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| {{eqderivanat|10.2}}
| | #redirect[[Dividends - Equity Derivatives Provision]] |
| Only relevance of the {{eqderivprov|Cash Settlement Payment Date}} or {{eqderivprov|Settlement Date}} is that the former relates to [[Cash|money]] payments and therefore cash dividends, the latter to [[physical delivery]] of [[securities]], (i.e. scrip [[Dividend - Equity Derivatives Provision|dividend]]s), which are more fraught with disruptions.
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| So your cash payments will usually get paid on the intended {{eqderivprov|Currency Business Day}}; [[scrip|scrip dividend]]s might not get to you for a few days if the market is a bit salty.
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