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NOTICES |
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Notice No. |
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20170523-15 |
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Notice Date |
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23 May 2017 |
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Category |
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Settlement/RMS |
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Segment |
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Currency Derivatives |
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Subject |
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SETTLEMENT PROGRAMME FOR THE CURRENCY DERIVATIVES SEGMENT FOR THE PERIOD FROM 01.06.2017 TO 30.06.2017 |
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Content |
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May 23, 2017
SETTLEMENT PROGRAMME FOR THE CURRENCY DERIVATIVES SEGMENT FOR THE PERIOD FROM 01.06.2017 TO 30.06.2017
Trade Date
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Daily Settlement Date
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01/06/2017
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02/06/2017
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02/06/2017
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05/06/2017
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05/06/2017
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06/06/2017
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06/06/2017
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07/06/2017
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07/06/2017
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08/06/2017
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08/06/2017
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09/06/2017
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09/06/2017
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12/06/2017
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12/06/2017
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13/06/2017
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13/06/2017
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14/06/2017
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14/06/2017
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15/06/2017
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15/06/2017
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16/06/2017
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16/06/2017
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19/06/2017
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19/06/2017
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20/06/2017
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20/06/2017
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21/06/2017
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21/06/2017
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22/06/2017
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22/06/2017
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23/06/2017
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23/06/2017
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27/06/2017
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27/06/2017
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28/06/2017
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28/06/2017*
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29/06/2017
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29/06/2017
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30/06/2017
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30/06/2017
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03/07/2017
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* The expiry date (last trading day) for June, 2017 Currency future contracts shall be on June 28, 2017 and the final settlement date would be on June 30, 2017.
for Indian Clearing Corporation Ltd.
Sanjay Narvankar
Dy. General Manager
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