US Market: Follows a T+1 settlement cycle, trades settle on the next business day after the trade date.
Singapore & Hong Kong Markets: Follow a T+2 settlement cycle, trades settle on the second business day after the trade date.
| Market | Settlement Cycle |
|---|---|
| U.S. market | T+1 business day |
| Singapore market | T+2 business days |
| Hong Kong market | T+2 business days |
