Press Release No. 1
Corporates with highest number of
complaints pending
Given
below are names of corporates, whose securities are suspended / withdrawn from
trading on NSE, with highest number of complaints pending against them for a
period of more than 2 months as on
Sr. No. |
Name of the Corporate |
Number of complaints pending |
1 |
Vatsa Corporations Ltd |
76 |
2 |
Soundcraft Industries Ltd. |
27 |
3 |
Pal Peugeot Ltd |
11 |
4 |
Enkay Texofood Industries
Ltd |
6 |
5 |
Arihant Industries Ltd. |
5 |
6 |
Patheja Forgings & Auto
Parts Manufacturers Ltd |
4 |
7 |
Eider Infotech Limited |
3 |
8 |
Cauvery Software
Engineering Systems Ltd |
2 |
9 |
Lan Eseda Industries Ltd |
2 |
10 |
Scintilla Software
Technology Ltd |
2 |
Press Release No. 2
News about Hanung Toys and Textiles
Limited
The
media had reports that Hanung Toys and Textiles Limited may issue bonus
shares..
The
Exchange, in order to verify the accuracy or otherwise of the information
reported in the media and to inform the market place so that the interest of
the investors is safeguarded, had written to the officials of the company.
Hanung
Toys and Textiles Limited has vide its letter inter-alia stated, "The
company has not given any information regarding the issue of Bonus shares as
published in the media and it has no such proposal."
Press Release No. 3
Market-wide Position Limit in
The
derivative contracts in the underlying
Press Release No. 4
Security listed and admitted to dealings
- CPIL
The equity shares of the following company shall
be listed and admitted to dealings on the Exchange w.e.f.
Sr. No. |
Symbol |
Name of the Company |
ISIN Code |
1 |
CPIL |
Career Point Infosystems Limited |
INE521J01018 |
Press Release No. 5
Security listed and admitted to dealings
- EROSMEDIA
The equity shares of
the following company shall be listed and admitted to dealings on the
Exchange w.e.f.
Sr. No. |
Symbol |
Name of the Company |
ISIN Code |
1 |
EROSMEDIA |
Eros
International Media Limited |
INE416L01017 |
Press Release No. 6
Listing of units issued by FIL Fund
Management Private Limited (Fidelity Fixed Maturity Plan Series-III Plan F)
The
following units issued by FIL Fund Management Private Limited on behalf of
Fidelity Mutual Fund shall be admitted to dealings on the Exchange w.e.f.
Sr.
No |
Symbol |
Issue
Description |
Series |
ISIN
Code |
1 |
FIFMPS3EH |
Units of Rs.10/- each of Fidelity Mutual Fund - Fidelity Fixed
Maturity Plan - Series III - Plan F - Growth |
MF |
INF677K01411 |
2 |
FIFMPS3FF |
Units of Rs.10/- each of Fidelity Mutual Fund - Fidelity Fixed
Maturity Plan - Series III - Plan F -Dividend Payout |
MF |
INF677K01429 |
Press Release No. 7
Listing of units issued by ICICI
Prudential Asset Management Company Limited (ICICI Prudential Fixed Maturity
Plan - Series 53-One Year Plan A)
The
following units issued by ICICI Prudential Asset Management Company Limited on
behalf of ICICI Prudential Mutual Fund shall be admitted to dealings on the
Exchange w.e.f.
Sr.
No |
Symbol |
Issue
Description |
Series |
ISIN
Code |
1 |
IP531YAD |
Units of Rs.10/- each of ICICI Prudential Mutual Fund- ICICI
Prudential Fixed Maturity Plan - Series 53-One Year Plan A Dividend |
MF |
INF109K01GB4 |
2 |
IP531YAG |
Units of Rs.10/- each of ICICI Prudential Mutual Fund- ICICI
Prudential Fixed Maturity Plan - Series 53-One Year Plan A Cumulative |
MF |
INF109K01GA6 |
Press Release No. 8
NSE completes its 2651st
Settlement
The
Exchange has successfully completed its 2651st Normal Settlement (Rolling T+2
following SEBI directive) since inception i.e., Settlement Number N – 2010188
on
Particulars
|
Value
|
|
N-2010188
|
Total traded quantity (lakhs) |
9182.71 |
Total traded value (Rs. In Crores) |
18099.10 |
Total value of the settlement (Securities) (Rs. In Crores) |
5527.44 |
Total value of the settlement (Funds) (Rs. In Crores) |
1866.67 |
Shortages for the settlement
|
0.15% |
% of Delivery ( No. of shares deliverable / No.
of shares traded ) |
28.37% |
Retail Debt
Market has completed its 1924th settlement, details of which are as
follows:
Settlement No. |
Traded Value |
Settlement Value |
|
|
|
Securities |
Funds |
D- 2010188 |
NIL |
NIL |
NIL |