Phyxtrade

Contract Specifications

Last Updated:
Applies to: Standard / Raw / Pro accounts
Entity: Phyxtrade Ltd.

1. How to Read & Key Definitions

Contract Size (1 lot) defines the notional per 1.00 lot. Pip/Tick Size is the minimum price increment (e.g., 0.0001 for most FX). Pip/Tick Value varies by account currency and quote currency; formula:

PipValue ≈ ContractSize × PipSize × (QuoteCcy → AccountCcy FX rate)

2. FX (Majors & Minors)

SymbolInstrumentContract Size (1 lot)Min / Step / Max Pip SizePip Value*Typical Spread (Std/Raw)Commission (Raw) Max LeverageStop/Limit Distance**Trading Hours
EURUSD Euro vs US Dollar 100,000 base units 0.01 / 0.01 / 100 0.0001 (5th digit quotes to 0.00001) Varies by acct ccy (see formula) 1.2 / 0.0–0.2 pips $7 per lot (round turn) Up to 1:500*** ~0–5 pips Mon 00:05 – Fri 23:55
GBPUSD British Pound vs US Dollar 100,000 base units 0.01 / 0.01 / 100 0.0001 Varies by acct ccy 1.4 / 0.1–0.3 pips $7 per lot Up to 1:500*** ~0–6 pips Mon 00:05 – Fri 23:55
USDJPY US Dollar vs Japanese Yen 100,000 base units 0.01 / 0.01 / 100 0.01 Varies by acct ccy 1.3 / 0.1–0.3 pips $7 per lot Up to 1:500*** ~0–6 pips Mon 00:05 – Fri 23:55

* Pip Value depends on account currency. ** Stop/Limit distance may expand in high volatility. *** Regional caps may apply.

3. Metals

SymbolInstrumentContract Size (1 lot)Min / Step / Max Tick SizeTick ValueTypical Spread (Std/Raw)Commission (Raw) Max LeverageSwap Long / ShortTrading Hours
XAUUSD Gold vs US Dollar 100 troy oz 0.01 / 0.01 / 50 0.01 ≈ $1.00 per tick/lot 20–30c / 0–10c $7–$10 per lot Up to 1:200 Variable (points) Mon 01:00 – Fri 23:00 (breaks)
XAGUSD Silver vs US Dollar 5,000 troy oz 0.01 / 0.01 / 50 0.001 ≈ $5.00 per tick/lot 2.0–3.0c / 0.5–1.5c $7–$10 per lot Up to 1:200 Variable (points) Mon 01:00 – Fri 23:00 (breaks)

4. Indices

SymbolIndexValue per Point (1 lot)Min / Step / Max Typical Spread (Std/Raw)Commission (Raw)Max LeverageTrading Hours
US30 Dow Jones 30 $1 per index point* 0.10 / 0.10 / 100 1.2–2.4 pts / 0.8–1.6 pts $0–$4 per lot Up to 1:200 Sun 23:05 – Fri 22:15 & 22:30–22:55
US100 NASDAQ 100 $1 per index point* 0.10 / 0.10 / 100 1.2–2.2 pts / 0.6–1.5 pts $0–$4 per lot Up to 1:200 Sun 23:05 – Fri 22:15 & 22:30–22:55

* Value per point may differ by symbol specification. Check platform “Details”.

5. Energy

SymbolInstrumentContract Size (1 lot)Min / Step / Max Tick SizeTick ValueTypical Spread (Std/Raw)Max LeverageTrading Hours
WTI US Crude Oil 1,000 barrels 0.10 / 0.10 / 50 $0.01 $10 per tick/lot 0.04–0.08 / 0.02–0.05 Up to 1:100 Sun 23:00 – Fri 22:00 (breaks)
BRENT Brent Crude Oil 1,000 barrels 0.10 / 0.10 / 50 $0.01 $10 per tick/lot 0.04–0.08 / 0.02–0.05 Up to 1:100 Sun 23:00 – Fri 22:00 (breaks)

6. Crypto CFDs (where permitted)

SymbolInstrumentContract Size (1 lot)Min / Step / Max Price IncrementValue per $1 Move (1 lot)Typical Spread (Std/Raw)Max LeverageTrading Hours
BTCUSD Bitcoin vs USD 1 BTC 0.01 / 0.01 / 20 $1.00 $1 per $1 move Variable (market-dependent) Up to 1:25 (jurisdictional) 24/5 (weekend limitations may apply)
ETHUSD Ethereum vs USD 1 ETH 0.10 / 0.10 / 200 $0.10 $1 per $1 move Variable Up to 1:25 24/5

Crypto availability varies by country. Weekend pricing/rollovers may differ from traditional markets.

7. Single Stocks / CFDs

SymbolInstrumentContract Size (1 lot)Min / Step / Max Typical SpreadCommissionMax LeverageTrading Hours
AAPL Apple Inc. (CFD) 1 share 1 / 1 / 10,000 Market-dependent From $0.02/share (mins apply) Up to 1:20 US market hours (RTH/ETH)
TSLA Tesla, Inc. (CFD) 1 share 1 / 1 / 10,000 Market-dependent From $0.02/share Up to 1:20 US market hours

Corporate actions (splits/dividends) are reflected via cash adjustments or price factors per our policy below.

8. Margining, Tiers & Stop-Out

  • Leverage tiers: higher notionals may auto-reduce maximum leverage (e.g., > $5m notional FX: 1:200; > $10m: 1:100). Exact tiers shown in-platform.
  • Margin call: when Equity / Margin ≤ [e.g., 80%] (alert). Stop-out: when Equity / Margin ≤ [e.g., 50%] (auto-liquidation). Percentages vary by product/account.
  • Hedged margin: reduced margin may apply to hedged positions subject to risk parameters.
  • Negative balance: subject to jurisdiction; see Risk Disclosure Addendum.

9. Corporate Actions & Swaps

  • Swaps/Rollover: charged/credited at end-of-day; triple swap typically applied on [Insert Day, e.g., Wed for FX]. Rates are variable and shown in-platform.
  • Dividends (Indices/Stocks CFDs): long positions may receive and short positions may pay cash adjustments on ex-date, net of withholding as applicable.
  • Metals/Energy: cash adjustments for contract rolls and fair value may apply.
  • Crypto: forks/airdrops are generally excluded unless otherwise announced.

10. Holidays & Maintenance

Holiday schedules and maintenance windows may alter trading hours, pricing, and swaps. Refer to our Market Hours & Holidays bulletin and in-platform symbol details for the latest adjustments.

11. Download & Contact

For precise live specifications (spreads, swaps, commissions, leverage tiers), always check the platform’s symbol “Info/Details”.

Questions? Contact support@aphyxx.com.

© Phyxtrade. All rights reserved.