20 Nov 2018, 12:47 PM

Change in mutual fund settlement due to settlement holiday on 21st November 2018

November 21st, 2018, Wednesday is a settlement holiday on account of Eid e Milad.

As a result, debt and liquid scheme orders will be processed on 22nd November. Equity scheme orders will be processed on 21st November itself. Funds for equity, debt & liquid scheme orders will be debited on 21st November.

All redemption orders where settlement was due on 21st November will now be settled on 22nd November instead.
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