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Commsec T+3?

Joined
7 March 2011
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Hi folks.

New to trading. I have an account with Commsec. They say they will offset the funds. And have a slightly clumsy exaple on their help pages.

If I sell stock, do I have to wait T+3 to buy stock with that money? Or will Commsec stand me good for funds owed?

cheers
Jack
 
Re: Commsec T+3???


you are fine to buy stock with that money (even if you have no cash in your account)

eg if you have $0 cash and sell $5000 of shares then buy $4000 of shares in another stock, after T+3 you will see $1000 in your cash account
 
Re: Commsec T+3???

Thanks. I thought as much, but had to check.

cheers
Jack
 
Re: Commsec T+3???

If you keep a long string of trades going, sell one, buy one, sell one, buy one etc, all relying on the initial funds, then it wont balance your account out till T+3. I did this the other week for the first time and it was 7 days before the account funds changed, it also only gives you the finial amount, you wont see debits and credits for each transaction.
 
comsec

hi guys. just wondering if i sold some stocks now, do i need to wait for the money to show up in my comsec cash management account before i could buy any stock?
 
Re: comsec

hi guys. just wondering if i sold some stocks now, do i need to wait for the money to show up in my comsec cash management account before i could buy any stock?

Hi,

You don't have to wait. Because of the T+3 settlement rules you don't have to have any money in your account at all until settlement occurs.

Commsec has a FAQs area with most of these types of questions answered.
 
Re: comsec

hi guys. just wondering if i sold some stocks now, do i need to wait for the money to show up in my comsec cash management account before i could buy any stock?

Download the Client Guide pdf from CommSec's website. It explains how T+3 works and gives examples of their offsetting feature. Offsetting is where they allow you to buy and sell shares within a short time interval (up to 2 days apart) even though the proceeds of the sale may not be available when you are required to settle a buy order.
 
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