Weekly Dynamic Leverage Schedule Notification 6th July-10th July 2026

Please find the weekly dynamic leverage schedule for next Monday to Friday:

Date Day Time (GMT+3) News Event Currency Start Time End Time Affected Symbol Type
2026-07-06 Monday 16:45 S&P Global Services PMI (Jun) USD 16:30 16:50 Forex, Gold, Silver, Indices, Commodities
2026-07-06 Monday 17:00 ISM Non-Manufacturing PMI (Jun) USD 16:45 17:05 Forex, Gold, Silver, Indices, Commodities
2026-07-08 Wednesday 05:00 RBNZ Interest Rate Decision NZD 04:45 05:05 Forex
2026-07-08 Wednesday 17:30 Crude Oil Inventories OIL 17:15 17:35 Oil, Commodities
2026-07-08 Wednesday 21:00 FOMC Meeting Minutes USD 20:45 21:05 Forex, Gold, Silver, Indices, Commodities
2026-07-09 Thursday 17:00 Existing Home Sales (Jun) USD 16:45 17:05 Forex, Gold, Silver, Indices, Commodities
2026-07-10 Friday 09:00 German CPI (MoM) (Jun) EUR 08:45 09:05 Forex

Please refer to the following rule:

News Type:
1. USD news: affected Forex, Gold, Silver, Indices, Commodities
2. Oil news: affected Oil, Commodities
3. Other News: affected Forex

Affected Period:
1. From 15 minutes before to 5 minutes after major news releases
2. 3 hours before the product’s market close on Fridays
3. 30 minutes before the product’s market close from Monday to Thursday
4. 30 minutes after the product’s market opens on Mondays
5. If the following day is a full-day Gold holiday, the Friday rule will also apply. Leverage will be reduced 3 hours before market close for Gold, Silver, Oil, FX, Nas100, SP500, DJ30, US2000.
6. If the previous day is a full-day Gold holiday, the Monday rule will also apply. Leverage will be reduced 30 minutes after market open for Gold, Silver, Oil, FX, Nas100, SP500, DJ30, US2000.

Affected Symbol and Leverage:
Forex: 1:200
Oil: 1:10
Gold: 1:100
Silver: 1:50
Commodities: 1:5
Indices: 1:100