Markets

Five asset classes. One unified engine.

From FX majors to single-stock CFDs and digital assets - every market accessible from one account, one platform and one risk framework.

FX

Forex

The world's deepest market - over $7.5 trillion traded daily across 24-hour global sessions.

Why traders trade it

Liquidity, leverage and macro sensitivity make FX the foundation of nearly every professional book.

Liquidity profile

Deepest on EUR/USD, USD/JPY, GBP/USD - multi-billion daily turnover.

Volatility factors

Driven by central bank policy, inflation prints, employment data and geopolitical risk.

Characteristics
  • Highest liquidity on majors
  • Tight institutional spreads
  • Continuous 24/5 access
  • Strong macro & central-bank drivers
Example instruments
EUR/USDGBP/USDUSD/JPYAUD/USDUSD/CHFEUR/GBPEUR/JPYNZD/USDUSD/CADUSD/MXNUSD/ZARUSD/TRY
Forex Deep Dive
Major PairsMinor PairsExotic PairsTrading SessionsInterest RatesCentral BanksMacro Drivers
XAU

Commodities

Metals, energies and softs - markets driven by physical supply, demand and global macro positioning.

Why traders trade it

Commodities behave differently from financial assets, offering powerful diversification and macro hedges.

Liquidity profile

Concentrated in XAU/USD, WTI, BRENT, NATGAS and XAG/USD.

Volatility factors

Reacts to inventories, OPEC decisions, weather, supply shocks and risk sentiment.

Characteristics
  • Inflation & USD-sensitive
  • Strong seasonal patterns
  • Geopolitical premium
  • Deep futures-driven liquidity
Example instruments
XAU/USDXAG/USDXPT/USDWTIBRENTNATGASCOPPERWHEATCORNSOYBEANSUGARCOFFEE
Commodity Sub-Markets
GoldSilverCrude OilNatural GasAgricultural
IDX

Indices

Trade the world's benchmark equity indices with deep institutional liquidity and overnight access.

Why traders trade it

Indices give clean exposure to macro themes without single-stock risk, ideal for tactical positioning.

Liquidity profile

Deepest on NAS100, SPX500, DJ30 and major European/Asian benchmarks.

Volatility factors

Driven by macro data, earnings, central bank guidance and global risk appetite.

Characteristics
  • Strong intraday trends
  • Earnings & rate sensitivity
  • Pre/post market flow
  • High beta to risk sentiment
Example instruments
NAS100SPX500DJ30GER40UK100FRA40EU50JP225HK50AUS200ESP35CHINA50
Themes
Global GrowthRate CycleTech BetaDefensive Rotation
EQT

Stocks

Single-stock CFDs across US, European and APAC blue chips - long and short, with managed leverage.

Why traders trade it

Express directional and pair-trade views on individual names without taking custody of underlying shares.

Liquidity profile

Best on US mega-caps and major European industrials.

Volatility factors

Earnings windows, guidance, sector rotation and macro factor exposure.

Characteristics
  • Sector & earnings driven
  • Liquid US large-caps
  • Dividend adjustments handled
  • Long & short access
Example instruments
AAPLMSFTNVDAAMZNMETATSLAGOOGJPMXOMBABASAPASML
Coverage
US Mega-CapEuropean IndustrialsAPAC TechEnergy Majors
BTC

Crypto CFDs

Trade digital asset price action 24/7 with risk-managed exposure and transparent margin requirements.

Why traders trade it

Crypto offers asymmetric volatility and a non-correlated source of trading opportunity for active books.

Liquidity profile

Deepest on BTC/USD and ETH/USD, supported by major exchange feeds.

Volatility factors

Reacts to macro liquidity, regulation, on-chain flows and risk appetite.

Characteristics
  • 24/7 trading
  • Distinct volatility regime
  • Cross-asset correlation shifts
  • Risk-managed leverage
Example instruments
BTC/USDETH/USDSOL/USDXRP/USDADA/USDDOGE/USDLTC/USDLINK/USD
Risk Note
Higher VolatilityWider StopsSmaller Position SizingStrict Risk Limits