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10-Feb-2023 | 82.5475

08-Feb-2023

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Settlement Schedule


The settlement of trades is on T+1 working day basis.

Members with a funds pay-in obligation are required to have clear funds in their primary clearing account on or before 09.00 a.m. on the settlement day. The payout of funds is credited to the primary clearing account of the members thereafter.

Updated on: 27/01/2023