Frequently Asked Questions
Sales Proceeds
When will I receive my sales proceeds?
Sales proceeds will be credited back to your Phillip Account (or your designated bank account for non-ledger based accounts e.g. Cash Trading accounts) one day after the due date.
Other faq that might help you
- I have sold some shares, how do I know how much are my sales proceeds?
- When will I receive my sales proceeds?
- I have already provided my bank account number for the EPS linkage, will the sales proceeds be credited directly to my bank account?
- Why is my sale proceeds placed in available cash and not returned to my bank account?
- How do I withdraw the money?
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