When you sell your digital fund shares, you select the number of shares you wish to sell. The value of these shares is calculated when the next net asset value (NAV) is calculated, and your sell order will be processed at this point in time. The fund and its transfer agent will distribute the U.S. dollar proceeds from this sale transaction upon settlement, generally no later than 2 business days (T+2).
Per a standing instruction, you receive the sale proceeds in your account as WisdomTree dollar tokens.