Trading-Calendar (62)
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BSE announces the settlement programme for the Currency Derivatives segment covering the period from April 1, 2026 to April 30, 2026, … | |||||||||||||
BSE announces the settlement programme for the Currency Derivatives segment covering the period from April 1, 2026 to April 30, 2026, including daily settlement dates and expiry details for April 2026 currency futures.
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BSE announces the settlement programme for the Futures & Options segment covering the period from April 1, 2026 to April 30, 2026, detailing … | |||||||||||||
BSE announces the settlement programme for the Futures & Options segment covering the period from April 1, 2026 to April 30, 2026, detailing trade dates and corresponding daily settlement dates.
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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 with … | |||||||||||||
BSE announces the trading and settlement schedule for the cash segment for April 2026, covering both T+1 and T+0 settlement cycles with specific pay-in/pay-out dates.
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BSE announces the trading and settlement schedule for the Mutual Fund segment covering the period 01 April 2026 to 30 April 2026, including … | |||||||||||||
BSE announces the trading and settlement schedule for the Mutual Fund segment covering the period 01 April 2026 to 30 April 2026, including settlement numbers, fund pay-in/payout dates for subscription (liquid and non-liquid) and redemption transactions.
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NSE Clearing Limited announces the daily settlement schedule for Futures & Options segment for March 2026, covering 19 trading days with … | |||||||||||||
NSE Clearing Limited announces the daily settlement schedule for Futures & Options segment for March 2026, covering 19 trading days with corresponding settlement dates.
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Trading and settlement schedule for Electronic Gold Receipts (EGR) segment covering the period from February 1, 2026 to February 28, 2026, … | |||||||||||||
Trading and settlement schedule for Electronic Gold Receipts (EGR) segment covering the period from February 1, 2026 to February 28, 2026, including pay-in/pay-out dates and auction settlement details.
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BSE announces the complete trading and settlement schedule for mutual fund transactions (subscription and redemption) for the period … | |||||||||||||
BSE announces the complete trading and settlement schedule for mutual fund transactions (subscription and redemption) for the period February 1-28, 2026, covering liquid and non-liquid funds.
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BSE announces the trading and settlement schedule for mutual fund subscriptions (liquid and non-liquid) and redemptions for the period … | |||||||||||||
BSE announces the trading and settlement schedule for mutual fund subscriptions (liquid and non-liquid) and redemptions for the period February 1-28, 2026.
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Trading and settlement schedule for cash segment covering the period from February 1, 2026 to February 28, 2026 under both T+1 and T+0 … | |||||||||||||
Trading and settlement schedule for cash segment covering the period from February 1, 2026 to February 28, 2026 under both T+1 and T+0 settlement cycles.
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BSE announces trading and settlement schedule for cash segment covering February 1-28, 2026, including T+1 and T+0 settlement cycles with … | |||||||||||||
BSE announces trading and settlement schedule for cash segment covering February 1-28, 2026, including T+1 and T+0 settlement cycles with detailed pay-in/pay-out dates and auction schedules.
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