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 |