On Account of Settlement holiday on 26th May 2021 ,Shares purchased in settlement no - 2021096 (Trade Date : 25-05-21) cannot be adjusted towards selling in settlement no – 2021097 (Trade Date : 26-05-21) as trades are done on both these days will be settled together on 28-05-21.
[Posted @ 10:09 AM]
I'm a cool paragraph that lives inside of an even cooler modal. Wins!
You will receive an OTP on your mobile