BSE demat auction for settlement number 763 covering 122 securities with various quantities to be auctioned on November 26, 2025.
Impact
Medium
Severity
Medium
Justification
Routine demat auction affecting 122 securities with varying quantities. Primarily impacts brokers and market participants with settlement obligations for these specific scrips.
List of securities and quantities subject to demat auction settlement by BSE for settlement number 763 dated November 26, 2025.
Impact
Medium
Severity
Medium
Justification
Demat auction affects specific securities and quantities where delivery obligations were not met, impacting brokers and investors with outstanding positions in these scrips.
BSE announces demat auction settlement No. 754 dated November 13, 2025, listing 102 scrips across various companies for auction settlement.
Impact
Medium
Severity
Medium
Justification
Regular demat auction settlement affecting 102 scrips with varying quantities. Impacts brokers and clients with delivery shortfalls requiring auction settlement. Medium severity as it's a routine operational process but affects multiple market participants.
BSE announces demat auction for settlement number 754 involving 103 securities across various companies with specific quantities to be auctioned.
Impact
Medium
Severity
Medium
Justification
Routine demat auction affecting 103 securities with varying quantities; primarily operational impact for broker-dealers and clearing members with short delivery positions
BSE announces demat auction settlement number 736 for various securities with specified quantities to be auctioned on October 16, 2025.
Impact
Medium
Severity
Medium
Justification
Routine demat auction affecting multiple securities with various quantities. Impact is limited to parties with settlement obligations in Settlement No. 736.
BSE demat auction settlement listing securities available for auction to settle delivery obligations from trading members.
Impact
Medium
Severity
Medium
Justification
Routine demat auction for settlement 736 involving multiple securities with varying quantities for delivery obligation fulfillment. Important for brokers and traders with pending delivery obligations but standard market operations procedure.