July 26, 2011

 

Press Release No. 1

Clarification by Sita Shree Food Products Limited.

 

Significant price movement has been observed in Sita Shree Food Products Limited.

 

The Exchange, in order to ensure that investors have latest relevant information about the company and to inform the market place so that the interest of the investors is safeguarded, had written to the company.

 

Sita Shree Food Products Limited has vide its letter inter-alia stated, "There is no information/announcement which in our opinion have a bearing on the price/volume behavior of the scrip, except information relating to our new solvent extraction plant, for which stage wise development information is already given on quarterly basis along with quarterly results of the Company to the exchange/s from last one year."

 

 

Press Release No. 2

Security listed and admitted to dealings - BGLOBAL

 

The equity shares of the following Company shall be listed and admitted to dealings on the Exchange w.e.f. July 28, 2011. Trading shall be in the Normal Market segment – Compulsory Demat (Rolling Settlement) for all investors.

 

Sr. No.

Symbol

Name of the Company

ISIN Code

1

BGLOBAL

Bharatiya Global Infomedia Limited

INE224M01013

 


Press Release No. 3

NSE completes its 2854th Normal Settlement

 

The Exchange has successfully completed its 2854th Normal Settlement (Rolling T+2 following SEBI directive) since inception i.e., Settlement Number N – 2011140 on Jul 26, 2011. The settlement statistics are as follows:     

 

Particulars
Value

 

N-2011140

Total traded quantity (lakhs)

6044.34

Total traded value (Rs. In Crores)

11630.26

Total value of the settlement (Securities) (Rs. In Crores)

3396.43

Total value of the settlement (Funds) (Rs. In Crores)

1037.08

Shortages for the settlement

0.38%

% of  Delivery ( No. of shares deliverable / No. of shares traded )

29.34%


Retail Debt Market has completed its 2127th settlements, details of which are as follows:

 

Settlement No.

Traded Value

Settlement Value

 

 

Securities

Funds

D- 2011140

NIL

NIL

NIL