It is essential that you clear the balance outstanding amount (Total Traded Value Less Margin Provided) by T+2 day(i.e trade day + 2 trading days). If you do not clear the entire traded value within T+2 days, your shares will be moved to Client Unpaid Securities Account (CUSA). The outstanding amount will also incur applicable interest charges.
By when am I expected to clear the entire amount of the buy transaction? Print
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