I am still confused on T1 and T3.
My understanding: T1
If i buy today and sell tomorrow then i only pay for the loss or receive the gain.
My understanding: T3
Is the day the + / - will transact in my bank.
So my question is if I buy today (Monday) and Sell Wednesday then do i pay the full amount as purchased which will T3 on Thursday, and then Receive the Sell value on T3 which would be Monday ?
Cheers
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