Kindly note that on account of settlement holiday (Gudhi Padwa) 28th March, 2017 (Tuesday),there will be no pay in and payout on 28th March, 2017 (Tuesday),Hence pay in pay out of Trading Date 27th March, 2017 & 28th March, 2017 will be on 30th  March, 2017. So Kindly check the email and Settlement Master from Branch Login under the option Stock Account for your reference. Client can do Inter Settlement in normal course i.e. If client has purchased stock in sett.BSE_RM/TT-1617246 / NSE_N/TT- 2017058 (27-03-2017) then client can sale the same stock in sett.BSE_RM/TT-1617247 / NSE_N/TT- 2017059 (28-03-2017) subject to market shortage on client’s risk. Regards, Treasury Team- Contact No. – 022-40778073-21.


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