Pay-Out (4)
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NSE Clearing Limited has scheduled multiple settlements on March 20, 2026 due to a settlement holiday on March 19, 2026. Three settlement … | |||||||||||||
NSE Clearing Limited has scheduled multiple settlements on March 20, 2026 due to a settlement holiday on March 19, 2026. Three settlement cycles (2026052, 2026053, 2026054) will be processed on the same day with revised pay-in and pay-out timings.
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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 notice detailing the trading and settlement schedule for the New Debt Segment (NDS) for the period 01.04.2026 to 30.04.2026, including … | |||||||||||||
BSE notice detailing the trading and settlement schedule for the New Debt Segment (NDS) for the period 01.04.2026 to 30.04.2026, including pay-in/pay-out and auction dates.
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