How long does it take for funds to be credited after exit?
Last Updated last year
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Once exit orders are executed:
- The sale proceeds usually reflect in your broker account on the same day (T+0) for intraday executions, or
- T+1 / T+2 for regular delivery-based sales, depending on exchange settlement.
Axe updates your dashboard as soon as broker confirmation is received, and your available cash balance becomes visible for reinvestment or withdrawal.