

Borrow Fee Rate represents the cost to borrow stock expressed in percent per annum.Applicable commodity Regulatory Fees for your transactions are available on the IB website at.Trade execution times are displayed in Eastern Time.Each closed lot indicated above with a reference to note (6) was chosen by the end of the trading day to be sold versus the specific opening purchase identified in that row.The commission is displayed on the first partial execution only. In case of partial executions, commissions are charged on the total quantity executed on the original order.

USD TO PHP EXCHANGE RATE JULY 1 2017 PLUS
For instance, stock transactions on XETRA settle on trade date plus two business days.) Ending settled cash reflects the cash that has actually settled. (Some exchanges and other transaction types may have longer or shorter settlement periods. Options, futures, and US open-end mutual fund transactions settle on trade date plus one business day. Most stock exchange transactions settle on the trade date plus three business days.
