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Trade Smarter with Neo Finance – The All-in-One Platform for Every Market.
Trade confidently with a clean, professional layout designed for speed and accuracy.
Real-time charts, indicators, and analytics for both beginners and professionals.
Bank-level encryption and multi-layer authentication keep your funds and data protected.
Trade global equities, currencies, and digital assets from one account.
Buy and sell top digital currencies securely.
Invest in gold, oil, and agricultural assets.
Access 50+ currency pairs with tight spreads.
Trade shares from major global exchanges.
Empower your trading decisions with insights once reserved for professionals. This comprehensive market view helps you read momentum, track institutional activity, and identify breakout opportunities before they happen. Whether you’re executing scalps, swing trades, or building long-term positions, access to real-time futures data gives you the confidence to act decisively. Elevate your strategy, stay informed, and trade smarter—because in a market that never sleeps, having the right information at the right moment makes all the difference.
Investing in commodities opens the door to one of the world’s oldest and most dynamic markets. From energy resources like oil and natural gas to precious metals such as gold and silver, and agricultural products like cotton, wheat, and coffee, commodities provide opportunities beyond traditional stocks and bonds. These tangible assets often move differently from financial markets, offering a natural hedge against inflation, currency swings, and economic uncertainty.
Modern investors can access commodities through futures contracts, ETFs, mutual funds, or CFDs, depending on their risk appetite and trading goals. Price movements are driven by global supply and demand, weather patterns, geopolitical events, and macroeconomic trends, making the commodity market both challenging and rewarding.
This screen showcases a professional-grade trading terminal built for active investors and market analysts. It integrates real-time data, technical charting tools, and instant order execution in one powerful interface. The multi-panel layout allows traders to monitor multiple assets simultaneously—such as stocks, ETFs, and options—while analyzing performance through detailed indicators like MACD, volume profiles, and volatility metrics. On the left, customizable watchlists provide quick access to favorite instruments, while the order entry panel enables rapid buy or sell actions with adjustable quantities and pricing strategies. Performance metrics, P&L tracking, and trade analytics on the right keep traders informed of every move. Designed for precision, speed, and flexibility, this setup delivers a complete trading experience for both short-term and strategic investors.
Clear and fast interface, even for those who are just starting to trade.
Start with pre-designed layouts and modify them with a simple drag and drop.
All tools included in your account. No surprises.
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For complete details and conditions regarding the products and services described, please refer to the official information sheets, advertising materials, and legally required documentation available in the Transparency section of the website or from authorized financial advisors. All products are available exclusively to clients who hold an active account with the institution.
CET1: Data source: CS – 1H25 Results
CFDs (Contracts for Difference) are derivative instruments whose value is directly linked to the performance of an underlying asset (such as equities, indices, currencies, bond futures, commodity futures, and digital assets like Bitcoin or Ethereum). They involve exchanging the price difference between the opening and closing of a contract. Prices are determined by applying a markup or spread to the underlying asset’s price, as specified in the service terms and conditions. CFDs carry a high degree of leverage, meaning small market movements can result in proportionally larger gains or losses. In adverse market conditions, the invested margin may be significantly or entirely lost. Multiday positions are also subject to interest charges as outlined in the applicable economic terms.
Before trading CFDs, carefully read the Key Information Documents (KIDs) available on the provider’s website.
CFDs are complex instruments that involve a high risk of rapid capital loss due to leverage. 61.11% of retail investor accounts lose money when trading CFDs. Consider whether you fully understand how these instruments work and whether you can afford the high risk of losing your money.
Leverage limits vary depending on the type of underlying asset and client classification: up to 28.57× for retail clients and up to 100× for professional clients.
Daily Options (Knock Out Intraday) and Multiday Options (Knock Out Overnight) are derivative financial instruments within the options category, based on index or commodity futures and CFDs on currency exchange rates. These products grant the buyer the right—but not the obligation—to buy (call) or sell (put) a set quantity of the underlying asset at a predetermined price (“barrier”) and within a specified timeframe. The right to sell ceases when the underlying asset’s price reaches the barrier.
For detailed information on the economic conditions, characteristics, nature, and risks of these derivative products, please consult the contractual supplements governing order execution and proprietary trading services, as well as the relevant product sheets and operating rules available on the institution’s website.
Trading in derivative financial instruments is permitted only for clients who have completed the required suitability questionnaire, signed the appropriate contractual documentation, and successfully completed the MiFID assessment confirming sufficient knowledge and experience for this type of investment.