Banca Net empresarial

Mexico

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Fondos Banamex

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:

  1. Choose the investment fund.
  2. Enter the amount MXN to buy securities.
  3. Enter the amount MXN to purchase securities
  4. Select any additional options you want and enter the information requested
  5. Click on “Continue”.
  6. Verify the information and click on “Accept, your operation will be applied.

To Sell:

  1. Choose the investment fund.
  2. Select the option by title or by Amount
  3. Enter the number of securities you want to sell or the amount in MXN.
  4. Select any additional options you want and enter the information requested
  5. Click on “Continue”.
  6. Verify the information and click on “Accept”, the operation will be applied.

Notes:

  • The instructions 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 holding account will be reflected online, and the securities balance will be reflected the next working day.
  • If the sell operation is made at working hours, the balance of your holding account or securities will be reflected the next working day.
  • All orders placed after working hours, will be reflected in your holding account balance the next business day and the securities depending on selected liquidity fund.
  • Remember that pooling operations require a second digital signature, according with the representatives powers in the Administration Module.
  • If the investment is made on a weekend, will be applied the next banking day.
  • If you want to check your balance before making any investment fund operation, select Balance Option.

Buttons:

  • “Help”: Gives you specific aid.
  • “Exit”:: Ends the session.

This video shows how to make your transactions step by step.