Special LIVE Trading NSE BSE
| ||||||||||||||||||||||||
On account of Special LIVE
TRADING session on Saturday, March 03, 2012, multiple settlements have
been scheduled on Tuesday, March 06, 2012. The Exchange has decided to merge the
pay-in /pay-out date for settlement numbers 2012043 & 2012301 [NSE] and
1112231 & 1112232 [BSE].
NSE
Obligation Settlement and Sell Against Receivable Schedule
Deliveries
taken in settlement number 2012043 will not be available for selling in
settlement number 2012301 as the Pay-in for both the
settlements are on March 06, 2012.
| ||||||||||||||||||||||||
BSE Obligation
Settlement and Sell Against Receivable Schedule
Deliveries
taken in settlement number 1112231 will not be available for selling in
settlement number 1112232 as the Pay-in for both the
settlements are on March 06, 2012.
|
No comments:
Post a Comment