Nse-Clearing (87)
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NSE Clearing Limited notifies the compulsory delivery settlement calendar for the Commodity Derivatives Segment for June 2026, covering … | |||||||||||||||
NSE Clearing Limited notifies the compulsory delivery settlement calendar for the Commodity Derivatives Segment for June 2026, covering gold, silver, and base metals contracts.
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NSE Clearing Limited announces adjustment of F&O contracts in BANKBARODA due to a dividend of Rs. 8.50/-, effective June 04-05, 2026. … | |||||||||||||||
NSE Clearing Limited announces adjustment of F&O contracts in BANKBARODA due to a dividend of Rs. 8.50/-, effective June 04-05, 2026. Futures carry-forward prices and options strike prices will be reduced by the dividend amount.
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NSE Clearing Limited provides API specifications for payment aggregators to submit Global MIS data for Mutual Fund Service System, including … | |||||||||||||||
NSE Clearing Limited provides API specifications for payment aggregators to submit Global MIS data for Mutual Fund Service System, including authentication, encryption, and request/response field definitions.
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NSE Clearing Limited has released Version 1.0 of the Web API Protocol for the NCMS (National Clearing Management System) in the Currency … | |||||||||||||||
NSE Clearing Limited has released Version 1.0 of the Web API Protocol for the NCMS (National Clearing Management System) in the Currency Derivatives Segment, detailing authentication, trade activity inquiry, and approval/rejection endpoints for member integration.
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NSE Clearing Limited publishes the Mark to Market settlement schedule for the Currency Derivatives Segment for June 2026, including final … | |||||||||||||||
NSE Clearing Limited publishes the Mark to Market settlement schedule for the Currency Derivatives Segment for June 2026, including final settlement dates for T-Bill Futures, Interest Rate Contracts, Currency Futures/Options, and MIBOR Contracts.
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NSE Clearing Limited publishes the settlement schedule for the Commodity Derivatives Segment for June 2026, detailing trade dates and their … | |||||||||||||||
NSE Clearing Limited publishes the settlement schedule for the Commodity Derivatives Segment for June 2026, detailing trade dates and their corresponding settlement dates.
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NSE Clearing Limited publishes the Futures & Options segment settlement schedule for June 2026, mapping each trade date to its corresponding … | |||||||||||||||
NSE Clearing Limited publishes the Futures & Options segment settlement schedule for June 2026, mapping each trade date to its corresponding settlement date.
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NSE Clearing Limited publishes the Mutual Fund Service System (MFSS) settlement calendar for June 2026, covering subscription, liquid … | |||||||||||||||
NSE Clearing Limited publishes the Mutual Fund Service System (MFSS) settlement calendar for June 2026, covering subscription, liquid subscription, and redemption settlement schedules.
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NSE Clearing Limited publishes the settlement schedule for June 2026 covering Normal Rolling T+1, Auction, Trade for Trade T+1, ITP for SME … | |||||||||||||||
NSE Clearing Limited publishes the settlement schedule for June 2026 covering Normal Rolling T+1, Auction, Trade for Trade T+1, ITP for SME T+1, and Normal Rolling T+0 settlement types for the Capital Market Segment.
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NSE Clearing Limited publishes the settlement calendar for the Debt Segment for June 2026, covering both Debt Settlement (Type I, Rolling … | |||||||||||||||
NSE Clearing Limited publishes the settlement calendar for the Debt Segment for June 2026, covering both Debt Settlement (Type I, Rolling T+1) and Debt Auction Settlement (Type 2) schedules.
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