BDSwiss

Bonds/treasuries are debt obligations with differing maturity dates. The underlying asset’s value depends on the residual time to maturity, the coupon size and the prevailing interest rates in the country of issue.

TREASURIES Average Spread (in Points) Leverage (Margin Requirement) Units Per Lot Point Value Per Lot Commision USD Minimal Lot Size Maximal Lot Size
EURIBOR 20 1% 1 0.001 eur 0 1 50
EUR_BOBL 30 1% 1 0.001 eur 0 1 50
EUR_BUND 30 1% 1 0.001 eur 0 1 50
EUR_BUXL 50 1% 1 0.001 eur 0 1 50
EUR_SCHA 20 1% 1 0.001 eur 0 1 50
UK_GILT 30 1% 1 0.001 gbp 0 1 50
UK_SH_STERL 20 1% 1 0.001 gbp 0 1 50
风险警告: 二元期权和差价合约交易是一项涉及高风险以及高投机性的活动。