Swap Value in Points** As low as Average Long Short

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1 SPREADS AND CONDITIONS FOR STANDARD ACCOUNTS FOREX - Foreign Exchange Instruments Currency Pair Minimum Price Fluctuation Spreads* Swap Value in Points** As low as Average Long Short Value of 1 lot Limit and Stop Levels*** AUDCAD AUD AUDCHF AUD AUDJPY 0.00, AUD 0.09,9 AUDNZD AUD AUDUSD , , , AUD ,0 CADCHF CAD CADJPY CAD 0.10 CHFJPY CHF 0.12 CHFSGD CHF EURAUD EUR EURCAD EUR EURCHF , , , EUR ,2 EURDKK EUR EURGBP , , , EUR ,0 EURHKD EUR / 13

2 EURHUF EUR 0.60 EURJPY 0.00,1 0.01,0 0.02, EUR 0.05,4 EURNOK EUR EURNZD EUR EURPLN EUR EURSEK EUR EURSGD EUR EURTRY EUR EURUSD , , , EUR ,0 EURZAR EUR GBPAUD GBP GBPCAD GBP GBPCHF , , , GBP ,8 GBPDKK GBP GBPJPY 0.00,1 0.01,8 0.05, GBP 0.10,8 GBPNOK GBP GBPNZD GBP GBPSEK GBP GBPSGD GBP GBPUSD , , , GBP ,2 2 / 13

3 NZDCAD NZD NZDCHF NZD NZDJPY NZD 0.14 NZDSGD NZD NZDUSD , , , NZD ,0 SGDJPY SGD 0.14 USDCAD , , , USD ,2 USDCHF , , , USD ,0 USDDKK USD USDHKD USD USDHUF USD 0.52 USDJPY 0.00,1 0.01,0 0.02, USD 0.04,0 USDMXN USD USDNOK USD USDPLN USD USDSEK USD USDSGD USD USDTRY USD USDZAR USD / 13

4 SPOT METALS INSTRUMENTS Symbol Minimum Price Fluctuation Spreads* Swap Value in Poins** Value of 1 lot Limit and Stop Levels*** As low as Average Long Short SILVER ,000 oz 0.14 GOLD oz 1.00 GOLD TRADING HOURS: Monday Friday: 01:00 24:00 CFDs ON FUTURES Symbol Minimum Swap Value in Limit and 1 Lot Min Trade Used margin Price Value of 1 lot Margin Spreads* Stop Pip Size per 1 lot Fluctuation currency Levels*** Value #CL Barrels USD Variable spread 10 USD #YM 0.01 $5 * DJ Industrial USD Variable spread 5 USD OIL(#CL) TRADING HOURS: Monday Thursday: 01:00 00:15 Friday: 01:00 24:00 DOW(#YM) TRADING HOURS: Monday - Thursday: 01:00-23:15, 23:30-00:30 Friday: 01:00-23:15, 23:30-24:00 4 / 13

5 #CL Trading Hours Instrument Description Start Trading date Closing Only open positions Date Forced closing of all open positions (expiration date) #CLZ1 Light, Sweet Crude Oil Futures December #CLF2 Light, Sweet Crude Oil Futures January #CLG2 Light, Sweet Crude Oil Futures February #CLH2 Light, Sweet Crude Oil Futures March #CLJ2 Light, Sweet Crude Oil Futures April #CLK2 Light, Sweet Crude Oil Futures May #CLM2 Light, Sweet Crude Oil Futures June #CLN2 Light, Sweet Crude Oil Futures July #CLQ2 Light, Sweet Crude Oil Futures August #CLU2 Light, Sweet Crude Oil Futures September #CLV2 Light, Sweet Crude Oil Futures October #CLX2 Light, Sweet Crude Oil Futures November #CLZ2 Light, Sweet Crude Oil Futures December / 13

6 #YM Trading Hours Instrument Description Start Trading date Closing Only open positions Date Forced closing of all open positions (expiration date) #YMZ1 Mini-sized Dow Futures December #YMH2 Mini-sized Dow Futures March #YMM2 Mini-sized Dow Futures June #YMU2 Mini-sized Dow Futures September #YMZ2 Mini-sized Dow Futures December / 13

7 SPREADS AND CONDITIONS FOR MICRO ACCOUNTS FOREX - Foreign Exchange Instruments Currency Pair Minimum Price Fluctuation Spreads* Swap Value in Points** As low as Average Long Short Value of 1 lot Limit and Stop Levels*** AUDCADmicro AUD AUDCHFmicro AUD AUDJPYmicro 0.00, AUD 0.09,9 AUDNZDmicro AUD AUDUSDmicro , , , AUD ,0 CADCHFmicro CAD CADJPYmicro CAD 0.10 CHFJPYmicro CHF 0.12 CHFSGDmicro CHF EURAUDmicro EUR EURCADmicro EUR EURCHFmicro , , , EUR ,2 EURDKKmicro EUR EURGBPmicro , , , EUR ,0 EURHKDmicro EUR / 13

8 EURHUFmicro EUR 0.60 EURJPYmicro 0.00,1 0.01,0 0.02, EUR 0.05,4 EURNOKmicro EUR EURNZDmicro EUR EURPLNmicro EUR EURSEKmicro EUR EURSGDmicro EUR EURTRYmicro EUR EURUSDmicro , , , EUR ,0 EURZARmicro EUR GBPAUDmicro GBP GBPCADmicro GBP GBPCHFmicro , , , GBP ,8 GBPDKKmicro GBP GBPJPYmicro 0.00,1 0.01,8 0.05, GBP 0.10,8 GBPNOKmicro GBP GBPNZDmicro GBP GBPSEKmicro GBP GBPSGDmicro GBP GBPUSDmicro , , , GBP ,2 8 / 13

9 NZDCADmicro NZD NZDCHFmicro NZD NZDJPYmicro NZD 0.14 NZDSGDmicro NZD NZDUSDmicro , , , NZD ,0 SGDJPYmicro SGD 0.14 USDCADmicro , , , USD ,2 USDCHFmicro , , , USD ,0 USDDKKmicro USD USDHKDmicro USD USDHUFmicro USD 0.52 USDJPYmicro 0.00,1 0.01,0 0.02, USD 0.04,0 USDMXNmicro USD USDNOKmicro USD USDPLNmicro USD USDSEKmicro USD USDSGDmicro USD USDTRYmicro USD USDZARmicro USD / 13

10 SPOT METALS INSTRUMENTS Symbol Minimum Price Fluctuation Spreads* Swap Value in Poins** Value of 1 lot Limit and Stop Levels*** As low as Average Long Short SILVERmicro oz 0.14 GOLDmicro oz 1.00 GOLD TRADING HOURS: Monday Friday: 01:00 24:00 CFDs ON FUTURES Symbol Minimum Swap Value in Limit and 1 Lot Min Trade Used margin Price Value of 1 lot Margin Spreads* Stop Pip Size per 1 lot Fluctuation currency Levels*** Value #CL Barrels USD Variable spread 10 USD #YM 0.01 $5 * DJ Industrial USD Variable spread 5 USD OIL(#CL) TRADING HOURS: Monday Thursday: 01:00 00:15 Friday: 01:00 24:00 DOW(#YM) TRADING HOURS: Monday - Thursday: 01:00-23:15, 23:30-00:30 Friday: 01:00-23:15, 23:30-24:00 10 / 13

11 #CL Trading Hours Instrument Description Start Trading date Closing Only open positions Date Forced closing of all open positions (expiration date) #CLZ1 Light, Sweet Crude Oil Futures December #CLF2 Light, Sweet Crude Oil Futures January #CLG2 Light, Sweet Crude Oil Futures February #CLH2 Light, Sweet Crude Oil Futures March #CLJ2 Light, Sweet Crude Oil Futures April #CLK2 Light, Sweet Crude Oil Futures May #CLM2 Light, Sweet Crude Oil Futures June #CLN2 Light, Sweet Crude Oil Futures July #CLQ2 Light, Sweet Crude Oil Futures August #CLU2 Light, Sweet Crude Oil Futures September #CLV2 Light, Sweet Crude Oil Futures October #CLX2 Light, Sweet Crude Oil Futures November #CLZ2 Light, Sweet Crude Oil Futures December / 13

12 #YM Trading Hours Instrument Description Start Trading date Closing Only open positions Date Forced closing of all open positions (expiration date) #YMZ1 Mini-sized Dow Futures December #YMH2 Mini-sized Dow Futures March #YMM2 Mini-sized Dow Futures June #YMU2 Mini-sized Dow Futures September #YMZ2 Mini-sized Dow Futures December / 13

13 * The average spreads shown here are calculated throughout the day. They tend to be narrower under normal market conditions. However, spreads may widen following important news announcements, during political uncertainty, unexpected events leading to volatile market conditions or at the close of the business day and on weekends when liquidity is lower. When you trade with us Trading Point is your counter-party. Your trades are matched and any next exposure above predefined thresholds is hedged with our partner banks (our liquidity providers) at the current market spread. However, during volatile and illiquid market conditions our liquidity providers quote larger than normal spreads. At such times Trading Point is forced to pass on some of the spread increases to its clients. ** If you leave an open position for the next trading day, you pay or you obtain the certain amount, calculated on the basis of interest rates difference of two currencies in currency pair. This operation is called "swap." In the trading terminal, "swap" is automatically converted into the deposit currency. The operation is conducted at (Trading Server time, GMT+2) and can take several minutes. *** Minimum level for placing Stop Loss and Take Profit orders from a current market price. 13 / 13

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