Press Release No. 1
Listing of units issued by DSP BlackRock
Investment Managers Private Limited (DSP BlackRock FMP –
13M - Series 2)
The
following units issued by DSP BlackRock Investment Managers Private Limited on behalf
of DSP BlackRock Mutual Fund shall be admitted to dealings on the Exchange
w.e.f.
Sr. No |
Symbol |
Issue
Description |
Series |
ISIN Code |
1 |
DSPFM13M2D |
Units of Rs.10/- each of
DSP BlackRock Mutual Fund - DSP BlackRock FMP 13M - Series 2 - Dividend
Payout Option |
MF |
INF740K01508 |
2 |
DSPFM13M2G |
Units of Rs.10/- each of
DSP BlackRock Mutual Fund - DSP BlackRock FMP 13 M - Series 2 - Growth Option |
MF |
INF740K01490 |
Press Release No. 2
Listing of units issued by Taurus Asset
Management Company Limited (Taurus Fixed Maturity Plan 385 Days- Series 1)
The
following units issued by Taurus Asset Management Company Limited on behalf of
Taurus Mutual Fund shall be admitted to dealings on the Exchange w.e.f.
Sr. No |
Symbol |
Issue
Description |
Series |
ISIN Code |
1 |
TMF385S1IG |
Units
of Rs.10/- each of Taurus Mutual Fund - Taurus Fixed Maturity Plan 385 days-
Series 1-Institutional Plan- Growth Option |
MF |
INF044D01153 |
2 |
TMF385S1RD |
Units
of Rs.10/- each of Taurus Mutual Fund - Taurus Fixed Maturity Plan 385 days-
Series 1-Retail Plan - Dividend Option |
MF |
INF044D01120 |
3 |
TMF385S1RG |
Units
of Rs.10/- each of Taurus Mutual Fund - Taurus Fixed Maturity Plan 385 days-
Series 1-Retail Plan - Growth Option |
MF |
INF044D01138 |
Press Release No. 3
NSE completes its 2523rd
Normal Settlement
The
Exchange has successfully completed its 2523rd Normal Settlement (Rolling T+2
following SEBI directive) since inception i.e., Settlement Number N – 2010061
on
Particulars
|
Values
|
|
N-2010061
|
Total traded quantity (lakhs) |
6947.96 |
Total traded value (Rs. In Crores) |
13075.57 |
Total value of the settlement (Securities) (Rs. In Crores) |
3957.31 |
Total value of the settlement (Funds) (Rs. In Crores) |
1545.56 |
Shortages for the settlement
|
0.20% |
% of Delivery ( No. of shares
deliverable / No. of shares traded ) |
30.38% |
Retail
Debt Market has completed its 1797th settlements, details of which are as
follows:
Settlement No. |
Traded Value |
Settlement Value |
|
|
|
Securities |
Funds |
D- 2010061 |
NIL |
NIL |
NIL |