China Settlement issued a notice on securities fund clearing and settlement arrangements during the 2025 National Day and Mid-Autumn Festival holidays. September 29 and September 30, 2025 will be the new Hong Kong Stock Connect trading days. For securities transactions that occurred on September 30, 2025 and general pledge repurchases of bonds maturing on the same day, the fund settlement date is September 30, 2025, and the fund settlement date is October 9, 2025. For securities transactions that occurred on October 9, 2025 and general pledge repurchases of bonds maturing from October 1 to October 9, 2025, the fund settlement date is October 9, 2025, and the fund settlement date is October 10, 2025. For B-share transactions in Shanghai that occurred on September 26, 29, and 30, 2025, the fund settlement dates were October 9, 10, and 14, 2025, respectively. For the Shenzhen B-share transaction and delisting B-share transaction that occurred on September 26, 29, and 30, 2025, the fund settlement dates were October 9, 10, and 13, 2025, respectively.

Zhitongcaijing · 09/25 09:25
China Settlement issued a notice on securities fund clearing and settlement arrangements during the 2025 National Day and Mid-Autumn Festival holidays. September 29 and September 30, 2025 will be the new Hong Kong Stock Connect trading days. For securities transactions that occurred on September 30, 2025 and general pledge repurchases of bonds maturing on the same day, the fund settlement date is September 30, 2025, and the fund settlement date is October 9, 2025. For securities transactions that occurred on October 9, 2025 and general pledge repurchases of bonds maturing from October 1 to October 9, 2025, the fund settlement date is October 9, 2025, and the fund settlement date is October 10, 2025. For B-share transactions in Shanghai that occurred on September 26, 29, and 30, 2025, the fund settlement dates were October 9, 10, and 14, 2025, respectively. For the Shenzhen B-share transaction and delisting B-share transaction that occurred on September 26, 29, and 30, 2025, the fund settlement dates were October 9, 10, and 13, 2025, respectively.