Dear All,
As we approach the financial year-end, please take note of the upcoming Trading & Settlement Schedule:
28th March 2025 (Friday) – Trades will settle on 2nd April 2025 (Wednesday)
31st March 2025 (Monday) – Trading Holiday
1st April 2025 (Tuesday) – Clearing Holiday
2nd April 2025 (Wednesday) – Deliveries from 28th March 2025 will settle
Important Trading Guidelines:
BTST Restrictions:
- Delivery Segment (Cash): BTST will not be allowed on 1st April 2025 — Shares bought on 28th March 2025 in the Cash Segment cannot be sold on this day.
- MTF Segment: BTST will be available; however, MTF BTST sell trades may face auction/penalties, and any associated charges will be borne by the client.
Option Premiums:
- Option premium receivable on 28th March 2025 will not be available for trading on 1st April 2025 due to the settlement holiday.
- Option premium received on 28th March 2025 will not be available for use in the evening commodity session on 31st March 2025, and the same benefit will not be available throughout 1st April 2025 due to the settlement holiday.
Plan your trades wisely to avoid any disruptions.