When selling a bond in your Bond Account, the funds will settle in 1 business day (T+1) from trade execution and may take 1 additional business day depending on when the trade is submitted for processing. Once settled and transferred back to the brokerage account, the funds should be available to reinvest or withdraw.
Please note that Holidays and Market closures will affect settlement times. Learn more here.
For further questions regarding your Bond Account please contact Member Support via in-app chat or email at support@public.com.