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ICCL - Settlement Calendars
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Settlement Calendars
Segment Name:
Equity
SLB
FNO
CDX
ICDM
REPO
ITP
MF
NDS
Settlement Calendar:
T + 2
T + 1
Year
2025
2024
2023
2022
2021
Month
January
February
March
April
May
June
July
August
September
October
November
December
March 2025
Settlement No.
Sett.No.for Depository purpose
Trading Date.
Entry of 6A/7A data by members.
Confirmation of 6A/7A Data by custodians # & Issue of delivery, money statements etc
Pay-in/ Pay-out +
Auction Sett.No. +++
Submission of auctionoffers on
AuctionPay-in/ Pay-out ++
DR-232/2024-2025
2425232
03/03/2025
03/03/2025
04/03/2025
05/03/2025
RA-232/2024-2025
05/03/2025
06/03/2025
DR-233/2024-2025
2425233
04/03/2025
04/03/2025
05/03/2025
06/03/2025
RA-233/2024-2025
06/03/2025
07/03/2025
DR-234/2024-2025
2425234
05/03/2025
05/03/2025
06/03/2025
07/03/2025
RA-234/2024-2025
07/03/2025
10/03/2025
DR-235/2024-2025
2425235
06/03/2025
06/03/2025
07/03/2025
10/03/2025
RA-235/2024-2025
10/03/2025
11/03/2025
DR-236/2024-2025
2425236
07/03/2025
07/03/2025
10/03/2025
11/03/2025
RA-236/2024-2025
11/03/2025
12/03/2025
DR-237/2024-2025
2425237
10/03/2025
10/03/2025
11/03/2025
12/03/2025
RA-237/2024-2025
12/03/2025
13/03/2025
DR-238/2024-2025
2425238
11/03/2025
11/03/2025
12/03/2025
13/03/2025
RA-238/2024-2025
13/03/2025
17/03/2025
DR-239/2024-2025
2425239
12/03/2025
12/03/2025
13/03/2025
17/03/2025
RA-239/2024-2025
17/03/2025
18/03/2025
DR-240/2024-2025
2425240
13/03/2025
13/03/2025
17/03/2025
18/03/2025
RA-240/2024-2025
18/03/2025
19/03/2025
DR-241/2024-2025
2425241
17/03/2025
17/03/2025
18/03/2025
19/03/2025
RA-241/2024-2025
19/03/2025
20/03/2025
DR-242/2024-2025
2425242
18/03/2025
18/03/2025
19/03/2025
20/03/2025
RA-242/2024-2025
20/03/2025
21/03/2025
DR-243/2024-2025
2425243
19/03/2025
19/03/2025
20/03/2025
21/03/2025
RA-243/2024-2025
21/03/2025
24/03/2025
DR-244/2024-2025
2425244
20/03/2025
20/03/2025
21/03/2025
24/03/2025
RA-244/2024-2025
24/03/2025
25/03/2025
DR-245/2024-2025
2425245
21/03/2025
21/03/2025
24/03/2025
25/03/2025
RA-245/2024-2025
25/03/2025
26/03/2025
DR-246/2024-2025
2425246
24/03/2025
24/03/2025
25/03/2025
26/03/2025
RA-246/2024-2025
26/03/2025
27/03/2025
DR-247/2024-2025
2425247
25/03/2025
25/03/2025
26/03/2025
27/03/2025
RA-247/2024-2025
27/03/2025
28/03/2025
DR-248/2024-2025
2425248
26/03/2025
26/03/2025
27/03/2025
28/03/2025
RA-248/2024-2025
28/03/2025
02/04/2025
OTR allocation (Give-up entry) can be done by members upto 08:00 p.m. on T day and OTR confirmation (Take-up entry) can be done by custodians upto 07:30 a.m. on T+1 day (Please refer Notice No.20221223-17)
+ Pay-in at 10:30 a.m.
Members to submit pay-in instructions to Depositories / banks latest by 10:30 a.m.
Pay-out of funds and securities will be effected by 1:30 p.m.
++ Auction pay-in at 8:00 a.m.
Members to submit pay-in instructions to Depositories/banks latest by 7:50 a.m.
+++ All shortages in Trade to Trade segment (securities settled on Gross level) and all shortages for scrips in which No-delivery period has been abolished will be directly closed out as mentioned in the Notice No.20190529-43 dated May 29, 2019.