Description

NSE publishes the Futures & Options segment settlement schedule for October 2025 with trade dates and corresponding settlement dates.

Summary

NSE Clearing Limited has published the settlement schedule for the Futures & Options segment for October 2025. The circular provides a comprehensive list of trade dates and their corresponding settlement dates for the entire month.

Key Points

  • Settlement schedule covers all trading days in October 2025
  • Standard T+1 settlement cycle applies (trade date + 1 business day)
  • Schedule accounts for market holidays and weekends
  • Settlement dates range from October 3, 2025 to November 3, 2025
  • Last trading day of October (31st) settles on November 3, 2025

Regulatory Changes

No regulatory changes announced in this circular.

Compliance Requirements

  • All F&O segment members must adhere to the published settlement schedule
  • Members should ensure adequate funds and securities for settlement obligations
  • Settlement obligations must be met by the specified settlement dates

Important Dates

  • First Trade Date: October 1, 2025 (Settlement: October 3, 2025)
  • Last Trade Date: October 31, 2025 (Settlement: November 3, 2025)
  • Month Coverage: October 2025
  • Contact: fao_clearing_ops@nsccl.co.in for queries

Impact Assessment

This operational circular provides essential planning information for F&O market participants. It enables proper cash flow management and settlement planning for traders, brokers, and institutional investors. The schedule is crucial for risk management and operational planning in the derivatives segment.

Impact Justification

Operational information for F&O traders and clearing members regarding settlement timelines