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NOTICES
Notice No.   20191022-9   Notice Date   22 Oct 2019
Category   Settlement/RMS   Segment   Mutual Fund
Subject   TRADING AND SETTLEMENT PROGRAMME FOR MUTUAL FUND SEGMENT FOR THE PERIOD 01.11.2019 to 30.11.2019
 
Content

October 22, 2019

 

TRADING AND SETTLEMENT PROGRAMME FOR MUTUAL FUND SEGMENT FOR THE PERIOD 01.11.2019 to 30.11.2019

Mutual Fund - Subscription:

Sett. No.

Transaction Date

Funds Pay-in date (T+1) *

Securities Pay-out Date (T+1)

1920142

01/11/2019

04/11/2019

04/11/2019

1920143

04/11/2019

05/11/2019

05/11/2019

1920144

05/11/2019

06/11/2019

06/11/2019

1920145

06/11/2019

07/11/2019

07/11/2019

1920146

07/11/2019

08/11/2019

08/11/2019

1920147

08/11/2019

11/11/2019

11/11/2019

1920148

11/11/2019

13/11/2019

13/11/2019

1920149

13/11/2019

14/11/2019

14/11/2019

1920150

14/11/2019

15/11/2019

15/11/2019

1920151

15/11/2019

18/11/2019

18/11/2019

1920152

18/11/2019

19/11/2019

19/11/2019

1920153

19/11/2019

20/11/2019

20/11/2019

1920154

20/11/2019

21/11/2019

21/11/2019

1920155

21/11/2019

22/11/2019

22/11/2019

1920156

22/11/2019

25/11/2019

25/11/2019

1920157

25/11/2019

26/11/2019

26/11/2019

1920158

26/11/2019

27/11/2019

27/11/2019

1920159

27/11/2019

28/11/2019

28/11/2019

1920160

28/11/2019

29/11/2019

29/11/2019

1920161

29/11/2019

02/12/2019

02/12/2019

* MFI’s are requested to note that, funds pay-in for transactions made for Rs.2 lakh and above (L1) schemes other than Liquid, will happen on T day.

Mutual Fund - Redemption:

Sett. No.

Transaction Date

Securities Pay-in Date

1920142

01/11/2019

01/11/2019

1920143

04/11/2019

04/11/2019

1920144

05/11/2019

05/11/2019

1920145

06/11/2019

06/11/2019

1920146

07/11/2019

07/11/2019

1920147

08/11/2019

08/11/2019

1920148

11/11/2019

11/11/2019

1920149

13/11/2019

13/11/2019

1920150

14/11/2019

14/11/2019

1920151

15/11/2019

15/11/2019

1920152

18/11/2019

18/11/2019

1920153

19/11/2019

19/11/2019

1920154

20/11/2019

20/11/2019

1920155

21/11/2019

21/11/2019

1920156

22/11/2019

22/11/2019

1920157

25/11/2019

25/11/2019

1920158

26/11/2019

26/11/2019

1920159

27/11/2019

27/11/2019

1920160

28/11/2019

28/11/2019

1920161

29/11/2019

29/11/2019

MF Subscription – Liquid:

Sett. No.

Transaction Date

Funds Pay-in date

Securities Pay-out Date

1920142

01/11/2019

01/11/2019

01/11/2019

1920143

04/11/2019

04/11/2019

04/11/2019

1920144

05/11/2019

05/11/2019

05/11/2019

1920145

06/11/2019

06/11/2019

06/11/2019

1920146

07/11/2019

07/11/2019

07/11/2019

1920147

08/11/2019

08/11/2019

08/11/2019

1920148

11/11/2019

11/11/2019

11/11/2019

1920149

13/11/2019

13/11/2019

13/11/2019

1920150

14/11/2019

14/11/2019

14/11/2019

1920151

15/11/2019

15/11/2019

15/11/2019

1920152

18/11/2019

18/11/2019

18/11/2019

1920153

19/11/2019

19/11/2019

19/11/2019

1920154

20/11/2019

20/11/2019

20/11/2019

1920155

21/11/2019

21/11/2019

21/11/2019

1920156

22/11/2019

22/11/2019

22/11/2019

1920157

25/11/2019

25/11/2019

25/11/2019

1920158

26/11/2019

26/11/2019

26/11/2019

1920159

27/11/2019

27/11/2019

27/11/2019

1920160

28/11/2019

28/11/2019

28/11/2019

1920161

29/11/2019

29/11/2019

29/11/2019

 

MFI’s are requested to note that, the Redemption Funds payout will take place depending on the TAT of the scheme (T1, T2, T3, T4, T5, T6, T7 & T8 where T is the transaction date and 1, 2, 3, 4, 5, 6, 7 & 8 are the number of days after the transaction date) in which the redemption order has been placed.

 

MFI’s and their Investors are requested to check the same in scheme master available on BSE Star MF Platform.

 

MFI’s may please note the new Demat Account numbers, to be used by their clients (in case of Redemption), which are given in our Notice No.20140329-01 dated March 29, 2014.

 

For Indian Clearing Corporation Ltd.

 

 

Sanjay Narvankar                                           Ajay Darji

Dy. General Manager                                     Asst. General Manager