April 30, 2015

BSE/ NSE -Monday ,04-05- 2015 -Settlement Holiday

On account of Settlement Holiday on Monday, May 04, 2015 the multiple Settlements have been scheduled on Wednesday, May 06, 2015 and Pay-in /pay-out timing for multiple settlement schedules are as under:
BSE / NSE - MULTIPLE PAY-IN / PAY-OUT ON - 6th May, 2015 (WEDNESDAY)
Trade Date
Settlement Date
Pay-in at NSCCL on settlement day
Pay-out at NSCCL on settlement day
30/04/2015
06/05/2015
09:50 am
12:30 p.m.
04/05/2015
06/05/2015
01:50 p.m.
03:30 p.m.
Shares purchased on Thursday, 30/04/2015 cannot be sold on Monday 04/05/2015 (NSE 2015 080 to 2015 081 and BSE 1516 021 to 1516 022) both day trading Pay-in /Pay-out will be settled separately. As per the NSDL deadlines mentioned above. No square-up between these days.

The Schedules are applicable for T Groups also. (NSE Trade-for-Trade and BSE Trade-to-Trade)

No comments:

Post a Comment