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繁 體 | 简 体 | EN |
Contact Us |
Monday to Friday 8:30AM - 5:30PM Saturday, Sunday & Public Holidays Closed |
Hotline: (852)3198-0622 |
Online Enquiry: |
Services |
Services Available to Our Clients: |
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* Customers can view their trade order status and previous transactions on their online account. |
Trading Particulars |
Stock Trading - In Detail |
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Trade Confirmation |
By Phone: Customers will receive a confirmation from their respective Account Executives once their order is placed. |
Via Online: Customers can refer to the “Order Status” section of their online account for updates. |
Stock Settlement Date |
Settlement day for Hong Kong stocks is on the second business day after the transaction day (T+2). |
Buy Order Settlement |
Payment Handling: |
We recommend our customers to deposit the full transaction amount along with any additional items such as trading fees, levies or related settlement charges, and brokers' commission to their securities account. The full amount is then debited from their securities account where the purchased shares are deposited to customer's account on the settlement day. |
Fund Deposit: |
HSBC: 122-415599-001
OCBC WING HANG: 029728-001 |
Online Channel: |
We recommend customers who place orders through our online channel to have sufficient funds in their account to avoid the system from rejecting the transaction order. Once orders are executed, funds will be frozen until 2 days after the transaction day. |
Insufficient Funds / Negative Account Balance: |
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Sell Order Settlement |
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Record of Transactions and Account Activity |
Customers of Oshidori Securities will receive both daily and monthly statements to either their registered mailing address or email account. Customers can sign-up for statements via email by contacting their respective Account Executive. |
Daily Statements: |
Sent on the following day of the respective transaction – with record of all buy/sell, funds in/out, and other activities related to the account. |
Monthly Statements: |
Records all transactions and activity history of the account in the respective calendar month. These are normally sent to customers within the first week of the following month. |