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What is the process of delivery if I sell e-Series units?
On the trading day or T+1 day, you have to issue a delivery instruction for sale (DIS) to your DP. Please ensure to write the correct settlement number, market type, ICIN number and quantity. Your member (broker) will provide you the market type and settlement number. Please ensure that the execution date is same or prior to the pay-in date and your instruction is executed by the DP before the scheduled pay-in time.