Category
About Us
Account
Deposit & Withdrawal
Trading in US Markets
Trading in HK Markets
Trading in SG Markets
Corporate Action
Mutual Funds
Options
Margin Trading & Short Selling
Fractional Shares
Subscriptions
Moneybull
A-Shares
Regular Savings Plan
Shares Transfer
Bonds
  • All
Profit & Loss Analysis
Fraud Prevention
Others

How long is the settlement period for Treasuries?


Treasuries follow a T+1 settlement cycle. Settlement and delivery of Treasuries occur 1 business day after the order is executed.


Example: if you sell your Treasuries on 10 December 2024 (trading day), the settlement date will be 11 December 2024 (trading day). You can then initiate a withdrawal or currency exchange instruction. If the settlement date falls on a holiday, it will be postponed accordingly.

Was this helpful?
Yes
No