Description
NSE Clearing announces the settlement schedule for commodity derivatives segment for November 2025, covering trade dates from November 3 to November 28, 2025.
Summary
NSE Clearing Limited has issued the settlement schedule for the Commodity Derivatives Segment for November 2025. The circular provides the complete trade date and corresponding settlement date mapping for all trading days in November 2025, from November 3 to November 28, 2025.
Key Points
- Settlement schedule covers 20 trading days in November 2025
- Settlements typically occur on T+1 basis (next business day)
- First trade date: November 3, 2025 with settlement on November 4, 2025
- Last trade date: November 28, 2025 with settlement on December 1, 2025
- Schedule accounts for market holidays and weekends
- Circular issued by Anil Suvarna, Associate Vice President, NSE Clearing Limited
Regulatory Changes
No regulatory changes introduced. This is a routine operational schedule announcement.
Compliance Requirements
No specific compliance requirements. Members should note the settlement schedule for operational planning and fund management purposes.
Important Dates
November 2025 Trade and Settlement Schedule:
- November 3, 2025 → Settlement: November 4, 2025
- November 4, 2025 → Settlement: November 6, 2025
- November 5, 2025 → Settlement: November 6, 2025
- November 6, 2025 → Settlement: November 7, 2025
- November 7, 2025 → Settlement: November 10, 2025
- November 10, 2025 → Settlement: November 11, 2025
- November 11, 2025 → Settlement: November 12, 2025
- November 12, 2025 → Settlement: November 13, 2025
- November 13, 2025 → Settlement: November 14, 2025
- November 14, 2025 → Settlement: November 17, 2025
- November 17, 2025 → Settlement: November 18, 2025
- November 18, 2025 → Settlement: November 19, 2025
- November 19, 2025 → Settlement: November 20, 2025
- November 20, 2025 → Settlement: November 21, 2025
- November 21, 2025 → Settlement: November 24, 2025
- November 24, 2025 → Settlement: November 25, 2025
- November 25, 2025 → Settlement: November 26, 2025
- November 26, 2025 → Settlement: November 27, 2025
- November 27, 2025 → Settlement: November 28, 2025
- November 28, 2025 → Settlement: December 1, 2025
Impact Assessment
Operational Impact: Low - This is a standard informational circular that helps members plan their settlement obligations and liquidity requirements for November 2025.
Market Impact: Minimal - Settlement schedules are routine operational information with no effect on trading activity or market structure.
Member Impact: Informational only - Members can use this schedule for planning fund transfers, margin requirements, and back-office operations for commodity derivatives trading.
Contact Information
- Support Email: support@nsccl.co.in
- Telephone: 1800 266 0050 (IVR Option 2)
- Circular Reference: NCL/COM/70628, Circular 0317/2025
Impact Justification
Routine operational circular providing standard settlement schedule information for commodity derivatives. No regulatory changes or compliance requirements, minimal market impact.