The SG and HK stock exchanges follow a T+2 settlement cycle where settlement and delivery of stocks occur 2 business days after the order is excuted.
The US stock exchanges follow a T+1 settlement cycle where settlement and delivery of stocks occur 1 business days after the order is excuted.
|
Market |
Trade Date (T+0) |
Settlement Date (T+2) |
Receive sales proceed |
|
SG Market |
03/06/2024 |
05/06/2024 |
06/06/2024 |
|
HK Market |
03/06/2024 |
05/06/2024 |
06/06/2024 |
|
Market |
Trade Date (T+0) |
Settlement Date (T+1) |
Receive sales proceed |
|
US Market |
03/06/2024 at 10pm |
05/06/2024 |
05/06/2024 after 4pm |
|
03/06/2024 at 2am |
05/06/2024 |
05/06/2024 after 4pm |