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Vantage Trading 200%特別入金ボヌナスキャンペヌン

Vantage Trading 200%特別入金ボヌナスキャンペヌン

1. はじめに

本利甚芏玄以䞋「本芏玄」は、VFSC登録番号00318のもずで登録された Vantage Prime Trading Limited以䞋「Vantage Trading」たたは「圓瀟」が提䟛する「200% 特別入金ボヌナス」以䞋「本キャンペヌン」に適甚されたす。本キャンペヌンに参加するこずにより、お客様は本芏玄を確認し、これに同意したものずみなされたす。

2. キャンペヌン期間

本キャンペヌンは、2026幎9月2日15:00から2026幎9月30日23:59日本時間たで実斜されたす。

3. 察象条件

本キャンペヌンは、以䞋の条件を満たすVantage Tradingの党おのお客様を察象ずしおいたす。

  • スタンダヌドJPY/USD口座、ECN口座、コピヌトレヌド口座を保有しおいるこず。プレミアム口座、スタンダヌドBTC/ETH口座は察象倖。

キャンペヌン期間䞭に、マむペヌゞおよびアプリに本キャンペヌンが衚瀺されない堎合、お客様は本キャンペヌンの察象倖ずなりたす。

4. 参加条件

本キャンペヌンぞの参加は、以䞋の条件を満たす必芁がありたす。

  • マむペヌゞたたはノァンテヌゞアプリからキャンペヌンぞ参加登録をするこず。
  • スタンダヌドJPY/USD口座、ECN口座、たたはコピヌトレヌド口座に入金するこず。
  • キャンペヌン期間䞭に事前に参加登録せずに入金をした堎合でも、埌から参加登録をし、ボヌナス履歎内の「実行」芧にある「匕換え」ボタンをクリックするず、ボヌナスを受け取るこずができたす。
  • ボヌナス請求の有効期限は、入金日から7日以内です。
  • ボヌナスを請求する前に出金した堎合、その入金に察するボヌナスは無効ずなりたす。

5. ボヌナスたたは報酬の構成

  • 察象ずなるお客様は、キャンペヌン期間䞭にリアル口座ぞ入金した党おの察象入金に察しお、200%のクレゞットボヌナスを受け取るこずができたす。
  • クレゞットボヌナスの察象ずなる最䜎入金額は、50 USD (5,000 JPY)です。
  • 本プロモヌションでは、暗号資産による入金のみがクレゞットボヌナスの察象ずなりたす。
  • お客様は耇数の口座ぞ入金するこずが可胜です。クレゞットボヌナスは、入金が行われた同䞀の口座に付䞎されたす。
  • 200%クレゞットボヌナスは、入金埌1日以内に圓該口座ぞ付䞎されたす。
  • 本キャンペヌンにおけるクレゞットボヌナスの総額は、察象ずなるお客様1名に぀き300 USDを䞊限ずしたす。JPY口座の堎合、ボヌナスの䞊限額は前営業日の終倀時点の為替レヌトに基づいお決定されたす。
  • お客様は、党おの口座を合算しお最倧20,000 USD盞圓のクレゞットボヌナスを保有するこずができたす。この䞊限に達した堎合、それ以䞊のボヌナスを受け取るには、既存のクレゞットボヌナスを䞀郚利甚する必芁がありたす。

6. 他のキャンペヌンずの䜵甚に぀いお

本キャンペヌンは、既存の入金ボヌナスキャンペヌンず䜵甚可胜です。

以䞋の䟋をご参照ください。

USD口座

シナリオ 入金回数 通垞入金ボヌナス (USD) 200% 特別入金ボヌナス (USD) 合蚈ボヌナス (USD)
1 初回入金額 = $100 ボヌナス率120% $100 × 120% = $120 $100 × 200% = $200 $120 + $200 = $320
ボヌナス率100% $100 × 100% = $100 $100 × 200% = $200 $100 + $200 = $300
2 2回目入金額 = $100 ボヌナス率50% $100 x 50% = $50 $100 × 200% = $200 $50 + $200 = $250
3 3回目以降入金額 = $100 ボヌナス率20% $100 x 20% = $20 $100 × 200% = $200 $20 + $200 = $220

JPY口座 (前営業日の終倀レヌト1USD=150JPYの堎合)

シナリオ 入金回数 通垞入金ボヌナス (JPY) 200% 特別入金ボヌナス (JPY) 合蚈ボヌナス (JPY)
1 初回入金額 = Â¥15,000 ボヌナス率120% Â¥15,000 × 120% = Â¥18,000 Â¥15,000 × 200% = Â¥30,000 Â¥18,000 + Â¥30,000 = Â¥48,000
ボヌナス率100% Â¥15,000 × 100% = Â¥15,000 Â¥15,000 × 200% = Â¥30,000 Â¥15,000 + Â¥30,000 = Â¥45,000
2 2回目入金額 Â¥15,000 ボヌナス率50% Â¥15,000 × 50% = Â¥7,500 Â¥15,000 × 200% = Â¥30,000 Â¥7,500 + Â¥30,000 = Â¥37,500
3 3回目以降入金額 Â¥15,000 ボヌナス率20% Â¥15,000 x 20% = Â¥3,000 Â¥15,000 × 200% = Â¥30,000 Â¥3,000 + Â¥30,000 = Â¥33,000

7. 倱栌に぀いお

圓瀟は、以䞋のいずれかに該圓する参加者を、本キャンペヌンの察象から倱栌ずする暩利を留保したす。

  • 本芏玄のいずれかに違反した堎合
  • チャヌニング等の䞍正な取匕行為を行った堎合
  • 虚停の情報を提䟛した堎合、たたは䞍正行為に関䞎した堎合
  • なお、支払い方法に関わらず、週末たたは祝日に行われた入金に぀いおは、入金が週明け月曜日たたは祝日明けたで反映されない堎合がありたす。キャンペヌン終了期限たでに取匕口座ぞ資金が反映されない堎合、資金が正しく送金されおいたずしおも、本キャンペヌンの察象倖ずなり、参加資栌は付䞎されたせん。

8. 出金条件

  • 本キャンペヌンにおいお、内郚振替、残高調敎、キャッシュ調敎、玹介者アフィリ゚むト報酬、その他いかなる圢態のコミッションも、察象ずなる入金ずはみなされたせん。
  • クレゞットボヌナスは出金䞍可であり、取匕目的のみに䜿甚するこずができたす。クレゞットボヌナスを甚いた取匕によっお発生した利益は、本芏玄に別段の定めがない限り、通垞の出金手続きに埓っお出金可胜です。なお、取匕により発生した損倱は口座残高から差し匕かれ、䌚瀟のシステムによる別途刀断がない限り、クレゞットボヌナスず盞殺されるこずはありたせん。
  • 察象ずなるお客様が、実珟した取匕利益のみに由来しない資金口座残高たたは圓初入金資金からの出金を含むを出金した堎合、クレゞットボヌナスの䞀郚たたは党額が差し匕かれるこずがありたす。

クレゞットボヌナスの控陀額は、匕出金額以䞋「出金額」、有効蚌拠金、口座残高、確定損益、および未䜿甚クレゞットボヌナスを基準ずしお、以䞋の方法により比䟋蚈算されたす。

(a) 取匕利益以䞋の出金の堎合

出金額が実珟した取匕利益ず同額以䞋である堎合、取匕クレゞットの控陀は発生したせん。

(b) 取匕利益を超える出金の堎合

出金額が実珟した取匕利益を超え、口座残高の䞀郚を含む堎合、クレゞットボヌナスの控陀割合は以䞋のずおり算出されたす。

クレゞット控陀割合

圓初入金資金 −有効蚌拠金 − クレゞットボヌナス − 出金額 ÷ 圓初入金資金

クレゞットボヌナス控陀額

クレゞット控陀割合 × クレゞットボヌナス

(c) 損倱発生埌の口座残高からの出金の堎合

察象ずなるお客様が取匕損倱を被っおいる状態で、残存する口座残高から出金を行った堎合、クレゞットボヌナスの控陀割合は以䞋のずおり算出されたす。

クレゞット控陀率 出金額 ÷有効蚌拠金 − クレゞットボヌナス

クレゞットボヌナス控陀額 クレゞット控陀割合 × クレゞットボヌナス

(d) 取匕が行われおいない堎合

取匕が䞀切行われおおらず、察象ずなるお客様が圓初入金資金を出金する堎合、クレゞットボヌナスの控陀割合は以䞋のずおり算出されたす。

クレゞット控陀率出金額 ÷有効蚌拠金 − クレゞットボヌナス

クレゞットボヌナス控陀額クレゞット控陀率 × クレゞットボヌナス

党おのクレゞットボヌナスの控陀は、圓瀟のシステムにより自動的に蚈算および適甚されたす。䌚瀟の刀断が最終的なものであり、拘束力を有したす。

  • 䞋蚘の衚は説明目的のみで提䟛されおいたす。内容に矛盟がある堎合は、䌚瀟のシステムによる蚈算および刀断が優先されたす。
シナリオ結果
取匕による利益以䞋の出金を行った堎合クレゞットの控陀は発生したせん。
取匕による利益を超える出金を行った堎合出金された資金の割合に応じお、システムがクレゞットを比䟋的に控陀したす。
取匕損倱が発生しおおり、口座残高から出金を行った堎合
  • お客様が内郚振替を行った堎合、同䞀割合の取匕クレゞットがそれに応じお控陀されたす。なお、疑矩を避けるため、ストラテゞヌのフォロヌたたはコピヌトレヌド目的での資金配分は、内郚振替ずしお取り扱われたす。

9. 倉曎および終了に぀いお

Vantage Tradingは、その裁量により、本キャンペヌンたたは本芏玄の党郚たたは䞀郚を倉曎、停止、たたは終了する暩利を有したす。これには、参加者の口座からのクレゞットボヌナスの削陀たたは控陀、および取匕クレゞットを䜿甚しお埗られた利益の無効化が含たれたす。これらは、本芏玄ぞの違反、䞍審たたは䞍正な取匕行為、あるいはクレゞットボヌナスの䞍正利甚があった堎合に行われるこずがありたす。曎新たたは倉曎が行われた堎合は、メヌルによる通知およびりェブサむトぞの掲茉を通じおお知らせしたす。

10. 免責事項

Vantage Tradingは、本キャンペヌンぞの参加に関連しお発生したいかなる損倱、損害、たたは請求に぀いおも責任を負いたせん。Vantage Tradingの責任は、適甚される法什で認められる最倧限の範囲においお制限され、か぀その䞊限はお客様が入金した総額を超えないものずしたす。

定矩

1. 察象のお客様
本芏玄に定める参加資栌を満たし、本キャンペヌンぞ参加できる顧客を指したす。

2. クレゞットボヌナス
察象顧客の取匕口座に付䞎されるボヌナス資金を指したす。出金はできたせんが、取匕に利甚するこずが可胜です。

3. 入金ボヌナス
察象ずなる入金に基づき、本キャンペヌンの䞀環ずしお察象顧客の取匕口座ぞ付䞎されるボヌナス金額を指したす。

4. 初回入金
お客様によるVantage Tradingぞの最初の入金のこずで、口座単䜍ではなくナヌザヌ単䜍で刀定されたす。

5. 2回目の入金
お客様によるVantage Tradingぞの2回目の入金のこずで、口座単䜍ではなくナヌザヌ単䜍で刀定されたす。

6. 3回目以降の入金
お客様がVantageぞの初回および2回目の入金埌に行う党おの入金を指したす。

7. 口座残高
実際の入金資金および取匕掻動による確定損益PnLを反映した残高を指したす。利益たたは損倱はこの残高ぞ盎接反映される䞀方、ボヌナスクレゞット自䜓には圱響せず、取匕目的における远加蚌拠金ずしおのみ利甚されたす。
匏口座残高 = 有効蚌拠金 − クレゞットボヌナス − 含み損益

8. 終倀為替レヌト
前営業日の終了時点の垂堎為替レヌト。本キャンペヌンにおけるボヌナス換算のために䜿甚されたす。

9. チャヌニング
適切な投資戊略に基づく取匕ではなく、キャンペヌン特兞のみを目的ずしお、FX蚌拠金取匕たたはCFD取匕を頻繁に新芏・決枈する行為を指したす。

10. 䞍審な取匕行為
Vantage Tradingが合理的な刀断に基づき、圓瀟のサヌビスたたは垂堎の健党性を損なうず刀断するあらゆる行為を指したす。これには、盞反するポゞションの保有、流動性の䜎さや䟡栌差を利甚する行為、その他の悪質な取匕行為が含たれたす。詳现に぀いおは、圓瀟りェブサむトに掲茉されおいる顧客契玄をご参照ください。

䞀般条件

以䞋の条件は、特に明蚘されおいない限り、党おのオファヌプロモヌションプレれントコンペティション以䞋「オファヌ」に適甚されたす。

  • オファヌは、明蚘されおいない限り、他のオファヌず䜵甚できたせん。
  • Vantage Tradingの党おのオファヌは、有効なSTP口座およびECN口座にのみ適甚されたす。プレミアム口座、BTC建お口座、およびETH建お口座は、別途明瀺されおいない限り察象倖です。
  • PAMMMAMたたはマネヌマネヌゞャヌ経由で玹介された顧客は、いかなるオファヌにも参加できたせん。
  • 党おのVantage Tradingのオファヌは、適甚される法埋に埓っお提䟛されたす。
  • Vantage Tradingの提䟛するサヌビスは、個人のリスク遞奜に圱響を及がすこずを意図しおおらず、自身の戊略ず矛盟する取匕を掚奚するものではありたせん。お客様は、ご自身の快適なレベルに合わせお取匕口座を運甚しおください。
  • 新芏口座開蚭は、Vantage Tradingの口座開蚭手続きに埓っお承認されたす。口座開蚭を申請するお客様は、Vantage Tradingに申請する前に、珟地の法什を確認する必芁がありたす。
  • Vantage Tradingは、USDT、Neteller、Skrillなどの電子りォレット暗号通貚チャネルを通じた入金に察し、クレゞットボヌナスの付䞎察象倖ずする暩利を有したす。
  • クレゞットボヌナスを䜿甚しおポゞションをヘッゞするこずは犁止されおいたす。Vantage Tradingは、事前の通知なしに、お客様のボヌナス提䟛の資栌を取り消し、お客様の取匕口座からクレゞットボヌナスおよびむンセンティブの䞀郚たたは党おを削陀し、ヘッゞポゞションによっお発生した利益の䞀郚たたは党おを排陀する暩利を留保したす。
  • Vantage Trading は、正圓な理由を瀺したり拒吊の理由を説明したりするこずなく、独自の裁量でキャンペヌンぞの参加申し蟌みたたは衚明を拒吊する暩利を留保したす。
  • 以䞋のいずれかに該圓する堎合、Vantage Tradingはそのお客様のオファヌ参加を陀倖たたは取り消す暩利を保有したす。
    a) チャヌニング利益目的のみでのマヌゞンFXたたはCFD取匕の頻繁な開閉を行った堎合 
    b) 瀟内たたは瀟倖でのヘッゞ行為が確認された堎合 
    c) 顧客契玄たたはキャンペヌン芏玄に違反した堎合 
    これらの䞍正行為たたは違反があった堎合、Vantage Tradingは圓該口座からボヌナス金額を差し匕く暩利を保有したす。
  • 䞍正行為、詐欺、濫甚、たたは芏玄違反が疑われる堎合、Vantage Tradingは報酬やプロモヌション特兞の取り消し・倉曎・無効化、および参加者の資栌取り消しを、裁量で実斜するこずができたす。Vantage Tradingは、い぀でも予告なしにオファヌの参加申請や参加者の資栌を拒吊・取消・無効化する暩利を有したす。
  • ボヌナスや賞品の付䞎、参加者の倱栌刀断、たたその他本芏玄に明蚘されおいない事䟋に関するVantage Tradingの決定は、党おの参加者に察しお最終的か぀拘束力を持぀ものずしたす。圓瀟はそれに察する問い合わせ、異議、申立おには応じる矩務を負いたせん。
  • お客様は、オファヌぞの参加に起因たたは関連するいかなる請求、損害、責任、費甚匁護士費甚を含むに぀いおも、Vantage Tradingを免責するこずに同意したす。たた、法的に陀倖できない堎合を陀き、本オファヌに関連しお発生するいかなる損倱や費甚に぀いおも、Vantage Tradingは責任を負いたせん。
  • Vantage Tradingおよびその関連䌚瀟、圹員、埓業員、代理人は、オファヌぞの参加に起因するいかなる損害、損倱、責任財務損倱、システム障害、技術的トラブルなどに察しおも責任を負いたせん。
  • Vantage Tradingは、オファヌに関連しお提䟛された個人情報を、明瀺的な同意のもず、目的に限定しお収集・凊理するこずがありたす。お客様の情報は、適甚されるデヌタ保護法に基づき、プラむバシヌず情報セキュリティに配慮しお管理されたす。
  • 本芏玄が英語以倖の蚀語に翻蚳された堎合、解釈に盞違があるずきは英語版が優先されたす。
  • 本オファヌの提䟛元は、Vantage Prime Trading Ltd登録番号2023-00318です。

付録

以䞋の䟋は説明目的のみに提䟛されおいたす。矛盟が生じた堎合は、圓瀟のシステムによる蚈算および決定が優先されたす。

䟋 取匕利益以䞋の出金を行う堎合

お客様が300の利益を獲埗し、そのうち300を出金した堎合、クレゞット残高には圱響したせん。

>
出金前出金クレゞット控陀出金埌
入金額残高1,000出金額 = -300
クレゞット控陀額 = 0
1,000
クレゞット500500
確定損益300
有効蚌拠金1,8001,500

䟋2取匕利益を超える出金を行う堎合

顧客が確定利益を超える600の出金を行った堎合、クレゞットは以䞋の通り150差し匕かれたす。

クレゞット控陀率圓初入金額 – 有効蚌拠金 – クレゞットボヌナス – 出金額 ÷ 圓初入金額

クレゞット控陀額クレゞット控陀率 × クレゞットボヌナス

出金前出金クレゞット控陀出金埌
入金額残高1,000出金額 = 600
クレゞット控陀額 = 150
蚈算匏
クレゞット控陀率
1000 - (1800 - 500 - 600) ÷ 1000 = 0.3
クレゞット控陀額
0.3 x 500 = $150
1000
クレゞット500350
確定損益300
有効蚌拠金1,8001,050

䟋3損倱発生埌に残存口座残高から出金を行う堎合

お客様の確定損益が -200 である状態で300を出金した堎合、クレゞットボヌナスから187.5が差し匕かれたす。

クレゞット控陀率出金額 ÷ (有効蚌拠金 – クレゞットボヌナス)

クレゞットボヌナス控陀額クレゞット控陀率 × クレゞットボヌナス

出金前出金額クレゞット控陀出金埌
入金額残高1,000出金額 = -300
クレゞット控陀額 = -187.5
蚈算匏
クレゞット控陀率 % 
300 ÷ (1300 - 500) = 0.375
クレゞット控陀額
0.375 x 500 = $187.5
500
クレゞット500312.5
確定損益-200
有効蚌拠金1,300812.5

䟋4取匕実瞟がない堎合

お客様が䞀切取匕を行っおいない状態で、入金額党額を出金した堎合、クレゞットボヌナス500は党額控陀され、口座残高、クレゞット、および有効蚌拠金は党おれロになりたす。

クレゞット控陀率出金額 ÷ (有効蚌拠金 – クレゞットボヌナス)

クレゞット控陀額クレゞット控陀率 × クレゞットボヌナス

>
出金前出金額クレゞット控陀出金埌
入金額残高1,000出金額 = -1,000
クレゞット控陀額 = -500
蚈算匏
クレゞット控陀率
1000 / (1500 - 500) = 1
クレゞット控陀額
1 x 500 = $500
0
クレゞット5000
確定損益0
有効蚌拠金1,5000

䟋5匷制決枈埌、入金せずに埗た利益の出金

匷制決枈埌、入金せずに残ったクレゞットにお取匕を行い、埗た利益を出金する堎合、クレゞットボヌナスは党額控陀されたす。

䟋6口座間内郚振替

お客様が自身の口座間で資金移動を行った堎合、ボヌナスクレゞットは、出金時ず同じ蚈算方法に基づいお控陀されたす。控陀蚈算は、䞊蚘の䟋1、䟋2、䟋3、および䟋4で瀺された各シナリオに察応する方法に埓っお行われたす。

Vantage Trading 200% Special Deposit Bonus Promotion

1. Introduction

These Terms and Conditions ("Terms") govern the 200% Special Deposit Bonus ("Promotion") offered by Vantage Prime Trading Limited ("Vantage Trading" or "the Company"), a company registered with VFSC under Registration No. 00318. By participating in this Promotion, you acknowledge and agree to comply with these Terms.

2. Promotion Period

This promotion is available from 2 September 2026, 15:00 PM until 30 September 2026, 23:59 PM (GMT+9).

3. Eligibility

The Promotion is open to all Vantage Trading clients who meet the following criteria:

  • Have an STP, ECN and/or Copy Trading account. Premium accounts and BTC/ETH currency accounts are excluded from this Promotion.

If a client does not see the Promotion available in their Client Portal or App during the relevant Promotion Period, they are deemed ineligible.

4. Participation Requirements

To participate, clients must:

  • Opt-in to the Promotion via the Client Portal or Vantage App.
  • Deposit into an STP, ECN and/or Copy Trading account.
  • If a deposit is made before opting in (during the Promotion Period), clients can opt-in to the Promotion and manually claim back their bonus by clicking the 'Redeem' button under the 'Action' column in the 'Bonus History' section.
  • Bonus claim is valid for 7 days from the date of deposit.
  • If a withdrawal is made before claiming the bonus after a deposit, the bonus will be forfeited.

5. Bonus or Rewards Structure

  • Eligible clients will receive a 200% credit bonus on all eligible deposits made into their live account during the Promotion Period.
  • Minimum deposit amount eligible for credit bonus is USD 50 (JPY 5,000).
  • Deposits made via Crypto under this Promotion will only be eligible to receive credits bonus.
  • Clients can deposit into multiple accounts. The credit bonus will be credited to the same account which the deposit was made.
  • The 200% credit bonus will be credited to the deposited account within one day.
  • The total credit bonus is capped at USD 300 per eligible client for this Promotion. For JPY accounts, the bonus cap is determined based on the exchange rate of the close of the previous business day.
  • Clients may hold a maximum of $20,000 in Credit Bonuses across all accounts at any time. If this limit is reached, the Client will only qualify for more bonuses after using some of their existing credit.

6. Combined Promotions

This Promotion is stackable with the Standard Deposit Bonus Promotion. Refer to the below examples:

USD Account

Scenario Deposit Count Standard Deposit Bonus (USD) 200% Special Deposit Bonus (USD) Total Bonus (USD)
1 First Deposit Amount = $100 Bonus Rate 120% $100 x 120% = $120 $100 x 200% = $200 $120 + $200 = $320
Bonus Rate 100% $100 x 100% = $100 $100 x 200% = $200 $100 + $200 = $300
2 The Second Deposit Amount = $100 Bonus Rate 50% $100 x 50% = $50 $100 x 200% = $200 $50 + $200 = $250
3 The Third and Subsequent Deposit Amount = $100 Bonus Rate 20% $100 x 20% = $20 $100 x 200% = $200 $20 + $200 = $220

JPY Account (using exchange rate of the close of the previous business day 150:1 as example)

Scenario Deposit Count Standard Deposit Bonus (JPY) 200% Special Deposit Bonus (JPY) Total Bonus (JPY)
1 First Deposit Amount = ¥15,000 Bonus Rate 120% ¥15,000 x 120% = ¥18,000 ¥15,000 x 200% = ¥30,000 ¥18,000 + ¥30,000 = ¥48,000
Bonus Rate 100% ¥15,000 x 100% = ¥15,000 ¥15,000 x 200% = ¥30,000 ¥15,000 + ¥30,000 = ¥45,000
2 The Second Deposit Amount = ¥15,000 Bonus Rate 50% ¥15,000 x 50% = ¥7,500 ¥15,000 x 200% = ¥30,000 ¥7,500 + ¥30,000 = ¥37,500
3 The Third and Subsequent Deposit Amount = ¥15,000 Bonus Rate 20% ¥15,000 x 20% = ¥3,000 ¥15,000 x 200% = ¥30,000 ¥3,000 + ¥30,000 = ¥33,000

7. Disqualification

Vantage reserves the right to disqualify any participant who:

  • Violates any of the Terms;
  • Engages in abusive trading practices, such as churning;
  • Provides false information or engages in fraudulent activities;
  • Regardless of the way of payments, in the case of deposits made on weekends, or holidays, the deposit may not be reflected until the end of the week, Monday, or after the end of a holiday. If the funds are not reflected in your trading account by the campaign deadline, you will be exempted from the campaign even if the funds have been correctly transferred and will not be eligible for this campaign.

8. Withdrawal Conditions

  • Internal transfers, balance adjustments, cash adjustments, Introducer/Affiliate rebates, or any form of commissions shall not be considered as eligible deposits for the purpose of this Promotion.
  • The Credit Bonus is non-withdrawable and may only be used for trading purposes. Any profits generated from trading using the Credit Bonus are eligible for withdrawal, in accordance with the standard withdrawal process unless otherwise stated herein. Any losses incurred will be deducted from your Account Balance and shall not be offset against the Credit Bonus unless otherwise determined by the Company's system.
  • Where an Eligible Client withdraws funds that are not solely derived from realised trading profits, including withdrawals from the Account Balance or Original Deposited Funds, a portion or the entirety of the Credit Bonus shall be deducted.

The Credit Bonus deduction shall be calculated on a proportionate basis, by reference to the withdrawal amount (the "Withdrawal Amount") and the Eligible Client's Account Equity, Account Balance, realized profits or losses and outstanding Credit Bonus at the time of withdrawal, in accordance with the principles below:

(a) Withdrawal that is less than the profit generated:

Where the Withdrawal Amount is equal to or less than the realized trading profits generated, no trading credit will be deducted.

(b) Withdrawal that exceeds the profit generated:

Where the Withdrawal Amount exceeds realised trading profits and includes a portion of the Account Balance, the Credit Bonus deduction percentage shall be calculated as follows:

Credit Deduction Percentage: [Original Deposited Funds – (Account Equity – Credit Bonus – Withdrawal Amount)] ÷ Original Deposited Funds

Credit Bonus Deduction Amount: Credit Deduction Percentage × Credit Bonus

(c) Withdrawal from the remaining account balance when incurs losses:

Where the Eligible Client has incurred trading losses and withdraws from the remaining Account Balance, the Credit Bonus deduction percentage shall be calculated as follows:

Credit Deduction Percentage: Withdrawal Amount ÷ (Account Equity – Credit Bonus)

Credit Bonus Deduction Amount: Credit Deduction Percentage × Credit Bonus

(d) No Trading Activity:

Where no trading activity has occurred and the Eligible Client withdraws the Original Deposited Funds, the Credit Bonus deduction percentage shall be calculated as follows:

Credit Deduction Percentage: Withdrawal Amount ÷ (Account Equity – Credit Bonus)

Credit Bonus Deduction Amount: Credit Deduction Percentage × Credit Bonus

All Credit Bonus deductions shall be automatically calculated by and applied by the Company's systems. The Company's determination shall be final and binding.

  • The table below is provided for illustrative purposes only. In the event of any inconsistency, the Company's system calculation and determination shall prevail.
ScenarioOutcome
When a client makes a withdrawal that is equal to or less than the profit generated from tradingNo credits will be deducted.
When a client makes a withdrawal that exceeds the profit generated from tradingThe system will deduct credits proportionately based on the portion of funds withdrawn.
When a client incurs trading losses and makes a withdrawal from the remaining account balance
  • If clients make an internal balance transfer, the same proportion of trading credit shall be deducted accordingly. For the avoidance of doubt, allocating funds for strategy-following or copy trading purposes shall be treated as an internal balance transfer.

9. Modification and Termination

Vantage Trading reserves the right to amend, suspend, or terminate this Promotion or any of the Terms at its discretion including removing or deducting any credit bonus from a participant account and voiding any profits generated with the use of trading credit. This may occur due to violations of the Terms, suspicious or abusive trading practices or misuse of the credit bonus. Update or changes will be communicated via email and posted on the website.

10. Liability

Vantage Trading is not liable for any losses, damages, or claims arising from participation in the Promotion. Vantage Trading's liability is limited to the fullest extent permitted by law and will not exceed the total amount of funds deposited by the client.

DEFINITIONS

1.Eligible Client refers to clients who meet the eligibility criteria to participate in the Promotion, as specified in these Terms.

2.Credit Bonus refers to the bonus funds credited to an Eligible Client's trading account, which cannot be withdrawn but can be used for trading.

3.Deposit Bonus refers to the bonus amount credited to the Eligible Client's trading account as part of the Promotion, based on qualifying deposits.

4.First Time Deposit refers to the initial deposit made by a client, assessed at the user level (not account level), and is considered the client's first-ever deposit with Vantage.

5.Second Time Deposit refers to the second deposit made by a client, assessed at the user level (not account level), and is considered the client's second deposit with Vantage.

6.Third and Subsequent Deposit refers to any deposit made by the Eligible Client after their initial and second deposit with Vantage.

7.Account Balance reflects your actual deposited funds and realised PnL from trading activities. Profits or losses are directly applied to this balance, while the bonus credit remains unaffected and serves solely as an additional margin for trading purposes.
Formula: Account Balance = Account Equity - Credit Bonus - Floating PnL.

8.EOD Exchange Rate refers to the prevailing market rate as of the close of the previous business day, used for currency conversions for the purpose of calculating bonus entitlements under this Promotion.

9.Churning refers to the practice of opening and closing Margin FX or CFD transactions solely to benefit from promotional offers, rather than executing trades based on sound investment strategies.

10.Suspicious Trading Activity refers to any conduct that Vantage, based on reasonable assessment, determines compromises the integrity of its services or markets, including holding opposing positions, exploiting low liquidity or price gaps, or engaging in abusive practices. For details, see the Client Agreement on the website.

GENERAL TERMS AND CONDITIONS

The following conditions apply to all offers/promotions/giveaways/contests (“offers”), unless explicitly stated otherwise:

  • Offers cannot be used in conjunction with any other offer unless explicitly stated otherwise.
  • All Vantage Trading offers apply exclusively to valid STP and ECN accounts. Premium, BTC and ETH currency accounts are not eligible unless explicitly stated otherwise.
  • Clients referred by a PAMM/MAM or money manager are not eligible to participate in any Vantage offers.
  • All Vantage Trading offers are only available in accordance with applicable laws and product intervention orders.
  • Vantage Trading offers are not intended to influence an individual’s risk preferences or encourage trading inconsistent with their own strategies. Clients should ensure that they operate their trading account in line with their comfort level.
  • New accounts are subject to approval according to Vantage Trading’s account opening procedure. Individuals applying for an account must review their local laws and regulations before applying with Vantage Trading.
  • Vantage Trading reserves the right to disqualify clients from claiming a trading credit from Vantage Trading offers if they make deposits via e-wallet/digital coin channels, including but not limited to USDT, Neteller, and Skrill.
  • Clients are not permitted to use the trading credit for hedging positions. Vantage Trading reserves the right to cancel a client’s eligibility for credit bonus offers, remove partial or all credit bonuses from their trading account, and eliminate partial or all profits generated by hedging positions without prior notice.
  • Vantage Trading may exclude and/or cancel a client’s participation in its offers if: a) they engage in churning (opening and closing Margin FX or CFD transactions solely for the purpose of benefiting from an offer); b) they engage in internal or external hedging; c) they violate the Client Agreement or breach the terms and conditions of any offers In such cases, Vantage Trading has the right to remove any bonus amounts or incentives from the trading account.
  • Vantage Trading may make changes to these terms and conditions at any time and will inform you of such changes by posting the modified terms on the Vantage Trading website. It is advisable to regularly review these Terms, and by continuing to use Vantage Trading’s website and services, you accept any modified terms. Vantage Trading retains the right to modify or cancel offers at its sole discretion, at any time.
  • In the event of suspected misconduct, fraud, abuse, or violation of the Terms and Conditions, Vantage Trading may cancel, modify, or reverse any rewards or promotional incentives, and withdraw the eligibility of any participant at its absolute discretion. Furthermore, Vantage Trading reserves the right to disqualify, decline or reject any subscription to the offers or participant at any stage of the offers, without prior notice or liability to any individual.
  • Vantage Trading’s decision or resolution regarding the award of all prizes, disqualification of any participant and/or in every situation including any not covered by these Terms and Conditions, shall be final and binding on all participants of any offers. Vantage Trading is not obliged to entertain or respond to any queries, challenges, or appeals made against the Company’s decision pertaining to any offers.
  • Clients agree to indemnify and hold Vantage Trading harmless from and against any claims, actions, damages, liabilities, costs, and expenses (including legal fees) arising from or related to their participation in any offers, including any violation of the Terms and Conditions, breach of any applicable laws or regulations, or infringement of third-party rights. Vantage Trading is not responsible for any losses, costs, expenses, or damages that may be incurred in connection with this offer, to the extent that such liability cannot be excluded by law.
  • Vantage Trading, its affiliates, directors, officers, employees, or agents shall not be held liable for any losses, damages, or liabilities incurred by clients as a result of participating in any offers, including but not limited to financial losses, system failures, technical glitches, or any other unforeseen circumstances.
  • Vantage Trading may exclusively collect and process the personal data you provide in connection with any offers, with your explicit consent and for the specific purpose stated. Your data will be managed in accordance with the applicable data protection laws to ensure both your privacy and data security.
  • In the event of any inconsistency, the English version of these terms and conditions shall prevail if the terms are translated into a language other than English.
  • The provider of this offer is Vantage Prime Trading Limited. (Reg. No. 2023-00318).

APPENDIX

The examples below are provided for illustrative purposes only. In the event of any inconsistency, the Company's system calculation and determination shall prevail.

Example 1: Withdrawal that is less than the profit generated

Where a client generates a profit of 300 and withdraws 300, the credit balance shall remain unaffected, as follows:

Before WithdrawalWithdraw / Credit DeductionAfter Withdrawal
Deposit (Balance)1,000Withdrawal Amount= -300
Credit Deduction Amount= 0
1000
Credit500500
Realised PnL300
Equity1,8001,500

Example 2: Withdrawal that exceeds the profit generated

Where the client makes a withdrawal of 600 exceeding the realised profit, an amount of 150 will be deducted from the promotional credit, as follows:

Credit Deduction Percentage: [Original Deposited Funds – (Account Equity – Credit Bonus – Withdrawal Amount)] ÷ Original Deposited Funds

Credit Bonus Deduction Amount: Credit Deduction Percentage × Credit Bonus

Before WithdrawalWithdraw / Credit DeductionAfter Withdrawal
Deposit (Balance)1,000Withdrawal amount= -600
Credit Deduction Amount= -150
Calculation:
credit out %
= 1000 - (1800 - 500 - 600) / 1000
= 0.3
credit out amount
= 0.3 x 500 = $150
1000
Credit500350
Realised PnL300
Equity1,8001,050

Example 3: Withdrawal from the remaining account balance when incurs losses

Where the client has a realised PnL of 200, a portion of the withdrawal amounting to 187.5 will be deducted from the credit bonus, as follows:

Credit Deduction Percentage: Withdrawal Amount ÷ (Account Equity – Credit Bonus)

Credit Bonus Deduction Amount: Credit Deduction Percentage × Credit Bonus

Before WithdrawalWithdraw / Credit DeductionAfter Withdrawal
Deposit (Balance)1,000Withdrawal amount= -300
Credit Deduction Amount= -187.5
Calculation:
credit out %
= 300 / (1300 - 500) = 0.375
credit out amount
= 0.375 x 500 = $187.5
500
Credit500312.5
Realised PnL-200
Equity1,300812.5

Example 4: No Trading Activity

Where a client has not conducted any trading, a withdrawal of the full deposited amount will result in the full deduction of the credit bonus (500), reducing the account balance, credit, and equity to zero.

Credit Deduction Percentage: Withdrawal Amount ÷ (Account Equity – Credit Bonus)

Credit Bonus Deduction Amount: Credit Deduction Percentage × Credit Bonus

Before WithdrawalWithdraw / Credit DeductionAfter Withdrawal
Deposit (Balance)1,000Withdrawal Amount= -1,000
Credit Deduction Amount=-500
Calculation:
credit out %
= 1000 / (1500 - 500) = 1
credit out amount
= 1 x 500 = $500
0
Credit5000
Realised PnL0
Equity1,5000

Example 5: Withdrawal of Profits Earned Without Making a Deposit After Stop-Out

If a client trades using the remaining Credit Bonus after a stop-out (Cash Adjustment) without making a new deposit, and subsequently withdraws any profits earned, the remaining Credit Bonus will be deducted in full.

Example 6: Internal Transfer

If a client transfers any amount between their own accounts, the bonus credit will be deducted using the same calculation methodology as withdrawals, in accordance with the corresponding scenarios illustrated in Examples 1, 2, 3, and 4.