Cdsl (11)
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BSE/ICCL revises depository settlement numbers for the Electronic Gold Receipts (EGR) segment for trading dates 30.03.2026 and 31.03.2026, … | |||||||||||||||
BSE/ICCL revises depository settlement numbers for the Electronic Gold Receipts (EGR) segment for trading dates 30.03.2026 and 31.03.2026, updating pay-in/pay-out schedules and auction timelines.
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BSE revises trading settlement numbers for the Electronic Gold Receipts (EGR) segment for trading dates March 30 and March 31, 2026, … | |||||||||||||||
BSE revises trading settlement numbers for the Electronic Gold Receipts (EGR) segment for trading dates March 30 and March 31, 2026, impacting pay-in/pay-out schedules and depository processing.
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BSE revises trading settlement numbers for the Electronic Gold Receipts (EGR) segment for trading dates March 30 and March 31, 2026, with … | |||||||||||||||
BSE revises trading settlement numbers for the Electronic Gold Receipts (EGR) segment for trading dates March 30 and March 31, 2026, with updated depository settlement references.
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CDSL has announced the discontinuation of separate Early Pay-in (EP) accounts effective March 21, 2026. Clearing Members will use CM Pool … | |||||||||||||||
CDSL has announced the discontinuation of separate Early Pay-in (EP) accounts effective March 21, 2026. Clearing Members will use CM Pool accounts for all settlement and EP transactions going forward.
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CDSL announces discontinuation of separate Early Pay-in (EP) accounts effective March 21, 2026, requiring Clearing Members to use CM Pool … | |||||||||||||||
CDSL announces discontinuation of separate Early Pay-in (EP) accounts effective March 21, 2026, requiring Clearing Members to use CM Pool accounts for all settlement transactions including EP transactions.
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BSE announces the settlement calendar for the Offer to Buy – Acquisition Window (Takeover) for Kesoram Industries Limited, with bidding from … | |||||||||||||||
BSE announces the settlement calendar for the Offer to Buy – Acquisition Window (Takeover) for Kesoram Industries Limited, with bidding from February 26 to March 12, 2026, and settlement on March 18, 2026.
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NSE Clearing Ltd. publishes the CBRICS settlement calendar for March 2026, providing settlement dates and numbers for corporate bond … | |||||||||||||||
NSE Clearing Ltd. publishes the CBRICS settlement calendar for March 2026, providing settlement dates and numbers for corporate bond transactions via NSDL/CDSL transfer.
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CDSL announces discontinuation of separate Early Pay-in (EP) accounts for Clearing Members effective March 21, 2026. CMs will only need to … | |||||||||||||||
CDSL announces discontinuation of separate Early Pay-in (EP) accounts for Clearing Members effective March 21, 2026. CMs will only need to maintain a CM Pool account for all settlement-related transactions including EP transactions.
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CDSL has announced that effective March 21, 2026, Clearing Members will no longer be required to maintain a separate Early Pay-in (EP) … | |||||||||||||||
CDSL has announced that effective March 21, 2026, Clearing Members will no longer be required to maintain a separate Early Pay-in (EP) account; only a CM Pool account will be needed for settlement transactions.
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Settlement calendar for Corporate Bond Repository for Institutional and Corporate Securities (CBRICS) transactions for February 2026, with … | |||||||||||||||
Settlement calendar for Corporate Bond Repository for Institutional and Corporate Securities (CBRICS) transactions for February 2026, with 19 settlement dates using on-market settlement mode.
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