DISCLAIMER: CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. 80% of retail investor accounts lose money when trading CFDs with this provider. You should consider whether you understand how CFDs work and whether you can afford to take the high risk of losing your money.

Trading Conditions

NeomAAA Company - Forex & CFD Trading

Effective Date:19.11.25|Last Updated:19.11.25

1. Account Types

1.1 Cent Account (ECN/STP)

Purpose: Learning and practice account with reduced risk


Minimum Deposit: $10

Base Currency: CNT (Cents - 100× smaller than USD)

Leverage: Floating, Up to 1:1000

Margin Call Level: 50%

Stop Out Level: 30%

Spread Type: Floating from 0.5 pips

Typical Spread (EUR/USD): 1.0-1.5 pips

SWAP: Variable, typically -$0.02 to +$0.01 per lot per day (based on interest rate differentials)

Commission: No commission

Inactivity Fee: $10 per month (after 30 days of no trading activity)

Contract Size: 1 lot = 1,000 units (100× smaller than standard)

Symbols: Forex, Indices, Metals, Cryptocurrencies

Minimum Trade Size: 0.01 lots

Maximum Trade Size: 100 lots

Maximum Order Limit Size: 200 lots

Total Open Positions: Up to 100 lots or $10,000 exposure

Market Execution: YES

Instant Execution: NO

Exchange Execution: YES (for orders 5+ lots)

Hedging: Allowed

Ideal For: Beginners, strategy testing, EA testing

1.2 Standard Account (ECN/STP)

Purpose: Learning and practice account with reduced risk


Minimum Deposit: $100

Base Currency: USD

Leverage: Floating, Up to 1:500

Crypto: max 1:10

Exotic pairs: max 1:100

Margin Call Level: 50%

Stop Out Level: 30%

Spread Type: Floating from 0.5 pips

Typical Spread (EUR/USD): 1.0–1.5 pips

SWAP: Variable, typically -$2 to +$1 per lot per day (based on interest rate differentials)

Commission: No commission

Inactivity Fee: $10 per month (after 30 days of no trading activity)

Contract Size: 1 lot = 100,000 units (standard)

Symbols: Forex, Indices, Metals, Cryptocurrencies

Minimum Trade Size: 0.01 lots

Maximum Trade Size: 100 lots

Maximum Order Limit Size: 200 lots

Total Open Positions: Up to 100 lots or $10,000,000 exposure

Market Execution: YES

Instant Execution: NO

Exchange Execution: YES (depends on volume, priority for 10+ lots)

Hedging: Allowed

Ideal For: Active traders, experienced investors, serious trading

1.3 Pro Account (ECN/STP)

Purpose: Premium conditions for high-volume traders


Minimum Deposit: $10,000

Base Currency: USD

Leverage: Floating, Up to 1:200

Crypto: max 1:5

Exotic pairs: max 1:50

Margin Call Level: 60% (higher safety threshold)

Stop Out Level: 40% (better protection)

Spread Type: Floating from 0.1 pips (raw spreads)

Typical Spread (EUR/USD): 0.3–0.5 pips (tightest spreads)

SWAP: Variable, typically -$2 to +$1 per lot per day (based on interest rate differentials)


Commission: $3-8 per lot per side (volume-based tiers):


  • 0-100 lots/month: $8/lot/side
  • 100-500 lots/month: $7/lot/side
  • 500-1,000 lots/month: $6/lot/side
  • 1,000-5,000 lots/month: $5/lot/side
  • 5,000+ lots/month: $3/lot/side

Inactivity Fee: $10 per month (after 30 days of no trading activity)

Contract Size: 1 lot = 100,000 units (standard)

Symbols: Forex, Indices, Metals, Oil, Commodities, Stocks, ETFs, Cryptocurrencies

Minimum Trade Size: 1.0 lots

Maximum Trade Size: 1,000 lots

Maximum Order Limit Size: 2,000 lots

Total Open Positions: Up to 1,000 lots or $100,000,000 exposure

Market Execution: YES (priority routing for faster execution)

Instant Execution: NO

Exchange Execution: YES (direct market access)

Hedging: Allowed (reduced margin for hedged positions)


Special Benefits:


  • Dedicated account manager
  • Priority customer support 24/7
  • Free VPS hosting (with $5,000 balance or 100 lots/month)
  • Reduced withdrawal fees
  • Advanced market research

Ideal For: Professional traders engaged in high-volume trading and institutional clients

1.4 Invest Account

Purpose: Passive investment in professionally managed trading funds


Minimum Deposit: $1,000 per fund

Base Currency: USD

Leverage: N/A – Not a trading account (investment account)

Margin Call Level: N/A – Not applicable

Stop Out Level: N/A – Not applicable

Spread Type: N/A – Not a trading account

SWAP: N/A – Not applicable


Fee Structure:


  • Management Fee: 1.5–2.5% annually (charged daily from NAV)
  • Performance Fee: 15–20% on profits above hurdle rate (6–10% benchmark)
  • High Water Mark: Yes (prevents double charging on same profits)
  • Inactivity Fee: None

Investment Options: Investment Funds (Conservative, Balanced, Aggressive)

Fund Managers: Only verified traders who passed a 3-challenge system

Minimum Investment: $1,000 per fund

Maximum Investment: No limit

Investment Allocation: Multiple funds supported (diversification encouraged)

Fund Access: View-only terminal access (MT5) with real-time NAV

NAV Updates: Hourly calculation during trading hours

Redemption: Open-end funds – withdraw anytime (T+3 processing)

Management Type: Professional traders manage pooled capital


Transparency:


  • Real-time NAV tracking in MT5
  • Monthly performance statements
  • Quarterly fund manager reports
  • Optional view of actual trades

Target Returns:


  • Conservative Fund: 10–15% annually (Max drawdown <10%)
  • Balanced Fund: 15–25% annually (Max drawdown <15%)
  • Aggressive Fund: 20–35% annually (Max drawdown <25%)

Ideal For: Passive investors, busy professionals, those seeking professional management without trading themselves

1.5 Institutional Account (ECN/STP)

Purpose: Enterprise-level trading for institutions and large capital


Minimum Deposit: $100,000

Base Currency: USD, EUR, GBP (multi-currency support)

Leverage: Floating, Up to 1:40 (conservative institutional standard)

  • Regulatory compliance for institutional clients

Margin Call Level: 80% (maximum protection)

Stop Out Level: 50% (institutional safety standard)

Spread Type: Floating from 0 pips (true raw spreads)

Typical Spread (EUR/USD): 0.1–0.3 pips (best available market pricing)

SWAP: Negotiable, typically from 0.1% annually or custom rates

Commission: $2–3 per lot per side (equivalent to $12–15 per $1M USD traded)

  • Volume-based negotiable rates for 10,000+ lots/month

Inactivity Fee: None

Contract Size: 1 lot = 100,000 units (standard)

Symbols: All markets + OTC instruments + Custom instruments

Minimum Trade Size: 10 lots

Maximum Trade Size: Unlimited

Maximum Order Limit Size: Unlimited

Total Open Positions: No limit (subject to credit approval)

Market Execution: YES – Priority routing with Tier-1 liquidity providers

Instant Execution: NO

Exchange Execution: YES – Direct market access (DMA) with minimal latency

Hedging: Allowed with significantly reduced margin


Special Features:


  • API / FIX protocol connectivity
  • Custom liquidity solutions
  • Dedicated liquidity pool access
  • Multi-account management
  • White label solutions available
  • Custom reporting and analytics
  • Dedicated relationship manager
  • 24/7 priority support
  • Custom risk management tools
  • Institutional-grade infrastructure
  • Co-location options available

Execution:


  • Average execution speed: <20ms
  • Direct connections to multiple liquidity providers
  • Aggregated liquidity from Tier-1 banks

Ideal For: Hedge funds, asset managers, proprietary trading firms, banks, large corporate clients