Depository (99)
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BSE announces the trading and settlement schedule for the Securities Lending and Borrowing (SLB) segment for the period April 1 to April 30, … | |||||||||||||||
BSE announces the trading and settlement schedule for the Securities Lending and Borrowing (SLB) segment for the period April 1 to April 30, 2026, covering settlement numbers SL-002/26-27 to SL-021/26-27.
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BSE announces the trading and settlement schedule for the Cash Segment for April 2026 covering both T+1 and T+0 settlement cycles, detailing … | |||||||||||||||
BSE announces the trading and settlement schedule for the Cash Segment for April 2026 covering both T+1 and T+0 settlement cycles, detailing settlement numbers, trading dates, pay-in/pay-out dates, and auction timelines.
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BSE notice outlining the trading and settlement schedule for the Institutional Trading Platform (ITP) under the SME segment for the period … | |||||||||||||||
BSE notice outlining the trading and settlement schedule for the Institutional Trading Platform (ITP) under the SME segment for the period 01.04.2026 to 30.04.2026, including settlement numbers, trade dates, and pay-in/pay-out timings.
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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 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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NSE Clearing Limited circular instructing members and custodians on early pay-in (EPI) procedures for Angel One Limited securities due to a … | |||||||||||||||
NSE Clearing Limited circular instructing members and custodians on early pay-in (EPI) procedures for Angel One Limited securities due to a face value split from Rs 10/- to Re 1/- per share, effective February 26, 2026.
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LKP Finance Limited submits an undertaking to BSE confirming the timeline for credit and trading of bonus equity shares in a 4:1 ratio, with … | |||||||||||||||
LKP Finance Limited submits an undertaking to BSE confirming the timeline for credit and trading of bonus equity shares in a 4:1 ratio, with credit by March 9, 2026 and trading from March 10, 2026.
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LKP Finance Limited undertakes to credit bonus equity shares in a 4:1 ratio to eligible shareholders by 12:00 Noon on March 9, 2026 (T+1), … | |||||||||||||||
LKP Finance Limited undertakes to credit bonus equity shares in a 4:1 ratio to eligible shareholders by 12:00 Noon on March 9, 2026 (T+1), with trading commencing on March 10, 2026 (T+2).
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