Due to technical issues with Standard Chartered Bank, FX, deposits & withdrawals are temporarily unavailable.

Due to technical issues with Standard Chartered Bank, FX, deposits & withdrawals are temporarily unavailable.

Selling Bonds

According to the redemption option selected, the sell/redemption proceeds will be credited on:

FSM Cash Account
T (Transaction Date) + 3 business days

FSM Auto-Sweep Account
T (Transaction Date) + 3 business days, before 2.30pm

Click HERE to know more about Cash Account.
Click HERE to know more about Auto-Sweep Account.

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