Last Updated : November 03, 2009
Settlement Schedule for Contracts expiring between November 2 and 30, 2009
Circular No.: MCX/C&S/455/2009 November 3, 2009
In terms of the provisions of the Rules, Bye-Laws and Business Rules of the Exchange, the Members of the Exchange are notified as under:
The Settlement Schedule for Funds pay-in / pay-out and Physical delivery pay-in / payout are specified in Annexure –I and the schedule for Demat delivery pay-in / pay-out of commodities is specified in Annexure –II for contracts expiring between November 2 and 30, 2009.
This circular is issued to clarify the clearing and settlement procedure of contracts expiry announced by the Exchange earlier at the time of launching these contracts.
Members are requested to take note of the same and adhere to the date and time as mentioned therein in the settlement sch edule with a view to complete the delivery process smoothly.
While this circular has been prepared in brief for easy reference, members may refer to main circulars issued earlier for respective contracts for further details.
Kalpesh Shukla
Vice President
Encl: As above
Kindly contact Mr. Sachin Unkule on 022 - 6649 4000 or send an email at customersupport@mcxindia.com for any clarification.
For more details please Click Here.