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US30 (Dow Jones) Lot Size Calculator

Calculate position size for US30 (Dow Jones Industrial Average) with a akaun MYR. The Dow is the most recognised US index β€” lower volatility than NAS100, but still capable of 300-point days on macro news.

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Pip Value & Contract Specifications

US30 (Dow Jones Industrial Average, also called DJIA or Wall Street 30) is an index CFD. The contract specification gives a point value of approximately $1.00 per index point per standard lot at most CFD brokers including FxPro. At USD/MYR 18.50 that equals R18.50 per point per lot β€” the same basis as NAS100, but the Dow's lower daily range means tighter stops and more manageable swings.

Always verify in MT4/MT5: right-click the US30 symbol β†’ Specification β†’ check contract size and tick value for your account type.

Lot SizePoint value (USD)Point value (MYR @ 18.50)50-point stop150-point stop
0.01 (micro)~$0.01~R0.185~R9.25~R27.75
0.10 (mini)~$0.10~R1.85~R92.50~R277.50
0.50~$0.50~R9.25~R462~R1,387
1.00 (standard)~$1.00~R18.50~R925~R2,775

All values indicative at USD/MYR 18.50. Verify contract specifications with your broker before trading.

Position Sizing Example

Suppose you have a R50,000 account and risk 1% per trade (R500). You set a 100-point stop loss on US30 (appropriate for a 1-hour chart trade).

At USD/MYR 18.50, each point per lot = R18.50. The formula:

Lots = Risk Γ· (Stop points Γ— Point value in MYR)
Lots = R500 Γ· (100 Γ— R18.50) = R500 Γ· R1,850 β‰ˆ 0.27 lots

Round down to 0.25 lots. On a daily-chart trade with a 200-point stop, the same R500 risk allows: R500 Γ· (200 Γ— R18.50) β‰ˆ 0.13 lots. The Dow's lower volatility versus NAS100 often permits slightly larger position sizes for the same stop distance.

About US30 β€” Key Drivers & Trading Hours

The Dow Jones Industrial Average is the world's most famous stock index, comprising 30 blue-chip US companies including Goldman Sachs, Boeing, Johnson & Johnson, Caterpillar, and JPMorgan Chase. Trading near 42,000 points in current conditions, with a typical daily ATR of 100–300 points. This is lower than NAS100's 200–400 points because the Dow is price-weighted and dominated by traditional industries rather than high-growth tech.

Key drivers: Federal Reserve rate decisions, US economic data (ISM Manufacturing, Consumer Confidence, Non-Farm Payrolls), earnings from Dow component companies (especially financial stocks Goldman Sachs and JPMorgan), oil prices (Chevron is a component), and broader risk sentiment. The Dow is more defensive than NAS100 β€” it tends to fall less during tech sell-offs but also captures less of tech rallies.

Active trading hours in SAST: 14:30–21:00 SAST for the full US cash session. The highest-volatility window is around the US open (14:30–15:30 SAST) and into the close (20:00–21:00 SAST). Non-Farm Payrolls (first Friday of each month at 14:30 SAST) is consistently the highest single-event volatility trigger for US30. On FOMC days (8 times per year), expect 200–400 point moves within minutes of the 20:00 SAST announcement.

Pip values sourced from ECB reference data (Frankfurter API). All values are indicative and for educational purposes β€” not live trading quotes. See full pip value table β†’

Kira β†’ Berdagang.

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β“˜ FxPro tidak berlesen oleh SC Malaysia atau BNM. Sahkan status sah sebelum membuka akaun offshore.

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