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Segment Name:
Equity
SLB
FNO
CDX
ICDM
REPO
ITP
MF
NDS
Settlement Calendar:
T + 2
T + 1
Year
2024
2023
2022
2021
2020
Month
January
February
March
April
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June
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November 2024
Settlement No.
Sett.No.for Depository purpose
Trading Date.
Entry of 6A/7A data by members.
Confirmation of 6A/7A Data by custodians # & Issue of delivery, money statements etc
Pay-in/ Pay-out +
Auction Sett.No. +++
Submission of auctionoffers on
AuctionPay-in/ Pay-out ++
DR-149/2024-2025
2425149
01/11/2024
01/11/2024
04/11/2024
05/11/2024@
RA-149/2024-2025
05/11/2024
06/11/2024
DR-150/2024-2025
2425150
04/11/2024
04/11/2024
05/11/2024
06/11/2024
RA-150/2024-2025
06/11/2024
07/11/2024
DR-151/2024-2025
2425151
05/11/2024
05/11/2024
06/11/2024
07/11/2024
RA-151/2024-2025
07/11/2024
08/11/2024
DR-152/2024-2025
2425152
06/11/2024
06/11/2024
07/11/2024
08/11/2024
RA-152/2024-2025
08/11/2024
11/11/2024
DR-153/2024-2025
2425153
07/11/2024
07/11/2024
08/11/2024
11/11/2024
RA-153/2024-2025
11/11/2024
12/11/2024
DR-154/2024-2025
2425154
08/11/2024
08/11/2024
11/11/2024
12/11/2024
RA-154/2024-2025
12/11/2024
13/11/2024
DR-155/2024-2025
2425155
11/11/2024
11/11/2024
12/11/2024
13/11/2024
RA-155/2024-2025
13/11/2024
14/11/2024
DR-156/2024-2025
2425156
12/11/2024
12/11/2024
13/11/2024
14/11/2024
RA-156/2024-2025
14/11/2024
18/11/2024
DR-157/2024-2025
2425157
13/11/2024
13/11/2024
14/11/2024
18/11/2024
RA-157/2024-2025
18/11/2024
19/11/2024
DR-158/2024-2025
2425158
14/11/2024
14/11/2024
18/11/2024
19/11/2024
RA-158/2024-2025
19/11/2024
20/11/2024
DR-159/2024-2025
2425159
18/11/2024
18/11/2024
19/11/2024
21/11/2024
RA-159/2024-2025
21/11/2024
22/11/2024
DR-160/2024-2025
2425160
19/11/2024
19/11/2024
21/11/2024
22/11/2024
RA-160/2024-2025
22/11/2024
25/11/2024
DR-161/2024-2025
2425161
21/11/2024
21/11/2024
22/11/2024
25/11/2024
RA-161/2024-2025
25/11/2024
26/11/2024
DR-162/2024-2025
2425162
22/11/2024
22/11/2024
25/11/2024
26/11/2024
RA-162/2024-2025
26/11/2024
27/11/2024
DR-163/2024-2025
2425163
25/11/2024
25/11/2024
26/11/2024
27/11/2024
RA-163/2024-2025
27/11/2024
28/11/2024
DR-164/2024-2025
2425164
26/11/2024
26/11/2024
27/11/2024
28/11/2024
RA-164/2024-2025
28/11/2024
29/11/2024
DR-165/2024-2025
2425165
27/11/2024
27/11/2024
28/11/2024
29/11/2024
RA-165/2024-2025
29/11/2024
02/12/2024
DR-166/2024-2025
2425166
28/11/2024
28/11/2024
29/11/2024
02/12/2024
RA-166/2024-2025
02/12/2024
03/12/2024
DR-167/2024-2025
2425167
29/11/2024
29/11/2024
02/12/2024
03/12/2024
RA-167/2024-2025
03/12/2024
04/12/2024
@
Settle.No.
Trade Date
Pay-in /Pay-out Date
Timings of Pay-in and Pay-out
Timings to submit Pay-in instructions to Depositories / banks latest by
DR-148/2024-2025
31/10/2024
05/11/2024
Pay-in : 10 : 30 a.m. Pay-out : 12:30 p.m.
By 10:20 a.m.
DR-149/2024-2025
01/11/2024
05/11/2024
Pay-in : 02 : 00 p.m. Pay-out : 04:30 p.m
By 1:50 p.m.
OTR allocation (Give-up entry) can be done by members upto 08:00 p.m. on T day and OTR confirmation (Take-up entry) can be done by custodians upto 07:30 a.m. on T+1 day (Please refer Notice No.20221223-17)
+ Pay-in at 10:30 a.m.
Members to submit pay-in instructions to Depositories / banks latest by 10:30 a.m.
Pay-out of funds and securities will be effected by 1:30 p.m.
++ Auction pay-in at 8:00 a.m.
Members to submit pay-in instructions to Depositories/banks latest by 7:50 a.m.
+++ All shortages in Trade to Trade segment (securities settled on Gross level) and all shortages for scrips in which No-delivery period has been abolished will be directly closed out as mentioned in the Notice No.20190529-43 dated May 29, 2019.