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 to buy the securities.
- Choose any other option and enter the information requested.
- Click “Continue”.
- Verify the information and click “Accept”, the operation will be applied.
To Sell:
- Choose the investment fund.
- Enter the number of securities to be sold.
- Choose any other option and enter the information requested.
- Click “Continue”.
- Verify the information and click “Accept, the operation will be applied.
Notes:
- The orders 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 collection account will be reflected in that moment, and the securities one will be reflected the next working day.
- If the sell operation is made at operation hours, the balance of your collection account or securities will be reflected the next working day.
- If the buy orders are made after operation hours, the balance of your collection account and securities will be reflected after two working days.
- If the sell orders are made after the operation hours, the balance of your collection account and securities will be reflected after two working days.
- The first sale must be made 72 hours after the initial purchase. If not, the first sell will be reflected after 72 hours of the first sale.
- Remember that joint operations require a second digital signature, according to the faculties assigned in the representatives’ registration.
- If the investment is made during a weekend it will be applied the second working day of the Banks.
- If you want to query your balance before making any operation with investment funds, choose the option Balance.
Buttons:
- “Help”: Gives you specific aid.
- “Exit”:: Ends the session.