NZ Dates | US banks and share markets | NZ Public Holidays |
Mon, 26 Dec | Closed (Sunday in US) | Closed (Boxing Day) |
Tues, 27 Dec | Closed (Xmas Observed, Monday in US) | Closed (Observe Xmas) |
Wed, 28 Dec | Open | Open |
Thur, 29 Dec | Open | Open |
Fri, 30 Dec | Open | Open |
Sat, 31 Dec | Open (Friday in US) | Closed (Saturday) |
Sun, 1 Jan | Closed (Saturday in US) | Closed (Sunday) |
Mon, 2 Jan | Closed (Sunday in US) | Closed (Day after NY) |
Tues, 3 Jan | Closed (Monday in US) | Closed (Observe NY) |
Wed, 4 Jan | Open | Open |
What this means for you
Orders
Orders placed after 10:00 am Saturday, December 24th NZT will be placed at market open at 3:30 am Wednesday, December 28th NZT.
Orders placed after 10:00 am Saturday, December 31st NZT will be placed at market open at 3:30 am Wednesday, January 4th NZT.
Money resulting from sell orders takes two US business days to settle. This means that your money will take an extra day to settle in your account balance.
Deposits
Money deposited to Hatch after 1:00 pm Friday, December 23rd NZT won't land in your Hatch account until Wednesday, December 28th NZT.
Any money deposited to Hatch after 1:00 pm Friday, December 30th NZT won't land in your Hatch account until Wednesday, 4th January NZT.
Want to know more about public holidays and trading hours?
What happens to my payments and orders on public holidays?
How does Hatch work with the different time zone of the US share markets?