Your trade request will be processed promptly. However, to proceed with the execution, we need to verify fund availability and assess market conditions, which may necessitate some time. Rest assured, we will diligently monitor your trade and provide a confirmation report once it is successfully executed. Your patience is appreciated, and we will be in touch shortly with any updates.
Most stock exchange transactions settle on the trade date plus two business days. Options, futures and US open-end mutual fund transactions settle on trade date plus one business day. (Some exchanges and other transaction types may have longer or shorter settlement periods.) Ending settled cash reflects the cash that has actually settled.