Forex and Stock trade settlement usually takes place on the second business day following the sale transaction (Trade Date plus two business days: T+2). Securities option, index option, future, future option, US Government bond and USD.CAD Forex pair trade settlement usually takes place one business day following the sale transaction (Trade Date plus one business day: T+1). Settlement dates can also be found in your Trade Confirmation Report. See: How do I download my trade confirmation reports?
All investments involve risks, including the possible loss of capital.
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