Select Language
Hindi
Marathi
Gujarati
Group Websites
BSE STAR MF
BSE Institute Ltd
BSE SME Platform
CDSL
ICCL
Marketplace Technologies
Members Portal
RGESS
Get Quote
Equity
Derivatives
MF/ETFs
Debt/Others
About BSE
Markets
Corporates
Members
Investors
Products & Services
Training & Certification
BSE Plus
Pre-open Session
Streamer
Introduction
Salient Features
Advantages
Session Timings
Price Determination
Examples
Information Dissemination
Index Computation + RMS
System Screen Shots
FAQs
Eligible Stocks
Notices
Market Depth Display
Special Pre Open
Streamer
Introduction
Salient Features
Session Timings
Price Determination
Information Dissemination
FAQs
Risk Management
Notices
Live Reports
Market Watch
Gainers
Losers
Advances / Declines
Spurt in Volume
Circuit Summary
Circuit Filter
52 weeks Highs / Lows
Industry Watch
New
VaR / EL Margin
End-of-Day-Reports
Trading Highlights
Investor Categorywise Turnover
Gross Deliverables
Bulk Deals
Block Deals
Margin Trading
Short Sell
Odd Lot Market Statistics
Bhav Copy
Periodic Updates
Impact Cost
VaR Margin Groups
Settlement Calendar
Mode of Trading Data
Illiquid Scrips
Market Watch
Introduction
Eligible Stocks
FAQs
Market Information
Trading & Settlement
Trading
Settlement
Shortages
Auctions
Self - Auction Close Out
Rectification of Bad Deliveries
Company Objections
Bulk Deals
Block Deals
Short Selling
Margining of Institutional Trades
Risk Management
Total Liquid assets
Margins
Capital Cushion Requirements
Monitoring Business of Brokers
BOLT Deactivation
Trade Guarantee Fund
Surveillance
Surveillance
Price Monitoring
Investigation
Position Monitoring
Rectification of Bad Delivery
Safety of the Markets
Historical Data
Stock Prices
BSE Gross Deliverables
Investor Categorywise Turnover
Day-Wise Trading Highlight
Bulk Deals / Block Deals
Margin Trading
Home
Markets
Equity
Periodic Updates
Settlement Calendar
Settlement Calendars
As on May 2013
Year
2013
2012
2011
2010
2009
Month
January
February
March
April
May
June
July
August
September
October
November
December
Click here to view SLB settlement calendars
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 +
No Delivery period For Physical scrips
Auction Sett.No. +++
Submission of auctionoffers on
AuctionPay-in/ Pay-out ++
DR-023/2013-2014
1314023
02/05/2013
02/05/2013
03/05/2013
06/05/2013
29/04/2013 to 16/05/2013
RA-023/2013-2014
06/05/2013
07/05/2013
DR-024/2013-2014
1314024
03/05/2013
03/05/2013
06/05/2013
07/05/2013
30/04/2013 to 17/05/2013
RA-024/2013-2014
07/05/2013
08/05/2013
DR-025/2013-2014
1314025
06/05/2013
06/05/2013
07/05/2013
08/05/2013
01/05/2013 to 18/05/2013
RA-025/2013-2014
08/05/2013
09/05/2013
DR-026/2013-2014
1314026
07/05/2013
07/05/2013
08/05/2013
09/05/2013
02/05/2013 to 19/05/2013
RA-026/2013-2014
09/05/2013
10/05/2013
DR-027/2013-2014
1314027
08/05/2013
08/05/2013
09/05/2013
10/05/2013
03/05/2013 to 20/05/2013
RA-027/2013-2014
10/05/2013
13/05/2013
DR-028/2013-2014
1314028
09/05/2013
09/05/2013
10/05/2013
13/05/2013
06/05/2013 to 23/05/2013
RA-028/2013-2014
13/05/2013
14/05/2013
DR-029/2013-2014
1314029
10/05/2013
10/05/2013
13/05/2013
14/05/2013@
07/05/2013 to 24/05/2013
RA-029/2013-2014
14/05/2013
15/05/2013
DR-030/2013-2014
1314030
11/05/2013
11/05/2013
13/05/2013
14/05/2013@
07/05/2013 to 24/05/2013
RA-030/2013-2014
15/05/2013
16/05/2013
DR-031/2013-2014
1314031
13/05/2013
13/05/2013
14/05/2013
15/05/2013
08/05/2013 to 25/05/2013
RA-031/2013-2014
15/05/2013
16/05/2013
DR-032/2013-2014
1314032
14/05/2013
14/05/2013
15/05/2013
16/05/2013
09/05/2013 to 26/05/2013
RA-032/2013-2014
16/05/2013
17/05/2013
DR-033/2013-2014
1314033
15/05/2013
15/05/2013
16/05/2013
17/05/2013
10/05/2013 to 27/05/2013
RA-033/2013-2014
17/05/2013
20/05/2013
DR-034/2013-2014
1314034
16/05/2013
16/05/2013
17/05/2013
20/05/2013
13/05/2013 to 30/05/2013
RA-034/2013-2014
20/05/2013
21/05/2013
DR-035/2013-2014
1314035
17/05/2013
17/05/2013
20/05/2013
21/05/2013
14/05/2013 to 31/05/2013
RA-035/2013-2014
21/05/2013
22/05/2013
DR-036/2013-2014
1314036
20/05/2013
20/05/2013
21/05/2013
22/05/2013
15/05/2013 to 01/06/2013
RA-036/2013-2014
22/05/2013
23/05/2013
DR-037/2013-2014
1314037
21/05/2013
21/05/2013
22/05/2013
23/05/2013
16/05/2013 to 02/06/2013
RA-037/2013-2014
23/05/2013
24/05/2013
DR-038/2013-2014
1314038
22/05/2013
22/05/2013
23/05/2013
24/05/2013
17/05/2013 to 03/06/2013
RA-038/2013-2014
24/05/2013
27/05/2013
DR-039/2013-2014
1314039
23/05/2013
23/05/2013
24/05/2013
27/05/2013
20/05/2013 to 06/06/2013
RA-039/2013-2014
27/05/2013
28/05/2013
DR-040/2013-2014
1314040
24/05/2013
24/05/2013
27/05/2013
28/05/2013
21/05/2013 to 07/06/2013
RA-040/2013-2014
28/05/2013
29/05/2013
DR-041/2013-2014
1314041
27/05/2013
27/05/2013
28/05/2013
29/05/2013
22/05/2013 to 08/06/2013
RA-041/2013-2014
29/05/2013
30/05/2013
DR-042/2013-2014
1314042
28/05/2013
28/05/2013
29/05/2013
30/05/2013
23/05/2013 to 09/06/2013
RA-042/2013-2014
30/05/2013
31/05/2013
DR-043/2013-2014
1314043
29/05/2013
29/05/2013
30/05/2013
31/05/2013
24/05/2013 to 10/06/2013
RA-043/2013-2014
31/05/2013
03/06/2013
DR-044/2013-2014
1314044
30/05/2013
30/05/2013
31/05/2013
03/06/2013
27/05/2013 to 13/06/2013
RA-044/2013-2014
03/06/2013
04/06/2013
DR-045/2013-2014
1314045
31/05/2013
31/05/2013
03/06/2013
04/06/2013
28/05/2013 to 14/06/2013
RA-045/2013-2014
04/06/2013
05/06/2013
@
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-029/2013-2014
10/05/2013
14/05/2013
Pay-in : 10 : 00 a.m. Pay-out : 12:30 p.m.
By 9:50 a.m.
DR-030/2013-2014
11/05/2013
14/05/2013
Pay-in : 02 : 00 p.m. Pay-out : 04:30 p.m
By 1:50 p.m.
# 6A/7A entry can be edited by members upto 11:00a.m. and 6A/7A data can be confirmed by custodians upto 1:00p.m. on T+1 day (Please refer Notice Nos. 20050914-19).
+ Pay-in at 11:00 a.m.
Members to submit pay-in instructions to Depositories / banks latest by 10:50 a.m.
Pay-out of funds and securities will be effected by 1:30p.m.
++ Auction pay-in at 9:40a.m.
Members to submit pay-in instructions to Depositories/banks latest by 9:30a.m.
+++ All shortages in C group and trade to trade segment (T and Z group) will be directly closed out as at present and all shortages for scrips in which No-delivery period has been abolished will be directly closed out as mentioned in the Exchange Notice No.120718/2002 dated April 22, 2002.
For details please refer the Exchange Notice Nos.20030319-14, 20030328-8, 20110127-24 & 20110616-16 dated March 19, 2003, March 28, 2003, January 27, 2011 and June 16, 2011 respectively.
Asst. General Manager - Post Trade