Hi all
I am learning about cfd's and I am using the ASX cfd simulator.
The variation margin, which is listed under the "margin" column (third from the right) under "my portfolio" seems very high and I can't figure out how the simulator is calculating the variation margin.
I thought that the variation margin was calculated by mutiplying the difference between the opening price and the current price by the number of contracts that I have.
Is this correct or am I missing something?
Any help or comments are appreciated
Greg
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