Order Execution Policy. In case the liquidity of the underlying Future for the CFD that is due to expire is low, we may, at our discretion, effect the rollover on an earlier date that the prescribed one. All rollover adjustments are calculated in the currency the underlying financial instrument is denominated in. In case the Account is in a different currency, we will, through our Electronic Trading System, automatically convert this to the Base Currency of the Account. The provisions of this Clause 14 are subject to the provisions of the Order Execution Policy which you are asked to refer to. our quoted Xxxxx was at the time at which you bought from us.
Appears in 4 contracts
Samples: Investment Services Agreement, Investment Services Agreement, Investment Services Agreement