Trading-Programme (17)
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BSE publishes the complete trading and settlement schedule for mutual fund transactions (subscription and redemption) for the period … | |||||||||||||
BSE publishes the complete trading and settlement schedule for mutual fund transactions (subscription and redemption) for the period December 1-31, 2025.
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BSE announces the trading and settlement schedule for the EGR (Electronic Gold Receipts) segment covering the period from November 3, 2025 … | |||||||||||||
BSE announces the trading and settlement schedule for the EGR (Electronic Gold Receipts) segment covering the period from November 3, 2025 to November 28, 2025, including settlement numbers, trading dates, pay-in/pay-out dates, and auction schedules.
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BSE announces the trading and settlement schedule for the EGR (Electronic Gold Receipts) segment covering the period from November 3, 2025 … | |||||||||||||
BSE announces the trading and settlement schedule for the EGR (Electronic Gold Receipts) segment covering the period from November 3, 2025 to November 28, 2025, including settlement numbers, trading dates, and pay-in/pay-out timelines.
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BSE announces the trading and settlement schedule for Basket Repo and Special Repo segments for the period from November 1, 2025 to November … | |||||||||||||
BSE announces the trading and settlement schedule for Basket Repo and Special Repo segments for the period from November 1, 2025 to November 30, 2025.
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BSE announces the complete trading and settlement schedule for Basket Repo and Special Repo segments covering the period from November 1, … | |||||||||||||
BSE announces the complete trading and settlement schedule for Basket Repo and Special Repo segments covering the period from November 1, 2025 to November 30, 2025.
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BSE announces the trading and settlement schedule for the Corporate Debt Segment (ICDM) covering T+0, T+1, and T+2 settlement cycles for the … | |||||||||||||
BSE announces the trading and settlement schedule for the Corporate Debt Segment (ICDM) covering T+0, T+1, and T+2 settlement cycles for the period from November 1 to November 30, 2025.
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BSE announces the trading and settlement schedule for the Corporate Debt Segment (ICDM) for the period from November 1, 2025 to November 30, … | |||||||||||||
BSE announces the trading and settlement schedule for the Corporate Debt Segment (ICDM) for the period from November 1, 2025 to November 30, 2025, covering T+0, T+1, and T+2 settlement cycles.
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BSE announces the trading and settlement schedule for the Institutional Trading Platform (ITP) SME segment for the period from November 1, … | |||||||||||||
BSE announces the trading and settlement schedule for the Institutional Trading Platform (ITP) SME segment for the period from November 1, 2025 to November 30, 2025, covering 19 settlement cycles.
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BSE announces the complete trading and settlement schedule for the New Debt Segment covering the period from November 1, 2025 to November … | |||||||||||||
BSE announces the complete trading and settlement schedule for the New Debt Segment covering the period from November 1, 2025 to November 30, 2025, including pay-in/pay-out dates and auction schedules.
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BSE announces the complete trading and settlement schedule for Securities Lending and Borrowing (SLB) segment covering the period from … | |||||||||||||
BSE announces the complete trading and settlement schedule for Securities Lending and Borrowing (SLB) segment covering the period from November 1-30, 2025, including settlement numbers, trading dates, and pay-in/pay-out schedules.
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