Clearing (28)
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NSE Clearing Limited announces settlement schedule for commodity derivatives segment for October 2025 trading dates. | |||||||||||||||
NSE Clearing Limited announces settlement schedule for commodity derivatives segment for October 2025 trading dates.
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NSE publishes the Futures & Options segment settlement schedule for October 2025 with trade dates and corresponding settlement dates. | |||||||||||||||
NSE publishes the Futures & Options segment settlement schedule for October 2025 with trade dates and corresponding settlement dates.
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NSE Clearing announces settlement schedules for various settlement types in Capital Market Segment for October 2025. | |||||||||||||||
NSE Clearing announces settlement schedules for various settlement types in Capital Market Segment for October 2025.
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NSE Clearing Limited announces settlement schedule for debt segment transactions in October 2025 with T+1 rolling settlement. | |||||||||||||||
NSE Clearing Limited announces settlement schedule for debt segment transactions in October 2025 with T+1 rolling settlement.
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NSE Clearing provides settlement calendar and timing details for Ironwood Education Limited OFS transactions. | |||||||||||||||
NSE Clearing provides settlement calendar and timing details for Ironwood Education Limited OFS transactions.
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NSE Clearing updates the list of ETFs eligible for cross margining with effect from August 29, 2025. | |||||||||||||||
NSE Clearing updates the list of ETFs eligible for cross margining with effect from August 29, 2025.
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NSE Clearing announces multiple securities lending and borrowing scheme settlements on September 8, 2025 due to holiday on September 5. | |||||||||||||||
NSE Clearing announces multiple securities lending and borrowing scheme settlements on September 8, 2025 due to holiday on September 5.
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NSE Clearing adjusts VEDL futures and options contracts due to dividend payment of Rs. 16.00 per share, effective August 26, 2025. | |||||||||||||||
NSE Clearing adjusts VEDL futures and options contracts due to dividend payment of Rs. 16.00 per share, effective August 26, 2025.
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NSE Clearing announces revised settlement dates for SLB contracts with expiry day changing to first Tuesday of the month from October 2025. | |||||||||||||||
NSE Clearing announces revised settlement dates for SLB contracts with expiry day changing to first Tuesday of the month from October 2025.
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NSE Clearing announces settlement calendar for Vilin Bio Med Limited takeover offer with trading period from September 1-15, 2025. | |||||||||||||||
NSE Clearing announces settlement calendar for Vilin Bio Med Limited takeover offer with trading period from September 1-15, 2025.
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