RSP buy-in will only occur on trading days. For Mutual Funds: Monday - Friday 8 AM SGT The settlement cycle for Mutual Funds varies from fund to fund. An indicative date will be shown once the order has been placed. For US trading: Monday- Friday 10:30 AM ET Settlement for US Stocks and ETF trading will follow a T+1 settlement cycle. Settlement and delivery of stocks occur 1 business days after the order is executed. |