Showing posts with label Special Trading. Show all posts
Showing posts with label Special Trading. Show all posts

Thursday, March 13, 2014

Special Trading Session

Special Trading Session
Content
Special Trading Session

Trading members of the Exchange are hereby informed that S&P BSE Indices will be calculated on 22nd Mar 2014 (Saturday) which is declared as a special trading day by the exchange. S&P BSE Index rebalances which are effective from 24th March 2014 will be carried out after the close of this special trading session i.e. 22nd March 2014.

The following indices are getting re-balanced W.E.F 24th March 2014 -

1.       S&P BSE IPO
2.       S&P BSE 500 SHARIAH
3.       S&P BSE MID CAP
4.       S&P BSE SMALL CAP


Change in constituents is made on the basis of guidelines governing inclusion and exclusion of companies from S&P BSE Indices. A detailed stock selection criteria for all the indices is available at www.bseindia.com

For any information / clarification, you may contact Index Services on +91 22 2272 5213 / 5214. You can also write us at index_services@spdji.com

Thursday, March 01, 2012

Special LIVE Trading NSE BSE


Exchange (NSE/BSE) is conducting a special live trading session on Saturday, March 03, 2012.

Market Timings for special live trading session on Saturday, March 03, 2012 will be as follows:
MARKET TIMINGS for SPECIAL LIVE TRADING
Pre-Open opening session 11:00 HRS   Pre-open closing session 11:08 HRS
Normal Market Open 11:15 HRS Normal Market Close 12:45 HRS
Post-Open opening session 12:55 HRS Post-open closing session 13:05 HRS
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
Settlement No. From To Pay In Sale against
Receivables Availability
2012043 02-Mar-2012 02-Mar-2012 06-Mar-2012 Yes
2012301 03-Mar-2012 03-Mar-2012 06-Mar-2012 No
2012044 05-Mar-2012 05-Mar-2012 07-Mar-2012 Yes
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
Settlement No. From To Pay In Sale against
Receivables Availability
1112231 02-Mar-2012 02-Mar-2012 06-Mar-2012 Yes
1112232 03-Mar-2012 03-Mar-2012 06-Mar-2012 No
1112233 05-Mar-2012 05-Mar-2012 07-Mar-2012 Yes
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.