Proceeds from selling a stock or security will settle in your brokerage account one (1) business day after the sale. Once the proceeds from your sales have settled, they will be available to withdraw.
Please Note: Recently deposited funds, bonus, and fee credits are subject to a clearing period of five (5) full business days before the funds are available to withdraw.
Your account will show the amount available to withdraw. It will be labeled as “Withdrawable cash” and will include all funds that are settled, cleared, and available to withdraw back to your bank account.
Withdrawals from your brokerage account may take 1-3 business days to reach your linked bank account.
To learn about making a withdrawal, please refer to any one of the following articles: