Monthly Archives: October 2025
Dividend Adjustment Notice – Oct 23 ,2025
Written on October 23, 2025 at 8:19 am, by lucky
Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume”. Please refer to the table below for more details:Continue Reading
Dividend Adjustment Notice – Oct 22 ,2025
Written on October 22, 2025 at 8:31 am, by lucky
Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume”. Please refer to the table below for more details:Continue Reading
Dividend Adjustment Notice – Oct 21 ,2025
Written on October 21, 2025 at 7:51 am, by lucky
Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume”. Please refer to the table below for more details:Continue Reading
Service Disruption Due to AWS Outage
Written on October 20, 2025 at 4:35 pm, by lucky
Dear Valued Clients, We are currently experiencing disruption to our system and services due to the outage of Amazon Web Services (AWS) in the US-EAST-1 region since GMT +3 10:11. It has affected multiple platforms worldwide, including major financial applications. If you are experiencing unstable connection OR unable to connect across our platforms, we recommendContinue Reading
Dividend Adjustment Notice – Oct 20 ,2025
Written on October 20, 2025 at 7:58 am, by melody
Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume”. Please refer to the table below for more details:Continue Reading
Dividend Adjustment Notice – Oct 17 ,2025
Written on October 17, 2025 at 8:17 am, by lucky
Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume”. Please refer to the table below for more details:Continue Reading
Modifications on Leverage for Shares (33 > 20) – Oct 16 ,2025
Written on October 16, 2025 at 9:51 am, by lucky
Dear Client, To provide a favorable trading environment to our clients, VT Markets will modify the trading setting of all Shares products. Please refer to the following details: 1. All US Shares products leverage will be adjusted to 20:1. 2. MT5 All Shares products dynamic leverage: New positions opened within 30 minutes before market closingContinue Reading
Dividend Adjustment Notice – Oct 16 ,2025
Written on October 16, 2025 at 8:44 am, by anna
Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume”. Please refer to the table below for more details:Continue Reading
Dividend Adjustment Notice – Oct 15 ,2025
Written on October 15, 2025 at 8:32 am, by luna
Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume”. Please refer to the table below for more details:Continue Reading
Dividend Adjustment Notice – Oct 14 ,2025
Written on October 14, 2025 at 9:13 am, by luna
Dear Client, Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume”. Please refer to the table below for more details:Continue Reading