This page allows you to buy (from your collecting account to your investment contract) and sell (from your investment contract to your collecting account).
Follow these steps:
To buy:
- Choose the investment fund.
- Enter the amount MXN to buy securities.
- Enter the amount MXN to purchase securities
- Select any additional options you want and enter the information requested
- Click on “Continue”.
- Verify the information and click on “Accept, your operation will be applied.
To Sell:
- Choose the investment fund.
- Select the option by title or by Amount
- Enter the number of securities you want to sell or the amount in MXN.
- Select any additional options you want and enter the information requested
- Click on “Continue”.
- Verify the information and click on “Accept”, the operation will be applied.
Notes:
- The instructions to sell and buy securities can be made from 9:00 to 13:00 hours (Mexico City´s time).
- If the buy operation is made at the established hours, the balance of your holding account will be reflected online, and the securities balance will be reflected the next working day.
- If the sell operation is made at working hours, the balance of your holding account or securities will be reflected the next working day.
- All orders placed after working hours, will be reflected in your holding account balance the next business day and the securities depending on selected liquidity fund.
- Remember that pooling operations require a second digital signature, according with the representatives powers in the Administration Module.
- If the investment is made on a weekend, will be applied the next banking day.
- If you want to check your balance before making any investment fund operation, select Balance Option.
Buttons:
- “Help”: Gives you specific aid.
- “Exit”:: Ends the session.