01/10/2025 | Press release | Distributed by Public on 01/10/2025 07:52
Notice No. | 20250110-55 | Notice Date | 10 Jan 2025 | |||
Category | Settlement/RMS | Segment | Currency Derivatives | |||
Subject | SETTLEMENT PROGRAMME FOR THE CURRENCY DERIVATIVES SEGMENT FOR THE PERIOD FROM 01.02.2025 TO 28.02.2025 | |||||
Content |
NOTICE
January 10, 2025<_o3a_p>
Trade Date<_o3a_p> |
Daily Settlement Date<_o3a_p> |
01-02-2025<_o3a_p> |
03-02-2025<_o3a_p> |
03-02-2025<_o3a_p> |
04-02-2025<_o3a_p> |
04-02-2025<_o3a_p> |
05-02-2025<_o3a_p> |
05-02-2025<_o3a_p> |
06-02-2025<_o3a_p> |
06-02-2025<_o3a_p> |
07-02-2025<_o3a_p> |
07-02-2025<_o3a_p> |
10-02-2025<_o3a_p> |
10-02-2025<_o3a_p> |
11-02-2025<_o3a_p> |
11-02-2025<_o3a_p> |
12-02-2025<_o3a_p> |
12-02-2025<_o3a_p> |
13-02-2025<_o3a_p> |
13-02-2025<_o3a_p> |
14-02-2025<_o3a_p> |
14-02-2025<_o3a_p> |
17-02-2025<_o3a_p> |
17-02-2025<_o3a_p> |
18-02-2025<_o3a_p> |
18-02-2025<_o3a_p> |
20-02-2025<_o3a_p> |
20-02-2025<_o3a_p> |
21-02-2025<_o3a_p> |
21-02-2025<_o3a_p> |
24-02-2025<_o3a_p> |
24-02-2025<_o3a_p> |
25-02-2025<_o3a_p> |
25-02-2025*<_o3a_p> |
27-02-2025<_o3a_p> |
27-02-2025<_o3a_p> |
28-02-2025<_o3a_p> |
28-02-2025<_o3a_p> |
03-03-2025<_o3a_p> |
* The expiry date (last trading day) for February 2025Currency future contracts shall be on February 25, 2025 and the final settlement date would be on February 28, 2025.<_o3a_p>
For Indian Clearing Corporation Ltd.<_o3a_p>
Mrunal Amberkar <_o3a_p>
Sr. Manager