You must clearly instruct your broker of the
- Name of the company
- Number of shares
- The price
of the shares which you wish to buy or sell.
A single tier settlement cycle of trade day + 3 (T+3) is adopted to settle transactions.
A single tier settlement cycle of trade day + 3 (T+3) is adopted to settle transactions.
- The buyer must make payment for shares bought by the 3rd trading day after the purchase (T+3)
- The seller will receive payment for shares sold by the 3rd trading day after the sale (T+3)
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