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Settlements are made according to settlement rules set by the regulatory bodies and other authorities |
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When selling shares all categories are settled on T+0 |
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For settlement of purchased shares, the following are applicable |
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For categories A, B, G, N; shares are settled on T+2 (considering the day of trade being T+0) |
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Purchase of Z category shares are settled on T+3 |
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During the Spot Trade of any category the transactions are settled in T+1 |