Notices
Notice No20250110-57Notice Date10 Jan 2025
CategorySettlement/RMSSegmentDebt
SubjectTRADING AND SETTLEMENT PROGRAMME FOR CORPORATE DEBT SEGMENT FOR THE PERIOD FROM 01.02.2025 to 28.02.2025
Content

 

N O T I C E

 

10 January 2025

 

TRADING AND SETTLEMENT PROGRAMME FOR CORPORATE DEBT SEGMENT FOR THE PERIOD FROM 01.02.2025 to 28.02.2025

 

Settlement Schedule for ICDM T + 0

Sett.No.

Transaction Date

Securities/Funds Pay-in date

Securities/Funds Pay-out date

2425205

03-02-2025

03-02-2025

03-02-2025

2425206

04-02-2025

04-02-2025

04-02-2025

2425207

05-02-2025

05-02-2025

05-02-2025

2425208

06-02-2025

06-02-2025

06-02-2025

2425209

07-02-2025

07-02-2025

07-02-2025

2425210

10-02-2025

10-02-2025

10-02-2025

2425211

11-02-2025

11-02-2025

11-02-2025

2425212

12-02-2025

12-02-2025

12-02-2025

2425213

13-02-2025

13-02-2025

13-02-2025

2425214

14-02-2025

14-02-2025

14-02-2025

2425215

17-02-2025

17-02-2025

17-02-2025

2425216

18-02-2025

18-02-2025

18-02-2025

2425217

20-02-2025

20-02-2025

20-02-2025

2425218

21-02-2025

21-02-2025

21-02-2025

2425219

24-02-2025

24-02-2025

24-02-2025

2425220

25-02-2025

25-02-2025

25-02-2025

2425221

27-02-2025

27-02-2025

27-02-2025

2425222

28-02-2025

28-02-2025

28-02-2025

 

Settlement Schedule for ICDM T + 1

Sett.No.

Transaction Date

Securities/Funds Pay-in date

Securities/Funds Pay-out date

2425205

03-02-2025

04-02-2025

04-02-2025

2425206

04-02-2025

05-02-2025

05-02-2025

2425207

05-02-2025

06-02-2025

06-02-2025

2425208

06-02-2025

07-02-2025

07-02-2025

2425209

07-02-2025

10-02-2025

10-02-2025

2425210

10-02-2025

11-02-2025

11-02-2025

2425211

11-02-2025

12-02-2025

12-02-2025

2425212

12-02-2025

13-02-2025

13-02-2025

2425213

13-02-2025

14-02-2025

14-02-2025

2425214

14-02-2025

17-02-2025

17-02-2025

2425215

17-02-2025

18-02-2025

18-02-2025

2425216

18-02-2025

20-02-2025

20-02-2025

2425217

20-02-2025

21-02-2025

21-02-2025

2425218

21-02-2025

24-02-2025

24-02-2025

2425219

24-02-2025

25-02-2025

25-02-2025

2425220

25-02-2025

27-02-2025

27-02-2025

2425221

27-02-2025

28-02-2025

28-02-2025

2425222

28-02-2025

03-03-2025

03-03-2025

 

Settlement Schedule for ICDM T + 2

Sett.No.

Transaction Date

Securities/Funds Pay-in date

Securities/Funds Pay-out date

2425205

03-02-2025

05-02-2025

05-02-2025

2425206

04-02-2025

06-02-2025

06-02-2025

2425207

05-02-2025

07-02-2025

07-02-2025

2425208

06-02-2025

10-02-2025

10-02-2025

2425209

07-02-2025

11-02-2025

11-02-2025

2425210

10-02-2025

12-02-2025

12-02-2025

2425211

11-02-2025

13-02-2025

13-02-2025

2425212

12-02-2025

14-02-2025

14-02-2025

2425213

13-02-2025

17-02-2025

17-02-2025

2425214

14-02-2025

18-02-2025

18-02-2025

2425215

17-02-2025

20-02-2025

20-02-2025

2425216

18-02-2025

21-02-2025

21-02-2025

2425217

20-02-2025

24-02-2025

24-02-2025

2425218

21-02-2025

25-02-2025

25-02-2025

2425219

24-02-2025

27-02-2025

27-02-2025

2425220

25-02-2025

28-02-2025

28-02-2025

2425221

27-02-2025

03-03-2025

03-03-2025

2425222

28-02-2025

04-03-2025

04-03-2025

 

Note: Kindly check depository settlement deadline time for the respective Market types, so as to enable transfer of securities in ICCL account.

 

Please refer to ICCL Notice No.20091206-01 dated December 06, 2009 for further details.

 

 

For Indian Clearing Corporation Ltd.

 

 

Mrunal Amberkar                                                                                                              

Sr. Manager