The National Stock Exchange (NSE) on August 03, 2023, issued the Settlement Schedule in the Currency Derivatives Segment for the month of September 2023.
The following has been stated:
• Final settlement for September 2023 91-Day GOI T-Bill Futures contracts and Cash Settled, Currency Futures and Option & Interest rate Contracts shall be on September 29, 2023.
• Final settlement for August 2023 Overnight Call Rate (MIBOR) shall be on October 03, 2023.
The Settlement Schedule is attached to the document.
[Circular No. 052/2023]