When selling your investment, the proceeds of this sale are classified as Unsettled Cash for a period of 5 business days until they are deemed as settled (“Settlement Period”).

Once the Settlement Period is complete the cash will reflect under your "Withdrawable funds" amount on the Withdrawal page of the website and will be available for withdrawal to your bank account.

This is in line with JSE’s Equities Rules (which dictates a T+3 settlement period) and our terms and conditions which make provision for a maximum of 5 business days for settlement.

For details on how to withdraw funds, visit this FAQ article - How do I withdraw funds from an EasyEquities account?