On account of Annual Bank Closing on 02/04/2012 , multiple settlements have been rescheduled as follows:
Trade Date | Settlement Date | Pay-in at NSCCL on settlement day | Pay-out at NSCCL on settlement day |
30/03/2012 | 04/04/2012 | 10 : 00 a.m. | 12:30 p.m. |
02/04/2012 | 04/04/2012 | 2 : 00 p.m | 04:30 p.m |
Please note that:
- Shares purchased on 30/03/2012 cannot be sold on 02/04/2012. There will be no square-up between these days.
- The Schedules are applicable for T Groups also. (BSE Trade-to-Trade and NSE Trade-for-Trade)
To view details, please go through the NSE circular.
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