New question Settlement dateUsually it is Trade date plus 2 business days
so if you bought on September 30 then the settlement date is October 4 which is also ex date
now is the settlement happens on that day or after end of the day?
also will you get the dividend if you sell on the day of your settlement date which is same as ex date.
based on what I have been reading you are safe to get the divvy
but want to know more for future and there a lot of. Smart people here.