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(1) When calculating the amount of funds available for purchase, the funds received from the closing of a position are required to be delivered on T+2 days before the transferable amount is calculated;
(2) When calculating the total amount of funds available for subscription, it cannot be transferred if the customer has financing activities, and the transferable amount is 0. In other words, when calculating the total amount of funds available for subscription, the customer's stock position is calculated based on 100% margin, and the total amount is calculated by deducting the cash available for subscription that corresponds to the amount of funds financed by the customer.
(3) If there is only HKD cash in your account, you cannot apply for the fund directly.

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