When will I receive the proceeds from the sale of my shares?

When will I receive the proceeds from the sale of my shares?

Proceeds from the sale of a stock or listed security are settled and transferred directly into your linked Macquarie CMA on T+2 (trade date plus two trading days).  However, sale proceeds are immediately included in the calculation of funds available to trade.



Exceptions to this is when there is a 'deferred settlement' on a stock, which occurs from time to time and is determined by ASX CHESS.