Funds
Moomoo Cash Plus
SmartSave
Fund Portfolio
Private Fund & Structured Product
Bonds
What is a bond
How to trade bonds
What are the fees for trading bonds
What is the settlement date for bonds
What is accrued interest on bonds
What is Yield to Maturity (YTM)
How is the estimated amount of a bond order calculated
What is the Max NV (Nominal Value) to Buy
What is the NV (Nominal Value) Available to Sell
How do I receive coupon payments
How do I receive the principal payment at maturity
Bond Position and P/L
Fast Trade for bonds
Structured Notes
Robo-advisor Service
The settlement date for bonds is two trading days after the transaction date, or T+2. It you buy a bond, you can sell it at T+2 (T refers to the bond transaction date).
Funds for buying or selling bonds are settled at T+2 (T refers to the corresponding transaction date). In the event of a non-trading day, settlement will be postponed to the next trading day.