The National Stock Exchange (NSE) on November 13, 2024, notified regarding the changes in settlement schedule on account of Trading Holiday on November 20, 2024.
The following has been stated:
• The Settlement Schedule in the Currency Derivatives Segment for the month of November 2024 is revised as follows:
o Trade date - November 19, 2024
o Current Settlement Date – November 20, 2024
o Revised Settlement Date - November 21, 2024
[Notification No NCL/CD/65066]