The settlement cycle for 'IS' trades is T+2 working days. If an IS trade is executed on Monday, the sales proceeds will be credited on Wednesday. If the trade is executed on Friday, the seller should receive the funds on the following Tuesday since the exchange is closed for trading on Saturday and Sunday.
My Portfolio:
Advantage AxisDirect
- 20 investment products
- 3 great platforms to invest
- 5 fun-tastic learn courses
- 5 powerful research segments
- 4 prestigious awards
- 9 lakh+ happy investors
Quotes
Quotes
Back To Menu



India
NRI



