Description

NSE Clearing Limited announces settlement schedule for commodity derivatives segment for October 2025 trading dates.

Summary

NSE Clearing Limited has released the settlement schedule for the Commodity Derivatives Segment for October 2025. The circular provides a comprehensive mapping of trade dates to their corresponding settlement dates for all trading days in October 2025.

Key Points

  • Settlement schedule covers 21 trading days in October 2025
  • Standard T+2 settlement cycle applies for most dates
  • Some variations due to holidays and weekends
  • Final October trade date (31-Oct-2025) settles on 03-Nov-2025
  • Schedule accounts for market holidays including Dussehra (21-Oct-2025)

Regulatory Changes

No regulatory changes introduced - this is a routine operational schedule announcement.

Compliance Requirements

  • NSE Members must adhere to the published settlement dates
  • All commodity derivatives transactions must be settled as per the specified timeline
  • Members should update their systems and processes accordingly

Important Dates

  • Effective Period: October 2025
  • First Trade Date: 01-Oct-2025 (Settlement: 03-Oct-2025)
  • Last Trade Date: 31-Oct-2025 (Settlement: 03-Nov-2025)
  • Market Holiday Impact: 21-Oct-2025 (Dussehra) - no trading
  • Weekend Adjustments: Several settlement dates adjusted for weekends

Impact Assessment

This schedule provides operational clarity for commodity derivatives market participants. The schedule ensures smooth settlement operations and helps members plan their cash flows and risk management activities for October 2025. Standard settlement cycles are maintained with appropriate adjustments for holidays and weekends.

Impact Justification

Operational schedule information affecting commodity derivatives trading and settlement timing