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Markets Print 2017-11-02

Clearing Schedule for T+2 System

Pakistan Stock Exchange's Clearing Schedule for T+2 System.

Published November 2, 2017

Pakistan Stock Exchange's Clearing Schedule for T+2 System.



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CLEARING SCHEDULE FOR T+2 SYSTEM
FOR THE MONTHS OF OCTOBER & NOVEMBER 2017
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TRANSACTION TRANSACTION SETTLEMENT SETTLEMENT
================================================
31.10.2017 Tuesday 02.11.2017 Thursday
01.11.2017 Wednesday 03.11.2017 Friday
02.11.2017 Thursday 06.11.2017 Monday
03.11.2017 Friday 07.11.2017 Tuesday
06.11.2017 Monday 08.11.2017 Wednesday
07.11.2017 Tuesday 09.11.2017 Thursday
08.11.2017 Wednesday 10.11.2017 Friday
09.11.2017 Thursday 13.11.2017 Monday
10.11.2017 Friday 14.11.2017 Tuesday
13.11.2017 Monday 15.11.2017 Wednesday
14.11.2017 Tuesday 16.11.2017 Thursday
15.11.2017 Wednesday 17.11.2017 Friday
16.11.2017 Thursday 20.11.2017 Monday
17.11.2017 Friday 21.11.2017 Tuesday
20.11.2017 Monday 22.11.2017 Wednesday
21.11.2017 Tuesday 23.11.2017 Thursday
22.11.2017 Wednesday 24.11.2017 Friday
23.11.2017 Thursday 27.11.2017 Monday
24.11.2017 Friday 28.11.2017 Tuesday
27.11.2017 Monday 29.11.2017 Wednesday
28.11.2017 Tuesday 30.11.2017 Thursday
- - 01.12.2017 Friday
29.11.2017 Wednesday OR OR
- - 04.12.2017 Monday
- - 04.12.2017 Monday
30.11.2017 Thursday OR OR
- - 05.12.2017 Tuesday
================================================

NOTES: If any necessity arises, the Pakistan Stock Exchange reserves the right to alter or vary the above dates. In case any settlement is postponed for whatsoever reasons, the same shall take place on the next working day.
Holiday: Subject to appearance of moon.
12th Rab-ul-Awwal: Friday December 01, 2017 or Saturday December 02, 2017.
Note: Pakistan Stock Exchange's announcement was not received on Wednesday.
Copyright Business Recorder, 2017

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