Circular regarding validation of instructions for Pay-In of Securities from client demat account to Trading Member(TM) Pool Account against obligations received from the clearing corporations(dated-19.09.2022)-SEBI.
View PdfCircular regarding validation of instructions for Pay-In of Securities from client demat account to Trading Member(TM) Pool Account against obligations received from the clearing corporations(dated-19.09.2022)-SEBI.
- This circular shall be applicable with effect from November 25, 2022, refer attachment for further details.