Market Notice

Dear Valued Clients,

For the week 12 Dec 2022 to 16 Dec 2022, below are the CFD Dividend rate detail.
Date: 2022-12-12

CFD Dividend rate (Weekly)
Products Monday Tuesday Wednesday Thursday Friday System Calculation Time*
JPN225 23:59
XINA50 23:59
HK50 23:59
UK100 95.00 23:59
GER30 470.00 23:59
NAS100 26.00 129.00 106.00 202.00 23:59
SPX500 16.00 78.00 28.00 30.00 26.00 23:59
US30 48.00 23:59

*Please Note: CFD Dividend Rate above are provided ahead of the 23:59 system time on each Monday, such are indicative rates only.
The final executed dividend rates may be materially different from the indicative rates. CFD Dividend will be settled in the Balance as part of the Deposit or Withdrawal amount in the MT4 account with “CFD IND Bonus or CFD IND Deduction” comment.

Thank you for your attention
Yours faithfully,
PP Link Securities

Dear Valued Clients,

1. From December 12th, the CFD GER30 and UK100 stock index trading session will be adjusted toGMT+2/+3 Monday 02:30-Friday 22:40, weekday break period: 23:00-02:29.

 2. Starting from December 19th, the CFD USOIL index will adjust to no expiry day perpetual spot contract, the system will charge daily overnight swaps for any open position.

 3. For CFD Twitter (#TWTR) stock, since it had been delisted for more than one month, any open positions of #TWTR will be settled by the last price automatically today.

Thank you for your attention

Yours faithfully,
PP Link Securities

Dear Valued Clients,

For the week 05 Dec 2022 to 09 Dec 2022, below are the CFD Dividend rate detail.
Date: 2022-12-05

CFD Dividend rate (Weekly)
Products Monday Tuesday Wednesday Thursday Friday System Calculation Time*
JPN225 23:59
XINA50 23:59
HK50 9.00 23:59
UK100 28.00 23:59
GER30 23:59
NAS100 4.00 56.00 23:59
SPX500 15.00 9.00 57.00 17.00 2.00 23:59
US30 98.00 23:59

*Please Note: CFD Dividend Rate above are provided ahead of the 23:59 system time on each Monday, such are indicative rates only.
The final executed dividend rates may be materially different from the indicative rates. CFD Dividend will be settled in the Balance as part of the Deposit or Withdrawal amount in the MT4 account with “CFD IND Bonus or CFD IND Deduction” comment.

Thank you for your attention
Yours faithfully,
PP Link Securities

Dear Valued Clients,

For the week 05 Dec 2022 – 09 Dec 2022, according to the exchange data, 1 share had dividend payout event, below are the payout detail.

Week 05 Dec 2022 – 09 Dec 2022
Share CFD Share Code Ex-Date Dividend per Share Currency
Walmart Inc.  #WMT 8/12/2022 0.56 USD

* Dividend will deposit to the trading account when the client holding a long position and will deduct from the trading account if the client holding a short position.
* The dividend will calculate at the end of the trade date before Ex-Date
* German CFD stock product will be counted in USD according to the present market EURUSD exchange rate.
* Hong Kong CFD stock product will be counted in USD according to the present market USDHKD / USDCNH exchange rate.

Please note: Information published above is correct at the time of publication and may be subject to updates and changes without notice.

Thank you for your attention
Yours faithfully,
PP Link Securities

Dear Valued Clients,

For the week 05 Dec 2022 to 09 Dec 2022, below are the CFD Dividend rate detail.
Date: 2022-12-05

CFD Dividend rate (Weekly)
Products Monday Tuesday Wednesday Thursday Friday System Calculation Time*
JPN225 23:59
XINA50 23:59
HK50 9.00 4.00 23:59
UK100 28.00 23:59
GER30 23:59
NAS100 4.00 56.00 23:59
SPX500 15.00 9.00 57.00 4.00 23:59
US30 98.00 23:59

*Please Note: CFD Dividend Rate above are provided ahead of the 23:59 system time on each Monday, such are indicative rates only.
The final executed dividend rates may be materially different from the indicative rates. CFD Dividend will be settled in the Balance as part of the Deposit or Withdrawal amount in the MT4 account with “CFD IND Bonus or CFD IND Deduction” comment.

Thank you for your attention
Yours faithfully,
PP Link Securities

Dear Valued Clients,

Clients that hold an open position on the 16th December 2022 (Expiration Day of the CFD USOIL Contract January 2023) will be closed at the trade day closing, which means the client will realize any floating P/L at the time it is closed. The contract typically resumes trading at following trade day market open time and clients will be able to enter into new positions of next month’s contract at that time.

Thank you for your attention
Yours faithfully,
PP Link Securities

Dear Valued Clients,

Please be noted that US will release an announcement of Non-Farm Payroll data on Friday, 02 December 2022. As the release of this data may bring hectic fluctuation in market prices, our trading platform will adjust the Limit order and Stop order level since 18:00 Cambodia time until market stable.

Spot Gold : US$ 5.00
Spot Silver : US$ 0.50
Forex pairs : 20 pips

Thank you for your attention
Yours faithfully,
PP Link Securities

Dear Valued Clients,
Due to the fact that RBNZ was changed the interest on 23rd Nov 2022, the trading interest will be adjusted on 28th Nov as follows,

Symbol Long Short
AUDNZDx -2.15 0.15
EURNZDx -3.1 1.1
GBPNZDx -1.85 -0.15
NZDCADx -1.1 -0.9
NZDUSDx -0.35 -1.65

Thank you for your attention
Yours faithfully,
PP Link Securities

Dear Valued Clients,

For the week 28 Nov 2022 – 02 Dec 2022, according to the exchange data, 9 shares had dividend payout event, below are the payout detail.

Week 28 Nov 2022 – 02 Dec 2022
Share CFD Share Code Ex-Date Dividend per Share Currency
Coca-Cola Co. #KO 30/11/2022 0.44 USD
McDonald’s Corp. #MCD 30/11/2022 1.52 USD
The Goldman Sachs Group Inc. #GS 30/11/2022 2.50 USD
Lockheed Martin Corporation #LMT 30/11/2022 3.00 USD
NVIDIA Corp. #NVDA 30/11/2022 0.04 USD
eBay Inc. #EBAY 30/11/2022 0.22 USD
General Motors Company #GM 1/12/2022 0.09 USD
PepsiCo Inc. #PEP 1/12/2022 1.15 USD
Nike Inc. #NKE 2/12/2022 0.34 USD

* Dividend will deposit to the trading account when the client holding a long position and will deduct from the trading account if the client holding a short position.
* The dividend will calculate at the end of the trade date before Ex-Date
* German CFD stock product will be counted in USD according to the present market EURUSD exchange rate.
* Hong Kong CFD stock product will be counted in USD according to the present market USDHKD / USDCNH exchange rate.

Please note: Information published above is correct at the time of publication and may be subject to updates and changes without notice.

Thank you for your attention

Yours faithfully,
PP Link Securities

Dear Valued Clients,

For the week 28 Nov 2022 to 02 Dec 2022, below are the CFD Dividend rate detail.
Date: 2022-11-28

CFD Dividend rate (Weekly)
Products Monday Tuesday Wednesday Thursday Friday System Calculation Time*
JPN225 23:59
XINA50 23:59
HK50 8.00 21.00 23:59
UK100 158.00 23:59
GER30 51.00 23:59
NAS100 29.00 114.00 180.00 42.00 12.00 23:59
SPX500 35.00 108.00 67.00 32.00 5.00 23:59
US30 46.00 419.00 131.00 23:59

*Please Note: CFD Dividend Rate above are provided ahead of the 23:59 system time on each Monday, such are indicative rates only.
The final executed dividend rates may be materially different from the indicative rates. CFD Dividend will be settled in the Balance as part of the Deposit or Withdrawal amount in the MT4 account with “CFD IND Bonus or CFD IND Deduction” comment.

Thank you for your attention
Yours faithfully,
PP Link Securities