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Settlement DateThe date on which payment is made to settle a trade. For stocks traded on US exchanges, settlement is currently three business days after the trade. For mutual funds, settlement usually occurs in the [..]
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Settlement DateTerm used to describe the date by which shares, bonds, etc., must be paid for by the buyer, or a sold asset must be delivered by the seller.
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Settlement DateThe date on which the parties to a swap make payments.Synonyms: payment date Related Terms: Swap contract
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Settlement DateSee settlement day (settlement date)
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Settlement DateThe settlement date is the date by which a securities transaction must be finalized. By that date the buyer must pay for the securities purchased in the transaction, and the seller must deliver those securities.For stocks, the settlement date is three business days after the trade date, or what's referred to as T+3. For options and governme [..]
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Settlement DateThe date on which settlement is scheduled to occur. This date is used in price and interest calculations. See: DELIVERY DATE; SETTLEMENT. Compare: TRADE DATE.
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Settlement DateDefinition The date by which an executed securities transaction must be settled, by paying for a purchase or by delivering a sold asset; usually three business days after the trade was executed (T+3); [..]
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Settlement DateThe date on which the sale of the property is finalised; money and security changes hands and the new owner takes possession.
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Settlement DateThe date for the delivery of securities and payment of funds.
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Settlement DateThe date on which the final settlement of securities transaction takes place and the final payment is made. It is also referred to as T+3 as the settlements must occur on (or prior to) the third business day after the date of the transaction.
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Settlement Date
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Settlement DateA date on which the new owner finalises payment and assumes possession of a mortgaged item.
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Settlement DateDate by which an executed order must be settled. Buyers pay for securities with cash, and sellers deliver certificates of sold securities.
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Settlement DateSettlement date means the point of time by which an executed order must be completed. It is normally a securities industry term which means the date on which the investor must pay the broker for secur [..]
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Settlement DateThe date on which security transactions are settled. Settlement is generally three business days after the trade.
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Settlement DateThe date that a transaction must be finalized.
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Settlement DateThe day an executed trade must be reconciled - i.e. the buyer or auction winner must pay for securities obtained.
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Settlement DateThe date for the delivery of bonds and payment of funds agreed to in a transaction.
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Settlement DateThe date on which a trade is cleared by delivery of securities against funds. The settlement data may be the trade date or a later date.
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Settlement DateThe date on which an investor must pay for his or her purchase, or a seller must deliver the securities he or she has sold. Mutual fund trades generally settle on trade date plus three business days [..]
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Settlement DateOnce a sale or purchase of shares has been agreed, arrangements need to be made for it to settle. This process involves organising payment for purchases, or receiving shares for sales and delivering t [..]
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Settlement DateThe date on which an executed order is settled, either by a buyer paying for securities or by a seller receiving the proceeds for the sale. In most stock transactions, the settlement date is three business days after the execution of the trade (T+3).
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Settlement DateDate of electronic funds transfer that determine the availability of funds.
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Settlement DateEach set-off date and the final settlement date. This date is the day on which the FX transaction is completed.
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Settlement DateThe date by which an FX contract between two parties must be settled by the transference of funds between buyer and seller.
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Settlement DateThe date on which a contract settles, meaning all payments agreed to in the contract have been sent. See also maturity date.
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Settlement Dateor payoff date The date for an event when winning bettors can expect payment. This usually is shortly after the competition is completed.
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Settlement DateThe date on which a securities buyer must pay for a purchase or a seller must deliver the securities sold. In general, settlement must be made on or before the third business day following the transac [..]
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Settlement DateThe day on which settlement occurs, i.e., funds actually change hands as a result of an ACH entry.
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Settlement Date – The date by which a transaction must be settled, that is, when the asset is transferred to the new owner and payment is transferred to the seller. For Australian shares, the settlement date is typically three business days after the transaction (T+3).
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Settlement DateThe date on which both parties of a transaction agree to deliver securities or pay cash.
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Settlement DateThe date when a securities buyer must pay for a purchase or a seller must deliver the securities sold. Settlement must be made on or before the third business day following the transaction date in mos [..]
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Settlement DateThe date specified for delivery of securities between securities firms, usually three business days after the execution of an order.
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Settlement DateThe date on which payment is made to settle a trade. For stocks traded on US exchanges, settlement is currently three business days after the trade. For mutual funds, settlement usually occurs in the [..]
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