Clearing-Operations (6)
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NSE Clearing discontinues separate pool and early pay-in accounts for Securities Lending and Borrowing Scheme (SLBS) in CDSL, requiring … | |||||||||||||
NSE Clearing discontinues separate pool and early pay-in accounts for Securities Lending and Borrowing Scheme (SLBS) in CDSL, requiring participants to use cash segment accounts instead.
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NSE Clearing extends collateral allocation window timings for January 2, 2026, with cash/FDR up-streaming till 8:00 PM and allocation window … | |||||||||||||
NSE Clearing extends collateral allocation window timings for January 2, 2026, with cash/FDR up-streaming till 8:00 PM and allocation window till 10:00 PM.
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NSE Clearing modifies collateral allocation timings for January 02, 2026, extending upstream/downstream window to 8:00 PM and allocation … | |||||||||||||
NSE Clearing modifies collateral allocation timings for January 02, 2026, extending upstream/downstream window to 8:00 PM and allocation window to 10:00 PM in Currency Derivatives Segment.
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ICCL will conduct operations from its Disaster Recovery site from December 26-30, 2025, covering all segments. No changes required for … | |||||||||||||
ICCL will conduct operations from its Disaster Recovery site from December 26-30, 2025, covering all segments. No changes required for members and custodians in accessing ICCL applications.
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NSE Clearing discontinues Collateral Interface for Members (CIM) and migrates collateral management services to NMASS platform effective … | |||||||||||||
NSE Clearing discontinues Collateral Interface for Members (CIM) and migrates collateral management services to NMASS platform effective December 15, 2025.
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NSE Clearing updates requirements for members to use separate demat accounts for proprietary UCC, distinct from clearing member pool … | |||||||||||||
NSE Clearing updates requirements for members to use separate demat accounts for proprietary UCC, distinct from clearing member pool accounts.
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