(a) For cash dividends, bond coupon and maturity proceeds:
We will sweep your proceeds one business day after the amount credited to your respective currency Cash Account into the same-currency Auto Sweep Account (e.g. MYR Cash Account to MYR Auto Sweep Account).
(b) For sell/redemption proceeds deposited into Auto-Sweep:
The proceeds will reflect in USD / SGD Auto-Sweep on the respective redemption settlement date for Unit Trusts, Bonds, Stocks, and ETFs.
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