Trade the world’s most popular FX pairs with a trusted global broker

    Advantages of trading with SquadTrader

    50+

    Currency pairs – majors, minors & exotics

    0.0

    Tight spreads and leverage up to 1:1000

    15+

    Funding methods – NO deposit fees

    12

    Powerful trading platforms

    24/5

    Dedicated customer support

    Forex pairs Contract Specifications

    Instrument Minimum Spread Typical Spread Long Position Short Position
    AUDCAD - 3.3 -2.408 -0.757
    AUDCHF - 4.0 -0.110 -3.149
    AUDJPY - 2.3 -1.859 -1.965
    AUDNZD - 3.9 -2.832 -1.320
    AUDUSD - 1.5 -2.112 -1.489
    CADCHF - 2.3 0.637 -3.627
    CADJPY - 2.7 -0.999 -2.510
    CHFJPY - 2.7 -5.693 -0.826
    EURAUD - 3.4 -5.818 -1.279
    EURCAD - 2.6 -6.723 0.330
    EURCHF - 1.9 -5.103 -3.798
    EURGBP - 1.5 -3.650 -0.670
    EURJPY - 1.6 -5.400 -1.778
    EURNOK - 33.6 -4.487 -0.553
    EURNZD - 6.9 -7.613 -0.424
    EURPLN - 31.8 -2.260 -0.857
    EURSEK - - -3.827 -1.087
    EURTRY - - -582.040 322.811
    EURUSD - 1.2 -5.645 -1.114
    GBPAUD - 4.1 -3.119 -4.003
    GBPCAD - 4.1 -4.193 -2.127
    GBPCHF - 2.4 -0.126 -6.170
    GBPJPY - 2.9 -3.229 -4.157
    GBPNZD - 5.1 -4.941 -3.190
    GBPUSD - 1.7 -3.686 -3.271
    NZDCAD - 5.5 -1.727 -1.495
    NZDCHF - 4.2 0.277 -3.514
    NZDJPY - 1.8 -1.296 -2.502
    NZDUSD - 1.9 -1.559 -2.018
    SGDJPY - 2.8 -0.3812 -0.5729
    USDCAD - 1.8 -3.178 -2.076
    USDCHF - 1.8 -0.221 -4.807
    USDCNH - 25.0 -9.6073 2039516
    USDHKD - 8.8 -4.5453 -4.6727
    USDJPY - 1.7 -2.461 -3.438
    USDMXN - 70.0 -33.016 12.726
    USDNOK - 24.7 -2.101 -2.039
    USDPLN - 32.6 -1.165 -1.396
    USDRUB - 850.9 -13.8441 0.9846
    USDSEK - 27.6 -1.598 -2.439
    USDSGD - 5.8 -0.8437 -0.6887
    USDTRY - 95.0 -464.585 247.862
    USDZAR - 90.0 -42.989 6.872
    Important
    • Swaps values may be adjusted daily based on market conditions and rates provided by our Price Provider applicable to all open positions. Triple swaps are applied every Wednesday.
    • Server Times: Winter: GMT+2 and Summer: GMT+3 (DST) (last Sunday of March and ends last Sunday of October).
    • During the time period from 23:55 to 00:05 server time increased spreads and decreased liquidity can take place due to daily bank rollover. In case of inadequate liquidity/spreads during bank rollover, widened spreads and excessive slippage may occur. Therefore orders may not be executed during these times.