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Settlement Schedule - Commodity Derivative
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Settlement Schedule

The pay-in and pay-out of commodities and funds shall be effected in accordance with the settlement schedule issued by Clearing Corporation periodically. The settlement schedule shall specify the tender period and intention timelines for the commodity as per delivery logic. The schedule shall also specify the supplementary settlement dates and timelines.

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NSE Clearing Limited

Registered Office : 

Exchange Plaza, C-1, Block G,
Bandra Kurla Complex,
Bandra (E)
Mumbai - 400 051

 

CIN: U67120MH1995PLC092283

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