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NOTICES
Notice No.   20190911-9   Notice Date   11 Sep 2019
Category   Settlement/RMS   Segment   SME
Subject   TRADING AND SETTLEMENT PROGRAMME FOR INSTITUTIONAL TRADING PLATFORM (ITP) - SME SEGMENT FOR PERIOD FROM 01.10.2019 TO 31.10.2019
 
Content

 

September 11, 2019

 

TRADING AND SETTLEMENT PROGRAMME FOR INSTITUTIONAL TRADING PLATFORM (ITP) - SME SEGMENT FOR PERIOD FROM 01.10.2019 TO 31.10.2019

 

Settlement No.

Depository Settlement No

ITP Trading date

ITP Pay-in/Pay-out date +

ITP-125/2019-2020

1920125

01/10/2019

04/10/2019

ITP-126/2019-2020

1920126

03/10/2019

07/10/2019

ITP-127/2019-2020

1920127

04/10/2019

09/10/2019

ITP-128/2019-2020

1920128

07/10/2019

10/10/2019

ITP-129/2019-2020

1920129

09/10/2019

11/10/2019

ITP-130/2019-2020

1920130

10/10/2019

14/10/2019

ITP-131/2019-2020

1920131

11/10/2019

15/10/2019

ITP-132/2019-2020

1920132

14/10/2019

16/10/2019

ITP-133/2019-2020

1920133

15/10/2019

17/10/2019

ITP-134/2019-2020

1920134

16/10/2019

18/10/2019

ITP-135/2019-2020

1920135

17/10/2019

21/10/2019

ITP-136/2019-2020

1920136

18/10/2019

22/10/2019

ITP-137/2019-2020

1920137

21/10/2019

23/10/2019

ITP-138/2019-2020

1920138

22/10/2019

24/10/2019

ITP-139/2019-2020

1920139

23/10/2019

25/10/2019

ITP-140/2019-2020

1920140

24/10/2019

29/10/2019

ITP-141/2019-2020

1920141

25/10/2019

30/10/2019@

ITP-142/2019-2020

1920142

27/10/2019 #

30/10/2019@

ITP-143/2019-2020

1920143

29/10/2019

31/10/2019

ITP-144/2019-2020

1920144

30/10/2019

01/11/2019

ITP-145/2019-2020

1920145

31/10/2019

04/11/2019

 

# Muhurat Trading

 

Settl.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

ITP-141/19-20

25/10/2019

30/10/2019

Pay-in : 10 : 00 a.m.  Pay-out : 12:30 p.m.

By 9:50 a.m.

ITP-142/19-20

27/10/2019

30/10/2019

Pay-in : 02 : 00 p.m.  Pay-out : 04:30 p.m.

By 1:50 p.m.

+ Pay-in at 10:00 a.m. Members to submit pay-in instructions to Depositories / banks latest by 09:50 a.m. Pay-out of funds and securities will be effected by 11:00 a.m.

 

For Indian Clearing Corporation Ltd.

 

Sanjay Narvankar                                                             Ajay Darji

Dy. General Manager                                                       Asst. General Manager