Settlement of Hong Kong stock trades is basis on T+2, i.e. 2 business days after trade date “T”. No fund/scrip withdrawal is allowed before T+2.
香港股票交收時間為交易日(稱為「T」日)後的第2個交易日(即「T+2」日);在T+2以前,客戶不能提取現金、實物股票及進行買入股份的轉託管。
Settlement of Hong Kong stock trades is basis on T+2, i.e. 2 business days after trade date “T”. No fund/scrip withdrawal is allowed before T+2.
香港股票交收時間為交易日(稱為「T」日)後的第2個交易日(即「T+2」日);在T+2以前,客戶不能提取現金、實物股票及進行買入股份的轉託管。