GBP/CAD live chart

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GBP/CAD News

Sophia Claire 2026 Jun 12, 00:00

Japanese Tungsten Hexafluoride Production Halt Disrupts Global Semiconductor Supply Chain

Emma Rose 2026 Jun 12, 00:00

Phased Economic Pressure on Iran: A Strategy to Reopen the Strait of Hormuz

Noah Lee 2026 Jun 12, 00:00

US Strikes Iran Again: Military Pressure Falls Short of Diplomatic Breakthrough

Ava Grace 2026 Jun 12, 00:00

Hormuz Strait Reopens: Shifting Oil Market Dynamics and OPEC's Weakening Grip

Sophia Claire 2026 Jun 12, 00:00

Oracle Exceeds Q4 Expectations Driven by AI, but Massive Capex Sparks Investor Concerns

Julian Parker 2026 Jun 10, 16:01

SpaceX IPO Puts S&P 500 Inclusion Question in Focus

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Julian Parker 2026 Jun 09, 16:02

US CPI Preview: Higher Inflation Could Reinforce Fed Rate-Hike Bets

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Ghko B 2026 Jun 07, 16:01

CFD Trading Strategies: How to Cash In on the World Cup Stock Market Curse with CFD Shorts

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Ghko B 2026 Jun 07, 16:01

A CFD Trading Guide for South Africa: Can ZA CFD Traders Profit from the FIFA World Cup Market Effect?

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What Is NFP in Trading? How to Trade the Nonfarm Payroll Report

Latest news

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Noah Lee 2026 Jun 12, 00:00

US Labor Statistics Nominee Affirms Data Integrity Amid Funding and Participation Challenges

Ava Grace 2026 Jun 12, 00:00

As SpaceX, OpenAI, and Anthropic Approach IPOs: New Capital Flows and Sector Reshaping

Liam James 2026 Jun 12, 00:00

UAE-Iran High-Level Talks Signal Shift Towards Regional De-escalation Amidst Tensions

Liam James 2026 Jun 12, 00:00

Hormuz Strait Shipping Routes Diverge Amid Heightened Tensions

Emma Rose 2026 Jun 12, 00:00

World Bank Slashes Global Growth Forecast Amid Middle East Conflict

Liam James 2026 Jun 12, 00:00

SK Hynix Pivots NAND Competition to Material Innovation with 375-Layer Chip

Sophia Claire 2026 Jun 12, 00:00

US Wholesale Prices Surge Unexpectedly in May, Driven by Energy; Fed Policy Outlook Tightens

Ava Grace 2026 Jun 12, 00:00

ECB Poised for Rate Hike Amid Rising Inflation and Growth Concerns

Info

Spread

3.60

Spread (%)

0.0192 %

Leverage

1:400

Overnight Interest Buy

-0.0103 %

Overnight Interest Sell

-0.0117 %

Currency

pips

Margin

Your aggregate position in this market will be margined in the following tiers:

Tier
Position Size
Margin
1
0-1000000 contracts
0.2%
2
1000001-6000000 contracts
0.5%
3
6000001-2.5E7 contracts
2%
4
Above 2.5E7 contracts
5%

Trading Hours

Market open

Thursday - Friday

21:00 - 21:00

Sunday - Monday

21:00 - 21:00

Monday - Tuesday

21:00 - 21:00

Tuesday - Wednesday

21:00 - 21:00

Wednesday - Thursday

21:00 - 21:00

Analysis and statistics

Open

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Previous Close

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52 Week High/Low

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Factors that affect the forex market

Economic Indicators: Interest Rates: Central bank policies, like rate hikes or cuts, impact currency strength. Higher rates attract foreign investment, strengthening the currency. GDP Growth: Strong economic growth signals a robust economy, boosting currency demand. Inflation: Moderate inflation can strengthen a currency, but high inflation often weakens it. Employment Data: Low unemployment or strong job growth supports currency appreciation. Trade Balance: A trade surplus (exports > imports) strengthens a currency, while a deficit can weaken it. Monetary Policy: Central bank actions, such as quantitative easing or tightening, influence currency supply and demand. Forward guidance (future policy signals) affects market expectations. Political Stability: Stable governments and policies foster investor confidence, strengthening currencies. Political turmoil, elections, or geopolitical conflicts can lead to currency depreciation. Market Sentiment: Risk-on environments (optimism) favor high-yield currencies; risk-off (fear) boosts safe-haven currencies like USD, JPY, or CHF. Speculation and trader psychology drive short-term volatility. Global Events: Natural disasters, pandemics, or wars disrupt economies and currency stability. Commodity prices (e.g., oil for CAD, AUD) impact resource-dependent currencies. Capital Flows: Foreign direct investment (FDI) and portfolio investments influence currency demand. Carry trades (borrowing in low-yield currencies to invest in high-yield ones) affect exchange rates. Market Liquidity and Intervention: Thin liquidity (e.g., during holidays) amplifies volatility. Central bank interventions (buying/selling currencies) stabilize or manipulate rates. Technical Factors: Chart patterns, support/resistance levels, and algorithmic trading drive short-term price movements.

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