Orders submitted before 12:00 p.m. on each trading day will be processed on the same day. If the order is submitted after 12:00 p.m. or on a non-trading day (e.g. fund holidays or Singapore public holidays), the order will be processed on the next trading day.
Fund subscription is not supported by margin financing.
As there is no specific order for redeeming funds, redemption shall be subject to the "Saleable Fund Units" on the corresponding fund's page; proceeds from a successful redemption will be returned to the account from where the funds originated from.
Fund sale requests must be submitted by 12:00 on T day; whereupon, the fund will calculate the net value on T day, and the relevant money will be credited to your account within about 7 trading days.