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NOTICES |
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Notice No. |
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20230320-11 |
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Notice Date |
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20 Mar 2023 |
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Category |
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Settlement/RMS |
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Segment |
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Debt |
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Subject |
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TRADING AND SETTLEMENT PROGRAMME FOR CORPORATE DEBT SEGMENT FOR THE PERIOD FROM 01.04.2023 to 30.04.2023 |
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Content |
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March 20, 2023
TRADING AND SETTLEMENT PROGRAMME FOR CORPORATE DEBT SEGMENT FOR THE PERIOD FROM 01.04.2023 to 30.04.2023
Settlement Schedule for ICDM T + 0
Sett.No.
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Transaction Date
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Securities/Funds Pay-in date
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Securities/Funds Pay-out date
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2324001
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03/04/2023
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03/04/2023
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03/04/2023
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2324002
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05/04/2023
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05/04/2023
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05/04/2023
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2324003
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06/04/2023
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06/04/2023
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06/04/2023
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2324004
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10/04/2023
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10/04/2023
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10/04/2023
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2324005
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11/04/2023
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11/04/2023
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11/04/2023
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2324006
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12/04/2023
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12/04/2023
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12/04/2023
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2324007
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13/04/2023
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13/04/2023
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13/04/2023
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2324008
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17/04/2023
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17/04/2023
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17/04/2023
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2324009
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18/04/2023
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18/04/2023
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18/04/2023
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2324010
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19/04/2023
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19/04/2023
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19/04/2023
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2324011
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20/04/2023
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20/04/2023
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20/04/2023
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2324012
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21/04/2023
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21/04/2023
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21/04/2023
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2324013
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24/04/2023
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24/04/2023
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24/04/2023
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2324014
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25/04/2023
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25/04/2023
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25/04/2023
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2324015
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26/04/2023
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26/04/2023
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26/04/2023
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2324016
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27/04/2023
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27/04/2023
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27/04/2023
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2324017
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28/04/2023
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28/04/2023
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28/04/2023
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Settlement Schedule for ICDM T + 1
Sett.No.
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Transaction Date
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Securities/Funds Pay-in date
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Securities/Funds Pay-out date
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2324001
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03/04/2023
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05/04/2023
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05/04/2023
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2324002
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05/04/2023
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06/04/2023
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06/04/2023
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2324003
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06/04/2023
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10/04/2023
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10/04/2023
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2324004
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10/04/2023
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11/04/2023
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11/04/2023
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2324005
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11/04/2023
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12/04/2023
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12/04/2023
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2324006
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12/04/2023
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13/04/2023
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13/04/2023
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2324007
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13/04/2023
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17/04/2023
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17/04/2023
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2324008
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17/04/2023
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18/04/2023
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18/04/2023
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2324009
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18/04/2023
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19/04/2023
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19/04/2023
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2324010
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19/04/2023
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20/04/2023
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20/04/2023
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2324011
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20/04/2023
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21/04/2023
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21/04/2023
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2324012
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21/04/2023
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24/04/2023
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24/04/2023
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2324013
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24/04/2023
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25/04/2023
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25/04/2023
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2324014
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25/04/2023
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26/04/2023
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26/04/2023
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2324015
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26/04/2023
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27/04/2023
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27/04/2023
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2324016
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27/04/2023
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28/04/2023
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28/04/2023
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2324017
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28/04/2023
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02/05/2023
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02/05/2023
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Settlement Schedule for ICDM T + 2
Sett.No.
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Transaction Date
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Securities/Funds Pay-in date
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Securities/Funds Pay-out date
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2324001
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03/04/2023
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06/04/2023
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06/04/2023
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2324002
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05/04/2023
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10/04/2023
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10/04/2023
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2324003
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06/04/2023
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11/04/2023
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11/04/2023
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2324004
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10/04/2023
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12/04/2023
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12/04/2023
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2324005
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11/04/2023
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13/04/2023
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13/04/2023
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2324006
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12/04/2023
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17/04/2023
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17/04/2023
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2324007
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13/04/2023
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18/04/2023
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18/04/2023
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2324008
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17/04/2023
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19/04/2023
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19/04/2023
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2324009
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18/04/2023
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20/04/2023
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20/04/2023
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2324010
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19/04/2023
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21/04/2023
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21/04/2023
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2324011
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20/04/2023
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24/04/2023
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24/04/2023
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2324012
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21/04/2023
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25/04/2023
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25/04/2023
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2324013
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24/04/2023
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26/04/2023
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26/04/2023
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2324014
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25/04/2023
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27/04/2023
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27/04/2023
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2324015
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26/04/2023
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28/04/2023
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28/04/2023
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2324016
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27/04/2023
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02/05/2023
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02/05/2023
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2324017
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28/04/2023
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03/05/2023
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03/05/2023
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Note: Kindly check depository settlement deadline time for the respective Market types, so as to enable transfer of securities in ICCL account.
Please refer ICCL Notice No.20091206-01 dated December 06, 2009 for further details.
for Indian Clearing Corporation Ltd.
Ajay Darji
Dy. General Manager |
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