Trading Rules
Trading hours
What is the trading and settlement mechanism of futures & futures options
What are contract terms
How to trade futures and futures options with Futu
What is the after-hours trading session (for the Hong Kong market)
Account & position information
Point-based quotation (only available on PC)
Futures / Futures Options Trading Schedule
Arrangement for delay or failure of trading system
Trade Preview
Order Type
Product Info.
Margin
Positions Operating
One-click Price Trading
Draw-line Trading
Frequently Asked Questions
Trade Preview provides an estimate of how multiple parameters will change once a trade has been filled. These parameters include Net Assets, Max Buying Power, and Cash Withdrawable. They are calculated based on several factors, such as the order quantity, direction, price, current quote, and account assets. The values are displayed in the trade currency.
Direction: Buy or Sell
Current: The current value of each parameter before the trade is filled
Post-trade(Estimated): The estimated value of each parameter after the trade is filled
Change: The difference between the current value and post-trade value
Net Assets: The total of an account's cash, options' market value, and unrealized P/L. It is used to assess the account's risk level.
Max Buying Power: The maximum amount an account can use when opening a position in futures contracts. It includes the assets held in multiple currencies.
Cash Withdrawable: The cash you can withdraw* from your futures account.
Note: To withdraw funds from your futures account, you must first transfer your funds to your individual account, then make a withdrawal request to your preferred bank account.
The values shown in Trade Preview are for reference only and may differ from actual transaction results due to market changes and other factors. We shall not be held liable for any issues caused by the data shown in Trade Preview.