hey guys thanks for that help,
im using commsec, and today i sold a package of shares and it says the settlement is not till the 18th.... westpac would be best if it is t+1 ??
what would happen if lets say i bought a bundle of shares today = t+3, settlement = 18
but the next day i sold them..(if the settlement for sell is t+3 too, settlement = 19) would there be any problem with this?
thankyou for your input guys
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hey guys thanks for that help, im using commsec, and today i...
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