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NOTICES |
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Notice No. |
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20240919-40 |
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Notice Date |
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19 Sep 2024 |
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Category |
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Settlement/RMS |
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Segment |
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SME |
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Subject |
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TRADING AND SETTLEMENT PROGRAMME FOR INSTITUTIONAL TRADING PLATFORM (ITP) - SME SEGMENT FOR PERIOD FROM 01.10.2024 TO 31.10.2024 |
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Content |
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N O T I C E
September 19, 2024
TRADING AND SETTLEMENT PROGRAMME FOR INSTITUTIONAL TRADING PLATFORM (ITP) - SME SEGMENT FOR PERIOD FROM 01.10.2024 TO 31.10.2024
Settlement No.
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Depository Settlement No
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ITP Trading date
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ITP Pay-in/Pay-out date +
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ITP-127/24-25
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2425127
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01-10-2024
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03-10-2024
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ITP-128/24-25
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2425128
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03-10-2024
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04-10-2024
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ITP-129/24-25
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2425129
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04-10-2024
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07-10-2024
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ITP-130/24-25
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2425130
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07-10-2024
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08-10-2024
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ITP-131/24-25
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2425131
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08-10-2024
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09-10-2024
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ITP-132/24-25
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2425132
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09-10-2024
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10-10-2024
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ITP-133/24-25
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2425133
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10-10-2024
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11-10-2024
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ITP-134/24-25
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2425134
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11-10-2024
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14-10-2024
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ITP-135/24-25
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2425135
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14-10-2024
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15-10-2024
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ITP-136/24-25
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2425136
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15-10-2024
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16-10-2024
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ITP-137/24-25
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2425137
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16-10-2024
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17-10-2024
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ITP-138/24-25
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2425138
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17-10-2024
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18-10-2024
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ITP-139/24-25
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2425139
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18-10-2024
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21-10-2024
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ITP-140/24-25
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2425140
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21-10-2024
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22-10-2024
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ITP-141/24-25
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2425141
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22-10-2024
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23-10-2024
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ITP-142/24-25
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2425142
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23-10-2024
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24-10-2024
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ITP-143/24-25
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2425143
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24-10-2024
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25-10-2024
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ITP-144/24-25
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2425144
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25-10-2024
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28-10-2024
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ITP-145/24-25
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2425145
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28-10-2024
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29-10-2024
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ITP-146/24-25
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2425146
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29-10-2024
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30-10-2024
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ITP-147/24-25
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2425147
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30-10-2024
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31-10-2024
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ITP-148/24-25
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2425148
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31-10-2024
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04-11-2024
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+ Pay-in at 10:00 a.m. Members to submit pay-in instructions to Depositories / banks latest by 09:50 a.m. Pay-out of funds and securities will be effected by 11:00 a.m.
For Indian Clearing Corporation Ltd.
Mrunal Amberkar Ganesh Kuleriya
Sr. Manager Asst. Manager |
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