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NOTICES
Notice No.   20230714-39   Notice Date   14 Jul 2023
Category   Settlement/RMS   Segment   Debt
Subject   TRADING AND SETTLEMENT PROGRAMME FOR CORPORATE DEBT SEGMENT FOR THE PERIOD FROM 01.08.2023 to 31.08.2023
 
Content

 

N O T I C E

 

Notice No.-20230714 –

 

July 14, 2023

 

TRADING AND SETTLEMENT PROGRAMME FOR CORPORATE DEBT SEGMENT FOR THE PERIOD FROM 01.08.2023 to 31.08.2023

 

Settlement Schedule for ICDM T + 0

Sett.No.

Transaction Date

Securities/Funds Pay-in date

Securities/Funds Pay-out date

2324081

01/08/2023

01/08/2023

01/08/2023

2324082

02/08/2023

02/08/2023

02/08/2023

2324083

03/08/2023

03/08/2023

03/08/2023

2324084

04/08/2023

04/08/2023

04/08/2023

2324085

07/08/2023

07/08/2023

07/08/2023

2324086

08/08/2023

08/08/2023

08/08/2023

2324087

09/08/2023

09/08/2023

09/08/2023

2324088

10/08/2023

10/08/2023

10/08/2023

2324089

11/08/2023

11/08/2023

11/08/2023

2324090

14/08/2023

14/08/2023

14/08/2023

2324091

17/08/2023

17/08/2023

17/08/2023

2324092

18/08/2023

18/08/2023

18/08/2023

2324093

21/08/2023

21/08/2023

21/08/2023

2324094

22/08/2023

22/08/2023

22/08/2023

2324095

23/08/2023

23/08/2023

23/08/2023

2324096

24/08/2023

24/08/2023

24/08/2023

2324097

25/08/2023

25/08/2023

25/08/2023

2324098

28/08/2023

28/08/2023

28/08/2023

2324099

29/08/2023

29/08/2023

29/08/2023

2324100

30/08/2023

30/08/2023

30/08/2023

2324101

31/08/2023

31/08/2023

31/08/2023

 

Settlement Schedule for ICDM T + 1

Sett.No.

Transaction Date

Securities/Funds Pay-in date

Securities/Funds Pay-out date

2324081

01/08/2023

02/08/2023

02/08/2023

2324082

02/08/2023

03/08/2023

03/08/2023

2324083

03/08/2023

04/08/2023

04/08/2023

2324084

04/08/2023

07/08/2023

07/08/2023

2324085

07/08/2023

08/08/2023

08/08/2023

2324086

08/08/2023

09/08/2023

09/08/2023

2324087

09/08/2023

10/08/2023

10/08/2023

2324088

10/08/2023

11/08/2023

11/08/2023

2324089

11/08/2023

14/08/2023

14/08/2023

2324090

14/08/2023

17/08/2023

17/08/2023

2324091

17/08/2023

18/08/2023

18/08/2023

2324092

18/08/2023

21/08/2023

21/08/2023

2324093

21/08/2023

22/08/2023

22/08/2023

2324094

22/08/2023

23/08/2023

23/08/2023

2324095

23/08/2023

24/08/2023

24/08/2023

2324096

24/08/2023

25/08/2023

25/08/2023

2324097

25/08/2023

28/08/2023

28/08/2023

2324098

28/08/2023

29/08/2023

29/08/2023

2324099

29/08/2023

30/08/2023

30/08/2023

2324100

30/08/2023

31/08/2023

31/08/2023

2324101

31/08/2023

01/09/2023

01/09/2023

 

Settlement Schedule for ICDM T + 2

Sett.No.

Transaction Date

Securities/Funds Pay-in date

Securities/Funds Pay-out date

2324081

01/08/2023

03/08/2023

03/08/2023

2324082

02/08/2023

04/08/2023

04/08/2023

2324083

03/08/2023

07/08/2023

07/08/2023

2324084

04/08/2023

08/08/2023

08/08/2023

2324085

07/08/2023

09/08/2023

09/08/2023

2324086

08/08/2023

10/08/2023

10/08/2023

2324087

09/08/2023

11/08/2023

11/08/2023

2324088

10/08/2023

14/08/2023

14/08/2023

2324089

11/08/2023

17/08/2023

17/08/2023

2324090

14/08/2023

18/08/2023

18/08/2023

2324091

17/08/2023

21/08/2023

21/08/2023

2324092

18/08/2023

22/08/2023

22/08/2023

2324093

21/08/2023

23/08/2023

23/08/2023

2324094

22/08/2023

24/08/2023

24/08/2023

2324095

23/08/2023

25/s08/2023

25/08/2023

2324096

24/08/2023

28/08/2023

28/08/2023

2324097

25/08/2023

29/08/2023

29/08/2023

2324098

28/08/2023

30/08/2023

30/08/2023

2324099

29/08/2023

31/08/2023

31/08/2023

2324100

30/08/2023

01/09/2023

01/09/2023

2324101

31/08/2023

04/09/2023

04/09/2023

 

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                                                             Ishneetkaur Putiani

Dy. General Manager                                         Dy. Manager