Settlement

  • For Stocks/ETFs sell orders (all Exchanges except China A-Shares), the proceeds will be credited into your respective product currency Cash account or Auto-sweep account within Transaction Date + 3 business days, after 530pm.
  • For China A-Shares sell orders, the proceeds will be credited into your respective product currency Cash account or Auto-sweep account by Transaction Date + 1 business day, after 530pm.
  • The proceeds from the sale of CDP securities account will be credited into your FSMOne Cash Account or Auto-sweep account by Transaction Date + 2 business days, after 530pm.

CPF/SRS
The proceeds will be credited to your respective Agent Bank Account after T+2 business days.

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