For cash redemptions, you will receive a total of 2 emails:
•1st email: when we received your redemption order; and
•2nd email: when your units have been priced.
The relevant units sold will be removed from your holdings table on T+2 business days once the sell order is priced.
For EPF Account 1 redemption, you will receive a total of 3 emails:
•1st email: when we received your redemption order;
•2nd email: when we received your full set of redemption documents; and
•3rd email: when your units have been priced.
The relevant units sold will be removed from your holdings table on T+2 once the sell order is priced.