The electronic (email) contract notes for commodities for a trading day T will be sent out on T+1 (next trading day) morning.



    1. Trade Smart Online

      Hi Ramesh,
      You have bought shares on 25th Oct. The settlement would be on 30th Oct based on T+2 settlement days. Kindly check your holdings on 30th Oct and let us know if you do not receive the shares.

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