GiftNiftyFutures 26-Dec-2024
23,636.00 -325.00 (-1.36%)

20-Dec-2024 15:40

27-Dec-2024 | 85.0175

20-Dec-2024 16:33

Lac Crs 437.07 | Tn $ 5.14

20-Dec-2024

Login to

You will be redirected to
another link to complete the login

Feedback
Login to Mutual Fund, NCFM

Settlement Schedule


Settlement of daily mark to market is carried out on T+1 day basis.

Final Settlement is carried out on T+2day basis.

Members with a funds pay-in obligation are required to have clear funds in their primary clearing account on or before 8.30 a.m. on the settlement day. The payout of funds is credited to the primary clearing account of the members thereafter.

Updated on: 04/01/2023