BSE demat auction listing for settlement number 752 dated November 11, 2025, containing securities eligible for auction to fulfill delivery obligations.
Impact
Medium
Severity
Medium
Justification
Routine demat auction affecting multiple securities for settlement obligations; impacts specific market participants with pending delivery commitments but not broader market operations
BSE demat auction for settlement number 752 covering multiple securities with various quantities scheduled for trading.
Impact
Medium
Severity
Medium
Justification
Standard demat auction settlement affecting multiple securities with varying quantities. Impact is moderate as it involves routine settlement procedures for securities shortages.
BSE announces demat auction for settlement number 733 covering 91 scrips with specified quantities for auction on October 13, 2025.
Impact
Medium
Severity
Medium
Justification
Routine demat auction settlement affecting 91 securities. Important for brokers and investors with delivery obligations but represents standard market operations rather than systemic risk.
BSE demat auction settlement listing 106 scrips with their respective quantities for settlement number 730.
Impact
Medium
Severity
Medium
Justification
Routine demat auction settlement affecting 106 scrips with varying quantities; impacts shareholders who failed to deliver securities in previous settlements.
BSE announces demat auction for settlement number 730 dated October 8, 2025, listing securities and quantities available for auction across multiple scrips.
Impact
Medium
Severity
Medium
Justification
Routine demat auction affecting multiple securities with varying quantities; impacts specific shareholders facing delivery shortfall but is a standard market settlement mechanism
BSE settlement auction for delivery obligations with listing of scrips and quantities for settlement number 729.
Impact
Medium
Severity
Medium
Justification
Routine demat auction for settlement of delivery obligations affecting multiple scrips with varying quantities. Standard market operation procedure for clearing non-delivered securities.