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Settlement date |
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Settlement dateThe date on which payment is made to settle a trade. For stocks traded on US exchanges, settlement is currently three business days after the trade. For mutual funds, settlement usually occurs in the US the day following the trade. In some regional markets, foreign shares may require months to settle.Settlement date Similar MatchesSettlement riskSettlement riskThe risk that one party will deliver and the counterparty will not be able to pay and vice versa. Same Day Funds Settlement (SDFS)Same Day Funds Settlement (SDFS)A method of settlement used in trading between well-collateralized parties in good-the-same-day federal funds used by the Depository Trust Company for transactions in US government securities, short-term municipal notes, medium-term commercial paper notes, CMOs, and other instruments. Short settlementShort settlementTrade settlement made prior to the standard five-day period due to customer request. Dispute Settlement BodyDispute Settlement BodyThe entity within the WTO that formally deals with disputes between members. It consists of all WTO members meeting together to consider reports of panels and the Appellate Body. Cash settlement contractsCash settlement contractsFutures contracts such as stock index futures that settle for cash and do not involve delivery of the underlying. Further SuggestionsDispute settlementInsurance settlement Skip day settlement Bank for International Settlements rolling settlement Real Estate Settlement Procedures Act (RESPA) Structured settlement Next day settlement Cash sale or settlement Regular way settlement settlement day Regular settlement settlement cash settlement Settlement Exercise settlement amount settlement options Dispute settlement mechanism Good delivery and settlement procedures Uniform Settlement Statement Cash Settlement Bank for International Settlements (BIS) Immediate settlement Exchange Delivery Settlement Price Continuous net settlement (CNS) |
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