�
Press
Release No. 1
NSCCL
Rated �CCR AAA� for third consecutive year
For third
consecutive year CRISIL has assigned its highest corporate credit rating of
�CCR AAA� to the National Securities Clearing Corporation Ltd (NSCCL). 'CCR AAA'
rating indicates highest degree of strength with regard to honouring debt
obligations. As per
CRISIL has
further stated that NSCCL�s risk management system is comprehensive, and is
regularly upgraded to pre-empt market failures. The company addresses risks in
clearing and settlement with its stringent norms for selection of members,
robust margining system, and risk-based position limits and surveillance
mechanism.
Press
Release No. 2
Security listed & admitted to
dealings �
The
equity shares of the following bank shall be listed and admitted to dealings on
the Exchange w.e.f.
Sr. No. |
Symbol |
Name of the Company |
ISIN Code |
1 |
|
PUNJAB & SIND BANK |
INE608A01012 |
Press
Release No. 3
Security listed & admitted to
dealings � AGRE
The equity
shares of the following company shall be listed and admitted to dealings
on the Exchange w.e.f.
Sr. No. |
Symbol |
Series |
Name of the Company |
ISIN Code |
1 |
AGRE |
EQ* |
Agre
Developers Limited |
INE360L01017 |
*Currently
the securities shall be available for trading in Series 'BE' and subsequently
be shifted to Series 'EQ' as per SEBI circular no. SEBI/Cir/ISD/1/2010 dated
Press
Release No. 4
NSE completes its 2710th
Normal Settlement
The Exchange has successfully completed its 2710th Normal Settlement (Rolling T+2 following SEBI directive)
since inception i.e., Settlement Number N � 2010247 on
Particulars
|
Values
|
|
N-2010247
|
Total traded quantity (lakhs) |
5240.24 |
Total traded value (Rs. In Crores) |
9319.75 |
Total value of the settlement (Securities) (Rs. In Crores) |
2085.27 |
Total value of the settlement (Funds) (Rs. In Crores) |
635.15 |
Shortages for the settlement
|
0.14% |
%� of� Delivery ( No. of shares deliverable / No.
of shares traded ) |
22.83% |
Retail Debt
Market has completed its 1983rd settlement, details of which are as
follows:
Settlement No. |
Traded Value |
Settlement Value |
|
|
|
Securities |
Funds |
D- 2010247 |
NIL |
NIL |
NIL |