China Securities Clearing Corporation: September 29 and September 30, 2025 will be added as trading days for the Stock Connect.
China Securities Depository and Clearing Corporation Limited (ChinaClear) issued a notice regarding the settlement arrangements for securities funds during the market holidays for the National Day and Mid-Autumn Festival in 2025. September 29 and September 30, 2025 are designated as additional trading days for the Hong Kong Stock Connect. For securities transactions and bond general collateral repos due on September 30, 2025, the fund settlement date is September 30, 2025, and the fund delivery date is October 9, 2025. For securities transactions on October 9, 2025, and bond general collateral repos due from October 1 to October 9, 2025, the fund settlement date is October 9, 2025, and the fund delivery date is October 10, 2025. The fund delivery dates for Shanghai B-share transactions on September 26, 29, and 30, 2025, are respectively October 9, 10, and 14, 2025. The fund delivery dates for Shenzhen B-share transactions and delisted B-share transactions on September 26, 29, and 30, 2025, are respectively October 9, 10, and 13, 2025.
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