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Margin requirements for forex futures trades placed in early morning
I’m new to the concept of futures trading, and am interested in day trading Forex futures (like GBPUSD). What I’m confused about is this: there is a certain margin requirement for trades placed during “normal hours”, and a different, much higher one for “overnight”. It’s not clear what normals hours and overnight really means for currency futures. Considering I’d be trading with a small account, I wouldn’t want the “overnight” margins to apply. If I were to place a trade at say 4AM EST, which margin requirement would apply? Is it only that the overnight margin applies when you hold a trade from before close to after close, or does it also apply to anything that’s placed outside the typical 8/9AM-4/5PM zone? Thank you Edit: I think my confusion is cleared up now. What confused me was the terminology, “overnight” made it sound like a trade placed at night or before regular morning hours would require maintenance margin. What it actually means is holding an open trade during the 1hr time period between open and close, ie 5-6PM EST. A trade opened outside of that period wouldn’t require maintenance margin, as long as the trade was closed before the next 5PM EST close of the market. So, if I were to open a trade at 4AM EST, it wouldn’t require maintenance margin unless I held it past 5PM EST, so I would just need to make sure it was closed before then. I wouldn’t hold through that period anyway for what I’m doing (day trading). Thanks everyone for your replies.
Very large volume bar shown in the chart is “settlement volume” that happens every day at 18:24 (UTC) or 12:24 CST ; 12:25 pm CST is settlement. That's when they calculate your maintenance margin requirement. The rest of the large volume bars are real. SILVER TO THE MOON.
Robinhood change maintenance requirement to 100% cash in a stock from one day to the next. Now i own them a 10K margin call. I need advice.
Good afternoon, everyone. I don't have that money with me and before i ask family members i would like to try getting loans from reputable companies to cover that margin call before Robinhood starts selling stocks at a loss which i don't want. What bank or lender can give me quick personal loans ( i guess that's what i have to say when asking them for a loan) so i can use it by friday? Please help.
Hi guys, so I have account both at IBKR and Saxo, today I thought to compare margin requirements for the E-mini S&P500 (ES) Futures Options and based on this I noticed that IBKR requires double the initial margin? My IBKR account is Portfolio Margin while my Saxo account is just Margin Comparison 1: Selling one ES options contract at strike 3500
Saxo Initial Margin: 5775
IB Initial Margin: 12700
Comparison 2: Selling one ES options contract at strike 3830
Saxo Initial Margin: 7775 (Maintenance: 6725)
IB Initial Margin: 15441 (Maintenance: 14037)
Conclusion: in both tested cases, IBKR requires double the initial margin, need to figure out what is the catch here or if i'm doing something wrong?
Can you do SPX credit spreads with a cash account or is margin always a requirement?
Since spx options are cash settled can you trade credit spreads without having a margin account and just having a regular cash account? I just got hit with a violation of PDT rules so I either have to keep my account over 25k or trade es mini futures which I don't like doing because when I trade them towards the end of the day the margin requirements go up and I get kicked out of my trades.
Why margin requirement for Box spread is so little?
Hi all, I just found on IB the margin requirement for Box spread is very small. As shown below, an amount of $132k debit Box charged Initial Margin & Maintain Margin for $570: https://preview.redd.it/s8jhct5ggkv91.jpg?width=1612&format=pjpg&auto=webp&s=36230509063cdc9f782a7ab6b7a2264d6fca2f00 Per my understanding, Box spread contains two debit spreads (1 debit call spread + 1 debit put spread), each of which has a normal margin requirement, because I'm purchasing something using my own fund. Then, why when I buy them together as Box, the margin requirement is so small? Down that way, does it mean I can purchase many Box spreads that worth a lot more than the fund I own, to earn good extra profit? The Box spread has an annual profit around 4.5% now. Thank you.
For options initial/maintenance requirements, schwab uses some version of the following: Greater of:
20% underlying value - out of the money amount + premium
10% underlying value + premium
$100 per contract
Just want to make sure I understand:
Underlying value represents the current stock price (not the price that you sold to open)
Out of the money amount is (strike - current underlying price) or (current underlying price - strike) depending on whether its a call / put?
Additionally if I sell a strangle (I sell call and sell put for the same ticker / expiry) is the maintenance calculated in the same way as it would be for Straddle / Combo (Uncovered requirements for the leg with the higher naked requirement, plus the premium of the other leg) - as mentioned here?
Các sàn Forex khác nhau có mức gọi ký quỹ (Margin Call Level) và mức dừng lệnh (Stop Out Level) khác nhau
Thông thường, các sàn giao dịch sẽ có các quy định về mức gọi ký quỹ (Margin Call Level) và mức dừng lệnh (Stop Out Level) khác nhau. Điều quan trọng là bạn phải biết Margin Call và Stop Out Level của sàn giao dịch của mình! Rất nhiều người thậm chí còn không tìm hiểu về các khái niệm này trước khi mở tài khoản. Chúng có thể tác động lên tài khoản của nhà giao dịch một cách tồi tệ. Xem thêm: https://thuvientaichinh.com/co-muc-goi-ky-quy-muc-dung-lenh-khac-nhau/
Say you have a marigin account with 5k and you open an iron condor with a maintinence margin requirement of 4.5k. If the condor starts loosing badly, say down 1k do you get a margin call even if the loss is still unrealized, or you simply loose mone without margin call?
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