date shown above.)

The amendment of US Share CFDs’ applicable leverages is scheduled as follows (27th May – 2nd Jun 2025):

Symbol Earnings Announcement Date Leverage Amendment Time (GMT+1) Amended Leverage Resumed Leverage Time (GMT+1) Resumed Leverage  
NVDA 28/05/2025 26.05.2025 21:00 1:5 29.05.2025 21:00 1:10
CRM 28/05/2025 26.05.2025 21:00 1:5 29.05.2025 21:00 1:10
MRVL 29/05/2025 27.05.2025 21:00 1:5 30.05.2025 21:00 1:10

ZFX Zeal Group