What happens when I sell my shares or Vues?

When you sell your shares, the proceeds will be credited to your account after the settlement date. Settlement dates vary generally between two to three business days, depending on the jurisdiction involved. In unusual circumstances, market conditions can sometimes lead to an increase in settlement time. By default, the funds will be left in local foreign currency after settlement of trades. If you want to convert the funds to Australian Dollars, you can instruct us to do so on your behalf.