BSE Ltd.

03/26/2024 | Press release | Distributed by Public on 03/25/2024 23:17

TRADING AND SETTLEMENT PROGRAMME FOR CASH SEGMENT FOR 28.03.2024 – T+0 Settlement Cycle

NOTICES
Notice No. 20240326-1 Notice Date 26 Mar 2024
Category Settlement/RMS Segment General
Subject TRADING AND SETTLEMENT PROGRAMME FOR CASH SEGMENT FOR 28.03.2024 - T+0 Settlement Cycle
Content

Notice No.-20240326 March 26, 2024<_o3a_p>

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TRADING AND SETTLEMENT PROGRAMME FOR CASH SEGMENT FOR 28.03.2024 - T+0 Settlement Cycle<_o3a_p>

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Settlement No.<_o3a_p>

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Sett. No. for Depository purpose<_o3a_p>

Trading Date<_o3a_p>

Pay-in/<_o3a_p>

Pay-out +<_o3a_p>

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DR-300/23-24<_o3a_p>

2324300<_o3a_p>

28-03-2024<_o3a_p>

28-03-2024<_o3a_p>

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+ Pay-in at 01:45 P.M. Members to submit pay-in instructions to Depositories / banks latest by 02:00 P.M. Pay-out of funds and securities will be effected by 4:30 p.m.<_o3a_p>

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For Indian Clearing Corporation Ltd.<_o3a_p>

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Mrunal Amberkar Ganesh Kuleriya <_o3a_p>

Sr. Manager Asst. Manager<_o3a_p>