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
#MICP Michelin SCA(CFD) 21-05-2025 1.2034 EUR
#MMM 3M Company(CFD) 23-05-2025 0.5110 USD
#HLT Hilton Worldwide Holdings Inc(CFD) 23-05-2025 0.1050 USD
#MAR Marriott International Inc(CFD) 23-05-2025 0.4690 USD
#DFS Discover Financial Services(CFD) 23-05-2025 0.4900 USD
#DBK Deutsche Bank AG(CFD) 23-05-2025 0.5016 EUR
#FME Fresenius Medical Care(CFD) 23-05-2025 1.0621 EUR

 

Symbol Company Ex-Dividend Date Dividend
#HK6862 Hai Di Lao(CFD) 21-05-2025 0.4310 HKD
#HK1876 Budweiser Brewing Co APAC(CFD) 21-05-2025 0.3737 HKD
#HK1044 Hengan Intl Group Co Ltd(CFD) 22-05-2025 0.6443 HKD
#HK9633 NongFu Spring(CFD) 22-05-2025 0.6460 CNY
#HK0291 China Resources Beer Holdings(CFD) 22-05-2025 0.3290 CNY
#HK0168 Tsingtao Brewery CO Ltd(CFD) 23-05-2025 1.8700 CNY
#HK0066 MTR Corp(CFD) 23-05-2025 0.7565 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

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
#MICP Michelin SCA(CFD) 21-05-2025 1.2034 EUR
#MMM 3M Company(CFD) 23-05-2025 0.5110 USD
#HLT Hilton Worldwide Holdings Inc(CFD) 23-05-2025 0.1050 USD
#MAR Marriott International Inc(CFD) 23-05-2025 0.4690 USD
#DFS Discover Financial Services(CFD) 23-05-2025 0.4900 USD
#DBK Deutsche Bank AG(CFD) 23-05-2025 0.5016 EUR
#FME Fresenius Medical Care(CFD) 23-05-2025 1.0621 EUR

 

Symbol Company Ex-Dividend Date Dividend
#HK6862 Hai Di Lao(CFD) 21-05-2025 0.4310 HKD
#HK1876 Budweiser Brewing Co APAC(CFD) 21-05-2025 0.3737 HKD
#HK1044 Hengan Intl Group Co Ltd(CFD) 22-05-2025 0.6443 HKD
#HK9633 NongFu Spring(CFD) 22-05-2025 0.6460 CNY
#HK0291 China Resources Beer Holdings(CFD) 22-05-2025 0.3290 CNY
#HK0168 Tsingtao Brewery CO Ltd(CFD) 23-05-2025 1.8700 CNY
#HK0066 MTR Corp(CFD) 23-05-2025 0.7565 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)
FRA40 French CAC 40 Spot Index (CFD) 2025-05-16 +306.49 -311.67
EU50 Euro Stoxx 50 Index (CFD) 2025-05-16 +164.83 -168.06
IT40 Italy MIB 40 Spot Index (CFD) 2025-05-16 +6479.17 -7174.77
ESP35 Spain IBEX35 Spot Index (CFD) 2025-05-16 +37.18 -44.08
US30 US Dow Jones 30 Spot Index (CFD) 2025-05-16 +70.69 -94.96
AUS200 Australian S&P/ASX Spot Index (CFD) 2025-05-16 +54.41 -59.36
FRA40 French CAC 40 Spot Index (CFD) 2025-05-20 +38.07 -43.25
HK50 Hong Kong HSI Spot Index (CFD) 2025-05-20 +92.88 -106.49
UK100 UK FTSE 100 Spot Index (CFD) 2025-05-21 +30.65 -36.30
ESP35 Spain IBEX35 Spot Index (CFD) 2025-05-21 +43.56 -50.46
US30 US Dow Jones 30 Spot Index (CFD) 2025-05-22 +10.45 -34.72
HK50 Hong Kong HSI Spot Index (CFD) 2025-05-22 +29.91 -43.52

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)
FRA40 French CAC 40 Spot Index (CFD) 2025-05-16 +306.49 -311.67
EU50 Euro Stoxx 50 Index (CFD) 2025-05-16 +164.83 -168.06
IT40 Italy MIB 40 Spot Index (CFD) 2025-05-16 +6479.17 -7174.77
ESP35 Spain IBEX35 Spot Index (CFD) 2025-05-16 +37.18 -44.08
US30 US Dow Jones 30 Spot Index (CFD) 2025-05-16 +70.69 -94.96
AUS200 Australian S&P/ASX Spot Index (CFD) 2025-05-16 +54.41 -59.36
FRA40 French CAC 40 Spot Index (CFD) 2025-05-20 +38.07 -43.25
HK50 Hong Kong HSI Spot Index (CFD) 2025-05-20 +92.88 -106.49
UK100 UK FTSE 100 Spot Index (CFD) 2025-05-21 +30.65 -36.30
ESP35 Spain IBEX35 Spot Index (CFD) 2025-05-21 +43.56 -50.46
US30 US Dow Jones 30 Spot Index (CFD) 2025-05-22 +10.45 -34.72
HK50 Hong Kong HSI Spot Index (CFD) 2025-05-22 +29.91 -43.52

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)
FRA40 French CAC 40 Spot Index (CFD) 2025-05-16 +306.49 -311.67
EU50 Euro Stoxx 50 Index (CFD) 2025-05-16 +164.83 -168.06
IT40 Italy MIB 40 Spot Index (CFD) 2025-05-16 +6479.17 -7174.77
ESP35 Spain IBEX35 Spot Index (CFD) 2025-05-16 +37.18 -44.08
US30 US Dow Jones 30 Spot Index (CFD) 2025-05-16 +70.69 -94.96
AUS200 Australian S&P/ASX Spot Index (CFD) 2025-05-16 +54.41 -59.36
FRA40 French CAC 40 Spot Index (CFD) 2025-05-20 +38.07 -43.25
HK50 Hong Kong HSI Spot Index (CFD) 2025-05-20 +92.88 -106.49
UK100 UK FTSE 100 Spot Index (CFD) 2025-05-21 +30.65 -36.30
ESP35 Spain IBEX35 Spot Index (CFD) 2025-05-21 +43.56 -50.46
US30 US Dow Jones 30 Spot Index (CFD) 2025-05-22 +10.45 -34.72
HK50 Hong Kong HSI Spot Index (CFD) 2025-05-22 +29.91 -43.52

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
#EON E.On  AG(CFD) 16-05-2025 0.4057 EUR
#SBUX Starbucks Corporation(CFD) 16-05-2025 0.4270 USD
#CBK Commerzbank AG(CFD) 16-05-2025 0.4794 EUR
#MCO Moodys Corporation(CFD) 16-05-2025 0.6580 USD
#DUK Duke Energy Corporation(CFD) 16-05-2025 0.7315 USD
#ADS Adidas AG(CFD) 16-05-2025 1.4752 EUR
#LLY Eli Lilly and Company(CFD) 16-05-2025 1.0500 USD
#WYNN Wynn Resorts Limited (CFD) 16-05-2025 0.1750 USD
#VRSN VeriSign Inc (CFD) 19-05-2025 0.5390 USD
#COP ConocoPhillips(CFD) 19-05-2025 0.5460 USD
#UPS United Parcel Service Inc(CFD) 19-05-2025 1.1480 USD
#CVX Chevron Corporation (CFD) 19-05-2025 1.1970 USD
#AIRP Air Liquide SA(CFD) 19-05-2025 2.8776 EUR
#BNPP BNP Paribas SA(CFD) 19-05-2025 4.1769 EUR
#VOW Volkswagen AG(CFD) 19-05-2025 4.6911 EUR
#AA Alcoa Corp(CFD) 20-05-2025 0.0700 USD
#PRU Prudential Financial Inc(CFD) 20-05-2025 0.9450 USD

 

Symbol Company Ex-Dividend Date Dividend
#HK0700 Tencent Holdings Ltd(CFD) 16-05-2025 3.8250 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

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
#EON E.On  AG(CFD) 16-05-2025 0.4057 EUR
#SBUX Starbucks Corporation(CFD) 16-05-2025 0.4270 USD
#CBK Commerzbank AG(CFD) 16-05-2025 0.4794 EUR
#MCO Moodys Corporation(CFD) 16-05-2025 0.6580 USD
#DUK Duke Energy Corporation(CFD) 16-05-2025 0.7315 USD
#ADS Adidas AG(CFD) 16-05-2025 1.4752 EUR
#LLY Eli Lilly and Company(CFD) 16-05-2025 1.0500 USD
#WYNN Wynn Resorts Limited (CFD) 16-05-2025 0.1750 USD
#VRSN VeriSign Inc (CFD) 19-05-2025 0.5390 USD
#COP ConocoPhillips(CFD) 19-05-2025 0.5460 USD
#UPS United Parcel Service Inc(CFD) 19-05-2025 1.1480 USD
#CVX Chevron Corporation (CFD) 19-05-2025 1.1970 USD
#AIRP Air Liquide SA(CFD) 19-05-2025 2.8776 EUR
#BNPP BNP Paribas SA(CFD) 19-05-2025 4.1769 EUR
#VOW Volkswagen AG(CFD) 19-05-2025 4.6911 EUR
#AA Alcoa Corp(CFD) 20-05-2025 0.0700 USD
#PRU Prudential Financial Inc(CFD) 20-05-2025 0.9450 USD

 

Symbol Company Ex-Dividend Date Dividend
#HK0700 Tencent Holdings Ltd(CFD) 16-05-2025 3.8250 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

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
#EON E.On  AG(CFD) 16-05-2025 0.4057 EUR
#SBUX Starbucks Corporation(CFD) 16-05-2025 0.4270 USD
#CBK Commerzbank AG(CFD) 16-05-2025 0.4794 EUR
#MCO Moodys Corporation(CFD) 16-05-2025 0.6580 USD
#DUK Duke Energy Corporation(CFD) 16-05-2025 0.7315 USD
#ADS Adidas AG(CFD) 16-05-2025 1.4752 EUR
#LLY Eli Lilly and Company(CFD) 16-05-2025 1.0500 USD
#WYNN Wynn Resorts Limited (CFD) 16-05-2025 0.1750 USD
#VRSN VeriSign Inc (CFD) 19-05-2025 0.5390 USD
#COP ConocoPhillips(CFD) 19-05-2025 0.5460 USD
#UPS United Parcel Service Inc(CFD) 19-05-2025 1.1480 USD
#CVX Chevron Corporation (CFD) 19-05-2025 1.1970 USD
#AIRP Air Liquide SA(CFD) 19-05-2025 2.8776 EUR
#BNPP BNP Paribas SA(CFD) 19-05-2025 4.1769 EUR
#VOW Volkswagen AG(CFD) 19-05-2025 4.6911 EUR
#AA Alcoa Corp(CFD) 20-05-2025 0.0700 USD
#PRU Prudential Financial Inc(CFD) 20-05-2025 0.9450 USD

 

Symbol Company Ex-Dividend Date Dividend
#HK0700 Tencent Holdings Ltd(CFD) 16-05-2025 3.8250 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

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
#DAL Delta Air Lines Inc(CFD) 13-05-2025 0.1050 USD
#V Visa, Inc.(CFD) 13-05-2025 0.4130 USD
#TGT Target Corporation(CFD) 14-05-2025 0.7840 USD
#SAP SAP SE(CFD) 14-05-2025 1.7334 EUR
#MSFT Microsoft Corporation(CFD) 15-05-2025 0.5810 USD
#XOM Exxon Mobil Corporation(CFD) 15-05-2025 0.6930 USD
#DB1 Deutsche Boerse AG(CFD) 15-05-2025 2.9504 EUR
#BMW Bayerische Motoren Werke AG(CFD) 15-05-2025 3.1717 EUR

 

Symbol Company Ex-Dividend Date Dividend
#HK0011 Hang Seng Bank Ltd(CFD) 14-05-2025 1.1050 HKD
#HK2388 BOC Hong Kong Holdings(CFD) 14-05-2025 0.2465 HKD
#HK2318 Ping An Insurance Group(CFD) 15-05-2025 1.3770 CNY

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

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
#DAL Delta Air Lines Inc(CFD) 13-05-2025 0.1050 USD
#V Visa, Inc.(CFD) 13-05-2025 0.4130 USD
#TGT Target Corporation(CFD) 14-05-2025 0.7840 USD
#SAP SAP SE(CFD) 14-05-2025 1.7334 EUR
#MSFT Microsoft Corporation(CFD) 15-05-2025 0.5810 USD
#XOM Exxon Mobil Corporation(CFD) 15-05-2025 0.6930 USD
#DB1 Deutsche Boerse AG(CFD) 15-05-2025 2.9504 EUR
#BMW Bayerische Motoren Werke AG(CFD) 15-05-2025 3.1717 EUR

 

Symbol Company Ex-Dividend Date Dividend
#HK0011 Hang Seng Bank Ltd(CFD) 14-05-2025 1.1050 HKD
#HK2388 BOC Hong Kong Holdings(CFD) 14-05-2025 0.2465 HKD
#HK2318 Ping An Insurance Group(CFD) 15-05-2025 1.3770 CNY

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