Dear customer,
Please note that the dividends of the following index price difference contracts will be adjusted based on the upcoming ex dividend date. The comments on trading index price difference contracts will be in the following format "Div&<Product Name>&<Net Trading Volume>", which will be displayed in the balance after the close of the day before the dividend payment date.
Please refer to the table below for details:
*All dates are provided in GMT+3 (server time in MT4/MT5 units).
Please note that the above data may change. Please refer to MT4/MT5 for details.
If you have any questions or need any assistance, please contact our customer service team through online chat or email: info@puprime.com