Currently, the payment cycle applied on all 03 (three) trading exchanges HSX, HNX, UPCOM is T+2. That means after 02 trading days from the time the customer places the Buy/Sell order, the securities and money will be in the customer’s account.


Frequently asked questions

Equity capital market

Debt capital market

Mergers and acquisitions

Consulting on shareholder and investor relations

Recruitment

Stock trading

Bond Trading Depository at VSDC, resgistered for trading on HNX

Bond Trading Depository at NVS, not resgistered for trading on HNX

Margin trading
