myFXplan offers a transparent pricing model, made up of low, highly competitive and tight rates. The spreads on our MetaTrader 4 platforms are variable, with quotes coming from numerous leading banks and institutions and other top-tier liquidity sources globally. Our typical spreads are illustrated in the tables below.


Our Forex spreads are variable depending on underlying market prices. We aim to offer minimum spreads in most conditions, but when market prices go wider, our spreads will increase too.

SymbolTypical Spreads
AUD/USD1.0 - 1.8 pips
CAD/CHF1.0 - 2.5 pips
CAD/JPY1.0 - 2.5 pips
CHF/JPY1.0 - 2.9 pips
EUR/CAD1.0 - 2.5 pips
USD/SGD1.1 - 5.0 pips
EUR/GBP1.0 - 1.8 pips
EUR/JPY1.0 - 1.8 pips
EUR/USD0.9 - 1.6 pips
GBP/CAD1.1 - 3.0 pips
GBP/CHF 1.0 - 3.0 pips
GBP/JPY1.0 - 2.9 pips
GBP/USD1.0 - 2.0 pips
USD/CAD1.0 - 2.0 pips
USD/CHF1.0 - 2.3 pips
USD/JPY1.0 - 1.4 pips


When trading global indices with myFxplan, you are trading Cash CFDs, meaning you can trade in small contract sizes, perfect for those who are just starting out.

SymbolTypical Spreads
AUS2001.0 - 1.2 pips
UK1001.0 - 2.0 pips
GER301.0 - 2.0 pips
JPN2254.0 - 5.0 pips
SPX5000.3 - 2.5 pips
FRA401.0 - 4.3 pips
EUSTX501.0 - 2.0 pips
US301.0 - 2.0 pips


Just like index, when you’re trading precious metals such as Gold or Silver with us, you’re trading it as a CFD and both are traded against the US Dollar.

Symbol Typical Spreads
XAU/USD 20 - 30 cents
XAG/USD 15 - 40 cents

* The rates above are indicative only and spreads are subject to change without notice depending on the market conditions (e.g. spreads may widen during illiquid or volatile market conditions). Spreads may widen following important news announcements, during political uncertainty, unexpected events leading to volatile market conditions or at the close of the business day and on weekends when liquidity is lower.
** A volume of 1 lot is equal to 100,000 of the first named currency.
*** In Forex trading, if you leave one or more positions opened at 24:00 (GMT+2) for the next trading day, there will be a daily Swap adjustment to your position. From Wednesday to Thursday, Swap is charged for 3 days instead of 1. This is to cover the settlement of trades over the weekend.