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NOTICES
Notice No.   20231012-21   Notice Date   12 Oct 2023
Category   Settlement/RMS   Segment   Mutual Fund
Subject   TRADING AND SETTLEMENT PROGRAMME FOR MUTUAL FUND SEGMENT FOR THE MONTH OF November 2023
 
Content

 Mutual Fund – Subscription (excluding Liquid ):

SETM_NO

SETM_DATE

FUNDS PAYIN

UNITS PAYOUT

2324144

01-11-2023

01-11-2023

02-11-2023

2324145

02-11-2023

02-11-2023

03-11-2023

2324146

03-11-2023

03-11-2023

06-11-2023

2324147

06-11-2023

06-11-2023

07-11-2023

2324148

07-11-2023

07-11-2023

08-11-2023

2324149

08-11-2023

08-11-2023

09-11-2023

2324150

09-11-2023

09-11-2023

10-11-2023

2324151

10-11-2023

10-11-2023

13-11-2023

2324152

13-11-2023

13-11-2023

15-11-2023

2324153

15-11-2023

15-11-2023

16-11-2023

2324154

16-11-2023

16-11-2023

17-11-2023

2324155

17-11-2023

17-11-2023

20-11-2023

2324156

20-11-2023

20-11-2023

21-11-2023

2324157

21-11-2023

21-11-2023

22-11-2023

2324158

22-11-2023

22-11-2023

23-11-2023

2324159

23-11-2023

23-11-2023

24-11-2023

2324160

24-11-2023

24-11-2023

28-11-2023

2324161

28-11-2023

28-11-2023

29-11-2023

2324162

29-11-2023

29-11-2023

30-11-2023

2324163

30-11-2023

30-11-2023

01-12-2023

·         funds pay-out to AMCs for Non-Liquid transactions processed, will happen before 3:00 PM on T day.  

·          funds pay-out to AMCs for transactions of NFO (MF) schemes will happen on T+1 day on the basis of funds confirmation received by ICCL till 6:00 pm on T day.

MF Subscription – Liquid:

SETM_NO

SETM_DATE

FUNDS PAYIN

UNITS PAYOUT

2324144

01-11-2023

01-11-2023

01-11-2023

2324145

02-11-2023

02-11-2023

02-11-2023

2324146

03-11-2023

03-11-2023

03-11-2023

2324147

06-11-2023

06-11-2023

06-11-2023

2324148

07-11-2023

07-11-2023

07-11-2023

2324149

08-11-2023

08-11-2023

08-11-2023

2324150

09-11-2023

09-11-2023

09-11-2023

2324151

10-11-2023

10-11-2023

10-11-2023

2324152

13-11-2023

13-11-2023

13-11-2023

2324153

15-11-2023

15-11-2023

15-11-2023

2324154

16-11-2023

16-11-2023

16-11-2023

2324155

17-11-2023

17-11-2023

17-11-2023

2324156

20-11-2023

20-11-2023

20-11-2023

2324157

21-11-2023

21-11-2023

21-11-2023

2324158

22-11-2023

22-11-2023

22-11-2023

2324159

23-11-2023

23-11-2023

23-11-2023

2324160

24-11-2023

24-11-2023

24-11-2023

2324161

28-11-2023

28-11-2023

28-11-2023

2324162

29-11-2023

29-11-2023

29-11-2023

2324163

30-11-2023

30-11-2023

30-11-2023

Mutual Fund - Redemption:

SETM_NO

Transaction Date

Securities Pay-in Date

2324144

01-11-2023

01-11-2023

2324145

02-11-2023

02-11-2023

2324146

03-11-2023

03-11-2023

2324147

06-11-2023

06-11-2023

2324148

07-11-2023

07-11-2023

2324149

08-11-2023

08-11-2023

2324150

09-11-2023

09-11-2023

2324151

10-11-2023

10-11-2023

2324152

13-11-2023

13-11-2023

2324153

15-11-2023

15-11-2023

2324154

16-11-2023

16-11-2023

2324155

17-11-2023

17-11-2023

2324156

20-11-2023

20-11-2023

2324157

21-11-2023

21-11-2023

2324158

22-11-2023

22-11-2023

2324159

23-11-2023

23-11-2023

2324160

24-11-2023

24-11-2023

2324161

28-11-2023

28-11-2023

2324162

29-11-2023

29-11-2023

2324163

30-11-2023

30-11-2023

 

 

Redemption Funds payout will take place depending on the TAT of the scheme (T1, T2, T3, T4, T5, T6, T7, T8 & T10 where T is the transaction date and 1, 2, 3, 4, 5, 6, 7, 8 & 10 are the number of days after the transaction date) in which the redemption order has been placed.

 

Investors are requested to check the same in scheme master available on BSE Star MF Platform.

 

For Indian Clearing Corporation Ltd.

 

Mehul Parikh                                                               Jayesh Ashtekar

ADGM – Mutual Funds                                                AGM – Mutual Funds