| 24/02/2026 |
sub |
Clearing |
sub |
|
|
| 24/02/2026 |
NCCL/CLEARING-005/2026 |
HR |
sub |
|
|
| 28/02/2026 |
NCCL/MEMBERSHIP-008/2025 |
Risk Management |
sub |
|
|
| 25/02/2026 |
NCCL/MEMBERSHIP-008/2025 |
Risk Management |
Test Circulars |
|
|
| 24/02/2026 |
NCCL/MEMBERSHIP-008/2025 |
Member Inspection |
sub |
|
|
| 27/02/2026 |
NCCL/CLEARING-013/2026 |
Clearing |
Final Settlement Price of contracts expired on February 27, 2026 |
|
|
| 27/02/2026 |
NCCL/CLEARING-012/2026 |
Clearing |
Settlement Price of Options on Futures contract expired on February 27, 2026 |
|
|
| 27/02/2026 |
NCCL/CLEARING-011/2026 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in March 2026 |
|
|
| 24/02/2026 |
NCCL/RISK-010/2026 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 24/02/2026 |
NCCL/RISK-009/2026 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 24/02/2026 |
NCCL/RISK-008/2026 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 23/02/2026 |
NCCL/CLEARING-010/2026 |
Clearing |
Margin benefit on Early pay-in of commodities |
|
|
| 23/02/2026 |
NCCL/LOGISTICS-001/2026 |
Logistics |
Physical withdrawal of Goods post Exchange Deliverable Date (EDD) |
|
|
| 20/02/2026 |
NCCL/CLEARING-009/2026 |
Clearing |
Final Settlement Price of Futures contracts expired on February 20, 2026 |
|
|
| 19/02/2026 |
NCCL/MEMBERSHIP-001/2026 |
Membership |
Forms for Registration of Stock Brokers and Clearing Members |
|
|
| 19/02/2026 |
NCCL/TECHNOLOGY-005/2026 |
Technology |
System Testing Mock on February 21, 2026 |
|
|
| 13/02/2026 |
NCCL/TECHNOLOGY-004/2026 |
Technology |
System Testing Mock on February 14, 2026 |
|
|
| 12/02/2026 |
NCCL/RISK-007/2026 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 11/02/2026 |
NCCL/TECHNOLOGY-003/2026 |
Technology |
System Testing Mock on February 14, 2026 |
|
|
| 05/02/2026 |
NCCL/TECHNOLOGY-002/2026 |
Technology |
Contingency Mock on February 07, 2026 |
|
|
| 03/02/2026 |
NCCL/RISK-006/2026 |
Risk Management |
Spread margin benefit in a commodity complex |
|
|
| 30/01/2026 |
NCCL/CLEARING-008/2026 |
Clearing |
Settlement Price of Options on Futures contract expired on January 30, 2026 |
|
|
| 30/01/2026 |
NCCL/CLEARING-007/2026 |
Clearing |
Final Settlement Price of contracts expired on January 30, 2026 |
|
|
| 29/01/2026 |
NCCL/RISK-005/2026 |
Risk Management |
Corrigendum - Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 28/01/2026 |
NCCL/CLEARING-006/2026 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in Feb 2026 |
|
|
| 23/01/2026 |
NCCL/INSPECTION-002/2026 |
Member Inspection |
Schedule of Client Collateral Segregation Reporting on account of Special Live Trading Session on Sunday, February 01, 2026 |
|
|
| 23/01/2026 |
NCCL/RISK-004/2026 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 23/01/2026 |
NCCL/RISK-003/2026 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 23/01/2026 |
NCCL/RISK-002/2026 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/01/2026 |
NCCL/CLEARING-005/2026 |
Clearing |
Final Settlement Price of Futures contracts expired on January 20, 2026 |
|
|
| 20/01/2026 |
NCCL/CLEARING-004/2026 |
Clearing |
Introduction of new functionality for Cash addition in NCFE - Request from Clearing Member to Clearing Bank |
|
|
| 20/01/2026 |
NCCL/CLEARING-003/2026 |
Clearing |
Funds pay-in and pay-out of trades of February 01, 2026 |
|
|
| 16/01/2026 |
NCCL/INSPECTION-001/2026 |
Member Inspection |
Guidelines for appointment of Internal Auditors by all Clearing Members (PCM, STCM and TCM for clearing activities) |
|
|
| 16/01/2026 |
NCCL/TECHNOLOGY-001/2026 |
Technology |
System Testing Mock on January 17, 2026 |
|
|
| 12/01/2026 |
NCCL/CLEARING-002/2026 |
Clearing |
Settlement holiday on January 15, 2026 on account of Municipal Corporation Elections in Maharashtra |
|
|
| 12/01/2026 |
NCCL/CLEARING-001/2026 |
Clearing |
Settlement Price of Options on Futures contract expired on January 12, 2026 |
|
|
| 09/01/2026 |
NCCL/RISK-001/2026 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 31/12/2025 |
NCCL/CLEARING-083/2025 |
Clearing |
Final Settlement Price of contracts expired on December 31, 2025 |
|
|
| 31/12/2025 |
NCCL/TECHNOLOGY-024/2025 |
Technology |
Contingency Mock on January 03, 2026 |
|
|
| 31/12/2025 |
NCCL/MEMBERSHIP-012/2025 |
Membership |
Extension for Submission of Annual Returns for Financial Year 2024-25 |
|
|
| 30/12/2025 |
NCCL/MEMBERSHIP-011/2025 |
Membership |
Waiver of Admission Fees for New Membership |
|
|
| 30/12/2025 |
NCCL/CLEARING-082/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in January 2026 |
|
|
| 26/12/2025 |
NCCL/CLEARING-081/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on December 26, 2025 |
|
|
| 26/12/2025 |
NCCL/CLEARING-080/2025 |
Clearing |
Acceptance of Bank Guarantee in electronic form |
|
|
| 24/12/2025 |
NCCL/RISK-058/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 24/12/2025 |
NCCL/RISK-057/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 24/12/2025 |
NCCL/RISK-056/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 22/12/2025 |
NCCL/CLEARING-079/2025 |
Clearing |
Settlement holidays for the Calendar year 2026 |
|
|
| 22/12/2025 |
NCCL/CLEARING-078/2025 |
Clearing |
Release of collateral |
|
|
| 19/12/2025 |
NCCL/CLEARING-077/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on December 19, 2025 |
|
|
| 18/12/2025 |
NCCL/CLEARING-076/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on December 18, 2025 |
|
|
| 18/12/2025 |
NCCL/MEMBERSHIP-010/2025 |
Membership |
Reminder- Submission of Annual Return for the Financial Year 2024-25 |
|
|
| 17/12/2025 |
NCCL/TECHNOLOGY-023/2025 |
Technology |
System Testing Mock on December 20, 2025 |
|
|
| 15/12/2025 |
NCCL/COMPLIANCE-005/2025 |
Compliance |
Provisions relating to Strengthening Governance of Market Infrastructure Institutions (MIIs) |
|
|
| 11/12/2025 |
NCCL/CLEARING-075/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on December 11, 2025 |
|
|
| 11/12/2025 |
NCCL/TECHNOLOGY-022/2025 |
Technology |
System Testing Mock on December 13, 2025 |
|
|
| 10/12/2025 |
NCCL/CLEARING-074/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on December 10, 2025 |
|
|
| 08/12/2025 |
NCCL/RISK-055/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 05/12/2025 |
NCCL/TECHNOLOGY-021/2025 |
Technology |
Contingency Mock on December 06, 2025 |
|
|
| 28/11/2025 |
NCCL/CLEARING-073/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on November 28, 2025 |
|
|
| 28/11/2025 |
NCCL/CLEARING-072/2025 |
Clearing |
Final Settlement Price of contracts expired on November 28, 2025 |
|
|
| 28/11/2025 |
NCCL/CLEARING-071/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in December 2025 |
|
|
| 25/11/2025 |
NCCL/MEMBERSHIP-009/2025 |
Membership |
Reminder for Submission of Half Yearly Net worth Certificate as on September 30, 2025 |
|
|
| 25/11/2025 |
NCCL/MEMBERSHIP-008/2025 |
Membership |
Telecom Regulatory Authority of India (TRAI) Direction dated 18.11.2025 โ regarding measures to curb misuse of Headers and Content Templates under Telecom Commercial Communications Customer Preference Regulations, 2018 (6 of 2018) |
|
|
| 24/11/2025 |
NCCL/RISK-054/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 24/11/2025 |
NCCL/RISK-053/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 24/11/2025 |
NCCL/RISK-052/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 21/11/2025 |
NCCL/INSPECTION-012/2025 |
Member Inspection |
Reminder for Submission of Half Yearly Internal Audit Report by all Clearing Members (TCM, STCM & PCM) for half year ended September 30, 2025 |
|
|
| 20/11/2025 |
NCCL/CLEARING-070/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on November 20, 2025 |
|
|
| 12/11/2025 |
NCCL/CLEARING-069/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on November 12, 2025 |
|
|
| 12/11/2025 |
NCCL/TECHNOLOGY-020/2025 |
Technology |
Contingency Mock on November 15, 2025 |
|
|
| 07/11/2025 |
NCCL/CLEARING-068/2025 |
Clearing |
Margin benefit on Early pay-in of commodities |
|
|
| 07/11/2025 |
NCCL/RISK-051/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 07/11/2025 |
NCCL/INSPECTION-011/2025 |
Member Inspection |
Reminder for Submission of Half Yearly Internal Audit Report by all Clearing Members (TCM, STCM & PCM) for half year ended September 30, 2025. |
|
|
| 06/11/2025 |
NCCL/TECHNOLOGY-019/2025 |
Technology |
Mock Trading with Primary DR Site Failover on November 08, 2025 |
|
|
| 31/10/2025 |
NCCL/MEMBERSHIP-007/2025 |
Membership |
Extension for submission of Annual Return for FY 2024-25 |
|
|
| 31/10/2025 |
NCCL/CLEARING-067/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on October 31, 2025 |
|
|
| 31/10/2025 |
NCCL/CLEARING-066/2025 |
Clearing |
Final Settlement Price of contracts expired on October 31, 2025 |
|
|
| 30/10/2025 |
NCCL/TECHNOLOGY-018/2025 |
Technology |
Mock Trading with Primary DR Site Failover on November 01, 2025 |
|
|
| 30/10/2025 |
NCCL/CLEARING-065/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in November 2025 |
|
|
| 29/10/2025 |
NCCL/RISK-050/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 27/10/2025 |
NCCL/MEMBERSHIP-006/2025 |
Membership |
Submission of Half Yearly Net worth Certificate as on September 30, 2025 |
|
|
| 24/10/2025 |
NCCL/RISK-048/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 24/10/2025 |
NCCL/RISK-049/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 24/10/2025 |
NCCL/RISK-047/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 24/10/2025 |
NCCL/TECHNOLOGY-017/2025 |
Technology |
System Testing Mock on October 25, 2025 |
|
|
| 17/10/2025 |
NCCL/CLEARING-064/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on October 17, 2025 |
|
|
| 10/10/2025 |
NCCL/CLEARING-063/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on October 10, 2025 |
|
|
| 10/10/2025 |
NCCL/INSPECTION-010/2025 |
Member Inspection |
Submission of Half Yearly Internal Audit Report by Clearing Member (for half year ended September 30, 2025 for PCM, STCM and TCM). |
|
|
| 09/10/2025 |
NCCL/MEMBERSHIP-005/2025 |
Membership |
Submission of Annual Returns FY 2024-25 |
|
|
| 09/10/2025 |
NCCL/TECHNOLOGY-016/2025 |
Technology |
System Testing Mock on October 11, 2025 |
|
|
| 03/10/2025 |
NCCL/INSPECTION-009/2025 |
Member Inspection |
Reporting of Collateral Segregation Data for Muhurat Trading Session on account of Diwali on October 21, 2025 |
|
|
| 03/10/2025 |
NCCL/TECHNOLOGY-015/2025 |
Technology |
System Testing Mock on October 04,2025 |
|
|
| 01/10/2025 |
NCCL/COMPLIANCE-004/2025 |
Compliance |
Compliance with directives issued by Telecom Regulatory Authority of India (TRAI) |
|
|
| 30/09/2025 |
NCCL/CLEARING-062/2025 |
Clearing |
Final Settlement Price of contracts expired on September 30, 2025 |
|
|
| 30/09/2025 |
NCCL/CLEARING-061/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in October 2025 |
|
|
| 26/09/2025 |
NCCL/TECHNOLOGY-014/2025 |
Technology |
Mock Trading with Primary DR Site Failover on September 27,2025 |
|
|
| 25/09/2025 |
NCCL/CLEARING-059/2025 |
Clearing |
Release of collateral |
|
|
| 25/09/2025 |
NCCL/CLEARING-058/2025 |
Clearing |
Settlement schedule and client collateral allocation on account of Muhurat Trading Session |
|
|
| 24/09/2025 |
NCCL/RISK-046/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 24/09/2025 |
NCCL/RISK-045/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 24/09/2025 |
NCCL/RISK-044/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 19/09/2025 |
NCCL/CLEARING-057/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on September 19, 2025 |
|
|
| 19/09/2025 |
NCCL/TECHNOLOGY-013/2025 |
Technology |
System Testing Mock on September 20, 2025 |
|
|
| 15/09/2025 |
NCCL/CLEARING-056/2025 |
Clearing |
Change in collateral formats |
|
|
| 11/09/2025 |
NCCL/CLEARING-055/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on September 11, 2025 |
|
|
| 11/09/2025 |
NCCL/TECHNOLOGY-012/2025 |
Technology |
Mock Trading with Primary DR Site Failover on September 13, 2025 |
|
|
| 08/09/2025 |
NCCL/CLEARING-054/2025 |
Clearing |
Clarification on changes in settlement schedule for September 2025 |
|
|
| 08/09/2025 |
NCCL/RISK-043/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 04/09/2025 |
NCCL/CLEARING-053/2025 |
Clearing |
Change in Settlement Schedule - September 2025 |
|
|
| 04/09/2025 |
NCCL/RISK-042/2025 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 04/09/2025 |
NCCL/TECHNOLOGY-011/2025 |
Technology |
System Testing Mock on September 06, 2025 |
|
|
| 29/08/2025 |
NCCL/CLEARING-052/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on August 29, 2025 |
|
|
| 29/08/2025 |
NCCL/CLEARING-051/2025 |
Clearing |
Final Settlement Price of contracts expired on August 29, 2025 |
|
|
| 29/08/2025 |
NCCL/RISK-041/2025 |
Risk Management |
Primary Contribution and Non-Defaulter Contribution by Clearing Members |
|
|
| 28/08/2025 |
NCCL/CLEARING-050/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in Sep 2025 |
|
|
| 22/08/2025 |
NCCL/RISK-040/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 22/08/2025 |
NCCL/RISK-039/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 22/08/2025 |
NCCL/RISK-038/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 22/08/2025 |
NCCL/CLEARING-049/2025 |
Clearing |
Change in collateral formats |
|
|
| 21/08/2025 |
NCCL/CLEARING-048/2025 |
Clearing |
Change in CL01 and CL02 collateral reports |
|
|
| 21/08/2025 |
NCCL/TECHNOLOGY-010/2025 |
Technology |
System Testing Mock on August 23, 2025 |
|
|
| 20/08/2025 |
NCCL/CLEARING-047/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on August 20, 2025 |
|
|
| 13/08/2025 |
NCCL/COMPLIANCE-003/2025 |
Compliance |
i. Process for appointment, re-appointment, termination or acceptance of
resignation of specific Key Management Personnel (KMPs) of a Market
Infrastructure Institutions (MII); and
ii. Cooling-off period for KMPs of an MII joining a competing MII
|
|
|
| 13/08/2025 |
NCCL/INSPECTION-008/2025 |
Member Inspection |
Ease of doing business (EODB) - Policy for joint annual inspection by MIIs โ information sharing mechanismโ action by Lead MII |
|
|
| 11/08/2025 |
NCCL/CLEARING-046/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on August 11, 2025 |
|
|
| 08/08/2025 |
NCCL/ENFORCEMENT-001/2025 |
Enforcement |
Review, Appeal or Waiver of penalty requests emanating out of actions taken by the Member Committee |
|
|
| 08/08/2025 |
NCCL/CLEARING-045/2025 |
Clearing |
Revision in service charges on Pledge of Securities and Commodities through Pledge / Re-pledge Mechanism |
|
|
| 06/08/2025 |
NCCL/TECHNOLOGY-009/2025 |
Technology |
System Testing Mock on August 09, 2025 |
|
|
| 04/08/2025 |
NCCL/RISK-037/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 04/08/2025 |
NCCL/LEGAL-003/2025 |
Legal |
Amendments to the Rules & Bye laws of NCCL pursuant to SEBIโs no objection letter dated June 12, 2025 |
|
|
| 31/07/2025 |
NCCL/CLEARING-044/2025 |
Clearing |
Final Settlement Price of contracts expired on July 31, 2025 |
|
|
| 30/07/2025 |
NCCL/TECHNOLOGY-008/2025 |
Technology |
Contingency Mock on August 02, 2025 |
|
|
| 29/07/2025 |
NCCL/CLEARING-043/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in August 2025 |
|
|
| 25/07/2025 |
NCCL/CLEARING-042/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on July 25, 2025 |
|
|
| 24/07/2025 |
NCCL/RISK-036/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 24/07/2025 |
NCCL/RISK-035/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 24/07/2025 |
NCCL/RISK-034/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 18/07/2025 |
NCCL/CLEARING-041/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on July 18, 2025 |
|
|
| 17/07/2025 |
NCCL/TECHNOLOGY-007/2025 |
Technology |
Mock Trading with Primary DR Site Failover on July 19, 2025 |
|
|
| 10/07/2025 |
NCCL/CLEARING-040/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on July 10, 2025 |
|
|
| 10/07/2025 |
NCCL/TECHNOLOGY-006/2025 |
Technology |
Mock Trading with Primary DR Site Failover on July 12, 2025 |
|
|
| 07/07/2025 |
NCCL/CLEARING-039/2025 |
Clearing |
Addendum - Framework for Determination of Final Settlement Price (FSP) in case of Unavailability of Polled Spot Price on Expiry Day |
|
|
| 04/07/2025 |
NCCL/TECHNOLOGY-005/2025 |
Technology |
Contingency Mock on July 05, 2025 |
|
|
| 02/07/2025 |
NCCL/RISK-033/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 30/06/2025 |
NCCL/CLEARING-038/2025 |
Clearing |
Final Settlement Price of contracts expired on June 30, 2025 |
|
|
| 27/06/2025 |
NCCL/CLEARING-037/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on June 27, 2025 |
|
|
| 27/06/2025 |
NCCL/CLEARING-036/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in July 2025 |
|
|
| 25/06/2025 |
NCCL/TECHNOLOGY-004/2025 |
Technology |
System Testing Mock on June 28, 2025 |
|
|
| 25/06/2025 |
NCCL/CLEARING-035/2025 |
Clearing |
Release of collateral |
|
|
| 24/06/2025 |
NCCL/RISK-032/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 24/06/2025 |
NCCL/RISK-031/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 24/06/2025 |
NCCL/RISK-030/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 20/06/2025 |
NCCL/CLEARING-034/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on June 20, 2025 |
|
|
| 20/06/2025 |
NCCL/TECHNOLOGY-003/2025 |
Technology |
System Testing Mock on June 21, 2025 |
|
|
| 12/06/2025 |
NCCL/CLEARING-033/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on June 12, 2025 |
|
|
| 12/06/2025 |
NCCL/TECHNOLOGY- 002/2025 |
Technology |
Contingency Mock on June 14, 2025 |
|
|
| 09/06/2025 |
NCCL/RISK-029/2025 |
Risk Management |
Lean Period in Agricultural Commodities |
|
|
| 09/06/2025 |
NCCL/RISK-028/2025 |
Risk Management |
Concentration Margin โ Revision in Threshold Levels |
|
|
| 04/06/2025 |
NCCL/CLEARING-032/2025 |
Clearing |
Margin obligations to be given by way of Pledge Re-pledge in the Depository system |
|
|
| 03/06/2025 |
NCCL/RISK-027/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 30/05/2025 |
NCCL/CLEARING-031/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on May 30, 2025 |
|
|
| 30/05/2025 |
NCCL/CLEARING-030/2025 |
Clearing |
Final Settlement Price of contracts expired on May 30, 2025 |
|
|
| 28/05/2025 |
NCCL/CLEARING-029/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in June 2025 |
|
|
| 26/05/2025 |
NCCL/MEMBERSHIP-004/2025 |
Membership |
Reminder- Submission of Half Yearly Net worth Certificate as on March 31, 2025 |
|
|
| 26/05/2025 |
NCCL/INSPECTION-007/2025 |
Member Inspection |
Reminder for Submission of Half Yearly Internal Audit Report by Clearing Members (TCM, STCM & PCM) for half year ended March 31, 2025 & September 30, 2024 only for TCM. |
|
|
| 26/05/2025 |
NCCL/COMPLIANCE-002/2025 |
Compliance |
Norms for Internal Audit Mechanism and composition of the Audit Committee of Market Infrastructure Institutions |
|
|
| 23/05/2025 |
NCCL/RISK-026/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 23/05/2025 |
NCCL/RISK-025/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 23/05/2025 |
NCCL/RISK-024/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 20/05/2025 |
NCCL/CLEARING-028/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on May 20, 2025 |
|
|
| 16/05/2025 |
NCCL/INSPECTION 006/2025 |
Member Inspection |
Reminder for Submission of Half Yearly Internal Audit Report by Clearing Members (TCM, STCM & PCM) for half year ended March 31, 2025 & September 30, 2024 only for TCM. |
|
|
| 12/05/2025 |
NCCL/CLEARING-027/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on May 12, 2025 |
|
|
| 09/05/2025 |
NCCL/TECHNOLOGY- 001/2025 |
Technology |
Advisory on Cyber Security preparedness for current Geo-Political Development |
|
|
| 09/05/2025 |
NCCL/RISK-023/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 30/04/2025 |
NCCL/CLEARING-026/2025 |
Clearing |
Final Settlement Price of contracts expired on April 30, 2025 |
|
|
| 29/04/2025 |
NCCL/RISK -022/2025 |
Risk Management |
Master Circular - Risk Management |
|
|
| 29/04/2025 |
NCCL/RISK-021/2025 |
Risk Management |
Format of Report downloads - Risk Management |
|
|
| 28/04/2025 |
NCCL/INSPECTION-005/2025 |
Member Inspection |
System Audit of Professional Clearing Members (PCMs) |
|
|
| 28/04/2025 |
NCCL/INSPECTION-004/2025 |
Member Inspection |
Master Circular - Inspection |
|
|
| 28/04/2025 |
NCCL/MEMBERSHIP-003/2025 |
Membership |
Master Circular - Membership |
|
|
| 28/04/2025 |
NCCL/CLEARING-025/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in May 2025 |
|
|
| 25/04/2025 |
NCCL/CLEARING-024/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on April 25, 2025 |
|
|
| 24/04/2025 |
NCCL/RISK-020/2025 |
Risk Management |
Scheme of deposit for acceptance of Commodities as Additional Base Capital |
|
|
| 23/04/2025 |
NCCL/RISK-019/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 23/04/2025 |
NCCL/RISK-018/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 23/04/2025 |
NCCL/RISK-017/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 23/04/2025 |
NCCL/CLEARING-023/2025 |
Clearing |
Acceptance of Bank Guarantee in electronic form |
|
|
| 17/04/2025 |
NCCL/CLEARING-022/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on April 17, 2025 |
|
|
| 16/04/2025 |
NCCL/MEMBERSHIP- 002/2025 |
Membership |
Submission of Half Yearly Net worth Certificate as on March 31, 2025 |
|
|
| 15/04/2025 |
NCCL/CLEARING-021/2025 |
Clearing |
Format of Report downloads for Clearing and Settlement |
|
|
| 15/04/2025 |
NCCL/LEGAL- 002/2025 |
Legal |
Inviting public comments on amendments to Rules & Bye Laws of the National Commodity Clearing Limited (NCCL) |
|
|
| 11/04/2025 |
NCCL/INSPECTION-003/2025 |
Member Inspection |
Submission of Half Yearly Internal Audit Report by Clearing Member (for half year ended March 31, 2025 PCM, STCM and TCM) and for half year ended September 30, 2024 only for TCM |
Resource Not Found |
|
| 09/04/2025 |
NCCL/CLEARING-020/2025 |
Clearing |
Master Circular - Collateral Formats |
|
|
| 09/04/2025 |
NCCL/CLEARING-019/2025 |
Clearing |
Master Circular - Clearing & Settlement |
|
|
| 09/04/2025 |
NCCL/LOGISTICS-001/2025 |
Logistics |
Master Circular- Warehousing Operations |
|
|
| 07/04/2025 |
NCCL/CLEARING-018/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on April 07, 2025 |
|
|
| 19/03/2025 |
NCCL/CLEARING-011/2025 |
Clearing |
Change in Collateral Formats
|
|
|
| 03/04/2025 |
NCCL/CLEARING-017/2025 |
Clearing |
Change in collateral formats |
|
|
| 02/04/2025 |
NCCL/RISK-016/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 01/04/2025 |
NCCL/LEGAL-001/2025 |
Legal |
Amendments to the Rules & Bye laws of NCCL pursuant to SEBIโs no objection letter dated February 12, 2025 |
|
|
| 28/03/2025 |
NCCL/CLEARING-016/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on March 28, 2025 |
|
|
| 28/03/2025 |
NCCL/CLEARING-015/2025 |
Clearing |
Final Settlement Price of contracts expired on March 28, 2025 |
|
|
| 27/03/2025 |
NCCL/CLEARING-014/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in April 2025 |
|
|
| 25/03/2025 |
NCCL/CLEARING-013/2025 |
Clearing |
Release of collateral |
|
|
| 21/03/2025 |
NCCL/RISK-015/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 21/03/2025 |
NCCL/RISK-014/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 21/03/2025 |
NCCL/RISK-013/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 20/03/2025 |
NCCL/CLEARING-012/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on March 20, 2025 |
|
|
| 17/03/2025 |
NCCL/CLEARING-010/2025 |
Clearing |
Acceptance of Bank Guarantee in electronic form |
|
|
| 12/03/2025 |
NCCL/MEMBERSHIP- 001/2025 |
Membership |
Corrigendum to Membership Master Circular dated April 23, 2024 |
|
|
| 11/03/2025 |
NCCL/CLEARING-009/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on March 11, 2025 |
|
|
| 11/03/2025 |
NCCL/INSPECTION-002/2025 |
Member Inspection |
Guidelines for appointment of internal Auditors by all Clearing Members (PCM, STCM and TCM for clearing activities) |
|
|
| 10/03/2025 |
NCCL/RISK-012/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 06/03/2025 |
NCCL/RISK-011/2025 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 28/02/2025 |
NCCL/CLEARING-008/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on February 28, 2025 |
|
|
| 28/02/2025 |
NCCL/CLEARING-007/2025 |
Clearing |
Final Settlement Price of contracts expired on February 28, 2025 |
|
|
| 27/02/2025 |
NCCL/CLEARING-006/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in March 2025 |
|
|
| 21/02/2025 |
NCCL/RISK-010/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 21/02/2025 |
NCCL/RISK-009/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 21/02/2025 |
NCCL/RISK-008/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 20/02/2025 |
NCCL/CLEARING-005/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on February 20, 2025 |
|
|
| 13/02/2025 |
NCCL/RISK-007/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 05/02/2025 |
NCCL/COMPLIANCE-001/2025 |
Compliance |
Parameters for external evaluation of Performance of Statutory Committees of Market Infrastructure Institutions (MIIs); and Mechanism for internal evaluation of Performance of MIIs and its Statutory Committees |
|
|
| 31/01/2025 |
NCCL/CLEARING-004/2025 |
Clearing |
Settlement Price of Options on Futures contract expired on January 31, 2025 |
|
|
| 31/01/2025 |
NCCL/CLEARING-003/2025 |
Clearing |
Final Settlement Price of contracts expired on January 31, 2025 |
|
|
| 29/01/2025 |
NCCL/CLEARING-002/2025 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in February 2025 |
|
|
| 28/01/2025 |
NCCL/INSPECTION-001/2025 |
Member Inspection |
Schedule of Client Collateral Segregation Reporting on account of Special Live Trading Session on Saturday, February 01, 2025 |
|
|
| 24/01/2025 |
NCCL/RISK-006/2025 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 24/01/2025 |
NCCL/RISK-005/2025 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 24/01/2025 |
NCCL/RISK-004/2025 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 20/01/2025 |
NCCL/CLEARING-001/2025 |
Clearing |
Final Settlement Price of Futures contracts expired on January 20, 2025 |
|
|
| 08/01/2025 |
NCCL/RISK-003/2025 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 02/01/2025 |
NCCL/RISK-002/2025 |
Risk Management |
Withdrawal of spread margin benefit in Commodity Complex |
|
|
| 01/01/2025 |
NCCL/RISK-001/2025 |
Risk Management |
Volatility Scan Range (VSR) and Short Option Minimum Margin (SOMM) for Options on Spices Complex (Turmeric, Coriander and Jeera) |
|
|
| 31/12/2024 |
NCCL/CLEARING-077/2024 |
Clearing |
Final Settlement Price of contracts expired on December 31, 2024 |
|
|
| 31/12/2024 |
NCCL/CLEARING-076/2024 |
Clearing |
Settlement holidays for the Calendar Year 2025 |
|
|
| 30/12/2024 |
NCCL/CLEARING-075/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in January 2025 |
|
|
| 27/12/2024 |
NCCL/CLEARING-074/2024 |
Clearing |
Settlement Price of Options on Futures contract expired on December 27, 2024 |
|
|
| 24/12/2024 |
NCCL/CLEARING-073/2024 |
Clearing |
Funds payin and payout of trades of February 01, 2025 |
|
|
| 24/12/2024 |
NCCL/CLEARING-072/2024 |
Clearing |
Release of collateral |
|
|
| 24/12/2024 |
NCCL/RISK-072/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 24/12/2024 |
NCCL/RISK-071/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 24/12/2024 |
NCCL/RISK-070/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 23/12/2024 |
NCCL/LEGAL- 003/2024 |
Legal |
Inviting public comments on amendments to Rules & Bye Laws of the National Commodity Clearing Limited (NCCL) |
|
|
| 20/12/2024 |
NCCL/CLEARING-071/2024 |
Clearing |
Final Settlement Price of Futures contracts expired on December 20, 2024 |
|
|
| 13/12/2024 |
NCCL/RISK-069/2024 |
Risk Management |
Approved Banks for acceptance of Bank Guarantee and Fixed Deposits |
|
|
| 09/12/2024 |
NCCL/RISK-068/2024 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 05/12/2024 |
NCCL/RISK-067/2024 |
Risk Management |
Volatility Scan Range (VSR) and Short Option Minimum Margin (SOMM) for Options on Guar Gum Futures Contracts |
|
|
| 05/12/2024 |
NCCL/RISK-066/2024 |
Risk Management |
Margins for Options on Futures Contracts |
|
|
| 02/12/2024 |
NCCL/CLEARING- 070/2024 |
Clearing |
Change in the format of Client Net Effective Deposits reports |
|
|
| 29/11/2024 |
NCCL/CLEARING- 069/2024 |
Clearing |
Settlement Price of Options on Futures contract expired on November 29, 2024 |
|
|
| 29/11/2024 |
NCCL/CLEARING- 068/2024 |
Clearing |
Final Settlement Price of contracts expired on November 29, 2024 |
|
|
| 29/11/2024 |
NCCL/COMPLIANCE- 016/2024 |
Compliance |
Guidelines to Stock Exchanges, Clearing Corporations and Depositories |
|
|
| 27/11/2024 |
NCCL/CLEARING- 067/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in December 2024 |
|
|
| 25/11/2024 |
NCCL/RISK-065/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 25/11/2024 |
NCCL/RISK-064/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 25/11/2024 |
NCCL/RISK-063/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 25/11/2024 |
NCCL/INSPECTION-006/2024 |
Member Inspection |
Reminder for Submission of Half Yearly Internal Audit Report by Clearing Members (STCM & PCM) for half year ended September 30, 2024. |
|
|
| 19/11/2024 |
NCCL/CLEARING- 066/2024 |
Clearing |
Final Settlement Price of Futures contracts expired on November 19, 2024 |
|
|
| 14/11/2024 |
NCCL/RISK-062/2024 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 11/11/2024 |
NCCL/CLEARING- 065/2024 |
Clearing |
Revised Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in November 2024 |
|
|
| 08/11/2024 |
NCCL/CLEARING-064/2024 |
Clearing |
Settlement holiday on November 20, 2024 on account of Assembly Elections in Maharashtra |
|
|
| 31/10/2024 |
NCCL/CLEARING- 063/2024 |
Clearing |
Muhurat Trading Session |
|
|
| 30/10/2024 |
NCCL/CLEARING- 062/2024 |
Clearing |
Final Settlement Price of contracts expired on October 30, 2024 |
|
|
| 30/10/2024 |
NCCL/RISK-061/2024 |
Risk Management |
Scheme of deposit for acceptance of Commodities as Additional Base Capital |
|
|
| 25/10/2024 |
NCCL/CLEARING-060/2024 |
Clearing |
Settlement Price of Options on Futures contract expired on October 25, 2024 |
|
|
| 28/10/2024 |
NCCL/RISK-060/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 28/10/2024 |
NCCL/RISK-059/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 28/10/2024 |
NCCL/RISK-058/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 28/10/2024 |
NCCL/CLEARING- 061/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in November 2024 |
|
|
| 25/10/2024 |
NCCL/CLEARING-059/2024 |
Clearing |
Acceptance of Bank Guarantee in electronic form |
|
|
| 25/10/2024 |
NCCL/INSPECTION-005/2024 |
Member Inspection |
Reporting of Collateral Segregation Data for Muhurat Trading Session on account of Diwali on November 01, 2024. |
|
|
| 23/10/2024 |
NCCL/CLEARING-058/2024 |
Clearing |
Settlement schedule and client collateral allocation on account of Muhurat Trading Session |
|
|
| 22/10/2024 |
NCCL/COMPLIANCE- 015/2024 |
Compliance |
Monitoring Shareholding of Market Infrastructure Institutions (MIIs) |
|
|
| 22/10/2024 |
NCCL/COMPLIANCE- 014/2024 |
Compliance |
Observance of Vigilance Awareness Week from October 28, 2024 โ November 03, 2024 |
|
|
| 18/10/2024 |
NCCL/CLEARING-057/2024 |
Clearing |
Final Settlement Price of Futures contracts expired on October 18, 2024 |
|
|
| 15/10/2024 |
NCCL/CLEARING-056/2024 |
Clearing |
Change in CL01 and CL02 collateral reports |
|
|
| 14/10/2024 |
NCCL/INSPECTION-004/2024 |
Member Inspection |
Submission of Half Yearly Internal Audit Report by Clearing Members (STCM & PCM) for half year ended September 30, 2024. |
|
|
| 14/10/2024 |
NCCL/RISK-057/2024 |
Risk Management |
Pre- Conditions for porting of positions and collaterals of a non-defaulting client/CP/TM in case a of a default by a clearing me |
|
|
| 14/10/2024 |
NCCL/MEMBERSHIP-009/2024 |
Membership |
Submission of Half Yearly Net worth Certificate as on September 30, 2024 |
|
|
| 08/10/2024 |
NCCL/RISK-056/2024 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 07/10/2024 |
NCCL/LOGISTICS-003/2024 |
Logistics |
Verification of the designated weighbridge |
|
|
| 04/10/2024 |
NCCL/INSPECTION-003/2024 |
Member Inspection |
Segregation and Monitoring of Collateral at Client Level |
|
|
| 01/10/2024 |
NCCL/RISK-055/2024 |
Risk Management |
Approved Banks for acceptance of Bank Guarantee and Fixed Deposits |
|
|
| 30/09/2024 |
NCCL/CLEARING-055/2024 |
Clearing |
Final Settlement Price of contracts expired on September 30, 2024 |
|
|
| 27/09/2024 |
NCCL/CLEARING-054/2024 |
Clearing |
Settlement Price of Options on Futures contract expired on September 27, 2024 |
|
|
| 27/09/2024 |
NCCL/CLEARING-053/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in October 2024 |
|
|
| 27/09/2024 |
NCCL/INSPECTION-002/2024 |
Member Inspection |
Clarification on reporting of Segregation and Monitoring of collateral at Client level submission. |
|
|
| 27/09/2024 |
NCCL/COMPLIANCE- 013/2024 |
Compliance |
Parameters for Performance Evaluation of Market Infrastructure Institutions |
|
|
| 26/09/2024 |
NCCL/RISK- 054/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 26/09/2024 |
NCCL/RISK-053/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 26/09/2024 |
NCCL/RISK-052/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 23/09/2024 |
NCCL/CLEARING-052/2024 |
Clearing |
Release of collateral |
|
|
| 20/09/2024 |
NCCL/CLEARING-051/2024 |
Clearing |
Final Settlement Price of Futures contracts expired on September 20, 2024 |
|
|
| 20/09/2024 |
NCCL/Membership-008/2024 |
Membership |
Submission of Annual Returns FY 2023-24 |
|
|
| 16/09/2024 |
NCCL/RISK-051/2024 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 15/09/2024 |
NCCL/CLEARING-050/2024 |
Clearing |
Settlement holidays on September 16, 2024 and September 18, 2024 |
|
|
| 05/09/2024 |
NCCL/RISK-050/2024 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 30/08/2024 |
NCCL/CLEARING-049/2024 |
Clearing |
Final Settlement Price of contracts expired on August 30, 2024 |
|
|
| 30/08/2024 |
NCCL/CLEARING-048/2024 |
Clearing |
Settlement Price of Options on Futures contract expired on August 30, 2024 |
|
|
| 27/08/2024 |
NCCL/CLEARING-047/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in September 2024 |
|
|
| 26/08/2024 |
NCCL/RISK-049/2024 |
Risk Management |
Scheme of deposit for acceptance of Commodities as Additional Base Capital |
|
|
| 23/08/2024 |
NCCL/RISK-048/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 23/08/2024 |
NCCL/RISK-047/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 23/08/2024 |
NCCL/RISK-046/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 22/08/2024 |
NCCL/INSPECTION-001/2024 |
Member Inspection |
Penalty Structure related to provisions of Upstreaming of clientsโ funds by Stock Brokers (SBs) / Clearing Members (CMs) to Clearing Corporations (CCs) and Bank Guarantees (BGs) created out of clientโs funds. |
Resource Not Found |
|
| 21/08/2024 |
NCCL/LEGAL-002/2024 |
Legal |
Amendments to the Rules & Bye laws of pursuant to SEBIโs no objection letter dated July 08, 2024 |
|
|
| 20/08/2024 |
NCCL/CLEARING-046/2024 |
Clearing |
Final Settlement Price of Futures contracts expired on August 20, 2024 |
|
|
| 20/08/2024 |
NCCL/COMPLIANCE- 012/2024 |
Compliance |
System Audit of Professional Clearing Members (PCMs) |
|
|
| 14/08/2024 |
NCCL/MEMBERSHIP-007/2024 |
Membership |
Instructions to Principal Entities under Telecom Commercial Communication Customer Preference Regulations, 2018 โ Measures for prevention Unsolicited Commercial Communications (UCC) |
|
|
| 13/08/2024 |
NCCL/RISK-045/2024 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 07/08/2024 |
NCCL/RISK-044/2024 |
Risk Management |
Revision in Pre-expiry margin on Options on Futures Contracts |
|
|
| 06/08/2024 |
NCCL/RISK-043/2024 |
Risk Management |
Approved Banks for acceptance of Bank Guarantee and Fixed Deposits |
|
|
| 05/08/2024 |
NCCL/RISK-042/2024 |
Risk Management |
Margin Obligations to be given by way of Pledge / Re-pledge of Approved Commodities- List of approved commodities |
|
|
| 01/08/2024 |
NCCL/CLEARING-045/2024 |
Clearing |
Margin Obligations to be given by way of Pledge / Re-pledge of Approved Commodities represented by eNWRs in Repository |
|
|
| 01/08/2024 |
NCCL/CLEARING-044/2024 |
Clearing |
Segregation and Monitoring of Collateral at Client Level |
|
|
| 31/07/2024 |
NCCL/RISK-041/2024 |
Risk Management |
Clearing Banks and Approved Bank for acceptance of Bank Guarantee and Fixed Deposits |
|
|
| 31/07/2024 |
NCCL/CLEARING-043/2024 |
Clearing |
Final Settlement Price of contracts expired on July 31, 2024 |
|
|
| 29/07/2024 |
NCCL/RISK-040/2024 |
Risk Management |
Clearing Banks and Approved Bank for acceptance of Cash, Bank Guarantee and Fixed Deposits |
|
|
| 29/07/2024 |
NCCL/CLEARING-042/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in August 2024 |
|
|
| 26/07/2024 |
NCCL/CLEARING-041/2024 |
Clearing |
Settlement Price of Options on Futures contract expired on July 26, 2024 |
|
|
| 25/07/2024 |
NCCL/RISK-039/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 25/07/2024 |
NCCL/RISK-038/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 25/07/2024 |
NCCL/RISK-037/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 24/07/2024 |
NCCL/MEMBERSHIP-006/2024 |
Membership |
Submission of Group of Associate details by Clearing Members |
|
|
| 23/07/2024 |
NCCL/MEMBERSHIP-005/2024 |
Membership |
Charges levied by Market Infrastructure Institutions โ True to Label |
|
|
| 22/07/2024 |
NCCL/CLEARING-040/2024 |
Clearing |
Instruction marking timings for Options on Futures contracts |
|
|
| 19/07/2024 |
NCCL/CLEARING-039/2024 |
Clearing |
Final Settlement Price of Futures contracts expired on July 19, 2024 |
|
|
| 19/07/2024 |
NCCL/CLEARING-038/2024 |
Clearing |
Acceptance of Bank Guarantee in electronic form |
|
|
| 15/07/2024 |
NCCL/COMPLIANCE- 011/2024 |
Compliance |
Statutory Committees at Market Infrastructure Institutions (MIIs) |
|
|
| 12/07/2024 |
NCCL/COMPLIANCE- 010/2024 |
Compliance |
System Audit of Professional Clearing Members (PCMs) - Extension of timeline |
|
|
| 11/07/2024 |
NCCL/RISK-036/2024 |
Risk Management |
Standardization of Clearing Corporation to Member Interface files in Unified Distilled File Formats (UDiFF) |
|
|
| 05/07/2024 |
NCCL/RISK-035/2024 |
Risk Management |
Standardization of Clearing Corporation to Member Interface files in Unified Distilled File Formats (UDiFF) |
|
|
| 04/07/2024 |
NCCL/RISK-034/2024 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 03/07/2024 |
NCCL/CLEARING/037/2024 |
Clearing |
Release of collateral |
|
|
| 28/06/2024 |
NCCL/CLEARING-036/2024 |
Clearing |
Final Settlement Price of contracts expired on June 28, 2024 |
|
|
| 28/06/2024 |
NCCL/CLEARING-035/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contract expiring in July 2024 |
|
|
| 25/06/2024 |
NCCL/RISK-033/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 25/06/2024 |
NCCL/RISK-032/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 25/06/2024 |
NCCL/RISK-031/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 25/06/2024 |
NCCL/FINANCEโ001/2024 |
F&A |
Risk Management Fee โ Options on Futures |
|
|
| 25/06/2024 |
NCCL/CLEARING-034/2024 |
Clearing |
Release of Collateral |
|
|
| 24/06/2024 |
NCCL/COMPLIANCE- 009/2024 |
Compliance |
System Audit of Professional Clearing Members (PCMs) |
|
|
| 24/06/2024 |
NCCL/CLEARING-033/2024 |
Clearing |
Options on Futures โ Clearing & Settlement Procedures |
|
|
| 24/06/2024 |
NCCL/RISK-030/2024 |
Risk Management |
Margins for Options on Guar Seed Futures Contracts |
|
|
| 21/06/2024 |
NCCL/RISK-029/2024 |
Risk Management |
Standardization of Clearing Corporation to Member Interface files in Unified Distilled File Formats (UDiFF) |
|
|
| 21/06/2024 |
NCCL/RISK-028/2024 |
Risk Management |
Revision in Pre-Expiry Margin |
|
|
| 20/06/2024 |
NCCL/CLEARING-032/2024 |
Clearing |
Final Settlement Price of Futures contracts expired on June 20, 2024 |
|
|
| 19/06/2024 |
NCCL/RISK-027/2024 |
Risk Management |
Lean Period in Agricultural Commodities |
|
|
| 19/06/2024 |
NCCL/RISK-026/2024 |
Risk Management |
Concentration Margin โ Revision in Threshold Levels |
|
|
| 18/06/2024 |
NCCL/CLEARING-031/2024 |
Clearing |
Standardization of Clearing Corporation to Member Interface files in Unified Distilled File Formats (UDiFF) |
|
|
| 07/06/2024 |
NCCL/COMPLIANCE- 008/2024 |
Compliance |
Operational guidelines and SOP on Upstreaming of clientsโ funds by Stock Brokers (SBs) / Clearing Members (CMs) to Clearing Corporations (CCs) |
|
|
| 07/06/2024 |
NCCL/COMPLIANCE- 007/2024 |
Compliance |
Discontinuation of weekly Reporting of cash & cash equivalent collateral |
|
|
| 31/05/2024 |
NCCL/CLEARING-030/2024 |
Clearing |
Final Settlement Price of contracts expired on May 31, 2024 |
|
|
| 31/05/2024 |
NCCL/COMPLIANCE- 006/2024 |
Compliance |
Submission of Half Yearly Internal Audit Report by Clearing Members for the half year ended March 31, 2024 - Extension of timeline |
|
|
| 30/05/2024 |
NCCL/RISK-025/2024 |
Risk Management |
Norms for acceptable collaterals and exposure of Clearing Corporations |
|
|
| 30/05/2024 |
NCCL/LOGISTICS-002/2024 |
Logistics |
Modification in requirement of inspection of accredited warehouses by Clearing Corporations |
|
|
| 29/05/2024 |
NCCL/CLEARING-029/2024 |
Clearing |
Revision in collateral allocation cut-off timings |
|
|
| 29/05/2024 |
NCCL/MEMBERSHIP- 004/2024 |
Membership |
Instructions to Principal Entities under Telecom Commercial Communication Customer Preference Regulations, 2018 โ Measures for prevention of Unsolicited Commercial Communications (UCC) |
|
|
| 29/05/2024 |
NCCL/MEMBERSHIP- 003/2024 |
Membership |
Abuse of โSMS Headersโ in Transnational โStock Market Investment Fraud |
|
|
| 28/05/2024 |
NCCL/CLEARING-028/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contracts expiring in June 2024 |
|
|
| 21/09/2023 |
NCCL/RISK-047/2023 |
Risk Management |
Format of Report downloads - Risk Management |
|
|
| 27/05/2024 |
NCCL/CLEARING-027/2024 |
Clearing |
Modification in Staggered Delivery Period in Commodity Futures Contracts |
|
|
| 24/05/2024 |
NCCL/RISK-024/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 24/05/2024 |
NCCL/RISK-023/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 24/05/2024 |
NCCL/RISK-022/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 17/05/2024 |
NCCL/CLEARING-026/2024 |
Clearing |
Final Settlement Price of Futures contracts expired on May 17, 2024 |
|
|
| 19/03/2024 |
NCCL/Compliance- 001/2024 |
Compliance |
Segregation and Monitoring of Collateral at Client Level- Reporting Format |
|
|
| 30/04/2024 |
NCCL/CLEARING-025/2024 |
Clearing |
Final Settlement Price of contracts expired on April 30, 2024 |
|
|
| 30/04/2024 |
NCCL/RISK-021/2024 |
Risk Management |
Format of Report downloads - Risk Management |
|
|
| 29/04/2024 |
NCCL/CLEARING-024/2024 |
Clearing |
Format of Report downloads for Clearing and Settlement |
|
|
| 29/04/2024 |
NCCL/CLEARING-023/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures contracts expiring in May 2024 |
|
|
| 29/04/2024 |
NCCL/CLEARING-022/2024 |
Clearing |
Standardization of Clearing Corporation to Member Interface files in Unified Distilled File Formats (UDiFF) |
|
|
| 26/04/2024 |
NCCL/LEGAL-001/2024 |
Legal |
Inviting public comments on amendments to Rules & Bye Laws of the National Commodity Clearing Limited (NCCL) |
|
|
| 25/04/2024 |
NCCL/COMPLIANCE- 005/2024 |
Compliance |
Segregation and Monitoring of Collateral at Client Level- Reporting Format |
|
|
| 24/04/2024 |
NCCL/RISK-020/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 24/04/2024 |
NCCL/RISK-019/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 24/04/2024 |
NCCL/RISK-018/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 23/04/2024 |
NCCL/MEMBERSHIP/-002/2024 |
Membership |
Master Circular - Membership |
|
|
| 23/04/2024 |
NCCL/COMPLIANCE- 004/2024 |
Compliance |
Submission of Half Yearly Internal Audit Report by Clearing Members for half year ended March 31, 2024 |
|
|
| 23/04/2024 |
NCCL/RISK-017/2024 |
Risk Management |
Master Circular - Risk Management |
|
|
| 19/04/2024 |
NCCL/COMPLIANCE- 003/2024 |
Compliance |
Master Circular โ Inspection |
|
|
| 19/04/2024 |
NCCL/CLEARING-021/2024 |
Clearing |
Final Settlement Price of Futures contracts expired on April 19, 2024 |
|
|
| 18/04/2024 |
NCCL/CLEARING-020/2024 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on April 18, 2024 |
|
|
| 15/04/2024 |
NCCL/Membership- 001/2024 |
Membership |
Submission of Half Yearly Net worth Certificate as on March 31, 2024. |
|
|
| 10/04/2024 |
NCCL/CLEARING-019/2024 |
Clearing |
Settlement holiday on May 20, 2024 |
|
|
| 09/04/2024 |
NCCL/RISK-016/2024 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 08/04/2024 |
NCCL/LOGISTICS-001/2024 |
Logistics |
Master Circular- Warehousing Operations |
|
|
| 08/04/2024 |
NCCL/CLEARING-018/2024 |
Clearing |
Master Circular - Clearing & Settlement |
|
|
| 08/04/2024 |
NCCL/CLEARING-017/2024 |
Clearing |
Master Circular - Collateral Formats |
|
|
| 28/03/2024 |
NCCL/CLEARING-016/2024 |
Clearing |
Final Settlement Price of contracts expired on March 28, 2024 |
|
|
| 28/03/2024 |
NCCL/Compliance- 002/2024 |
Compliance |
Submission of Half-Yearly Internal Audit Report by Clearing Members |
|
|
| 28/03/2024 |
NCCL/CLEARING-015/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in April 2024 |
|
|
| 26/03/2024 |
NCCL/CSG-001/2024 |
CSG |
Introduction of Annual Subscription Charge (ASC) on members availing
API based facility for Collateral Allocation |
|
|
| 22/03/2024 |
NCCL/CLEARING-014/2024 |
Clearing |
Release of collateral |
|
|
| 22/03/2024 |
NCCL/RISK-015/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 22/03/2024 |
NCCL/RISK-014/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 22/03/2024 |
NCCL/RISK-013/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/03/2024 |
NCCL/CLEARING-013/2024 |
Clearing |
Standardization of Clearing Corporation to Member Interface files in Unified Distilled File Formats (UDiFF) |
|
|
| 20/03/2024 |
NCCL/CLEARING-012/2024 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on March 20, 2024 |
|
|
| 18/03/2024 |
NCCL/SECRETARIAL-001/2024 |
Secretarial |
Amendments to the Articles of Association pursuant to SEBIโs approval letter dated January 23, 2024 |
|
|
| 14/03/2024 |
NCCL/CLEARING-011/2024 |
Clearing |
Final Settlement Price of Futures contracts expired on March 14, 2024 |
|
|
| 07/03/2024 |
NCCL/RISK-012/2024 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 06/03/2024 |
NCCL/RISK-011/2024 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 29/02/2024 |
NCCL/CLEARING-010/2024 |
Clearing |
Final Settlement Price of contracts expired on February 29, 2024 |
|
|
| 28/02/2024 |
NCCL/CLEARING-009/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in March 2024 |
|
|
| 26/02/2024 |
NCCL/CLEARING-008/2024 |
Clearing |
Segregation and Monitoring of collateral at Client Level |
|
|
| 23/02/2024 |
NCCL/RISK- 010/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral. |
|
|
| 23/02/2024 |
NCCL/RISK-009/2024 |
Risk Management |
Scheme of deposit for acceptance of Commodities as Additional Base Capital |
|
|
| 23/02/2024 |
NCCL/RISK-008/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 23/02/2024 |
NCCL/RISK-007/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/02/2024 |
NCCL/CLEARING-007/2024 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on February 20, 2024 |
|
|
| 09/02/2024 |
NCCL/RISK-006/2024 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 01/02/2024 |
NCCL/RISK-005/2024 |
Risk Management |
Pre-Expiry Margin โ Jeera (JEERAUNJHA & JEERAMINI) and Turmeric (TMCFGRNZM) |
|
|
| 31/01/2024 |
NCCL/CLEARING-006/2024 |
Clearing |
Final Settlement Price of contracts expired on January 31, 2024 |
|
|
| 30/01/2024 |
NCCL/CLEARING-005/2024 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in February 2024 |
|
|
| 25/01/2024 |
NCCL/RISK- 004/2024 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities
|
|
|
| 25/01/2024 |
NCCL/RISK-003/2024 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral
|
|
|
| 25/01/2024 |
NCCL/RISK- 002/2024 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral. |
|
|
| 19/01/2024 |
NCCL/CLEARING-004/2024 |
Clearing |
Revised Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in January 2024. |
|
|
| 19/01/2024 |
NCCL/CLEARING-003/2024 |
Clearing |
Settlement Holiday on January 22, 2024 on account of Holiday declared under Negotiable Instruments Act. |
|
|
| 19/01/2024 |
NCCL/CLEARING-002/2024 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on January 19, 2024 |
|
|
| 11/01/2024 |
NCCL/RISK-001/2024 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 01/01/2024 |
NCCL/CLEARING-001/2024 |
Clearing |
Acceptance of Fixed Deposit Receipts (FDR) in electronic form |
|
|
| 29/12/2023 |
NCCL/ENFORCEMENT-006/2023 |
Enforcement |
SEBI Order in the matter of M/s Nirmal Bang Commodities Pvt Ltd |
|
|
| 29/12/2023 |
NCCL/CLEARING- 070/2023 |
Clearing |
Final Settlement Price of contracts expired on December 29, 2023 |
|
|
| 28/12/2023 |
NCCL/CLEARING- 069/2023 |
Clearing |
Mechanism to adjust the margins blocked in the form of cash towards client funds pay-in obligations |
|
|
| 28/12/2023 |
NCCL/TECHNOLOGY/- 001/2023 |
Technology |
System testing for mechanism to adjust the margins blocked in the form of cash towards client funds pay-in obligations |
|
|
| 28/12/2023 |
NCCL/CLEARING-068/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in January 2024 |
|
|
| 28/12/2023 |
NCCL/Compliance- 013/2023 |
Compliance |
Uniform penalty structure for Clearing Members
|
|
|
| 26/12/2023 |
NCCL/CLEARING-067/2023 |
Clearing |
Settlement holidays for the Calendar year 2024 |
|
|
| 26/12/2023 |
NCCL/CLEARING-066/2023 |
Clearing |
Release of collateral |
|
|
| 22/12/2023 |
NCCL/RISK-065/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 22/12/2023 |
NCCL/RISK-064/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 22/12/2023 |
NCCL/RISK-063/2023 |
Risk Management |
Approved Securities under Scheme of Deposit - List of Eligible Securities |
|
|
| 20/12/2023 |
NCCL/RISK-062/2023 |
Risk Management |
Principles of Financial Market Infrastructures (PFMIs) |
|
|
| 20/12/2023 |
NCCL/CLEARING-065/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on December 20, 2023 |
|
|
| 19/12/2023 |
NCCL/COMPLIANCE-012/2023 |
Compliance |
Reporting of Reasons for Collateral withdrawal |
|
|
| 13/12/2023 |
NCCL/CLEARING-064/2023 |
Clearing |
Upstreaming of clientsโ funds by Stock Brokers (SBs) / Clearing
Members (CMs) to Clearing Corporations (CCs) |
|
|
| 11/12/2023 |
NCCL/CLEARING-063/2023 |
Clearing |
Standardization of Clearing Corporation to Member Interface files in Unified Distilled File Formats (UDiFF) |
|
|
| 07/12/2023 |
NCCL/RISK-061/2023 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 01/12/2023 |
NCCL/RISK-060/2023 |
Risk Management |
Format of Report downloads - Risk Management |
|
|
| 30/11/2023 |
NCCL/CLEARING-062/2023 |
Clearing |
Final Settlement Price of contracts expired on November 30, 2023 |
|
|
| 28/11/2023 |
NCCL/CLEARING-061/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in December 2023 |
|
|
| 28/11/2023 |
NCCL/COMPLIANCE-011/2023 |
Compliance |
Reminder for Submission of Half Yearly Internal Audit Report by Clearing Members for the half year ended September 30, 2023 |
|
|
| 22/11/2023 |
NCCL/RISK-059/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 22/11/2023 |
NCCL/RISK-058/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 22/11/2023 |
NCCL/RISK-057/2023
|
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/11/2023 |
NCCL/CLEARING-060/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on November 20, 2023 |
|
|
| 13/11/2023 |
NCCL/LEGAL-002/2023 |
Legal |
Amendments to the Bye laws pursuant to SEBIโs no objection letter dated October 05, 2023 |
|
|
| 10/11/2023 |
NCCL/FINANCE-005/2023 |
F&A |
Risk Management Fee - Crude Sunflower Oil (SUNOIL) |
|
|
| 10/11/2023 |
NCCL/RISK-056/2023 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 07/11/2023 |
NCCL/CLEARING-059/2023 |
Clearing |
Settlement schedule and client collateral allocation on account of Muhurat Trading Session |
|
|
| 30/10/2023 |
NCCL/CLEARING-058/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in November 2023 |
|
|
| 25/10/2023 |
NCCL/COMPLIANCE-010/2023 |
Compliance |
Submission of Half Yearly Internal Audit Report by Clearing Members |
|
|
| 25/10/2023 |
NCCL/RISK-055/2023 |
Risk Management |
Delivery Margin - Coriander (DHANIYA) Contracts |
|
|
| 25/10/2023 |
NCCL/RISK-054/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 25/10/2023 |
NCCL/RISK-053/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 25/10/2023 |
NCCL/RISK-052/2023 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/10/2023 |
NCCL/CLEARING-057/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on October 20, 2023 |
|
|
| 13/10/2023 |
NCCL/MEMBERSHIP-007/2023 |
Membership |
Submission of Half Yearly Net worth Certificate as on September 30, 2023 |
|
|
| 10/10/2023 |
NCCL/RISK-051/2023 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment for the month of September 2023 |
|
|
| 10/10/2023 |
NCCL/FINANCE-004/2023 |
F&A |
Physical Delivery Charges โ Bajra โ Feed Grade, Maize โ Feed / Industrial Grade, Cotton and Groundnut |
|
|
| 10/10/2023 |
NCCL/FINANCE-003/2023 |
F&A |
Risk Management Fee โ Bajra โ Feed Grade, Maize โ Feed / Industrial Grade, Cotton and Groundnut |
|
|
| 10/10/2023 |
NCCL/COMPLIANCE-009/2023 |
Compliance |
Reporting requirement on Bank Guarantees (BGs) created out of clientsโ funds |
|
|
| 29/09/2023 |
NCCL/CLEARING-056/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in October 2023 |
|
|
| 27/09/2023 |
NCCL/CLEARING-055/2023 |
Clearing |
Change in Settlement Holiday |
|
|
| 27/09/2023 |
NCCL/COMPLIANCE-008/2023 |
Compliance |
Submission of Half Yearly Internal Audit Report by Clearing Members |
|
|
| 25/09/2023 |
NCCL/RISK-050/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 25/09/2023 |
NCCL/RISK-049/2023 |
Risk Management |
Approved Securities under Scheme of Deposit - List of Eligible Securities |
|
|
| 25/09/2023 |
NCCL/RISK-048/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 25/09/2023 |
NCCL/CLEARING-054/2023 |
Clearing |
Release of collateral |
|
|
| 22/09/2023 |
NCCL/MEMBERSHIP-006/2023 |
Membership |
Submission of Annual Returns FY 2022-23 |
|
|
| 20/09/2023 |
NCCL/CLEARING-053/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on September 20, 2023 |
|
|
| 18/09/2023 |
NCCL/CLEARING-052/2023 |
Clearing |
Final Settlement Price of Futures contracts expired on September 18, 2023 |
|
|
| 08/09/2023 |
NCCL/RISK-046/2023 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 05/09/2023 |
NCCL/RISK-045/2023 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 04/09/2023 |
NCCL/ENFORCEMENT-005/2023 |
Enforcement |
SEBI Order against members in the matter of National Spot Exchange Limited |
|
|
| 31/08/2023 |
NCCL/RISK-044/2023 |
Risk Management |
Format of Report downloads - Risk Management |
|
|
| 30/08/2023 |
NCCL/COMPLIANCE-007/2023 |
Compliance |
Collateral release reporting - Format |
|
|
| 28/08/2023 |
NCCL/CLEARING-051/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in September 2023
|
|
|
| 24/08/2023 |
NCCL/RISK-043/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasure Bills and Sovereign Gold Bonds as Collateral
|
|
|
| 24/08/2023 |
NCCL/RISK-042/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as Collateral.
|
|
|
| 24/08/2023 |
NCCL/RISK-041/2023 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 18/08/2023 |
NCCL/CLEARING-050/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on August 18, 2023 |
|
|
| 17/08/2023 |
NCCL/COMPLIANCE-006/2023 |
Compliance |
Segregation and Monitoring of collateral at Client Level - Reporting |
|
|
| 11/08/2023 |
NCCL/RISK-040/2023 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 10/08/2023 |
NCCL/RISK-039/2023 |
Risk Management |
Revision in timings of Intraday Risk Array (RA) file |
|
|
| 28/07/2023 |
NCCL/CLEARING-049/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in August 2023 |
|
|
| 28/07/2023 |
NCCL/ENFORCEMENT-004/2023 |
Enforcement |
SEBI Order against members in the matter of National Spot Exchange Limited |
|
|
| 24/07/2023 |
NCCL/RISK-038/2023 |
Risk Management |
Scheme of deposit for acceptance of Commodities as Additional Base Capital |
|
|
| 24/07/2023 |
NCCL/RISK-037/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasure Bills and Sovereign Gold Bonds as Collateral
|
|
|
| 24/07/2023 |
NCCL/RISK-036/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as Collateral. |
|
|
| 24/07/2023 |
NCCL/RISK-035/2023 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/07/2023 |
NCCL/CLEARING-048/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on July 20, 2023 |
|
|
| 07/07/2023 |
NCCL/RISK-034/2023 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 28/06/2023 |
NCCL/RISK-032/2023 |
Risk Management |
Pre-Expiry Margin โ Jeera (JEERAUNJHA) and Turmeric (TMCFGRNZM) |
|
|
| 30/06/2023 |
NCCL/CLEARING-047/2023 |
Clearing |
Upstreaming of clientsโ funds by Stock Brokers (SBs) / Clearing Members (CMs) to Clearing Corporations (CCs) |
|
|
| 30/06/2023 |
NCCL/RISK-033/2023 |
Risk Management |
Format of Report downloads - Risk Management |
|
|
| 27/06/2023 |
NCCL/CLEARING-043/2023 |
Clearing |
Change in Settlement Holiday |
|
|
| 27/06/2023 |
NCCL/CLEARING-045/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in July 2023 |
|
|
| 27/06/2023 |
NCCL/CLEARING-044/2023 |
Clearing |
Release of collateral |
|
|
| 27/06/2023 |
NCCL/CLEARING-046/2023 |
Clearing |
Format of Report downloads for Clearing and Settlement |
|
|
| 26/06/2023 |
NCCL/MEMBERSHIP-005/2023 |
Membership |
Master Circular - Membership |
|
|
| 23/06/2023 |
NCCL/RISK-031/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
Resource Not Found |
|
| 23/06/2023 |
NCCL/RISK-030/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
Resource Not Found |
|
| 23/06/2023 |
NCCL/RISK-029/2023 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
Resource Not Found |
|
| 22/06/2023 |
NCCL/CLEARING-042/2023 |
Clearing |
Upstreaming of clientsโ funds by Stock Brokers (SBs) / Clearing Members (CMs) to Clearing Corporations (CCs)
|
|
|
| 20/06/2023 |
NCCL/CLEARING-041/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on June 20, 2023 |
|
|
| 19/06/2023 |
NCCL/CLEARING-040/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on June 19, 2023
|
|
|
| 19/06/2023 |
NCCL/COMPLIANCE-004/2023 |
Compliance |
Master Circular - Inspection / Compliance Department |
|
|
| 19/06/2023 |
NCCL/RISK-028/2023 |
Risk Management |
Master Circular - Risk Management |
|
|
| 12/06/2023 |
NCCL/RISK-027/2023 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
Resource Not Found |
|
| 12/06/2023 |
NCCL/CLEARING-039/2023 |
Clearing |
Standardization of file formats โ Clearing & Settlement |
Resource Not Found |
|
| 09/06/2023 |
NCCL/CLEARING-038/2023 |
Clearing |
Upstreaming of Clientsโ funds by Stock brokers (SBs)/Clearing Members (CMs) to Clearing Corporations (CCs) |
|
|
| 08/06/2023 |
NCCL/MEMBERSHIP-004/2023 |
Membership |
Clarification to Gazette Notification of SEBI (Stock Brokers) (Amendment) Regulations, 2022- Corrigendum |
Resource Not Found |
|
| 08/06/2023 |
NCCL/CLEARING-037/2023 |
Clearing |
Revision in collateral allocation cut-off timings |
Resource Not Found |
|
| 30/05/2023 |
NCCL/CLEARING-036/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in June 2023 |
Resource Not Found |
|
| 29/05/2023 |
NCCL/CLEARING-035/2023 |
Clearing |
Master Circular - Clearing & Settlement |
Resource Not Found |
|
| 29/05/2023 |
NCCL/COMPLIANCE-003/2023 |
Compliance |
Bank Guarantees (BGs) created out of clientsโ funds |
Resource Not Found |
|
| 24/05/2023 |
NCCL/RISK-026/2023 |
Risk Management |
Revision in computation of Core Settlement Guarantee Fund in Commodity Derivatives Segment |
Resource Not Found |
|
| 24/05/2023 |
NCCL/RISK-025/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
Resource Not Found |
|
| 24/05/2023 |
NCCL/RISK-024/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
Resource Not Found |
|
| 24/05/2023 |
NCCL/RISK-023/2023 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
Resource Not Found |
|
| 22/05/2023 |
NCCL/LEGAL-001/2023 |
Legal |
Inviting public comments on amendments in Rules & Bye Laws of the National Commodity Clearing Limited (NCCL) |
|
|
| 22/05/2023 |
NCCL/CLEARING-034/2023 |
Clearing |
Securities Valuation Report |
|
|
| 19/05/2023 |
NCCL/CLEARING-033/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on May 19, 2023 |
|
|
| 18/05/2023 |
NCCL/LOGISTICS-003/2023 |
Logistics |
Master Circular - Warehousing Operations |
|
|
| 18/05/2023 |
NCCL/CLEARING-032/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on May 18, 2023 |
|
|
| 10/05/2023 |
NCCL/CLEARING-031/2023 |
Clearing |
Master Circular - Collateral Formats |
|
|
| 09/05/2023 |
NCCL/COMPLIANCE-002/2023 |
Compliance |
Segregation and Monitoring of collateral at Client Level - Reporting |
|
|
| 05/05/2023 |
NCCL/RISK-022/2023 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 28/04/2023 |
NCCL/RISK-021/2023 |
Risk Management |
Changes to the Framework to Enable Verification of Upfront Collection of Margins from Clients |
|
|
| 28/04/2023 |
NCCL/CLEARING-030/2023 |
Clearing |
Final Settlement Price of contracts expired on April 28, 2023 |
|
|
| 27/04/2023 |
NCCL/CLEARING-029/2023 |
Clearing |
Format for reporting securities re-pledged by CM to CC in the depository but not processed by CC โ Intra-day Short Allocation |
|
|
| 27/04/2023 |
NCCL/CLEARING-028/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in May 2023 |
|
|
| 27/04/2023 |
NCCL/CLEARING-027/2023 |
Clearing |
Bank Guarantees (BGs) created out of clientsโ funds |
|
|
| 26/04/2023 |
NCCL/CLEARING-026/2023 |
Clearing |
Bank Guarantees (BGs) created out of clientsโ funds |
|
|
| 25/04/2023 |
NCCL/RISK-020/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 25/04/2023 |
NCCL/RISK-019/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 25/04/2023 |
NCCL/RISK-018/2023 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/04/2023 |
NCCL/CLEARING-025/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on April 20, 2023 |
|
|
| 19/04/2023 |
NCCL/CLEARING-024/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on April 19, 2023 |
|
|
| 18/04/2023 |
NCCL/MEMBERSHIP-003/2023 |
Membership |
Submission of Half Yearly Net worth Certificate as on March 31, 2023 |
|
|
| 18/04/2023 |
NCCL/CLEARING-023/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on April 18, 2023
|
|
|
| 13/04/2023 |
NCCL/COMPLIANCE-001/2023 |
Compliance |
Internal Audit of Clearing Members of NCCL |
|
|
| 12/04/2023 |
NCCL/ENFORCEMENT-003/2023 |
Enforcement |
Order in the matter of M/s. Joindre Commodities Limited |
|
|
| 12/04/2023 |
NCCL/LOGISTICS-002/2023 |
Logistics |
Consolidated Circular- Warehousing Operations |
|
|
| 12/04/2023 |
NCCL/RISK-017/2023 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 11/04/2023 |
NCCL/FINANCE-002/2023 |
F&A |
Physical Delivery Charges โ Barley, Bajra โ Feed Grade and Maize โ Feed / Industrial Grade |
|
|
| 11/04/2023 |
NCCL/FINANCE-001/2023 |
F&A |
Risk Management Fee โ Barley, Bajra โ Feed Grade and Maize โ Feed / Industrial Grade |
|
|
| 05/04/2023 |
NCCL/ENFORCEMENT-002/2023 |
Enforcement |
SEBI Order against members in the matter of National Spot Exchange Limited |
|
|
| 03/04/2023 |
NCCL/CLEARING-022/2023 |
Clearing |
API based facility for Collateral Allocation โ Production / Live environment |
|
|
| 03/04/2023 |
NCCL/LOGISTICS-001/2023 |
Logistics |
Change in empanelment of NBHC as WSP for single commodity to multiple commodities |
|
|
| 31/03/2023 |
NCCL/CLEARING-021/2023 |
Clearing |
Final Settlement Price of contracts expired on March 31, 2023 |
|
|
| 29/03/2023 |
NCCL/CLEARING-020/2023 |
Clearing |
Standardization of file formats - Clearing and Settlement |
|
|
| 28/03/2023 |
NCCL/CLEARING-019/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in April 2023 |
|
|
| 28/03/2023 |
NCCL/CLEARING-018/2023 |
Clearing |
Release of collateral |
|
|
| 23/03/2023 |
NCCL/RISK-016/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral
|
|
|
| 23/03/2023 |
NCCL/RISK-015/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 23/03/2023 |
NCCL/RISK-014/2023 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/03/2023 |
NCCL/CLEARING-017/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on March 20, 2023 |
|
|
| 10/03/2023 |
NCCL/RISK-013/2023 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 03/03/2023 |
NCCL/RISK-012/2023 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 28/02/2023 |
NCCL/CLEARING-016/2023 |
Clearing |
Segregation and Monitoring of collateral at Client Level - API based facility for Collateral Allocation |
|
|
| 28/02/2023 |
NCCL/ENFORCEMENT-001/2023 |
Enforcement |
SEBI Order in the matter of M/s. Way2Wealth Commodities Pvt. Ltd |
|
|
| 28/02/2023 |
NCCL/CLEARING-015/2023 |
Clearing |
Final Settlement Price of contracts expired on February 28, 2023 |
|
|
| 27/02/2023 |
NCCL/CLEARING-014/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in March 2023 |
|
|
| 23/02/2023 |
NCCL/RISK-011/2023 |
Risk Management |
Revision in client level Concentration Margin in Barley, Castor, Coriander, Guar Gum, Guar Seed, Jeera and Turmeric contracts
|
|
|
| 22/02/2023 |
NCCL/RISK-010/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 22/02/2023 |
NCCL/RISK-009/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 22/02/2023 |
NCCL/RISK-008/2023 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 21/02/2023 |
NCCL/CLEARING-013/2023 |
Clearing |
Revision in collateral allocation cut-off timings |
|
|
| 21/02/2023 |
NCCL/CLEARING-012/2023 |
Clearing |
Penalty for intraday short allocation of collateral at Client Level |
|
|
| 20/02/2023 |
NCCL/CLEARING-011/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on February 20, 2023 |
|
|
| 17/02/2023 |
NCCL/CLEARING-010/2023 |
Clearing |
Final Settlement Price of Future contract expired on February 17, 2023 |
|
|
| 08/02/2023 |
NCCL/CLEARING-009/2023 |
Clearing |
API based facility for Collateral Allocation โ test environment |
|
|
| 07/02/2023 |
NCCL/RISK-007/2023 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 06/02/2023 |
NCCL/CLEARING-008/2023 |
Clearing |
Segregation and Monitoring of collateral at Client Level |
|
|
| 06/02/2023 |
NCCL/MEMBERSHIP-002/2023 |
Membership |
Securities and Exchange Board of India (change in control in intermediaries) (Amendment) Regulations, 2023 |
|
|
| 03/02/2023 |
NCCL/MEMBERSHIP-001/2023 |
Membership |
Clarification to Gazette Notification of SEBI (Stock Brokers) (Amendment)Regulations, 2022 |
|
|
| 02/02/2023 |
NCCL/RISK-006/2023 |
Risk Management |
Changes to the Framework to Enable Verification of Upfront Collection of Margins from Clients in Cash and Derivatives segments |
|
|
| 31/01/2023 |
NCCL/CLEARING-007/2023 |
Clearing |
Final Settlement Price of contracts expired on January 31, 2023 |
|
|
| 30/01/2023 |
NCCL/CLEARING-006/2023 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in February 2023
|
|
|
| 25/01/2023 |
NCCL/CLEARING-005/2023 |
Clearing |
Segregation and Monitoring of collateral at Client Level and penalty mechanism for Short allocation |
|
|
| 24/01/2023 |
NCCL/RISK-005/2023 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral
|
|
|
| 24/01/2023 |
NCCL/RISK-004/2023 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 24/01/2023 |
NCCL/RISK-003/2023 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/01/2023 |
NCCL/CLEARING-004/2023 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on January 20, 2023
|
|
|
| 16/01/2023 |
NCCL/CLEARING-003/2023 |
Clearing |
Standardization of file formats - Clearing and Settlement |
|
|
| 16/01/2023 |
NCCL/CLEARING-002/2023 |
Clearing |
Format for reporting excess collateral with other CCs for Peak Short Allocation |
|
|
| 16/01/2023 |
NCCL/CLEARING-001/2023
|
Clearing |
Acceptance of Fixed Deposit Receipts (FDR) in electronic form |
|
|
| 06/01/2023 |
NCCL/RISK-002/2023
|
Risk Management |
Lean Period in Agricultural Commodities
|
|
|
| 06/01/2023 |
NCCL/RISK-001/2023
|
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 22/11/2022 |
NCCL/CLEARING-055/2022 |
Clearing |
Standardization of file formats - Clearing and Settlement |
|
|
| 30/12/2022 |
NCCL/CLEARING-063/2022 |
Clearing |
Final Settlement Price of contracts expired on December 30, 2022 |
|
|
| 30/12/2022 |
NCCL/CLEARING-062/2022 |
Clearing |
Release of collateral and collateral allocation cut-off timings |
|
|
| 28/12/2022 |
NCCL/LEGAL-002/2022 |
Legal |
Amendments to the Bye laws pursuant to SEBI approval letter dated September 27, 2022
|
|
|
| 28/12/2022 |
NCCL/CLEARING-061/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in January 2023
|
|
|
| 26/12/2022 |
NCCL/RISK-050/2022 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral
|
|
|
| 26/12/2022 |
NCCL/FINANCE-006/2022 |
F&A |
Physical Delivery Charges โSteel Long (STEEL) |
|
|
| 26/12/2022 |
NCCL/FINANCE-005/2022 |
F&A |
Risk Management Fee โSteel Long (STEEL) |
|
|
| 26/12/2022 |
NCCL/RISK-049/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 26/12/2022 |
NCCL/RISK-048/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/12/2022 |
NCCL/CLEARING-060/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on December 20, 2022 |
|
|
| 19/12/2022 |
NCCL/CLEARING-059/2022 |
Clearing |
Settlement holidays for the Calendar year 2023 |
|
|
| 13/12/2022 |
NCCL/RISK-047/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 09/12/2022 |
NCCL/CLEARING-058/2022 |
Clearing |
Margin Obligations to be given by way of Pledge Re-pledge โ Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral |
|
|
| 09/12/2022 |
NCCL/RISK-046/2022 |
Risk Management |
Scheme of deposit for acceptance of Government Securities, Treasury Bills and Sovereign Gold Bonds as Collateral
|
|
|
| 02/12/2022 |
NCCL/MEMBERSHIP-006/2022 |
Membership |
Guidelines on Compliance Officers |
|
|
| 30/11/2022 |
NCCL/MEMBERSHIP-005/2022 |
Membership |
Procedure for seeking prior approval for change in control |
|
|
| 30/11/2022 |
NCCL/CLEARING-057/2022 |
Clearing |
Final Settlement Price of contracts expired on November 30, 2022 |
|
|
| 29/11/2022 |
NCCL/CLEARING-056/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in December 2022 |
|
|
| 24/11/2022 |
NCCL/RISK-045/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 24/11/2022 |
NCCL/RISK-044/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 21/11/2022 |
NCCL/COMPLIANCE-007/2022 |
Compliance |
Segregation and Monitoring of Collateral at Client Level - Reporting Format |
|
|
| 21/11/2022 |
NCCL/COMPLIANCE-006/2022 |
Compliance |
Handling of Clientsโ Securities by Trading Members (TM) / Clearing Members(CM) |
|
|
| 18/11/2022 |
NCCL/CLEARING-054/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on November 18, 2022
|
|
|
| 11/11/2022 |
NCCL/RISK-043/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment
|
|
|
| 31/10/2022 |
NCCL/CLEARING-053/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in November 2022 |
|
|
| 27/10/2022 |
NCCL/COMPLIANCE-005/2022 |
Compliance |
Segregation and Monitoring of Collateral at Client Level - Reporting Format |
|
|
| 31/10/2022 |
NCCL/CLEARING-052/2022 |
Clearing |
Final Settlement Price of contracts expired on October 31, 2022 |
|
|
| 28/10/2022 |
NCCL/CLEARING-051/2022 |
Clearing |
Standardization of file formats - Clearing and Settlement |
|
|
| 25/10/2022 |
NCCL/COMPLIANCE-004/2022 |
Compliance |
Internal Audit of Clearing Members of NCCL |
|
|
| 25/10/2022 |
NCCL/RISK-042/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 25/10/2022 |
NCCL/RISK-041/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/10/2022 |
NCCL/CLEARING-050/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on October 20, 2022
|
|
|
| 14/10/2022 |
NCCL/CLEARING-049/2022 |
Clearing |
Settlement schedule and client collateral allocation on account of Muhurat Trading Session
|
|
|
| 14/10/2022 |
NCCL/RISK-040/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 12/10/2022 |
NCCL/MEMBERSHIP-004/2022 |
Membership |
Submission of Half Yearly Net worth Certificate as on September 30, 2022
|
|
|
| 07/10/2022 |
NCCL/CLEARING-048/2022 |
Clearing |
Standardization of file formats - Clearing and Settlement |
|
|
| 30/09/2022 |
NCCL/CLEARING-047/2022 |
Clearing |
Final Settlement Price of contracts expired on September 30, 2022 |
|
|
| 29/09/2022 |
NCCL/FINANCE-004/2022 |
F&A |
Risk Management Fee โ Robusta Cherry AB Coffee (COFFEE), Steel Long (STEEL), Bajra โ Feed Grade and Maize โ Feed / Industrial Grade |
|
|
| 29/09/2022 |
NCCL/FINANCE-003/2022 |
F&A |
Physical Delivery Charges โ Robusta Cherry AB Coffee (COFFEE), Steel Long (STEEL), Bajra โ Feed Grade and Maize โ Feed / Industrial Grade |
|
|
| 29/09/2022 |
NCCL/CLEARING-046/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in October 2022
|
|
|
| 28/09/2022 |
NCCL/CLEARING-045/2022 |
Clearing |
Standardization of file formats - Clearing and Settlement |
|
|
| 23/09/2022 |
NCCL/RISK-039/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 23/09/2022 |
NCCL/RISK-038/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 21/09/2022 |
NCCL/MEMBERSHIP-003/2022 |
Membership |
Submission of Annual Return for the FY 2021-22 |
|
|
| 20/09/2022 |
NCCL/CLEARING-044/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on September 20, 2022
|
|
|
| 15/09/2022 |
NCCL/CLEARING-043/2022 |
Clearing |
Release of collateral |
|
|
| 09/09/2022 |
NCCL/RISK-037/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 05/09/2022 |
NCCL/RISK-036/2022 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 30/08/2022 |
NCCL/CLEARING-042/2022 |
Clearing |
Final Settlement Price of contracts expired on August 30, 2022 |
|
|
| 29/08/2022 |
NCCL/CLEARING-041/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in September 2022
|
|
|
| 24/08/2022 |
NCCL/RISK-035/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 24/08/2022 |
NCCL/RISK-034/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 19/08/2022 |
NCCL/CLEARING-040/2022 |
Clearing |
Final Settlement Price of Futures contracts expired on August 19, 2022 |
|
|
| 18/08/2022 |
NCCL/CLEARING-039/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on August 18, 2022
|
|
|
| 17/08/2022 |
NCCL/CLEARING-038/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on August 17, 2022
|
|
|
| 16/08/2022 |
NCCL/CLEARING-037/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on August 16, 2022
|
|
|
| 12/08/2022 |
NCCL/RISK-033/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 05/08/2022 |
NCCL/CLEARING-036/2022 |
Clearing |
Revised Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in August 2022
|
|
|
| 05/08/2022 |
NCCL/CLEARING-035/2022 |
Clearing |
Segregation and Monitoring of collateral at Client Level and penalty mechanism for Short allocation
|
|
|
| 04/08/2022 |
NCCL/RISK-032/2022 |
Risk Management |
Pre-Expiry Margins โ Castor Seed (CASTOR) |
|
|
| 29/07/2022 |
NCCL/CLEARING-034/2022 |
Clearing |
Final Settlement Price of contracts expired on July 29, 2022 |
|
|
| 29/07/2022 |
NCCL/CLEARING-033/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in August 2022
|
|
|
| 26/07/2022 |
NCCL/CLEARING-032/2022 |
Clearing |
Segregation and Monitoring of collateral at Client Level and penalty mechanism for Short allocation
|
|
|
| 25/07/2022 |
NCCL/RISK-031/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 25/07/2022 |
NCCL/RISK-030/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/07/2022 |
NCCL/CLEARING-031/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on July 20, 2022
|
|
|
| 18/07/2022 |
NCCL/FINANCE-002/2022 |
F&A |
Applicability of Goods and Service Tax (GST) on fees payable to SEBI |
|
|
| 14/07/2022 |
NCCL/RISK-029/2022 |
Risk Management |
Margins for Options in Goods Contract on Spices Complex โ Turmeric, Coriander and Jeera
|
|
|
| 12/07/2022 |
NCCL/RISK-028/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 05/07/2022 |
NCCL/CLEARING-030/2022 |
Clearing |
Standardization of file formats - Clearing and Settlement |
|
|
| 05/07/2022 |
NCCL/CLEARING-029/2022 |
Clearing |
Reporting format for monitoring of short-collection / non-collection of margins and Short Allocation
|
|
|
| 30/06/2022 |
NCCL/CLEARING-028/2022 |
Clearing |
Final Settlement Price of contracts expired on June 30, 2022 |
|
|
| 30/06/2022 |
NCCL/CLEARING-027/2022 |
Clearing |
Release of Approved Securities and Commodities |
|
|
| 30/06/2022 |
NCCL/CLEARING-026/2022 |
Clearing |
Naming/Tagging of Demat accounts maintained by Stock Brokers with Approved Custodians
|
|
|
| 27/06/2022 |
NCCL/CLEARING-025/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in July 2022
|
|
|
| 23/06/2022 |
NCCL/RISK-027/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 23/06/2022 |
NCCL/RISK-026/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/06/2022 |
NCCL/CLEARING-023/2022 |
Clearing |
Margin Obligations to be given by way of Pledge/Re-pledge |
|
|
| 20/06/2022 |
NCCL/CLEARING-024/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on June 20, 2022
|
|
|
| 13/06/2022 |
NCCL/RISK-025/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 09/06/2022 |
NCCL/CLEARING-022/2022 |
Clearing |
Standardization of file formats - Clearing and Settlement |
|
|
| 06/06/2022 |
NCCL/RISK-024/2022 |
Risk Management |
Revision in Pre-Expiry Margins |
|
|
| 31/05/2022 |
NCCL/CLEARING-021/2022 |
Clearing |
Final Settlement Price of contracts expired on May 31, 2022 |
|
|
| 31/05/2022 |
NCCL/COMPLIANCE-003/2022 |
Compliance |
Modification to Standard Operating Procedure in the cases of trading member/clearing member leading to default |
|
|
| 27/05/2022 |
NCCL/CLEARING-020/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for al the futures and options contracts expiring in June 2022
|
|
|
| 25/05/2022 |
NCCL/LEGAL-001/2022 |
Legal |
Inviting public comments on amendments in Bye Laws of the National Commodity Clearing Limited (NCCL) |
|
|
| 25/05/2022 |
NCCL/RISK-023/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 25/05/2022 |
NCCL/RISK-022/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/05/2022 |
NCCL/RISK-021/2022 |
Risk Management |
Format of Report Downloads - Risk Management |
|
|
| 20/05/2022 |
NCCL/CLEARING-019/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on May 20, 2022
|
|
|
| 16/05/2022 |
NCCL/RISK-020/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 13/05/2022 |
NCCL/CLEARING-018/2022 |
Clearing |
Addendum - Framework for Determination of Final Settlement Price (FSP) in case of Unavailability of Polled Spot Price on Expiry Day |
|
|
| 11/05/2022 |
NCCL/RISK-019/2022 |
Risk Management |
Changes to the Framework to Enable Verification of Upfront Collection of Margins from Clients in Cash and Derivatives segments |
|
|
| 29/04/2022 |
NCCL/CLEARING-017/2022 |
Clearing |
Final Settlement Price of contracts expired on April 29, 2022 |
|
|
| 29/04/2022 |
NCCL/CLEARING-016/2022 |
Clearing |
Segregation and Monitoring of collateral at Client Level |
|
|
| 29/04/2022 |
NCCL/RISK-018/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 29/04/2022 |
NCCL/RISK-017/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 28/04/2022 |
NCCL/CLEARING-015/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in May 2022
|
|
|
| 27/04/2022 |
NCCL/COMPLIANCE-002/2022 |
Compliance |
Internal Audit of Clearing Members of NCCL |
|
|
| 25/04/2022 |
NCCL/RISK-016/2022 |
Risk Management |
Format of Report Downloads - Risk Management |
|
|
| 20/04/2022 |
NCCL/MEMBERSHIP-002/2022 |
Membership |
Submission of Half Yearly Net worth Certificate as on March 31, 2022 |
|
|
| 20/04/2022 |
NCCL/CLEARING-014/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on April 20, 2022
|
|
|
| 12/04/2022 |
NCCL/CLEARING-013/2022 |
Clearing |
Segregation and Monitoring of collateral at Client Level
|
|
|
| 12/04/2022 |
NCCL/RISK-015/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 31/03/2022 |
NCCL/CLEARING-012/2022 |
Clearing |
Final Settlement Price of contracts expired on March 31, 2022 |
|
|
| 31/03/2022 |
NCCL/RISK-014/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 31/03/2022 |
NCCL/RISK-013/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 29/03/2022 |
NCCL/CLEARING-011/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in April 2022 |
|
|
| 24/03/2022 |
NCCL/RISK-012/2022 |
Risk Management |
Cross Margin in Commodity Index Futures and its underlying constituent futures or its variants โ NCDEX GUAREX |
|
|
| 17/03/2022 |
NCCL/CLEARING-010/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on March 17, 2022 |
|
|
| 17/03/2022 |
NCCL/RISK-011/2022 |
Risk Management |
CERT-In Advisory "Preventing Data Breaches / Data Leaks" |
|
|
| 17/03/2022 |
NCCL/FINANCE-001/2022 |
F&A |
Risk Management Fee โ Refined Castor Oil (First Special Grade โ F.S.G.) (CASTOROIL) contract.
|
|
|
| 16/03/2022 |
NCCL/CLEARING-009/2022 |
Clearing |
Final Settlement Price of Futures contract expired on March 16, 2022 |
|
|
| 15/03/2022 |
NCCL/MEMBERSHIP-001/2022 |
Membership |
Gazette Notification of SEBI (Stock Brokers) (Amendment) Regulations, 2022 |
|
|
| 10/03/2022 |
NCCL/RISK-010/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 04/03/2022 |
NCCL/COMPLIANCE-001/2022 |
Compliance |
Guidelines to Clearing Members for effective oversight over trading members cleared by Clearing Members - Clarifications |
|
|
| 04/03/2022 |
NCCL/RISK-009/2022 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 28/02/2022 |
NCCL/RISK-008/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 28/02/2022 |
NCCL/RISK-007/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 28/02/2022 |
NCCL/CLEARING-008/2022 |
Clearing |
Final Settlement Price of contracts expired on February 28, 2022 |
|
|
| 25/02/2022 |
NCCL/CLEARING-007/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in March 2022 |
|
|
| 24/02/2022 |
NCCL/RISK-006/2022 |
Risk Management |
Segregation and Monitoring of Collateral at Client Level โ Extension of timeline |
|
|
| 23/02/2022 |
NCCL/CLEARING-006/2022 |
Clearing |
Segregation and Monitoring of collateral at Client Level |
|
|
| 18/02/2022 |
NCCL/CLEARING-005/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on February 18, 2022
|
|
|
| 10/02/2022 |
NCCL/RISK-005/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 31/01/2022 |
NCCL/CLEARING-004/2022 |
Clearing |
Final Settlement Price of contracts expired on January 31, 2022 |
|
|
| 31/01/2022 |
NCCL/RISK-004/2022 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 31/01/2022 |
NCCL/RISK-003/2022 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 28/01/2022 |
NCCL/CLEARING-003/2022 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in February 2022 |
|
|
| 20/01/2022 |
NCCL/CLEARING-002/2022 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on January 20, 2022
|
|
|
| 14/01/2022 |
NCCL/RISK-002/2022 |
Risk Management |
Client Margin Reporting |
|
|
| 13/01/2022 |
NCCL/RISK-001/2022 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment
|
|
|
| 05/01/2022 |
NCCL/CLEARING-001/2022 |
Clearing |
Options on Commodity Futures - Product Design and Risk Management Framework โ Modification in exercise mechanism
|
|
|
| 31/12/2021 |
NCCL/CLEARING-050/2021 |
Clearing |
Final Settlement Price of contracts expired on December 31, 2021 |
|
|
| 31/12/2021 |
NCCL/MEMBERSHIP-009/2021 |
Membership |
Extension for Submission of Annual Return for the FY 2020-21 |
|
|
| 31/12/2021 |
NCCL/RISK-051/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 31/12/2021 |
NCCL/RISK-050/2021 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 30/12/2021 |
NCCL/ENFORCEMENT-006/2021 |
Enforcement |
Expulsion - M/s. BRH Commodities Private Limited (Formerly known as BMA Commodities Private Limited) |
|
|
| 30/12/2021 |
NCCL/MEMBERSHIP-008/2021 |
Membership |
Gazette Notification by SEBI regarding โFit and Proper Personโ criteria |
|
|
| 29/12/2021 |
NCCL/CLEARING-049/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in January 2022 |
|
|
| 21/12/2021 |
NCCL/CLEARING-048/2021 |
Clearing |
Settlement holidays for the Calendar year 2022 |
|
|
| 21/12/2021 |
NCCL/MEMBERSHIP-007/2021 |
Membership |
Reminder-Submission of Annual Return for the FY 2020-21 |
|
|
| 20/12/2021 |
NCCL/CLEARING-047/2021 |
Clearing |
Cut-off Time for generation of last Risk Parameter File (RPF) for clientโs margin collection purpose and modification in framework to enable verification of upfront collection of margins from clients in commodity derivatives segment |
|
|
| 20/12/2021 |
NCCL/CLEARING-046/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on December 20, 2021 |
|
|
| 17/12/2021 |
NCCL/COMPLIANCE-018/2021 |
Compliance |
Segregation and Monitoring of Collateral at Client Level - Penalty |
|
|
| 15/12/2021 |
NCCL/COMPLIANCE-017/2021 |
Compliance |
Segregation and Monitoring of Collateral at Client Level |
|
|
| 14/12/2021 |
NCCL/RISK-049/2021 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 06/12/2021 |
NCCL/COMPLIANCE-016/2021 |
Compliance |
Submission of Trading member wise Cash and cash equivalent details by Clearing members
|
|
|
| 02/12/2021 |
NCCL/COMPLIANCE-015/2021 |
Compliance |
Submission of Internal Audit of Clearing Members of NCCL - Extension of timelines |
|
|
| 30/11/2021 |
NCCL/CLEARING-045/2021 |
Clearing |
Final Settlement Price of contracts expired on November 30, 2021 |
|
|
| 30/11/2021 |
NCCL/RISK-048/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 30/11/2021 |
NCCL/RISK-047/2021 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 29/11/2021 |
NCCL/CLEARING-044/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in December 2021 |
|
|
| 26/11/2021 |
NCCL/COMPLIANCE-014/2021 |
Compliance |
Segregation and Monitoring of Collateral at Client Level โ Penalty |
|
|
| 24/11/2021 |
NCCL/RISK-046/2021 |
Risk Management |
Segregation and Monitoring of Collateral at Client Level - Extension of timeline |
|
|
| 18/11/2021 |
NCCL/CLEARING-043/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on November 18, 2021 |
|
|
| 18/11/2021 |
NCCL/MEMBERSHIP-006/2021 |
Membership |
Submission of Annual Return for the FY 2020-21 |
|
|
| 17/11/2021 |
NCCL/CLEARING-042/2021 |
Clearing |
Final Settlement Price of Futures contract expired on November 17, 2021 |
|
|
| 16/11/2021 |
NCCL/CLEARING-041/2021 |
Clearing |
Format for Allocation of Collateral
|
|
|
| 12/11/2021 |
NCCL/RISK-045/2021 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 10/11/2021 |
NCCL/COMPLIANCE-013/2021 |
Compliance |
Internal Audit of Clearing Members of NCCL |
|
|
| 29/10/2021 |
NCCL/CLEARING-040/2021 |
Clearing |
Final Settlement Price of contracts expired on October 29, 2021 |
|
|
| 29/10/2021 |
NCCL/RISK-044/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 29/10/2021 |
NCCL/RISK-043/2021 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 28/10/2021 |
NCCL/CLEARING-039/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in November 2021 |
|
|
| 26/10/2021 |
NCCL/MEMBERSHIP-005/2021 |
Membership |
Submission of Half Yearly Net worth Certificate as on September 30, 2021. |
|
|
| 21/10/2021 |
NCCL/RISK-042/2021 |
Risk Management |
Scheme of deposit for acceptance of Commodities as Additional Base Capital |
|
|
| 20/10/2021 |
NCCL/COMPLIANCE-012/2021 |
Compliance |
Submission of Trading member wise Cash and cash equivalent details by Clearing members
|
|
|
| 20/10/2021 |
NCCL/CLEARING-038/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on October 20, 2021
|
|
|
| 18/10/2021 |
NCCL/CLEARING-037/2021 |
Clearing |
Final Settlement Price of Futures contract expired on October 18, 2021 |
|
|
| 14/10/2021 |
NCCL/FINANCE-007/2021 |
F&A |
Physical Delivery Charges - Bajra |
|
|
| 14/10/2021 |
NCCL/RISK-041/2021 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 11/10/2021 |
NCCL/RISK-040/2021 |
Risk Management |
Spread margin benefit in a commodity complex |
|
|
| 28/09/2021 |
NCCL/CLEARING-035/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in October 2021
|
|
|
| 01/10/2021 |
NCCL/COMPLIANCE-011/2021 |
Compliance |
Submission of Collateral at Client Level |
|
|
| 30/09/2021 |
NCCL/RISK-038/2021 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 30/09/2021 |
NCCL/CLEARING-036/2021 |
Clearing |
Final Settlement Price of contracts expired on September 30, 2021 |
|
|
| 30/09/2021 |
NCCL/RISK-039/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 28/09/2021 |
NCCL/ENFORCEMENT-005/2021 |
Enforcement |
SEBI Order in the matter of M/s. Joindre Commodities Limited |
|
|
| 22/09/2021 |
NCCL/RISK-037/2021 |
Risk Management |
Pre-Expiry Margin and Lean Period Margin โ Soybean (SYBEANIDR)
|
|
|
| 20/09/2021 |
NCCL/CLEARING-034/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on September 20, 2021
|
|
|
| 20/09/2021 |
NCCL/COMPLIANCE-010/2021 |
Compliance |
Segregation and Monitoring of Collateral at Client Level - Change in Reporting Format and Frequently Asked Questions
|
|
|
| 17/09/2021 |
NCCL/RISK-036/2021 |
Risk Management |
Lean Period in Agricultural Commodities |
|
|
| 17/09/2021 |
NCCL/CLEARING-033/2021 |
Clearing |
Final Settlement Price of Futures contract expired on September 17, 2021 |
|
|
| 15/09/2021 |
NCCL/RISK-035/2021 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 06/09/2021 |
NCCL/RISK-034/2021 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 03/09/2021 |
NCCL/ENFORCEMENT-004/2021 |
Enforcement |
Declaration of Defaulter - M/s. Grovalue Commodity Private Limited |
|
|
| 31/08/2021 |
NCCL/CLEARING-032/2021 |
Clearing |
Final Settlement Price of contracts expired on August 31, 2021 |
|
|
| 31/08/2021 |
NCCL/RISK-033/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 31/08/2021 |
NCCL/RISK-032/2021 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities
|
|
|
| 30/08/2021 |
NCCL/CLEARING-031/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in September 2021
|
|
|
| 27/08/2021 |
NCCL/FINANCE-006/2021 |
F&A |
Risk Management Fee โ SOYDEX Futures contract (SOYDEXDDMMMYYYY) |
|
|
| 27/08/2021 |
NCCL/RISK-031/2021 |
Risk Management |
Margins for Index Futures Contracts on NCDEX SOYDEX |
|
|
| 23/08/2021 |
NCCL/COMPLIANCE-009/2021 |
Compliance |
Segregation and Monitoring of Collateral at Client Level - Reporting Format |
|
|
| 20/08/2021 |
NCCL/CLEARING-030/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on August 20, 2021 |
|
|
| 20/08/2021 |
NCCL/COMPLIANCE-007/2021 |
Compliance |
Uniform penalty structure for Clearing Members |
|
|
| 20/08/2021 |
NCCL/COMPLIANCE-008/2021 |
Compliance |
Strengthening oversight on Clearing Members |
|
|
| 18/08/2021 |
NCCL/CLEARING-029/2021 |
Clearing |
Penalty for Repeated Delivery Default |
|
|
| 13/08/2021 |
NCCL/FINANCE-005/2021 |
F&A |
Risk Management Fee โ GUAREX Futures contract (GUAREXDDMMMYYYY) |
|
|
| 13/08/2021 |
NCCL/MEMBERSHIP-004/2021 |
Membership |
Uniformity in the Membership ongoing compliance formats |
|
|
| 13/08/2021 |
NCCL/RISK-030/2021 |
Risk Management |
Margins for Index Futures Contracts on NCDEX GUAREX |
|
|
| 12/08/2021 |
NCCL/RISK-029/2021 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 11/08/2021 |
NCCL/RISK-028/2021 |
Risk Management |
Calendar Spread margin benefit in commodity futures contracts |
|
|
| 30/07/2021 |
NCCL/CLEARING-028/2021 |
Clearing |
Final Settlement Price of contracts expired on July 30, 2021 |
|
|
| 30/07/2021 |
NCCL/RISK-027/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 30/07/2021 |
NCCL/RISK-026/2021 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 30/07/2021 |
NCCL/COMPLIANCE-006/2021 |
Compliance |
Relaxation in timelines for compliance with regulatory requirements |
|
|
| 29/07/2021 |
NCCL/CLEARING-027/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in August 2021
|
|
|
| 26/07/2021 |
NCCL/RISK-025/2021 |
Risk Management |
Pre-Expiry Margin and Lean Period Margin โ Soybean (SYBEANIDR) |
|
|
| 22/07/2021 |
NCCL/RISK-024/2021 |
Risk Management |
Segregation and Monitoring of collateral at Client Level |
|
|
| 20/07/2021 |
NCCL/CLEARING-026/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on July 20, 2021 |
|
|
| 19/07/2021 |
NCCL/ENFORCEMENT-003/2021 |
Enforcement |
Expulsion - M/s. Arcadia Commodities & Trading |
|
|
| 15/07/2021 |
NCCL/RISK-023/2021 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 06/07/2021 |
NCCL/LEGAL-001/2021 |
Legal |
Exemption from stock limits on specified commodities kept in WDRA registered warehouses |
|
|
| 05/07/2021 |
NCCL/ENFORCEMENT-002/2021 |
Enforcement |
Declaration of Defaulter - M/s. BRH Commodities Private Limited (Formerly known as BMA Commodities Private Limited) |
|
|
| 01/07/2021 |
NCCL/COMPLIANCE-005/2021 |
Compliance |
Relaxation in timelines for compliance with regulatory requirements. |
|
|
| 01/07/2021 |
NCCL/CLEARING-025/2021 |
Clearing |
Tax Deducted at Source on Purchase of Goods |
|
|
| 30/06/2021 |
NCCL/CLEARING-024/2021 |
Clearing |
Final Settlement Price of contracts expired on June 30, 2021 |
|
|
| 30/06/2021 |
NCCL/RISK-022/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 30/06/2021 |
NCCL/RISK-021/2021 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 29/06/2021 |
NCCL/CLEARING-023/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in July 2021 |
|
|
| 28/06/2021 |
NCCL/FINANCE-004/2021 |
F&A |
Physical Delivery Charges โ Barley, Maize and Wheat |
|
|
| 18/06/2021 |
NCCL/CLEARING-022/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on June 18, 2021 |
|
|
| 14/06/2021 |
NCCL/LOGISTICS-004/2021 |
Logistics |
Change in name of Warehouse Service Provider |
|
|
| 14/06/2021 |
NCCL/RISK-020/2021 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 31/05/2021 |
NCCL/CLEARING-021/2021 |
Clearing |
Final Settlement Price of contracts expired on May 31, 2021
|
|
|
| 31/05/2021 |
NCCL/RISK-019/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 31/05/2021 |
NCCL/RISK-018/2021 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 28/05/2021 |
NCCL/CLEARING-020/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in June 2021
|
|
|
| 24/05/2021 |
NCCL/CLEARING-019/2021 |
Clearing |
Consolidated Circular - Collateral Formats |
|
|
| 24/05/2021 |
NCCL/CLEARING-018/2021 |
Clearing |
Consolidated Circular - Clearing & Settlement Procedures |
|
|
| 21/05/2021 |
NCCL/LOGISTICS-003/2021 |
Logistics |
Guidelines for warehousing norms for agricultural/agri-processed goods and non-agricultural goods (only base/industrial metals) underlying a commodity derivatives contract having the feature of physical delivery |
|
|
| 20/05/2021 |
NCCL/CLEARING-017/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on May 20, 2021
|
|
|
| 17/05/2021 |
NCCL/RISK-017/2021 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment
|
|
|
| 11/05/2021 |
NCCL/COMPLIANCE-004/2021 |
Compliance |
Reporting of Client Level Cash & Cash Equivalent Balances by Trading Members to Clearing Members |
|
|
| 03/05/2021 |
NCCL/RISK-016/2021 |
Risk Management |
Standard Operating Procedure (SOP) for handling Cyber Security incidents
|
|
|
| 30/04/2021 |
NCCL/COMPLIANCE-003/2021 |
Compliance |
Relaxation in timelines for compliance with regulatory requirements. |
|
|
| 30/04/2021 |
NCCL/CLEARING-016/2021 |
Clearing |
Final Settlement Price of contracts expired on April 30, 2021 |
|
|
| 29/04/2021 |
NCCL/RISK-015/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 29/04/2021 |
NCCL/RISK-014/2021 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 29/04/2021 |
NCCL/CLEARING-015/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in May 2021
|
|
|
| 29/04/2021 |
NCCL/COMPLIANCE-002/2021 |
Compliance |
Internal Audit of Clearing Members of NCCL |
|
|
| 27/04/2021 |
NCCL/CLEARING-014/2021 |
Clearing |
Delivery default norms |
|
|
| 20/04/2021 |
NCCL/CLEARING-013/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on April 20, 2021 |
|
|
| 19/04/2021 |
NCCL/RISK-013/2021 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment
|
|
|
| 19/04/2021 |
NCCL/MEMBERSHIP-003/2021 |
Membership |
Submission of Half Yearly Net worth Certificate as on March 31, 2021 |
|
|
| 19/04/2021 |
NCCL/LOGISTICS-002/2021 |
Logistics |
Guidelines for warehousing norms for agricultural/agri-processed goods and non-agricultural goods (only base/industrial metals) underlying a commodity derivatives contract having the feature of physical delivery |
|
|
| 13/04/2021 |
NCCL/RISK-012/2021 |
Risk Management |
Pre-Expiry Margin and Lean Period Margin - Soybean (SYBEANIDR) |
|
|
| 13/04/2021 |
NCCL/RISK-011/2021 |
Risk Management |
Pre-Expiry Margins - Castor Seed (CASTOR) |
|
|
| 31/03/2021 |
NCCL/RISK-010/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 31/03/2021 |
NCCL/RISK-009/2021 |
Risk Management |
Approved Securities under Scheme of Deposit - List of Eligible Securities |
|
|
| 31/03/2021 |
NCCL/CLEARING-012/2021 |
Clearing |
Final Settlement Price of contracts expired on March 31, 2021 |
|
|
| 30/03/2021 |
NCCL/CLEARING-011/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in April 2021 |
|
|
| 26/03/2021 |
NCCL/LOGISTICS-001/2021 |
Logistics |
Revision in booking quantity of Warehouse Space Reservation System |
|
|
| 24/03/2021 |
NCCL/CLEARING-010/2021 |
Clearing |
Implementation of SEBI circular on review of delivery default norms |
|
|
| 24/03/2021 |
NCCL/ENFORCEMENT-001/2021 |
Enforcement |
Defaulter Declaration and Expulsion - M/s. Wellindia Commodities Pvt. Ltd. |
|
|
| 22/03/2021 |
NCCL/RISK-008/2021 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment |
|
|
| 19/03/2021 |
NCCL/CLEARING-009/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on March 19, 2021 |
|
|
| 16/03/2021 |
NCCL/CLEARING-008/2021 |
Clearing |
Calculation of Closing Price or Daily Settlement Price (DSP) for Commodity Futures Contract |
|
|
| 11/03/2021 |
NCCL/COMPLIANCE-001/2021 |
Compliance |
Submission of Trading member wise Cash and cash equivalent details by Clearing members |
|
|
| 09/03/2021 |
NCCL/FINANCE-003/2021 |
F&A |
Risk Management Fee - Futures contract and AGRIDEX |
|
|
| 05/03/2021 |
NCCL/CLEARING-007/2021 |
Clearing |
Peak Margin reporting of Custodian Participant trades (CP) |
|
|
| 03/03/2021 |
NCCL/RISK-007/2021 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 26/02/2021 |
NCCL/CLEARING-006/2021 |
Clearing |
Final Settlement Price of contracts expired on February 26, 2021 |
|
|
| 26/02/2021 |
NCCL/RISK-006/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 26/02/2021 |
NCCL/RISK-005/2021 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 26/02/2021 |
NCCL/CLEARING-005/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in March 2021 |
|
|
| 22/02/2021 |
NCCL/MEMBERSHIP-002/2021 |
Membership |
Submission of Undertaking / Authorisation to Clearing Corporation to access the information / statements pertaining to all bank accounts (maintained by members) from Banks |
|
|
| 19/02/2021 |
NCCL/CLEARING-004/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on February 19, 2021 |
|
|
| 15/02/2021 |
NCCL/FINANCE-002/2021 |
F&A |
Risk Management Fee โ Hipro Soybean Meal (SBMEALIDR) |
|
|
| 30/01/2021 |
NCCL/MEMBERSHIP-001/2021 |
Membership |
Submission of Annual Return for the FY 2019-20 |
|
|
| 29/01/2021 |
NCCL/CLEARING-003/2021 |
Clearing |
Final Settlement Price of contracts expired on January 29, 2021
|
|
|
| 29/01/2021 |
NCCL/CLEARING-002/2021 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in February 2021
|
|
|
| 29/01/2021 |
NCCL/RISK-004/2021 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 29/01/2021 |
NCCL/RISK-003/2021 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/01/2021 |
NCCL/CLEARING-001/2021 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on January 20, 2021 |
|
|
| 13/01/2021 |
NCCL/RISK-002/2021 |
Risk Management |
Margins on Steel Long Futures contracts (STEEL) |
|
|
| 13/01/2021 |
NCCL/RISK-001/2021 |
Risk Management |
Review of Volatility Scan Range (VSR) for Option contracts in Commodity Derivatives Segment
|
|
|
| 13/01/2021 |
NCCL/FINANCE-001/2021 |
F&A |
Risk Management Fee โ Steel Long (STEEL) Futures contracts |
|
|
| 31/12/2020 |
NCCL/CLEARING-068/2020 |
Clearing |
Final Settlement Price of contracts expired on December 31, 2020 |
|
|
| 30/12/2020 |
NCCL/RISK-050/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 30/12/2020 |
NCCL/RISK-049/2020 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 30/12/2020 |
NCCL/CLEARING-067/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for the futures and options contracts expiring in January 2021
|
|
|
| 21/12/2020 |
NCCL/CLEARING-066/2020 |
Clearing |
Settlement holidays for the Calendar year 2021 |
|
|
| 18/12/2020 |
NCCL/ENFORCEMENT-004/2020 |
Enforcement |
Declaration of Defaulter - M/s. Karvy Comtrade Limited |
|
|
| 18/12/2020 |
NCCL/CLEARING-065/2020 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on December 18, 2020
|
|
|
| 10/12/2020 |
NCCL/FINANCEโ 005/2020 |
F&A |
Risk Management Fee โ Gur Contract (Feed Grade) (GUR) |
|
|
| 09/12/2020 |
NCCL/ENFORCEMENT-003/2020 |
Enforcement |
Defaulter Declaration - M/s. Modex Commodity Trades Private Limited and M/s. KSBL Commodity Brokers Private Limited
|
|
|
| 04/12/2020 |
NCCL/COMPLIANCE-022/2020 |
Compliance |
Expulsion - M/s. Anee Securities Private Limited |
|
|
| 02/12/2020 |
NCCL/COMPLIANCE-021/2020 |
Compliance |
Relaxation in timelines for compliance with regulatory requirements |
|
|
| 01/12/2020 |
NCCL/CLEARING-064/2020 |
Clearing |
Reporting of Peak Margins of Custodian Participants (CP) trades |
|
|
| 27/11/2020 |
NCCL/RISK-048/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 27/11/2020 |
NCCL/RISK-047/2020 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 27/11/2020 |
NCCL/CLEARING-063/2020 |
Clearing |
Final Settlement Price of contracts expired on November 27 2020 |
|
|
| 27/11/2020 |
NCCL/CLEARING-062/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in December 2020
|
|
|
| 25/11/2020 |
NCCL/CLEARING-061/2020 |
Clearing |
Clarification on Disclosure of Pay-in and Pay-out of commodities made by top 10 Clients
|
|
|
| 23/11/2020 |
NCCL/RISK-046/2020 |
Risk Management |
Spread margin benefit in a Commodity Complex |
|
|
| 20/11/2020 |
NCCL/CLEARING-060/2020 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on November 20, 2020 |
|
|
| 09/11/2020 |
NCCL/MEMBERSHIP-005/2020 |
Membership |
Submission of Half Yearly Net worth Certificate as on September 30, 2020 |
|
|
| 09/11/2020 |
NCCL/MEMBERSHIP-004/2020 |
Membership |
Submission of Annual Return for the FY 2019-20 |
|
|
| 02/11/2020 |
NCCL/CLEARING-059/2020 |
Clearing |
SFMS Messages for Bank Guarantees |
|
|
| 30/10/2020 |
NCCL/RISK-045/2020 |
Risk Management |
Advisory regarding Remote Access and Telecommuting |
|
|
| 30/10/2020 |
NCCL/CLEARING-058/2020 |
Clearing |
Final Settlement Price of contracts expired on October 30, 2020 |
|
|
| 30/10/2020 |
NCCL/CLEARING-057/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in November 2020
|
|
|
| 30/10/2020 |
NCCL/COMPLIANCE-020/2020 |
Compliance |
Observance of Vigilance Awareness week 2020 |
|
|
| 30/10/2020 |
NCCL/COMPLIANCE-019/2020 |
Compliance |
Internal Audit of Clearing Members of NCCL |
|
|
| 30/10/2020 |
NCCL/RISK-044/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 30/10/2020 |
NCCL/RISK-043/2020 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 20/10/2020 |
NCCL/CLEARING-056/2020 |
Clearing |
Final Settlement Price of Futures and Options in Goods contracts expired on October 20, 2020 |
|
|
| 08/10/2020 |
NCCL/CLEARING-055/2020 |
Clearing |
Tax Collected at Source on Sale of Goods |
|
|
| 01/10/2020 |
NCCL/MEMBERSHIP-003/2020 |
Membership |
Extension for Submission of undertaking pursuant to SOP in the cases of Trading Member / Clearing Member leading to default |
|
|
| 30/09/2020 |
NCCL/CLEARING-054/2020 |
Clearing |
Final Settlement Price of contracts expired on September 30, 2020 |
|
|
| 30/09/2020 |
NCCL/RISK-042/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 30/09/2020 |
NCCL/RISK-041/2020 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 29/09/2020 |
NCCL/CLEARING-053/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the futures and options contracts expiring in October 2020
|
|
|
| 29/09/2020 |
NCCL/COMPLIANCE-018/2020 |
Compliance |
Recovery of assets of defaulter member and recovery of funds from debit balance clients of defaulter member for meeting the obligations of clients / Stock Exchange / Clearing Corporation |
|
|
| 23/09/2020 |
NCCL/RISK-040/2020 |
Risk Management |
Client Margin Reporting |
|
|
| 23/09/2020 |
NCCL/RISK-039/2020 |
Risk Management |
Alternate Risk Management Framework Applicable in case of Near Zero and Negative Prices
|
|
|
| 18/09/2020 |
NCCL/RISK-038/2020 |
Risk Management |
Concentration Margin โ Revision in Threshold Level for Chana (CHANA) |
|
|
| 18/09/2020 |
NCCL/CLEARING-052/2020 |
Clearing |
Final Settlement Price of contracts expired on September 18, 2020 |
|
|
| 08/09/2020 |
NCCL/COMPLIANCE-017/2020 |
Compliance |
Exemption in levy of client margin reporting penalty |
|
|
| 07/09/2020 |
NCCL/MEMBERSHIP-002/2020 |
Membership |
Submission of undertaking pursuant to SOP in the cases of Trading Member / Clearing Member leading to default |
|
|
| 02/09/2020 |
NCCL/RISK-037/2020 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 02/09/2020 |
NCCL/RISK-036/2020 |
Risk Management |
Revision in Concentration Margin Threshold Level |
|
|
| 31/08/2020 |
NCCL/RISK-035/2020 |
Risk Management |
No Lean Period for Refined Soy Oil (SYOREF) |
|
|
| 31/08/2020 |
NCCL/RISK-034/2020 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities
|
|
|
| 31/08/2020 |
NCCL/RISK-033/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 31/08/2020 |
NCCL/CLEARING-051/2020 |
Clearing |
Final Settlement Price of contracts expired on August 31, 2020 |
|
|
| 28/08/2020 |
NCCL/CLEARING-050/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in September 2020
|
|
|
| 25/08/2020 |
NCCL/CLEARING-049/2020 |
Clearing |
Margin Obligations to be given by way of Pledge/ Re-pledge |
|
|
| 20/08/2020 |
NCCL/CLEARING-048/2020 |
Clearing |
Final Settlement Price of contracts expired on August 20, 2020 |
|
|
| 11/08/2020 |
NCCL/LOGISTICS-010/2020 |
Logistics |
Acceptance of Surrender of empanelment by M/s. Kalyx Warehousing Private Limited as Warehouse Service Provider |
|
|
| 31/07/2020 |
NCCL/CLEARING-047/2020 |
Clearing |
Final Settlement Price of contracts expired on July 31, 2020 |
|
|
| 31/07/2020 |
NCCL/RISK-032/2020 |
Risk Management |
Collateral โ Yes Bank Limited |
|
|
| 31/07/2020 |
NCCL/RISK-031/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 31/07/2020 |
NCCL/RISK-030/2020 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 31/07/2020 |
NCCL/CLEARING-046/2020 |
Clearing |
Margin Obligations to be given by way of Pledge/ Re-pledge - NCCL Account Details |
|
|
| 30/07/2020 |
NCCL/RISK-029/2020 |
Risk Management |
Margin Obligations to be given by way of Pledge/ Re-pledge - Margin Monitoring
|
|
|
| 30/07/2020 |
NCCL/COMPLIANCE-016/2020 |
Compliance |
Implementation of SEBI circular on Margin obligations to be given by way of Pledge / Re-pledge in the Depository System |
|
|
| 30/07/2020 |
NCCL/CLEARING-045/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in August 2020 |
|
|
| 29/07/2020 |
NCCL/COMPLIANCE-015/2020 |
Compliance |
Relaxation in timelines for compliance with regulatory requirements |
|
|
| 28/07/2020 |
NCCL/CLEARING-044/2020 |
Clearing |
Margin Obligations to be given by way of Pledge/ Re-pledge |
|
|
| 24/07/2020 |
NCCL/RISK-028/2020 |
Risk Management |
Margins for Options in Goods Contract on Rapeseed - Mustard Seed,Wheat and Maize - Feed/Industrial Grade
|
|
|
| 22/07/2020 |
NCCL/CLEARING-043/2020 |
Clearing |
Framework to Enable Verification of Upfront Collection of Margins from Clients in Cash and Derivatives segments
|
|
|
| 21/07/2020 |
NCCL/FINANCE-005/2020
|
F&A |
Risk Management Fee and Physical Delivery Charges - Options in Goods |
|
|
| 21/07/2020 |
NCCL/CLEARING-042/2020 |
Clearing |
Options in Goods - Clearing & Settlement Procedures |
|
|
| 21/07/2020 |
NCCL/CLEARING-041/2020 |
Clearing |
Framework to Enable Verification of Upfront Collection of Margins from Clients in Cash and Derivatives segments
|
|
|
| 20/07/2020 |
NCCL/CLEARING-040/2020 |
Clearing |
Final Settlement Price of contracts expired on July 20 2020 |
|
|
| 17/07/2020 |
NCCL/CLEARING-039/2020 |
Clearing |
Final Settlement Price of contracts expired on July 17, 2020 |
|
|
| 15/07/2020 |
NCCL/COMPLIANCE-014/2020 |
Compliance |
Penalty structure related to the provisions of Handling of Clientsโ Securities by Clearing Member |
|
|
| 13/07/2020 |
NCCL/CLEARING-038/2020 |
Clearing |
Settlement Price of Option Contracts expired on July 13, 2020 |
|
|
| 10/07/2020 |
NCCL/LOGISTICS-009/2020 |
Logistics |
Acceptance of Surrender of empanelment by M/s. Nokha Agro Services Pvt Ltd as Warehouse Service Provider (WSP) |
|
|
| 02/07/2020 |
NCCL/COMPLIANCE-013/2020 |
Compliance |
Standard Operating Procedure in the cases of Trading Member / Clearing Member leading to default |
|
|
| 30/06/2020 |
NCCL/CLEARING-037/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in July 2020 |
|
|
| 30/06/2020 |
NCCL/CLEARING-036/2020 |
Clearing |
Cut-off Time for Determining Minimum Threshold of Margins to be Collected from Clients |
|
|
| 30/06/2020 |
NCCL/CLEARING-035/2020 |
Clearing |
Acceptance of Collaterals - Bank Guarantee (BG) and Fixed Deposit Receipt (FDR) at Delhi office |
|
|
| 30/06/2020 |
NCCL/RISK-027/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 30/06/2020 |
NCCL/RISK-026/2020 |
Risk Management |
Approved Securities under Scheme of Deposit - List of Eligible Securities |
|
|
| 30/06/2020 |
NCCL/CLEARING-034/2020 |
Clearing |
Final Settlement Price of contracts expired on June 30, 2020 |
|
|
| 26/06/2020 |
NCCL/RISK-025/2020 |
Risk Management |
Format of Report downloads - Risk Management |
|
|
| 22/06/2020 |
NCCL/COMPLIANCE-012/2020 |
Compliance |
Relaxation in timelines for compliance with regulatory requirements |
|
|
| 19/06/2020 |
NCCL/CLEARING-033/2020 |
Clearing |
Final Settlement Price of contracts expired on June 19, 2020 |
|
|
| 18/06/2020 |
NCCL/RISK-024/2020 |
Risk Management |
Spread margin benefit in a commodity complex |
|
|
| 12/06/2020 |
NCCL/CLEARING-032/2020 |
Clearing |
Settlement Price of Option Contracts expired on June 12 2020 |
|
|
| 02/06/2020 |
NCCL/CLEARING-031/2020 |
Clearing |
Cyclonic storm Nisarga - Advisory for Members |
|
|
| 01/06/2020 |
NCCL/COMPLIANCE-011/2020 |
Compliance |
Implementation of provision regarding Power of Attorney in circular dated February 25, 2020 - Extension |
|
|
| 29/05/2020 |
NCCL/RISK-022/2020 |
Risk Management |
Approved Securities under Scheme of Deposit - List of Eligible Securities |
|
|
| 29/05/2020 |
NCCL/RISK-023/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 29/05/2020 |
NCCL/LOGISTICS-008/2020 |
Logistics |
Guidelines for identification and selection of location as a delivery centre(s) for commodity derivatives contract |
|
|
| 29/05/2020 |
NCCL/CLEARING-030/2020 |
Clearing |
Final Settlement Price of contract expired on May 29 2020 |
|
|
| 28/05/2020 |
NCCL/CLEARING-029/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in June 2020 |
|
|
| 27/05/2020 |
NCCL/CLEARING-028/2020 |
Clearing |
Settlement Price of Guarseed Option contract expired on May 27, 2020 |
|
|
| 26/05/2020 |
NCCL/COMPLIANCE-010/2020 |
Compliance |
Implementation of Circular on โMargin obligations to be given by way of Pledge / Re-pledge in the Depository Systemโ - Extension |
|
|
| 22/05/2020 |
NCCL/CLEARING-027/2020 |
Clearing |
Daily Settlement Price and Final Settlement Price for Index Futures Contract |
|
|
| 22/05/2020 |
NCCL/RISK-021/2020 |
Risk Management |
Margins for Index Futures Contracts on NCDEX AGRIDEX |
|
|
| 21/05/2020 |
NCCL/FINANCE-004/2020 |
F&A |
Risk Management Fee - AGRIDEX |
|
|
| 20/05/2020 |
NCCL/CLEARING-026/2020 |
Clearing |
Final Settlement Price of contracts expired on May 20, 2020 |
|
|
| 15/05/2020 |
NCCL/LEGAL-002/2020 |
Legal |
Notification from Government of Rajasthan on collection of Krishi Kalyan Cess on agriculture produce |
|
|
| 15/05/2020 |
NCCL/COMPLIANCE-009/2020 |
Compliance |
Relaxation in timelines for compliance with regulatory requirements |
|
|
| 13/05/2020 |
NCCL/CLEARING-025/2020 |
Clearing |
Settlement Price of Option Contracts expired on May 13, 2020 |
|
|
| 12/05/2020 |
NCCL/RISK-020/2020 |
Risk Management |
Withdrawal of Additional Margin on Soy Bean (SYBEANIDR), Refined Soy Oil (SYOREF) and Rapeseed-Mustard Seed (RMSEED) |
|
|
| 11/05/2020 |
NCCL/COMPLIANCE-008/2020 |
Compliance |
General advisory on due diligence and risk management |
|
|
| 11/05/2020 |
NCCL/LOGISTICS-007/2020 |
Logistics |
Intimation regarding Surrender of empanelment by M/s. Nokha Agro Services Pvt Ltd as Warehouse Service Provider (WSP) |
|
|
| 04/05/2020 |
NCCL/CLEARING-024/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in May 2020 |
|
|
| 30/04/2020 |
NCCL/LOGISTICS-006/2020 |
Logistics |
Intimation regarding surrender of empanelment by Kalyx as Warehouse Service Provider (WSP) |
|
|
| 30/04/2020 |
NCCL/CLEARING-023/2020 |
Clearing |
Final Settlement Price of contracts expired on April 30 2020 |
|
|
| 29/04/2020 |
NCCL/CLEARING-022/2020 |
Clearing |
Settlement Price of Guarseed Option contract expired on April 29 2020 |
|
|
| 28/04/2020 |
NCCL/RISK-019/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 28/04/2020 |
NCCL/RISK-018/2020 |
Risk Management |
Approved Securities under Scheme of Deposit - List of Eligible Securities |
|
|
| 24/04/2020 |
NCCL/RISK-017/2020 |
Risk Management |
Lean Period in Agriculture Commodities |
|
|
| 23/04/2020 |
NCCL/COMPLIANCE-007/2020 |
Compliance |
Internal Audit of Clearing Members of NCCL |
|
|
| 23/04/2020 |
NCCL/COMPLIANCE-006/2020 |
Compliance |
Relaxation in timelines for compliance with regulatory requirements by trading members / clearing members |
|
|
| 20/04/2020 |
NCCL/RISK-016/2020 |
Risk Management |
Lean Period in Agriculture Commodities |
|
|
| 17/04/2020 |
NCCL/LOGISTICS-005/2020 |
Logistics |
Booking Charges on Deposit Quantity |
|
|
| 17/04/2020 |
NCCL/COMPLIANCE-005/2020 |
Compliance |
Relaxation in timelines for compliance with regulatory requirements by trading members / clearing members |
|
|
| 17/04/2020 |
NCCL/RISK-015/2020 |
Risk Management |
Cyber Security Advisory Covid-19 Pandemic |
|
|
| 13/04/2020 |
NCCL/MEMBERSHIP-001/2020 |
Membership |
Submission of Half Yearly Net worth Certificate as on March 31 2020 |
|
|
| 07/04/2020 |
NCCL/LOGISTICS-004/2020 |
Logistics |
Consolidated Circular- Warehousing Operations |
|
|
| 07/04/2020 |
NCCL/CLEARING-020/2020 |
Clearing |
Consolidated Circular - Clearing & Settlement Procedures |
|
|
| 07/04/2020 |
NCCL/CLEARING-019/2020 |
Clearing |
Consolidated Circular - Collateral Formats |
|
|
| 31/03/2020 |
NCCL/CLEARING-018/2020 |
Clearing |
Final Settlement Price of contract expired on March 31 2020 |
|
|
| 31/03/2020 |
NCCL/CLEARING-017/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in April 2020 |
|
|
| 31/03/2020 |
NCCL/FINANCE-003/2020 |
F&A |
Amendment to Indian Stamp (Collection of Stamp Duty through Stock Exchanges, Clearing Corporations and Depositories) Rules, 2019 |
|
|
| 31/03/2020 |
NCCL/CLEARING-016/2020 |
Clearing |
Cut-off Time for Determining Minimum Threshold of Margins to be Collected from Clients |
|
|
| 27/03/2020 |
NCCL/RISK-014/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 27/03/2020 |
NCCL/RISK-013/2020 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 26/03/2020 |
NCCL/RISK-012/2020 |
Risk Management |
Additional Margin on Soy Bean (SYBEANIDR), Refined Soy Oil (SYOREF) and Rapeseed-Mustard Seed (RMSEED) |
|
|
| 25/03/2020 |
NCCL/CLEARING-015/2020 |
Clearing |
Settlement Price of Guarseed Option contract expired on March 25, 2020 |
|
|
| 25/03/2020 |
NCCL/COMPLIANCE-004/2020 |
Compliance |
SEBI Notification COVID 19 |
|
|
| 23/03/2020 |
NCCL/COMPLIANCE-003/2020 |
Compliance |
Order of Brihanmumbai Mahanagarpalika |
|
|
| 20/03/2020 |
NCCL/CLEARING-014/2020 |
Clearing |
Final Settlement Price of contracts expired on March 20, 2020 |
|
|
| 16/03/2020 |
NCCL/LOGISTICS-003/2020 |
Logistics |
Collection of Assaying Charges |
|
|
| 13/03/2020 |
NCCL/CLEARING-013/2020 |
Clearing |
Settlement Price of Option Contracts expired on March 13, 2020 |
|
|
| 09/03/2020 |
NCCL/CLEARING-012/2020 |
Clearing |
Settlement Price of Option Contracts expired on March 09, 2020 |
|
|
| 06/03/2020 |
NCCL/RISK-011/2020 |
Risk Management |
Collateral โ Yes Bank Limited |
|
|
| 04/03/2020 |
NCCL/RISK-010/2020 |
Risk Management |
Review of Norms Regarding Matched Books for Commodity Derivatives Segment |
|
|
| 02/03/2020 |
NCCL/RISK-009/2020 |
Risk Management |
Additional Margin on Soy Bean (SYBEANIDR) and Refined Soy Oil (SYOREF) |
|
|
| 28/02/2020 |
NCCL/CLEARING-011/2020 |
Clearing |
Final Settlement Price of contracts expired on February 28, 2020 |
|
|
| 28/02/2020 |
NCCL/RISK-008/2020 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 28/02/2020 |
NCCL/CLEARING-010/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in March 2020 |
|
|
| 27/02/2020 |
NCCL/RISK-007/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 26/02/2020 |
NCCL/COMPLIANCE-002/2020 |
Compliance |
Margin obligations to be given by way of Pledge / Re-pledge in the Depository System |
|
|
| 26/02/2020 |
NCCL/CLEARING-009/2020 |
Clearing |
Settlement Price of Guarseed Option contract expired on February 26, 2020 |
|
|
| 20/02/2020 |
NCCL/CLEARING-008/2020 |
Clearing |
Final Settlement Price of contracts expired on February 20, 2020 |
|
|
| 18/02/2020 |
NCCL/RISK-006/2020 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 12/02/2020 |
NCCL/ENFORCEMENT-002/2020 |
Enforcement |
Suspension of Members |
|
|
| 12/02/2020 |
NCCL/ENFORCEMENT-001/2020 |
Enforcement |
Declaration of Defaulters |
|
|
| 11/02/2020 |
NCCL/RISK-005/2020 |
Risk Management |
Margin Framework for Commodity Derivatives Segment |
|
|
| 10/02/2020 |
NCCL/CLEARING-007/2020
|
Clearing |
Settlement Price of Option Contracts expired on February 10, 2020 |
|
|
| 31/01/2020 |
NCCL/RISK-004/2020 |
Risk Management |
Format of Report downloads - Risk Management |
|
|
| 31/01/2020 |
NCCL/CLEARING-006/2020 |
Clearing |
Final Settlement Price of contract expired on January 31, 2020 |
|
|
| 29/01/2020 |
NCCL/LOGISTICS-002/2020 |
Logistics |
Bulk deposit of Wheat in Silos |
|
|
| 29/01/2020 |
NCCL/RISK-003/2020 |
Risk Management |
Review of Margin Framework for Commodity Derivatives Segment |
|
|
| 29/01/2020 |
NCCL/RISK-002/2020 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 29/01/2020 |
NCCL/RISK-001/2020 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 29/01/2020 |
NCCL/CLEARING-005/2020 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in February 2020 |
|
|
| 29/01/2020 |
NCCL/CLEARING-004/2020 |
Clearing |
Settlement Price of Guarseed Option contract expired on January 29, 2020 |
|
|
| 24/01/2020 |
NCCL/CLEARING-003/2020 |
Clearing |
Funds payin and payout of trades of February 01, 2020 |
|
|
| 20/01/2020 |
NCCL/CLEARING-002/2020 |
Clearing |
Final Settlement Price of contracts expired on January 20, 2020 |
|
|
| 15/01/2020 |
NCCL/COMPLIANCE-001/2020 |
Compliance |
Declaration of Defaulter โ M/s. Fairwealth Commodity Broking Private Limited |
|
|
| 10/01/2020 |
NCCL/CLEARING-001/2020 |
Clearing |
Settlement Price of Option Contracts expired on January 10, 2020 |
|
|
| 09/01/2020 |
NCCL/LEGAL-001/2020 |
Legal |
Amendment to Indian Stamp (Collection of Stamp Duty through Stock Exchanges, Clearing Corporations and Depositories) Rules, 2019 |
|
|
| 08/01/2020 |
NCCL/LOGISTICS-001/2020 |
Logistics |
Revision in Know Your Depositor (KYD) formats |
|
|
| 01/01/2020 |
NCCL/FINANCE-001/2020 |
F&A |
Collection of Stamp Duty by Clearing Corporation |
|
|
| 06/01/2020 |
NCCL/FINANCE-002/2020 |
F&A |
Contribution by a non-defaulting member in the Default waterfall of Clearing Corporations |
|
|
| 31/12/2019 |
NCCL/RISK-038/2019 |
Risk Management |
Imposition of Additional Margin on Refined Soy Oil (SYOREF) |
|
|
| 31/12/2019 |
NCCL/CLEARING-092/2019 |
Clearing |
Final Settlement Price of contract expired on December 31, 2019 |
|
|
| 27/12/2019 |
NCCL/RISK-037/2019 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 27/12/2019 |
NCCL/RISK-036/2019
|
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 27/12/2019 |
NCCL/CLEARING-091/2019 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in January 2020 |
|
|
| 26/12/2019 |
NCCL/CLEARING-090/2019 |
Clearing |
Settlement Price of Guarseed Option contract expired on December 26 2019 |
|
|
| 23/12/2019 |
NCCL/CLEARING-089/2019 |
Clearing |
Settlement holidays for the Calendar year 2020 |
|
|
| 20/12/2019 |
NCCL/RISK-035/2019 |
Risk Management |
Imposition of Additional Margin on Soy Bean (SYBEANIDR) |
|
|
| 20/12/2019 |
NCCL/COMPLIANCE-015/2019 |
Compliance |
Rationalization of imposition of fines for false / incorrect reporting of margins by Clearing Members |
|
|
| 20/12/2019 |
NCCL/CLEARING-088/2019 |
Clearing |
Final Settlement Price of contracts expired on December 20, 2019 |
|
|
| 13/12/2019 |
NCCL/CLEARING-087/2019 |
Clearing |
Final Settlement Price of contract expired on December 13, 2019 |
|
|
| 10/12/2019 |
NCCL/CLEARING-086/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on December 10, 2019 |
|
|
| 10/12/2019 |
NCCL/CLEARING-085/2019 |
Clearing |
Settlement Price of Option Contracts expired on December 10 2019 |
|
|
| 03/12/2019 |
NCCL/CLEARING-084/2019
|
Clearing |
Cut-off Time for Determining Minimum Threshold of Margins to be collected from Clients |
|
|
| 29/11/2019 |
NCCL/CLEARING-083/2019 |
Clearing |
Final Settlement Price of contracts expired on November 29 2019 |
|
|
| 29/11/2019 |
NCCL/RISK-034/2019 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 28/11/2019 |
NCCL/CLEARING-082/2019 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in December 2019 |
|
|
| 28/11/2019 |
NCCL/RISK-033/2019 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 27/11/2019 |
NCCL/CLEARING-081/2019
|
Clearing |
Settlement Price of Guarseed Option contract expired on November 27, 2019 |
|
|
| 20/11/2019 |
NCCL/CLEARING-080/2019
|
Clearing |
Final Settlement Price of contracts expired on November 20, 2019
|
|
|
| 11/11/2019 |
NCCL/CLEARING-079/2019 |
Clearing |
Acceptance of Fixed Deposit Receipts (FDRs) in electronic form |
|
|
| 08/11/2019 |
NCCL/CLEARING-078/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on November 08, 2019 |
|
|
| 08/11/2019 |
NCCL/CLEARING-077/2019 |
Clearing |
Settlement Price of Options Contract expired on November 08 2019 |
|
|
| 01/11/2019 |
NCCL/MEMBERSHIP-006/2019 |
Membership |
Extension of time for submission of Annual Return 2018-19 |
|
|
| 31/10/2019 |
NCCL/CLEARING-076/2019 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on October 31 2019 |
|
|
| 31/10/2019 |
NCCL/CLEARING-075/2019 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in November 2019 |
|
|
| 30/10/2019 |
NCCL/RISK-032/2019 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 30/10/2019 |
NCCL/CLEARING-074/2019 |
Clearing |
Settlement Price of Guarseed Option contract expired on October 30, 2019 |
|
|
| 25/10/2019 |
NCCL/RISK-031/2019 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 24/10/2019 |
NCCL/COMPLIANCE-014/2019 |
Compliance |
Internal Audit of Clearing Members of NCCL |
|
|
| 22/10/2019 |
NCCL/MEMBERSHIP-005/2019 |
Membership |
Submission of Half Yearly Net worth Certificate as on September 30, 2019 |
|
|
| 18/10/2019 |
NCCL/CLEARING-073/2019 |
Clearing |
Final Settlement Price of contracts expired on October 18, 2019 |
|
|
| 17/10/2019 |
NCCL/RISK-030/2019 |
Risk Management |
Revision in client level Concentration Margin in Barley, Coriander, Guar Gum,Guar Seed, Jeera and Turmeric contracts |
|
|
| 16/10/2019 |
NCCL/RISK-029/2019 |
Risk Management |
Revision in Pre-Expiry Margins |
|
|
| 15/10/2019 |
NCCL/RISK-028/2019 |
Risk Management |
Revision in client level Concentration Margin in Castor Seed (CASTOR) contracts |
|
|
| 10/10/2019 |
NCCL/CLEARING-072/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on October 10, 2019 |
|
|
| 10/10/2019 |
NCCL/CLEARING-071/2019 |
Clearing |
Settlement holiday and Revised Settlement Calendar and timelines for submission of delivery intentions for all Contracts expiring in October 2019 |
|
|
| 10/10/2019 |
NCCL/CLEARING-070/2019 |
Clearing |
Settlement Price of Options Contract expired on October 10, 2019 |
|
|
| 07/10/2019 |
NCCL/RISK-027/2019 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 04/10/2019 |
NCCL/RISK-026/2019 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 03/10/2019 |
NCCL/RISK-025/2019 |
Risk Management |
Regaining Match Book of Castor Seed contracts |
|
|
| 01/10/2019 |
NCCL/RISK-024/2019 |
Risk Management |
Partial Tear up of Clientsโ positions for Castor Seed contract (CASTOR) |
|
|
| 01/10/2019 |
NCCL/RISK- 023/2019 |
Risk Management |
Partial Tear Up of participants positions for Castor Seed (CASTOR) |
|
|
| 01/10/2019 |
NCCL/RISK-022/2019 |
Risk Management |
Voluntary Tear Up of participants positions for Castor Seed (CASTOR) |
|
|
| 01/10/2019 |
NCCL/RISK-021/2019 |
Risk Management |
Auction of Open positions for Castor Seed (CASTOR) |
|
|
| 01/10/2019 |
NCCL/RISK-020/2019 |
Risk Management |
Relaxation in Daily Price Limit - Castor Seed Futures Contracts |
|
|
| 30/09/2019 |
NCCL/CLEARING-069/2019 |
Clearing |
Revised Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in October 2019 |
|
|
| 30/09/2019 |
NCCL/CLEARING-068/2019 |
Clearing |
Castor Seed (CASTOR) Futures Contracts |
|
|
| 30/09/2019 |
NCCL/CLEARING-067/2019 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on September 30 2019 |
|
|
| 27/09/2019 |
NCCL/CLEARING-066/2019 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in October 2019 |
|
|
| 26/09/2019 |
NCCL/RISK-019/2019 |
Risk Management |
Withdrawal of proposed Additional Margins โ Castor Seed (CASTOR) |
|
|
| 26/09/2019 |
NCCL/CLEARING-065/2019 |
Clearing |
Castor Seed (CASTOR) Futures Contracts |
|
|
| 25/09/2019 |
NCCL/CLEARING-064/2019 |
Clearing |
Settlement Price of Guarseed Option contract expired on September 25, 2019 |
|
|
| 24/09/2019 |
NCCL/RISK-018/2019 |
Risk Management |
Additional and Pre-Expiry Margins โ Castor Seed (CASTOR) |
|
|
| 20/09/2019 |
NCCL/CLEARING-063/2019 |
Clearing |
Final Settlement Price of contracts expired on September 20 2019 |
|
|
| 16/09/2019 |
NCCL/RISK-017/2019 |
Risk Management |
Format of Report downloads - Risk Management |
|
|
| 13/09/2019 |
NCCL//CLEARING-062/2019 |
Clearing |
Format of Report downloads for Clearing and Settlement |
|
|
| 09/09/2019 |
NCCL/CLEARING-061/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on September 09, 2019 |
|
|
| 09/09/2019 |
NCCL/LOGISTICS-006/2019 |
Logistics |
Change in empanelment of NBHC as WSP for multiple commodities to single commodity |
|
|
| 09/09/2019 |
NCCL/CLEARING-060/2019 |
Clearing |
Settlement Price of Chana Option Contract expired on September 09 2019 |
|
|
| 30/08/2019 |
NCCL/CLEARING-059/2019 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on August 30, 2019 |
|
|
| 30/08/2019 |
NCCL/COMPLIANCE-013/2019 |
Compliance |
Handling of Clientsโ Securities by Trading Members/Clearing Members |
|
|
| 30/08/2019 |
NCCL/RISK-016/2019 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 28/08/2019 |
NCCL/RISK-015/2019 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 28/08/2019 |
NCCL/CLEARING-058/2019 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in September 2019 |
|
|
| 28/08/2019 |
NCCL/CLEARING-057/2019
|
Clearing |
Settlement Price of Guarseed Option contract expired on August 28, 2019 |
|
|
| 26/08/2019 |
NCCL/CLEARING-056/2019 |
Clearing |
Modification in minimum validity period in case of Fixed Deposit Receipt (FDR) as collaterals in electronic form (E-FDR) |
|
|
| 20/08/2019 |
NCCL/CLEARING-054/2019 |
Clearing |
Transition towards Exchange specific eNWR for settlement of delivery obligations |
|
|
| 20/08/2019 |
NCCL/CLEARING-055/2019 |
Clearing |
Final Settlement Price of contracts expired on August 20 2019 |
|
|
| 19/08/2019 |
NCCL/COMPLIANCE-012/2019 |
Compliance |
Declaration of Defaulter โ M/s Guiness Commodities Private Limited |
|
|
| 19/08/2019 |
NCCL/CLEARING-053/2019 |
Clearing |
Acceptance of Collaterals - Bank Guarantee (BG) and Fixed Deposit Receipt (FDR) at Delhi office |
|
|
| 09/08/2019 |
NCCL/CLEARING-052/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on August 09, 2019 |
|
|
| 09/08/2019 |
NCCL/CLEARING-051/2019 |
Clearing |
Settlement Price of Chana Option Contract expired on August 09 2019 |
|
|
| 02/08/2019 |
NCCL/COMPLIANCE-011/2019 |
Compliance |
Rationalization of imposition of fines for false/incorrect reporting of margins or non-reporting of margins by Trading Member/Clearing Member in all segments |
|
|
| 02/08/2019 |
NCCL/MEMBERSHIP-004/2019 |
Membership |
Submission of Annual Return for the FY 2018-19 |
|
|
| 31/07/2019 |
NCCL/RISK-014/2019 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 31/07/2019 |
NCCL/RISK-013/2019 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 31/07/2019 |
NCCL/CLEARING-050/2019 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on July 31 2019 |
|
|
| 31/07/2019 |
NCCL/CLEARING-049/2019 |
Clearing |
Settlement Price of Guarseed Option contract expired on July 31, 2019 |
|
|
| 30/07/2019 |
NCCL/CLEARING-048/2019 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in August 2019 |
|
|
| 29/07/2019 |
NCCL/RISK-012/2019 |
Risk Management |
Revision in Pre-Expiry Margins of Undecorticated Cotton Seed Oil Cake Akola (COCUDAKL) Futures contract |
|
|
| 19/07/2019 |
NCCL/CLEARING-047/2019 |
Clearing |
Final Settlement Price of contracts expired on July 19 2019 |
|
|
| 25/02/2019 |
NCCL/COMPLIANCE-005/2019 |
Compliance |
Order in respect of M/s. India Infoline Commodities Limited (now known as โIIFL Commodities Limitedโ) |
Resource Not Found |
|
| 10/07/2019 |
NCCL/CLEARING-046/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on July 10, 2019 |
|
|
| 10/07/2019 |
NCCL/CLEARING-045/2019 |
Clearing |
Settlement Price of Options contract expired on July 10, 2019 |
|
|
| 28/06/2019 |
NCCL/CLEARING-044/2019 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on June 28, 2019 |
|
|
| 28/06/2019 |
NCCL/RISK-011/2019 |
Risk Management |
Scheme of deposit for acceptance of Agricultural Commodities as Additional Base Capital |
|
|
| 27/06/2019 |
NCCL/CLEARING-043/2019 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in July 2019 |
|
|
| 27/06/2019 |
NCCL/RISK-010/2019 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral |
|
|
| 26/06/2019 |
NCCL/CLEARING-042/2019 |
Clearing |
Settlement Price of Guarseed Option contract expired on June 26, 2019 |
|
|
| 24/06/2019 |
NCCL/RISK-009/2019 |
Risk Management |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 21/06/2019 |
NCCL/COMPLIANCE-010/2019 |
Compliance |
Handling of Clientsโ Securities by Trading Members/Clearing Members |
|
|
| 20/06/2019 |
NCCL/CLEARING-041/2019 |
Clearing |
Final Settlement Price of contracts expired on June 20 2019 |
|
|
| 19/06/2019 |
NCCL/CLEARING-040/2019 |
Clearing |
Transition towards Exchange specific eNWR for settlement of delivery obligations. |
|
|
| 12/06/2019 |
NCCL/RISK-008/2019 |
Risk Management |
Concentration Margin โ Revision in Concentration Margin and Threshold Level |
|
|
| 10/06/2019 |
NCCL/CLEARING-039/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on June 10, 2019 |
|
|
| 10/06/2019 |
NCCL/CLEARING-038/2019 |
Clearing |
Settlement Price of Options contract expired on June 10, 2019 |
|
|
| 03/06/2019 |
NCCL/RISK-007/2019 |
Risk Management |
Withdrawal of Additional charges on physical holding |
|
|
| 31/05/2019 |
NCCL/CLEARING-037/2019 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on May 31, 2019 |
|
|
| 31/05/2019 |
NCCL/CLEARING-036/2019 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in June 2019 |
|
|
| 29/05/2019 |
NCCL/CLEARING-035/2019 |
Clearing |
Settlement Price of Guarseed Option contract expired on May 29, 2019 |
|
|
| 24/05/2019 |
NCCL/RISK-006/2019 |
Risk Management |
Revision in MPOR and Pre Expiry Margins of Castor Seed (CASTOR) Futures contracts |
|
|
| 22/05/2019 |
NCCL/LOGISTICS-005/2019 |
Logistics |
Modifications in Contract Specifications of Turmeric (TMCFGRNZM) |
|
|
| 20/05/2019 |
NCCL/CLEARING-034/2019 |
Clearing |
Final Settlement Price of contracts expired on May 20, 2019 |
|
|
| 10/05/2019 |
NCCL/CLEARING-032/2019 |
Clearing |
Settlement Price of Options contract expired on May 10, 2019 |
|
|
| 10/05/2019 |
NCCL/CLEARING-033/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on May 10, 2019 |
|
|
| 08/05/2019 |
NCCL/RISK- 005/2019 |
Risk Management |
Scheme of deposit for acceptance of Mutual Fund Units as collateral - Additional list |
|
|
| 30/04/2019 |
NCCL/CLEARING-031/2019 |
Clearing |
Final Settlement Price of contracts expired on April 30, 2019 |
|
|
| 26/04/2019 |
NCCL/CLEARING-030/2019 |
Clearing & Settlement |
Settlement Calendar and timelines for submission of delivery intentions for all the contracts expiring in May 2019 |
|
|
| 24/04/2019 |
NCCL/CLEARING-029/2019 |
Clearing |
Settlement Price of Guarseed Option Contract expired on April 24, 2019 |
|
|
| 23/04/2019 |
NCCL/COMPLIANCE-009/2019 |
Compliance |
Internal Audit of Clearing Members of NCCL |
|
|
| 18/04/2019 |
NCCL/MEMBERSHIP-003/2019 |
Membership |
Submission of Half Yearly Net worth Certificate as on March 31, 2019 |
|
|
| 18/04/2019 |
NCCL/CLEARING-028/2019 |
Clearing |
Early Pay-in Facility for Farmer Producer Organisation (FPO) |
|
|
| 16/04/2019 |
NCCL/LOGISTICS-004/2019 |
Logistic |
Revision in booking quantity and booking charges of warehouse space
reservation system |
|
|
| 16/04/2019 |
NCCL/CLEARING-027/2019 |
Clearing |
Final Settlement Price of contracts expired on April 16 2019 |
|
|
| 12/04/2019 |
NCCL/MEMBERSHIP-002/2019 |
Membership |
Membership Annual Fees |
|
|
| 10/04/2019 |
NCCL/CLEARING-024/2019 |
Clearing |
Framework for Determination of Final Settlement Price (FSP) in case of
Unavailability of Polled Spot Price on Expiry Day |
|
|
| 10/04/2019 |
NCCL/CLEARING-025/2019 |
Clearing |
Settlement Price of Options contract expired on April 10, 2019 |
|
|
| 10/04/2019 |
NCCL/CLEARING--026/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on April 10, 2019 |
|
|
| 05/04/2019 |
NCCL/RISK-004/2019 |
Risk |
Spread margin benefit in a Commodity Complex |
|
|
| 29/03/2019 |
NCCL/RISK-002/2019 |
Risk |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 29/03/2019 |
NCCL/RISK-003/2019 |
Risk |
Scheme of deposit for acceptance of Mutual Fund Units as Collateral |
|
|
| 29/03/2019 |
NCCL/CLEARING-23/2019 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on March 29, 2019 |
|
|
| 28/03/2019 |
NCCL/CLEARING-22/2019 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all
the contracts expiring in April 2019 |
|
|
| 27/03/2019 |
NCCL/CLEARING-21/2019 |
Clearing |
Settlement Price of Guarseed Option Contract expired on March 27, 2019 |
|
|
| 26/03/2019 |
NCCL/CLEARING-20/2019 |
Clearing |
Settlement holiday on April 29, 2019 |
|
|
| 20/03/2019 |
NCCL/CLEARING-019/2019 |
Clearing |
Final Settlement Price of Sugar (M Grade) contract expired on March 20, 2019 |
|
|
| 19/03/2019 |
NCCL/CLEARING-018/2019 |
Clearing |
Final Settlement Price of contracts expired on March 19 2019 |
|
|
| 08/03/2019 |
NCCL/RISK-001/2019 |
Risk |
Revision in Pre-Expiry Margins of Coriander (DHANIYA) Futures contract |
|
|
| 08/03/2019 |
NCCL/CLEARING-016/2019 |
Clearing |
Settlement Price of Options contract expired on March 08, 2019 |
|
|
| 08/03/2019 |
NCCL/CLEARING-017/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on March 08, 2019 |
|
|
| 07/03/2019 |
NCCL/CLEARING-015/2019 |
Clearing |
Adjustment of Delivery Margin (cash) with Delivery Pay-in obligation |
|
|
| 28/02/2019 |
NCCL/CLEARING-014/2019 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on February 28, 2019 |
|
|
| 27/02/2019 |
NCCL/CLEARING-012/2019 |
Clearing |
Settlement Price of Guarseed Option Contract expired on February 27, 2019 |
|
|
| 27/02/2019 |
NCCL/CLEARING-013/2019 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all
the contracts expiring in March 2019 |
|
|
| 26/02/2019 |
NCCL/COMPLIANCE-006/2019 |
Compliance |
Order in respect of M/s. Anand Rathi Commodities Limited |
|
|
| 26/02/2019 |
NCCL/COMPLIANCE-007/2019 |
Compliance |
Order in respect of M/s. Geofin Comtrade Limited (formerly known as
โGeojit Comtrade Limitedโ) |
|
|
| 26/02/2019 |
NCCL/CLEARING-011/2019 |
Clearing |
Transition towards Exchange specific eNWR for settlement of delivery obligation |
|
|
| 25/02/2019 |
NCCL/COMPLIANCE-004/2019 |
Compliance |
Order in respect of M/s. Motilal Oswal Commodities Broker Private Limited(MOCBPL) |
|
|
| 20/02/2019 |
NCCL/CLEARING-010/2019 |
Clearing |
Final Settlement Price of contracts expired on February 20 2019 |
|
|
| 19/02/2019 |
NCCL/COMPLIANCE-003/2019 |
Compliance |
Advisory Committee at Market Infrastructure Institutions (MIIs) |
|
|
| 14/02/2019 |
NCCL/CLEARING-009/2019 |
Clearing |
Transition towards Exchange specific eNWR for settlement of delivery obligation |
|
|
| 08/02/2019 |
NCCL/CLEARING-007/2019 |
Clearing |
Settlement Price of Options contract expired on February 08, 2019 |
|
|
| 08/02/2019 |
NCCL/CLEARING-008/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on February 08, 2019 |
|
|
| 06/02/2019 |
NCCL/COMPLIANCE-002/2019 |
Compliance |
Performance review of Public Interest Directors (PIDs) |
|
|
| 31/01/2019 |
NCCL/CLEARING-006/2019 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on January 31, 2019 |
|
|
| 30/01/2019 |
NCCL/CLEARING-004/2019 |
Clearing |
Settlement Price of Guarseed Option Contract expired on January 30, 2019 |
|
|
| 30/01/2019 |
NCCL/CLEARING-005/2019 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all
the contracts expiring in February 2019 |
|
|
| 22/01/2019 |
NCCL/COMPLIANCE-001/2019 |
Compliance |
Committees at Market Infrastructure Institutions (MIIs) |
|
|
| 21/01/2019 |
NCCL/LOGISTICS-003/2019 |
Logistics |
Revision in Warehouse Space Reservation (WSR) timelines |
|
|
| 21/01/2019 |
NCCL/MEMBERSHIP-001/2019 |
Membership |
TM - CM Agreement - Side Letter |
|
|
| 18/01/2019 |
NCCL/CLEARING-003/2019 |
Clearing |
Final Settlement Price of contracts expired on January 18, 2019 |
|
|
| 17/01/2019 |
NCCL/LOGISTICS-002/2019 |
Logistics |
Escalation procedure for handling complaints relating to Logistics and
Warehousing matters |
|
|
| 01/03/2019 |
NCCL/COMPLIANCE-008/2019 |
Compliance |
Order in respect of M/s. Phillip Commodities India Pvt. Ltd. (formerly known
as โMF Global Sify Securities India Ltd.โ) |
|
|
| 10/01/2019 |
NCCL/CLEARING-001/2019 |
Clearing |
Settlement Price of Options contract expired on January 10, 2019 |
|
|
| 10/01/2019 |
NCCL/CLEARING-002/2019 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract expired on January 10, 2019 |
|
|
| 01/01/2019 |
NCCL/LOGISTICS-001/2019 |
Logistics |
Contact details of Customer Service Group of empanelled Warehouse
Service Providers (WSPs) |
|
|
| 31/12/2018 |
NCCL/CLEARING-024/2018 |
Clearing |
Settlement holidays for the Calendar year 2019 |
|
|
| 31/12/2018 |
NCCL/CLEARING-025/2018 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on December 31, 2018 |
|
|
| 29/12/2018 |
NCCL/TECHNOLOGY-002/2018 |
Technology |
Go Live โ Repository system of NERL |
|
|
| 28/12/2018 |
NCCL/CLEARING-022/2018 |
Clearing |
Timings for marking delivery intentions |
|
|
| 28/12/2018 |
NCCL/CLEARING-023/2018 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all
the contracts expiring in January 2019 |
|
|
| 26/12/2018 |
NCCL/TECHNOLOGY-001/2018 |
Technology |
Go Live Mock -Transition towards Exchange specific eNWR on December 29,
2018 |
|
|
| 26/12/2018 |
NCCL/CLEARING-021/2018 |
Clearing |
Settlement Price of Options contract expired on December 26, 2018 |
|
|
| 23/12/2018 |
NCCL/FINANCE-003/2018 |
Finance |
Risk Management Fee and Clearing Fee |
|
|
| 21/12/2018 |
NCCL/MEMBERSHIP-006/2018 |
Membership |
Extension of timeline for Submission of Documents |
|
|
| 20/12/2018 |
NCCL/CLEARING-019/2018 |
Clearing |
Final Settlement Price of contracts expired on December 20, 2018 |
|
|
| 20/12/2018 |
NCCL/CLEARING-020/2018 |
Clearing |
Transition towards Exchange specific eNWR for settlement of delivery
obligations |
|
|
| 19/12/2018 |
NCCL/CLEARING-018/2018 |
Clearing |
Changes in timings of MTM pay-in, delivery intentions, collateral release due to
revised trade timings |
|
|
| 17/12/2018 |
NCCL/FINANCE-002/2018 |
Finance |
Risk Management Fee and Clearing Fee |
|
|
| 13/12/2018 |
NCCL/LOGISTICS-005/2018 |
Logistics |
Transactions in warehouses on Trading Holidays of the Exchange |
|
|
| 10/12/2018 |
NCCL/CLEARING-016/2018 |
Clearing |
Settlement Price of Options contract expired on December 10, 2018 |
|
|
| 12/10/2018 |
NCCL/COMPLIANCE-001/2018 |
Compliance |
Internal Audit of Clearing Members of NCCL |
|
|
| 12/10/2018 |
NCCL/MEMBERSHIP-003/2018 |
Membership |
Submission of Half Yearly Net worth Certificate as on September 30, 2018 |
|
|
| 10/12/2018 |
NCCL/CLEARING-017/2018 |
Clearing |
Settlement Price of Refined Soy Oil Option Contract December 10, 2018 |
|
|
| 06/12/2018 |
NCCL/RISK-003/2018 |
Risk |
Approved Securities under Scheme of Deposit โ List of Eligible Securities |
|
|
| 03/12/2018 |
NCCL/LOGISTICS-004/2018 |
Logistics |
Policy for Depositors of commodities having high percentage of rejection |
|
|
| 30/11/2018 |
NCCL/CLEARING-015/2018 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on November 30, 2018 |
|
|
| 29/11/2018 |
NCCL/CLEARING-014/2018 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all
the contracts expiring in December 2018. |
|
|
| 29/11/2018 |
NCCL/COMPLIANCE-002/2018 |
Compliance |
Interoperability among Clearing Corporations |
|
|
| 28/11/2018 |
NCCL/CLEARING-013/2018 |
Clearing |
Settlement Price of Options contract expired on November 28 2018 |
|
|
| 20/11/2018 |
NCCL/CLEARING-012/2018 |
Clearing |
Final Settlement Price of contracts expired on November 20, 2018 |
|
|
| 14/11/2018 |
NCCL/MEMBERSHIP-005/2018 |
Membership |
Requirement of Additional Cash Security Deposit from PCM / STCM |
|
|
| 09/11/2018 |
NCCL/CLEARING-011/2018 |
Clearing |
Settlement Price of Options contract expired on November 09, 2018 |
|
|
| 31/10/2018 |
NCCL/CLEARING-009/2018 |
Clearing |
Settlement Price of Options contract expired on October 31 2018. |
|
|
| 31/10/2018 |
NCCL/CLEARING-010/2018 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on October 31, 2018 |
|
|
| 26/10/2018 |
NCCL/CLEARING-008/2018 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all
the contracts expiring in November 2018 |
|
|
| 26/10/2018 |
NCCL/RISK-002/2018 |
Risk |
Pre-Expiry Margins โ Revision in Turmeric (TMCFGRNZM) and Jeera
(JEERAUNJHA) |
|
|
| 25/10/2018 |
NCCL/MEMBERSHIP-004/2018 |
Membership |
Extension of timeline for Submission of Documents |
|
|
| 19/10/2018 |
NCCL/LOGISTICS-003/2018 |
Logistics |
Uniformity in the procedure for obtaining samples of the goods at the Exchange accredited Warehouses |
|
|
| 19/10/2018 |
NCCL/CLEARING-007/2018 |
Clearing |
Final Settlement Price of Sugar (SUGARM) contract expired on October 19, 2018 |
|
|
| 16/10/2018 |
NCCL/CLEARING-006/2018 |
Clearing |
Final Settlement Price of contracts expired on October 16, 2018 |
|
|
| 06/10/2018 |
NCCL/LOGISTICS-002/2018 |
Logistics |
Revision in booking quantity & booking charges of Warehouse Space
Reservation system |
|
|
| 28/09/2018 |
NCCL/CLEARING-004/2018 |
Clearing |
Final Settlement Price of Crude Palm Oil contract expired on September 28 2018 |
|
|
| 26/09/2018 |
NCCL/LOGISTICS-001/2018 |
Logistics |
Warehousing Operations |
|
|
| 26/09/2018 |
NCCL/RISK-001/2018 |
Risk |
Risk Management Framework |
|
|
| 26/09/2018 |
NCCL/FINANCE-001/2018 |
Finance |
Risk Management Fee and Physical Delivery Charges |
|
|
| 26/09/2018 |
NCCL/MEMBERSHIP-001/2018 |
Membership |
Membership |
|
|
| 26/09/2018 |
NCCL/MEMBERSHIP-002/2018 |
Membership |
NCCL Membership - Submission of Undertaking |
|
|
| 26/09/2018 |
NCCL/CSG-001/2018 |
CSG |
Contact details of Customer Service Group |
|
|
| 25/09/2018 |
NCCL/CLEARING-002/2018 |
Clearing |
Clearing & Settlement Procedures |
|
|
| 25/09/2018 |
NCCL/CLEARING-003/2018 |
Clearing |
Collateral Formats |
|
|
| 24/09/2018 |
NCCL/CLEARING-001/2018 |
Clearing |
Commencement of Operations by National Commodity Clearing Limited (NCCL) with effect from September 27 2018 |
|
|
| 01/10/2018 |
NCCL/CLEARING-005/2018 |
Clearing |
Settlement Calendar and timelines for submission of delivery intentions for all
the contracts expiring in October 2018 |
|
|