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Revised format of the Monthly Development Report

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.... Trading turnover Outstanding position Delivery for the settlement Percentage Delivery Shortage in deliveries Percentage Shortage as on  deliveries         No. of shares Rs.   No. of shares Rs. No. of shares Rs.                         9 10 11 12 13 14 Amount of funds to be settled Amount of shortfall in  funds % of shortfall (of the amount of funds to be settled) Amount of SGF/ TGF applied towards shortfalls on the payout day Cumm. SGF/ TGF applied as on the payment day Action taken by the exchange in respect of shortfalls   Difference between amount of funds to be settled and amount of funds actually settled The Exchanges should enclose the list of members who have made short pay-in         *The details pertaining to sources of funds for meeting the shortfall, in case the SGF/TGF has not been accessed for meeting the shortfall, may be provided. B. Details of Ac....

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....settled. The Exchanges should enclose the list of members who have made short pay-in.         *The details pertaining to sources of funds for meeting the shortfall, in case the SGF/TGF has not been accessed for meeting the shortfall, may be provided.   C.  The list of scrips declared eligible for special bar­gains during the month and duration thereof. 2. Details of the indices compiled by the Exchange •        Open - High - Low - Close - Daily data for the month (Remarks for fluctuations of more than 5% within a day). The data for the month should give figures for the last day of the previ­ous month. •       The constituent scrips in the index for the first month of the revised format being applicable should be reported. Subsequent reports should only intimate the constitution only when the same is revised. 3. Other Statistical Details - Current Financial Year Important : The data for all the months previous to the month for which the report is being submitted should also be in the table. -  For calculating the monthly figures, please use d....

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....sp; -  Cumulative net FII investment at the Exchange since 1992    2.  No. of equity scrips quoting below par (only for the scrips for which the exchange is the regional exchange)                           Note :    u  If there is a debt segment at the exchange, the information for the same may be provided separately.    u  The turnover details of the other segments (other than normal market segment) such as 3-day segment, limited physical segment, etc., should be reported separately. 4. Details of Subsidiary    1.  Name of the subsidiary/company floated by the exchange.    2.  Name of the exchange whose membership has been ob­tained.    3.  Date of Registration Certificate granted by SEBI.    4.  Date of Commencement of trading.    5.  No. of Registered Sub-brokers.    6.  Number of active Sub-brokers (trading in subsidiary) as on date.  ....

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....revious month   Add : Accruals to the Fund during the month   Less : Expenses charged to the Fund during the month   Corpus as of end of the month   4. Regulatory measures    a.  Details of cases where special margins have been imposed/withdrawn Sr. No. Name of the scrip Daily Margin Date of imposition/withdrawal     Purchase Sales                b.  Details of scrips suspended for trading during the month. Sr. No. Name of the scrip Duration of suspension Reason of suspension            c.  Disciplinary action taken against members Sr. No. Name of member Nature of irregularity/violation Details of action taken         Note : •         The number of terminals deactivated during the month should be mentioned. •       The details pertaining to cases of deactivation of terminals for three consecutive days or more shou....

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....   iv.  Complaints against sub-brokers Pending at the beginning of the month Received during the month Resolved during the month Pending at the end of the month No. of complaints pending for more than one month and brief reasons thereof           8. Arbitration (Member v. Non-member). (A)  Details of arbitration cases Pending at the beginn- ing of the month Received during the month Awards passed during the month For X the amount set aside by the Exchange Pending at the end of the month Details of arbitration cases which are pending for more than four months along with reasons     In favour of non- member "X" In favour of member No. of cases Amount in Rs.         No. Rs.                             (B)  Details of Implementation of Arbitration Awards      &nbsp....