BSE demat auction settlement listing scrips and quantities for settlement number 788 dated January 1, 2026.
Impact
Medium
Severity
Medium
Justification
Routine demat auction settlement affecting multiple scrips with varying quantities, important for tracking settlement obligations but not market-wide regulatory change
BSE circular detailing securities entering, exiting, and moving between stages of the Short Term Additional Surveillance Measure framework effective December 26, 2025.
Impact
Medium
Severity
Medium
Justification
Impacts trading conditions for 29 securities through surveillance measure changes, affecting liquidity and trading parameters but limited to specific stocks already under regulatory scrutiny
BSE circular announcing securities being added to, moved within, or removed from the Short Term Additional Surveillance Measure (ST-ASM) framework effective December 26, 2025.
Impact
Medium
Severity
Medium
Justification
Affects trading conditions for 29 securities through ST-ASM framework changes, impacting liquidity and trading requirements for investors in these stocks
BSE revises price band percentages for 13 scrips including Alps Industries, Galada Power, Manaksia Steels, and Meesho among others, effective from December 24, 2025.
Impact
Medium
Severity
Medium
Justification
Price band revisions affect trading volatility limits for 13 securities, impacting intraday price movement restrictions and trading strategies for these stocks.
BSE demat auction list for settlement number 773 covering securities shortages across 115 scrips scheduled for December 10, 2025.
Impact
Medium
Severity
Medium
Justification
Routine demat auction affecting 115 scrips with varying quantities. Standard settlement process for securities shortages with localized impact on specific scrips and brokers involved in the auction.
BSE Demat Auction Settlement No. 769 listing securities available for auction across various scrips dated December 4, 2025.
Impact
Medium
Severity
Medium
Justification
Routine demat auction notification affecting multiple securities with varying quantities; important for affected members and brokers to fulfill settlement obligations but standard operational procedure.