Settlement of securities on a recurring cycle of a certain number of days from the tradedate, rather than on fixed...
指按交易日后若干天数为循环周期对证券进行结算,而不是按固定的账户日进行结算。
2
It refers to the settlement of securities on a recurring cycle of a certain number of days from the tradedate, instead of on fixed account days.
指按交易日后若干天数为循环周期对证券进行结算,而不是按固定的账户日进行结算。
3
Sell and Buy events have attributes describing the customer, the stock, the date and time when the trade took place, the number of shares and the price.