If an investor has bought or sold a share on Tuesday, the settlement takes place on the trading day and on the second trading day i.e. T+1. That means the shares bought on Tuesday will be deposited in the demat account on Wednesday.
If an investor has bought or sold a share on Tuesday, the settlement takes place on the trading day and on the second trading day i.e. T+1. That means the shares bought on Tuesday will be deposited in the demat account on Wednesday.