CFDs are extremely high-risk products. Trade only if you fully understand the risks and our Risk Disclosure.

Answer: We will calculate overnight interest for 7 days per week in accordance with international banking practices. When made the deal for forex trading, The execution date will be the next two trade days (T 2). We calculate overnight interest for 1 day on Monday, Tuesday, Thursday, and Friday. The overnight interest will be charged for 3 days on Wednesday.