The Exchange has decided to merge the pay-in /pay-out date for settlement numbers 2009034 & 2009035 [NSE] and 0809220 & 0809221 [BSE] on account of the proposed RBI strike dated February 20, 2009.
NSE Obligation Settlement and Sell Against Receivable Schedule
Settlement No.
From
To
Pay In
Sale against Receivables Availability
-
2009033
18-Feb-2009
18-Feb-2009
24-Feb-2009
Yes
-
2009034
19-Feb-2009
19-Feb-2009
25-Feb-2009
No
-
2009035
20-Feb-2009
20-Feb-2009
25-Feb-2009
Yes
Deliveries taken in settlement number 2009034 , will not be available for selling in settlement number 2009035 as the Pay-in for both the settlements are on February 25, 2009.
BSE Obligation Settlement and Sell Against Receivable Schedule
Settlement No.
From
To
Pay In
Sale against Receivables Availability
-
0809219
18-Feb-2009
18-Feb-2009
24-Feb-2009
Yes
-
0809220
19-Feb-2009
19-Feb-2009
25-Feb-2009
No
-
0809221
20-Feb-2009
20-Feb-2009
25-Feb-2009
Yes
Deliveries taken in settlement number 0809220, will not be available for selling in settlement number 0809221 as the Pay-in for both the settlements are on February 25, 2009.
Kindly feel free to call us on 1800 22 7500/ 022 - 6662 1111/ ( Local STD Code ) 3970 7500 in case of clarifications.