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DP-COMMUNIQUE-INDEX

Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1 DP34 04-Feb-1999 CONSTITUTION-OF-DISCIPLINARY-ACTION-COMMITTEE
2 DP1 16-Apr-1999 STANDARDISATION OF ACCOUNT OPENING FORM
3 DP2 19-Apr-1999 INTERNAL AUDIT OF PARTICIPANTS
4 DP4 29-Apr-1999 AMENDMENTS TO DP OPERATING INSTRUCTIONS
5 DP5 03-May-1999 DEPOSITORY BRANCH & DP TARIFF
6 DP6 20-May-1999 CHANGES IN HARDWARE CONFIGURATION
7 DP7 22-May-1999 STANDARDISATION OF INSTRUCTION SLIPS
8 DP8 14-Jun-1999 DEMAT EQUITY SHARES OF STERLITE INDUSTRIES LTD
9 DP10 08-Jul-1999 ACCOUNT MAINTAINANCE CHARGES & PORT FOLIO VALUE FOR
STOCK BROKERS
10 DP11 17-Jul-1999 SETTLEMENT AT BSE THROUGH CDS
11 DP12 28-Jul-1999 INSTRUCTION SLIPS DELIVERY/RECEIPT OF SHARES
12 DP14 11-Aug-1999 REVIEW OF OPERATIONS
13 DP16 16-Sep-1999 OPERATING SYSTEM SOFTWARE
14 DP17 21-Sep-1999 INTER DEPOSITORY TRANSFER
15 DP18 21-Sep-1999 AUDITED FINANCIAL STATEMENT
16 DP19 21-Sep-1999 INTER DEPOSITORY TRANSFER
17 DP20 11-Oct-1999 PORTFOLIO VALUE FOR STOCK BROKER
18 DP23 16-Nov-1999 AUDITED FINANCIAL STATEMENTS
19 DP25 10-Dec-1999 REVIEW-OF-OPERATIONS
20 DP26 14-Dec-1999 OPENING-OF-CLEARING-ACCOUNTS-FOR-NSE-CLEARING-MEMBERS
21 DP28 27-Dec-1999 OPENING-OF-CLEARING-ACCOUNTS-FOR-NSE-CLEARING-MEMBERS
22 DP31 11-Jan-2000 OBLIGATION-ID-AND-SERIAL-NUMBER-FOR-ON-MARKET-
CONFIRMATIONS
23 DP33 31-Jan-2000 OPENING-OF-SETTLEMENT-RELATED-ACCOUNTS
24 DP36 25-Feb-2000 FEE-STRUCTURE-OF-DPS
25 DP38 29-Feb-2000 SETTLEMENT-OF-TRADES-DONE-ON-NSE
26 DP40 28-Mar-2000 SAFETY STANDARDS FOR DEPOSITORY OPERATIONS
27 DP41 29-Mar-2000 PURGING OF REPORTS
28 DP42 06-Apr-2000 REPORT ID DPA8
29 DP43 11-Apr-2000 DUE DILIGENCE IN OPENING AND OPERATION OF BENEFICIAL
OWNER ACCOUNT
30 DP44 13-Apr-2000 DEMAT TRANSACTION REPORT
31 DP48 18-May-2000 NETWORTH CERTIFICATE
32 DP49 23-May-2000 DP RELATED REPORT
33 DP50 24-May-2000 INSTRUCTION SLIPS FOR DELIVERIES/RECEIPTS
34 DP51 30-May-2000 SAFETY STANDARDS FOR DEPOSITORY OPERATIONS
35 DP52 07-Jun-2000 SAFETY STANDARDS FOR DEPOSITORY OPERATIONS
36 DP53 09-Jun-2000 CONFIRMATION FOR DELIVERIES FROM CM PRINCIPAL ACCOUNT
37 DP54 21-Jun-2000 TRANSACTION CHARGES & DPC7 DPC9
38 DP56 27-Jun-2000 UPLOAD OF BATCH FILE FOR OFF-MARKET INTER-DEPOSITORY
TRANSACTIONS
39 DP57 13-Jul-2000 INTER-DEPOSITORY BATCH TRANSFER
40 DP58 20-Jul-2000 SETTLEMENT OF SALE CARRY FORWARD TRANSACTIONS
41 DP59 24-Jul-2000 ESTABLISHMENT OF DOCUMENT COLLECTION CENTRE
42 DP60 10-Aug-2000 NEW VERSION RELEASE OF CDAS
43 DP61 24-Aug-2000 E-MAIL ADDRESS & INSURANCE CERTIFICATE
44 DP62 15-Sep-2000 BO-LEVEL-SETTLEMENT-MODEL
45 DP13 06-Oct-2000 BENEFICIAL OWNER ACCOUNTS FOR MORE THAN 3 HOLDERS
46 DP63 16-Oct-2000 CHARGES
47 DP67 01-Dec-2000 INDEMNITY-FOR-SHARES-LOST-IN-TRANSIT
48 DP69 12-Dec-2000 DEMAT-OF-SHARES
49 DP74 12-Jan-2001 INTERDEPOSITORY-BATCH
50 DP75 22-Jan-2001 DEMAT-OF-SHARES
51 DP79 05-Mar-2001 SEBI DIRECTIVE
52 DP80 16-Mar-2001 DILIGENCE IN OPENING BENEFICIAL OWNER ACCOUNTS BY DP?S
53 DP81 16-Mar-2001 MEMBERSHIP OF ASIA-PACIFIC CSD GROUP (ACG)
54 DP82 21-Mar-2001 SEBI DIRECTIVE
55 DP83 31-Mar-2001 SUSPENSION OF CENTURY CONSULTANTS LTD
56 DP85 09-Apr-2001 TERMINATION OF CENTURY CONSULTANTS LTD
57 DP87 19-Apr-2001 ANNEXURES TO COMPOSITE SLIP
58 DP89 28-May-2001 SEBI DIRECTIVE & CHARGES TO DPS
59 DP93 24-Jun-2001 INTER DEPOSITORY TRANSFERS
60 DP92 25-Jun-2001 CDS WEBSITE RELAUNCH
61 DP98 10-Aug-2001 REPURCHASE OPTION FOR US-64 SCHEME

Page 1
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
62 DP99 10-Aug-2001 PLEDGE MODULE
63 DP103 21-Sep-2001 DOWNLOADING OF RATE FILES FOR VARIOUS SCRIPS
64 DP104 06-Oct-2001 TRANSFER OF FUNCTIONALITY RIGHTS TO MAIN DP
65 DP108 07-Nov-2001 FACILITY OF EARLY PAY-IN
66 DP114 14-Dec-2001 OPENING OF CISA ACCOUNTS
67 DP121 07-Jan-2002 INTER DEPOSITORY TRANSFERS
68 DP125 18-Feb-2002 INTER DEPOSITORY TRANSFERS ? NEW SETTLEMENT TYPE
69 DP127 28-Feb-2002 COMPLIENCE OFFICER- AUTHORISED SIGNATORY
70 DP132 14-Mar-2002 REVISION IN TARIFF
71 DP134 16-Mar-2002 G-SEC OPERATING INSTRUCTIONS
72 DP138 23-Mar-2002 PAYIN PROCEDURES
73 DP152 09-Apr-2002 TIMELY PROCESSING OF INSTRUCTIONS
74 DP157 24-Apr-2002 EASI
75 DP158 29-Apr-2002 REVISED TARRIF
76 DP161 15-May-2002 OVERDUE STSTUS IN OFF MARKET TRANSACTION
77 DP162 22-May-2002 AMENDMENTS TO OPERATING INSTRUCTIONS
78 DP163 23-May-2002 EASI
79 DP165 29-May-2002 NEW SUB STATUS ?DR?
80 DP166 30-May-2002 BANK ACCOUNT TYPE ENTRY
81 DP169 21-Jun-2002 INCLUSION OF SETTLEMENT NUMBER WHILE ENTERING OFF MKT
INSTRUCTION
82 DP172 28-Jun-2002 SUB STATUS DR
83 DP176 09-Jul-2002 FACILITY TO CHANGE SUB TYPE OF BO
84 DP184 01-Aug-2002 ISSUER NAME CHANGE
85 DP183 03-Aug-2002 INCLUSION OF SETTLEMENT NUMBER IN OFF MARKET MODULE
86 DP188 09-Aug-2002 OFFMARKET RELEASE
87 DP190 22-Aug-2002 PERMANENT ACCOUNT TO BE CAPTURED BY DPS
88 DP191 22-Aug-2002 CM LIST IN HRM
89 DP196 06-Sep-2002 CANCEL BO CLOSURE INITIATED BY BO
90 DP201 21-Sep-2002 IPO CREDITS
91 DP203 24-Sep-2002 FEES FOR PASS THROUGH CERTIFICATES
92 DP205 09-Oct-2002 REDUCTION OF RESPONSE TIME FOR QUERIES
93 DP207 10-Oct-2002 PARTCIPATION BY OCBS BY TWO WAY FUNGIBILITY BY ADR/ GDR
94 DP209 16-Oct-2002 SETTLEMENT INSTRUCTION THROUGH FAX
95 DP210 17-Oct-2002 COMMUNICATION WITH CDSL HELPDESK THROUGH INTERNET
96 DP211 29-Oct-2002 ISSUER NAME CHANGE
97 DP212 29-Oct-2002 FORMAT OF POWER OF ATTORNEY
98 DP213 29-Oct-2002 AMENDMENTS TO BYE LAWS
99 DP214 31-Oct-2002 BO ACCOUNT CLOSURE
100 DP215 07-Nov-2002 INDEMNITY FOR SHARES LOST IN TRANSIT
101 DP47 07-Nov-2002 INDEMNITY OF SECURITIES LOST IN TRANSIT
102 DP221 06-Dec-2002 OFFMARKET SETT-NO-MADE COMPULSORY
103 DP223 12-Dec-2002 RELEASE OF ON LINE INTER-DEPOSITORY TRANSFERS
104 DP227 20-Dec-2002 CAPTURING OF BO SIGNATURES AT THE TIME ACCOUNT OPENING
105 DP229 31-Dec-2002 CONVINIENT FACILITY FOR PAYMENT OF MONTHLY/ ANNUAL BILL
106 DP230 06-Jan-2003 AMENDMENTS TO DP OPERATING INSTRUCTIONS
107 DP234 10-Jan-2003 NO AMC FOR CISA ACCOUNT
108 DP236 18-Jan-2003 TRADING-IN-GOVERNMENT-SECURITIES
109 DP242 12-Feb-2003 SETTLEMENT-MARKET-TYPES
110 DP243 17-Feb-2003 VSAT-SHIFTING-CANCELLATION-CHARGES
111 DP244 27-Feb-2003 TRANSFER-CUM-DEMAT-OF-SHARES
112 DP246 28-Feb-2003 CONVENIENT-FACILITY-FOR-T+2-SETTLEMENTS
113 DP247 03-Mar-2003 WITHDRAWAL OF PEND DEMAT REQ AND AC CLOSURE
114 DP252 07-Mar-2003 SEBI-DIRECTIVE-BRANCHES-OF-DP-TO-BE-LINKED-ELCTRONICALLY
115 DP256 13-Mar-2003 RBI-DIRECTIVE-STATEMENTS-TO-BANKING-CLIENTS
116 DP261 26-Mar-2003 IMPLEMENTATION-OF-T+2-ROLLING-SETT-FROM-01-04-2003
117 DP265 09-Apr-2003 BO-SIGNATURES-MANDATORY
118 DP266 10-Apr-2003 AMENDMENTS-TO-BYE-LAWS
119 DP270 28-Apr-2003 NEW-SUB-STATUS-DR
120 DP271 30-Apr-2003 PENDING-DEMAT-REQUESTS
121 DP272 14-May-2003 TARIFF-OF-DPS
122 DP277 05-Jun-2003 CHANGE-IN-NAME-OF-CORPORATES-FIIS-CMS
123 DP278 11-Jun-2003 CLOSURE-OF-BO-ACCOUNTS
124 DP281 17-Jun-2003 CHANGE-OF-NAME-OF-DP
Page 2
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
125 DP283 23-Jun-2003 VSAT-SHIFTING-CHARGES
126 DP284 24-Jun-2003 POA-BY-BO-IN-FAVOUR-OF-DPS
127 DP288 16-Jul-2003 FEES-FOR-TRANSACTONS-DONE-IN-LIQUID-BEES
128 DP289 17-Jul-2003 AMENDMENT-TO-SEBI-D AND P-REG-1996
129 DP290 17-Jul-2003 PROCEDURE-FOR-SERVICING-ILLITERATE-PERSONS
130 DP292 23-Jul-2003 AMENDMENTS-TO-OP-IINST-PLEDGE
131 DP293 23-Jul-2003 AMENDMENTS-TO-OP-INSTR-CHANGE-OF-ADD-PRO
132 DP294 23-Jul-2003 AMENDMENTS-TO-OP-INSTR-VSAT-LEASE-CHARGES
133 DP297 01-Aug-2003 AGGREGATE-VALUE-OF-PORTFOLIO-OF-SECURITIES-OF-BOS
134 DP300 12-Aug-2003 AMENDMENTS-TO-OPERATING-PROC
135 DP301 13-Aug-2003 REDUCE-COSTS-OF-SENDING-ACCOUNT-STATEMENT
136 DP303 13-Aug-2003 PRINTING-MNEMONIC-ON-STATIONERY
137 DP310 09-Sep-2003 HOW TO REDUCE COSTS AND ENHANCE CLIENT SERVICING
138 DP312 17-Sep-2003 SETTLEMENT-OF-SEC-ON-TRADE-TO-TRADE-BASIS
139 DP314 25-Sep-2003 REGISTRATION-FOR-EASI-SERVICES
140 DP318 06-Oct-2003 AMENDMENT-TO-SEBI-D AND P-REG-1996
141 DP323 30-Oct-2003 IMPLEMENTATION-OF-T+2-ROLLING-SETT
142 DP327 05-Nov-2003 AMENDMENTS-TO-BYE-LAW-5.3.5.1
143 DP333 10-Nov-2003 TRADE-TO-TRADE-SEGMENT
144 DP334 12-Nov-2003 CORPORATE-ACTION-DETAILS
145 DP340 17-Nov-2003 ONE TIME INDEMNITY FOR ERRONEOUS TRANSFER
146 DP345 02-Dec-2003 ESTABLISHMENT-OF-BO-PROTECTION-FUND
147 DP347 04-Dec-2003 CHANGE-IN-NAME-OF-COMPANIES
148 DP350 17-Dec-2003 DISASTER-RECOVERY-SITE
149 DP352 18-Dec-2003 OPERATING-FROM-DISASTER-RECOVERY-SITE
150 DP353 23-Dec-2003 APPLICATION FOR DEMATERIALISATION
151 DP359 05-Jan-2004 AMEND-TO-DP-OPER-INSTRUCTIONS
152 DP360 06-Jan-2004 AMENDMENT-TO-SEBI-D AND P-REG-1996-CODE-OF-CONDUCT
153 DP362 09-Jan-2004 AMENDMENT-TO-CDSL-BYE-LAWS
154 DP367 21-Jan-2004 CENTRAL-DATABASE-OF-MARKET-PARTIFIPANTS
155 DP369 31-Jan-2004 REPURCHASE-OF-UNITS-HELD-IN-DEMAT-FORM
156 DP371 09-Feb-2004 FORWARDING-ORIGINAL-DOCUMENTS
157 DP372 11-Feb-2004 TRANSFER-CUM-DEMAT-SCHEME
158 DP376 18-Feb-2004 CHANGE-IN-BSE-NSE-SETTLEMENT-TIMINGS
159 DP378 24-Feb-2004 CHANGE-IN-CSE-SETTLEMENT-SCHEDULE
160 DP380 27-Feb-2004 CERTIFICATION-COURSE
161 DP381 04-Mar-2004 LAUNCH-OF-EASIEST
162 DP384 24-Mar-2004 PENDING-DEMAT-REQUESTS
163 DP386 26-Mar-2004 WITHDRAWAL-OF-SELF-DECLARATION
164 DP387 29-Mar-2004 REQUISITION-SLIP-IN-INSTRUCTION-SLIP-BOOK
165 DP389 31-Mar-2004 CHANGE-IN-BSE-NSE-SETTLEMENT-SCHEDULE
166 DP392 02-Apr-2004 ELECTRONIC-CONTRACT-NOTE-SERVICES
167 DP394 06-Apr-2004 MARGIN-TRADING-ACCOUNT
168 DP397 16-Apr-2004 APPROVAL-OF-FORMS
169 DP399 19-Apr-2004 AMENDMENTS-TO-BYE-LAWS-RENEWAL-OF-INSURANCE POLICY
170 DP400 21-Apr-2004 LOGIN-TO-EASI-EASIEST-THRU-MYEASI
171 DP401 21-Apr-2004 SETTLEMENT-OF-TRANSACTIONS
172 DP405 30-Apr-2004 CM-INVESTORS-SECURITIES-ACCOUNT
173 DP408 14-May-2004 ACCOUNT OPENING-&-DEMAT-OF-SHARES
174 DP416 23-Jun-2004 DEMATERIALISATION-OF-SHARES
175 DP424 03-Jul-2004 AMENDMENTS-TO-DP-OPERATING INSTRUCTIONS
176 DP425 05-Jul-2004 CENTRAL-DATABASE-OF-MARKET-PARTICIPANTS
177 DP426 06-Jul-2004 CHANGE-IN-STAMP-DUTY
178 DP427 08-Jul-2004 ISSUERS-WITH-HIGH-PENDING-DEMAT-REQUESTS
179 DP430 15-Jul-2004 RISK-CONTROL
180 DP433 17-Jul-2004 DEMAT OF WAREHOUSE RECEIPTS
181 DP434 19-Jul-2004 CENTRAL-DATABASE-OF-MARKET-PARTICIPANTS
182 DP446 10-Aug-2004 AMENDMENTS-TO-OPERATING -INSTRUCTION
183 DP451 18-Aug-2004 CAPTURING-PERMANENT & CORRESPONDENCE-ADDRESS
184 DP454 21-Aug-2004 ACKNOWLEDGEMENT STATEMENTS WITH DP LOGO
185 DP456 26-Aug-2004 DUE DELIGENCE IN OPENING BO ACCOUNTS
186 DP459 26-Aug-2004 TRANSACTION STATEMENT
187 DP469 06-Sep-2004 CENTRAL-DATABASE-OF-MARKET-PARTICIPANTS

Page 3
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
188 DP470 16-Sep-2004 AMENDMENTS-TO-DP-OPER-INST
189 DP475 28-Sep-2004 TRANSMISSION-CUM-DEMATERIALISATION
190 DP477 28-Sep-2004 PROOF-OF-CORRESPONDENCE-ADDRESS
191 DP479 05-Oct-2004 NEW-FACILITY-IN-CORPORATE-ACTIONS
192 DP487 19-Oct-2004 TRAINING-OF-INTERNAL-AUDITORS
193 DP493 09-Nov-2004 FREEZE-MODULE
194 DP494 11-Nov-2004 CENTRAL-DATABASE-OF-MARKET-PARTICIPANTS
195 DP495 11-Nov-2004 SUBMISSION-OF-INTERNAL-AUDIT-REPORT
196 DP496 17-Nov-2004 SINGLE-MARKET-TYPE-FOR-PAY-IN-OF-SECURITIES
197 DP498 22-Nov-2004 TRANSFER-CUM-DEMATERIALIZATION
198 DP499 25-Nov-2004 CONTINGENCY ARRANGEMENT & UPLOAD FACILITY
199 DP505 16-Dec-2004 POA-BY-BOS-IN-FAVOUR-OF-DPS
200 DP516 27-Jan-2005 DELIVERY-INSTRUCTION-SLIP
201 DP517 27-Jan-2005 REQUIREMENT-FOR-A-COMPLIANCE-OFFICER-AND-TRAINING
202 DP519 31-Jan-2005 REVIEW-OF-DEMAT-CHARGES
203 DP177 02-Feb-2005 REVIEW OF DEMATERIALISATION CHARGES
204 DP530 09-Mar-2005 MAIN-DP-TO-DESPATCH-STATEMENTS-DIRECTLY-TO-BOS
205 DP537 05-Apr-2005 CERTIFICATION-COURSE
206 DP538 05-Apr-2005 DUE-DILIGENCE-IN-DP-OPERATIONS
207 DP541 15-Apr-2005 INSTALLATION-OF-ACROBAT-READER
208 DP543 20-Apr-2005 CHANGE-IN-NAME-OF-COMPANIES
209 DP548 30-Apr-2005 CHANGE-IN-CDSL-REGD-OFFICE-ADDRESS
210 DP549 09-May-2005 BILLING-DATA-THROUGH-HRM
211 DP555 08-Jun-2005 ELECTRONIC-ACCESS-TO-SECURITIES-INFORMATION
212 DP560 02-Jul-2005 CENTRAL- DATABASE-OF-MARKET-PARTICIPANTS
213 DP562 19-Jul-2005 AMENDMENTS-TO-OP-INSTR
214 DP564 03-Aug-2005 CERTIFICATION-COURSE
215 DP566 09-Aug-2005 MAINT-OF-BOOKS-OF-ACCTS AND OTHER-DOCUMENTS
216 DP575 26-Sep-2005 REQUIREMENT-FOR-A-COMPLIANCE-OFFICER
217 DP578 03-Oct-2005 MODIFICATION-TO-THE-DP-BO AGREEMENT
218 DP581 07-Oct-2005 DP-BACK-OFFICE-SOFTWARE
219 DP584 19-Oct-2005 PRECAUTIONS-FOR-GSEC
220 DP588 20-Oct-2005 PERMANENT-ADDRESS-MANDATORY
221 DP589 21-Oct-2005 BO-STATEMENT-CYCLE-CODES
222 DP591 25-Oct-2005 BCCD-CERTIFICATION-COURSE
223 DP592 25-Oct-2005 PERMANENT-ADDRESS-MANDATORY
224 DP593 25-Oct-2005 BO-STATEMENT-CYCLE-CODES
225 DP597 02-Nov-2005 MODIFICATION-TO-THE-DP-BO-AGREEMENT
226 DP603 16-Nov-2005 BO STATEMENT CYCLE CODES
227 DP612 30-Nov-2005 HIGH VALUE TRANSACTIONS
228 DP621 12-Dec-2005 AMENDMENTS TO DP OPERATING INSTRUCTIONS
229 DP624 14-Dec-2005 MODIFICATION TO THE DP BO AGREEMENT
230 DP631 22-Dec-2005 ACCOUNT OPERATION THROUGH POA
231 DP632 22-Dec-2005 DUE DELIGENCE IN DP OPERATIONS
232 DP633 28-Dec-2005 PROCEDURE FOR SHIFT OF ACCOUNTS
233 DP638 04-Jan-2006 PROCEDURE FOR SHIFTING OF ACCOUNTS
234 DP641 05-Jan-2006 PRINTING OF STATIONERY
235 DP645 09-Jan-2006 REGULAR UPDATE OF BACK OFFICE SOFTWARE
236 DP647 19-Jan-2006 AVAILABILITY OF CDSL SYSTEM
237 DP649 23-Jan-2006 GUIDELINES ON ANTI MONEY LAUNDERING MEASURES
238 DP650 23-Jan-2006 CHANGE IN COMPLIANCE OFFICER
239 DP654 02-Feb-2006 IPO ISINS TO BE FROZEN
240 DP657 02-Feb-2006 CAPTURING PAN WHILE OPENING BO ACCOUNTS
241 DP658 08-Feb-2006 BCCD CERTIFICATION PROGRAMME
242 DP660 15-Feb-2006 BS7799-CERTIFICATION
243 DP662 25-Feb-2006 ECS MANDATORY IN 15 CENTRES
244 DP664 02-Mar-2006 DEFAULT MONTHLY STATEMENT DPC5
245 DP666 08-Mar-2006 OBTAINING PAN WHILE OPENING-BO ACCOUNTS
246 DP673 22-Mar-2006 OPERATIONAL GUIDELINES ON ANTI MONEY LAUNDERING
MEASURE
247 DP675 25-Mar-2006 OBTAINING PAN WHILE OPENING BO ACCOUNTS
248 DP677 30-Mar-2006 APPOINTMENT OF PRINCIPAL OFFICER
249 DP681 31-Mar-2006 MICR CODE FOR BANK BRANCHES
250 DP682 31-Mar-2006 NEW SUB STATUS PROMOTER
Page 4
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
251 DP684 01-Apr-2006 REVISION OF CHARGES
252 DP690 20-Apr-2006 CONVERSION OF DETAILS OF MINOR TO MAJOR
253 DP694 05-May-2006 PAN CARD DETAILS
254 DP699 18-May-2006 OBTAINING PAN CARD FOR EXISTING ACCOUNTS
255 DP702 26-May-2006 PAN-REQUIRED-FOR-OLD-ACCOUNTS
256 DP703 31-May-2006 PAN-DETAILS-SENT-TO-DPS-EVERY-FORTNIGHT
257 DP704 31-May-2006 PROCEDURE-FOR-ACCOUNT-CLOSURE
258 DP706 02-Jun-2006 DEFAULT-MONTHLY-STATEMENT-DPC5
259 DP640 05-Jun-2006 NAMES OF THE DPS EMPANELLED BY MULTI COMMODITY
EXCHANGE
- MCX
260 DP642 06-Jun-2006 FILE FORMATS FOR DPA5 AND DPE4
261 DP712 12-Jun-2006 DISCONTINUATION-OF-MONTHLY-STATEMENT
262 DP715 22-Jun-2006 PAN-DETAILS-EVERY-FORTNIGHT-THROUGH-HRM
263 DP717 27-Jun-2006 APPOINTMENT-OF-PRINCIPAL-OFFICER
264 DP720 10-Jul-2006 COST-OF-E-TOKEN-FOR-EASIEST
265 DP721 11-Jul-2006 CONCURRENT-AUDIT-OF-RISK-PRONE-AREAS-OF-DP-OPERATIONS
266 DP724 19-Jul-2006 ACCEPTING-PAN-CARD
267 DP726 19-Jul-2006 CHANGE-OF-DP-NAME-OR-ADDRESS
268 DP730 21-Jul-2006 CLARIFICATION-FOR-PAN-REQUIREMENT
269 DP737 11-Aug-2006 CHANGE-OF-NAME-OF-COMPANY
270 DP742 01-Sep-2006 CDAS ? REPORTS MODULE (CONSOLIDATED REPORT MODULE)
271 DP747 08-Sep-2006 ACKNOWLEDGEMENT-LETTER
272 DP749 09-Sep-2006 PROCEDURE-FOR-TRANSMISSION
273 DP750 12-Sep-2006 REPORTING-TO-FIU-INDIA
274 DP751 12-Sep-2006 OBTAINING-PAN-WHILE-OPENING-BO-ACCOUNTS
275 DP753 13-Sep-2006 REGISTRATION-FOR-EASI-EASIEST
276 DP755 27-Sep-2006 CAPTURING-PAN-WHILE-OPENING-BO-ACCOUNTS
277 DP762 06-Oct-2006 GUIDELINES ON ANTI-MONEY LAUNDERING MEASURES
278 DP767 13-Oct-2006 PROCEDURE-FOR-CHANGE-IN-DP-ADDRES
279 DP773 18-Oct-2006 DP BACK OFFICE SOFTWARE
280 DP775 18-Oct-2006 GUIDELINES-ON-ANTI-MONEY-LAUNDERING-MEASURES
281 DP776 19-Oct-2006 CLARIFICATION-FOR-PAN-FOR-NRI-AND-PIO
282 DP778 27-Oct-2006 REVISION-OF-TARIFF
283 DP779 31-Oct-2006 MANDATORY-REQUIREMENT-OF-PAN
284 DP781 01-Nov-2006 REPORTING-OF-BACK-OFFICE-CONNECTED-BRANCHES
285 DP785 09-Nov-2006 PAN-DETAILS-THROUGH-CDAS
286 DP782 14-Nov-2006 GUIDELINES-ON-ANTI-MONEY-LAUNDERING-MEASURES
287 DP783 14-Nov-2006 CDSL-SYSTEM-MAINTENANCE-SECOND-SUNDAY
288 DP789 14-Nov-2006 PAN-VERIFICATION-AND-MODIFICATIO
289 DP790 16-Nov-2006 CAPTURING-AND-VERIFYING-PAN-DETAILS
290 DP791 17-Nov-2006 ALPHA-NUMERIC-MICR-CODES
291 DP794 23-Nov-2006 PAN-DETAILS-WEEKLY-THROUGH-CDAS
292 DP795 23-Nov-2006 RELEASE-OF-NEW-VERSION
293 DP796 24-Nov-2006 NEW-DEMAT-REJECTION-CODE
294 DP797 28-Nov-2006 PAN-REQUIREMENT-DEADLINE
295 DP798 30-Nov-2006 POSTERS-FOR-PAN-REQUIREMENT
296 DP799 30-Nov-2006 MODIFICATION-VERIFICATION-OF-PAN-DETAILS
297 DP802 12-Dec-2006 CDSL DP TRAINING PROGRAMME
FOR JANUARY 2007
298 DP804 13-Dec-2006 SAHARA-INDIA-FINANCIAL-CORPORATION-
299 DP805 13-Dec-2006 SUBMISSION / DISSEMINATION OF DP TARIFF / CHARGES
STRUCTURE TO CDSL EVERY YEAR
300 DP807 14-Dec-2006 ATTESTATION-OF-BANK-STATEMENT
301 DP812 23-Dec-2006 UPLOAD FACILITY TO FREEZE NON-VERIFIED PAN ACCOUNTS
302 DP813 27-Dec-2006 MANDATORY-PAN-FOR-OPERATION-OF-DEMAT ACCOUNT
303 DP815 30-Dec-2006 FREEZING OF ACCOUNTS WITH OR WITHOUT PAN
304 DP816 03-Jan-2007 EXCLUSIVE-EMAIL-ID-FOR-REDRESSAL-OF-INVESTOR-COMPLAINTS
305 DP817 03-Jan-2007 UNFREEZE-OPTION-FOR-ENTERING-PAN AND RE-ACTIVATION.
306 DP1012 04-Jan-2007 INSURANCE POLICY FOR WAREHOUSE RECEIPTS
307 DP818 04-Jan-2007 GUIDELINES ON ANTI-MONEY LAUNDERING MEASURES
308 DP819 04-Jan-2007 NAMES OF THE DPS EMPANELLED BY NCDEX
309 DP821 09-Jan-2007 PAN EXEMPTION CODES
310 DP824 15-Jan-2007 REPORT DP24- DP DEMATERIALISATION SUMMARY
311 DP825 17-Jan-2007 NAMES OF THE DPS EMPANELLED BY NCDEX

Page 5
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
312 DP826 17-Jan-2007 FOLLOW-UP WITH BOS REGARDING SUBMISSION OF PAN DETAILS
IMMEDIATELY
313 DP828 18-Jan-2007 GUIDELINES ON ANTI-MONEY LAUNDERING MEASURES
314 DP829 18-Jan-2007 LIST OF NAMES OF COMPANIES
WHERE DRNS ARE PENDING FOR MORE THAN 30 DAYS
315 DP830 19-Jan-2007 ACCOUNT CLOSURE
316 DP831 22-Jan-2007 LIST OF NAMES OF COMPANIES
WHERE DRNS (DEMAT REQUESTS)
ARE PENDING FOR MORE THAN 30 DAYS
317 DP834 25-Jan-2007 SEBI ORDER AGAINST SHRI ANIRUDH SETHI AND THE
BUSINESS NAME STOCK MARKET NAVIGATOR (SMN)
318 DP835 31-Jan-2007 INSURANCE POLICY FOR WAREHOUSE RECEIPTS
HELD IN DEMATERIALISED FORM
319 DP836 05-Feb-2007 CDSL SYSTEM MAINTENANCE SECOND SUNDAY OF THE MONTH
320 DP837 05-Feb-2007 RELEASE OF NEW VERSION
321 DP838 05-Feb-2007 LIST OF NAMES OF COMPANIES
WHERE DRNS (DEMAT REQUESTS)
ARE PENDING FOR MORE THAN 30 DAYS
322 DP839 05-Feb-2007 GUIDELINES ON ANTI-MONEY LAUNDERING MEASURES -
REPORTING OF POTENTIALLY SUSPICIOUS TRANSACTIONS
323 DP840 06-Feb-2007 NAMES OF THE DPS EMPANELLED BY MCX
FOR OPENING OF ACCOUNTS FOR COMMODITIES
& HOLDING WAREHOUSE RECEIPTS IN ELECTRONIC FORM
324 DP841 06-Feb-2007 NAMES OF THE DPS EMPANELLED BY NCDEX
FOR OPENING OF ACCOUNTS FOR COMMODITIES
& HOLDING WAREHOUSE RECEIPTS IN ELECTRONIC FORM
325 DP842 07-Feb-2007 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
326 DP843 08-Feb-2007 MONTHLY BILLING FOR DPS
327 DP844 09-Feb-2007 CDSL DP TRAINING PROGRAMME
FOR MARCH 2007 ? (SECOND BATCH)
328 DP845 09-Feb-2007 MOVEMENT OF SECURITIES TO
CM INVESTOR SECURITIES ACCOUNT (CISA)
ON ACCOUNT OF BANK HOLIDAYS
329 DP846 14-Feb-2007 SAFEGUARDS REGARDING ISSUANCE / USE / EXECUTION
OF (DIS) DELIVERY INSTRUCTION SLIPS & BOOKLETS
330 DP847 22-Feb-2007 FUTURE DATED TRANSACTIONS
331 DP848 22-Feb-2007 NAMES OF THE DPS EMPANELLED BY NCDEX
FOR OPENING OF ACCOUNTS FOR COMMODITIES
& HOLDING WAREHOUSE RECEIPTS IN ELECTRONIC FORM
332 DP849 22-Feb-2007 AVAILABILITY OF CDSL SYSTEM
333 DP850 22-Feb-2007 RELEASE OF NEW VERSION

334 DP851 22-Feb-2007 SUBMISSION / DISSEMINATION OF DP TARIFF / CHARGES


STRUCTURE TO CDSL EVERY YEAR
(THROUGH DP LOGIN IN CDSL?S WEBSITE)
335 DP852 24-Feb-2007 FOOTNOTE FOR PAN REQUIREMENT
IN MONTHLY BO STATEMENT
336 DP853 27-Feb-2007 CDSL DP TRAINING PROGRAMME
FOR APRIL 2007
337 DP854 28-Feb-2007 NAMES OF THE DPS EMPANELLED BY NCDEX
FOR OPENING OF ACCOUNTS FOR COMMODITIES
& HOLDING WAREHOUSE RECEIPTS IN ELECTRONIC FORM
338 DP856 01-Mar-2007 CDSL DP TRAINING PROGRAMME
FOR APRIL 2007
339 DP857 02-Mar-2007 REVIEW OF REJECTION OF DEMAT REQUESTS
340 DP858 02-Mar-2007 REVISED NET WORTH CERTIFICATE
341 DP860 09-Mar-2007 SUBMISSION / DISSEMINATION OF DP TARIFF / CHARGES
STRUCTURE TO CDSL EVERY YEAR,(THROUGH DP LOGIN IN
CDSL?S WEBSITE)
342 DP861 16-Mar-2007 CDSL BYE-LAWS
AS OF DECEMBER 2006
343 DP862 16-Mar-2007 SETTLEMENT TIMINGS OF BSE & NSE SCHEDULED
ON WEDNESDAY, MARCH 21, 2007
344 DP864 19-Mar-2007 CONCURRENT AUDIT OF RISK PRONE AREAS OF DP OPERATIONS
345 DP865 20-Mar-2007 UPLOAD FACILITY FOR EASIEST (ACCOUNT OF CHOICE) USERS
346 DP867 23-Mar-2007 CDSL DP TRAINING PROGRAMME
FOR APRIL 2007 (SECOND BATCH)
* REMINDER *
347 DP874 11-Apr-2007 REVISED FORMAT FOR INTERNAL AUDIT
OF DEPOSITORY PARTICIPANTS
348 DP875 13-Apr-2007 CDSLS DP TRAINING PROGRAMME
FOR MAY 2007
349 DP876 16-Apr-2007 MANDATORY REQUIREMENTS MANDATORY REQUIREMENTS FOR
BACK OFFICE CONNECTED BRANCHES
350 DP877 18-Apr-2007 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
WITH REGARD TO NOTARIZATION OF POWER OF ATTORNEY
351 DP880 21-Apr-2007 UPDATION OF BANK ACCOUNTS

Page 6
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
352 DP884 27-Apr-2007 CAUTIONARY NOTE IN DELIVERY INSTRUCTION SLIP
353 DP885 28-Apr-2007 AMENDMENTS TO CDSLS DP OPERATING AMENDMENTS TO CDSLS
DP OPERATING INSTRUCTIONS
WITH REGARD TO RECOVERY OF INSURANCE PREMIUM
354 DP886 30-Apr-2007 PAN TO BE SOLE IDENTIFICATION NUMBER
FOR ALL TRANSACTIONS IN THE SECURITIES MARKET
355 DP887 03-May-2007 AMENDMENTS-TO-DP-OPERATING-INSTRUCTIONS-ACCOUNT-
OPENING-PROCEDURE
356 DP888 03-May-2007 AMENDMENTS-TO-DP-OPERATING-INSTRUCTIONS-ACCOUNT-
OPENING-FORMS
357 DP891 03-May-2007 INSURANCE-PREMIUM
358 DP892 04-May-2007 ACCOUNT-OPENING-PROCEDURE
359 DP893 04-May-2007 REMATERIALISATION-OF-SECURITIES
360 DP896 16-May-2007 SHARE CERTIFICATE OF
JK TYRE & INDUSTRIES LIMITED
361 DP897 16-May-2007 NAMES OF THE DPS EMPANELLED BY MCX
FOR OPENING OF ACCOUNTS FOR COMMODITIES
& HOLDING WAREHOUSE RECEIPTS IN ELECTRONIC FORM
362 DP898 16-May-2007 REVISED FORMAT OF BO GRIEVANCE REPORT
363 DP899 16-May-2007 INTRODUCTION OF NEW SUB-STATII
FOR CLEARING MEMBER / TRADING MEMBER-RELATED
DEMAT ACCOUNTS
364 DP900 23-May-2007 SETTLEMENT CHARGES FOR COMMODITY CM ACCOUNTS
365 DP901 24-May-2007 FREEZING OF COMMODITY ISINS
366 DP902 25-May-2007 INSPECTION MANUAL FOR DEPOSITORY PARTICIPANTS
367 DP903 25-May-2007 NAMES OF THE DPS EMPANELLED BY MCX
FOR OPENING OF ACCOUNTS FOR COMMODITIES
& HOLDING WAREHOUSE RECEIPTS IN ELECTRONIC FORM
368 DP904 26-May-2007 MANDATORY REQUIREMENTS FOR
BACK OFFICE CONNECTED BRANCHES
369 DP916 02-Jun-2007 BO CLOSURE UPLOAD FILE FORMATS
370 DP905 04-Jun-2007 CDSLS DP TRAINING PROGRAMME
FOR JULY 2007
371 DP906 04-Jun-2007 CDSLS DP TRAINING PROGRAMME
FOR JULY 2007 (SECOND BATCH)
372 DP907 04-Jun-2007 NAMES OF THE DPS EMPANELLED BY MCX
373 DP908 04-Jun-2007 CDSL SYSTEM MAINTENANCE
374 DP909 06-Jun-2007 MUKESH BABU SECURITIES LIMITED
CEASES TO BE A DEPOSITORY PARTICIPANT OF CDSL
375 DP910 08-Jun-2007 TRAINING PROGRAMME FOR
INTERNAL & CONCURRENT AUDITORS OF DPS
376 DP911 08-Jun-2007 CAUTION IN SELECTION OF
SUB-STATUS WHILE OPENING BO-ACCOUNTS
377 DP912 13-Jun-2007 GALAXY BROKING LIMITED (DP ID 38800)
CEASES TO BE A DEPOSITORY PARTICIPANT OF CDSL
378 DP913 25-Jun-2007 INSURANCE CERTIFICATES
379 DP914 27-Jun-2007 PAN AS SOLE IDENTIFICATION NUMBER
FOR ALL TRANSACTIONS IN THE SECURITIES MARKET
380 DP915 27-Jun-2007 SETTLEMENT TIMINGS OF BSE & NSE
381 DP917 03-Jul-2007 CDSL SYSTEM MAINTENANCE
382 DP918 03-Jul-2007 SETTLEMENTS DATED 04-JULY-2007
383 DP919 03-Jul-2007 SUPERVISION OF BRANCHES OF
DEPOSITORY PARTICIPANTS
384 DP920 10-Jul-2007 CDSLS DP TRAINING PROGRAMME FOR AUGUST 2007
385 DP921 11-Jul-2007 AMENDMENT TO RULES FRAMED UNDER THE
PREVENTION OF MONEY LAUNDERING ACT, 2002
386 DP922 11-Jul-2007 EMAIL ID EXCLUSIVELY FOR DP-QUERIES
387 DP923 11-Jul-2007 NAMES OF THE DPS EMPANELLED BY MCX
FOR OPENING OF ACCOUNTS FOR COMMODITIES
& HOLDING WAREHOUSE RECEIPTS IN ELECTRONIC FORM
388 DP924 12-Jul-2007 CDSL SYSTEM MAINTENANCE ACTIVITY
389 DP925 19-Jul-2007 NAMES OF THE DPS EMPANELLED BY NCDEX
390 DP926 24-Jul-2007 AGGREGATE VALUE OF PORTFOLIO OF SECURITIES
391 DP927 25-Jul-2007 TRAINING PROGRAMME FOR
INTERNAL & CONCURRENT AUDITORS OF DPS
392 DP929 28-Jul-2007 PAN INQUIRY
393 DP930 01-Aug-2007 INQUIRY ON ACCOUNT CLOSURE
394 DP931 02-Aug-2007 BACKUP OF CDAS
395 DP932 03-Aug-2007 AMENDMENTS-TO-DP-OPERATING-INSTRUCTIONS-ACCOUNT-
OPENING-PROCEDURE
396 DP933 06-Aug-2007 CDSL SYSTEM MAINTENANCE
397 DP934 06-Aug-2007 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA

Page 7
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
398 DP935 07-Aug-2007 CDSLS DP TRAINING PROGRAMME
FOR SEPTEMBER 2007
399 DP936 10-Aug-2007 AVAILABILITY OF CDSL SYSTEM
400 DP937 10-Aug-2007 SMS ALERTS (SMART) FACILITY
FOR CDSL DEMAT ACCOUNT HOLDERS
401 DP938 11-Aug-2007 NOMINATION FACILITY
FOR DEMAT BENEFICIAL OWNER [BO] ACCOUNTS
402 DP939 16-Aug-2007 AVAILABILITY OF CDSL SYSTEM
403 DP940 17-Aug-2007 SETTLEMENT TIMINGS OF BSE & NSE
404 DP941 21-Aug-2007 NAMES OF THE DPS EMPANELLED BY NCDEX
FOR OPENING OF ACCOUNTS FOR COMMODITIES & HOLDING
WAREHOUSE RECEIPTS IN ELECTRONIC FORM
405 DP942 21-Aug-2007 GENERATION OF REPORTS:
DPC5 AND DPG5
406 DP943 21-Aug-2007 DETAILS OF COMPLIANCE OFFICER
407 DP944 21-Aug-2007 TRAINING PROGRAMME FOR
INTERNAL & CONCURRENT AUDITORS OF DPS
408 DP945 21-Aug-2007 AMENDMENTS TO CDSLS BYE-LAWS
409 DP946 24-Aug-2007 APPOINTMENT OF NEW RTA
BY UNION BANK OF INDIA
410 DP947 27-Aug-2007 INVESTOR AWARENESS PROGRAMME
411 DP948 29-Aug-2007 AVAILABILITY OF CDSL SYSTEM
412 DP949 31-Aug-2007 AVAILABILITY OF CDSL SYSTEM
413 DP950 04-Sep-2007 CDSLS DP TRAINING PROGRAMME
FOR OCTOBER 2007
414 DP951 12-Sep-2007 CDSLS DP TRAINING PROGRAMMES FOR BACK OFFICE
CONNECTED BRANCHES
DURING SEPTEMBER & OCTOBER 2007
415 DP952 12-Sep-2007 INVESTOR AWARENESS PROGRAMME
416 DP953 13-Sep-2007 DISCONTINUATION OF USING MAPIN CARD
AS PROOF OF IDENTITY
417 DP954 13-Sep-2007 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
418 DP955 14-Sep-2007 DP-955-CSDL-SMART-SMS-ALERT
419 DP956 14-Sep-2007 SUPERVISION OF BRANCHES OF
DEPOSITORY PARTICIPANTS
420 DP957 18-Sep-2007 CDSL DP TRAINING PROGRAMMES
FOR BACK OFFICE CONNECTED BRANCHES
421 DP958 18-Sep-2007 INVESTOR AWARENESS PROGRAMME
422 DP959 25-Sep-2007 RELEASE OF NEW VERSION
423 DP960 25-Sep-2007 BRANCHES OF DEPOSITORY PARTICIPANTS
424 DP961 26-Sep-2007 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
425 DP962 27-Sep-2007 REVISED SCHEDULE OF DP89 REPORT
426 DP963 01-Oct-2007 INVESTOR AWARENESS PROGRAMME
427 DP964 03-Oct-2007 CDSL DP TRAINING PROGRAMME
FOR NOVEMBER 2007
428 DP965 03-Oct-2007 SOFT COPY OF DP MONTHLY BILL
429 DP966 05-Oct-2007 EARLY PAY-IN FILE FORMATS
430 DP967 10-Oct-2007 BANK STATEMENTS

BEING SUBMITTED AS ADDRESS PROOF

431 DP968 10-Oct-2007 CDSL SYSTEM MAINTENANCE


432 DP969 10-Oct-2007 CDSLS DP TRAINING PROGRAMME
FOR BACK OFFICE CONNECTED BRANCHES ON
SATURDAY, OCTOBER 27, 2007
433 DP970 12-Oct-2007 MONITORING OF PAN VERIFICATION
CARRIED OUT BY DPS
434 DP971 15-Oct-2007 INVESTOR AWARENESS PROGRAMME IN CHIPLUN
435 DP972 15-Oct-2007 INVESTOR AWARENESS PROGRAMME IN KHED
436 DP973 15-Oct-2007 INVESTOR AWARENESS PROGRAMME IN AURANGABAD
437 DP974 16-Oct-2007 UTI DEPOSIT / PAY-IN SLIPS
438 DP975 16-Oct-2007 DUE DILIGENCE IN DEPOSITORY OPERATIONS
439 DP977 19-Oct-2007 INVESTOR AWARENESS PROGRAMME IN HYDERABAD
440 DP978 22-Oct-2007 IN-PERSON VERIFICATION OF APPLICANTS
AT THE TIME OF OPENING DEMAT ACCOUNTS
OF NON BODY CORPORATES

441 DP979 23-Oct-2007 INVESTOR AWARENESS PROGRAMME IN AURANGABAD


442 DP980 25-Oct-2007 CORPORATE ANNOUNCEMENTS
443 DP981 31-Oct-2007 CDSL SYSTEM MAINTENANCE

Page 8
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
444 DP982 31-Oct-2007 CDSLS DP TRAINING PROGRAMME
FOR BACK OFFICE CONNECTED BRANCHES ON
WEDNESDAY, NOVEMBER 14, 2007
445 DP983 05-Nov-2007 SUBMISSION / DISSEMINATION OF DP TARIFF / CHARGES
STRUCTURE
TO CDSL EVERY YEAR (THROUGH DP LOGIN IN CDSLS WEBSITE)
446 DP984 05-Nov-2007 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
447 DP985 06-Nov-2007 CDSLS DP TRAINING PROGRAMME
FOR DECEMBER 2007
448 DP986 08-Nov-2007 SETTLEMENT TIMINGS OF BSE & NSE SCHEDULED ON TUESDAY
NOVEMBER 13 2007
449 DP987 13-Nov-2007 CDSL DP TRAINING PROGRAMME
FOR BACK OFFICE CONNECTED BRANCHES ON
450 DP988 13-Nov-2007 GUIDELINES ON ANTI-MONEY LAUNDERING MEASURES
451 DP989 13-Nov-2007 MODIFICATIONS TO ACCOUNT OPENING FORMS
AND DELIVERY INSTRUCTION SLIPS
452 DP990 15-Nov-2007 CDSL AND KSD (KOREA)
SIGN INFORMATION SHARING AND COLLABORATION PACT
453 DP976 21-Nov-2007 MIGRATION OF CDAS DATABASE FROM ACCESS TO SQL SERVER
454 DP991 21-Nov-2007 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
455 DP992 23-Nov-2007 INVESTOR AWARENESS PROGRAMME IN AKLUJ
456 DP993 26-Nov-2007 TRAINING PROGRAMME FOR AUDITORS OF DPS
ON SATURDAY, DECEMBER 15, 2007
IN NEW DELHI
457 DP994 27-Nov-2007 CDSLS DP TRAINING PROGRAMME
FOR BACK OFFICE CONNECTED BRANCHES ON
SATURDAY, DECEMBER 15, 2007
458 DP995 28-Nov-2007 CDSL SYSTEM MAINTENANCE
459 DP996 07-Dec-2007 CDSL SMART SMS ALERTS RELATED TO TRANSACTIONS
460 DP997 12-Dec-2007 INVESTOR AWARENESS PROGRAMMES
461 DP998 12-Dec-2007 TRAINING PROGRAMME FOR AUDITORS OF DPS
462 DP999 14-Dec-2007 CDSL DP TRAINING PROGRAMME FOR JANUARY 2008
463 DP1000 15-Dec-2007 NON-AVAILABILITY OF CDSL SYSTEM
464 DP1001 17-Dec-2007 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
465 DP1002 17-Dec-2007 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT CISA
466 DP1003 18-Dec-2007 DETAILS OF COMPLIANCE OFFICER OF THE DP
467 DP1004 19-Dec-2007 MIGRATION OF CDAS DATABASE FROM ACCESS TO SQL SERVER
468 DP1005 20-Dec-2007 INVESTOR AWARENESS PROGRAMME
469 DP1006 26-Dec-2007 TRANSFER OR REVERSAL OF RIGHTS TO / FROM MAIN DP
470 DP1007 26-Dec-2007 MODIFICATIONS TO ACCOUNT OPENING FORMS AND DELIVERY
INSTRUCTION SLIPS
471 DP1008 28-Dec-2007 AVAILABILITY OF CDSL SYSTEM
472 DP1010 28-Dec-2007 MINOR AS SOLE AND FIRST HOLDER
473 DP1009 31-Dec-2007 NAMES OF DPS EMPALLED BY NCDEX
474 DP1011 02-Jan-2008 FREEZE REASON CODES
475 DP1013 05-Jan-2008 AVAILABILITY OF CDSL SYSTEM
476 DP1014 05-Jan-2008 CDSL SMART ? SMS ALERTS RELATED TO TRANSACTIONS
477 DP1015 08-Jan-2008 SHORT SELLING AND SECURITIES LENDING AND BORROWING
478 DP1016 08-Jan-2008 LIMITED AVAILABILITY OF CDSL SYSTEM
479 DP1017 10-Jan-2008 CDSLS DP OPERATING INSTRUCTIONS
480 DP1018 11-Jan-2008 AVAILABILITY OF CDSL SYSTEM
481 DP1019 11-Jan-2008 INVESTOR AWARENESS PROGRAMME
482 DP1020 14-Jan-2008 INVESTOR AWARENESS PROGRAMME
483 DP1021 15-Jan-2008 CDSLS DP TRAINING PROGRAMME
484 DP1022 16-Jan-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT CISA ON ACCOUNT OF BANK HOLIDAYS
485 DP1023 18-Jan-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT CISA ON ACCOUNT OF BANK HOLIDAYS
486 DP1024 23-Jan-2008 AVAILABILITY OF CDSL SYSTEM
487 DP1025 23-Jan-2008 TRADING AND SETTLEMENT OF TRADES IN DEMATERIALISED
SCRIPS
488 DP1026 24-Jan-2008 ONLINE BCCD CERTIFICATION EXAMINATION AT HYDERABAD AND
VADODARA
489 DP1027 24-Jan-2008 CHANGE IN SETTLEMENT OF BSE AND NSE
490 DP1028 25-Jan-2008 MINOR AS SOLE & FIRST HOLDER
491 DP1029 25-Jan-2008 CHANGE IN SETTLEMENT SCHEDULE OF BSE, NSE AND CSE
492 DP1030 25-Jan-2008 MIGRATION OF CDAS DATABASE FROM ACCESS TO SQL SERVER
493 DP1031 25-Jan-2008 SECURITIES LENDING AND BORROWING

Page 9
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
494 DP1032 28-Jan-2008 GUIDELINES ON ANTI-MONEY LAUNDERING MEASURES
495 DP1033 28-Jan-2008 SETTLEMENT SCHEDULE OF NSE
496 DP1034 28-Jan-2008 SECURITIES LENDING AND BORROWING
497 DP1035 29-Jan-2008 AVAILABILITY OF CDSL SYSTEM
498 DP1036 30-Jan-2008 SECURITIES LENDING AND BORROWING (SLB) NEW MARKET TYPES
FOR NSE SLB SETTLEMENTS
499 DP1037 04-Feb-2008 INVESTOR AWARENESS PROGRAMME AT THANE
500 DP1038 04-Feb-2008 CDSL DP TRAINING PROGRAMME FOR MARCH 2008
501 DP1039 04-Feb-2008 EARLY EARMARKING OF BSE ON-MARKET (BO CONFIRMATION)
INSTRUCTIONS.
502 DP1040 12-Feb-2008 GENERATION OF REPORT DPC5
503 DP1041 12-Feb-2008 INVESTOR AWARENESS PROGRAMME AT MUMBAI
504 DP1042 13-Feb-2008 CDSL AND EUROCLEAR SIGN MEMORANDUM OF UNDERSTANDING
505 DP1043 14-Feb-2008 AVAILABILITY OF CDSL SYSTEM
506 DP1044 15-Feb-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
507 DP1045 15-Feb-2008 NARRATION APPEARING IN REPORTS CD07-DP05-DPC9- DP50-DPE2
FOR SLB SETTLEMENTS
508 DP1046 18-Feb-2008 CDSL AND TDCC (TAIWAN) SIGN INFORMATION SHARING AND
COLLABORATION PACT
509 DP1047 19-Feb-2008 ONLINE BCCD CERTIFICATION EXAMINATION DURING FEBRUARY
AND MARCH 2008
510 DP1048 19-Feb-2008 INVESTOR AWARENESS PROGRAMMES
511 DP1049 20-Feb-2008 AVAILABILITY OF CDSL SYSTEM
512 DP1050 20-Feb-2008 DP MONTHLY BILL
513 DP1051 20-Feb-2008 UPLOAD FOR SMART REGISTRATION
514 DP1052 21-Feb-2008 AMENDMENT TO DP OPERATING INSTRUCTION
515 DP1053 23-Feb-2008 ONLINE BCCD CERTIFICATION EXAMINATION AT SURAT AND
VADODARA
516 DP1054 25-Feb-2008 MINOR AS SOLE AND FIRST HOLDER
517 DP1055 27-Feb-2008 AVAILABILITY OF CDSL SYSTEM
518 DP1056 27-Feb-2008 CDSL DP TRAINING PROGRAMME FOR APRIL 2008
519 DP1057 29-Feb-2008 SEMINAR ON PREVENTION OF MONEY LAUNDERING ACT, 2002
PMLA
520 DP1058 29-Feb-2008 ISSUANCE OF DELIVERY INSTRUCTION SLIPS (DIS)
521 DP1060 05-Mar-2008 ONLINE BCCD EXAMINATION AT HYDERABAD
522 DP1061 05-Mar-2008 NAMES OF DPS EMPANELLED BY MCX FOR OPENING COMMODITY
ACCOUNTS
523 DP1059 07-Mar-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
524 DP1062 07-Mar-2008 UPLOAD FOR SMART REGISTRATION
525 DP1063 11-Mar-2008 INVESTOR AWARENESS PROGRAMMES
526 DP1064 15-Mar-2008 SEMINAR AT KOLKATA ON PREVENTION OF MONEY LAUNDERING
ACT, 2002[PMLA]
527 DP1065 17-Mar-2008 GENERATION OF REPORTS: DPC5 AND DPG5 FOR THE MONTH OF
MARCH
528 DP1066 18-Mar-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
529 DP1067 18-Mar-2008 IN-PERSON VERIFICATION OF NRIS/FOREIGN NATIONALS
530 DP1068 18-Mar-2008 AVAILABILITY OF CDSL SYSTEM
531 DP1069 18-Mar-2008 CDSL DP TRAINING PROGRAMME FOR MAY 2008
532 DP1070 19-Mar-2008 MINOR AS SOLE AND FIRST HOLDER
533 DP1071 19-Mar-2008 EXTENDED DEADLINE FOR USE OF AMENDED ACCOUNT OPENING
FORMS AND DELIVERY INSTRUCTION SLIPS
534 DP1072 24-Mar-2008 UPDATING BANK ACCOUNT DETAILS OF BO ACCOUNTS
535 DP1073 24-Mar-2008 CDSL DP TRAINING PROGRAMME FOR MAY-2008 (SECOND BATCH)
536 DP1074 25-Mar-2008 AMENDMENTS TO BYE LAWS
537 DP1075 25-Mar-2008 AVAILABILITY OF CDSL SYSTEM
538 DP1076 25-Mar-2008 CONCURRENT AUDIT OF RISK PRONE AREAS AND INTERNAL AUDIT
FOR DP OPERATIONS
539 DP1077 25-Mar-2008 ONLINE BCCD CERTIFICATION EXAMINATION
540 DP1078 26-Mar-2008 SHORT SELLING AND SECURITIES LENDING AND BORROWING
541 DP1079 26-Mar-2008 REVISED SCHEDULE OF DP83 REPORT
542 DP1080 27-Mar-2008 INVESTOR AWARENESS PROGRAMMES
543 DP1081 31-Mar-2008 SETTLEMENT TIMINGS OF BSE, NSE & CSE SCHEDULED ON
THURSDAY APRIL 03 2008
544 DP1082 31-Mar-2008 SETTLEMENT TIMINGS OF NATIONAL COMMODITY & DERIVATIVES
EXCHANGE LIMITED
545 DP1083 31-Mar-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA

Page 10
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
546 DP1084 31-Mar-2008 SETTLEMENT SCHEDULE OF NSE
547 DP1085 03-Apr-2008 NAMES OF DPS EMPANELLED BY NCDEX
548 DP1086 03-Apr-2008 RELEASE OF NEW VERSION
549 DP1087 03-Apr-2008 SEBIS CLARIFICATION ON IN-PERSON VERIFICATION OF
APPLICANTS AT THE TIME OF ACCOUNT OPENING
550 DP1088 04-Apr-2008 ONLINE BCCD CERTIFICATION EXAMINATION
551 DP1089 04-Apr-2008 SEMINAR AT CHENNAI ON PREVENTION OF MONEY LAUNDERING
ACT, 2002
552 DP1090 04-Apr-2008 SUBMISSION/ DISSEMINATION OF DP TARIFF/ CHARGES
STRUCTURE
553 DP1091 04-Apr-2008 UPDATING HDFC BANK ACCOUNT NUMBERS IN BO ACCOUNTS
554 DP1092 08-Apr-2008 CDSL AND NDC SIGNS MEMORANDUM OF UNDERSTANDING
555 DP1093 09-Apr-2008 AMENDMENTS TO BYE LAWS
556 DP1094 10-Apr-2008 INVESTOR AWARENESS PROGRAMME
557 DP1095 10-Apr-2008 AVAILABILITY OF CDSL SYSTEM
558 DP1096 10-Apr-2008 SEBIS CLARIFICATION ON "IN PERSON VERIFICATION"
559 DP1097 15-Apr-2008 LIST OF DP BACK-OFFICE SOFTWARE VENDORS
560 DP1098 15-Apr-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
561 DP1099 15-Apr-2008 SECURITIES LENDING AND BORROWING
562 DP1100 16-Apr-2008 SECURITIES LENDING AND BORROWING
563 DP1101 16-Apr-2008 CLOSURE OF DP OPERATIONS OF PRATIK STOCK VISION
564 DP1102 16-Apr-2008 SUBMISSION OF DP TARIFF/CHARGES STRUCTURE
565 DP1103 22-Apr-2008 MONITORING OF PAN VERIFICATION CARRIED OUT BY DPS
566 DP1104 22-Apr-2008 INSURANCE POLICY FOR SECURITIES
567 DP1105 24-Apr-2008 CDSLS DP TRAINING PROGRAMME FOR JUNE 2008
568 DP1106 24-Apr-2008 GENERATION OF REPORT DPC5 FOR THE MONTH OF APRIL 2008
569 DP1107 25-Apr-2008 AMENDMENTS TO BYE-LAWS
570 DP1108 25-Apr-2008 NAMES OF DPS EMPANELLED BY MCX
571 DP1109 28-Apr-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
572 DP1110 28-Apr-2008 INVESTOR AWARENESS PROGRAMME
573 DP1111 29-Apr-2008 ONLINE BCCD CERTIFICATION EXAMINATION AT VARIOUS
LOCATIONS
574 DP1112 30-Apr-2008 EARLY-PAY-IN-ACCOUNTS-BSE-SLB
575 DP1113 02-May-2008 SEBI CLARIFICATION ON "IN-PERSON" VERIFICATION OF
APPLICANTS AT THE TIME OF OPENING DEMAT ACCOUNTS
576 DP1114 02-May-2008 MULTIPLE POWER OF ATTORNEY
577 DP1115 05-May-2008 SUB-TYPES IN DP DETAILS [CD01] REPORT
578 DP1116 05-May-2008 REVISED HDFC BANK ACCOUNT NUMBERS IN BO ACCOUNTS
579 DP1117 05-May-2008 AVAILABILITY OF CDSL SYSTEM
580 DP1118 08-May-2008 TERMINATION OF DP DBS CAPITAL MARKETS PV LIMITED
581 DP1119 09-May-2008 SUB-TYPES-IN-RTA-DETAILS-CD02-REPORT
582 DP1120 09-May-2008 CHANGE-OF-RTA-BY-ISSUERS-
583 DP1121 15-May-2008 AVAILABILITY OF CDSL SYSTEM
584 DP1122 15-May-2008 AVAILABILITY OF CDSL SYSTEM
585 DP1123 15-May-2008 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
586 DP1124 15-May-2008 DP-TRAINING-JULY-2008
587 DP1125 16-May-2008 DP-1125-DP-TRAINING-JUNE-2008-(SECOND-BATCH)
588 DP1126 16-May-2008 CLOSURE OF MAGADH STOCK EXCHANGE
589 DP1127 16-May-2008 CLOSURE OF THE HYDERABAD STOCK EXCHANGE
590 DP1128 20-May-2008 COMPLIANCE-OFFICERS-CONTACT-DETAILS
591 DP1129 20-May-2008 CDSL-SIGNS-MOU-WITH-JASDEC
592 DP1130 21-May-2008 REMINDER IN PERSON VERIFICATION
593 DP1131 21-May-2008 INVESTOR AWARENESS PROGRAMME
594 DP1132 22-May-2008 CHANGE-OF-RTA
595 DP1133 22-May-2008 NSE-CMS-TO-VIEW-EARLY-PAY-IN-ACCOUNTS
596 DP1134 27-May-2008 GENERATION OF DPC5 REPORT
597 DP1135 27-May-2008 CHANGE OF RTA 26052008
598 DP1136 03-Jun-2008 CHANGE OF RTA 31052008
599 DP1137 05-Jun-2008 INVESTOR AWARENESS PROGRAMME AT DELHI
600 DP1138 05-Jun-2008 INVESTOR AWARENESS PROGRAMME AT SOLAPUR
601 DP1139 05-Jun-2008 CHANGE OF RTA 03062008
602 DP1140 05-Jun-2008 INVESTOR AWARENESS PROGRAMME AT KARIMNAGAR
603 DP1141 05-Jun-2008 PAN NON COMPLIANT ACCOUNTS
604 DP1142 05-Jun-2008 UNEXERCISED PLEDGE REQUESTS

Page 11
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
605 DP1143 05-Jun-2008 MINOR AS SOLE HOLDER
606 DP1144 09-Jun-2008 CHANGE OF RTA 06062008
607 DP1145 09-Jun-2008 DP TRAINING JULY 2008 (SECOND-BATCH)
608 DP1146 09-Jun-2008 DP TRAINING AUGUST 2008
609 DP1147 09-Jun-2008 COPY OF BANK STATEMENT AND CHEQUE AS PROOF OF ADDRESS
610 DP1148 09-Jun-2008 SEPARATE CM WISE EARLY PAY-IN ACCOUNTS
611 DP1149 09-Jun-2008 INVESTOR AWARENESS PROGRAMME AT MITHAPUR
612 DP1150 09-Jun-2008 INVESTOR AWARENESS PROGRAMME AT MIDNAPORE
613 DP1151 10-Jun-2008 INVESTOR AWARENESS PROGRAMME AT JAMNAGAR
614 DP1152 11-Jun-2008 REMINDER II IN PERSON VERIFICATION
615 DP1153 11-Jun-2008 INVESTOR AWARENESS PROGRAMME AT CHANDIGARH
616 DP1154 11-Jun-2008 CHANGE OF RTA 10062008
617 DP1155 12-Jun-2008 AVAILABILITY OF CDSL SYSTEM
618 DP1156 12-Jun-2008 SEPARATE CM WISE EARLY PAY-IN ACCOUNTS
619 DP1157 13-Jun-2008 INVESTOR AWARENESS PROGRAMME AT CHOWTUPPAL AP
620 DP1158 17-Jun-2008 INVESTOR AWARENESS PROGRAMME AT AKOLA
621 DP1159 17-Jun-2008 CHAPTER 12 DP OPERATING INSTRUCTIONS
622 DP1160 19-Jun-2008 ONLINE BCCD CERTIFICATION AT VARIOUS LOCATIONS
623 DP1161 20-Jun-2008 CHANGE OF NAME EFFECTED BY DPS
624 DP1162 23-Jun-2008 GENERATION OF DPC5 AND DPG5 REPORT (JUNE)
625 DP1163 23-Jun-2008 TOP 200 COMPANIES WITH PENDING DEMAT REQUESTS
626 DP1164 24-Jun-2008 CHANGE OF RTA 21062008
627 DP1165 24-Jun-2008 AVAILABILITY OF CDSL SYSTEM
628 DP1166 25-Jun-2008 INVESTOR AWARENESS PROGRAMME
629 DP1167 27-Jun-2008 SETTLEMENT TIMINGS OF BSESLB-NSESLB 020708 AND 110708
630 DP1168 27-Jun-2008 SETTLEMENT TIMINGS OF BSE AND NSE 03072008
631 DP1169 30-Jun-2008 INSURANCE CERTIFICATES
632 DP1170 01-Jul-2008 EXEMPTION OF PAN FOR GOVT ENTITES
633 DP1171 01-Jul-2008 REPORT DP24-DEMAT SUMMARY
634 DP1172 03-Jul-2008 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS.
635 DP1173 03-Jul-2008 INVESTOR AWARENESS PROGRAMME AT HOWRAH
636 DP1174 03-Jul-2008 SETTLEMENT POCKET EARLY PAY-IN
637 DP1175 04-Jul-2008 DP TRAINING SEP-2008 (FIRST-BATCH)
638 DP1176 04-Jul-2008 AVAILABILITY OF CDSL SYSTEM
639 DP1177 04-Jul-2008 DP TRAINING SEP-2008 (SECOND-BATCH)
640 DP1178 04-Jul-2008 INVESTOR AWARENESS PROGRAMME AT KOLKATA
641 DP1179 04-Jul-2008 IN-PERSON VERIFICATION BY DP STAFF
642 DP1180 04-Jul-2008 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
643 DP1181 05-Jul-2008 IN PERSON VERIFICATION EXTENSION OF DEADLINE
644 DP1182 07-Jul-2008 INVESTOR AWARENESS PROGRAMME AT KOLHAPUR
645 DP1183 07-Jul-2008 CHANGE OF RTA
646 DP1184 09-Jul-2008 INVESTOR AWARENESS PROGRAMME AT KERALA
647 DP1185 09-Jul-2008 CHANGE OF RTA 08072008
648 DP1187 10-Jul-2008 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
649 DP1186 11-Jul-2008 CDSL DP OPERATING INSTRUCTIONS AS OF JUNE-2008
650 DP1188 11-Jul-2008 ONLINE BCCD CERTIFICATION EXAMINATION AT VARIOUS
LOCATIONS DURING JULY 2008
651 DP1189 11-Jul-2008 TRAINING PROGRAMME-CUM-REFRESHER COURSE FOR
COMPLIANCE OFFICERS OF DPS
652 DP1190 11-Jul-2008 NAMES OF THE DPS EMPANELLED BY NCDEX FOR OPENING OF
ACCOUNTS FOR COMMODITIES AND HOLDING WAREHOUSE
RECEIPTS IN ELECTRONIC FORM
653 DP1191 14-Jul-2008 CHANGE OF RTA 11072008
654 DP1192 15-Jul-2008 INVESTOR AWARENESS PROGRAMME AT PRODDATUR AP
655 DP1193 16-Jul-2008 CHANGE OF NAMES EFFECTED BY DPS.
656 DP1194 17-Jul-2008 AVAILABILITY OF CDSL SYSTEM
657 DP1195 18-Jul-2008 INVESTOR AWARENESS PROGRAMMES
658 DP1196 18-Jul-2008 MCX EMPANELLMENT
659 DP1197 21-Jul-2008 INVESTOR AWARENESS PROGRAMME AT KOLKATA
660 DP1198 21-Jul-2008 INVESTOR AWARENESS PROGRAMME AT GANDHINAGAR
661 DP1199 23-Jul-2008 AVAILABILITY OF CDSL SYSTEM
662 DP1200 23-Jul-2008 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
663 DP1201 24-Jul-2008 INVESTOR AWARENESS PROGRAMME AT KOLKATA
664 DP1202 24-Jul-2008 GENERATION OF JULY DPC5 REPORT
665 DP1203 25-Jul-2008 INVESTOR AWARENESS PROGRAMME

Page 12
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
666 DP1204 25-Jul-2008 CHANGE OF RTA 24072008
667 DP1205 25-Jul-2008 SETTLEMENT POCKET CHOICE TO CM
668 DP1206 25-Jul-2008 SETTLEMENT POCKET CHOICE TO DP
669 DP1207 25-Jul-2008 SETTLEMENT POCKET TRANSACTION MODULE
670 DP1208 25-Jul-2008 INVESTOR AWARENESS PROGRAMME AT NOKHA
671 DP1209 25-Jul-2008 COMPLIANCE OFFICERS TRAINING ALL INDIA
672 DP1210 25-Jul-2008 SETTLEMENT POCKET IMPACT ON OTHER TXNS
673 DP928 28-Jul-2008 REQUEST FOR COMMENTS ON SEBI INTERMEDIARIES
REGULATIONS 2007
674 DP1211 29-Jul-2008 INVESTOR AWARENESS PROGRAMME AT KOLKATA
675 DP1212 30-Jul-2008 AVAILABILITY OF CDSL SYSTEM
676 DP1213 30-Jul-2008 INVESTOR AWARENESS PROGRAMME
677 DP1214 30-Jul-2008 INVESTOR AWARENESS PROGRAMME
678 DP1215 31-Jul-2008 INVESTOR AWARENESS PROGRAMMES
679 DP1216 01-Aug-2008 INVESTOR AWARENESS PROGRAMME
680 DP1217 01-Aug-2008 COMPLIANCE MANUAL AS OF JUNE 2008
681 DP1218 05-Aug-2008 INVESTOR AWARENESS PROGRAMME AT GWALIOR
682 DP1219 05-Aug-2008 AVAILABILITY OF 2MBPS LEASED LINE CONNECTIVITY
683 DP1220 05-Aug-2008 DETAILS OF CHANGE OF ADDRESS EFFECTED BY RTAS
684 DP1221 05-Aug-2008 TRAINING PROGRAMME FOR INTERNAL AND CONCURRENT
AUDITORS OF DPS
685 DP1222 05-Aug-2008 FILING OF SUSPICIOUS TRANSACTIONS RESPORT (STR) DIRECTLY
TO FIU-IND UNDER PMLA GUIDELINES
686 DP1223 05-Aug-2008 INVESTOR AWARENESS PROGRAMME AT BELGAUM
687 DP1224 05-Aug-2008 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
688 DP1225 07-Aug-2008 SUBMISSION OF NETWORTH CERTIFICATE AND AUDITED FINANCIAL
STATEMENT
689 DP1226 07-Aug-2008 SERVICE TAX ON VSAT CHARGES
690 DP1227 07-Aug-2008 CORPORATE ANNOUNCEMENTS FROM CDSL THROUGH
EASI/EASIEST LOGIN
691 DP1228 07-Aug-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT (CISA)
692 DP1229 11-Aug-2008 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
693 DP1230 11-Aug-2008 ONLINE BCCD CERTIFICATION EXAMINATION AT HYDERABAD
694 DP1231 13-Aug-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT (CISA)
695 DP1232 13-Aug-2008 CDSLS DP TRAINING PROGRAMME FOR OCTOBER 2008
696 DP1233 14-Aug-2008 REVISED NAMING CONVENTION OF DPE4 REPORT
697 DP1234 14-Aug-2008 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
698 DP1235 14-Aug-2008 IN-PERSON VERIFICATION
699 DP1236 14-Aug-2008 INVESTOR AWARENESS PROGRAMME AT NADIA-WEST BENGAL
700 DP1237 14-Aug-2008 INVESTOR AWARENESS PROGRAMME AT VASAI
701 DP1238 18-Aug-2008 SETTLEMENT TIMINGS OF BSE & NSE SCHEDULED ON 21.08.2008
702 DP1239 18-Aug-2008 SETTLEMENT TIMINGS OF BSE-SLB AND NSE-SLB SCHEDULED ON
20-08-2008 & 29-08-2008
703 DP1240 20-Aug-2008 INVESTOR AWARENESS PROGRAMME AT KARUR-TAMIL NADU
704 DP1241 20-Aug-2008 RELEASE OF NEW VERSION
705 DP1242 21-Aug-2008 INVESTOR AWARENESS PROGRAMMES IN KERALA
706 DP1243 21-Aug-2008 EASIEST REGISTRATION/RENEWAL FOR ACCOUNT-OF-CHOICE
707 DP1244 21-Aug-2008 CHANGE OF RTA EFFECTED BY ISSUERS
708 DP1245 21-Aug-2008 RELEASE OF NEW VERSION ON FRIDAY-22.08.2008.
709 DP1246 21-Aug-2008 INVESTOR AWARENESS PROGRAMME IN KERALA
710 DP1247 22-Aug-2008 INVESTOR AWARENESS PROGRAMME AT KARUR (REVISED
SCHEDULE)
711 DP1248 23-Aug-2008 CHANGE OF RTA EFFECTED BY ISSUERS
712 DP1249 23-Aug-2008 HARDWARE/ SOFTWARE CONFIGURATION
FOR SINGLE-USER AND MULTI- USER SET UP
713 DP1250 25-Aug-2008 GENERATION OF REPORT DPC5 FOR THE MONTH OF AUGUST 2008
714 DP1251 26-Aug-2008 ONLINE BCCD CERTIFICATION EXAMINATION AT VARIOUS
LOCATIONS DURING SEPTEMBER 2008
715 DP1252 27-Aug-2008 AVAILABILITY OF CDSL SYSTEM
716 DP1253 27-Aug-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT (CISA)
717 DP1254 28-Aug-2008 CHANGE OF RTA 27082008
718 DP1255 28-Aug-2008 AVAILABILITY OF CDSL SYSTEM
719 DP1256 28-Aug-2008 INVESTOR AWARENESS PROGRAMME AT PURBA-MEDINAPORE-
WEST BENGAL
720 DP1257 30-Aug-2008 AVAILABILITY OF CDSL SYSTEM ON 01-09-2008.

Page 13
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
721 DP1258 04-Sep-2008 AVAILABILITY OF CDSL SYSTEM ON 04092008
722 DP1259 04-Sep-2008 INVESTOR AWARENESS PROGRAMMES
723 DP1260 04-Sep-2008 AVAILABILITY OF CDSL SYSTEM ON 05-09-2008
724 DP1261 05-Sep-2008 INVESTOR AWARENESS PROGRAMME AT KARIMNAGAR- ANDHRA
PRADESH
725 DP1262 05-Sep-2008 FILE FORMATS: DPM1 AND DPM2 REPORTS
726 DP1263 08-Sep-2008 INVESTOR AWARENESS PROGRAMME AT JALNA
727 DP1264 08-Sep-2008 FILE FORMATS OF REPORTS - CD01, CD02 & CD03
728 DP1265 09-Sep-2008 AMENDMENT TO CDSLS DP OPERATING INSTRUCTIONS-CHAPTER
6-SETTLEMENTS
729 DP1266 09-Sep-2008 INVESTOR AWARENESS PROGRAMME AT KOLKATA
730 DP1267 09-Sep-2008 AMENDED DELIVERY INSTRUCTION SLIPS
731 DP1268 10-Sep-2008 REVISED FORMAT OF IAR AND CAR
732 DP1269 10-Sep-2008 CHANGE OF RTA 08092008
733 DP1270 11-Sep-2008 INVESTOR AWARENESS PROGRAMMES AT RAJKOT
734 DP1271 11-Sep-2008 INVESTOR AWARENESS PROGRAMME AT KANDUKUR
735 DP1272 15-Sep-2008 CHANGE OF RTA EFFECTED BY ISSUERS
736 DP1273 15-Sep-2008 MULTIPLE POWER OF ATTORNEY
737 DP1274 16-Sep-2008 DP TRAINING PROGRAMME FOR NOVEMBER 2008 (FIRST BATCH)
738 DP1275 16-Sep-2008 DP TRAINING PROGRAMME FOR NOVEMBER 2008 (SECOND BATCH)
739 DP1276 17-Sep-2008 EXTENDED TIME FOR UPLOADS
740 DP1277 17-Sep-2008 CLOSURE OF PAN NON-COMPLIANT ACCOUNTS
741 DP1278 19-Sep-2008 USAGE OF MODIFIED FORMATS OF AOF AND DIS
742 DP1279 23-Sep-2008 CHANGE OF RTA EFFECTED BY ISSUERS
743 DP1280 23-Sep-2008 INVESTOR AWARENESS PROGRAMME AT NADIAD-GUJARAT
744 DP1281 25-Sep-2008 MANDATORY REGISTRATION FOR EASIEST
745 DP1282 25-Sep-2008 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT (CISA)
746 DP1283 25-Sep-2008 RELEASE OF MULTIPLE POWER OF ATTORNEY (POA) FACILITY
747 DP1284 25-Sep-2008 PLEDGE REQUESTS NOT EXERCISED WITHIN A REASONABLE TIME
748 DP1285 25-Sep-2008 GENERATION OF DPC5 & DPG5 REPORT FOR THE MONTH OF
SEPTEMBER 2008
749 DP1286 25-Sep-2008 MOBILE NUMBER OF COMPLIANCE OFFICER
750 DP1287 26-Sep-2008 AVAILABILITY OF CDSL SYSTEM ON 28-09-2008
751 DP1288 29-Sep-2008 NAMES OF DPS EMPANELLED BY NCDEX
752 DP1289 30-Sep-2008 SETTLEMENT TIMINGS OF BSE AND NSE SCHEDULED ON OCTOBER
3, 2008
753 DP1290 30-Sep-2008 SETTLEMENT TIMINGS OF BSE-SLB AND NSE-SLB SCHEDULED ON
01 & 14TH OCTOBER, 2008
754 DP1291 30-Sep-2008 ONLINE BCCD CERTIFICATION EXAMINATION AT BHOPAL
755 DP1292 30-Sep-2008 INVESTOR AWARENESS PROGRAMME AT TRICHY-TN.
756 DP1293 30-Sep-2008 RESCHEDULED RELEASE OF MULTIPLE POA FACILITY
757 DP1294 01-Oct-2008 INVESTOR AWARENESS PROGRAMMES ON 4TH & 5TH OCT. 2008.
758 DP1295 03-Oct-2008 AVAILABILITY OF CDSL SYSTEM
759 DP1296 03-Oct-2008 INVESTOR AWARENESS PROGRAMME AT UNJHA GUJ
760 DP1297 03-Oct-2008 CHANGE OF RTA EFFECTED BY ISSUERS 01102008
761 DP1298 03-Oct-2008 MULTILPE POA FILES SENT TO CDSL
762 DP1299 03-Oct-2008 INVESTOR AWARENESS PROGRAMMES IN MAHARASHTRA
763 DP1300 03-Oct-2008 MOVEMENT OF SECURITIES TO CISA
764 DP1301 03-Oct-2008 MULTIPLE POWER OF ATTORNEY
765 DP1302 03-Oct-2008 INVESTOR AWARENESS PROGRAMME AT VISNAGAR-GUJARAT
766 DP1303 07-Oct-2008 CHANGE OF RTA EFFECTED BY ISSUERS
767 DP1304 08-Oct-2008 SETTLEMENT POCKET -

REVISED UPLOAD FORMATS


768 DP1305 08-Oct-2008 INVESTOR AWARENESS PROGRAMMES AT HYDERABAD & GWALIOR
769 DP1306 08-Oct-2008 AVAILABILITY OF CDSL SYSTEM ON 10TH & 11TH OCT. 2008
770 DP1307 10-Oct-2008 UPDATING OF PNB BANK ACCOUNT NUMBERS
771 DP1308 13-Oct-2008 CHANGE OF RTA 10102008
772 DP1309 14-Oct-2008 DP TRAINING PROGRAMME FOR DECEMBER 2008
773 DP1310 14-Oct-2008 SETTLEMENT POCKET - REVISED TRANSACTION SUMMARY
REPORTS
774 DP1311 14-Oct-2008 AVAILABILITY OF CDSL SYSTEM ON 15TH, 16TH & 17TH OCT. 2008
775 DP1312 15-Oct-2008 CHANGE OF RTA EFFECTED BY ISSUERS
776 DP1313 15-Oct-2008 AMENDMENT TO CDSLS DP OPERATING INSTRUCTIONS
777 DP1314 16-Oct-2008 RESCHEDULED RELEASE OF MULTIPLE POWER OF ATTORNEY
FACILITY

Page 14
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
778 DP1315 18-Oct-2008 AVAILABILITY OF CDSL SYSTEM ON 18TH & 19TH OCT. 2008
779 DP1316 20-Oct-2008 MOVEMENT OF SECURITIES TO CISA
780 DP1317 20-Oct-2008 REVISED SETTLEMENT TIMINGS OF BSE & NSE
781 DP1318 21-Oct-2008 INVESTOR AWARENESS PROGRAMMES IN ANDHRA PRADESH
782 DP1319 21-Oct-2008 REVISED SETTLEMENT TIMINGS OF BSE-SLB & NSE-SLB
783 DP1320 22-Oct-2008 BO MODIFY UPLOAD FILE FORMAT
784 DP1321 22-Oct-2008 MPLS LEASED LINE CONNECTIVITY THROUGH BSE
785 DP1322 23-Oct-2008 ELECTRONIC WAREHOUSE RECEIPTS OF NATIONAL SPOT
EXCHANGE LTD.
786 DP1323 23-Oct-2008 AVAILABILITY OF CDSL SYSTEM ON OCT. 25, 2008.
787 DP1324 24-Oct-2008 MULTIPLE POWER OF ATTORNEY
788 DP1325 24-Oct-2008 AVAILABILITY OF CDSL SYSTEM ON 24-10-2008
789 DP1326 24-Oct-2008 DEFERRED RELEASE OF MULTIPLE POWER OF ATTORNEY FACILITY
790 DP1327 27-Oct-2008 GENERATION OF DPC5 REPORT
FOR THE MONTH OF OCTOBER 2008
791 DP1328 27-Oct-2008 MCX EMPANELLMENT
792 DP1329 27-Oct-2008 SETTLEMENT TIMINGS OF BSE AND NSE - 31102008
793 DP1330 31-Oct-2008 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
794 DP1331 31-Oct-2008 IN-PERSON VERIFICATION THROUGH WEBCAM
795 DP1332 31-Oct-2008 MULTIPLE POWER OF ATTORNEY
796 DP1333 31-Oct-2008 INTERNAL AUDIT REPORT - DETAILS OF BACK OFFICE BRANCHES
797 DP1334 01-Nov-2008 REVIEW OF [SLB]

SECURITIES LENDING & BORROWING FRAMEWORK


798 DP1335 03-Nov-2008 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS -
SEPTEMEBR 2008
799 DP1336 04-Nov-2008 CLOSURE OF PAN NON-COMPLIANT ACCOUNTS
800 DP1337 04-Nov-2008 CHANGE OF RTA EFFECTED BY ISSUERS
801 DP1338 05-Nov-2008 AMENDMENTS TO CDSL BYE LAWS
802 DP1339 05-Nov-2008 INVESTOR AWARENESS PROGRAMME AT KARJAT MH
803 DP1340 05-Nov-2008 NEW ADDRESS OF CDSL JAIPUR OFFICE
804 DP1341 05-Nov-2008 BCCD CERTIFICATION EXAMINATION AT BANGALORE
805 DP1342 06-Nov-2008 MULTIPLE POWER OF ATTORNEY
806 DP1343 06-Nov-2008 RELEASE OF REVISED BO MODIFY UPLOAD
807 DP1344 06-Nov-2008 AVAILABILITY OF CDSL SYSTEM 08112008
808 DP1345 06-Nov-2008 GUIDELINES ON ANTI MONEY LAUNDERING MEASURES
809 DP1346 07-Nov-2008 BCCD CERTIFICATION EXAMINATION AT NAGPUR
810 DP1347 07-Nov-2008 NCDEX EMPANELLMENT
811 DP1348 10-Nov-2008 MULTIPLE POWER OF ATTORNEY
812 DP1349 11-Nov-2008 INVESTOR AWARENESS PROGRAMME AT BANGALORE
813 DP1350 11-Nov-2008 MOVEMENT OF SECURITIES TO CISA
814 DP1351 11-Nov-2008 FILE FORMAT DP59 SUCCESS FAILURE REPORT FOR BO UPLOAD
815 DP1352 11-Nov-2008 INVESTOR AWARENESS PROGRAMMES IN GUJARAT
816 DP1353 12-Nov-2008 AVAILABILITY OF CDSL SYSTEM
817 DP1354 12-Nov-2008 MULTIPLE POWER OF ATTORNEY
818 DP1355 12-Nov-2008 CHANGE OF RTA 11112008
819 DP1356 12-Nov-2008 FILE FORMAT OF POA LINK REPORT
820 DP1357 14-Nov-2008 MOVEMENT OF SECURITIES TO CISA
821 DP1358 17-Nov-2008 CHANGE OF RTA 14112008
822 DP1359 18-Nov-2008 SETTLEMENT POCKET REVISED TXN AND HOLDING REPORTS
823 DP1360 18-Nov-2008 BCCD CERTIFICATION EXAMINATION AT RAJKOT GUJ
824 DP1361 20-Nov-2008 AUTOMATIC CLOSURE OF BO ACCOUNTS
825 DP1362 20-Nov-2008 AMENDMENTS TO CDSL BYE LAWS
826 DP1363 20-Nov-2008 INVESTOR AWARENESS PROGRAMME AT INDORE MP
827 DP1364 20-Nov-2008 TRANSWARRANTY CAPITAL PRIVATE LIMITED
828 DP1365 21-Nov-2008 AVAILABILITY OF CDSL SYSTEM
829 DP1366 24-Nov-2008 SETTLEMENT POCKET SAMPLE FILES FOR REVIEW
830 DP1367 24-Nov-2008 DPC5 REPORT FOR THE MONTH OF NOVEMBER 2008
831 DP1368 25-Nov-2008 CLOSURE OF PAN NON COMPLIANT ACCOUNTS
832 DP1369 26-Nov-2008 SETTLEMENT TYPES FOR MCX SETTLEMENTS
833 DP1370 26-Nov-2008 DP TRAINING JANUARY 2009
834 DP1371 27-Nov-2008 RESCHEDULING OF SETTLEMENT TIMINGS OF BSE AND NSE
835 DP1372 27-Nov-2008 SETTLEMENT TIMINGS OF BSE SLB AND NSE SLB
836 DP1373 01-Dec-2008 CHANGE OF RTA 01122008
837 DP1374 01-Dec-2008 REMINDER MANDATORY REGISTRATION FOR EASIEST

Page 15
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
838 DP1375 01-Dec-2008 BCCD CERTIFICATION EXAMINATIONS AT GUJARAT
839 DP1376 02-Dec-2008 RELEASE OF SETTLEMENT POCKET FACILITY
840 DP1377 02-Dec-2008 INVESTOR AWARENESS PROGRAMME AT WANAPARTHY AP
841 DP1378 03-Dec-2008 INVESTOR AWARENESS PROGRAMME AT PUDUKOTTAI TN
842 DP1379 04-Dec-2008 AVAILABILITY OF CDSL SYSTEM
843 DP1380 05-Dec-2008 SP SCREEN SHOTS FOR TRANSACTION MODULES
844 DP1381 08-Dec-2008 MOVEMENT OF SECURITIES TO CISA
845 DP1382 08-Dec-2008 CHANGE OF RTA 05122008
846 DP1383 08-Dec-2008 INVESTOR AWARENESS PROGRAMME AT HOWRAH WB
847 DP1384 08-Dec-2008 ACCORD CAPITAL MARKETS LIMITED
848 DP1385 10-Dec-2008 INVESTOR AWARENESS PROGRAMME AT KALOL - GUJARAT
849 DP1386 10-Dec-2008 INVESTOR AWARENESS PROGRAMME AT VASAI-MH
850 DP1387 13-Dec-2008 FAQS FOR SETTLEMENT POCKET
851 DP1388 13-Dec-2008 CHECKLISTS FOR "SETTLEMENT POCKET"
852 DP1389 13-Dec-2008 STATE BANK OF SAURASHTRA AND SBI MICR CODES
853 DP1390 15-Dec-2008 BACKUP & RESTORE PROCESS USER MANUAL
854 DP1391 15-Dec-2008 CHANGE OF RTA EFFECTED BY ISSUERS
855 DP1392 15-Dec-2008 DETAILS OF CHANGE OF ADDRESS EFFECTED BY RTAS
856 DP1393 15-Dec-2008 INVESTOR AWARENESS PROGRAMMES IN TAMIL-NADU
857 DP1394 15-Dec-2008 TOUCHSTONE CAPITAL MARKETS PVT. LTD. CEASES TO BE A DP OF
CDSL
858 DP1395 16-Dec-2008 ONLINE BCCD CERTIFICATION EXAMINATION AT PUNE
859 DP1396 18-Dec-2008 MOVEMENT OF SECURITIES TO
CM INVESTOR SECURITIES ACCOUNT [CISA]
860 DP1397 18-Dec-2008 SUB-STATII FOR DEMAT ACCOUNTS RELATED TO PROMOTER
861 DP1398 18-Dec-2008 GENERATION OF REPORTS : DPC5 AND DPG5
FOR THE MONTH OF DECEMBER 2008
862 DP1399 23-Dec-2008 INVESTOR AWARENESS PROGRAMMES
863 DP1400 29-Dec-2008 DIGITALLY SIGNED ELECTRONIC INSTRUCTIONS
864 DP1401 29-Dec-2008 NCDEX EMPANELLMENT
865 DP1402 29-Dec-2008 INVESTOR AWARENESS PROGRAMME AT PANVEL MH
866 DP1403 31-Dec-2008 BCCD CERTIFICATION EXAMINATIONS IN JANUARY 2009
867 DP1404 31-Dec-2008 INVESTOR AWARENESS PROGRAMME AT RAJKOT GJ
868 DP1405 31-Dec-2008 AVAILABILITY OF CDSL SYSTEM
869 DP1406 31-Dec-2008 INVESTOR AWARENESS PROGRAMME ON AIR
870 DP1407 31-Dec-2008 INVESTOR AWARENESS PROGRAMME AT RAJAHMUNDRY AP
871 DP1408 31-Dec-2008 GUIDELINES ON ANTI MONEY LAUNDERING MEASURES
872 DP1409 01-Jan-2009 INVESTOR AWARENESS PROGRAMME AT JUNAGADH GJ
873 DP1410 03-Jan-2009 MOVEMENT OF SECURITIES TO CISA
874 DP1411 05-Jan-2009 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER 17
875 DP1412 06-Jan-2009 SPONSORSHIP OF INVESTOR AWARENESS PROGRAMMES
876 DP1413 06-Jan-2009 WITHDRAWAL OF CDSL DPS
877 DP1414 07-Jan-2009 SETTLEMENT POCKET BILLING TXNS DESCRIPTION
878 DP1415 07-Jan-2009 MCX EMPANELLMENT
879 DP1416 07-Jan-2009 INVESTOR AWARENESS PROGRAMME AT MUMBAI MH
880 DP1417 07-Jan-2009 DP TRAINING PROGRAMME FEBRUARY 2009
881 DP1418 12-Jan-2009 AUTO REGISTRATION FOR EASI FACILITY
882 DP1419 12-Jan-2009 TRAINING PROGRAMME FOR AUDITORS OF DPS

ON JANUARY 23 & 24, 2009 - IN JAIPUR


883 DP1420 14-Jan-2009 INVESTOR AWARENESS PROGRAMMES.
884 DP1421 14-Jan-2009 INVESTOR AWARENESS PROGRAMME IN ASSOCIATION WITH IMC.
885 DP1422 15-Jan-2009 INSURANCE POLICY FOR COMMODITY TXNS
886 DP1423 15-Jan-2009 AVAILABILITY OF CDSL SYSTEM
887 DP1424 15-Jan-2009 NOMINATION IN BO ACCOUNTS MADE COMPULSORY
888 DP1425 15-Jan-2009 RELEASE OF CDAS NEW VERSION
889 DP1426 15-Jan-2009 COMPLIANCE OFFICERS TRAINING PROGRAMME IN MUMBAI
890 DP1427 16-Jan-2009 AVAILABILITY OF CDSL SYSTEM.
891 DP1428 16-Jan-2009 SETTLEMENT ID IN TRANSACTIONS AND CM NAME CHANGE.
892 DP1429 16-Jan-2009 SETTLEMENT POCKET - REVISED FILE FORMATS OF CD11 & DPD3
REPORTS.
893 DP1430 16-Jan-2009 INVESTOR AWARENESS PROGRAMME AT VARANASI-UP.
894 DP1431 19-Jan-2009 ONLINE BCCD CERTIFICATION EXAMINATION AT SURAT.
895 DP1432 19-Jan-2009 MOVEMENT OF SECURITIES TO
CM INVESTOR SECURITIES ACCOUNT-CISA.
896 DP1433 20-Jan-2009 MULTIPLE POWER OF ATTORNEY

Page 16
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
897 DP1434 21-Jan-2009 ADDITIONAL BATCH - CDSLS TRAINING PROGRAMME
FOR COMPLIANCE OFFICERS OF DPS
898 DP1435 21-Jan-2009 BCCD-CERTIFICATION-EXAMINATIONS-IN-FEBRUARY-2009
899 DP1436 21-Jan-2009 GENERATION OF DPC5 REPORT FOR JANUARY 2009.
900 DP1437 27-Jan-2009 INSURANCE CERTIFICATES.
901 DP1438 27-Jan-2009 FAQS FOR SETTLEMENT POCKET.
902 DP1439 28-Jan-2009 NOMINATIONS IN BO ACCOUNTS MADE COMPULSORY.
903 DP1440 28-Jan-2009 INVESTOR AWARENESS PROGRAMME AT AURANGABAD.
904 DP1441 29-Jan-2009 AVAILABILITY OF CDSL SYSTEM.
905 DP1442 29-Jan-2009 ONLINE BCCD CERTIFICATION EXAMINATION AT NASHIK.
906 DP1443 29-Jan-2009 RELEASE OF NEW CDAS VERSION.
907 DP1444 29-Jan-2009 CHANGE OF RTA EFFECTED BY ISSUERS.
908 DP1445 29-Jan-2009 INTERDEPOSITORY TIMINGS ON SATURDAY - JANUARY 31, 2009.
909 DP1446 29-Jan-2009 DP-1446-SEBI-DIRECTIVE-OF-20JAN2009
910 DP1447 29-Jan-2009 DP-1447-SEBI-DIRECTIVE-OF-22JAN2009
911 DP1448 29-Jan-2009 GUIDELINES ON ANTI-MONEY LAUNDERING MEASURES.
912 DP1449 29-Jan-2009 FILE FORMATS OF DPM3, DPM4 AND DPM5 DOWNLOADS
913 DP1450 02-Feb-2009 FREEZE REASON CODES
914 DP1451 03-Feb-2009 NOMINATION IN BO ACCOUNTS
915 DP1452 05-Feb-2009 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS -
DECEMBER 2008
916 DP1453 05-Feb-2009 DPM3 WEEKLY / MONTHLY FULL HOLDING DOWNLOAD
917 DP1454 05-Feb-2009 PAN MODIFICATION EXCLUSIVELY AT CDSL-END.
918 DP1455 05-Feb-2009 CHANGE OF RTA EFFECTED BY ISSUERS.
919 DP1456 05-Feb-2009 NAMES OF DPS EMPANELLED BY NCDEX.
920 DP1457 06-Feb-2009 RELEASE OF NEW CDAS VERSION.
921 DP1458 06-Feb-2009 SEBI ORDER AGAINST SUNCHAN SECURITIES LTD.
922 DP1459 10-Feb-2009 PAN MODIFICATION AT CDSL END
923 DP1460 10-Feb-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
924 DP1461 10-Feb-2009 INVESTOR AWARENESS PROGRAMME
925 DP1462 10-Feb-2009 DETAILS OF CHANGE OF ADDRESS EFFECTED BY RTAS
926 DP1463 10-Feb-2009 CDSLS DP TRAINING PROGRAMME
FOR MARCH 2009
927 DP1464 10-Feb-2009 FORMATTED & UNFORMATTED REPORTS
928 DP1465 11-Feb-2009 ONLINE BCCD CERTIFICATION EXAMINATION
929 DP1466 11-Feb-2009 INVESTOR AWARENESS PROGRAMME
930 DP1467 12-Feb-2009 PAN MODIFICATION AT CDSL-END
931 DP1468 12-Feb-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
932 DP1469 16-Feb-2009 CDSLS TRAINING PROGRAMME FOR DPS
ON COMPLIANCE REQUIREMENTS
933 DP1470 16-Feb-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
934 DP1471 18-Feb-2009 RE-SCHEDULING OF SETTLEMENT TIMINGS OF BSE & NSE
935 DP1472 19-Feb-2009 RE-SCHEDULING OF SETTLEMENT TIMINGS OF BSE-SLB & NSE-SLB
936 DP1473 19-Feb-2009 ENCRYPTION OF UPLOAD FILES
937 DP1474 19-Feb-2009 CDSLS TRAINING PROGRAMME FOR DPS
ON COMPLIANCE REQUIREMENTS
938 DP1475 19-Feb-2009 MOVEMENT OF SECURITIES TO
CM INVESTOR SECURITIES ACCOUNT [CISA]
939 DP1476 19-Feb-2009 INVESTOR AWARENESS PROGRAMMES IN GUJARAT
940 DP1477 20-Feb-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
941 DP1478 21-Feb-2009 CDSLS TRAINING PROGRAMME FOR DPS ON

COMPLIANCE REQUIREMENTS
942 DP1479 21-Feb-2009 INVESTOR AWARENESS PROGRAMME AT CHENNAI
943 DP1480 21-Feb-2009 SETTLEMENT POCKET
944 DP1481 24-Feb-2009 ENCRYPTION OF UPLOAD FILES
945 DP1482 24-Feb-2009 AVAILABILITY OF CDSL SYSTEM
946 DP1483 25-Feb-2009 CDSLS TRAINING PROGRAMME FOR DPS
ON COMPLIANCE REQUIREMENTS
947 DP1484 25-Feb-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
948 DP1485 26-Feb-2009 ONLINE BCCD CERTIFICATION EXAMINATIONS
949 DP1486 26-Feb-2009 GENERATION OF REPORT -DPC5 FOR THE MONTH OF FEBRUARY
2009
950 DP1487 02-Mar-2009 INVESTOR AWARENESS PROGRAMMES IN PUNJAB
951 DP1488 02-Mar-2009 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT [CISA]
952 DP1489 02-Mar-2009 CHANGE IN AUCTION SETTLEMENT SCHEDULE FOR MARCH 2009

Page 17
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
953 DP1490 03-Mar-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
954 DP1491 03-Mar-2009 CDSLS TRAINING PROGRAMMES FOR DPS
ON COMPLIANCE REQUIREMENTS
955 DP1492 04-Mar-2009 EXEMPTION FROM SENDING QUARTERLY TRANSACTIONS
STATEMENTS TO BOS IN RESPECT OF DEMAT ACCOUNTS WITH NO
TRANSACTIONS AND NO SECURITY BALANCES
956 DP1493 04-Mar-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
957 DP1494 04-Mar-2009 INVESTOR AWARENESS PROGRAMME AT JAIPUR
958 DP1495 06-Mar-2009 INVESTOR AWARENESS PROGRAMME AT KOLKATA
959 DP1496 07-Mar-2009 INVESTOR AWARENESS PROGRAMME AT LUDHIANA
960 DP1497 13-Mar-2009 CDSLS ONE DAY TRAINING PROGRAMME ON
BASICS OF DEPOSITORY OPERATIONS
961 DP1498 13-Mar-2009 INVESTOR AWARENESS PROGRAMMES
962 DP1499 13-Mar-2009 CDSLS TRAINING PROGRAMMES FOR DPS
ON COMPLIANCE REQUIREMENTS
963 DP1500 16-Mar-2009 CDSL-DP-OPERATING-INSTRUCTIONS-FEBRUARY-2009
964 DP1501 16-Mar-2009 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
965 DP1502 16-Mar-2009 REMINDER FOR SETTLEMENT POCKET FOR ALL DPS
966 DP1503 17-Mar-2009 ONLINE BCCD CERTIFICATION EXAMINATIONS
967 DP1504 18-Mar-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 10 ACCOUNT CLOSURE
968 DP1505 18-Mar-2009 INVESTOR AWARENESS PROGRAMME AT SAGAR - MP
969 DP1506 18-Mar-2009 CLOSURE OF ACCOUNTS WITH PENDING DEMAT REQUESTS
970 DP1507 18-Mar-2009 CDSLS TRAINING PROGRAMME FOR DPS
ON COMPLIANCE REQUIREMENTS
971 DP1508 19-Mar-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
972 DP1509 19-Mar-2009 GENERATION OF REPORTS- DPC5 AND DPG5 FOR THE MONTH OF
MARCH 2009
973 DP1510 23-Mar-2009 CDSLS DP TRAINING PROGRAMME FOR APRIL 2009
974 DP1511 23-Mar-2009 DPM3 WEEKLY / MONTHLY FULL HOLDING DOWNLOAD
975 DP1512 23-Mar-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
976 DP1513 24-Mar-2009 CDSLS TRAINING PROGRAMME FOR DPS
ON SETTLEMENT POCKET & EASIEST
977 DP1514 25-Mar-2009 CDSLS TRAINING PROGRAMME FOR DPS
ON SETTLEMENT POCKET & EASIEST
978 DP1515 25-Mar-2009 AVAILABILITY OF CDSL SYSTEM
979 DP1516 25-Mar-2009 RELEASE OF NEW CDAS VERSION
980 DP1517 26-Mar-2009 TIMINGS OF NSE SETTLEMENTS SCHEDULED ON MARCH 30, MARCH
31, APRIL 02 AND APRIL 06, 2009
981 DP1518 26-Mar-2009 TIMINGS OF NSE-SLB SETTLEMENTS SCHEDULED ON APRIL 02, 2009
AND MAY 21, 2009
982 DP1519 26-Mar-2009 PAN MODIFICATION AT CDSLS END
983 DP1520 26-Mar-2009 WITHDRAWAL OF SECURITIES FROM CDSL
984 DP1521 30-Mar-2009 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT [CISA]
985 DP1522 30-Mar-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
986 DP1523 30-Mar-2009 WITHDRAWAL OF SECURITIES FROM CDSL
987 DP1524 30-Mar-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
988 DP1525 31-Mar-2009 CDSLS TRAINING PROGRAMME FOR DPS
ON SETTLEMENT POCKET & EASIEST
989 DP1526 31-Mar-2009 DIS-EMPANELLMENT OF DP BY MCX
990 DP1527 31-Mar-2009 WITHDRAWAL OF SECURITIES FROM CDSL
991 DP1528 01-Apr-2009 AVAILABILITY OF CDSL SYSTEM
992 DP1529 01-Apr-2009 REVISED FORMAT OF BO GRIEVANCE REPORT
993 DP1530 02-Apr-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
994 DP1531 02-Apr-2009 DETAILS OF CHANGE OF ADDRESS EFFECTED BY RTAS
995 DP1532 04-Apr-2009 CDSLS TRAINING PROGRAMME FOR DPS
ON SETTLEMENT POCKET
996 DP1533 04-Apr-2009 ONLINE BCCD CERTIFICATION EXAMINATIONS
997 DP1534 06-Apr-2009 COMPLIANCE AND SETTLEMENT POCKET TRAINING PROGRAMME
AT KOLKATA
998 DP1535 06-Apr-2009 CHANGE OF RTA EFFECTED BY ISSUERS
999 DP1536 08-Apr-2009 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
1000 DP1537 08-Apr-2009 AVAILABILITY OF CDSL SYSTEM
1001 DP1538 13-Apr-2009 SUBMISSION / DISSEMINATION OF DP TARIFF / CHARGES
STRUCTURE TO CDSL EVERY YEAR
1002 DP1539 13-Apr-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 16 : STATEMENT OF ACCOUNTS
1003 DP1540 13-Apr-2009 ONLINE BCCD CERTIFICATION EXAMINATION AT COIMBATORE

Page 18
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1004 DP1541 13-Apr-2009 CDSLS TRAINING PROGRAMME FOR DPS
ON SETTLEMENT POCKET
1005 DP1542 13-Apr-2009 NCDEX EMPANELLMENT
1006 DP1543 13-Apr-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1007 DP1544 15-Apr-2009 INVESTOR AWARENESS PROGRAMMES
1008 DP1545 15-Apr-2009 CHANGE OF RTA EFFECTED BY ISSUERS
1009 DP1546 16-Apr-2009 CHANGE IN SETTLEMENT SCHEDULE OF BSE & NSE
1010 DP1547 16-Apr-2009 CHANGE IN SETTLEMENT SCHEDULE OF BSE-SLB & NSE-SLB
1011 DP1548 16-Apr-2009 NAMES OF THE DPS EMPANELLED BY MCX
1012 DP1549 16-Apr-2009 MOVEMENT OF SECURITIES TO
CM INVESTOR SECURITIES ACCOUNT [CISA]
1013 DP1550 17-Apr-2009 RELEASE OF NEW CDAS VERSION
1014 DP1551 18-Apr-2009 CHANGE OF RTA EFFECTED BY ISSUERS
1015 DP1552 21-Apr-2009 PARLIAMENTARY ELECTIONS IN MUMBAI
ON THURSDAY- APRIL 30- 2009
1016 DP1553 21-Apr-2009 CHANGE OF NAME EFFECTED BY DPS
1017 DP1554 21-Apr-2009 CDSLS DP TRAINING PROGRAMME
FOR MAY 2009
1018 DP1555 22-Apr-2009 INSURANCE POLICY FOR SECURITIES
1019 DP1556 22-Apr-2009 INVESTOR AWARENESS PROGRAMME
1020 DP1557 23-Apr-2009 INVESTOR AWARENESS PROGRAMME
1021 DP1558 24-Apr-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 11- PENALTIES
1022 DP1559 27-Apr-2009 DEMAT OF SECURITIES OF
DEFAULTING ISSUERS - COMPANIES UNDER LIQUIDATION
1023 DP1560 27-Apr-2009 USER MANUALS RELATED TO SETTLEMENT POCKET REPORTS
1024 DP1561 28-Apr-2009 GENERATION OF REPORT DPC5
FOR THE MONTH OF APRIL 2009
1025 DP1562 28-Apr-2009 ONLINE BCCD CERTIFICATION EXAMINATIONS
1026 DP1563 29-Apr-2009 AMENDMENTS TO CDSL BYE LAWS
1027 DP1564 02-May-2009 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT-CISA
1028 DP1565 02-May-2009 CDSLS TRAINING PROGRAMME FOR DPS
ON SETTLEMENT POCKET
1029 DP1566 02-May-2009 ANNUAL BILL- UPLOAD TO DP BILLING FOLDER IN CDAS
1030 DP1567 05-May-2009 RELEASE OF NEW CDAS VERSION
1031 DP1568 07-May-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1032 DP1569 08-May-2009 INVESTOR AWARENESS PROGRAMMES
1033 DP1570 08-May-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1034 DP1571 12-May-2009 CHANGE OF NAME EFFECTED BY DPS
1035 DP1572 12-May-2009 FILE FORMAT OF REPORT FOR SMS ALERT FACILITY SMART &
SAMPLE DATA
1036 DP1573 12-May-2009 EXECUTION OF COMMODITY TRANSACTIONS DISALLOWED
POST EXPIRY OR VALIDITY DATE OF COMMODITY
1037 DP1574 12-May-2009 COMPULSORY REGISTRATION FOR THE SMS ALERT FACILITY
FOR DEMAT ACCOUNTS WITH REGISTERED POWER-OF-ATTORNEY
1038 DP1575 13-May-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1039 DP1576 13-May-2009 ONLINE BCCD CERTIFICATION EXAMINATIONS
1040 DP1577 13-May-2009 DP BACK OFFICE SYSTEM INSTALLATION
1041 DP1578 14-May-2009 CDSLS ONE-DAY TRAINING PROGRAMME ON
BASICS OF DEPOSITORY OPERATIONS
1042 DP1579 15-May-2009 ENCRYPTION OF UPLOAD FILES - REMINDER
1043 DP1580 18-May-2009 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
1044 DP1581 20-May-2009 DETAILS OF CHANGE OF ADDRESS EFFECTED BY RTAS
1045 DP1582 20-May-2009 RELEASE OF NEW CDAS VERSION
1046 DP1583 21-May-2009 ONLINE BCCD CERTIFICATION EXAMINATION MODEL TEST PAPER
ON CDSLS WEBSITE
1047 DP1584 21-May-2009 RELEASE OF NEW CDAS VERSION POSTPONED
1048 DP1585 21-May-2009 EXTENDED TIME FOR UPLOADS
1049 DP1586 22-May-2009 AVAILABILITY OF CDSL SYSTEM
1050 DP1587 22-May-2009 SETTLEMENT POCKET
SETTLEMENT-ID WISE NSE-INTERDEPOSITORY PAYOUT
1051 DP1588 25-May-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1052 DP1589 25-May-2009 AMENDMENTS TO CDSL BYE-LAWS
1053 DP1590 25-May-2009 CHANGE OF NAME EFFECTED BY RTAS
1054 DP1591 25-May-2009 GENERATION OF REPORT DPC5 FOR THE MONTH OF MAY 2009
1055 DP1592 26-May-2009 REVAMPED IPO MODULE IN THE CDSL SYSTEM
1056 DP1593 26-May-2009 INVESTOR AWARENESS PROGRAMMES

Page 19
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1057 DP1594 26-May-2009 SETTLEMENT POCKET-
PAY-IN OBLIGATION UPLOAD
1058 DP1595 26-May-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1059 DP1596 26-May-2009 RELEASE OF NEW CDAS VERSION
1060 DP1597 27-May-2009 AMENDMENTS TO CDSL BYE-LAWS
1061 DP1598 27-May-2009 AMENDMENTS TO DP OPERATING INSTRUCTIONS
CHAPTERS 6 AND 17
1062 DP1599 29-May-2009 MIGRATION OF CDAS FRONT-END APPLICATION INSTALLED ON
MICROSOFT WINDOWS 2003 SERVER OPERATING SYSTEM-OS
1063 DP1600 29-May-2009 AVAILABILITY OF VSAT NETWORK
1064 DP1601 30-May-2009 AVAILABILITY OF CDSL SYSTEM
1065 DP1602 01-Jun-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1066 DP1603 02-Jun-2009 NAMES OF THE DPS EMPANELLED BY NCDEX
1067 DP1604 02-Jun-2009 RELEASE OF NEW CDAS VERSION
1068 DP1605 03-Jun-2009 CDSLS DP TRAINING PROGRAMME FOR JUNE 2009
1069 DP1606 05-Jun-2009 DETAILS OF CHANGE OF ADDRESS EFFECTED BY RTAS
1070 DP1607 05-Jun-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1071 DP1608 05-Jun-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 6 - SETTLEMENTS
1072 DP1609 05-Jun-2009 FINANCIAL ACTION TASK FORCE-FATF- PUBLIC STATEMENT
1073 DP1610 09-Jun-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
1074 DP1611 09-Jun-2009 COMPULSORY REGISTRATION FOR THE SMS ALERT FACILITY
FOR DEMAT ACCOUNTS WITH REGISTERED POWER-OF-ATTORNEY
1075 DP1612 10-Jun-2009 SETTLEMENT POCKET
MANDATORY REGISTRATION FOR CLEARING MEMBERS-CMS
1076 DP1613 10-Jun-2009 INVESTOR AWARENESS PROGRAMME
1077 DP1614 11-Jun-2009 ONLINE BCCD CERTIFICATION EXAMINATIONS
1078 DP1615 11-Jun-2009 AVAILABILITY OF CDSL SYSTEM
1079 DP1616 12-Jun-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1080 DP1617 12-Jun-2009 TERMINATION OF AGREEMENT BETWEEN CDSL AND
MANOJ JAVERI STOCK BROKING PRIVATE LIMITED
1081 DP1618 15-Jun-2009 DEMATERIALIZATION OF EQUITY SHARES OF
DUNLOP INDIA LIMITED
1082 DP1619 17-Jun-2009 RELEASE OF NEW CDAS VERSION
1083 DP1620 18-Jun-2009 GENERATION OF REPORTS DPC5 AND DPG5 FOR THE MONTH OF
JUNE 2009
1084 DP1621 20-Jun-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1085 DP1622 22-Jun-2009 SEBI CLARIFICATIONS ON PMS DEMAT ACCOUNTS
1086 DP1623 22-Jun-2009 NEW CRITERIA - FUNCTIONALITIES INTRODUCEDFOR ACCOUNT
OPENING - POA REGISTRATION
1087 DP1624 25-Jun-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1088 DP1625 26-Jun-2009 RELEASE OF NEW CDAS VERSION
1089 DP1626 29-Jun-2009 EXTENSION OF DEADLINE FOR BSE AND NSE PAY IN
1090 DP1627 29-Jun-2009 EXTENDED TIME FOR UPLOADS
1091 DP1628 29-Jun-2009 ENCRYPTION OF UPLOAD FILES
1092 DP1629 30-Jun-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1093 DP1630 01-Jul-2009 CDSLS DP TRAINING PROGRAMME FOR AUGUST 2009
1094 DP1631 03-Jul-2009 INVESTOR AWARENESS PROGRAMME
1095 DP1632 03-Jul-2009 SETTLEMENT POCKET -
MANDATORY REGISTRATION FOR CLEARING MEMBERS -CMS
1096 DP1633 03-Jul-2009 CLARIFICATIONS ON PMS DEMAT ACCOUNTS
1097 DP1634 04-Jul-2009 UPLOAD OF INSTRUCTIONS THROUGH EASIEST LOG-IN
1098 DP1635 07-Jul-2009 ONLINE BCCD CERTIFICATION EXAMINATIONS
1099 DP1636 07-Jul-2009 AVAILABILITY OF CDSL SYSTEM
1100 DP1637 10-Jul-2009 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
1101 DP1638 10-Jul-2009 CDSLS DP OPERATING INSTRUCTIONS AND ANNEXURES
AS OF JUNE 2009
1102 DP1639 11-Jul-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 2- ACCOUNT OPENING
1103 DP1640 11-Jul-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 16- STATEMENT OF ACCOUNTS
1104 DP1641 14-Jul-2009 CONTACT DETAILS OF CDSL OFFICIALS
1105 DP1642 14-Jul-2009 INVESTOR AWARENESS PROGRAMMES
1106 DP1643 16-Jul-2009 INVESTOR AWARENESS PROGRAMME
1107 DP1644 16-Jul-2009 CHANGE OF NAME EFFECTED BY RTAS
1108 DP1645 16-Jul-2009 COMPULSORY REGISTRATION FOR THE SMS ALERT FACILITY
FOR DEMAT ACCOUNTS WITH REGISTERED POWER OF ATTORNEY
1109 DP1646 20-Jul-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1110 DP1647 20-Jul-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS

Page 20
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1111 DP1648 22-Jul-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS.
CHAPTER 14- ARBITRATION
1112 DP1649 22-Jul-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS.
CHAPTER 9 -REMATERIALIZATION
1113 DP1650 22-Jul-2009 RESOLVE YOUR QUERIES - OPERATIONAL PROBLEMS

THROUGH HELPDESK
1114 DP1651 22-Jul-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 2- ACCOUNT OPENING
1115 DP1652 23-Jul-2009 GENERATION OF REPORT DPC5 FOR THE MONTH OF JULY 2009
1116 DP1653 27-Jul-2009 ONLINE BCCD CERTIFICATION EXAMINATIONS
1117 DP1654 29-Jul-2009 TRAINING PROGRAMME FOR
INTERNAL AND CONCURRENT AUDITORS OF DPS
1118 DP1655 30-Jul-2009 EXECUTION OF COMMODITY TRANSACTIONS DISALLOWED POST
EXPIRY-VALIDITY DATE OF COMMODITY
1119 DP1656 31-Jul-2009 CHANGE OF NAME EFFECTED BY DPS
1120 DP1657 31-Jul-2009 INVESTOR AWARENESS PROGRAMME
1121 DP1658 04-Aug-2009 TRAINING PROGRAMME FOR INTERNAL AND CONCURRENT
AUDITORS OF DPS AT INDORE
1122 DP1659 04-Aug-2009 TRAINING PROGRAMME FOR INTERNAL AND CONCURRENT
AUDITORS OF DPS AT JAIPUR
1123 DP1660 04-Aug-2009 TRAINING PROGRAMME FOR INTERNAL AND CONCURRENT
AUDITORS OF DPS AT KOCHI
1124 DP1661 04-Aug-2009 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
1125 DP1662 05-Aug-2009 TRAINING PROGRAMME FOR INTERNAL AND CONCURRENT
AUDITORS OF DPS AT AHMEDABAD
1126 DP1663 05-Aug-2009 TRAINING PROGRAMME FOR INTERNAL AND CONCURRENT
AUDITORS OF DPS AT HYDERABAD
1127 DP1664 05-Aug-2009 TRAINING PROGRAMME FOR INTERNAL AND CONCURRENT
AUDITORS OF DPS AT KOLKATA
1128 DP1665 05-Aug-2009 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
1129 DP1666 07-Aug-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1130 DP1667 07-Aug-2009 RELEASE OF NEW CDAS VERSION
1131 DP1668 07-Aug-2009 TRAINING PROGRAMMES FOR INTERNALAND CONCURRENT
AUDITORS
OF DPS AT VARIOUS LOCATIONS IN INDIA
1132 DP1669 10-Aug-2009 MOVEMENT OF SECURITIES TO
CM INVESTOR SECURITIES ACCOUNT-CISA
1133 DP1670 10-Aug-2009 CDSLS DP TRAINING PROGRAMME FOR SEPTEMBER 2009
1134 DP1671 10-Aug-2009 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
1135 DP1672 10-Aug-2009 BO MODIFY UPLOAD
1136 DP1673 13-Aug-2009 CHANGE OF NAME EFFECTED BY ISSUERS
1137 DP1674 13-Aug-2009 TRAINING PROGRAMME FOR INTERNAL AND CONCURRENT
AUDITORS OF DPS AT NEW DELHI
1138 DP1675 13-Aug-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1139 DP1676 13-Aug-2009 BACK OFFICE CONNECTIVITY
1140 DP1677 13-Aug-2009 INDIAN FINANCIAL SYSTEM CODE -IFSC IN THE CDSL SYSTEM
1141 DP1678 13-Aug-2009 BO MODIFY UPLOAD
1142 DP1679 13-Aug-2009 EXTENDED TIME FOR DOWNLOADS -
A STEP TOWARDS 24X7 CDSL SYSTEM AVAILABILITY
1143 DP1680 14-Aug-2009 CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES SUBJECT TO
SANCTION MEASURES UNDER UNSC RESOLUTIONS 1267 AND 1822
ON TALIBAN - AL-QAIDA
1144 DP1681 14-Aug-2009 TRAINING PROGRAMME FOR INTERNAL AND CONCURRENT
AUDITORS OF DPS AT CHENNAI
1145 DP1682 14-Aug-2009 CHANGE OF NAME EFFECTED BY ISSUERS
1146 DP1683 18-Aug-2009 CHANGE IN SETTLEMENT SCHEDULE OF BSE AND NSE
1147 DP1684 18-Aug-2009 CHANGE IN SETTLEMENT SCHEDULE OF BSE-SLB AND NSE-SLB
1148 DP1685 18-Aug-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS -
CHAPTER 2 - ACCOUNT OPENING AND CHAPTER 7- TRANSMISSION
1149 DP1686 19-Aug-2009 RELEASE OF NEW CDAS VERSION - 1.03.12
1150 DP1687 19-Aug-2009 LIST OF STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
1151 DP1688 20-Aug-2009 INSURANCE CERTIFICATES
1152 DP1689 20-Aug-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS - 190809
1153 DP1690 20-Aug-2009 GENERATION OF REPORT DPC5 FOR THE MONTH OF AUGUST 2009
1154 DP1691 21-Aug-2009 FORMATTED AND UNFORMATTED REPORTS
1155 DP1692 21-Aug-2009 COMMON FILE FORMAT FOR TRANSACTION UPLOADS AND
SUCCESS - FAILURE REPORTS
1156 DP1693 24-Aug-2009 REVISED SCHEDULE OF DP89 REPORT
1157 DP1694 24-Aug-2009 INVESTOR AWARENESS PROGRAMME AT GHATKOPAR- MUMBAI
1158 DP1695 25-Aug-2009 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
1159 DP1696 27-Aug-2009 INVESTOR AWARENESS PROGRAMMES IN UTTARAKHAND
Page 21
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1160 DP1697 27-Aug-2009 TERMINATION OF AGREEMENT BETWEEN CDSL AND INTERFACE
BROKERAGE AND RESEARCH LIMITED
1161 DP1698 27-Aug-2009 AVAILABILITY OF CDSL SYSTEM ON AUGUST 30- 2009
1162 DP1699 28-Aug-2009 ONLINE BCCD CERTIFICATION EXAMINATIONS
1163 DP1700 28-Aug-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1164 DP1701 28-Aug-2009 INVESTOR AWARENESS PROGRAMME AT SATARA- MAHARASHTRA
1165 DP1702 31-Aug-2009 CHANGE OF NAME EFFECTED BY ISSUERS
1166 DP1703 01-Sep-2009 AVAILABILITY OF THE CDSL SYSTEM ON NATIONAL HOLIDAYS-
JANUARY 26 - AUGUST 15 - OCTOBER 02
1167 DP1704 03-Sep-2009 INVESTOR AWARENESS PROGRAMMES AT SOLAN- HIMACHAL
PRADESH
1168 DP1705 04-Sep-2009 AVAILABILITY OF CDSL SYSTEM ON 06-SEPTEMBER-2009
1169 DP1706 04-Sep-2009 GUIDELINES ON ANTI-MONEY LAUNDERING MEASURES
1170 DP1707 04-Sep-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1171 DP1708 07-Sep-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1172 DP1709 08-Sep-2009 REGISTRATION AND TRADING THROUGH BSES WEBX - FACILITY
EXTENDED TO CDSL DEMAT ACCOUNT HOLDERS
1173 DP1710 08-Sep-2009 CORPORATE ACTION TRANSACTION DESCRIPTIONS
1174 DP1711 09-Sep-2009 INVESTOR AWARENESS PROGRAMME AT AMRAVATI-
MAHARASHTRA
1175 DP1712 10-Sep-2009 INDIAN FINANCIAL SYSTEM CODE -IFSC- IN THE CDSL SYSTEM
1176 DP1713 10-Sep-2009 CHANGE OF NAME EFFECTED BY ISSUERS
1177 DP1714 10-Sep-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1178 DP1715 14-Sep-2009 CDSLS DP TRAINING PROGRAMME FOR OCTOBER 2009
1179 DP1716 15-Sep-2009 AVAILABILITY OF THE CDSL SYSTEM
1180 DP1717 16-Sep-2009 INVESTOR AWARENESS PROGRAMMES
1181 DP1718 18-Sep-2009 RELEASE OF NEW CDAS VERSION - 1.03.13
1182 DP1719 18-Sep-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS -
CHAPTER 6-SETTLEMENTS
1183 DP1720 18-Sep-2009 ELECTRONIC FILING OF BO GRIEVANCE REPORT
1184 DP1721 23-Sep-2009 CHANGE OF RTA EFFECTED BY ISSUERS
1185 DP1722 23-Sep-2009 GENERATION OF REPORTS- DPC5 AND DPG5 FOR THE MONTH OF
SEPTEMBER 2009
1186 DP1723 23-Sep-2009 REVAMPED CORPORATE ACTION MODULE IN THE CDSL SYSTEM
1187 DP1724 24-Sep-2009 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
1188 DP1725 24-Sep-2009 RELEASE OF NEW CDAS VERSION - 1.03.14
1189 DP1726 25-Sep-2009 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
1190 DP1727 29-Sep-2009 INVESTOR AWARENESS PROGRAMMES AT NAGPUR AND JAIPUR
1191 DP1728 30-Sep-2009 CHANGE IN SETTLEMENT SCHEDULE OF BSE AND NSE
1192 DP1729 30-Sep-2009 CHANGE IN SETTLEMENT SCHEDULE OF BSE-SLB AND NSE-SLB
1193 DP1730 30-Sep-2009 CHANGE OF NAME EFFECTED BY ISSUERS
1194 DP1731 30-Sep-2009 BACKUP AND RESTORE PROCESS
1195 DP1732 30-Sep-2009 MICR ENQUIRY-ENTRY IN THE CDSL SYSTEM
1196 DP1733 30-Sep-2009 AVAILABILITY OF THE CDSL SYSTEM
1197 DP1734 01-Oct-2009 INVESTOR AWARENESS PROGRAMME AT KOLKATA- WEST BENGAL
1198 DP1735 05-Oct-2009 ONLINE BCCD ERTIFICATION EXAMINATIONS
1199 DP1736 05-Oct-2009 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
1200 DP1737 06-Oct-2009 AVAILABILITY OF THE CDSL SYSTEM ON 09102009
1201 DP1738 07-Oct-2009 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT-CISA
1202 DP1739 08-Oct-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1203 DP1740 08-Oct-2009 CHANGE IN SETTLEMENT SCHEDULE OF BSE AND NSE
1204 DP1741 08-Oct-2009 STATE ASSEMBLY ELECTIONS IN MAHARASHTRA ON TUESDAY-
OCTOBER 13-2009
1205 DP1742 09-Oct-2009 CHANGE IN SETTLEMENT SCHEDULE OF BSE-SLB AND NSE-SLB
1206 DP1743 09-Oct-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1207 DP1744 09-Oct-2009 CDSL AND BURSA MALAYSIA DEPOSITORY SIGN MOU TO
ESTABLISH CO-OPERATIVE RELATIONSHIP
1208 DP1745 22-Oct-2009 DP-1745-INVESTOR-AWARENESS-PROGRAMME-AT-HYDERABAD.ZIP
1209 DP1746 22-Oct-2009 DP-1746-UPDATION-OF-NEW-BANK-ACCOUNT-NUMBERS
1210 DP1747 22-Oct-2009 SEBI-DIRECTIVE-OF-05102009
1211 DP1748 22-Oct-2009 AMENDMENTS-TO-DP-OPERATING_INSTRUCTIONS
1212 DP1749 22-Oct-2009 INVESTOR-AWARENESS-PROGRAMME
1213 DP1750 23-Oct-2009 GENERATION OF REPORT DPC5 FOR THE MONTH OF OCTOBER
2009
1214 DP1751 24-Oct-2009 PROCEDURE FOR IMPLEMENTATION OF SECTION 51A OF THE
UNLAWFUL ACTIVITIES -PREVENTION ACT- 1967

Page 22
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1215 DP1752 26-Oct-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1216 DP1753 26-Oct-2009 CDSLS DP TRAINING PROGRAMME FOR NOVEMBER 2009
1217 DP1754 26-Oct-2009 RELEASE OF SETTLEMENT ID WISE PAY-IN FOR NSE
1218 DP1755 28-Oct-2009 CLEARING AND SETTLEMENT OF TRADES IN CORPORATE BONDS
THROUGH CLEARING CORPORATIONS
1219 DP1756 29-Oct-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1220 DP1757 29-Oct-2009 INVESTOR AWARENESS PROGRAMME AT KARAD-MAHARASHTRA
1221 DP1758 30-Oct-2009 PRIOR APPROVAL OF CDSL IS REQUIRED FOR OPENING A DP
SERVICE CENTRE
1222 DP1759 30-Oct-2009 UPDATION OF NEW BANK ACCOUNT NUMBERS IN DEMAT
ACCOUNTS
1223 DP1760 30-Oct-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1224 DP1761 30-Oct-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS -
CHAPTER 6- SETTLEMENTS AND CHAPTER 11- PENALTIES
1225 DP1762 30-Oct-2009 RELEASE OF NEW CDAS VERSION - 1.03.15
1226 DP1763 03-Nov-2009 ONLINE BCCD CERTIFICATION EXAMINATIONS
1227 DP1764 03-Nov-2009 CHANGE OF NAME EFFECTED BY ISSUERS
1228 DP1765 04-Nov-2009 WITHDRAWAL OF SECURITIES FROM CDSL
1229 DP1766 05-Nov-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1230 DP1767 06-Nov-2009 INVESTOR AWARENESS PROGRAMME AT UDAIPUR -RAJASTHAN
1231 DP1768 06-Nov-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1232 DP1769 06-Nov-2009 PROCEDURE FOR REVERSAL OF ERRONEOUS TRANSFERS
1233 DP1770 06-Nov-2009 SEBI ORDER DATED OCTOBER 26- 2009 AGAINST SUNCHAN
SECURITIES LIMITED
1234 DP1771 06-Nov-2009 AMENDMENTS TO CDSLS BYE-LAWS
1235 DP1772 09-Nov-2009 INVESTOR AWARENESS PROGRAMME AT UDAIPUR- RAJASTHAN
1236 DP1773 09-Nov-2009 LIST OF STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
1237 DP1774 09-Nov-2009 HARDWARE - SOFTWARE CONFIGURATION FOR SINGLE USER AND
MULTI-USER SET UP
1238 DP1775 10-Nov-2009 ELECTRONIC FILING OF INTERNAL AUDIT REPORT
1239 DP1776 11-Nov-2009 CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES SUBJECT TO
SANCTION MEASURES UNDER UNSC RESOLUTIONS 1267 AND 1822
ON TALIBAN - AL-QAIDA
1240 DP1777 12-Nov-2009 AVAILABILITY OF THE CDSL SYSTEM ON SUNDAY ON NOVEMBER 15-
2009
1241 DP1778 12-Nov-2009 CHANGE OF NAME EFFECTED BY DPS
1242 DP1779 13-Nov-2009 CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES SUBJECT TO
SANCTION MEASURES UNDER UNSC RESOLUTIONS 1267 AND 1822
ON TALIBAN - AL-QAIDA
1243 DP1780 13-Nov-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1244 DP1781 16-Nov-2009 AMENDMENTS TO CDSLS BYE LAWS
1245 DP1782 18-Nov-2009 NEW MARKET TYPES FOR NSE SETTLEMENTS
1246 DP1783 18-Nov-2009 GENERATION OF REPORT DPC5 FOR THE MONTH OF NOVEMBER
2009
1247 DP1784 18-Nov-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1248 DP1785 18-Nov-2009 WITHDRAWAL OF SECURITIES FROM CDSL
1249 DP1786 19-Nov-2009 INVESTOR AWARENESS PROGRAMME AT HOWRAH- KOLKATA
1250 DP1787 19-Nov-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS -
CHAPTER 17 - MISCELLANEA
1251 DP1788 21-Nov-2009 INVESTOR AWARENESS PROGRAMME AT AHMEDNAGAR-
MAHARASHTRA
1252 DP1789 21-Nov-2009 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
1253 DP1790 21-Nov-2009 INVESTOR AWARENESS PROGRAMME AT SANCHI- MP
1254 DP1791 21-Nov-2009 TYPES OF CORPORATE ACTION IN THE CDSL SYSTEM
1255 DP1792 24-Nov-2009 FIRST SETTLEMENT CALENDAR FOR DELIVERY SETTLEMENT OF
NSE INTEREST RATE FUTURES -IRF
1256 DP1793 26-Nov-2009 INVESTOR AWARENESS PROGRAMMES
1257 DP1794 26-Nov-2009 DISCONTINUATION OF ENTRY OF BENEFICIARY BANK DETAILS
IN BO SET UP IN THE CDSL SYSTEM
1258 DP1795 27-Nov-2009 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
1259 DP1796 27-Nov-2009 CHANGE OF NAME EFFECTED BY DPS
1260 DP1797 27-Nov-2009 INVESTOR AWARENESS PROGRAMMES
1261 DP1798 30-Nov-2009 FINANCIAL ACTION TASK FORCE -FATF- PUBLIC STATEMENT DATED
OCTOBER- 2009 REGARDING COUNTRIES WHICH DO NOT OR
INSUFFICIENTLY APPLY THE FATF RECOMMENDATIONS
1262 DP1799 30-Nov-2009 INVESTOR AWARENESS PROGRAMME AT CHANDIGARH
1263 DP1800 01-Dec-2009 CDSLS DP TRAINING PROGRAMME IN JANUARY 2010
1264 DP1801 01-Dec-2009 ONLINE BCCD CERTIFICATION EXAMINATIONS
1265 DP1802 01-Dec-2009 SEGREGATION OF SUB-STATUS OF HUF-AOP DEMAT ACCOUNTS

Page 23
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1266 DP1803 02-Dec-2009 SETTLEMENT OF TRANSACTIONS FOR MUTUAL FUND UNITS
DONE THROUGH BSE - NSE MUTUAL FUND PLATFORMS
1267 DP1804 03-Dec-2009 FACILITATION OF TRANSACTIONS IN MUTUAL FUND SCHEMES IN
DEMATERIALIZED FORM
1268 DP1805 04-Dec-2009 INVESTOR AWARENESS PROGRAMMES
1269 DP1806 04-Dec-2009 NEW MARKET TYPE FOR BSE SETTLEMENTS
1270 DP1807 04-Dec-2009 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS -
CHAPTER 2- ACCOUNT OPENING- POINT NOS. 2.3.7 AND 2
1271 DP1808 07-Dec-2009 SETTLEMENT PROCEDURE FOR TRANSACTIONS FOR MUTUAL
FUND UNITS
1272 DP1809 07-Dec-2009 LAUNCH OF DEMAT FACILITY FOR MF UNITS
1273 DP1810 08-Dec-2009 CHANGE OF NAME EFFECTED BY DPS
1274 DP1811 09-Dec-2009 INVESTOR AWARENESS PROGRAMMES
1275 DP1812 11-Dec-2009 CHANGE OF RTA EFFECTED BY ISSUERS
1276 DP1813 11-Dec-2009 SEBI CIRCULAR DATED DECEMBER 09- 2009
1277 DP1814 11-Dec-2009 INVESTOR AWARENESS
PROGRAMME AT RAJAHMUNDRY
1278 DP1815 11-Dec-2009 DISCONTINUATION OF BENEFICIARY BANK DETAILS IN BO SETUP IN
THE CDSL SYSTEM
1279 DP1816 11-Dec-2009 WITHDRAWAL OF SECURITIES FROM CDSL
1280 DP1817 12-Dec-2009 INVESTOR AWARENESS PROGRAME AT DOMBIVLI MUMBAI
1281 DP1818 14-Dec-2009 INVESTOR AWARENESS PROGRAMME AT JAMSHEDPUR- JH
1282 DP1819 15-Dec-2009 SETTLEMENT PROCEDURE FOR REPURCHASE -REDEMPTION- OF
MUTUAL FUND UNITS
1283 DP1820 15-Dec-2009 RELEASE OF NEW CDAS VERSION - 1.03.18
1284 DP1821 17-Dec-2009 GENERATION OF REPORTS- DPC5 AND DPG5 FOR THE MONTH OF
DECEMBER 2009
1285 DP1822 17-Dec-2009 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1286 DP1823 17-Dec-2009 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
1287 DP1824 17-Dec-2009 INVESTOR AWARENESS PROGRAMME AT KARIMNAGAR- AP
1288 DP1825 18-Dec-2009 AVAILABILITY OF CDSL SYSTEM
1289 DP1826 21-Dec-2009 POSTPONEMENT OF INVESTOR AWARENESS PROGRAMME AT
RAJAHMUNDRY-AP
1290 DP1827 21-Dec-2009 INVESTOR AWARENESS PROGRAMMES
1291 DP1828 21-Dec-2009 SEBI ORDER DATED 21122009
1292 DP1829 22-Dec-2009 NEW MARKET TYPES FOR BSE AND NSE SETTLEMENTS
1293 DP1830 23-Dec-2009 HUF AOP SEGREGATION AND BENE BANK DETAILS AND
NOMINATION
1294 DP1831 30-Dec-2009 MOVEMENT OF SECURITIES TO CISA
1295 DP1832 30-Dec-2009 CHANGE OF RTA EFFECTED BY ISSUERS
1296 DP1833 30-Dec-2009 WITHDRAWAL OF SECURITIES FROM CDSL
1297 DP1834 30-Dec-2009 UNSC RESOLUTIONS 1267 AND 1822
1298 DP1835 30-Dec-2009 CHANGE OF RTA ADDRESS
1299 DP1836 30-Dec-2009 ADDITION OF NEW IP ADDRESS
1300 DP1837 30-Dec-2009 DISCONTINUATION OF CREDITS TO SPECIAL PURPOSE SP
1301 DP1838 30-Dec-2009 AVAILABILITY OF CDSL SYSTEM ON 02012010
1302 DP1839 31-Dec-2009 INVESTOR AWARENESS PROGRAMMES
1303 DP1840 04-Jan-2010 CDSLS DP TRAINING PROGRAMME FOR FEBRUARY 2010
1304 DP1841 04-Jan-2010 MANDATORY ENTRY OF DATE OF BIRTH -DOB- FOR INDIVIDUALS -
NRI - FOREIGN NATIONALS
1305 DP1842 05-Jan-2010 AVAILABILITY OF THE CDSL SYSTEM ON FRIDAY- JANUARY 08- 2010
1306 DP1843 05-Jan-2010 ONLINE BCCD CERTIFICATION EXAMINATIONS
1307 DP1844 05-Jan-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1308 DP1845 05-Jan-2010 INCREASED FILE SIZE FOR UPLOADS THROUGH EASIEST
1309 DP1846 06-Jan-2010 INVESTOR AWARENESS PROGRAMMES AT BULANDSHAHAR AND
KHURJA -UP
1310 DP1847 06-Jan-2010 GUIDELINES ON ANTI-MONEY LAUNDERING MEASURES
1311 DP1848 06-Jan-2010 INSURANCE POLICY FOR WAREHOUSE RECEIPTS HELD IN
DEMATERIALIZED FORM
1312 DP1849 07-Jan-2010 INVESTOR AWARENESS PROGRAMME AT CHENNAI- TAMIL NADU
1313 DP1850 07-Jan-2010 TERMINATION OF AGREEMENT BETWEEN CDSL AND
AMI SHARE AND STOCK BROKERS PRIVATE LIMITED
1314 DP1851 08-Jan-2010 INVESTOR AWARENESS PROGRAMME AT GOREGAON- MUMBAI- MH
1315 DP1852 08-Jan-2010 REVIEW OF SECURITIES LENDING AND BORROWING -SLB-
FRAMEWORK
1316 DP1853 08-Jan-2010 INVESTOR AWARENESS PROGRAMME AT CHANDIGARH
1317 DP1854 08-Jan-2010 CHANGE OF NAME EFFECTED BY DPS
1318 DP1855 11-Jan-2010 UPLOAD OF COMMODITY INSURANCE BILL

Page 24
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1319 DP1856 11-Jan-2010 COMPLIANCE MANUAL AS OF NOVEMBER 2009
1320 DP1857 15-Jan-2010 INVESTOR AWARENESS PROGRAMMES
1321 DP1858 15-Jan-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1322 DP1859 15-Jan-2010 UPDATION OF DIVIDEND BANK DETAILS IN EARLY PAY-IN
ACCOUNTS
1323 DP1860 18-Jan-2010 CDSL AND NEPAL STOCK EXCHANGE LIMITED SIGN AN AGREEMENT
TO SET UP A DEPOSITORY AND CLEARING SYSTEM IN NEPAL
1324 DP1861 19-Jan-2010 CLARIFICATION ON IN-PERSON VERIFICATION
1325 DP1862 20-Jan-2010 AVAILABILITY OF CDSL SYSTEM ON FRIDAY- JANUARY 22- 2010
1326 DP1863 20-Jan-2010 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
1327 DP1864 20-Jan-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1328 DP1865 20-Jan-2010 GENERATION OF REPORT DPC5 FOR THE MONTH OF JANUARY 2010
1329 DP1866 21-Jan-2010 CONTIVITY CLIENT SOFTWARE
1330 DP1867 21-Jan-2010 UPDATE - DATED 19-JANUARY-2010 - OF THE UNSC 1267
COMMITTEES CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES
LINKED TO TALIBAN - AL-QAIDA
1331 DP1868 22-Jan-2010 CDSLS DP OPERATING INSTRUCTIONS
-CHAPTERS AND ANNEXURES- AS OF DECEMBER 2009
1332 DP1869 23-Jan-2010 UPLOAD THROUGH EASIEST FOR CMS USING POWER OF
ATTORNEY-POA
1333 DP1870 25-Jan-2010 INCREASED FILE SIZE FOR UPLOADS THROUGH EASIEST
1334 DP1871 25-Jan-2010 REVISED SCHEDULE OF DP89 REPORT
1335 DP1872 25-Jan-2010 AVAILABILITY OF THE CDSL SYSTEM
1336 DP1873 27-Jan-2010 INVESTOR AWARENESS PROGRAMMES
1337 DP1874 27-Jan-2010 NAMES OF THE DPS EMPANELLED BY MCX FOR OPENING OF
ACCOUNTS FOR COMMODITIES AND HOLDING WAREHOUSE
RECEIPTS IN ELECTRONIC FORM
1338 DP1875 28-Jan-2010 AMENDMENTS TO CDSLS BYE LAWS
1339 DP1876 29-Jan-2010 INVESTOR AWARENESS PROGRAMME
1340 DP1877 29-Jan-2010 ONLINE BCCD CERTIFICATION EXAMINATIONS
1341 DP1878 01-Feb-2010 DISCLOSURE OF INVESTOR COMPLAINTS AND ARBITRATION
DETAILS ON CDSLS WEBSITE
1342 DP1879 02-Feb-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS -
CHAPTER 7- TRANSMISSION

1343 DP1880 03-Feb-2010 INVESTOR AWARENESS PROGRAMME AT NALGONDA- AP


1344 DP1881 03-Feb-2010 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
1345 DP1882 03-Feb-2010 CDSLS DP TRAINING PROGRAMME FOR MARCH 2010
1346 DP1883 05-Feb-2010 CHANGE IN SETTLEMENT SCHEDULE OF BSE AND NSE
1347 DP1884 05-Feb-2010 CHANGE IN SETTLEMENT SCHEDULE OF BSE-SLB AND NSE-SLB
1348 DP1885 05-Feb-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1349 DP1886 06-Feb-2010 INVESTOR AWARENESS PROGRAMME AT DHULE- MAHARASHTRA
1350 DP1887 08-Feb-2010 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
1351 DP1888 11-Feb-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS-CHAPTER
2- ACCOUNT OPENING
1352 DP1889 16-Feb-2010 IAP AT VISAKHAPATNAM - AP
1353 DP1890 16-Feb-2010 IAP AT TARANAGAR AND ALWAR- RAJASTHAN
1354 DP1891 16-Feb-2010 IAP AT MUMBAI - MAHARASHTRA
1355 DP1892 17-Feb-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1356 DP1893 17-Feb-2010 AVAILABILITY OF THE CDSL SYSTEM
1357 DP1894 18-Feb-2010 GUIDELINES ON ANTI-MONEY LAUNDERING MEASURES
1358 DP1895 18-Feb-2010 INVESTOR AWARENESS PROGRAMME AT INDORE- MP
1359 DP1896 19-Feb-2010 INVESTOR AWARENESS PROGRAMMES
1360 DP1897 19-Feb-2010 AVAILABILITY OF THE CDSL SYSTEM
1361 DP1898 22-Feb-2010 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT-CISA
1362 DP1899 23-Feb-2010 AVAILABILITY OF THE CDSL SYSTEM
1363 DP1900 24-Feb-2010 CDSL SMART- SMS ALERTS RELATED TO TRANSACTIONS
1364 DP1901 24-Feb-2010 GENERATION OF REPORT DPC5 FOR THE MONTH OF FEBRUARY
2010
1365 DP1902 24-Feb-2010 FOOTNOTES IN TRANSACTION STATEMENTS SENT TO BENEFICIAL
OWNERS -BOS

1366 DP1903 25-Feb-2010 INVESTOR AWARENESS PROGRAMMES


1367 DP1904 25-Feb-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS- CHAPTER
6- SETTLEMENTS
1368 DP1905 26-Feb-2010 CDSLS EASIEST FACILITY- NEW FEATURES FOR REGISTERED
USERS
1369 DP1906 06-Mar-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
Page 25
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1370 DP1907 06-Mar-2010 UPDATE-DATED 1 MARCH 2010-OF THE UNSC 1267 COMMITTEES
CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES LINKED TO
TALIBAN- AL-QAIDA
1371 DP1908 10-Mar-2010 RELEASE OF NEW CDAS VERSION-1.03.19
1372 DP1909 10-Mar-2010 SETTLEMENT TIMINGS OF BSE AND NSE ON MARCH 18-2010
1373 DP1910 10-Mar-2010 REVISED SCHEDULE OF DP83 REPORT
1374 DP1911 10-Mar-2010 PROCEDURE FOR THE DEMATERIALIZATION- REMATERIALIZATION
OF OPEN-ENDED AND CLOSE-ENDED MUTUAL FUND UNITS
1375 DP1912 11-Mar-2010 INVESTOR AWARENESS PROGRAMMES
1376 DP1913 11-Mar-2010 INVESTOR AWARENESS PROGRAMME AT CHENNAI- TN
1377 DP1914 11-Mar-2010 CDSLS DP TRAINING PROGRAMME FOR APRIL 2010
1378 DP1915 15-Mar-2010 INVESTOR AWARENESS PROGRAMME AT BELGAUM- KARNATAKA
1379 DP1916 15-Mar-2010 GENERATION OF REPORTS- DPC5 AND DPG5 FOR THE MONTH OF
MARCH 2010
1380 DP1917 15-Mar-2010 INVESTOR AWARENESS PROGRAMME AT ANANTHAPUR- AP

1381 DP1918 16-Mar-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS- CHAPTER


17- MISCELLANEA
1382 DP1919 17-Mar-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS-
ANNEXURE 7.3 - LETTER OF INDEMNIT
1383 DP1920 17-Mar-2010 AVAILABILITY OF THE CDSL SYSTEM ON FRIDAY- MARCH 26- 2010
1384 DP1921 17-Mar-2010 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
1385 DP1922 18-Mar-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS- CHAPTER
10- ACCOUNT CLOSURE
1386 DP1923 19-Mar-2010 INVESTOR AWARENESS PROGRAMME AT DEHRADUN- UT
1387 DP1924 19-Mar-2010 SINGLE DOWNLOAD REPORT-DP57
1388 DP1925 19-Mar-2010 COMMON FILE FORMAT FOR TRANSACTION UPLOADS AND
SUCCESS - FAILURE REPORTS
1389 DP1926 20-Mar-2010 INVESTOR AWARENESS PROGRAMME AT MUMBAI- MH
1390 DP1927 20-Mar-2010 FINANCIAL ACTION TASK FORCE -FATF- PUBLIC STATEMENT DATED
18 FEBRUARY 2010 REGARDING COUNTRIES WHICH DO NOT OR
INSUFFICIENTLY APPLY THE FATF RECOMMENDATIONS
1391 DP1928 22-Mar-2010 UPDATE - DATED 11 MARCH 2010 - OF THE UNSC 1267 COMMITTEES
CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES LINKED TO
TALIBAN-AL-QAIDA
1392 DP1929 22-Mar-2010 NEW FUNCTIONALITY FOR RESET OF PASSWORD IN DATABASE
ADMINISTRATOR MODULE IN THE CDSL SYSTEM
1393 DP1930 22-Mar-2010 REVISED FORMAT FOR REPORT ON INTERNAL AUDIT AND
CONCURRENT AUDIT OF RISK PRONE AREAS OF DEPOSITORY
PARTICIPANTS
1394 DP1931 22-Mar-2010 SEBI CLARIFICATIONS ON PMS DEMAT ACCOUNTS

1395 DP1932 23-Mar-2010 OPPORTUNITY TO DPS TO PARTNER IN CORPORATE SOCIAL


RESPONSIBILITY ACTIVITY
1396 DP1933 23-Mar-2010 INVESTOR AWARENESS PROGRAMME AT MADURAI- TN
1397 DP1934 23-Mar-2010 GENERATION OF REPORTS- DPC5 AND DPG5 FOR THE MONTH OF
MARCH 2010
1398 DP1935 23-Mar-2010 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO DETAILS IN
THE CDSL SYSTEM
1399 DP1936 23-Mar-2010 ADDITIONAL FIELDS IN BO MODIFY UPLOAD
1400 DP1937 23-Mar-2010 FREEZING OF MINOR ACCOUNTS ON ATTAINING MAJORITY
1401 DP1938 23-Mar-2010 SERVICE TAX PAYABLE W.E.F. APRIL 01- 2010
1402 DP1939 25-Mar-2010 INVESTOR AWARENESS PROGRAMME AT RAJAHMUNDRY- AP
1403 DP1940 25-Mar-2010 NATIONAL SPOT EXCHANGE LIMITED REGISTERED WITH CDSL
1404 DP1941 26-Mar-2010 WITHDRAWAL OF SECURITIES FROM CDSL
1405 DP1942 26-Mar-2010 INVESTOR AWARENESS PROGRAMME AT AMRAVATI- MH
1406 DP1943 26-Mar-2010 CHANGE OF NAME EFFECTED BY DPS
1407 DP1944 29-Mar-2010 AMENDMENTS TO CDSL DP OPERATING INSTRUCTIONS - CHAPTER
12 - FEES
1408 DP1945 05-Apr-2010 REVISION IN TARIFF STRUCTURE - FOR DEBIT TRANSACTIONS
1409 DP1946 05-Apr-2010 INVESTOR AWARENESS PROGRAMMES AT MUMBAI AND PEN- MH
1410 DP1947 05-Apr-2010 SETTLEMENT TIMINGS OF BSE AND NSE ON APRIL 06- 2010
1411 DP1948 06-Apr-2010 WITHDRAWAL-OF-SECURITIES-FROM-CDSL
1412 DP1949 06-Apr-2010 CHANGE-OF-RTA-EFFECTED-BY-ISSUERS
1413 DP1950 06-Apr-2010 INVESTOR-AWARENESS-PROGRAMME-AT-TRIVANDRUM-KL
1414 DP1951 06-Apr-2010 SUBMISSION-OF-TARIFF-STRUCTURE-THRU-DP-LOG-IN
1415 DP1952 06-Apr-2010 WITHDRAWAL-OF-CDSL-DP
1416 DP1953 08-Apr-2010 UNSC-RESOLUTION-1267
1417 DP1954 08-Apr-2010 AVAILABILITY-OF-THE-CDSL-SYSTEM-ON-09042010
1418 DP1955 08-Apr-2010 ONLINE-BCCD-CERTIFICATION-EXAMINATIONS

Page 26
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1419 DP1956 09-Apr-2010 DUE-DILIGENCE-IN-DEPOSITORY-OPERATIONS
1420 DP1957 09-Apr-2010 INSURANCE POLICY FOR SECURITIES
1421 DP1958 09-Apr-2010 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT-CISA
1422 DP1959 13-Apr-2010 INVALID EMAIL ID ENTERED AT THE TIME OF ACCOUNT OPENING-
AUTO REGISTRATION FOR CDSLS EASI FACILITY
1423 DP1960 16-Apr-2010 INVESTOR AWARENESS PROGRAMMES AT
OTTAPALAM - KL -
COIMBATORE- TN
UDAIPUR - RJ
BANGALORE - KT
1424 DP1961 16-Apr-2010 CANCELLATION OF ONLINE BCCD CERTIFICATION EXAMINATION
AT JAIPUR ON APRIL 17 AND 18- 2010
1425 DP1962 16-Apr-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
1426 DP1963 20-Apr-2010 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
1427 DP1964 20-Apr-2010 CDSLS DP TRAINING PROGRAMME FOR MAY 2010
1428 DP1965 21-Apr-2010 CDSLS DP TRAINING PROGRAMME FOR MAY 2010
1429 DP1966 21-Apr-2010 CLARIFICATION ON PROOF OF CORRESPONDENCE ADDRESS

1430 DP1967 21-Apr-2010 ANNUAL BILL- UPLOAD TO DP BILLING FOLDER IN CDAS

1431 DP1968 21-Apr-2010 GENERATION OF DPC5 REPORT FOR THE MONTH OF APRIL 2010
1432 DP1969 21-Apr-2010 RELEASE OF NEW CDAS VERSION - 1.03.20
1433 DP1970 22-Apr-2010 MANDATORY APPLICATION OF RELEASE BY DPS
1434 DP1971 23-Apr-2010 INVESTOR AWARENESS PROGRAMMES AT VARIOUS LOCATIONS
1435 DP1972 23-Apr-2010 INVESTOR AWARENESS PROGRAMMES AT SIKAR- RJ
1436 DP1973 23-Apr-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1437 DP1974 24-Apr-2010 CHANGE OF NAME EFFECTED BY DPS
1438 DP1975 26-Apr-2010 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT CISA
1439 DP1976 26-Apr-2010 RELEASE OF NEW CDAS VERSION-1.03.21

1440 DP1977 26-Apr-2010 SEBI CIRCULAR DATED APRIL 23- 2010


1441 DP1978 26-Apr-2010 ENCRYPTION OF UPLOAD FILES
1442 DP1979 26-Apr-2010 INVESTOR AWARENESS PROGRAMME AT PUNE- MH
1443 DP1980 28-Apr-2010 NAMES OF THE DPS EMPANELLED BY NSEL FOR OPENING OF
ACCOUNTS FOR COMMODITIES AND HOLDING WAREHOUSE
RECEIPTS IN ELECTRONIC FORM
1444 DP1981 29-Apr-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS -
CHAPTER 12- FEES- CHARGES AND DEPOSITS
1445 DP1982 04-May-2010 ONLINE BCCD CERTIFICATION EXAMINATIONS
1446 DP1983 05-May-2010 INVESTOR AWARENESS PROGRAMME AT MUMBAI- MH
1447 DP1984 05-May-2010 UPDATES - DATED 12 AND 22 APRIL 2010 - OF THE UNSC 1267
COMMITTEES CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES
LINKED TO TALIBAN - AL-QAIDA

1448 DP1985 07-May-2010 NATIONAL SPOT EXCHANGE LIMITED - REGISTERED WITH CDSL
1449 DP1986 11-May-2010 DISASTER RECOVERY SITE-DRS- PROCEDURE
1450 DP1987 11-May-2010 ENCRYPTION OF UPLOAD FILES
1451 DP1988 13-May-2010 ONLINE BCCD CERTIFICATION EXAMINATIONS
1452 DP1989 13-May-2010 SUBMISSION OF INFORMATION AS REQUIRED BY SEBI
1453 DP1990 15-May-2010 SETTLEMENT TIMINGS OF BSE AND NSE ON MAY 18- 2010
1454 DP1991 17-May-2010 CDSLS DP TRAINING PROGRAMME FOR JUNE 2010
1455 DP1992 17-May-2010 UPDATES - DATED 5 AND 11 MAY 2010 - OF THE UNSC 1267
COMMITTEES CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES
LINKED TO TALIBAN - AL-QAIDA
1456 DP1993 17-May-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS

1457 DP1994 19-May-2010 LIST OF STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
1458 DP1995 20-May-2010 GENERATION OF DPC5 REPORT FOR THE MONTH OF MAY 2010
1459 DP1996 24-May-2010 INVESTOR AWARENESS ROGRAMME AT ERNAKULAM- KERALA
1460 DP1997 25-May-2010 INVESTOR AWARENESS PROGRAMMES IN MAHARASHTRA
1461 DP1998 25-May-2010 RELEASE OF NEW CDAS VERSION
1462 DP1999 25-May-2010 REVISED SETTLEMENT TIMINGS OF BSE AND NSE ON MAY 28- 2010
AND MAY 31-2010 AND JUNE 02- 2010
1463 DP2000 25-May-2010 INCREASED FILE SIZE AND TIME DURATION FOR UPLOADS
THROUGH -EASIEST
1464 DP2001 25-May-2010 PLEDGE - UNPLEDGE REQUESTS NOT EXERCISED WITHIN A
REASONABLE TIME
1465 DP2002 26-May-2010 SETTLEMENT TIMINGS OF BSE-SLB AND NSE-SLB ON MAY 28- 2010 -
JULY 12- 2010 - JULY 13- 2010
1466 DP2003 26-May-2010 INVESTOR AWARENESS PROGRAMME AT ERODE- TAMIL NADU

Page 27
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1467 DP2004 26-May-2010 ONLINE BCCD CERTIFICATION EXAMINATIONS
1468 DP2005 27-May-2010 INVESTOR AWARENESS PROGRAMME AT KANPUR-UTTAR PRADESH
1469 DP2006 31-May-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1470 DP2007 02-Jun-2010 INVESTOR AWARENESS PROGRAMMES AT MANNARGUDI-TN AND
MUMBAI-MH
1471 DP2008 02-Jun-2010 DISCONTINUATION OF CREDITS TO CMS SPECIAL PURPOSE
SETTLEMENT POCKET-SPS1

1472 DP2009 03-Jun-2010 AVAILABILITY OF CDSLS WEBSITE


1473 DP2010 03-Jun-2010 ONLINE BCCD CERTIFICATION EXAMINATIONS
1474 DP2011 05-Jun-2010 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL

1475 DP2012 08-Jun-2010 INVESTOR AWARENESS PROGRAMME AT INDORE- MAHDYA


PRADESH
1476 DP2013 09-Jun-2010 INVESTOR AWARENESS PROGRAMMES
1477 DP2014 09-Jun-2010 AVAILABILITY OF THE CDSL SYSTEM ON JUNE 11 AND 12- 2010
1478 DP2015 11-Jun-2010 AHMEDABAD COMMODITY EXCHANGE LIMITED REGISTERED WITH
CDSL

1479 DP2016 11-Jun-2010 SMS ALERTS TO COMPLIANCE OFFICERS OF DPS REGARDING


FAILURE OF AN UPLOAD FILE EXECUTED DURING EOD
1480 DP2017 15-Jun-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS-CHAPTER
10- ACCOUNT CLOSURE
1481 DP2018 15-Jun-2010 NAMES OF THE DPS EMPANELLED BY NCDEX FOR OPENING OF
ACCOUNTS FOR COMMODITIES AND HOLDING WAREHOUSE
RECEIPTS IN ELECTRONIC FORM
1482 DP2019 15-Jun-2010 UPDATE-DATED 4 JUNE 2010 - OF THE UNSC 1267 COMMITTEES
CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES LINKED TO
TALIBAN - AL-QAIDA
1483 DP2020 15-Jun-2010 GUIDELINES ON ANTI-MONEY LAUNDERING MEASURES
1484 DP2021 16-Jun-2010 TERMINATION OF REGISTRAR AND TRANSFER AGENT- PINNACLE
SHARES REGISTRY PRIVATE LIMITED
1485 DP2022 16-Jun-2010 DISCLOSURE OF REGULATORY ORDERS AND ARBITRATION
AWARDS ON CDSLS WEBSITE
1486 DP2023 17-Jun-2010 NAMES OF THE DPS EMPANELLED BY NSEL FOR OPENING OF
ACCOUNTS FOR COMMODITIES AND HOLDING WAREHOUSE
RECEIPTS IN ELECTRONIC FORM
1487 DP2024 17-Jun-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1488 DP2025 17-Jun-2010 ACE DERIVATIVES AND COMMODITIES EXCHANGE LIMITED
1489 DP2026 21-Jun-2010 CDSLS DP TRAINING PROGRAMME FOR JULY 2010
1490 DP2027 22-Jun-2010 INVESTOR AWARENESS PROGRAMME AT MUMBAI- MH
1491 DP2028 22-Jun-2010 NOTIFICATION OF CHANGE IN PARTICULARS - INFORMATION
1492 DP2029 23-Jun-2010 AVAILABILITY OF THE CDSL SYSTEM ON JUNE 25- 2010
1493 DP2030 24-Jun-2010 RELEASE OF NEW CDAS VERSION-1.03.23
1494 DP2031 29-Jun-2010 GENERATION OF REPORTS- DPC5 AND DPG5 FOR THE MONTH OF
JUNE 2010
1495 DP2032 29-Jun-2010 SETTLEMENT TIMINGS OF BSE AND NSE ON JULY 02- 2010 - JULY 05
- 2010 - JULY 07- 2010
1496 DP2033 29-Jun-2010 SETTLEMENT TIMINGS OF BSE-SLB AND NSE-SLB ON JULY 02- 2010
1497 DP2034 29-Jun-2010 RELEASE OF NEW CDAS VERSION - 1.03.24
1498 DP2035 30-Jun-2010 INSURANCE-CERTIFICATES
1499 DP2036 01-Jul-2010 INVESTOR-AWARENESS-PROGRAMMES
1500 DP2037 02-Jul-2010 SEBI-CIRCULAR-01072010-AMC-CHARGES
1501 DP2038 02-Jul-2010 DISCONTINUATION-OF-CREDITS-TO-SPECIAL PURPOSE-SP
1502 DP2039 03-Jul-2010 UNSC-RESOLUTION
1503 DP2040 07-Jul-2010 INVESTOR AWARENESS PROGRAMME
1504 DP2041 07-Jul-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1505 DP2042 07-Jul-2010 TDS CREDITS TO DEPOSITORY PARTICIPANTS
1506 DP2043 08-Jul-2010 INVESTOR AWARENESS PROGRAMME
1507 DP2045 08-Jul-2010 RELIANCE SPOT EXCHANGE INFRASTRUCTURE LIMITED
REGISTERED WITH CDSL
1508 DP2044 09-Jul-2010 ENTRY OF DATE OF BIRTH IN THE CDSL SYSTEM
1509 DP2046 09-Jul-2010 AVAILABILITY OF THE CDSL SYSTEM ON JULY 09- 2010
1510 DP2047 09-Jul-2010 INVESTOR AWARENESS PROGRAMMES AT VARIOUS LOCATIONS
1511 DP2048 12-Jul-2010 INVESTOR AWARENESS PROGRAMME
1512 DP2049 14-Jul-2010 CDSLS DP TRAINING PROGRAMME FOR AUGUST 2010
1513 DP2050 15-Jul-2010 CHANGE OF NAME EFFECTED BY DPS
1514 DP2051 16-Jul-2010 INVESTOR AWARENESS PROGRAMME AT KOCHI- KL
1515 DP2052 21-Jul-2010 NEW ADDRESS OF CDSLS CHENNAI OFFICE
1516 DP2053 22-Jul-2010 TRAINING PROGRAMMES FOR INTERNAL AND CONCURRENT
AUDITORS OF DPS AT VARIOUS LOCATIONS IN INDIA

Page 28
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1517 DP2054 22-Jul-2010 INVESTOR AWARENESS PROGRAMMES IN MAHARASHTRA
1518 DP2055 23-Jul-2010 DESTATEMENTTIZATION OF MF UNITS REPRESENTED BY SOA
1519 DP2056 24-Jul-2010 INVESTOR AWARENESS PROGRAMMES
1520 DP2057 26-Jul-2010 GENERATION OF DPC5 REPORT FOR THE MONTH OF JULY 2010
1521 DP2058 26-Jul-2010 ONLINE BCCD CERTIFICATION EXAMINATIONS
1522 DP2059 26-Jul-2010 CDSLS DP OPERATING INSTRUCTIONS AS OF JUNE 2010 -
CHAPTERS AND ANNEXURES
1523 DP2060 28-Jul-2010 NEW MODULE FOR SIGNATURE DOWNLOAD AND EXTRACTION
1524 DP2061 29-Jul-2010 UPDATES - DATED 09- 12- 15 AND 20 JULY 2010 - OF THE UNSC 1267
COMMITTEES CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES
LINKED TO TALIBAN - AL-QAIDA
1525 DP2062 29-Jul-2010 INVESTOR AWARENESS PROGRAMMES
1526 DP2063 29-Jul-2010 SEBI CIRCULAR DATED JULY 29- 2010 - MANDATORY REQUIREMENT
OF PERMANENT ACCOUNT NUMBER -PAN

1527 DP2064 30-Jul-2010 INVESTOR AWARENESS PROGRAMMES


1528 DP2065 31-Jul-2010 PAYMENTS MADE TO CDSL BY DEPOSITORY PARTICIPANTS
1529 DP2066 31-Jul-2010 UPDATION OF NEW BANK ACCOUNT NUMBERS IN DEMAT
ACCOUNTS
1530 DP2067 02-Aug-2010 SEBI CIRCULAR DATED JULY 30- 2010 - REPORTING OF OTC
TRANSACTIONS IN CERTIFICATES OF DEPOSITS -CDS- AND
COMMERCIAL PAPERS -CPS
1531 DP2068 05-Aug-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1532 DP2069 05-Aug-2010 AVAILABILITY OF THE CDSL SYSTEM ON AUGUST 06- 2010
1533 DP2070 05-Aug-2010 CHANGE OF NAME EFFECTED BY DPS
1534 DP2071 05-Aug-2010 INVESTOR AWARENESS PROGRAMME AT UDAIPUR- RAJASTHAN
1535 DP2072 06-Aug-2010 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
1536 DP2073 06-Aug-2010 REMINDER- SUBMISSION OF NET WORTH CERTIFICATE AND
AUDITED FINANCIAL STATEMENTS
1537 DP2074 07-Aug-2010 UPDATES - DATED 28 AND 30 JULY 2010 - OF THE UNSC 1267
COMMITTEES CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES
LINKED TO TALIBAN - AL-QAIDA
1538 DP2075 10-Aug-2010 AVAILABILITY OF THE CDSL SYSTEM
1539 DP2076 10-Aug-2010 NATIONAL SPOT EXCHANGE LIMITED - WAIVER OF STORAGE
CHARGES IN E-GOLD AND E-SILVER CONTRACTS
1540 DP2077 11-Aug-2010 INVESTOR AWARENESS PROGRAMMES
1541 DP2078 12-Aug-2010 RELEASE OF NEW CDAS VERSION - 1.03.25
1542 DP2079 12-Aug-2010 MANDATORY REQUIREMENT OF PERMANENT ACCOUNT NUMBER-
PAN
1543 DP2080 12-Aug-2010 TRAINING PROGRAMME FOR INTERNAL AND CONCURRENT
AUDITORS OF DPS AT MUMBAI
1544 DP2081 13-Aug-2010 INVESTOR AWARENESS PROGRAMME AT MUMBAI- MH
1545 DP2082 13-Aug-2010 FINANCIAL ACTION TASK FORCE -FATF- PUBLIC STATEMENT DATED
JUNE 25- 2010 AGAINST FATF IDENTIFIED JURISDICTIONS THAT
HAVE STRATEGIC AML-CFT DEFICIENCIES
1546 DP2083 16-Aug-2010 CDSLS DP TRAINING PROGRAMME FOR SEPTEMBER 2010
1547 DP2084 17-Aug-2010 SETTLEMENT TIMINGS OF BSE AND NSE ON AUGUST 20- 2010-
AUGUST 23- 2010 - AUGUST 25- 2010
1548 DP2085 17-Aug-2010 SETTLEMENT TIMINGS OF BSE-SLB AND NSE-SLB ON AUGUST 20-
2010
1549 DP2086 18-Aug-2010 INVESTOR AWARENESS PROGRAMMES AT VARIOUS LOCATIONS
1550 DP2087 18-Aug-2010 SEBI CIRCULAR DATED AUGUST 18- 2010 - TRANSFERABILITY OF
MUTUAL FUND UNITS
1551 DP2088 19-Aug-2010 INVESTOR AWARENESS PROGRAMME AT TENALI- AP
1552 DP2089 19-Aug-2010 INVESTOR AWARENESS PROGRAMME AT DOMBIVLI- THANE- MH
1553 DP2090 19-Aug-2010 INTERNAL AUDIT OF DEPOSITORY PARTICIPANT OPERATIONS
1554 DP2091 20-Aug-2010 AVAILABILITY OF THE CDSL SYSTEM TODAY- AUGUST 20- 2010
1555 DP2092 20-Aug-2010 GENERATION OF DPC5 REPORT FOR THE MONTH OF AUGUST 2010
1556 DP2093 20-Aug-2010 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO DETAILS IN
THE CDSL SYSTEM
1557 DP2094 23-Aug-2010 PLEDGE OF SHARES THROUGH DEPOSITORY SYSTEM
1558 DP2095 23-Aug-2010 INVESTOR AWARENESS PROGRAMME
1559 DP2096 25-Aug-2010 AVAILABILITY OF THE CDSL SYSTEM ON FRIDAY- AUGUST 27- 2010
1560 DP2097 25-Aug-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1561 DP2098 26-Aug-2010 FAQS FOR DISCONTINUATION OF CREDITS TO CMS SPECIAL
PURPOSE SETTLEMENT POCKET- SPS1
1562 DP2099 26-Aug-2010 INVESTOR AWARENESS PROGRAMME AT KURNOOL- AP
1563 DP2100 30-Aug-2010 CONTACT DETAILS OF CDSL OFFICIALS
1564 DP2101 02-Sep-2010 AVAILABILITY OF CDSL SYSTEM

Page 29
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1565 DP2102 03-Sep-2010 SEBI CIRCULAR DATED AUGUST 31- 2010 - EXECUTION OF POWER
OF ATTORNEY -POA- BY THE CLIENT IN FAVOUR OF THE STOCK
BROKER - STOCK BROKER AND DEPOSITORY PARTICIPANT -
CLARIFICATIONS
1566 DP2103 06-Sep-2010 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA

1567 DP2104 06-Sep-2010 INVESTOR AWARENESS PROGRAMME AT KALYAN- MAHARASHTRA

1568 DP2105 06-Sep-2010 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL


1569 DP2106 06-Sep-2010 SEBI ORDER DATED AUGUST 30- 2010 AGAINST SHRI BHADRESH
SANGHVI- SUB-BROKER AFFILIATED TO MS. ANAND RATHI SHARE
AND STOCK BROKERS LIMITED
1570 DP2107 09-Sep-2010 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1571 DP2108 09-Sep-2010 INVESTOR AWARENESS PROGRAMMES AT RAMPUR AND
MORADABAD- UP
1572 DP2109 09-Sep-2010 ONLINE BCCD CERTIFICATION EXAMINATIONS AT VARIOUS
LOCATIONS IN INDIA
1573 DP2110 15-Sep-2010 INVESTOR AWARENESS PROGRAMMES
1574 DP2111 16-Sep-2010 INVESTOR AWARENESS PROGRAMMES AT VARIOUS LOCATIONS
1575 DP2112 17-Sep-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS- CHAPTER
7- TRANSMISSION
1576 DP2113 17-Sep-2010 INTRODUCTION OF INDIAN FINANCIAL SYSTEM CODE -IFSC- IN BO
UPLOAD -SETUP AND MODIFY

1577 DP2114 17-Sep-2010 RELEASE OF NEW CDAS VERSION -1.03.26


1578 DP2115 20-Sep-2010 CHANGE OF NAME EFFECTED BY DPS
1579 DP2116 20-Sep-2010 CDSLS DP TRAINING PROGRAMME FOR OCTOBER 2010
1580 DP2117 20-Sep-2010 WITHDRAWAL OF SECURITIES FROM CDSL
1581 DP2118 21-Sep-2010 AMENDMENTS TO CDSL BYE LAWS
1582 DP2119 21-Sep-2010 INVESTOR AWARENESS PROGRAMMES AT VARIOUS LOCATIONS
1583 DP2120 21-Sep-2010 AVAILABILITY OF THE CDSL SYSTEM
1584 DP2121 27-Sep-2010 UPDATE- DATED 24 AUGUST 2010 - OF THE UNSC 1267 COMMITTEES
CONSOLIDATED LIST OF INDIVIDUALS AND ENTITIES LINKED TO
TALIBAN AL-QAIDA
1585 DP2122 27-Sep-2010 ECS MANDATE FOR BENEFICIAL OWNERS -BOS
1586 DP2123 28-Sep-2010 SETTLEMENT TIMINGS OF BSE AND NSE ON OCTOBER 01- 2010 AND
OCTOBER 04- 2010
1587 DP2124 28-Sep-2010 SETTLEMENT TIMINGS OF BSE-SLB AND NSE-SLB SCHEDULED ON
FRIDAY- OCTOBER 01- 2010
1588 DP2125 29-Sep-2010 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT -CISA
1589 DP2126 29-Sep-2010 AVAILABILITY OF THE CDSL SYSTEM ON SATURDAY- OCTOBER 02-
2010
1590 DP2127 29-Sep-2010 INVESTOR AWARENESS PROGRAMME AT ALIGARH-UP
1591 DP2128 04-Oct-2010 CDSLS ONE DAY DP TRAINING PROGRAMME
1592 DP2129 06-Oct-2010 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
1593 DP2130 06-Oct-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
ANNEXURE 10.1-ACCOUNT CLOSURE REQUEST FORM
1594 DP2131 06-Oct-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS CHAPTER
17-MISCELLANEA
1595 DP2132 07-Oct-2010 INVESTOR AWARENESS PROGRAMMES
1596 DP2133 07-Oct-2010 INVESTOR AWARENESS PROGRAMME
1597 DP2134 08-Oct-2010 INVESTOR AWARENESS PROGRAMMES
1598 DP2135 11-Oct-2010 VERIFICATION OF BANK ACCOUNT NUMBERS IN BO DETAILS IN THE
CDSL SYSTEM
1599 DP2136 12-Oct-2010 INVESTOR AWARENESS PROGRAMMES
1600 DP2137 12-Oct-2010 INTRODUCTION OF FINAL EXPIRY DATE IN STEEL
1601 DP2138 13-Oct-2010 WAIVER OF CHARGES IN RESPECT OF OPEN ENDED MUTUAL FUND
SCHEMES EXTENDED UP TO 31ST MARCH 2011
1602 DP2139 13-Oct-2010 ECS MANDATE FOR BENEFICIAL OWNER DEMAT ACCOUNTS
1603 DP2140 14-Oct-2010 AVAILABILITY OF CDSL SYSTEM
1604 DP2141 16-Oct-2010 CDSLS ONE DAY TRAINING PROGRAMME ON BASICS OF
DEPOSITORY OPERATIONS
1605 DP2142 16-Oct-2010 INVESTOR AWARENESS PROGRAMMES
1606 DP2143 19-Oct-2010 CDSLS DP TRAINING PROGRAMME IN NOVEMBER 2010
1607 DP2144 19-Oct-2010 INVESTOR AWARENESS PROGRAMME
1608 DP2145 21-Oct-2010 INVESTOR AWARENESS PROGRAMMES
1609 DP2146 21-Oct-2010 RELEASE OF NEW CDAS VERSION

Page 30
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1610 DP2147 22-Oct-2010 OPENING OF COLLATERAL ACCOUNTS FOR NSCCL IN CDSL
BY STOCK HOLDING CORPORATION OF INDIA LIMITED
1611 DP2148 22-Oct-2010 INVESTOR AWARENESS PROGRAMME
1612 DP2149 22-Oct-2010 INVESTOR AWARENESS PROGRAMME
1613 DP2150 25-Oct-2010 DP AUTO EASI REGISTRATION
1614 DP2151 26-Oct-2010 CHANGE OF NAME EFFECTED BY DPS
1615 DP2152 29-Oct-2010 WITHDRAWAL OF DIPOSITORY PARTICIPANT OF CDSL
1616 DP2153 29-Oct-2010 RELEASE OF NEW CDAS VERSION
1617 DP2154 29-Oct-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS CHAPTER
12 FEES CHARGES AND DEPOSITS
1618 DP2155 30-Oct-2010 INVESTOR AWARENESS PROGRAMMES
1619 DP2156 30-Oct-2010 INVESTOR AWARENESS PROGRAMMES
1620 DP2157 01-Nov-2010 EXTENSION OF DEADLINE FOR INTER-DEPOSITORY TRANSFERS
1621 DP2158 01-Nov-2010 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
1622 DP2159 02-Nov-2010 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT CISA
1623 DP2160 02-Nov-2010 SETTLEMENT TIMINGS OF BSE AND NSE ON 09 NOVEMBER 2010
1624 DP2161 02-Nov-2010 SETTLEMENT TIMINGS OF BSE SLB AND NSE SLB
SCHEDULED ON MONDAY 08 NOVEMBER 2010
1625 DP2162 02-Nov-2010 INVESTOR AWARENESS PROGRAMMES
1626 DP2163 02-Nov-2010 NAMES OF THE DPS EMPANELLED BY ACE DERIVATIVES AND
COMMODITIES EXCHANGE LIMITED
1627 DP2164 03-Nov-2010 CDSL TRAINING PROGRAMMES
FOR COMPLIANCE OFFICERS OF DPS
AT VARIOUS LOCATIONS IN INDIA
1628 DP2165 04-Nov-2010 DEMAT ACCOUNTS ON BEHALF OF MINORS
AT NATIONAL SPOT EXCHANGE LIMITED
1629 DP2166 04-Nov-2010 AVAILABILITY OF CDSL SYSTEM
1630 DP2167 10-Nov-2010 INVESTOR AWARENESS PROGRAMME
1631 DP2168 10-Nov-2010 MOVEMENT OF SECURITIES TO
CM INVESTOR SECURITIES ACCOUNT -CISA
1632 DP2169 10-Nov-2010 DETAILS OF CHANGE OF RTA EFFECTTED BY ISSUERS
1633 DP2170 11-Nov-2010 AMENDMENTS TO CDSL DP OPERATING INSTRUCTIONS- CHAPTER
7-TRANSMISSION AND CHAPTER 10- ACCOUNT CLOSURE
1634 DP2171 12-Nov-2010 INVESTOR AWARENESS PROGRAMMES
1635 DP2172 16-Nov-2010 SINGLE DOWNLOAD REPORT DP57
1636 DP2173 16-Nov-2010 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
1637 DP2174 18-Nov-2010 INVESTOR AWARENESS PROGRAMMES
1638 DP2175 18-Nov-2010 RELEASE OF NEW CDAS VERSION
1639 DP2176 19-Nov-2010 AVAILABILITY OF CDSL SYSTEM
1640 DP2177 22-Nov-2010 INVESTOR AWARENESS PROGRAMMES
1641 DP2178 22-Nov-2010 AMALGAMATION OF RTA ALPHA SYSTEMS PRIVATE LIMITED WITH
INTEGRATED ENTERPRISES INDIA LIMITED
1642 DP2179 24-Nov-2010 RELEASE OF NEW CDAS VERSION
1643 DP2180 25-Nov-2010 AVAILABILITY OF CDSL SYSTEM
1644 DP2181 25-Nov-2010 RELEASE OF DESTATEMENTIZATION FACILITY
1645 DP2182 26-Nov-2010 INVESTOR AWARENESS PROGRAMME
1646 DP2183 26-Nov-2010 TRANSACTION DESCRIPTION FOR DESTATEMENTIZATION
1647 DP2184 30-Nov-2010 CDSLS DP TRAINING PROGRAMME FOR DECEMBER 2010
1648 DP2185 01-Dec-2010 ALLOCATION OF NEW MICR AND IFSC CODES DUE TO
AMALGAMATION OF
STATE BANK OF INDORE WITH STATE BANK OF INDIA
1649 DP2186 02-Dec-2010 INVESTOR AWARENESS PROGRAMMES
1650 DP2187 02-Dec-2010 VERIFICATION OF BANK ACCOUNT NUMBERS
IN BO DETAILS IN THE CDSL SYSTEM
1651 DP2188 02-Dec-2010 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
1652 DP2189 03-Dec-2010 INVESTOR AWARENESS PROGRAMME
1653 DP2190 07-Dec-2010 SEBI CIRCULAR
FACILITATING TRANSACTIONS IN MUTUAL FUND SCHEMES
THROUGH
THE STOCK EXCHANGE INFRASTRUCTURE
1654 DP2191 07-Dec-2010 INVESTOR AWARENESS PROGRAMME
1655 DP2192 07-Dec-2010 INVESTOR AWARENESS PROGRAMMES
1656 DP2193 09-Dec-2010 SETTLEMENT PROCEDURE OF TRANSACTIONS
FOR MUTUAL FUND UNITS PHASE 2
1657 DP2194 09-Dec-2010 PROCEDURE FOR OPENING OF AMC POOL ACCT
FOR SETTLEMENT OF TRANSACTIONS
FOR MUTUAL FUND UNITS
1658 DP2195 09-Dec-2010 INVESTOR AWARENESS PROGRAMME
1659 DP2196 10-Dec-2010 INVESTOR AWARENESS PROGRAMME

Page 31
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1660 DP2197 10-Dec-2010 INTER DEPOSITORY TRANSFERS DATED 17TH AND 18TH
DECEMBER 2010
1661 DP2198 10-Dec-2010 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT CISA
1662 DP2199 13-Dec-2010 INVESTOR AWARENESS PROGRAMME
1663 DP2200 14-Dec-2010 DUE DILIGENCE IN DEPOSITORY PARTICIPANT OPERATIONS
1664 DP2201 14-Dec-2010 LIST OF STATUS AND SUB STATUS FOR DEMAT ACCOUNTS
1665 DP2202 15-Dec-2010 DETAILS OF CORPORATE ACTIONS
1666 DP2203 16-Dec-2010 SEBI CIRCULAR
ACCEPTANCE OF THIRD PARTY ADDRESS
AS CORRESPONDENCE ADDRESS
1667 DP2204 16-Dec-2010 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 2 ACCOUNT OPENING
1668 DP2205 16-Dec-2010 DISASTER RECOVERY RELATED CHANGES IN VSAT SETUP
1669 DP2206 16-Dec-2010 AVAILABILITY OF CDSL SYSTEM
1670 DP2207 16-Dec-2010 SETTLEMENT PROCEDURE FOR
MUTUAL FUND REDEMPTION TRANSACTIONS PHASE 2
1671 DP2208 21-Dec-2010 CDSLS DP TRAINING PROGRAMME FOR JANUARY 2011
1672 DP2209 21-Dec-2010 INVESTOR AWARENESS PROGRAMMES
1673 DP2210 21-Dec-2010 DETAILS OF CORPORATE ACTIONS
1674 DP2211 22-Dec-2010 CLARIFICATION PERTAINING TO OPENING OF AMC POOL AC
FOR SETTLEMENT OF TRANSACTIONS
FOR MUTUAL FUND UNITS
1675 DP2212 22-Dec-2010 MOVEMENT OF SECURITIES TO
CM INVESTOR SECURITIES ACCOUNT CISA
1676 DP2213 22-Dec-2010 INVESTOR AWARENESS PROGRAMMES
1677 DP2214 23-Dec-2010 LAUNCH OF MUTUAL FUND PHASE 2
1678 DP2215 23-Dec-2010 BSE NOTICE
FACILITATING TRANSACTIONS IN MUTUAL FUNDS ON BSE STAR MF
THROUGH BROKER POOL ACCOUNTS PHASE 2
1679 DP2216 23-Dec-2010 NSE CIRCULAR
REVISION OF OPERATING GUIDELINES
FOR MUTUAL FUND SERVICE SYSTEM
1680 DP2217 23-Dec-2010 DETAILS OF CORPORATE ACTIONS
1681 DP2218 23-Dec-2010 NEW MARKET TYPE FOR
MUTUAL FUND REDEMPTION SETTLEMENTS NSE
1682 DP2219 23-Dec-2010 MOVEMENT OF MUTUAL FUND UNITS TO
CM INVESTOR SECURITIES ACCOUNT CISA
1683 DP628 23-Dec-2010 LAUNCH OF MUTUAL FUND PHASE 2
1684 DP2220 24-Dec-2010 INVESTOR AWARENESS PROGRAMME
1685 DP2221 28-Dec-2010 SUBMISSION OF PERMANENT ACCOUNT NUMBER PAN IN RESPECT
OF PAN NON-COMPLIANT ACCOUNTS
1686 DP2222 28-Dec-2010 NAMES OF THE DPS EMPANELLED BY ACE
FOR OPENING OF ACCOUNTS FOR COMMODITIES N HOLDING
WAREHOUSE RECEIPTS IN ELECTRONIC FORM
1687 DP2223 28-Dec-2010 NAMES OF THE DPS EMPANELLED BY RSX
FOR OPENING OF ACCOUNTS FOR COMMODITIES N HOLDING
WAREHOUSE RECEIPTS IN ELECTRONIC FORM
1688 DP2224 28-Dec-2010 NAMES OF THE DPS EMPANELLED BY NCDEX
FOR OPENING OF ACCOUNTS FOR COMMODITIES N HOLDING
WAREHOUSE RECEIPTS IN ELECTRONIC FORM
1689 DP2225 28-Dec-2010 NAMES OF THE DPS EMPANELLED BY NSEL FOR OPENING OF
ACCOUNTS FOR COMMODITIES AND HOLDING WAREHOUSE
RECEIPTS IN ELECTRONIC FORM
1690 DP2226 28-Dec-2010 NAMES OF THE DPS EMPANELLED BY MCX
FOR OPENING OF ACCOUNTS FOR COMMODITIES N HOLDING
WAREHOUSE RECEIPTS IN ELECTRONIC FORM
1691 DP2227 28-Dec-2010 LIST OF STATUS AND SUB STATUS FOR DEMATT ACCOUNTS
1692 DP2228 29-Dec-2010 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT CISA
1693 DP2229 29-Dec-2010 DETAILS OF CORPORATE ACTIONS
1694 DP2230 29-Dec-2010 INVESTOR AWARENESS PROGRAMMES
1695 DP2231 30-Dec-2010 SEBI CIRCULAR ACTIVITY SCHEDULE FOR AUCTION SESSION
1696 DP2232 04-Jan-2011 DETAILS OF CORPORATE ACTIONS
1697 DP2233 04-Jan-2011 INSURANCE POLICY FOR WAREHOUSE RECEIPTS
HELD IN DEMATERIALIZED FORM
1698 DP2234 06-Jan-2011 VERIFICATION OF BANK ACCOUNT NUMBERS
IN BO DETAILS IN THE CDSL SYSTEM
1699 DP2235 06-Jan-2011 CHANGE OF NAME EFFECTED BY DPS
1700 DP2236 06-Jan-2011 SEBI CIRCULAR ANTI MONEY LAUNDERING COMBATING
FINANCING
OF TERRORISM STANDARDS MASTER CIRCULAR
1701 DP2237 06-Jan-2011 RELEASE OF NEW CDAS VERSION
1702 DP2238 06-Jan-2011 INVESTOR AWARENESS PROGRAMME
1703 DP2239 06-Jan-2011 INVESTOR AWARENESS PROGRAMMES
Page 32
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1704 DP2240 06-Jan-2011 COMMON FILE FORMAT FOR TRANSACTION UPLOAD
DESTATEMENTIZATION
1705 DP2241 06-Jan-2011 INTRODUCTION OF THE FACILITY FOR
RESTATEMENTIZATION OR REDEMPTION REPURCHASE
1706 DP2242 06-Jan-2011 TRANSACTION DESCRIPTION FOR
RESTATEMENTIZATION REDEMPTION REPURCHASE
1707 DP630 06-Jan-2011 RELEASE OF NEW CDAS VERSION
1708 DP2243 07-Jan-2011 DETAILS OF CORPORATE ACTIONS
1709 DP2244 07-Jan-2011 DETAILS OF CORPORATE ACTIONS
1710 DP2245 07-Jan-2011 FACILITY OF ALL OPTION IN MUTUAL FUND REDEMPTION
TRANSACTIONS THROUGH STOCK EXCHANGE PLATFORM
1711 DP2246 08-Jan-2011 DETAILS OF IPO FPO
1712 DP2247 10-Jan-2011 CLARIFICATIONS ON NET WORTH CERTIFICATE FORMAT
1713 DP2248 10-Jan-2011 NAMES OF THE DPS EMPANELLED BY NSEL
FOR OPENING OF ACCOUNTS FOR COMMODITIES AND HOLDING
WAREHOUSE RECEIPTS IN ELECTRONIC FORM
1714 DP2249 10-Jan-2011 INVESTOR AWARENESS PROGRAMME
1715 DP2250 10-Jan-2011 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1716 DP2251 11-Jan-2011 INVESTOR AWARENESS PROGRAMME
1717 DP2252 12-Jan-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 18 MUTUAL FUND UNITS
1718 DP2253 13-Jan-2011 INVESTOR AWARENESS PROGRAMME
1719 DP2254 13-Jan-2011 SEBI DIRECTIVE OF 05 JAN 2011
1720 DP2255 14-Jan-2011 INVESTOR AWARENESS PROGRAMME
1721 DP2256 17-Jan-2011 NAMES OF THE DPS EMPANELLED BY ACE
1722 DP2257 17-Jan-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1723 DP2260 17-Jan-2011 DETAILS OF CORPORATE ACTIONS
1724 DP2258 18-Jan-2011 FORMAT FOR APPLICATION TO SEBI FOR
OPENING OF WHOLLY OWNED SUBSIDIARIES OR
ENTERING INTO JOINT VENTURES IN OTHER COUNTRIES
1725 DP2259 18-Jan-2011 DETAILS OF IPO
1726 DP2261 18-Jan-2011 DETAILS OF CORPORATE ACTIONS
1727 DP2262 19-Jan-2011 UPDATION OF BANK DETAILS IN CDAS
1728 DP2263 19-Jan-2011 CDSL S DP TRAINING PROGRAMME FOR MARCH 2011
1729 DP2264 19-Jan-2011 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1730 DP2265 19-Jan-2011 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT CISA
1731 DP2266 20-Jan-2011 INVESTOR AWARENESS PROGRAMMES
1732 DP2267 20-Jan-2011 DP57 SINGLE DOWNLOAD REPORT FOR MULTIPLE TRANSACTIONS
1733 DP2268 21-Jan-2011 INVESTOR AWARENESS PROGRAMMES
1734 DP2269 21-Jan-2011 UPLOAD FACILITY IN DPS EASIEST LOGIN
1735 DP2270 21-Jan-2011 ACCESS TO DEMAT ACCOUNT THROUGH MOBILE PHONE
1736 DP2271 22-Jan-2011 DETAILS OF IPO
1737 DP2272 27-Jan-2011 DETAILS OF CORPORATE ACTIONS
1738 DP2273 27-Jan-2011 DETAILS OF CORPORATE ACTIONS
1739 DP2274 31-Jan-2011 INVESTOR AWARENESS PROGRAMMES
1740 DP2275 02-Feb-2011 INVESTOR AWARENESS PROGRAMME
1741 DP2276 02-Feb-2011 DETAILS OF IPO AND FPO
1742 DP2277 02-Feb-2011 DETAILS OF CORPORATE ACTIONS
1743 DP2278 02-Feb-2011 DETAILS OF CORPORATE ACTIONS
1744 DP2279 02-Feb-2011 DETAILS OF NFO
1745 DP2280 03-Feb-2011 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
1746 DP2281 03-Feb-2011 DETAILS OF IPO FPO AND NFO-BIRLA SUN LIFE ASSET MGNT CO
LTD BIRLA SUN LIFE FIXED TERM PLAN SR CM GROWTH OPTION
1747 DP2282 03-Feb-2011 DETAILS OF IPO FPO AND NFO BIRLA SUN LIFE ASSET MGNT CO
LTD BIRLA SUN LIFE CAPITAL PROTECTION ORIENTED FUND SR 3
GROWTH OPTION
1748 DP2283 03-Feb-2011 DETAILS OF IPO FPO AND NFO BIRLA SUN LIFE ASSET MGNT CO
LTD BIRLA SUN LIFE CAPITAL PROTECTION ORIENTED FUND SR 4
GROWTH OPTION
1749 DP2284 03-Feb-2011 DETAILS OF IPO FPO AND NFO SUNDARAM ASSET MANAGEMENT
CO LTD SUNDARAM FTP AM GROWTH OPTION
1750 DP2285 03-Feb-2011 INVESTOR AWARENESS PROGRAMME
1751 DP2286 03-Feb-2011 CHANGE IN PAY-IN TIMING FOR AUCTION ROLLING SETTLEMENT AT
BSE
1752 DP2287 04-Feb-2011 DETAILS OF NFO DEUTSCHE ASSET MANAGEMENT INDIA PVT LTD-
DWS FIXED TERM FUND SR 79 GROWTH OPTION
1753 DP2288 04-Feb-2011 DETAILS OF NFO ICICI PRUDENTIAL ASSET MANAGEMENT CO LTD-
ICICI PRU FIXED MAT PLN SR54 24 MONTHS PLAN A CUMULATIVE
1754 DP2289 04-Feb-2011 DETAILS OF NFO KOTAK MAHINDRA ASSET MGNT CO LTD-KOTAK
MAHINDRA MUTUAL FUND FMP SR 33 GROWTH OPTION
Page 33
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1755 DP2290 04-Feb-2011 DETAILS OF NFO
1756 DP2291 04-Feb-2011 DETAILS OF NFO- RELIANCE CAPITAL ASSET MANAGEMENT LTD-
RELIANCE FIXED HORIZON FUND XVII 7 GROWTH OPTION
1757 DP2292 05-Feb-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1758 DP2293 05-Feb-2011 WITHDRAWAL OF DEPOSITORIY PARTICIPANT OF CDSL
1759 DP2294 05-Feb-2011 WITHDRAWAL OF SECURITIES FROM CDSL
1760 DP636 05-Feb-2011 WITHDRAWAL OF SECURITIES FROM CDSL
1761 DP2295 07-Feb-2011 DETAILS OF NFO-SBI FUNDS MGNT PVT LTD-SBI MUTUAL FUND-SBI
DEBT FUND SERIES-90 DAYS-39-GROWTH OPTION
1762 DP2296 07-Feb-2011 DETAILS OF CORPORATE ACTIONS-OIL AND NATURAL GAS
CORPORATION LIMITED-NEW EQUITY SHARES OF RS-5- AFTER SUB-
DIVISION
1763 DP2297 08-Feb-2011 INVESTOR AWARENESS PROGRAMME
1764 DP2298 08-Feb-2011 CDSLS DP OPERATING INSTRUCTIONS AS OF DECEMBER 2010
CHAPTERS AND ANNEXURES
1765 DP2299 09-Feb-2011 DETAILS OF CORPORATE ACTIONS
1766 DP2300 09-Feb-2011 DETAILS OF CORPORATE ACTIONS-GLODYNE TECHNOSERVE
LIMITED-NEW EQUITY SHARES OF RS-6-AFTER SUB-DIVISION
1767 DP2301 09-Feb-2011 WORKSHOP ON INVESTOR EDUCATION
1768 DP2302 10-Feb-2011 CHANGE OF NAME BY EFFECTED BY DPS
1769 DP2303 10-Feb-2011 NAMES OF THE DPS EMPANELLED BY ACE
1770 DP2304 10-Feb-2011 SETTLEMENT TIMINGS OF BSE AND NSE ON FEBRUARY 18 2011
1771 DP2305 10-Feb-2011 INVESTOR AWARENESS PROGRAMMES
1772 DP2306 11-Feb-2011 CONTACT DETAILS OF CDSL OFFICIALS
1773 DP2307 11-Feb-2011 CHANGE OF NAME EFFECTED BY DPS
1774 DP2308 11-Feb-2011 WITHDRAWAL OF SECURITIES FROM CDSL
1775 DP2309 14-Feb-2011 DETAILS OF CORPORATE ACTIONS
1776 DP2310 15-Feb-2011 EXTENSION OF DEADLINE OF FOR PAY-IN
1777 DP2311 16-Feb-2011 FILE STRUCTURE- ISIN MASTER DETAILS-CD03 REPORT
1778 DP2312 16-Feb-2011 SETTLEMENT TIMINGS OF BSE SLB AND NSE SLB SCHEDULED ON
THURSDAY
FEBRUARY 17 2011
1779 DP2313 16-Feb-2011 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT - CISA
1780 DP2314 18-Feb-2011 INVESTOR AWARENESS PROGRAMME
1781 DP2315 18-Feb-2011 BSE NOTICE - DISRUPTION IN VSAT SERVICES - 5TH MARCH 2011 -
19TH MARCH 2011
1782 DP2316 18-Feb-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1783 DP2317 18-Feb-2011 EASIEST - REGISTRATION AND RENEWAL FEES FOR ACCOUNT OF
CHOICE
1784 DP2318 18-Feb-2011 MOVEMENT OF MUTUAL FUND UNITS TO CISA
1785 DP2319 21-Feb-2011 INVESTOR AWARENESS PROGRAMME
1786 DP2320 21-Feb-2011 DIS-EMPANELMENT OF DP BY MCX
1787 DP2321 22-Feb-2011 INVESTOR AWARENESS PROGRAMME - MULUND
1788 DP2322 22-Feb-2011 EASIEST - REGISTRATION AND RENEWAL FEES OF E-TOKEN FOR DP
LOGIN
1789 DP2323 22-Feb-2011 DETAILS OF CORPORATE ACTIONS-INFA FINLEASE LTD-SUBDIVSION
1790 DP2324 23-Feb-2011 DETAILS OF CORPORATE ACTIONS-GCV SECURITIES LTD-
SUBDIVISION
1791 DP2325 23-Feb-2011 CHANGE OF NAME EFFECTED BY DPS
1792 DP2326 24-Feb-2011 ADDITIONAL DP 57- SINGLE DOWNLOAD AND DPM4- DAILY
INCREMENTAL HOLDING REPORT
1793 DP2327 25-Feb-2011 AVAILABILITY OF CDSL SYSTEM
1794 DP2328 25-Feb-2011 MOVEMENT OF SECURITIES EXCEPT MUTUAL FUND UNITS TO CISA
1795 DP2329 25-Feb-2011 MOVEMENT OF MUTUAL FUND UNITS TO CISA
1796 DP2330 28-Feb-2011 ALLOCATION OF NEW COMMUNIQUE IDENTIFICATION CODES
1797 DP2331 28-Feb-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1798 DP2332 28-Feb-2011 INVESTOR AWARENESS PROGRAMME- AP
1799 DP2333 28-Feb-2011 INVESTOR AWARENESS PROGRAMME- TARDEO- MUMBAI
1800 DP2334 01-Mar-2011 INVESTOR AWARENESS PROGRAMME- WB
1801 DP2335 01-Mar-2011 INVESTOR AWARENESS PROGRAMME- KOCHI-CALICUT
1802 DP2336 01-Mar-2011 CHANGE OF RTA EFFECTED BY ISSUERS
1803 DP2337 01-Mar-2011 WITHDRAWAL OF SECURITIES FROM CDSL
1804 DP2338 01-Mar-2011 RELEASE OF NEW CDAS VERSION
1805 DP2339 01-Mar-2011 INVESTOR AWARENESS PROGRAMMES - PUNJAB
1806 DP2340 03-Mar-2011 DETAILS OF GOVERNMENT SECURITIES -GSEC- ADMITTED WITH
CDSL
1807 DP2341 03-Mar-2011 FACILITY OF SETTLEMENT OF MF UNITS UNDER LOCK-IN

Page 34
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1808 DP2342 04-Mar-2011 MANDATORY USE OF SINGLE DOWNLOAD
REPORT- DP57
1809 DP2343 04-Mar-2011 INVESTOR AWARENESS PROGRAMMES- MUMBAI
1810 DP2344 05-Mar-2011 INSURANCE CERTIFICATES
1811 DP2345 07-Mar-2011 DETAILS OF CORPORATE ACTIONS-GUJARAT METALIC COAL N
COKE LIMITED- CONSOLIDATION
1812 DP2346 07-Mar-2011 DETAILS OF CORPORATE ACTIONS-HINDUSTAN ZINC LIMITED-SUB-
DIVISION
1813 DP2347 08-Mar-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1814 DP2348 10-Mar-2011 INVESTOR AWARENESS PROGRAMME
1815 DP2349 10-Mar-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1816 DP2350 10-Mar-2011 OPENING OF WHOLLY OWNED SUBSIDIARIES OR ENTERING INTO
JOINT VENTURES IN OTHER COUNTRIES BY THE DPS
1817 DP2351 11-Mar-2011 INVESTOR AWARENESS PROGRAMMES- RAJASTHAN
1818 DP2352 15-Mar-2011 INVESTOR AWARENESS
PROGRAMMES
1819 DP2353 16-Mar-2011 DETAILS OF SECURITIES
ADMITTED WITH CDSL
1820 DP2354 17-Mar-2011 INVESTOR AWARENESS PROGRAMME
1821 DP2355 17-Mar-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1822 DP2356 18-Mar-2011 DP SERVICE CENTRES
1823 DP2357 18-Mar-2011 CONCURRENT AUDIT OF RISK PRONE AREAS OF DP
1824 DP2358 18-Mar-2011 DETAILS OF SECURITIES OF ADMITTED WITH CDSL-17.03.2011
1825 DP2359 19-Mar-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1826 DP2360 21-Mar-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL -19.03.2011
1827 DP2361 22-Mar-2011 LIST OF STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS

1828 DP2362 22-Mar-2011 NAMES OF THE DPS EMPANELLED BY NSEL


1829 DP2363 22-Mar-2011 INVESTOR AWARENESS PROGRAMME- AP
1830 DP2364 22-Mar-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 22.03.2011
1831 DP2365 22-Mar-2011 REVISED FORMAT FOR
REPORT ON INTERNAL AUDIT AND CONCURRENT AUDIT OF RISK
PRONE AREAS
1832 DP2366 23-Mar-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 22.03.2011
1833 DP2367 23-Mar-2011 INVESTOR AWARENESS PROGRAMME - NAVI MUMBAI
1834 DP2368 24-Mar-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 23.03.2011
1835 DP2369 24-Mar-2011 CHANGE OF NAME EFFECTED BY DPS
1836 DP2370 24-Mar-2011 UNAUTHENTICATED NEWS CIRCULATED BY SEBI REGISTERED
MARKET
INTERMEDIARIES THROUGH VARIOUS MODES OF COMMUNICATION
1837 DP2371 25-Mar-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 24.03.2011
1838 DP2372 28-Mar-2011 HARDWARE- SOFTWARE CONFIGURATION FOR SINGLE USER AND
MULTI- USER SET UP
1839 DP2373 28-Mar-2011 LIST OF STATUS SUB-STATUS AND PRODUCT CODES FOR
DEMMAT ACCOUNTS
1840 DP2374 28-Mar-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 25.03.2011
1841 DP2375 29-Mar-2011 NAMES OS THE DPS EMPANELLED BY NSEL
1842 DP2376 29-Mar-2011 INVESTOR AWARENESS PROGRAMME
1843 DP2377 29-Mar-2011 DETAILS OF SECURITIES ADMITTED IN CDSL-
28.03.2011
1844 DP2378 29-Mar-2011 CHANGE IN COMMON UPLOAD FILE
1845 DP2379 29-Mar-2011 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL- PARSOLI
CORPOARTION LTD
1846 DP2380 30-Mar-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL-29.03.2011
1847 DP2381 30-Mar-2011 SETTLEMENT TIMINGS OF BSE SLB AND NSE- SLB -SCHEDULED ON
05.4.2011
1848 DP2382 30-Mar-2011 SETTLEMENT TIMINGS OF BSE AND NSE ON APRIL 06 2011 AND
APRIL 07 2011
1849 DP2383 30-Mar-2011 SETTLEMENT TIMINGS OF BSE AND NSE MUTUAL FUND
ON TUESDAY- APRIL 05 2011
1850 DP2384 31-Mar-2011 AMENDMENTS TO CDSL DPS OPERATING INSTRUCTION- CHAPTER
2- ACCOUNT OPENING
1851 DP2385 31-Mar-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS- CHAPTER
3- ACCOUNT ADMINISTRATION AND MAINTAINENCE

1852 DP2386 31-Mar-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS- CHAPTER


6- SETTLEMENTS
CHAPTER 17- MISCELLANEA
1853 DP2387 31-Mar-2011 INVESTOR AWARENESS PROGRAMEE- PUNE
1854 DP2388 31-Mar-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL-30.03.2011
1855 DP2389 01-Apr-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1856 DP2390 01-Apr-2011 DETAILS OF SECURITIES OF ADMITTED WITH CDSL - 31.03.2011
Page 35
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1857 DP2391 02-Apr-2011 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1858 DP2392 02-Apr-2011 WITHDRAWAL OF SECURITIES FROM CDSL
1859 DP2393 02-Apr-2011 MICR - IFS CODE IN CDSL SYSTEM
1860 DP2394 04-Apr-2011 INVESTOR AWARENESS PROGRAMME- MAHARASHTRA
1861 DP2395 05-Apr-2011 INVESTOR AWARENESS PROGRAMME- MAHARASHTRA
1862 DP2396 06-Apr-2011 INVESTOR AWARENESS PROGRAMME -KERALA
1863 DP2397 07-Apr-2011 INVESTOR AWARENESS PROGRAMME- MUMBAI
1864 DP2398 07-Apr-2011 TIME DURATION FOR SETUP AND UPLOADS THROUGH EASIEST
1865 DP2399 07-Apr-2011 WAIVER OF CHARGES IN RESPECT OF OPEN-ENDED MUTUTAL
FUND SCHEMES
1866 DP2400 08-Apr-2011 MOVEMENT OF SECURITES TO CM INVESTOR SECURITES ACCOUNT
- CISA
1867 DP2401 08-Apr-2011 INSURANCE POLICY FOR SECURITIES
1868 DP2402 11-Apr-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 07.04.2011
1869 DP2403 11-Apr-2011 INVESTOR AWARENESS PROGRAMMES
1870 DP2404 13-Apr-2011 INVESTOR AWARENESS PROGRAMME- MUMBAI
1871 DP2405 15-Apr-2011 INSURANCE POLICY FOR SECURITIES
1872 DP2406 15-Apr-2011 NEW MARKET TYPES FOR DELIVERY BASED STOCK DERIVATIVES
SETTLEMENT- BSE
1873 DP2407 18-Apr-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1874 DP2408 19-Apr-2011 INVESTOR AWARENESS PROGRAMME- MAHARASTHRA
1875 DP2409 19-Apr-2011 OPPORTUNITY FOR DPS TO PARTNER IN CSR ACTIVITY
1876 DP2410 19-Apr-2011 RELEASE OF NEW CDAS VERSION
1877 DP2411 19-Apr-2011 SUBMISSION OF TRAFIC STRUCTURE THROUGH DP LOGIN
1878 DP2412 19-Apr-2011 LIMITATION PERIOD FOR FILING AN ARBITRATION REFERENCE
1879 DP2413 19-Apr-2011 AVAILABILITY OF VSAT CONNECTIVITY
1880 DP2414 19-Apr-2011 DISCONTINUATION OF CISA ACCOUNTS
1881 DP2415 19-Apr-2011 ADDITION OF ALTERNATE COMPLIANC OFFICER AND AMFI- NISM
REGISTRATION IN CDSL SYSTEM

1882 DP2416 21-Apr-2011 INVESTOR AWARENESS PROGRAMMES


1883 DP2417 21-Apr-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL- 19.4.2011 AND
20.04.2011
1884 DP2418 21-Apr-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1885 DP2419 21-Apr-2011 AMENDMENT TO CDSLS DP OPERATING INSTRUCTIONS
1886 DP2420 21-Apr-2011 AMENDMENT TO CDSLS DP OPERATING INSTRUCTIONS
1887 DP2421 21-Apr-2011 AMENDMENT TO CDSLS DP OPERATING INSTRUCTIONS
1888 DP2422 26-Apr-2011 CDSLS DP TRAINING PROGRAMME
FOR MAY 2011
1889 DP2423 26-Apr-2011 NAMES OF THE DPS EMPANELLED BY NCDEX
1890 DP2424 27-Apr-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1891 DP2425 28-Apr-2011 INVESTOR AWARENESS PROGRAMME- MUMBAI
1892 DP2426 29-Apr-2011 INVESTOR AWARENESS PROGRAMME- RATNAGIRI
1893 DP2427 30-Apr-2011 NISM SERIES- VI DEPOSITORY OPERATIONS
CERTIFICATION EXAMINATION
1894 DP2428 30-Apr-2011 CHANGE OF NAME EFFECTTED BY DPS
1895 DP2429 30-Apr-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 29.04.2011
1896 DP2430 30-Apr-2011 CDSLS DP TRAINING PROGRAMME
1897 DP2431 04-May-2011 INVESTOR AWARENESS PROGRAMME
1898 DP2432 04-May-2011 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
1899 DP2433 04-May-2011 WITHDRAWAL OF DEPOSITORY PARTICIAPANTS OF CDSL
1900 DP2434 04-May-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL-03.05.2011
1901 DP2435 04-May-2011 AVAILABILITY OF CDSL SYSTEM
1902 DP2436 06-May-2011 AVAILABILITY OF THE CDSL SYSTEM
1903 DP2437 09-May-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1904 DP2438 10-May-2011 FINANCIAL ACTION TASK FORCE FATF PUBLIC STATEMENT DATED
25 FEBRUARY 2011 AGAINST FATF IDENTIFIES JURISDICTIONS WITH
STRATEGIC AML CFT DEFICIENCIES
1905 DP2439 10-May-2011 RELEASE OF REVAMPED PLEDGE MODULE WITH ADDITIONAL
FEATURES
1906 DP2440 10-May-2011 SINGLE DOWNLOAD REPORT DP57
1907 DP2441 11-May-2011 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
1908 DP2442 11-May-2011 WITHDRAWAL OF SECURITIES FROM CDSL
1909 DP2443 11-May-2011 NAMES OF THE DPS EMPANELLED BY NATIONAL SPOT EXCHANGE
LIMITED
1910 DP2444 11-May-2011 INVESTOR AWARENESS PROGRAMMES
1911 DP2445 12-May-2011 TRANSFER OF SECURITIES THAT ARE UNDER LOCK IN OR INACTIVE
ISIN

Page 36
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1912 DP2446 12-May-2011 AVAILABILITY OF THE CDSL SYSTEM
1913 DP2447 12-May-2011 MOVEMENT OF SECURITIES TO CM INVESTOR SECURITIES
ACCOUNT CISA
1914 DP2448 12-May-2011 SETTLEMENT TIMINGS OF BSE SLB AND NSE SLB SCHEDULED ON
WEDNESDAY 18 MAY 2011
1915 DP2449 12-May-2011 SETTLEMENT TIMINGS OF BSE AND NSE ON 19TH MAY 2011
1916 DP2450 12-May-2011 INCORPORATION OF BSE SLB SETTLEMENTS UNDER EXCHANGE ID
11
1917 DP2451 12-May-2011 LIST OF ERROR CODES WITH ERROR CODES DESCRIPTION
1918 DP2452 13-May-2011 LIST OF STATUS - SUB--STATUS AND PRODUCT CODES
FOR DEMAT ACCOUNTS
1919 DP2453 13-May-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS -
CHAPTER 16 AND ANNEXURE 2.1
1920 DP2454 13-May-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS CHAPTER
17 AND ANNEXURE 17.8
1921 DP2455 17-May-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS-
ANNEXURE 3.2- NOMINATION FORM
1922 DP2456 18-May-2011 INVESTOR AWARENESS PROGRAMMES
1923 DP2457 18-May-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1924 DP2458 18-May-2011 COMPLIANCE MANUAL FOR
DEPOSITORY PARTICIPANTS
1925 DP2459 20-May-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1926 DP2460 21-May-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL-20.05.2011
1927 DP2461 23-May-2011 NAMES OT THE DPS EMPANELLED BY NSEL
1928 DP2462 23-May-2011 CHANGE IN FILE NAMING CONVENTION AND HEADER RECORD
FORMAT FOR DPG1 REPORT
1929 DP2463 24-May-2011 INVESTOR AWARENESS PROGRAMME
1930 DP2464 24-May-2011 DETAILS OF SECURITIES OF ADMITTED WITH CDSL

1931 DP2465 25-May-2011 INVESTOR AWARENESS PROGRAMME


1932 DP2466 25-May-2011 ALLOCATION OF UNIQUE DOCKET NUMBER FOR CALLS REPORTED
TO HELP-DESK
1933 DP2467 25-May-2011 VERIFICATION OF BANK ACCOUNT NUMBERS IN BO DETAILS IN THE
CDSL SYSTEM
1934 DP2468 25-May-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 24.05.2011
1935 DP2469 25-May-2011 SUBMISSION OF NET WORTH
CERTIFICATE AND AUDITED FINANCIAL STATEMENTS
1936 DP2470 26-May-2011 CHANGE OF VENUE INVESTOR AWARENESS PROGRAMME
JALGAON
1937 DP2471 26-May-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1938 DP2472 26-May-2011 INVESTOR AWARENESS PROGRAMMES
1939 DP2473 27-May-2011 INVESTOR AWARENESS PROGRAMME
1940 DP2474 27-May-2011 EXTENSION OF DEADLINE FOR DP57 REPORT INCREASING
FREQUENCY OF GENERATION FOR DP57 AND DPM4 REPORT
1941 DP2475 30-May-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1942 DP2476 30-May-2011 GREEN INITIATIVE IN CORPORATE GOVERNANCE BY MCA
1943 DP2477 30-May-2011 WITHDRAWAL OF DEPOSITORY PARTICIPANT
OF CDSL
1944 DP2478 31-May-2011 INVESTOR AWARENESS PROGRAMME
1945 DP2479 31-May-2011 DETAILS OF SECURITIES
ADMITTED WITH CDSL - 26.05.2001 AND 30.05.2011
1946 DP2480 01-Jun-2011 INVESTOR AWARENESS PROGRAMME -BHOPAL
1947 DP2481 02-Jun-2011 AMENDEMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 2- ACCOUNT OPENING
1948 DP2482 02-Jun-2011 FILE STRUCTURE - ISIN MASTER REPORT -CD03 REEPORT
1949 DP2483 02-Jun-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1950 DP2484 02-Jun-2011 NAMES OF THE DPS EMPANELLED BY ACE
1951 DP2485 07-Jun-2011 INVESTOR AWARENESS PROGRAMMES
1952 DP2486 07-Jun-2011 FILE STRUCTURE - BANK MASTER REPORT -CD10 REPORT
1953 DP2487 07-Jun-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTION CHAPTER 6-
SETTLEMENT
1954 DP2488 07-Jun-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 03.06.2011
1955 DP2489 07-Jun-2011 RELEASE OF NEW CDAS VERSION
1956 DP2490 08-Jun-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 07.06.2011
1957 DP2491 08-Jun-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1958 DP2492 08-Jun-2011 INVESTOR AWARENESS PROGRAMMES
1959 DP2493 09-Jun-2011 COMMON FILE FORMAT FOR TRANSACTION UPLOAD
1960 DP2494 09-Jun-2011 EXEMPTION FROM SENDING QUARTERLY TRANSACTIONS
STATEMENTS
1961 DP2495 11-Jun-2011 INVESTOR AWARENESS PROGRAMME
1962 DP2496 13-Jun-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 10.06.2011
Page 37
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
1963 DP2497 13-Jun-2011 INVESTOR AWARENESS PROGRAMMES
1964 DP2498 15-Jun-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1965 DP2499 15-Jun-2011 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
1966 DP2500 15-Jun-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 13.06.2011
1967 DP2501 15-Jun-2011 INVESTOR AWARENESS PROGRAMMES
1968 DP2502 16-Jun-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 15.06.2011
1969 DP2503 17-Jun-2011 NAMES OF THE DPS EMPANELLED BY NSEL
1970 DP2504 17-Jun-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 16.06.2011
1971 DP2505 17-Jun-2011 INVESTOR AWARENESS PROGRAMMES
1972 DP2506 18-Jun-2011 CHANGE OF NAME EFFECTED BY DPS
1973 DP2507 20-Jun-2011 INVESTOR AWARENESS PROGRAMME
1974 DP2508 20-Jun-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS -
CHAPTER 2 AND CHAPTER 3
1975 DP2509 20-Jun-2011 AMENDMENTS TO CDSL BYE-LAWS
1976 DP2510 22-Jun-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1977 DP2511 22-Jun-2011 INVESTOR AWARENESS PROGRAMME
1978 DP2512 23-Jun-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1979 DP2513 23-Jun-2011 NAMES OF THE DPS EMPANELLED BY NSEL
FOR OPENING OF ACCOUNTS FOR COMMODITIES AND HOLDING
WAREHOUSE RECEIPTS IN ELECTRONIC FORM
1980 DP2514 23-Jun-2011 WITHDRAWAL OF SECURITIES FROM CDSL
1981 DP2515 23-Jun-2011 GRANT OF PRIOR APPROVAL TO DEPOSITORY PARTICIPANTS
1982 DP2516 24-Jun-2011 UPDATION OF LANDMARK DETAILS IN BOS ADDRESS
1983 DP2517 27-Jun-2011 OPENING OF COLLATERAL ACCOUNTS FOR NSCCL IN CDSL BY ILFS
SECURITIES SERVICES LIMITED
1984 DP2518 27-Jun-2011 INSURANCE CERTIFICATES
1985 DP2519 27-Jun-2011 SPONSORSHIP -INVESTOR AWARENESS PROGRAMME
1986 DP2520 27-Jun-2011 NEW ADDRESS OF CDSLS NEW DELHI OFFICE
1987 DP2521 27-Jun-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1988 DP2522 28-Jun-2011 INVESTOR AWARENESS PROGRAMES
1989 DP2523 28-Jun-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1990 DP2524 28-Jun-2011 NAMES OT THE DPS EMPANELLED BY MCX
1991 DP2525 28-Jun-2011 INCREASED FILE SIZE FOR UPLOADS THROUGH EASIEST
1992 DP2526 29-Jun-2011 AMENDMENTS TO CDSL BYE LAWS
1993 DP2527 29-Jun-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
1994 DP2528 30-Jun-2011 SINGLE DOWNLOAD REPORT-DP57
1995 DP2529 30-Jun-2011 SETTLEMENT TIMINGS OF BSE-SLB AND NSE-SLB SCHEDULED ON
MONDAY- JULY 04 2011
1996 DP2530 30-Jun-2011 SETTLEMENT TIMINGS OF BSE-SLB AND NSE-SLB SCHEDULED ON
MONDAY- JULY 05 2011
1997 DP2531 30-Jun-2011 VALIDATION FOR PIN CODE ENTRY IINN CDAS SYSTEM
1998 DP2532 30-Jun-2011 CHANGES IN CLIENT DEMOGRAPHIC DETAILS THROUGH DPS
WEBSITE
1999 DP2533 30-Jun-2011 AVAILABILITY OF CDSL SYSTEM
2000 DP2534 01-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 29.06.2011
2001 DP2535 01-Jul-2011 SUBMISSION OF REPORTS- DOCUMENTS TO CDSL
2002 DP2536 01-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
-30.062011
2003 DP2537 01-Jul-2011 CHANGE OF VENUE - INVESTOR AWARENESS PROGRAMME -PUNE
2004 DP2538 02-Jul-2011 DETAILS OS SECURITIES ADMITTED WITH CDSL - 01.07.2011
2005 DP2539 05-Jul-2011 NAMES OS THE DPS EMPANELLED BY NSEL
2006 DP2540 05-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL - 04.07.2011
2007 DP2541 06-Jul-2011 INVESTOR AWARENESS PROGRAMMES
2008 DP2542 08-Jul-2011 INVESTOR AWARENESS PROGRAMMES
2009 DP2543 08-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2010 DP2544 11-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2011 DP2545 11-Jul-2011 INVESTOR AWARENESS PROGRAMME
2012 DP2546 11-Jul-2011 CHANGE OF VENUE INVESTOR AWARENESS PROGRAMME -
AHMEDNAGAR
2013 DP2547 12-Jul-2011 NAMES OF THE DPS EMPANELLED BY NCDEX FOR OPENING OF
ACCOUNTS FOR COMMODITIES HOLDING WAREHOUSE RECEIPTS
IN ELECTRONIC FORM
2014 DP2548 12-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2015 DP2549 13-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2016 DP2550 15-Jul-2011 INVESTOR AWARENESS PROGRAMMES
2017 DP2551 15-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2018 DP2552 15-Jul-2011 CHANGE OF NAME EFFECTED BY DPS

Page 38
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2019 DP2553 15-Jul-2011 NAMES OF THE DPS EMPANELLED BY NSEL FOR OPENING OF
ACCOUNTS FOR COMMODITIES HOLDING WAREHOUSE RECEIPTS
IN ELECTRONIC FORM
2020 DP2554 15-Jul-2011 MICR IFS CODE IN CDSL SYSTEM
2021 DP2555 15-Jul-2011 IDENTIFICATION OF NSE PAY-OUT TRANSACTIONS IN DP57 REPORT
2022 DP2556 15-Jul-2011 SECURITIES AND EXCHANGE BOARD OF INDIA
DEPOSITORIES AND PARTICIPANTS AMENDMENT
REGULATIONS 2011
2023 DP2557 15-Jul-2011 FINANCIAL ACTION TASK FORCE PUBLIC STATEMENT DATED JUNE
24 2011 AGAINST FATF IDENTIFIED JURISDICTIONS THAT HAVE
STRATEGIC AML CFT DEFICIENCIES
2024 DP2558 15-Jul-2011 CLARIFICATIONS REGARDING
NISM SERIES VI DEPOSITORY OPERATIONS
CERTIFICATION EXAMINATION
2025 DP2559 18-Jul-2011 CONTACT DETAILS OF CDSL OFFICIALS
2026 DP2560 19-Jul-2011 INVESTOR AWARENESS PROGRAMMES
2027 DP2561 19-Jul-2011 UPLOAD FACILITY FOR EASIEST TRUSTED USERS AND SMART
REGISTRATION THROUGH EASI EASIEST
2028 DP2562 19-Jul-2011 SINGLE DOWNLOAD REPORT FOR ACCOUNT OPENING ACTIVITIES
DPB9 REPORT
2029 DP2563 19-Jul-2011 INVESTOR AWARENESS PROGRAMME
2030 DP2564 19-Jul-2011 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2031 DP2565 20-Jul-2011 RELEASE OF NEW CDAS VERSION
2032 DP2566 20-Jul-2011 COMMON FILE FORMAT FOR TRANSACTION UPLOAD
2033 DP2567 20-Jul-2011 INVESTOR AWARENESS PROGRAMME
2034 DP2568 21-Jul-2011 CDSLS DP TRAINING PROGRAMME
2035 DP2569 22-Jul-2011 INVESTOR AWARENESS PROGRAMMES
2036 DP2570 22-Jul-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 6 SETTLEMENT
2037 DP2571 22-Jul-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 14 ARBITRATION
2038 DP2572 25-Jul-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2039 DP2573 25-Jul-2011 NAMES OF THE DPS EMPANELLED BY NCDEX
FOR OPENING OF ACCOUNTS FOR COMMODITIES HOLDING
WAREHOUSE RECEIPTS IN ELECTRONIC FORM
2040 DP2574 25-Jul-2011 LIST OF STATUS SUBSTATUS AND PRODUCT CODES
FOR DEMAT ACCOUNTS
2041 DP2575 25-Jul-2011 CDSLS DP OPERATING INSTRUCTIONS AS OF JUNE 2011
2042 DP2576 25-Jul-2011 INVESTOR AWARENESS PROGRAMMES
2043 DP2577 25-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2044 DP2578 26-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2045 DP2579 27-Jul-2011 AMENDMENTS TO CDSL BYE LAWS
2046 DP2580 27-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2047 DP2581 28-Jul-2011 INVESTOR AWARENESS PROGRAMME
2048 DP2582 28-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2049 DP2583 29-Jul-2011 INVESTOR AWARENESS PROGRAMME
2050 DP2584 29-Jul-2011 AMENDMENTS TO CDSL BYE LAWS
2051 DP2585 29-Jul-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2052 DP2586 29-Jul-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2053 DP2587 01-Aug-2011 INVESTOR AWARENESS PROGRAMME
2054 DP2588 01-Aug-2011 INVESTOR AWARENESS PROGRAMMES
2055 DP2589 02-Aug-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2056 DP2590 03-Aug-2011 INVESTOR AWARENESS PROGRAMME
2057 DP2591 05-Aug-2011 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
2058 DP2592 05-Aug-2011 INVESTOR AWARENESS PROGRAMMES
2059 DP2593 05-Aug-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2060 DP2594 06-Aug-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2061 DP2595 08-Aug-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2062 DP2596 08-Aug-2011 REVISED PROCEDURE FOR SEEKING PRIOR APPROVAL
FOR CHANGE IN CONTROL THROUGH SINGLE WINDOW
2063 DP2597 09-Aug-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2064 DP2598 11-Aug-2011 INVESTOR AWARENESS PROGRAMME
2065 DP2599 11-Aug-2011 INVESTOR AWARENESS PROGRAMME
2066 DP2600 12-Aug-2011 AVAILABILITY OF CDSL SYSTEM
2067 DP2601 12-Aug-2011 INVESTOR AWARENESS PROGRAMME
2068 DP2602 17-Aug-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2069 DP2603 17-Aug-2011 INVESTOR AWARENESS PROGRAMMES
2070 DP2604 17-Aug-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2071 DP2605 18-Aug-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 39
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2072 DP2606 18-Aug-2011 SETTLEMENT TIMINGS OF BSESLB NSESLB SCHEDULED ON
MONDAY AUGUST 22 2011
2073 DP2607 18-Aug-2011 SETTLEMENT TIMINGS OF BSE NSE ON TUESDAY AUGUST 23 2011
2074 DP2608 19-Aug-2011 CDSLS DP TRAINING PROGRAMME SEPTEMBER 12 TO SEPTEMBER
16 2011 AT MUMBAI
2075 DP2609 19-Aug-2011 SEBI CIRCULAR INVESTMENT BY FOREIGN INVESTORS IN MUTUAL
FUND SCHEMES
2076 DP2610 22-Aug-2011 NEW FACILITY IN DPS EASIEST LOGIN
2077 DP2611 22-Aug-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2078 DP2612 23-Aug-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2079 DP2613 23-Aug-2011 INVESTOR AWARENESS PROGRAMMES
2080 DP2614 23-Aug-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2081 DP2615 23-Aug-2011 SEBI CIRCULAR SIMPLIFICATION AND RATIONALIZATION OF
ACCOUNT OPENING PROCESS
2082 DP2616 24-Aug-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2083 DP2617 25-Aug-2011 AVAILABILITY OF CDSL SYSTEM
2084 DP2618 26-Aug-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2085 DP2619 26-Aug-2011 INVESTOR AWARENESS PROGRAMME
2086 DP2620 29-Aug-2011 ENCRYPTION OF UPLOAD FILES
2087 DP2621 30-Aug-2011 NAMES OF THE DPS EMPANELLED BY MCX
2088 DP2622 30-Aug-2011 NAMES OF THE DPS EMPANELLED BY NCDEX
2089 DP2623 02-Sep-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2090 DP2624 02-Sep-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2091 DP2625 05-Sep-2011 LIST OF STATUS SUBSTATUS AND PRODUCT CODES
FOR DEMAT ACCOUNTS
2092 DP2626 07-Sep-2011 INVESTOR AWARENESS PROGRAMMES
2093 DP2627 07-Sep-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2094 DP2628 08-Sep-2011 REVISED FORMAT OF IAR AND CAR
2095 DP2629 08-Sep-2011 SAT ORDER DATED AUGUST 25 2011 VASWANI INDUSTRIES LIMITED
2096 DP2630 08-Sep-2011 CLARIFICATION ON COMPUTATION OF NET WORTH CERTIFICATE
2097 DP2631 09-Sep-2011 CDSLS DP TRAINING PROGRAMME
2098 DP2632 09-Sep-2011 INVESTOR AWARENESS PROGRAMMES
2099 DP2633 14-Sep-2011 INVESTOR AWARENESS PROGRAMMES
2100 DP2634 14-Sep-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2101 DP2635 15-Sep-2011 SEBI CIRCULAR REDRESSAL OF INVESTOR GRIEVANCES AGAINST
DPS IN SCORES
2102 DP2636 15-Sep-2011 DPS EMPANELLED BY NSEL
2103 DP2637 15-Sep-2011 DPS EMPANELLED BY ACE
2104 DP2638 15-Sep-2011 INVESTOR AWARENESS PROGRAMME
2105 DP2639 16-Sep-2011 INVESTOR AWARENESS PROGRAMMES
2106 DP2640 17-Sep-2011 DPS EMPANELLED BY NSEL
2107 DP2641 20-Sep-2011 EXTENSION OF DEADLINE FOR INTER-DEPOSITORY TRANSFERS
2108 DP2642 20-Sep-2011 INVESTOR AWARENESS PROGRAMME
2109 DP2643 20-Sep-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2110 DP2644 21-Sep-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2111 DP2645 22-Sep-2011 INVESTOR AWARENESS PROGRAMMES
2112 DP2646 22-Sep-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2113 DP2647 23-Sep-2011 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
2114 DP2648 23-Sep-2011 CHANGE OF NAME EFFECTED BY DPS
2115 DP2649 23-Sep-2011 AVAILABILITY OF CDSL SYSTEM
2116 DP2650 23-Sep-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2117 DP2651 27-Sep-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2118 DP2652 28-Sep-2011 ADDITIONAL FACILITY IN PLEDGE MODULE
2119 DP2653 28-Sep-2011 BACK DATED HOLDINGS IN DPC9 REPORT
2120 DP2654 28-Sep-2011 DESTAT RESTAT OF MUTUAL FUND UNITS
2121 DP2655 28-Sep-2011 IDENTIFICATION OF BSE PAY-OUT TRANSACTIONS IN DP57 REPORT
2122 DP2656 28-Sep-2011 INVESTOR AWARENESS PROGRAMME
2123 DP2657 28-Sep-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2124 DP2658 29-Sep-2011 RELEASE OF NEW CDAS VERSION
2125 DP2659 29-Sep-2011 WAIVER OF CHARGES IN RESPECT OF OPENENDED MUTUAL FUND
SCHEMES
2126 DP2660 29-Sep-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2127 DP2661 29-Sep-2011 SETTLEMENT TIMINGS OF BSESLB NSESLB SCHEDULED ON
MONDAY OCTOBER 03 2011
2128 DP2662 29-Sep-2011 SETTLEMENT TIMINGS OF BSE NSE ON TUESDAY OCTOBER 04 2011
2129 DP2663 29-Sep-2011 INVESTOR AWARENESS PROGRAMME

Page 40
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2130 DP2664 29-Sep-2011 AVAILABILITY OF CDSL SYSTEM
2131 DP2665 30-Sep-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2132 DP2666 30-Sep-2011 NAMES OF THE DPS EMPANELLED BY MCX
2133 DP2667 30-Sep-2011 SEBI ORDER DATED SEPTEMBER 21 2011 IN THE MATTER OF
MARKET MANIPULATION USING GDR ISSUES
2134 DP2668 30-Sep-2011 INVESTOR AWARENESS PROGRAMMES
2135 DP2669 03-Oct-2011 SEBI CIRCULAR DATED SEPTEMBER 30 2011 REGARDING
CLARIFICATION ON 100 PERCENT PROMOTER HOLDING IN DEMAT
FORM
2136 DP2670 04-Oct-2011 TRAINING PROGRAMME FOR INTERNAL CONCURRENT AUDITORS
COMPLIANCE OFFICERS DP OFFICIALS AT MUMBAI
2137 DP2671 05-Oct-2011 CONSTITUENTS SUBSIDIARY GENERAL LEDGER ACCOUNT
ELIGIBILITY CRITERIA AND OPERATIONAL GUIDELINES
2138 DP2672 05-Oct-2011 AUTO DO FACILITY FOR NSE
2139 DP2673 07-Oct-2011 INVESTOR AWARENESS PROGRAMMES
2140 DP2674 07-Oct-2011 AUTO DO FACILITY FOR NSE
2141 DP2675 07-Oct-2011 UNIFORM KNOW YOUR CLIENT KYC REQUIREMENTS FOR THE
SECURITIES MARKETS
2142 DP2676 07-Oct-2011 TRAINING PROGRAMME FOR INTERNAL CONCURRENT AUDITORS
COMPLIANCE OFFICERS DP OFFICIALS OUTSIDE MUMBAI
2143 DP2677 07-Oct-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2144 DP2678 10-Oct-2011 INVESTOR AWARENESS PROGRAMME
2145 DP2679 10-Oct-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2146 DP2680 11-Oct-2011 INVESTOR AWARENESS PROGRAMMES
2147 DP2681 12-Oct-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2148 DP2682 12-Oct-2011 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2149 DP2683 12-Oct-2011 INVESTOR AWARENESS PROGRAMME
2150 DP2684 14-Oct-2011 AVAILABILITY OF CDSL SYSTEM
2151 DP2685 14-Oct-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2152 DP2686 14-Oct-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2153 DP2687 15-Oct-2011 COMMON FILE FORMAT FOR TRANSACTION UPLOAD
2154 DP2688 17-Oct-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2155 DP2689 18-Oct-2011 INVESTOR AWARENESS PROGRAMMES
2156 DP2690 21-Oct-2011 CDSLS DP TRAINING PROGRAMME
2157 DP2691 21-Oct-2011 NAMES OF THE DPS EMPANELLED BY MCX
2158 DP2692 21-Oct-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2159 DP2693 25-Oct-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
DISCONTINUATION OF CISA ACCOUNTS
2160 DP2694 25-Oct-2011 LIST OF STATUS AND SUBSTATUS FOR DEMAT ACCOUNTS
2161 DP2695 25-Oct-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2162 DP2696 25-Oct-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2163 DP2697 25-Oct-2011 SETTLEMENT TIMINGS OF BSESLB NSESLB SCHEDULED ON FRIDAY
OCTOBER 28 2011
2164 DP2698 25-Oct-2011 SETTLEMENT TIMINGS OF BSE NSE ON MONDAY OCTOBER 31 2011
2165 DP2699 25-Oct-2011 PENALTY FOR NOT MOVING PAYOUT SECURITIES FROM CLEARING
MEMBER POOL ACCOUNT TO BO ACCOUNT
2166 DP2700 01-Nov-2011 INVESTOR AWARENESS PROGRAMMES
2167 DP2701 02-Nov-2011 INVESTOR AWARENESS PROGRAMME
2168 DP2702 02-Nov-2011 NAMES OF THE DPS EMPANELLED BY NCDEX
2169 DP2703 04-Nov-2011 INTER DEPOSITORY TRANSFERS ON SATURDAY NOVEMBER 5 2011
2170 DP2704 04-Nov-2011 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
2171 DP2705 08-Nov-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2172 DP2706 08-Nov-2011 INVESTOR AWARENESS PROGRAMMES
2173 DP2707 08-Nov-2011 INVESTOR AWARENESS PROGRAMMES
2174 DP2708 09-Nov-2011 ADDITIONAL KYC DETAILS
FOR DEMAT ACCOUNTS
2175 DP2709 09-Nov-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2176 DP2710 11-Nov-2011 INVESTOR AWARENESS PROGRAMME
2177 DP2711 11-Nov-2011 RELEASE OF NEW CDAS VERSION
2178 DP2712 11-Nov-2011 ADDITIONAL-DP57-SINGLE- DOWNLOAD-DPM4-DAILY-
INCREMENTAL-HOLDING-REPORT
2179 DP2713 12-Nov-2011 CONSOLIDATION OF EQUITY SHARES OF ISSUER SEZAL GLASS
LIMITED
2180 DP2714 14-Nov-2011 INVESTOR AWARENESS PROGRAMMES
2181 DP2715 14-Nov-2011 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2182 DP2716 14-Nov-2011 DETAILS OF CORPORATE ACTIONS-MAHARASHTRA POLYBUTENES
LIMITED-SUB DIVISION
2183 DP2717 14-Nov-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 41
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2184 DP2718 16-Nov-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2185 DP2719 17-Nov-2011 ADDITIONAL INFORMATION IN DP57 REPORT FOR
PLEDGE PROCESSING UNDER AUTO CORPORATE ACTION
2186 DP2720 17-Nov-2011 INVESTOR AWARENESS PROGRAMMES
2187 DP2721 18-Nov-2011 INVESTOR AWARENESS PROGRAMME
2188 DP2722 21-Nov-2011 WITHDRAWAL OF SECURITIES FROM CDSL
2189 DP2723 21-Nov-2011 INVESTOR AWARENESS PROGRAMMES
2190 DP2724 22-Nov-2011 INVESTOR AWARENESS PROGRAMME
2191 DP2725 23-Nov-2011 NAMES-OF-THE-DPS- EMPANELLED-BY-NSEL-
FOR-OPENING-OF- ACCOUNTS-FOR- COMMODITIES-HOLDING
WAREHOUSE-RECEIPTS- IN ELECTRONIC-FORM
2192 DP2726 23-Nov-2011 NAMES OF THE DPS EMPANELLED BY ACE
2193 DP2727 23-Nov-2011 INVESTOR AWARENESS PROGRAMME
2194 DP2728 23-Nov-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2195 DP2729 24-Nov-2011 DETAILS OF CORPORATE ACTIONS
2196 DP2730 24-Nov-2011 WITHDRAWAL OF SECURITIES FROM CDSL
2197 DP2731 25-Nov-2011 SMS-ALERT-FACILITY-SMART- FOR- DE-REGISTRATION-
THROUGH-BO-MODIFY UPLOAD
2198 DP2732 25-Nov-2011 VALIDATION FOR PIN CODE ENTRY IN CDAS SYSTEM
2199 DP2733 25-Nov-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2200 DP2734 28-Nov-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2201 DP2735 28-Nov-2011 CDSLS DP TRAINING PROGRAMME
2202 DP2736 28-Nov-2011 AMENDMENTS TO CDSL BYE LAWS
2203 DP2737 28-Nov-2011 DETAILS OF SUB-DIVISION SANTOWIN CORPORATION LIMITED
2204 DP2738 29-Nov-2011 INVESTOR AWARENESS PROGRAMME
2205 DP2739 29-Nov-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2206 DP2740 30-Nov-2011 INVESTOR AWARENESS PROGRAMME
2207 DP2741 01-Dec-2011 AMENDMENTS TO CDSL BYE LAWS
2208 DP2742 01-Dec-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2209 DP2743 01-Dec-2011 INVESTOR AWARENESS PROGRAMMES
2210 DP2744 01-Dec-2011 AVAILABILITY OF VSAT CONNECTIVITY
2211 DP2745 02-Dec-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 17 MISCELLANEA
2212 DP2746 02-Dec-2011 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
SEPTEMBER 30 2011
2213 DP2747 02-Dec-2011 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
2214 DP2748 08-Dec-2011 THE SECURITIES AND EXCHANGE BOARD OF INDIA
KYC REGISTRATION AGENCY REGULATIONS 2011
2215 DP2749 08-Dec-2011 INVESTOR AWARENESS PROGRAMME
2216 DP2750 08-Dec-2011 INVESTOR AWARENESS PROGRAMME
2217 DP2751 08-Dec-2011 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2218 DP2752 08-Dec-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2219 DP2753 08-Dec-2011 CHANGE OF NAME EFFECTED BY DPS
2220 DP2754 08-Dec-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2221 DP2755 09-Dec-2011 AMENDMENTS TO CDSL BYE LAWS
2222 DP2756 13-Dec-2011 DETAILS OF CORPORATE ACTIONS
2223 DP2757 13-Dec-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2224 DP2758 14-Dec-2011 INVESTOR AWARENESS PROGRAMME
2225 DP2759 14-Dec-2011 GREEN INITIATIVE IN CORPORATE GOVERNANCE BY MCA
2226 DP2760 14-Dec-2011 PIN CODE VALIDATION FOR ACCOUNT OPENING MODIFICATION
2227 DP2761 14-Dec-2011 CONTACT DETAILS OF CDSL OFFICIALS
2228 DP2762 15-Dec-2011 SINGLE DOWNLOAD REPORT DPB9
2229 DP2763 15-Dec-2011 RELEASE OF NEW CDAS VERSION
2230 DP2764 15-Dec-2011 INVESTOR AWARENESS PROGRAMMES
2231 DP2765 16-Dec-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2232 DP2766 16-Dec-2011 ENTRY OF DATE OF BIRTH DOB DATE OF INCORPORATION DOI
MANDATORY IN THE CDSL SYSTEM
2233 DP2767 16-Dec-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2234 DP2768 21-Dec-2011 CDSLS DP TRAINING PROGRAMME
2235 DP2769 21-Dec-2011 DETAILS OF SECURITIES ADMITTED WITH CDSL
2236 DP2770 21-Dec-2011 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
2237 DP2771 21-Dec-2011 NAMES OF THE DPS EMPANELLED BY ACE
2238 DP2772 22-Dec-2011 INVESTOR AWARENESS PROGRAMME
2239 DP2773 26-Dec-2011 INVESTOR-AWARENESS-PROGRAMME
2240 DP2774 27-Dec-2011 GUIDELINES IN PURSUANCE OF THE SEBI KRA REGULATIONS 2011
AND FOR IPV

Page 42
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2241 DP2775 27-Dec-2011 OUTSOURCING OF ACTIVITIES BY INTERMEDIARIES
2242 DP2776 27-Dec-2011 ONLINE DP57 SINGLE DOWNLOAD REPORT
FOR MULTIPLE TRANSACTIONS
2243 DP2777 27-Dec-2011 INVESTOR AWARENESS PROGRAMME
2244 DP2778 27-Dec-2011 BO-MODIFICATIONS-MAINTENANCE-LOG-
-DPD1-REPORT
2245 DP2779 28-Dec-2011 REVISED SETTLEMENT PROCESS FOR SILVER
2246 DP2780 28-Dec-2011 NAMES OF THE DPS EMPANELLED BY NCDEX
2247 DP2781 28-Dec-2011 NAMES OF THE DPS EMPANELLED BY NSEL
2248 DP2782 28-Dec-2011 INVESTOR AWARENESS PROGRAMME
2249 DP2783 29-Dec-2011 NEW-REGISTRATION- PROCEDURE-FOR-EASI- FACILITY
2250 DP2784 29-Dec-2011 CERTIFICATE-OF- REGISTRATION-AS-A
KYC-REGISTRATION AGENCY-KRA- GRANTED-TO-CVL
2251 DP2785 30-Dec-2011 NAMES-OF-THE -DPS EMPANELLED-BY-NCDEX
2252 DP2786 30-Dec-2011 DETAILS-OF-SECURITIES ADMITTED-WITH-CDSL
2253 DP2787 31-Dec-2011 NEW KNOW YOUR CLIENT DETAILS
FOR DEMAT ACCOUNTS
2254 DP2788 02-Jan-2012 PROCEDURE-FOR- APPLICATION-AS-A- QUALIFIED-DP
2255 DP2789 03-Jan-2012 DISCONTINUATION-OF-DP21-DP24-DP27-REPORTS
2256 DP2790 03-Jan-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2257 DP2791 03-Jan-2012 INSURANCE-POLICY-FOR- WAREHOUSE-RECEIPTS-HELD-IN-
DEMATERIALIZED- FORM
2258 DP2792 04-Jan-2012 RELEASE-OF-NEW-CDAS- VERSION
2259 DP2793 04-Jan-2012 INVESTOR-AWARENESS-PROGRAMMES
2260 DP2794 04-Jan-2012 ONLINE-DPM4-INCREMENTAL-HOLDING- DOWNLOAD-REPORT
2261 DP2795 05-Jan-2012 INVESTOR-AWARENESS- PROGRAMME
2262 DP2796 05-Jan-2012 ONLINE-DP57-SINGLE- DOWNLOAD-REPORT-
FOR-MULTIPLE- TRANSACTIONS
2263 DP2797 06-Jan-2012 DETAILS-OF-CHANGE-OF- RTA-EFFECTED-BY-ISSUERS
2264 DP2798 06-Jan-2012 SETTLEMENT-TIMINGS-OF- BSE-SLB-AND-NSE-SLB
2265 DP2799 06-Jan-2012 SETTLEMENT-TIMINGS-OF- BSE-NSE
2266 DP2800 09-Jan-2012 MIGRATION-OF-DIGITAL- CERTIFICATE-TO-SHA-2-
DSC
2267 DP2801 10-Jan-2012 NAMES-OF-THE-DPS- EMPANELLED-BY-NSEL
2268 DP2802 10-Jan-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2269 DP2803 11-Jan-2012 CHANGE-OF-NAME- EFFECTED-BY-DPS
2270 DP2804 12-Jan-2012 DETAILS-OF-SECURITIES ADMITTED-WITH-CDSL
2271 DP2805 12-Jan-2012 CHANGE-OF-NAME EFFECTED-BY-DPS
2272 DP2806 12-Jan-2012 VERIFICATION-WITH-ORIGINAL-DOCUMENTS
2273 DP2807 13-Jan-2012 VALIDATION-OF-BANK- ACCOUNT-NUMBER-IN-BO- DETAILS
2274 DP2808 16-Jan-2012 SEBI-CIRCULAR-INVESTMENT-BY-QUALIFIED-FOREIGN-INVESTORS-
IN- INDIAN-EQUITY-SHARES
2275 DP2809 16-Jan-2012 CERTIFICATE-OF- REGISTRATION-AS-A
KRA-GRANTED-TO-
-NDML
2276 DP2810 17-Jan-2012 INVESTOR-AWARENESS- PROGRAMME
2277 DP2811 17-Jan-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2278 DP2812 18-Jan-2012 BO-MODIFICATIONS-DPD1- REPORT
2279 DP2813 18-Jan-2012 RELEASE-OF-NEW-CDAS- VERSION
2280 DP2814 21-Jan-2012 AVAILABILITY-OF-CDSL- SYSTEM
2281 DP2815 21-Jan-2012 PENALTY-FOR-NON- MOVEMENT-OF-PAYOUT- SECURITIES-FROM-
CM- POOL-ACCOUNT-TO-BO-ACCOUNT
2282 DP2816 23-Jan-2012 FATF-PUBLIC-STATEMENT-DATED-OCTOBER-28-2011
2283 DP2817 23-Jan-2012 E-VOTING-EMPOWERING- INVESTORS
2284 DP2818 23-Jan-2012 INVESTOR-AWARENESS- PROGRAMMES
2285 DP2819 23-Jan-2012 RELEASE-OF-NEW-CDAS- VERSION
2286 DP2820 24-Jan-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2287 DP2821 24-Jan-2012 CDSLS DP TRAINING PROGRAMME
2288 DP2822 24-Jan-2012 TERMINATION-OF-RTA-
MENNEN-FINANCIAL- SERVICES-LIMITED
2289 DP2823 27-Jan-2012 INVESTOR AWARENESS PROGRAMME
2290 DP2824 27-Jan-2012 SEBI CIRCULAR ELIGIBILITY CRITERIA FOR QUALIFIED DEPOSITORY
PARTICIPANT
2291 DP2825 31-Jan-2012 INVESTOR-AWARENESS-PROGRAMME
2292 DP2826 31-Jan-2012 NAMES-OF-THE-DPS- EMPANELLED-BY-NSEL
2293 DP2827 02-Feb-2012 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
2294 DP2828 02-Feb-2012 ENTRY-OF-DATE-OF-BIRTH- MANDATORY-IN-THE-CDSL- SYSTEM
2295 DP2829 03-Feb-2012 INVESTOR-AWARENESS-PROGRAMME

Page 43
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2296 DP2830 06-Feb-2012 DETAILS-OF-CHANGE-OF- RTA-EFFECTED-BY-ISSUERS
2297 DP2831 06-Feb-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2298 DP2832 06-Feb-2012 CONCURRENT-AUDIT-OF- RISK-PRONE-AREAS-OF-DP- OPERATIONS
2299 DP2833 08-Feb-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2300 DP2834 09-Feb-2012 E-VOTING-EMPOWERING-INVESTORS
2301 DP2835 09-Feb-2012 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
2302 DP2836 09-Feb-2012 INVESTOR-AWARENESS- PROGRAMME
2303 DP2837 10-Feb-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2304 DP2838 13-Feb-2012 DETAILS-OF-CHANGE-OF-RTA-EFFECTED-BY-ISSUERS

2305 DP2839 13-Feb-2012 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL


2306 DP2840 14-Feb-2012 DETAILS-OF-CORPORATE-ACTIONS
2307 DP2841 14-Feb-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2308 DP2842 15-Feb-2012 INVESTOR-AWARENESS- PROGRAMMES
2309 DP2843 15-Feb-2012 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
2310 DP2844 15-Feb-2012 REVISED-SETTLEMENT-TIMINGS-OF-BSE-NSE-ON-
FEBRUARY-17-2012-AND-FEBRUARY-21-2012
2311 DP2845 15-Feb-2012 SETTLEMENT-TIMINGS-OF-BSE-SLB-NSE-SLB-SCHEDULED-ON-
FEBRUARY-17-2012
2312 DP2846 16-Feb-2012 INVESTOR-AWARENESS- PROGRAMMES
2313 DP2847 16-Feb-2012 AMENDMENTS-TO-CDSL-DP-OPERATING-INSTRUCTIONS
2314 DP2848 16-Feb-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2315 DP2849 17-Feb-2012 NEW-MARKET-TYPE-FOR-SEGMENT-OFFER-FOR-SALE-BSE
2316 DP2850 17-Feb-2012 VALIDATION-OF-BANK-ACCOUNT-NUMBER-IN-BO- DETAILS-IN-CDAS-
SYSTEM
2317 DP2851 17-Feb-2012 DETAILS OF CORPORATE ACTIONS
2318 DP2852 17-Feb-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2319 DP2853 18-Feb-2012 AVAILABILITY OF CDSL SYSTEM
2320 DP2854 18-Feb-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2321 DP2855 21-Feb-2012 RATE-FILE-FOR-ISINS-ICINS
2322 DP2856 21-Feb-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2323 DP2857 22-Feb-2012 AMENDMENTS-TO-CDSL-DP-OPERATING-INSTRUCTIONS-CHANGE-
IN-DP NAME-AND-REGISTERED-OFFICE-ADDRESS
2324 DP2858 22-Feb-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2325 DP2859 22-Feb-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2326 DP2860 22-Feb-2012 RELEASE OF NEW CDAS VERSION
2327 DP2861 23-Feb-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2328 DP2862 27-Feb-2012 LIST OF STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
2329 DP2863 27-Feb-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2330 DP2864 27-Feb-2012 DETAILS OF CORPORATE ACTIONS
2331 DP2865 27-Feb-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2332 DP2866 27-Feb-2012 CHANGE IN SETTLEMENT SCHEDULE OF CSE
2333 DP2867 28-Feb-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2334 DP2868 28-Feb-2012 NEW MARKET TYPE FOR SEGMENT OFFER FOR SALE NSE
2335 DP2869 29-Feb-2012 AVAILABILITY OF CDSL SYSTEM
2336 DP2870 29-Feb-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2337 DP2871 01-Mar-2012 INVESTOR AWARENESS PROGRAMMES
2338 DP2872 01-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2339 DP2873 01-Mar-2012 NAMES OF THE DPS EMPANELLED BY NCDEX
FOR OPENING OF ACCOUNTS FOR COMMODITIES AND HOLDING
WAREHOUSE RECEIPTS IN ELECTRONIC FORM
2340 DP2874 01-Mar-2012 COMMON FILE FORMAT FOR PLEDGE UPLOAD
2341 DP2875 02-Mar-2012 INVESTOR AWARENESS PROGRAMMES
2342 DP2876 02-Mar-2012 NAMES OF THE DPS EMPANELLED BY NCDEX
FOR OPENING OF ACCOUNTS FOR COMMODITIES AND HOLDING
WAREHOUSE RECEIPTS IN ELECTRONIC FORM
2343 DP2877 02-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2344 DP2878 02-Mar-2012 SETTLEMENT TIMINGS OF BSE-SLB AND NSE SLB SCHEDULED
ON MONDAY MARCH 5 2012
2345 DP2879 02-Mar-2012 SETTLEMENT TIMINGS OF BSE AND NSE ON TUESDAY MARCH 6
2012
2346 DP2880 03-Mar-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2347 DP2881 05-Mar-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2348 DP2882 06-Mar-2012 DETAILS-OF-CHANGE-OF- RTA-EFFECTED-BY-ISSUERS
2349 DP2883 06-Mar-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2350 DP2884 07-Mar-2012 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
2351 DP2885 07-Mar-2012 BSE-NOTICE-DISRUPTION-IN- VSAT-SERVICES-4TH MARCH 2012 -
18TH MARCH 2012
Page 44
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2352 DP2886 07-Mar-2012 PENALTY-FOR-NON-MOVEMENT-OF-PAYOUT- SECURITIES-FROM-
CM-POOL-ACCOUNT-TO-BO ACCOUNT
2353 DP2887 07-Mar-2012 AVAILABILITY-OF-CDSL-SYSTEM
2354 DP2888 09-Mar-2012 INVESTOR AWARENESS PROGRAMMES
2355 DP2889 09-Mar-2012 DETAILS OF CORPORATE ACTIONS
2356 DP2890 09-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2357 DP2891 12-Mar-2012 NAMES-OF-THE-DPS-EMPANELLED-BY-ACE
2358 DP2892 12-Mar-2012 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
2359 DP2893 12-Mar-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2360 DP2894 13-Mar-2012 COMMON FILE FORMAT FOR TRANSACTION UPLOAD
2361 DP2895 13-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2362 DP2896 14-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2363 DP2897 15-Mar-2012 CDSLS DP TRAINING PROGRAMME
2364 DP2898 15-Mar-2012 CHANGE-OF-NAME- EFFECTED-BY-DPS
2365 DP2899 15-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2366 DP2900 16-Mar-2012 NOMINATION-OF-A- REPRESENTATIVE-OF-THE- PRESIDENT-OF-
INDIA-
FOR-OPERATING-THE- DEMAT-ACCOUNT-OF-
BALMER-LAWRIE-INVESTMENT-LIMITED-BLIL
2367 DP2901 16-Mar-2012 NEW-MARKET-TYPE-FOR- SEGMENT- NCDEX
2368 DP2902 16-Mar-2012 NAMES-OF-THE-DPS- EMPANELLED-BY-NSEL
2369 DP2903 16-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2370 DP2904 19-Mar-2012 CHANGE-OF-NAME- EFFECTED-BY-DPS
2371 DP2905 19-Mar-2012 DEMAT-OPTION-FOR-MUTUAL-FUND-UNITS-THROUGH-SYSTEMATIC-
INVESTMENT-PLAN
2372 DP2906 19-Mar-2012 INVESTOR AWARENESS PROGRAMMES
2373 DP2907 19-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2374 DP2908 19-Mar-2012 DETAILS OF CORPORATE ACTIONS
2375 DP2909 20-Mar-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2376 DP2910 20-Mar-2012 PAN MODIFICATION AT CDSL END
2377 DP2911 20-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2378 DP2912 20-Mar-2012 INVESTOR AWARENESS PROGRAMMES
2379 DP2913 21-Mar-2012 INVESTOR AWARENESS PROGRAMME
2380 DP2914 21-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2381 DP2915 22-Mar-2012 INVESTOR-AWARENESS-PROGRAMME
2382 DP2916 22-Mar-2012 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
2383 DP2917 22-Mar-2012 ACCEPTING THE DIGITAL SIGNATURE CERTIFICATE IN EASIEST
LOGIN
2384 DP2918 22-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2385 DP2919 24-Mar-2012 BO DETAILS REQUEST REPORT DPS8
2386 DP2920 26-Mar-2012 SETTLEMENT TIMINGS OF BSE & NSE ON TUESDAY MARCH 27 2012
2387 DP2921 26-Mar-2012 INVESTOR AWARENESS PROGRAMMES
2388 DP2922 26-Mar-2012 NAMES OF THE DPS EMPANELLED BY NSEL
2389 DP2923 26-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL

2390 DP2924 27-Mar-2012 AMENDMENTS TO CDSL DP OPERATING INSTRUCTIONS


2391 DP2925 27-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2392 DP2926 27-Mar-2012 REVISED-FORMAT-OF-IAR-AND-CAR
2393 DP2927 28-Mar-2012 WITHDRAWAL OF SECURITIES FROM CDSL
2394 DP2928 28-Mar-2012 RELEASE OF NEW CDAS VERSION
2395 DP2929 28-Mar-2012 INVESTOR AWARENESS PROGRAMME
2396 DP2930 29-Mar-2012 WAIVER-OF-CHARGES-IN-RESPECT-OF-OPEN-ENDED- MUTUAL-
FUND-SCHEMES
2397 DP2931 29-Mar-2012 DISCONTINUATION OF DP49 DP83 AND DP99 REPORTS
2398 DP2932 29-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2399 DP2933 29-Mar-2012 AVAILABILITY OF CDSL SYSTEM
2400 DP2934 30-Mar-2012 ADDITION-IN-FIELD-CODE-FOR-DEMAT-ACCOUNTS
2401 DP2935 30-Mar-2012 INVESTOR AWARENESS PROGRAMMES
2402 DP2936 30-Mar-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2403 DP2937 30-Mar-2012 SERVICE TAX PAYABLE W.E.F. APRIL 01 2012
2404 DP741 30-Mar-2012 SERVICE TAX PAYABLE W.E.F. APRIL 01 2012
2405 DP2938 02-Apr-2012 NAMES OF THE DPS EMPANELLED BY MCX
2406 DP2939 02-Apr-2012 CHANGE OF NAME EFFECTED BY DPS
2407 DP2940 02-Apr-2012 SETTLEMENT TIMINGS OF BSE AND NSE
2408 DP2941 02-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2409 DP2942 03-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
Page 45
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2410 DP2943 03-Apr-2012 NAMES OF THE DPS EMPANELLED BY NCDEX
2411 DP2944 03-Apr-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2412 DP2945 03-Apr-2012 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
2413 DP2946 04-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2414 DP2947 04-Apr-2012 WITHDRAWAL-OF-SECURITIES-FROM-CDSL
2415 DP2948 04-Apr-2012 SEBI CIRCULAR-CLEARING-AND-SETTLEMENT-OF-OTC-TRADES-IN-
CP-AND-CD
2416 DP2949 09-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2417 DP2950 09-Apr-2012 NAMES OF THE DPS EMPANELLED BY NSEL
2418 DP2951 09-Apr-2012 DETAILS OF CORPORATE ACTIONS
2419 DP2952 10-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2420 DP2953 11-Apr-2012 DISCONTINUATION OF DP49 DP83 AND DP99 REPORTS
2421 DP2954 11-Apr-2012 NAMES OF THE DPS EMPANELLED BY NSEL
2422 DP2955 11-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2423 DP2956 12-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2424 DP2957 13-Apr-2012 LIST OF STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
2425 DP2958 13-Apr-2012 PENALTY-FOR-NON-MOVEMENT-OF-PAYOUT- SECURITIES-FROM-
CM-POOL-ACCOUNT-TO-BO-ACCOUNT
2426 DP2959 13-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2427 DP2960 16-Apr-2012 CHANGE OF TIME OF
INVESTOR AWARENESS PROGRAMME
2428 DP2961 16-Apr-2012 DETAILS OF CORPORATE ACTIONS
2429 DP2962 16-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2430 DP2963 17-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2431 DP2964 17-Apr-2012 DETAILS OF CORPORATE ACTIONS
2432 DP2965 17-Apr-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2433 DP2966 17-Apr-2012 FATF-PUBLIC-STATEMENT- DATED-FEBRUARY-16-2012
2434 DP2967 18-Apr-2012 ADDITIONAL-FACILITY-IN-PLEDGE-MODULE
2435 DP2968 18-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2436 DP2969 18-Apr-2012 INSURANCE POLICY FOR SECURITIES
2437 DP2970 19-Apr-2012 INVESTOR AWARENESS PROGRAMMES
2438 DP2971 19-Apr-2012 SUBMISSION OF INFORMATION ON NISM SERIES VI DEPOSITORY
OPERATIONS
CERTIFICATION EXAMINATION DOCE
2439 DP2972 19-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2440 DP2973 20-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2441 DP2974 20-Apr-2012 NAMES OF THE DPS EMPANELLED BY NSEL
2442 DP2975 21-Apr-2012 SUBMISSION-OF-NET-WORTH-CERTIFICATE-AND-AUDITED-
FINANCIAL-STATEMENTS
2443 DP2976 21-Apr-2012 SEBI-CIRCULAR-UPLOADING-OF-THE- EXISTING-CLIENTS-KYC-
DETAILS-IN-THE-KRA-SYSTEM-BY-THE-INTERMEDIARIES
2444 DP2977 23-Apr-2012 INVESTOR-AWARENESS- PROGRAMMES
2445 DP2978 23-Apr-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2446 DP2979 23-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2447 DP2980 24-Apr-2012 INVESTOR AWARENESS PROGRAMME
2448 DP2981 24-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2449 DP2982 25-Apr-2012 RESTATEMENTIZATION-OF- MUTUAL-FUND-UNITS
2450 DP2983 25-Apr-2012 RELEASE-OF-NEW-CDAS-VERSION
2451 DP2984 26-Apr-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2452 DP2985 26-Apr-2012 RESCHEDULED-INVESTOR-AWARENESS-PROGRAMME-BANGALORE
2453 DP2986 26-Apr-2012 INVESTOR-AWARENESS-PROGRAMME
2454 DP2987 26-Apr-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2455 DP2988 27-Apr-2012 NAMES-OF-THE-DPS-EMPANELLED-BY-NSEL
2456 DP2989 27-Apr-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2457 DP2990 30-Apr-2012 PENALTY-FOR-NON-MOVEMENT-OF-PAYOUT-SECURITIES
2458 DP2991 30-Apr-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2459 DP2992 30-Apr-2012 SETTLEMENT TIMINGS OF BSE AND NSE ON WEDNESDAY MAY 2
2012.
2460 DP2993 02-May-2012 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
2461 DP2994 02-May-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2462 DP2995 03-May-2012 DUE-DILIGENCE-IN-DEPOSITORY-OPERATIONS
2463 DP2996 03-May-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2464 DP2997 04-May-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2465 DP2998 04-May-2012 ORDERS-DATED-FEBRUARY-27-2012-ISSUED-BY-THE-HIGH-COURT-
BOMBAY.
2466 DP2999 07-May-2012 INVESTOR-AWARENESS- PROGRAMMES

Page 46
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2467 DP3000 07-May-2012 AMENDMENTS-TO-CDSLS- DP-OPERATING-INSTRUCTIONS
2468 DP3001 07-May-2012 INVESTOR-AWARENESS- PROGRAMME
2469 DP3002 07-May-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2470 DP3003 08-May-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2471 DP3004 08-May-2012 DETAILS-OF-CHANGE-OF- RTA-EFFECTED-BY-ISSUERS
2472 DP3005 09-May-2012 DISCONTINUATION-OF-DP36-DP50-DPA5-DPE4-REPORTS
2473 DP3006 09-May-2012 MONTHLY-BILLING-FOR-CDSL-MANAGED-DPS-AND-
CONSOLIDATION-OF-LIVE- BRANCHES-AS-A-DP
2474 DP3007 09-May-2012 WITHDRAWAL-OF- DEPOSITORY-PARTICIPANTS-OF-CDSL
2475 DP3008 09-May-2012 NAMES-OF-THE-DPS-EMPANELLED-BY-NSEL
2476 DP3009 09-May-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2477 DP3010 10-May-2012 INSURANCE CERTIFICATES
2478 DP3011 10-May-2012 CHANGE-OF-NAME-EFFECTED-BY-DPS
2479 DP3012 10-May-2012 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
2480 DP3013 11-May-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2481 DP3014 12-May-2012 DETAILS OF CORPORATE ACTIONS
2482 DP3015 14-May-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2483 DP3016 14-May-2012 DETAILS-OF-CORPORATE- ACTIONS

2484 DP3017 15-May-2012 DETAILS-OF-CHANGE-OF- RTA-EFFECTED-BY-ISSUERS


2485 DP3018 15-May-2012 INVESTOR-AWARENESS- PROGRAMME
2486 DP3019 15-May-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2487 DP3020 16-May-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2488 DP3021 17-May-2012 DETAILS OF CORPORATE ACTIONS
2489 DP3022 17-May-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2490 DP3023 19-May-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2491 DP3024 21-May-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2492 DP3025 23-May-2012 NAMES-OF-THE-DPS- EMPANELLED-BY-NSEL
2493 DP3026 23-May-2012 DETAILS-OF-CHANGE-OF- RTA-EFFECTED-BY-ISSUERS
2494 DP3027 23-May-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2495 DP3028 24-May-2012 DESTATEMENTIZATION-FACILITY
2496 DP3029 24-May-2012 RELEASE OF NEW CDAS VERSION
2497 DP3030 24-May-2012 DETAILS OF CORPORATE ACTIONS
2498 DP3031 24-May-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2499 DP3032 25-May-2012 NEW-FEATURE-INTRODUCED-FOR-EASI-EASIEST-USERS
2500 DP3033 25-May-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL

2501 DP3034 28-May-2012 INVESTOR AWARENESS PROGRAMMES


2502 DP3035 28-May-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2503 DP3036 30-May-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2504 DP3037 30-May-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2505 DP3038 01-Jun-2012 DETAILS-OF-CORPORATE- ACTIONS
2506 DP3039 02-Jun-2012 CDSLS-DP-TRAINING- PROGRAMME
2507 DP3040 02-Jun-2012 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
2508 DP3041 04-Jun-2012 INVESTOR AWARENESS PROGRAMMES
2509 DP3042 04-Jun-2012 DETAILS OF CORPORATE ACTIONS
2510 DP3043 04-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2511 DP3044 05-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2512 DP3045 05-Jun-2012 CLARIFICATION ON COMPUTATION OF
NET WORTH CERTIFICATE
2513 DP3046 05-Jun-2012 DISCONTINUATION OF DP24 REPORT
2514 DP3047 06-Jun-2012 INVESTOR-AWARENESS PROGRAMME
2515 DP3048 06-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2516 DP3049 07-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2517 DP3050 08-Jun-2012 NAMES OF THE DPS EMPANELLED BY ACE
2518 DP3051 08-Jun-2012 REVISION IN FRAMEWORK FOR QUALIFIED FOREIGN INVESTOR
INVESTMENT IN EQUITY SHARES AND MUTUAL FUND SCHEMES
2519 DP3052 08-Jun-2012 INVESTOR AWARENESS PROGRAMMES
2520 DP3053 08-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2521 DP3054 09-Jun-2012 INVESTOR AWARENESS PROGRAMME
2522 DP3055 11-Jun-2012 DISCONTINUATION-OF-DP36-DP50-DPA5-DPE4-REPORTS
2523 DP3056 11-Jun-2012 INVESTOR AWARENESS PROGRAMME
2524 DP3057 11-Jun-2012 DETAILS OF CORPORATE ACTIONS
2525 DP3058 11-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2526 DP3059 12-Jun-2012 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL

Page 47
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2527 DP3060 13-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2528 DP3061 14-Jun-2012 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
2529 DP3062 14-Jun-2012 NAMES OF THE DPS EMPANELLED BY NSEL
2530 DP3063 14-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2531 DP3064 16-Jun-2012 DP89-REPORT-ON-PROBABLE-FAILS
2532 DP3065 16-Jun-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2533 DP3066 18-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL

2534 DP3067 18-Jun-2012 DETAILS OF CORPORATE ACTIONS


2535 DP3068 19-Jun-2012 DETAILS-OF-CHANGE-OF- RTA-EFFECTED-BY-ISSUERS
2536 DP3069 19-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2537 DP3070 20-Jun-2012 INVESTOR AWARENESS PROGRAMME
2538 DP3071 20-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2539 DP3072 21-Jun-2012 INVESTOR AWARENESS PROGRAMME
2540 DP3073 21-Jun-2012 INVESTOR AWARENESS PROGRAMME
2541 DP3074 21-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2542 DP3075 25-Jun-2012 INSURANCE CERTIFICATES
2543 DP3076 25-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2544 DP3077 26-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2545 DP3078 27-Jun-2012 DETAILS OF CORPORATE ACTIONS
2546 DP3079 27-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2547 DP3080 28-Jun-2012 RELEASE OF NEW CDAS VERSION
2548 DP3081 28-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2549 DP3082 29-Jun-2012 ALERT MESSAGE FACILITY
2550 DP3083 29-Jun-2012 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
2551 DP3084 29-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2552 DP3085 30-Jun-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2553 DP3086 02-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2554 DP3087 02-Jul-2012 SETTLEMENT TIMINGS OF BSE AND NSE ON WEDNESDAY JULY 4
2012
2555 DP3088 02-Jul-2012 NAMES OF THE DPS EMPANELLED BY NCDEX
2556 DP3089 02-Jul-2012 SINGLE-DOWNLOAD- REPORT
2557 DP3090 03-Jul-2012 INVESTOR-AWARENESS- PROGRAMMES
2558 DP3091 03-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2559 DP3092 03-Jul-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2560 DP3093 04-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2561 DP3094 04-Jul-2012 NAMES OF THE DPS EMPANELLED BY NSEL
2562 DP3095 05-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2563 DP3096 06-Jul-2012 INVESTOR AWARENESS PROGRAMME
2564 DP3097 06-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2565 DP3098 07-Jul-2012 INVESTOR AWARENESS PROGRAMME
2566 DP3099 07-Jul-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2567 DP3100 09-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2568 DP3101 10-Jul-2012 NEW MARKET TYPE MF SUBSCRIPTION LIQUID BSE
2569 DP3102 10-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2570 DP3103 11-Jul-2012 INVESTOR AWARENESS PROGRAMMES
2571 DP3104 11-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2572 DP3105 12-Jul-2012 REGISTRATION OF DEPOSITORY PARTICIPANTS
2573 DP3106 12-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2574 DP3107 13-Jul-2012 NISM-SERIES-VI- DEPOSITORY-OPERATIONS-
CERTIFICATION-EXAMINATION
2575 DP3108 13-Jul-2012 INVESTOR AWARENESS PROGRAMME
2576 DP3109 13-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2577 DP3110 16-Jul-2012 INVESTOR AWARENESS PROGRAMME
2578 DP3111 16-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2579 DP3112 16-Jul-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2580 DP3113 17-Jul-2012 DISCONTINUATION-OF-INDIVIDUAL-UPLOADS-AND-
CORRESPONDING- SUCCESS-FAILURE- REPORTS
2581 DP3114 17-Jul-2012 INVESTOR AWARENESS PROGRAMMES
2582 DP3115 17-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2583 DP3116 17-Jul-2012 DETAILS OF CORPORATE ACTIONS
2584 DP3117 18-Jul-2012 WITHDRAWAL-OF- DEPOSITORY-PARTICIPANT- OF-CDSL
2585 DP3118 18-Jul-2012 DETAILS-OF-SECURITIES ADMITTED-WITH-CDSL
2586 DP3119 19-Jul-2012 INVESTOR AWARENESS PROGRAMME
2587 DP3120 20-Jul-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL

Page 48
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2588 DP3121 23-Jul-2012 AMENDMENTS-TO- CONSTITUENTS-SUBSIDIARY-GENERAL-
LEDGER-ACCOUNT-ELIGIBILITY-CRITERIA-AND- OPERATIONAL-
GUIDELINES
2589 DP3122 23-Jul-2012 DETAILS OF CORPORATE ACTIONS
2590 DP3123 23-Jul-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2591 DP3124 24-Jul-2012 DISCONTINUATION-OF- REPORTS-FROM-AUGUST-31-2012
2592 DP3125 24-Jul-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2593 DP3126 25-Jul-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2594 DP3127 25-Jul-2012 RELEASE OF NEW CDAS VERSION
2595 DP3128 26-Jul-2012 LOCK-IN REASON-CODES
2596 DP3129 26-Jul-2012 SEBI CIRCULARS-QUALIFIED-FOREIGN-INVESTORS-QFI
2597 DP3130 26-Jul-2012 INVESTOR-AWARENESS-PROGRAMMES
2598 DP3131 26-Jul-2012 FACILITY-TO-ADD-PLEDGE- VALUE-FOR-EACH-
PLEDGE-SEQUENCE- NUMBER
2599 DP3132 26-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2600 DP3133 27-Jul-2012 INVESTOR AWARENESS PROGRAMME
2601 DP3134 27-Jul-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2602 DP3135 28-Jul-2012 RELEASE OF NEW CDAS VERSION
2603 DP3136 30-Jul-2012 INVESTOR AWARENESS PROGRAMMES
2604 DP3137 30-Jul-2012 OPEN-ENDED-MUTUAL-FUND-TRANSACTIONS
2605 DP3138 30-Jul-2012 DETAILS-OF-CORPORATE- ACTIONS
2606 DP3139 30-Jul-2012 AMENDMENTS TO CDSLS-DP-OPERATING-INSTRUCTIONS
2607 DP3140 30-Jul-2012 AMENDMENTS-TO-CDSL-BYE-LAWS
2608 DP3141 30-Jul-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2609 DP3142 31-Jul-2012 INVESTOR-AWARENESS- PROGRAMMES
2610 DP3143 31-Jul-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2611 DP3144 01-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL

2612 DP3145 02-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL


2613 DP3146 02-Aug-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2614 DP3147 03-Aug-2012 SEBI-CIRCULAR- ACTIVATION-OF-ISIN-IN-CASE-OF-ADDITIONAL-
ISSUE-OF-SHARES-SECURITIES
2615 DP3148 03-Aug-2012 INVESTOR-AWARENESS- PROGRAMMES
2616 DP3149 03-Aug-2012 UPLOAD-THROUGH-EASIEST-FOR-RTAS-USING- POWER-OF-
ATTORNEY
2617 DP3150 03-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2618 DP3151 04-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2619 DP3152 06-Aug-2012 NAMES-OF-THE-DPS- EMPANELLED-BY-NSEL
2620 DP3153 06-Aug-2012 CONCURRENT-AUDIT-OF-RISK- PRONE-AREAS-BY-CONCURRENT-
INTERNAL-AUDITORS-OF-THE-DPS
2621 DP3154 07-Aug-2012 FATF-PUBLIC-STATEMENT-DATED-JUNE-22-2012
2622 DP3155 07-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2623 DP3156 08-Aug-2012 DETAILS-OF-CORPORATE- ACTIONS
2624 DP3157 08-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2625 DP3158 08-Aug-2012 INVESTOR AWARENESS PROGRAMME

2626 DP3159 09-Aug-2012 REMINDER - DISCONTINUATION-OF- EXISTING-REPORTS


2627 DP3160 09-Aug-2012 BACKUP-ALTERNATE- CONTINUOUS-
ELECTRONIC-CONNECTIVITY
2628 DP3161 11-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2629 DP3162 11-Aug-2012 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS CHAPTER
11 PENALTIES
2630 DP3163 11-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2631 DP3164 13-Aug-2012 EXEMPTION-FROM-SENDING-QUARTERLY-TRANSACTION-
STATEMENTS
2632 DP3165 13-Aug-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2633 DP3166 14-Aug-2012 COMPLIANCE-MANUAL- FOR-DEPOSITORY- PARTICIPANTS
2634 DP3167 14-Aug-2012 AVAILABILITY-OF-CDSL- SYSTEM
2635 DP3168 14-Aug-2012 PENALTY-FOR-NON-MOVEMENT-OF-PAYOUT- SECURITIES
2636 DP3169 14-Aug-2012 AMENDMENTS-TO-CDSLS-DP-OPERATING-INSTRUCTIONS-
CHAPTER-11-PENALTIES
2637 DP3170 14-Aug-2012 SEBI-CIRCULAR-DATED-JULY-27-2012
2638 DP3171 14-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2639 DP3172 16-Aug-2012 CHANGE-OF-NAME- EFFECTED-BY-DPS
2640 DP3173 16-Aug-2012 SEBI-CIRCULAR-DATED- AUGUST-13-2012
2641 DP3174 16-Aug-2012 CONCURRENT-AUDIT-OF-RISK- PRONE-AREAS-OF THE DPS-
REVISED-CHECKLIST
2642 DP3175 16-Aug-2012 WITHDRAWAL-OF-SECURITIES-FROM-CDSL

Page 49
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2643 DP3176 16-Aug-2012 INVESTOR-AWARENESS- PROGRAMMES
2644 DP3177 16-Aug-2012 SEBI PUBLICATION-FAQ-ON-
QUALIFIED-FOREIGN- INVESTORS
2645 DP3178 16-Aug-2012 DETAILS-OF-CORPORATE- ACTIONS
2646 DP3179 17-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2647 DP3180 17-Aug-2012 NEW MARKET TYPE LIQUID SUBSCRIPTION-T0- NSE
2648 DP3181 21-Aug-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2649 DP3182 22-Aug-2012 INVESTOR-AWARENESS- PROGRAMME
2650 DP3183 22-Aug-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2651 DP3184 23-Aug-2012 AVAILABILITY-OF-CDSL-SYSTEM
2652 DP3185 23-Aug-2012 NAMES-OF-THE-DPS- EMPANELLED-BY-NSEL
2653 DP3186 23-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2654 DP3187 24-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2655 DP3188 27-Aug-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2656 DP3189 28-Aug-2012 DETAILS-OF-CHANGE-OF-RTA-EFFECTED-BY-ISSUERS
2657 DP3190 28-Aug-2012 SEBI-CIRCULAR-
FACILITY-FOR-A-BASIC- SERVICES-DEMAT-ACCOUNT
2658 DP3191 28-Aug-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2659 DP3192 28-Aug-2012 REMINDER-DISCONTINUATION-OF- EXISTING-REPORTS-FROM-
AUGUST-31-2012
2660 DP3193 29-Aug-2012 REMAT-REQUEST-SET-UP- BY-THE-DP
2661 DP3194 29-Aug-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2662 DP3195 30-Aug-2012 INVESTOR-AWARENESS- PROGRAMME
2663 DP3196 30-Aug-2012 NEW MARKET TYPES
2664 DP3197 31-Aug-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2665 DP3198 01-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2666 DP3199 03-Sep-2012 INVESTOR AWARENESS PROGRAMMES
2667 DP3200 03-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2668 DP3201 04-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2669 DP3202 05-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2670 DP3203 06-Sep-2012 SEBI-CIRCULAR-KYC-REQUIREMENTS-CLARIFICATION-FOR-
FOREIGN-INVESTORS
2671 DP3204 06-Sep-2012 SECURITIES LENDING AND BORROWING
2672 DP3205 06-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2673 DP3206 07-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2674 DP3207 07-Sep-2012 SETTLEMENT TIMINGS FOR BSE AND NSE
2675 DP3208 07-Sep-2012 EASIEST REGISTRATION REQUEST
2676 DP3209 10-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2677 DP3210 11-Sep-2012 WITHDRAWAL-OF- DEPOSITORY-PARTICIPANT- OF-CDSL

2678 DP3211 11-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL


2679 DP3212 12-Sep-2012 TRAINING-PROGRAMME- FOR-INTERNAL-CONCURRENT-AUDITORS-
COMPLIANCE-OFFICERS-DP- OFFICIALS
2680 DP3213 12-Sep-2012 UPDATION-OF-ANNEXURE-C7-OF-DP57-REPORT
2681 DP3214 12-Sep-2012 NAMES-OF-THE-DPS-EMPANELLED-BY-NSEL
2682 DP3215 12-Sep-2012 SEBI-CIRCULAR-11092012
2683 DP3216 12-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2684 DP3217 13-Sep-2012 INVESTOR AWARENESS PROGRAMMES
2685 DP3218 13-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2686 DP3219 13-Sep-2012 AVAILABILITY OF CDSL VPN CLIENT CONNECTIVITY
2687 DP3220 13-Sep-2012 AUTOMATIC-CREATION-OF-POA-LINK-FOR-
CM-IN-EASIEST
2688 DP3221 14-Sep-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2689 DP3222 14-Sep-2012 DP TRAINING PROGRAMME ON 24 SEPTEMBER 2012 AT MUMBAI
2690 DP3223 17-Sep-2012 WITHDRAWAL-OF-SECURITIES-FROM-CDSL
2691 DP3224 17-Sep-2012 DETAILS-OF-CORPORATE- ACTIONS
2692 DP3225 17-Sep-2012 ACTIVATION-OF-ISIN-ADDITIONAL-ISSUE-OF-SHARES-SECURITIES
2693 DP3226 17-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2694 DP3227 18-Sep-2012 DATABASE-FOR-DISTINCTIVE-NUMBERS-OF-
SHARES-FOR-DEMAT
2695 DP3228 18-Sep-2012 REMINDER-SUBMISSION-OF- NETWORTH-CERTIFICATE-
AFS
2696 DP3229 18-Sep-2012 NAMES-OF-THE-DPS-EMPANELLED-BY-MCX
2697 DP3230 18-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2698 DP3231 20-Sep-2012 CHANGE-OF-NAME- EFFECTED-BY-DPS
2699 DP3232 20-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2700 DP3233 20-Sep-2012 REVISED-FORMAT-OF-IAR-AND-CAR
Page 50
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2701 DP3234 21-Sep-2012 SEBI-CIRCULAR-PRINTING-OF-GRIEVANCES-REDRESSAL-
MECHANISM
2702 DP3235 22-Sep-2012 NAMES OF THE DPS EMPANELLED BY NSEL
2703 DP3236 24-Sep-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2704 DP3237 24-Sep-2012 SEBI-CIRCULAR-
PRINTING-OF-GRIEVANCES- REDRESSAL-MECHANISM-ON-
DELIVERY-INSTRUCTION
2705 DP3238 25-Sep-2012 BASIC-SERVICES-DEMAT-ACCOUNT
2706 DP3239 25-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2707 DP3240 26-Sep-2012 DETAILS OF CORPORATE ACTIONS
2708 DP3241 26-Sep-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2709 DP3242 27-Sep-2012 INVESTOR-AWARENESS- PROGRAMMES
2710 DP3243 27-Sep-2012 NAMES-OF-THE-DPS-EMPANELLED-BY-MCX
2711 DP3244 27-Sep-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2712 DP3245 27-Sep-2012 RELEASE OF NEW CDAS VERSION AND AVAILABILITY OF CDSL
SYSTEM
2713 DP3246 28-Sep-2012 BASIC SERVICES DEMAT ACCOUNT
2714 DP3247 28-Sep-2012 AVAILABILITY OF CDSL SYSTEM
2715 DP3248 28-Sep-2012 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT
2716 DP3249 28-Sep-2012 WAIVER OF CHARGES IN RESPECT OF
OPEN-ENDED MUTUAL FUND SCHEMES
2717 DP3250 28-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2718 DP3251 29-Sep-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2719 DP3252 29-Sep-2012 UPLOADING-OF-REPORTS- TO-FIU-IND-THROUGH-THE FINNET-
GATEWAY
2720 DP3253 03-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2721 DP3254 04-Oct-2012 DP36-REPORT
2722 DP3255 04-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2723 DP3256 04-Oct-2012 INVESTOR AWARENESS PROGRAMMES
2724 DP3257 04-Oct-2012 INVESTOR AWARENESS PROGRAMMES
2725 DP3258 05-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2726 DP3259 05-Oct-2012 DPE7 REPORT
2727 DP3260 06-Oct-2012 NAMES-OF-THE-DPS- EMPANELLED-BY-NSEL
2728 DP3261 06-Oct-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2729 DP3262 06-Oct-2012 UPDATED-FILE-FORMATS- FOR-BO-MODULE
2730 DP3263 08-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2731 DP3264 09-Oct-2012 NAMES-OF-THE-DPS- EMPANELLED-BY-NSEL
2732 DP3265 09-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL

2733 DP3266 10-Oct-2012 REMINDER-


DISCONTINUATION-OF- INDIVIDUAL-UPLOADS
2734 DP3267 10-Oct-2012 AVAILABILITY-OF-CDSL-SYSTEM
2735 DP3268 10-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2736 DP3269 10-Oct-2012 DETAILS-OF-CHANGE-OF- RTA-EFFECTED-BY-ISSUERS
2737 DP3270 11-Oct-2012 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
2738 DP3271 12-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2739 DP3272 15-Oct-2012 NAMES-OF-THE-DPS- EMPANELLED-BY-NCDEX
2740 DP3273 15-Oct-2012 CHANGE-OF-NAME- EFFECTED-BY-DPS
2741 DP3274 15-Oct-2012 NAMES-OF-THE-DPS- EMPANELLED-BY-NSEL
2742 DP3275 15-Oct-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2743 DP3276 16-Oct-2012 RELEASE-OF-ADDITIONAL- FIELDS-IN-BO-MODULE
2744 DP3277 17-Oct-2012 AMENDMENTS-CDSL-DP-OP-INST-CHAPTER-2-CHAPTER-3-
CHAPTER-8
2745 DP3278 17-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2746 DP3279 17-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2747 DP3280 18-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2748 DP3281 18-Oct-2012 INVESTOR AWARENESS PROGRAMME
2749 DP3282 19-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL

2750 DP3283 19-Oct-2012 NAMES OF THE DPS EMPANELLED BY MCX


2751 DP3284 20-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2752 DP3285 22-Oct-2012 DETAILS OF CORPORATE ACTIONS
2753 DP3286 22-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2754 DP3287 22-Oct-2012 INVESTOR AWARENESS PROGRAMMES
2755 DP3288 23-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2756 DP3289 25-Oct-2012 INVESTOR AWARENESS PROGRAMME

Page 51
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2757 DP3290 25-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2758 DP3291 25-Oct-2012 DETAILS OF CORPORATE ACTIONS
2759 DP3292 25-Oct-2012 MOVEMENT-OF-PAYOUT- SECURITIES-FROM-CM-POOL-ACCOUNT-
TO-BO- ACCOUNT
2760 DP3293 25-Oct-2012 SETTLEMENT-TIMINGS-OF- BSE-NSE-ON-OCTOBER-29- 2012
2761 DP3294 25-Oct-2012 SETTLEMENT-TIMINGS-OF- BSE-NSE-ON-OCTOBER-30- 2012
2762 DP3295 26-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2763 DP3296 26-Oct-2012 REVISED SETTLEMENT SCHEDULE OF BSE FOR MF SUBSCRIPTION -
LIQUID
2764 DP3297 29-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL

2765 DP3298 29-Oct-2012 REVISED SETTLEMENT SCHEDULE OF BSE


2766 DP3299 30-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2767 DP3300 30-Oct-2012 DISCONTINUATION OF INDIVIDUAL UPLOADS
2768 DP3301 31-Oct-2012 DETAILS-OF-CORPORATE- ACTIONS
2769 DP3302 31-Oct-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2770 DP3303 01-Nov-2012 AMENDMENTS-TO-CDSL-DP- OPERATING-NSTRUCTIONS-CHAPTER-
2-ACCOUNT- OPENING
2771 DP3304 01-Nov-2012 INVESTOR AWARENESS PROGRAMMES
2772 DP3305 01-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2773 DP3306 02-Nov-2012 RELEASE-OF-ADDITIONAL- FIELDS-IN-BO-MODULE
2774 DP3307 02-Nov-2012 SEBI-CIRCULAR-CHANGE-OF-NAME-IN-THE-BO-ACCOUNT
2775 DP3308 02-Nov-2012 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
2776 DP3309 02-Nov-2012 INVESTOR AWARENESS PROGRAMME
2777 DP3310 02-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2778 DP3311 05-Nov-2012 DATABASE-FOR-DISTINCTIVE-NUMBERS-OF- SHARES-FOR-DEMAT
2779 DP3312 05-Nov-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2780 DP3313 05-Nov-2012 NAMES OF THE DPS EMPANELLED BY NCDEX
2781 DP3314 05-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2782 DP3315 06-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2783 DP3316 06-Nov-2012 DP-TRAINING-PROGRAMME-ON-19-NOVEMBER-2012-AT-MUMBAI
2784 DP3317 07-Nov-2012 AVAILABILITY OF CDSL SYSTEM
2785 DP3318 07-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2786 DP3319 08-Nov-2012 DETAILS OF CORPORATE ACTIONS
2787 DP3320 08-Nov-2012 RELEASE-OF-NEW-CDAS-VERSION-AVAILABILITY-OF-CDSL-SYSTEM
2788 DP3321 08-Nov-2012 CHANGE-OF-VENUE-CDSL- DP-TRAINING-PROGRAMME
2789 DP3322 08-Nov-2012 LAUNCH-OF-NEW-WEBSITE- OF-CDSL
2790 DP3323 09-Nov-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2791 DP3324 09-Nov-2012 REVISED-SETTLEMENT-TIMINGS-OF-BSE-NSE
2792 DP3325 09-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2793 DP3326 12-Nov-2012 MOVEMENT-OF-PAYOUT-SECURITIES-FROM-
CM-POOL-ACCOUNT-TO-BO-ACCOUNT

2794 DP3327 12-Nov-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL


2795 DP3328 12-Nov-2012 ADDITIONAL FEATURES IN PLEDGE MODULE
2796 DP3329 15-Nov-2012 INVESTOR-AWARENESS-PROGRAMMES
2797 DP3330 15-Nov-2012 NAMES-OF-THE-DPS- EMPANELLED-BY-NSEL
2798 DP3331 16-Nov-2012 INVESTOR AWARENESS PROGRAMME
2799 DP3332 16-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2800 DP3333 17-Nov-2012 DETAILS OF CORPORATE ACTIONS
2801 DP3334 19-Nov-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2802 DP3335 19-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2803 DP3336 20-Nov-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2804 DP3337 21-Nov-2012 REMINDER -DISCONTINUATION-OF- INDIVIDUAL-UPLOADS-
CORRESPONDING-SUCCESS-FAILURE-REPORTS
2805 DP3338 21-Nov-2012 INVESTOR AWARENESS PROGRAMME
2806 DP3339 21-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2807 DP3340 22-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2808 DP3341 23-Nov-2012 SEBI-CIRCULAR-REVIEW-OF-THE-SLB-FRAMEWORK
2809 DP3342 26-Nov-2012 UPLOAD-ON-SUNDAYS- SYSTEM-HOLIDAYS-INCREASE-IN-TIME-
DURATION-FOR-UPLOADS-THROUGH-EASIEST
2810 DP3343 26-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2811 DP3344 26-Nov-2012 INVESTOR AWARENESS PROGRAMME

2812 DP3345 27-Nov-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL


2813 DP3346 27-Nov-2012 DETAILS-OF-CHANGE-OF-RTA-EFFECTED-BY-ISSUERS
2814 DP3347 27-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
Page 52
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2815 DP3348 27-Nov-2012 EFFECT OF AUTO CORPORATE ACTION ON SETTLEMENT
2816 DP3349 29-Nov-2012 INVESTOR-AWARENESS- PROGRAMME
2817 DP3350 30-Nov-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2818 DP3351 01-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2819 DP3352 03-Dec-2012 NOTIFICATION-ON-
THE-RAJIV-GANDHI-EQUITY-SAVINGS-SCHEME-2012
2820 DP3353 03-Dec-2012 CDSLS-DP-OPERATING-INSTRUCTIONS-AS-OF-OCTOBER 2012
2821 DP3354 04-Dec-2012 INVESTOR AWARENESS PROGRAMMES
2822 DP3355 04-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2823 DP3356 05-Dec-2012 DETAILS OF CORPORATE ACTIONS
2824 DP3357 05-Dec-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2825 DP3358 05-Dec-2012 ADDITIONAL FEATURES IN PLEDGE MODULE
2826 DP3359 05-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2827 DP3360 06-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2828 DP3361 07-Dec-2012 SEBI-CIRCULAR-
RAJIV-GANDHI-EQUITY- SAVINGS-SCHEME-2012
2829 DP3362 07-Dec-2012 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2830 DP3363 07-Dec-2012 MULTIPLE ISIN RATE FILES
2831 DP3364 10-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2832 DP3365 11-Dec-2012 INVESTOR AWARENESS PROGRAMME
2833 DP3366 11-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2834 DP3367 11-Dec-2012 DETAILS OF CORPORATE ACTIONS
2835 DP3368 12-Dec-2012 INVESTOR AWARENESS PROGRAMME
2836 DP3369 12-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2837 DP3370 13-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2838 DP3371 14-Dec-2012 AMENDMENTS-TO-CDSL-DP- OPERATING-INSTRUCTIONS-

CHAPTER-4-AND-CHAPTER-16
2839 DP3372 14-Dec-2012 NAMES-OF-THE-DPS-EMPANELLED-BY-NCDEX
2840 DP3373 14-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2841 DP3374 15-Dec-2012 TRAINING-PROGRAMME-FOR-INTERNAL-CONCURRENT-AUDITORS-
COMPLIANCE-OFFICERS-DP- OFFICIALS
2842 DP3375 19-Dec-2012 INVESTOR AWARENESS PROGRAMME
2843 DP3376 19-Dec-2012 RELEASE-OF-NEW-CDAS- VERSION-AND-AVAILABILITY-OF-CDSL-
SYSTEM
2844 DP3377 19-Dec-2012 DETAILS OF CORPORATE ACTIONS
2845 DP3378 19-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2846 DP3379 20-Dec-2012 INVESTOR AWARENESS PROGRAMMES
2847 DP3380 20-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2848 DP3381 21-Dec-2012 ACCEPTING-THE-DIGITAL-SIGNATURE-CERTIFICATE-IN-EASIEST-
LOGIN
2849 DP3382 21-Dec-2012 COMMON-UPLOAD-THROUGH-EASIEST
2850 DP3383 21-Dec-2012 REMATERIALISATION OF SECURITIES
2851 DP3384 21-Dec-2012 DISPATCH-OF-TRANSACTION-AND-HOLDING-STATEMENTS
2852 DP3385 21-Dec-2012 INTER-DEPOSITORY- TRANSFERS-ON-DECEMBER 22-2012
2853 DP3386 22-Dec-2012 INVESTOR AWARENESS PROGRAMME
2854 DP3387 22-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2855 DP3388 24-Dec-2012 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2856 DP3389 24-Dec-2012 CHANGE OF NAME EFFECTED BY DPS
2857 DP3390 24-Dec-2012 MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
2858 DP3391 24-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2859 DP3392 26-Dec-2012 INVESTOR AWARENESS PROGRAMMES
2860 DP3393 26-Dec-2012 DETAILS OF CORPORATE ACTIONS
2861 DP3394 26-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2862 DP3395 27-Dec-2012 RESTAT OPTION FOR UTI MASTER SCHEME
2863 DP3396 27-Dec-2012 INVESTOR AWARENESS PROGRAMMES
2864 DP3397 27-Dec-2012 RELEASE OF NEW CDAS VERSION
2865 DP3398 27-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2866 DP3399 28-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2867 DP3400 29-Dec-2012 EFFECT OF AUTO CORPORATE ACTION ON SETTLEMENT
2868 DP3401 31-Dec-2012 DETAILS OF SECURITIES ADMITTED WITH CDSL
2869 DP3402 01-Jan-2013 RAJIV GANDHI EQUITY SAVINGS SCHEME RGESS
2870 DP3403 01-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2871 DP3404 02-Jan-2013 INSURANCE POLICY FOR WAREHOUSE RECEIPTS
HELD IN DEMATERIALIZED FORM
2872 DP3405 02-Jan-2013 CDSLS-DP-TRAINING-PROGRAMME
Page 53
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2873 DP3406 02-Jan-2013 FINANCIAL-ACTION-TASK- FORCE-PUBLIC-STATEMENT-DATED-
OCTOBER-19-2012
2874 DP3407 02-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2875 DP3408 03-Jan-2013 DETAILS OF CORPORATE ACTIONS
2876 DP3409 03-Jan-2013 OPENING-OF-CLEARING- MEMBER-ACCOUNTS-FOR-MCX-SX
2877 DP3410 03-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2878 DP3411 04-Jan-2013 CHANGE-OF-NAME-EFFECTED-BY-DPS
2879 DP3412 04-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2880 DP3413 05-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2881 DP3414 07-Jan-2013 UPDATING-INDUSIND-BANK- ACCOUNT-NUMBERS-IN-BO-ACCOUNTS
2882 DP3415 07-Jan-2013 NAMES OF THE DPS EMPANELLED BY NSEL
2883 DP3416 07-Jan-2013 INVESTOR AWARENESS PROGRAMME
2884 DP3417 07-Jan-2013 SEBI-CIRCULAR-
RATIONALISATION- PROCESS-FOR-OBTAINING- PAN-BY-INVESTORS
2885 DP3418 07-Jan-2013 DETAILS OF CORPORATE ACTIONS
2886 DP3419 07-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2887 DP3420 08-Jan-2013 CHANGE OF NAME EFFECTED BY DPS

2888 DP3421 08-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL


2889 DP3422 09-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2890 DP3423 10-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2891 DP3424 10-Jan-2013 CDSLS-DP-TRAINING- PROGRAMME

2892 DP3425 11-Jan-2013 DETAILS OF CORPORATE ACTION


2893 DP3426 11-Jan-2013 NAMES OF THE DPS EMPANELLED BY NSE
2894 DP3427 11-Jan-2013 AVAILABILITY OF CDSL SYSTEM
2895 DP3428 11-Jan-2013 WITHDRAWAL-OF-DEPOSITORY-PARTICIPANT- OF-CDSL
2896 DP3429 11-Jan-2013 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2897 DP3430 14-Jan-2013 RAJIV-GANDHI-EQUITY-SAVINGS-SCHEME-RGESS
2898 DP3431 14-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2899 DP3432 15-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2900 DP3433 16-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2901 DP3434 16-Jan-2013 INVESTOR AWARENESS PROGRAMME
2902 DP3435 17-Jan-2013 UPDATING-INDUSIND-BANK-ACCOUNT-NUMBERS-IN-BO-ACCOUNTS
2903 DP3436 17-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2904 DP3437 17-Jan-2013 RAJIV-GANDHI-EQUITY-SAVINGS-SCHEME-RGESS
2905 DP3438 18-Jan-2013 AVAILABILITY OF CDSL SYSTEM
2906 DP3439 18-Jan-2013 INVESTOR AWARENESS PROGRAMMES
2907 DP3440 18-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2908 DP3441 18-Jan-2013 SMS-ALERTS-FOR-CREDIT- TRANSACTIONS
2909 DP3442 21-Jan-2013 REMINDER-
DISCONTINUATION-OF- INDIVIDUAL-UPLOADS-AND-
CORRESPONDING-SUCCESS-FAILURE-REPORTS
2910 DP3443 21-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2911 DP3444 22-Jan-2013 AVAILABILITY OF CDSL SYSTEM
2912 DP3445 22-Jan-2013 PENALTY-FOR-NON-MOVEMENT-OF-PAYOUT- SECURITIES-FROM-
CM-POOL-ACCOUNT-TO-BO ACCOUNT
2913 DP3446 22-Jan-2013 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS

2914 DP3447 22-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL


2915 DP3448 23-Jan-2013 INVESTOR AWARENESS PROGRAMMES
2916 DP3449 23-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2917 DP3450 23-Jan-2013 DETAILS OF CORPORATE ACTION
2918 DP3451 25-Jan-2013 SEBI-CIRCULAR-GUIDELINES-ON-IDENTIFICATION-OF-BENEFICIAL-
OWNERSHIP
2919 DP3452 25-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2920 DP3453 25-Jan-2013 SETTLEMENT-TIMINGS-OF- BSE-NSE-28-29-31012013
2921 DP3454 28-Jan-2013 MARKET-TYPES-AND-TRANSACTION-DESCRIPTION-OF-MCX-SX
2922 DP3455 28-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2923 DP3456 28-Jan-2013 DETAILS OF CORPORATE ACTIONS
2924 DP3457 29-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2925 DP3458 30-Jan-2013 ELECTRONIC-FILING-OF-BO- GRIEVANCE-REPORT
2926 DP3459 30-Jan-2013 DETAILS OF CORPORATE ACTIONS
2927 DP3460 30-Jan-2013 LIST-OF-ERROR-CODES-WITH-ERROR-CODE-DESCRIPTION
2928 DP3461 30-Jan-2013 RELEASE OF NEW CDAS VERSION
2929 DP3462 30-Jan-2013 CHANGE-OF-NAME-IN-THE- BENEFICAL-OWNER-ACCOUNT
2930 DP3463 31-Jan-2013 NEW-MARKET-TYPE-FOR- SEGMENT-OFFER-FOR- SALE-T2-BSE
Page 54
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2931 DP3464 31-Jan-2013 NEW-MARKET-TYPE-FOR-SEGMENT-OFFER-FOR-SALE-NSE
2932 DP3465 31-Jan-2013 PIN CODE MASTER REPORT CD12
2933 DP3466 31-Jan-2013 AMENDMENTS-TO-CDSL-BYE-LAWS
2934 DP3467 31-Jan-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2935 DP3468 01-Feb-2013 RAJIV-GANDHI-EQUITY-SAVINGS-SCHEME-CERTIFICATE
2936 DP3469 01-Feb-2013 DPB9-DPS8-AND-DPS9-REPORTS
2937 DP3470 01-Feb-2013 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2938 DP3471 01-Feb-2013 INVESTOR AWARENESS PROGRAMMES
2939 DP3472 01-Feb-2013 RAJIV-GANDHI-EQUITY- SAVINGS-SCHEME-FAQ
2940 DP3473 02-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2941 DP3474 04-Feb-2013 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2942 DP3475 05-Feb-2013 CDSL-INFO-CENTER-CIC
2943 DP3476 05-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2944 DP3477 06-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2945 DP3478 07-Feb-2013 INVESTOR AWARENESS PROGRAMMES
2946 DP3479 07-Feb-2013 DETAILS OF CORPORATE ACTION
2947 DP3480 07-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2948 DP3481 08-Feb-2013 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
2949 DP3482 08-Feb-2013 NAMES-OF-THE-DPS-EMPANELLED-BY-ACE
2950 DP3483 08-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2951 DP3484 11-Feb-2013 SETTLEMENT-OF-TRADES-DONE-ON-MCX-SX-THROUGH-CDSL
2952 DP3485 11-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2953 DP3486 11-Feb-2013 INVESTOR AWARENESS PROGRAMMES
2954 DP3487 12-Feb-2013 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
2955 DP3488 13-Feb-2013 INVESTOR-AWARENESS-PROGRAMME
2956 DP3489 13-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2957 DP3490 13-Feb-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING- PLATFORM
2958 DP3491 14-Feb-2013 DETAILS-OF-CORPORATE-ACTION
2959 DP3492 14-Feb-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING- PLATFORM
2960 DP3493 14-Feb-2013 INVESTOR AWARENESS PROGRAMMES
2961 DP3494 14-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2962 DP3495 15-Feb-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
2963 DP3496 15-Feb-2013 COMPLIANCE-MANUAL-FOR-DEPOSITORY-PARTICIPANTS
2964 DP3497 15-Feb-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING- PLATFORM
2965 DP3498 15-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2966 DP3499 16-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2967 DP3500 18-Feb-2013 CONCURRENT-AUDIT-OF-RISK-PRONE-AREAS-OF-THE-DPS-
REVISED-CHECKLIST

2968 DP3501 18-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL


2969 DP3502 19-Feb-2013 AMENDMENTS-TO-THE-DP-BO-AGREEMENT-FOR-COMMODITIES
2970 DP3503 19-Feb-2013 SETTLEMENT-TIMINGS-OF-BSE-NSE-MCX-SX-20-21-25022013
2971 DP3504 19-Feb-2013 REMINDER-NISM-SERIES-VI- DEPOSITORY-OPERATIONS-
CERTIFICATION-EXAMINATION
2972 DP3505 19-Feb-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
2973 DP3506 19-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2974 DP3507 20-Feb-2013 INVESTOR-AWARENESS-PROGRAMMES
2975 DP3508 21-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2976 DP3509 21-Feb-2013 INVESTOR AWARENESS PROGRAMMES
2977 DP3510 21-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2978 DP3511 21-Feb-2013 INVESTOR AWARENESS PROGRAMME
2979 DP3512 22-Feb-2013 INVESTOR-AWARENESS-PROGRAMME
2980 DP3513 22-Feb-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING- PLATFORM
2981 DP3514 22-Feb-2013 SETTLEMENT TIMINGS OF MCX-SX ON MONDAY FEBRUARY 25 2013
2982 DP3515 22-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2983 DP3516 25-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2984 DP3517 26-Feb-2013 BSDA-RGESS-CHECK- THROUGH-PAN-SEARCH

2985 DP3518 26-Feb-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM


2986 DP3519 26-Feb-2013 DETAILS OF CORPORATE ACTION
2987 DP3520 26-Feb-2013 WITHDRAWAL-OF-SECURITIES-FROM-CDSL
2988 DP3521 26-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2989 DP3522 27-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2990 DP3523 28-Feb-2013 RELEASE-OF-NEW-CDAS-VERSION-AND-AVAILABILITY-OF- CDSL-
SYSTEM

Page 55
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
2991 DP3524 28-Feb-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2992 DP3525 28-Feb-2013 INVESTOR AWARENESS PROGRAMMES
2993 DP3526 01-Mar-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING- PLATFORM
2994 DP3527 01-Mar-2013 DETAILS OF CORPORATE ACTION
2995 DP3528 01-Mar-2013 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
2996 DP3529 02-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
2997 DP3530 04-Mar-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
2998 DP3531 04-Mar-2013 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
2999 DP3532 05-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3000 DP3533 05-Mar-2013 INVESTOR AWARENESS PROGRAMME
3001 DP3534 06-Mar-2013 DETAILS OF CORPORATE ACTION
3002 DP3535 06-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3003 DP3536 06-Mar-2013 OPENING OF COLLATERAL ACCOUNTS FOR MCX-SXCCL IN CDSL
BY SHCIL
3004 DP3537 06-Mar-2013 SUBMISSION OF COMPLAINTS RECEIVED DIRECTLY BY DPS
3005 DP3538 07-Mar-2013 INVESTOR AWARENESS PROGRAMMES
3006 DP3539 07-Mar-2013 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
3007 DP3540 08-Mar-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
3008 DP3541 08-Mar-2013 SEBI-CIRCULAR-GUIDELINES-FOR-ENABLING-PARTIAL-TWO-WAY-
FUNGIBILITY-OF-
IDRS
3009 DP3542 08-Mar-2013 NAMES-OF-THE-DPS-EMPANELLED-BY-NSEL
3010 DP3543 08-Mar-2013 WITHDRAWAL-OF-DEPOSITORY-PARTICIPANT-OF-CDSL
3011 DP3544 08-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3012 DP3545 11-Mar-2013 POSTAL BALLOTS THROUGH CDSLS EVOTING PLATFORM
3013 DP3546 11-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3014 DP3547 12-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3015 DP3548 13-Mar-2013 INVESTOR-AWARENESS-PROGRAMME
3016 DP3549 13-Mar-2013 SEBI-NOTIFICATION-NISM-SERIES-III-A-CERTIFICATION
EXAMINATION
3017 DP3550 13-Mar-2013 INVESTOR-AWARENESS-PROGRAMMES
3018 DP3551 13-Mar-2013 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
3019 DP3552 14-Mar-2013 INVESTOR AWARENESS PROGRAMMES
3020 DP3553 14-Mar-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3021 DP3554 14-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3022 DP3555 15-Mar-2013 INVESTOR AWARENESS PROGRAMME
3023 DP3556 15-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3024 DP3557 16-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3025 DP3558 18-Mar-2013 DETAILS OF CORPORATE ACTIONS
3026 DP3559 18-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3027 DP3560 18-Mar-2013 WITHDRAWAL OF SECURITIES FROM CDSL
3028 DP3561 19-Mar-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
3029 DP3562 19-Mar-2013 INVESTOR AWARENESS PROGRAMME
3030 DP3563 19-Mar-2013 INVESTOR AWARENESS PROGRAMME
3031 DP3564 19-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3032 DP3565 20-Mar-2013 FATF-PUBLIC-STATEMENT-DATED-FEBRUARY-22-2013
3033 DP3566 20-Mar-2013 CHANGE-OF-NAME-EFFECTED-BY-DPS
3034 DP3567 20-Mar-2013 INVESTOR AWARENESS PROGRAMMES
3035 DP3568 20-Mar-2013 BSDA-DPJ9-REPORT-DPK3-REPORT
3036 DP3569 20-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3037 DP3570 20-Mar-2013 INVESTOR AWARENESS PROGRAMMES
3038 DP3571 21-Mar-2013 DETAILS-OF-CHANGE-OF-RTA-EFFECTED-BY-ISSUERS
3039 DP3572 21-Mar-2013 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
3040 DP3573 22-Mar-2013 SEBI-CIRCULAR-USAGE-OF- ELECTRONIC-PAYMENT-MODES-FOR-
MAKING-
CASH-PAYMENTS-TO-THE-INVESTORS
3041 DP3574 22-Mar-2013 RGESS-DPK4-REPORT
3042 DP3575 22-Mar-2013 RELEASE OF NEW CDAS VERSION
3043 DP3576 23-Mar-2013 CDSLS DP TRAINING PROGRAMME
3044 DP3577 23-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3045 DP3578 25-Mar-2013 SEBI-KYC-REGISTRATION-AGENCY-AMENDMENT-
REGULATIONS-2013

3046 DP3579 25-Mar-2013 DUE-DILIGENCE-SUPERVISION-OF-SERVICE-CENTRE-OF-DPS


3047 DP3580 26-Mar-2013 DETAILS-OF-CORPORATE-ACTIONS
3048 DP3581 26-Mar-2013 REVISED-FORMAT-OF-IAR-AND-CAR

Page 56
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3049 DP3582 26-Mar-2013 DISPATCH-OF-TRANSACTION-AND-HOLDING-STATEMENTS-ON-
BEHALF-OF-DPS
3050 DP3583 26-Mar-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3051 DP3584 28-Mar-2013 INCREASE-IN-WIDTH-OF-BO-SUB-STATUS-FROM-2-DIGITS-TO-4-
DIGITS
3052 DP3585 28-Mar-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
3053 DP3586 28-Mar-2013 CONCURRENT-AUDIT-OF-RISK-PRONE-AREAS-BY-CONCURRENT-
INTERNAL-AUDITORS-OF-THE-DPS
3054 DP3587 28-Mar-2013 WITHDRAWAL-OF-SECURITIES-FROM-CDSL
3055 DP3588 28-Mar-2013 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
3056 DP3589 28-Mar-2013 MOVEMENT-OF-PAYOUT- SECURITIES-FROM-CM-POOL ACCOUNT-
TO-BO-ACCOUNT
3057 DP3590 30-Mar-2013 NAMES-OF-THE-DPS-EMPANELLED-BY-NSEL
3058 DP3591 30-Mar-2013 SETTLEMENT-TIMINGS-OF-BSE-NSE-MCX-SX
3059 DP3592 01-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3060 DP3593 02-Apr-2013 DETAILS-OF-CHANGE-OF-RTA-EFFECTED-BY-ISSUERS
3061 DP3594 02-Apr-2013 REVISION-IN-TARIFF-STRUCTURE-FOR-COMMODITY-FOR-DEBIT-
TRANSACTIONS
3062 DP3595 02-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3063 DP3596 03-Apr-2013 INVESTOR-AWARENESS-PROGRAMMES
3064 DP3597 03-Apr-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING- PLATFORM
3065 DP3598 03-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3066 DP3599 04-Apr-2013 DETAILS-OF-CORPORATE-ACTIONS
3067 DP3600 04-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3068 DP3601 05-Apr-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING- PLATFORM
3069 DP3602 05-Apr-2013 INVESTOR AWARENESS PROGRAMME
3070 DP3603 05-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3071 DP3604 06-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3072 DP3605 08-Apr-2013 DP89-REPORT-ON-PROBABLE-FAILS
3073 DP3606 08-Apr-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
3074 DP3607 08-Apr-2013 INVESTOR-AWARENESS-PROGRAMME
3075 DP3608 08-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3076 DP3609 09-Apr-2013 DETAILS-OF-CORPORATE-ACTIONS
3077 DP3610 09-Apr-2013 INVESTOR-AWARENESS-PROGRAMMES
3078 DP3611 09-Apr-2013 SUBMISSION-DISSEMINATION-OF-DP-TARIFF-CHARGE-STRUCTURE
3079 DP3612 09-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3080 DP3613 10-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3081 DP3614 11-Apr-2013 RELEASE OF NEW CDAS VERSION
3082 DP3615 11-Apr-2013 SETTLEMENT-TIMINGS-OF-BSE-NSE-MCX-SX
3083 DP3616 11-Apr-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
3084 DP3617 11-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3085 DP3618 11-Apr-2013 RELEASE-OF-NEW-FACILITIES-PAN-INQUIRY-UPLOAD-BSDA-RGESS-
ACCOUNTS-ONLINE-DP89-REPORT
3086 DP3619 12-Apr-2013 INVESTOR-AWARENESS-PROGRAMME
3087 DP3620 12-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3088 DP3621 12-Apr-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
3089 DP3622 13-Apr-2013 DETAILS OF CORPORATE ACTION
3090 DP3623 15-Apr-2013 WITHDRAWAL-OF-DEPOSITORY-PARTICIPANT-OF-CDSL
3091 DP3624 15-Apr-2013 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
3092 DP3625 16-Apr-2013 AVAILABILITY-OF-CDSL-SYSTEM
3093 DP3626 16-Apr-2013 REVISED-FORMAT-FOR-REPORT-ON-IAR-CAR
3094 DP3627 16-Apr-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
3095 DP3628 16-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3096 DP3629 17-Apr-2013 INVESTOR AWARENESS PROGRAMMES
3097 DP3630 17-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3098 DP3631 18-Apr-2013 DISCONTINUATION-OF-EXISTING-FACILITY-OF-
DP89-REPORT-SPECIFIC-INTERVALS
3099 DP3632 18-Apr-2013 MOVEMENT-OF-PAYOUT-SECURITIES-FROM-CM-POOL-ACCOUNT-
TO-BO-ACCOUNT
3100 DP3633 18-Apr-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
3101 DP3634 18-Apr-2013 DETAILS-OF-SECURITIES- ADMITTED-WITH-CDSL
3102 DP3635 18-Apr-2013 UNIVERSAL-COMMODITY- EXCHANGE-LIMITED-REGISTERED-WITH-
CDSL
3103 DP3636 18-Apr-2013 INTER-DEPOSITORY-TRANSFERS-ON-APRIL-19-2013
3104 DP3637 22-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3105 DP3638 22-Apr-2013 WITHDRAWAL-OF-DEPOSITORY-PARTICIPANTS-OF-CDSL

Page 57
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3106 DP3639 22-Apr-2013 MOVEMENT-OF-PAYOUT-SECURITIES-FROM-CM-POOL-ACCOUNT-
TO-BO-ACCOUNT
3107 DP3640 23-Apr-2013 POSTAL-BALLOTS-THROUGH-CDSL-E-VOTING-PLATFORM
3108 DP3641 23-Apr-2013 DETAILS-OF-CORPORATE-ACTION
3109 DP3642 23-Apr-2013 REMINDER-ENCRYPTION-OF-UPLOAD-FILES
3110 DP3643 23-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3111 DP3644 25-Apr-2013 INVESTOR AWARENESS PROGRAMMES
3112 DP3645 25-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3113 DP3646 26-Apr-2013 INTER DEPOSITORY TRANSFERS ON SATURDAY APRIL 27 2013
3114 DP3647 26-Apr-2013 DETAILS OF CORPORATE ACTION
3115 DP3648 26-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3116 DP3649 26-Apr-2013 ANNUAL BILL
3117 DP3650 29-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3118 DP3651 29-Apr-2013 INSURANCE POLICY FOR SECURITIES
3119 DP3652 30-Apr-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3120 DP3653 30-Apr-2013 MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
3121 DP3654 30-Apr-2013 REMINDER
INCREASE IN WIDTH OF BO SUB STATUS FROM 2 DIGITS TO 4
DIGITS
3122 DP3655 30-Apr-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3123 DP3656 30-Apr-2013 DISCONTINUATION OF EXISTING FACILITY OF GENERATING DP89
REPORT AT SPECIFIC INTERVALS
3124 DP3657 02-May-2013 INVESTOR AWARENESS PROGRAMMES
3125 DP3658 02-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3126 DP3659 02-May-2013 CHANGE OF NAME EFFECTED BY DPS
3127 DP3660 03-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3128 DP3661 06-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3129 DP3662 06-May-2013 OPEN OFFER OF PANTALOONS FASHION AND RETAIL LIMITED
3130 DP3663 07-May-2013 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
3131 DP3664 07-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3132 DP3665 07-May-2013 POSTAL BALLOTS THROUGH CDSLS EVOTING PLATFORM
3133 DP3666 08-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3134 DP3667 08-May-2013 POSTAL BALLOTS THROUGH CDSLS EVOTING PLATFORM
3135 DP3668 09-May-2013 NEW-MARKET-TYPES
3136 DP3669 09-May-2013 NEW-MARKET-TYPES-NSE
3137 DP3670 09-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3138 DP3671 10-May-2013 REMINDER-DISCONTINUATION-OF- EXISTING-FACILITY-OF-
GENERATING-DP89-REPORT
3139 DP3672 10-May-2013 INVESTOR-AWARENESS- PROGRAMME
3140 DP3673 10-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3141 DP3674 11-May-2013 SETTLEMENT TIMINGS OF BSE NSE AND MCX SX
3142 DP3675 13-May-2013 EASIEST-REGISTRATION-RENEWAL-FEES-FOR-ACCOUNT-OF-
CHOICE
3143 DP3676 13-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3144 DP3677 14-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3145 DP3678 14-May-2013 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
3146 DP3679 14-May-2013 POSTAL BALLOTS THROUGH CDSL E-VOTING PLATFORM
3147 DP3680 15-May-2013 NAMES OF THE DPS EMPANELLED BY NSEL
3148 DP3681 15-May-2013 POSTAL BALLOTS THROUGH CDSL E-VOTING PLATFORM
3149 DP3682 15-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3150 DP3683 16-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3151 DP3684 16-May-2013 CONTACT DETAILS OF CDSL OFFICIALS
3152 DP3685 16-May-2013 DETAILS OF CORPORATE ACTIONS
3153 DP3686 17-May-2013 REMINDER-
INCREASE IN WIDTH OF BO SUB STATUS FROM 2 DIGITS TO 4
DIGITS
3154 DP3687 17-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3155 DP3688 17-May-2013 UID DETAILS IN CDAS SYSTEM
3156 DP3690 18-May-2013 DIVIDEND BANK DETAILS
3157 DP3689 21-May-2013 CDSL-DP-OPERATING-INSTRUCTIONS-APRIL-2013
3158 DP3691 21-May-2013 INSURANCE CERTIFICATES
3159 DP3692 22-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3160 DP3693 22-May-2013 WITHDRAWAL OF SECURITIES FROM CDSL
3161 DP3694 23-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3162 DP3695 24-May-2013 INVESTOR AWARENESS PROGRAMMES
3163 DP3696 24-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
Page 58
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3164 DP3697 25-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3165 DP3698 27-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3166 DP3699 27-May-2013 SECURITIES AND EXCHANGE BOARD OF INDIA DEPOSITORIES AND
PARTICIPANTS-AMENDMENT REGULATIONS-2013
3167 DP3700 28-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3168 DP3701 28-May-2013 INVESTOR AWARENESS PROGRAMME
3169 DP3702 29-May-2013 DEADLINE TIME FOR THE SUBMISSION OF DEBT SEGMENT
INSTRUCTIONS-NSE
3170 DP3703 29-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3171 DP3704 29-May-2013 POSTAL BALLOTS THROUGH CDSL E-VOTING PLATFORM
3172 DP3705 29-May-2013 INVESTOR AWARENESS PROGRAMME
3173 DP3706 30-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3174 DP3707 30-May-2013 BASIC SERVICES DEMAT ACCOUNT
3175 DP3708 30-May-2013 RELEASE OF NEW FACILITIES FOR RAJIV GANDHI EQUITY SAVINGS
SCHEME
3176 DP3709 30-May-2013 RELEASE OF NEW CDAS VERSION AND
AVAILABILITY OF CDSL SYSTEM
3177 DP3710 31-May-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3178 DP3711 31-May-2013 CDSLS DP TRAINING PROGRAMME
3179 DP3712 31-May-2013 DETAILS OF CORPORATE ACTIONS
3180 DP3713 31-May-2013 REMINDER-
SUBMISSION - DISSEMINATION OF DP TARIFF - CHARGE
STRUCTURE TO CDSL EVERY YEAR
3181 DP3714 31-May-2013 CHANGE OF NAME EFFECTED BY DPS
3182 DP3715 31-May-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3183 DP3716 31-May-2013 INVESTOR AWARENESS PROGRAMME
3184 DP3717 01-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3185 DP3718 01-Jun-2013 CLARIFICATION ON COMPUTATION OF
NET WORTH CERTIFICATE
3186 DP3719 03-Jun-2013 REVIEW OF SECURITIES LENDING - BORROWING -SLB-
FRAMEWORK
3187 DP3720 04-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3188 DP3721 05-Jun-2013 DETAILS OF CORPORATE ACTIONS
3189 DP3722 05-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3190 DP3723 05-Jun-2013 INVESTOR AWARENESS PROGRAMME
3191 DP3724 06-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3192 DP3725 07-Jun-2013 NAMES OF THE DPS EMPANELLED BY UCX FOR OPENING OF
ACCOUNTS FOR COMMODITIES-HOLDING WAREHOUSE RECEIPTS
IN ELECTRONIC FORM
3193 DP3726 07-Jun-2013 NEW MARKET TYPE OF UNIVERSAL COMMODITY EXCHANGE
3194 DP3727 07-Jun-2013 NEW MARKET TYPES FOR DEBT SEGMENT OF MCX-SX
3195 DP3728 07-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3196 DP3729 08-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3197 DP3730 10-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3198 DP3731 10-Jun-2013 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS CHAPTER
8 PLEDGE UNPLEDGE INVOCATION
3199 DP3732 10-Jun-2013 DETAILS OF CORPORATE ACTIONS
3200 DP3733 10-Jun-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3201 DP3734 10-Jun-2013 DEADLINE TIME FOR THE SUBMISSION OF DEBT SEGMENT
INSTRUCTIONS OF MCX-SX
3202 DP3735 11-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3203 DP3736 11-Jun-2013 INVESTOR AWARENESS PROGRAMME
3204 DP3737 11-Jun-2013 INVESTOR AWARENESS PROGRAMMES
3205 DP3738 11-Jun-2013 DETAILS OF CORPORATE ACTIONS
3206 DP3739 12-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3207 DP3740 12-Jun-2013 INVESTOR AWARENESS PROGRAMME
3208 DP3741 13-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3209 DP3742 13-Jun-2013 BO ISIN FREEZE SETUP FOR FUTURE DATE
3210 DP3743 14-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3211 DP3744 14-Jun-2013 RESCHEDULED INVESTOR AWARENESS PROGRAMME ANDHRA
PRADESH
3212 DP3745 15-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3213 DP3746 17-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3214 DP3747 17-Jun-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3215 DP3748 17-Jun-2013 INVESTOR AWARENESS PROGRAMME
3216 DP3749 17-Jun-2013 INVESTOR AWARENESS PROGRAMME
3217 DP3750 18-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3218 DP3751 18-Jun-2013 WITHDRAWAL OF SECURITIES FROM CDSL

Page 59
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3219 DP3752 18-Jun-2013 INVESTOR AWARENESS PROGRAMME
3220 DP3753 18-Jun-2013 INVESTOR AWARENESS PROGRAMMES
3221 DP3754 19-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3222 DP3755 20-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3223 DP3756 20-Jun-2013 CDSLS ONLINE TUTORIAL FOR NISM SERIES VI DOCE
3224 DP3757 20-Jun-2013 DORMANT ACCOUNT TRANSACTION
3225 DP3758 21-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3226 DP3759 21-Jun-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3227 DP3760 21-Jun-2013 INVESTOR AWARENESS PROGRAMME
3228 DP3761 22-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3229 DP3762 24-Jun-2013 INVESTOR AWARENESS PROGRAMME
3230 DP3763 25-Jun-2013 INVESTORS INTERMEDIARIES INTERFACE PROGRAM
3231 DP3764 25-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3232 DP3765 25-Jun-2013 MARKET TYPES FOR COMMODITY EXCHANGES
3233 DP3766 25-Jun-2013 INVESTOR AWARENESS PROGRAMMES
3234 DP3767 26-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3235 DP3768 27-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3236 DP3769 27-Jun-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3237 DP3770 27-Jun-2013 PLACING AUDIT- INSPECTION REPORTS BY A DP TO ITS BOARD OF
DIRECTORS
3238 DP3771 28-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3239 DP3772 29-Jun-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3240 DP3773 29-Jun-2013 SETTLEMENT TIMINGS OF BSE-NSE-MCX-SX ON TUESDAY-JULY-02-
2013-WEDNESDAY-JULY-03-2013-FRIDAY-JULY-05-2013
3241 DP3774 02-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3242 DP3775 02-Jul-2013 WITHDRAWAL OF SECURITIES FROM CDSL
3243 DP3776 02-Jul-2013 ACCEPTING THE DIGITAL SIGNATURE CERTIFICATE -DSC-
OBTAINED FROM OTHER RA -REGISTERING AUTHORITY OF TATA
CONSULTANCY SERVICES-TCS- IN EASIEST LOGIN.
3244 DP3777 02-Jul-2013 DETAILS OF CORPORATE ACTIONS
3245 DP3778 02-Jul-2013 INVESTOR AWARENESS PROGRAMMES
3246 DP3779 02-Jul-2013 INVESTOR AWARENESS PROGRAMME
3247 DP3780 03-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3248 DP3781 03-Jul-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3249 DP3782 04-Jul-2013 DETAILS OF CORPORATE ACTIONS
3250 DP3783 04-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3251 DP3784 05-Jul-2013 RELEASE OF NEW CDAS VERSION AND AVAILABILITY OF CDSL
SYSTEM
3252 DP3785 05-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3253 DP3786 06-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3254 DP3787 08-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3255 DP3788 08-Jul-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3256 DP3789 08-Jul-2013 INVESTOR AWARENESS PROGRAMMES
3257 DP3790 09-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3258 DP3791 09-Jul-2013 INVESTOR AWARENESS PROGRAMMES

3259 DP3792 09-Jul-2013 INTER DEPOSITORY TRANSFERS ON JULY 10-2013 AND JULY- 13-
2013
3260 DP3793 10-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3261 DP3794 10-Jul-2013 INVESTOR AWARENESS PROGRAMMES
3262 DP3795 11-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3263 DP3796 11-Jul-2013 DETAILS OF CORPORATE ACTIONS
3264 DP3797 11-Jul-2013 NAMES OF THE DPS EMPANELLED BY NSEL FOR OPENING OF
ACCOUNTS FOR COMMODITIES-HOLDING WAREHOUSE RECEIPTS
IN ELECTRONIC FORM
3265 DP3798 11-Jul-2013 RELEASE OF NEW CDAS VERSION AND AVAILABILITY OF CDSL
SYSTEM
3266 DP3799 12-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3267 DP3800 12-Jul-2013 FINANCIAL ACTION TASK FORCE -FATF-PUBLIC STATEMENT DATED
JUNE 21- 2013
3268 DP3801 12-Jul-2013 REMINDER-SUBMISSION OF NET WORTH CERTIFICATE- AUDITED
FINANCIAL STATEMENTS
3269 DP3802 12-Jul-2013 INVESTOR AWARENESS PROGRAMME
3270 DP3803 13-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3271 DP3804 13-Jul-2013 PAY- IN THROUGH SMS

Page 60
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3272 DP3805 15-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3273 DP3806 16-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3274 DP3807 17-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3275 DP3808 17-Jul-2013 POSTAL BALLOTS THROUGH CDSLS EVOTING PLATFORM
3276 DP3809 18-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3277 DP3810 19-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3278 DP3811 19-Jul-2013 INVESTOR AWARENESS PROGRAMMES
3279 DP3812 19-Jul-2013 UPDATING THE KALUPUR COMMERCIAL CO-OPERATIVE BANK
ACCOUNT NUMBERS IN BO ACCOUNTS
3280 DP3813 22-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3281 DP3814 22-Jul-2013 INVESTOR AWARENESS PROGRAMME
3282 DP3815 22-Jul-2013 WITHDRAWAL OF SECURITIES FROM CDSL
3283 DP3816 22-Jul-2013 INVESTOR AWARENESS PROGRAMME
3284 DP3817 23-Jul-2013 NEW MARKET TYPE AND THE DEADLINE TIME FOR SUBMISSION OF
INSTRUCTIONS -NSE
3285 DP3818 23-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3286 DP3819 23-Jul-2013 DETAILS OF CORPORATE ACTIONS
3287 DP3820 23-Jul-2013 NAMES OF THE DPS EMPANELLED BY NSEL FOR OPENING OF
ACCOUNTS FOR COMMODITIES - HOLDING WAREHOUSE RECEIPTS
IN ELECTRONIC FORM
3288 DP3821 23-Jul-2013 INVESTOR AWARENESS PROGRAMME
3289 DP3822 24-Jul-2013 INVESTOR AWARENESS PROGRAMME
3290 DP3823 24-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3291 DP3824 25-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3292 DP3825 25-Jul-2013 INVESTOR AWARENESS PROGRAMMES
3293 DP3826 26-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3294 DP3827 27-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3295 DP3828 27-Jul-2013 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3296 DP3829 29-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3297 DP3830 29-Jul-2013 DETAILS OF CORPORATE ACTIONS
3298 DP3831 29-Jul-2013 DIVIDEND BANK DETAILS
3299 DP3832 29-Jul-2013 INVESTOR AWARENESS PROGRAMME

3300 DP3833 30-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL


3301 DP3834 30-Jul-2013 INVESTOR AWARENESS PROGRAMME
3302 DP3835 31-Jul-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3303 DP3836 01-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3304 DP3837 01-Aug-2013 POSTAL BALLOTS THROUGH CDSLS EVOTING PLATFORM
3305 DP3838 01-Aug-2013 INVESTOR AWARENESS PROGRAMME
3306 DP3839 01-Aug-2013 RELEASE OF BOISIN FREEZE SETUP FOR CURRENT OR FUTURE
DATE AND AVAILABILITY OF CDSL SYSTEM
3307 DP3840 02-Aug-2013 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS-JUNE 2013
3308 DP3841 02-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3309 DP3842 02-Aug-2013 TRUST - TRANSACTIONS USING SECURED TEXTING FOR CDSL
DEMAT ACCOUNT HOLDERS
3310 DP3843 03-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3311 DP3844 05-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3312 DP3845 05-Aug-2013 CIRL RECEIVES CERTIFICATE OF REGISTRATION AS AN INSURANCE
REPOSITORY
3313 DP3846 06-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3314 DP3847 06-Aug-2013 POSTAL BALLOTS THROUGH CDSLS EVOTING PLATFORM
3315 DP3848 06-Aug-2013 MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
3316 DP3849 07-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3317 DP3850 07-Aug-2013 DETAILS OF CORPORATE ACTIONS
3318 DP3851 07-Aug-2013 CDSLS DP TRAINING PROGRAMME AUGUST 26 TO AUGUST 30 2013
3319 DP3852 08-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3320 DP3853 08-Aug-2013 AMENDMENTS TO THE FORMAT OF IAR _CAR SEPTEMBER 2013
3321 DP3854 12-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3322 DP3855 12-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3323 DP3856 12-Aug-2013 ALL INDIA SEMINARS ON KRA INTEROPERABILITY AND OTHER
COMPLIANCE.
3324 DP3857 12-Aug-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3325 DP3858 12-Aug-2013 INVESTOR AWARENESS PROGRAMMES
3326 DP3859 12-Aug-2013 AVAILABILITY OF CDSL SYSTEM
3327 DP3860 13-Aug-2013 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3328 DP3861 13-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 61
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3329 DP3862 13-Aug-2013 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
3330 DP3863 13-Aug-2013 NISM SERIES VI DEPOSITORY OPERATIONS CERTIFICATION
EXAMINATION
3331 DP3864 14-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3332 DP3865 14-Aug-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3333 DP3866 14-Aug-2013 DETAILS OF CORPORATE ACTIONS
3334 DP3867 16-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3335 DP3868 16-Aug-2013 WITHDRAWAL OF SECURITIES FROM CDSL
3336 DP3869 16-Aug-2013 INVESTOR AWARENESS PROGRAMME
3337 DP3870 17-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3338 DP3871 19-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3339 DP3872 19-Aug-2013 INVESTOR AWARENESS PROGRAMME
3340 DP3873 19-Aug-2013 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3341 DP3874 19-Aug-2013 INVESTOR AWARENESS PROGRAMME
3342 DP3875 20-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3343 DP3876 20-Aug-2013 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3344 DP3877 20-Aug-2013 INVESTOR AWARENESS PROGRAMME
3345 DP3878 20-Aug-2013 UPDATING THE KALUPUR BANK ACCOUNT NUMBERS IN BO
ACCOUNTS
3346 DP3879 21-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3347 DP3880 21-Aug-2013 CHANGE OF NAME EFFECTED BY DPS
3348 DP3881 21-Aug-2013 ADDITIONAL FEATURE IN DP57 REPORT- PLEDGE MODULE
3349 DP3882 22-Aug-2013 INVESTOR AWARENESS PROGRAMMES
3350 DP3883 22-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3351 DP3884 22-Aug-2013 RELEASE OF NEW CDAS VERSION AND AVAILABILITY OF CDSL
SYSTEM
3352 DP3885 22-Aug-2013 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3353 DP3886 23-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3354 DP3887 23-Aug-2013 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3355 DP3888 24-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3356 DP3889 27-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3357 DP3890 27-Aug-2013 TERMINATION OF AGREEMENT BETWEEN CDSL AND PUG
SECURITIES PRIVATE LIMITED
3358 DP3891 28-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3359 DP3892 29-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3360 DP3893 29-Aug-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3361 DP3894 29-Aug-2013 SEBI CIRCULAR GENERAL GUIDELINES FOR DEALING WITH
CONFLICTS OF INTEREST OF INTERMEDIARIES RECOGNISED
STOCK EXCHANGES RECOGNISED CLEARING CORPORATIONS
DEPOSITORIES AND THEIR ASSOCIATED PERSONS IN SECURITIES
MARKET
3362 DP3895 30-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3363 DP3896 30-Aug-2013 CHANGE OF NAME EFFECTED BY DPS
3364 DP3897 30-Aug-2013 INVESTOR AWARENESS PROGRAMME
3365 DP3898 31-Aug-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3366 DP3899 02-Sep-2013 INVESTOR AWARENESS PROGRAMMES
3367 DP3900 02-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3368 DP3901 03-Sep-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3369 DP3902 03-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3370 DP3903 03-Sep-2013 INVESTOR AWARENESS PROGRAMMES
3371 DP3904 04-Sep-2013 DETAILS OF CORPORATE ACTIONS
3372 DP3905 04-Sep-2013 INSURANCE CERTIFICATES
3373 DP3906 04-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3374 DP3907 04-Sep-2013 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
3375 DP3908 05-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3376 DP3909 06-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3377 DP3910 07-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3378 DP3911 10-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3379 DP3912 10-Sep-2013 DEMATERIALISATION AND REMATERIALISATION OF GOVERNMENT
SECURITIES
3380 DP3913 11-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3381 DP3914 12-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3382 DP3915 13-Sep-2013 CHANGE-OF-NAME-IN-THE-BO-ACCOUNT-FOR-NON-INDIVIDUALS
3383 DP3916 13-Sep-2013 DETAILS-OF-SECURITIES-ADMITTED-WITH-CDSL
3384 DP3917 13-Sep-2013 DETAILS-OF-CORPORATE-ACTION

Page 62
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3385 DP3918 13-Sep-2013 AMENDMENTS-TO-CDSL-DP-OPERATING-INSTRUCTIONS-CHAPTER-
2-AND-CHAPTER-3
3386 DP3919 16-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3387 DP3920 16-Sep-2013 INVESTOR AWARENESS PROGRAMME
3388 DP3921 16-Sep-2013 SEBI CIRCULAR KNOW YOUR CLIENT REQUIREMENTS FOR ELIGIBLE
FOREIGN INVESTORS
3389 DP3922 17-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3390 DP3923 17-Sep-2013 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3391 DP3924 17-Sep-2013 CONTINUING PROFESSIONAL EDUCATION-CPE- PROGRAMME OF
NISM
3392 DP3925 18-Sep-2013 INVESTOR AWARENESS PROGRAMMES
3393 DP3926 18-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3394 DP3927 18-Sep-2013 INVESTOR AWARENESS PROGRAMMES
3395 DP3928 19-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3396 DP3929 19-Sep-2013 RELEASE OF NEW CDAS VERSION
3397 DP3930 19-Sep-2013 POSTAL BALLOTS THROUGH CDSL E-VOTING PLATFORM
3398 DP3931 19-Sep-2013 TRUST - TRANSACTIONS USING SECURED TEXTING FOR CDSL
DEMAT ACCOUNT HOLDERS
3399 DP3932 20-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3400 DP3933 20-Sep-2013 RELEASE OF ADDITIONAL FEATURE IN DP57 REPORT- PLEDGE
MODULE
3401 DP3934 20-Sep-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3402 DP3935 21-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3403 DP3936 23-Sep-2013 DETAILS OF CORPORATE ACTIONS
3404 DP3937 23-Sep-2013 FILE FORMATS FOR TRUST -
TRANSACTIONS USING SECURED TEXTING
3405 DP3938 24-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3406 DP3939 25-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3407 DP3940 26-Sep-2013 RELEASE OF BROWSER BASED CDAS APPLICATION
3408 DP3941 26-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3409 DP3942 26-Sep-2013 INVESTOR AWARENESS PROGRAMME
3410 DP3943 27-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3411 DP3944 27-Sep-2013 AVAILABILITY OF CDSL SYSTEM
3412 DP3945 27-Sep-2013 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
3413 DP3946 27-Sep-2013 DETAILS OF CORPORATE ACTIONS
3414 DP3947 27-Sep-2013 UPDATING NEW INDIA CO-OP BANK LTD ACCOUNT NUMBERS IN BO
ACCOUNTS
3415 DP3948 28-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3416 DP3949 30-Sep-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3417 DP3950 30-Sep-2013 ARRANGEMENT FOR REDEMPTION OF E-SERIES - GOLD AND
SILVER- UNITS BY NATIONAL SPOT EXCHANGE - NEW MARKET TYPE
AND DEADLINE TIME FOR SUBMISSION OF INSTRUCTIONS
3418 DP3951 01-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3419 DP3952 01-Oct-2013 INVESTOR AWARENESS PROGRAMME
3420 DP3953 03-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3421 DP3954 03-Oct-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3422 DP3955 03-Oct-2013 RELEASE OF BROWSER BASED CDAS APPLICATION
3423 DP3956 04-Oct-2013 UPDATING NEW INDIA CO-OP BANK LTD ACCOUNT NUMBERS IN BO
ACCOUNTS
3424 DP3957 04-Oct-2013 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3425 DP3958 04-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3426 DP3959 04-Oct-2013 NSEL CIRCULAR - REVISED REDEMPTION AND SETTLEMENT
SCHEDULE OF E-GOLD AND E-SILVER
3427 DP3960 04-Oct-2013 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION -CPE- PROGRAMME OF NISM - DEPOSITORY
OPERATIONS
3428 DP3961 05-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3429 DP3962 07-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3430 DP3963 07-Oct-2013 CDSLS DP TRAINING PROGRAMME
3431 DP3964 08-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3432 DP3965 08-Oct-2013 DETAILS OF CORPORATE ACTIONS
3433 DP3966 08-Oct-2013 NSEL CIRCULAR ARRANGEMENT FOR REDEMPTION OF E-SERIES
GOLD AND SILVER
3434 DP3967 08-Oct-2013 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION CPE PROGRAMME OF NISM - DEPOSITORY
OPERATIONS
3435 DP3968 09-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3436 DP3969 09-Oct-2013 SEBI CIRCULAR
FOR KNOW YOUR CLIENT REQUIREMENTS

Page 63
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3437 DP3970 10-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3438 DP3971 10-Oct-2013 DETAILS OF CORPORATE ACTIONS
3439 DP3972 10-Oct-2013 RELEASE OF ADDITIONAL FEATURES IN INTER-DEPOSITORY
TRANSACTIONS AND RGESS RELATED FREEZE
3440 DP3973 10-Oct-2013 AVAILABILITY OF CDSL SYSTEM
3441 DP3974 11-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3442 DP3975 11-Oct-2013 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
3443 DP3976 12-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3444 DP3977 14-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3445 DP3978 14-Oct-2013 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3446 DP3979 14-Oct-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3447 DP3980 14-Oct-2013 INVESTOR AWARENESS PROGRAMME
3448 DP3981 15-Oct-2013 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3449 DP3982 15-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3450 DP3983 15-Oct-2013 DETAILS OF CORPORATE ACTIONS
3451 DP3984 15-Oct-2013 INVESTOR AWARENESS PROGRAMMES
3452 DP3985 17-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3453 DP3986 17-Oct-2013 INVESTOR AWARENESS PROGRAMME
3454 DP3987 17-Oct-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3455 DP3988 17-Oct-2013 INVESTOR AWARENESS PROGRAMME
3456 DP3989 18-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3457 DP3990 18-Oct-2013 AVAILABILITY OF CDSL SYSTEM
3458 DP3991 19-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3459 DP3992 21-Oct-2013 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3460 DP3993 21-Oct-2013 INVESTOR AWARENESS PROGRAMME
3461 DP3994 22-Oct-2013 DP OPERATING INSTRUCTIONS AS OF SEPTEMBER 2013 CHAPTERS
- ANNEXURES
3462 DP3995 22-Oct-2013 REVISED FORMAT OF BO GRIEVANCE REPORT
3463 DP3996 23-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3464 DP3997 23-Oct-2013 INVESTOR AWARENESS PROGRAMME
3465 DP3998 23-Oct-2013 RELEASE OF NEW FACILITY IN TRANSFER AND TRANSMISSION
MODULE
3466 DP3999 23-Oct-2013 AVAILABILITY-OF-DEMAT-REMAT-MODULES-ONLY-ON-BROWSER-
BASED-CDAS- APPLICATION
3467 DP4000 23-Oct-2013 AVAILABILITY-OF-CDSL-SYSTEM
3468 DP4001 23-Oct-2013 RESTORATION-OF-DEPOSITORY-OPERATIONS-OF-PUG-
SECURITIES-PVT-LTD.
3469 DP4002 24-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3470 DP4003 24-Oct-2013 DETAILS OF CORPORATE ACTIONS
3471 DP4004 24-Oct-2013 ACCEPTING THE DIGITAL SIGNATURE CERTIFICATE OBTAINED
FROM OTHER RA OF TATA CONSULTANCY SERVICES IN EASIEST
LOGIN.
3472 DP4005 24-Oct-2013 INVESTOR AWARENESS PROGRAMME
3473 DP4006 25-Oct-2013 RESCHEDULED INVESTOR AWARENESS PROGRAMME
MAHARASHTRA
3474 DP4007 25-Oct-2013 INVESTOR AWARENESS PROGRAMME
3475 DP4008 25-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3476 DP4009 25-Oct-2013 DETAILS OF CORPORATE ACTIONS
3477 DP4010 26-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3478 DP4011 28-Oct-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3479 DP4012 28-Oct-2013 INVESTOR AWARENESS PROGRAMME
3480 DP4013 28-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3481 DP4014 29-Oct-2013 AVAILABILITY OF CDSL SYSTEM ON NOVEMBER 03 2013 AND
MULTIPLE SETTLEMENTS ON ACCOUNT OF DIWALI
3482 DP4015 29-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3483 DP4016 29-Oct-2013 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
3484 DP4017 30-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3485 DP4018 30-Oct-2013 DETAILS OF CORPORATE ACTIONS
3486 DP4019 30-Oct-2013 WITHDRAWAL-OF- SECURITIES-FROM-CDSL
3487 DP4020 31-Oct-2013 POSTAL BALLOTS THROUGH CDSLS EVOTING PLATFORM
3488 DP4021 31-Oct-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3489 DP4022 01-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3490 DP4023 01-Nov-2013 SEBI CIRCULAR - STANDARDISATION AND SIMPLIFICATION OF
PROCEDURES
FOR TRANSMISSION OF SECURITIES
3491 DP4024 01-Nov-2013 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT

Page 64
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3492 DP4025 01-Nov-2013 UPLOAD OF TRANSACTIONS ON CDSL SYSTEM ON NOVEMBER 03
2013
3493 DP4026 02-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3494 DP4027 05-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3495 DP4028 05-Nov-2013 TRAINING PROGRAMME FOR INTERNAL -CONCURRENT AUDITORS
AND COMPLIANCE OFFICERS -DP OFFICIALS
3496 DP4029 05-Nov-2013 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION -CPE- PROGRAMME OF NISM - DEPOSITORY
OPERATIONS
3497 DP4030 06-Nov-2013 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
ANNEXURE 18-1 MUTUAL FUND UNIT
3498 DP4031 06-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3499 DP4032 07-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3500 DP4033 07-Nov-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3501 DP4034 08-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3502 DP4035 08-Nov-2013 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
3503 DP4036 08-Nov-2013 AVAILABILITY OF FREEZE- UNFREEZE-CORPORATE ACTIONS-INITIAL
PUBLIC OFFER AND PLEDGING- UNPLEDING MODULES ONLY ON
BROWSER BASED CDAS APPLICATION
3504 DP4037 09-Nov-2013 REVISED SETTLEMENT CYCLE FOR DEBT SEGMENT
3505 DP4038 09-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3506 DP4039 11-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3507 DP4040 11-Nov-2013 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
SEPTEMBER 30 2013
3508 DP4041 11-Nov-2013 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3509 DP4042 12-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3510 DP4043 12-Nov-2013 DETAILS OF CORPORATE ACTIONS
3511 DP4044 13-Nov-2013 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3512 DP4045 13-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3513 DP4046 13-Nov-2013 DETAILS OF CORPORATE ACTIONS
3514 DP4047 13-Nov-2013 INVESTOR AWARENESS PROGRAMMES
3515 DP4048 13-Nov-2013 INVESTOR AWARENESS PROGRAMME
3516 DP4049 13-Nov-2013 EASIEST REVISED PROCEDURE FOR OBTAINING A DIGITAL
SIGNATURE CERTIFICATE DSC FROM CDSL RA REGISTERING
AUTHORITY
3517 DP4050 13-Nov-2013 MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
3518 DP4051 13-Nov-2013 REVISED SETTLEMENT SCHEDULE
3519 DP4052 14-Nov-2013 REVISED SETTLEMENT SCHEDULE NSE FOR THURSDAY
NOVEMBER 14-2013
3520 DP4053 14-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3521 DP4054 14-Nov-2013 REVISED MULTIPLE SETTLEMENT SCHEDULE
FOR BSE NSE MCX-SX
3522 DP4055 16-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3523 DP4056 18-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3524 DP4057 18-Nov-2013 DETAILS OF CORPORATE ACTIONS
3525 DP4058 18-Nov-2013 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
3526 DP4059 19-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3527 DP4060 20-Nov-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3528 DP4061 20-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3529 DP4062 20-Nov-2013 AVAILABILITY OF MODULES ONLY ON BROWSER BASED CDAS
APPLICATION
3530 DP4063 21-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3531 DP4064 21-Nov-2013 INVESTOR AWARENESS PROGRAMME
3532 DP4065 21-Nov-2013 DETAILS OF CORPORATE ACTIONS
3533 DP4066 22-Nov-2013 TRAINING PROGRAMME FOR INTERNAL -CONCURRENT AUDITORS
AND COMPLIANCE OFFICERS - DP OFFICIALS AT CHENNAI
3534 DP4067 22-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3535 DP4068 22-Nov-2013 INVESTOR AWARENESS PROGRAMMES
3536 DP4069 22-Nov-2013 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3537 DP4070 22-Nov-2013 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS CHAPTER
7 TRANSMISSION
3538 DP4071 23-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3539 DP4072 25-Nov-2013 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION -CPE- PROGRAMME OF NISM - DEPOSITORY
OPERATIONS
3540 DP4073 26-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3541 DP4074 27-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3542 DP4075 28-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 65
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3543 DP4076 28-Nov-2013 DETAILS OF AVAILABILITY OF EASI AND EASIEST MENUS ONLY IN
NEW SYSTEM
3544 DP4077 28-Nov-2013 INVESTOR AWARENESS PROGRAMME
3545 DP4078 28-Nov-2013 PRIMER ON COMPANIES ACT- 2013
3546 DP4079 29-Nov-2013 AVAILABILITY OF CDSL SYSTEM
3547 DP4080 29-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3548 DP4081 29-Nov-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3549 DP4082 30-Nov-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3550 DP4083 02-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3551 DP4084 02-Dec-2013 CONCURRENT AUDIT OF RISK PRONE AREAS BY CONCURRENT -
INTERNAL AUDITORS OF THE DPS -REVISED CHECKLIST
3552 DP4085 02-Dec-2013 DETAILS OF CHANGE OF NAME EFFECTED BY ISSUERS
3553 DP4086 03-Dec-2013 FINANCIAL ACTION TASK FORCE -FATF -PUBLIC STATEMENT DATED
OCTOBER 18 2013
3554 DP4087 03-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3555 DP4088 03-Dec-2013 INVESTOR AWARENESS PROGRAMME
3556 DP4089 03-Dec-2013 INVESTOR AWARENESS PROGRAMME
3557 DP4090 03-Dec-2013 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION -CPE- PROGRAMME OF NISM - DEPOSITORY
OPERATIONS
3558 DP4091 04-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3559 DP4092 04-Dec-2013 INVESTOR AWARENESS PROGRAMME
3560 DP4093 04-Dec-2013 WITHDRAWAL OF SECURITIES FROM CDSL
3561 DP4094 04-Dec-2013 DETAILS OF CORPORATE ACTIONS
3562 DP4095 04-Dec-2013 SEBI CIRCULAR - SIMPLIFICATION OF DEMAT ACCOUNT OPENING
PROCESS
3563 DP4096 05-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3564 DP4097 06-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3565 DP4098 06-Dec-2013 INVESTOR AWARENESS PROGRAMMES
3566 DP4099 06-Dec-2013 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3567 DP4100 06-Dec-2013 DETAILS OF CHANGE OF NAME EFFECTED BY ISSUERS
3568 DP4101 06-Dec-2013 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3569 DP4102 07-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3570 DP4103 07-Dec-2013 DETAILS OF CHANGE OF NAME EFFECTED BY ISSUERS
3571 DP4104 09-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3572 DP4105 09-Dec-2013 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3573 DP4106 09-Dec-2013 DETAILS OF CHANGE OF NAME EFFECTED BY ISSUERS
3574 DP4107 10-Dec-2013 INVESTOR AWARENESS PROGRAMMES
3575 DP4108 10-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3576 DP4109 11-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3577 DP4110 11-Dec-2013 INVESTOR AWARENESS PROGRAMMES
3578 DP4111 12-Dec-2013 DETAILS OF CHANGE OF NAME EFFECTED BY ISSUERS
3579 DP4112 12-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3580 DP4113 12-Dec-2013 DETAILS OF CORPORATE ACTIONS
3581 DP4114 12-Dec-2013 CHANGE OF NAME EFFECTED BY DPS
3582 DP4115 13-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3583 DP4116 14-Dec-2013 RESCHEDULED-INVESTOR AWARENESS PROGRAMME-
MAHARASHTRA
3584 DP4117 14-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3585 DP4118 16-Dec-2013 DE-EMPANELMENT OF DPS BY MCX
3586 DP4119 16-Dec-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3587 DP4120 16-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3588 DP4121 17-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3589 DP4122 17-Dec-2013 UPDATION OF BANK DETAILS IN DEMAT ACCOUNTS
3590 DP4123 17-Dec-2013 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION - PROGRAMME OF NISM - DEPOSITORY OPERATIONS
3591 DP4124 17-Dec-2013 INVESTOR AWARENESS PROGRAMME
3592 DP4125 18-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3593 DP4126 18-Dec-2013 DETAILS OF CORPORATE ACTIONS
3594 DP4127 19-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3595 DP4128 20-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3596 DP4129 20-Dec-2013 INVESTOR AWARENESS PROGRAMMES
3597 DP4130 20-Dec-2013 PRECAUTIONS TO BE TAKEN IN DEPOSITORY OPERATIONS
3598 DP4131 21-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3599 DP4132 23-Dec-2013 POSTAL BALLOTS THROUGH CDSLS EVOTING PLATFORM
3600 DP4133 23-Dec-2013 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
Page 66
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3601 DP4134 23-Dec-2013 FAQ ON IMPLEMENTATION OF SEBI CIRCULAR
FOR SIMPLIFICATION OF DEMAT ACCOUNT OPENING PROCESS
3602 DP4135 24-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3603 DP4136 24-Dec-2013 CPE PROGRAMME OF NISM FOR DEPOSITORY OPERATIONS
3604 DP4137 24-Dec-2013 DETAILS OF CORPORATE ACTIONS
3605 DP4138 24-Dec-2013 DETAILS OF CHANGE OF NAME EFFECTED BY ISSUERS
3606 DP4139 24-Dec-2013 WITHDRAWAL OF SECURITIES FROM CDSL
3607 DP4140 26-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3608 DP4141 26-Dec-2013 INVESTOR AWARENESS PROGRAMME
3609 DP4142 26-Dec-2013 INVESTOR AWARENESS PROGRAMMES
3610 DP4143 27-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3611 DP4144 27-Dec-2013 INVESTOR AWARENESS PROGRAMMES
3612 DP4145 27-Dec-2013 NOTIFICATION ON THE RAJIV GANDHI EQUITY SAVINGS SCHEME
2013
3613 DP4146 28-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3614 DP4147 30-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL

3615 DP4148 30-Dec-2013 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM


3616 DP4149 30-Dec-2013 DETAILS OF CORPORATE ACTIONS
3617 DP4150 30-Dec-2013 SEBI CIRCULAR -FOR KNOW YOUR CLIENT REQUIREMENTS
3618 DP4151 31-Dec-2013 DETAILS OF SECURITIES ADMITTED WITH CDSL
3619 DP4152 01-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3620 DP4153 02-Jan-2014 DISPATCH OF RIGHTS AND OBLIGATIONS DOCUMENT TO BOS ON
BEHALF OF DEPOSITORY PARTICIPANTS
3621 DP4154 02-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3622 DP4155 02-Jan-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3623 DP4156 03-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3624 DP4157 03-Jan-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3625 DP4158 04-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3626 DP4159 06-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3627 DP4160 06-Jan-2014 INSURANCE POLICY FOR WAREHOUSE RECEIPTS HELD IN
DEMATERIALIZED FORM
3628 DP4161 06-Jan-2014 INVESTOR AWARENESS PROGRAMME
3629 DP4162 07-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3630 DP4163 07-Jan-2014 INVESTOR AWARENESS PROGRAMMES
3631 DP4164 08-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3632 DP4165 08-Jan-2014 REVISED FORMAT FOR REPORT ON INTERNAL AUDIT
AND CONCURRENT AUDIT OF RISK PRONE AREAS
OF DP OPERATIONS FOR HALF YEAR ENDED 31ST MARCH 2014
3633 DP4166 08-Jan-2014 SEBI CIRCULAR - DELIVERY INSTRUCTION SLIP -DIS- ISSUANCE AND
PROCESSING
3634 DP4167 08-Jan-2014 DETAILS OF CORPORATE ACTIONS
3635 DP4168 09-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3636 DP4169 10-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3637 DP4170 10-Jan-2014 INTER DEPOSITORY TRANSFERS ON JANUARY 18 2014
3638 DP4171 11-Jan-2014 DETAILS OF CORPORATE ACTIONS
3639 DP4172 11-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3640 DP4173 11-Jan-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3641 DP4174 13-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3642 DP4175 13-Jan-2014 SETTLEMENT TIMINGS OF BSE NSE MCX SX
3643 DP4176 13-Jan-2014 DETAILS OF CORPORATE ACTIONS
3644 DP4177 13-Jan-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3645 DP4178 14-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3646 DP4179 14-Jan-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3647 DP4180 14-Jan-2014 INVESTOR AWARENESS PROGRAMME
3648 DP4181 15-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3649 DP4182 15-Jan-2014 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION PROGRAMME OF NISM - DEPOSITORY OPERATIONS
3650 DP4183 16-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3651 DP4184 16-Jan-2014 DETAILS OF CORPORATE ACTIONS
3652 DP4185 16-Jan-2014 INVESTOR AWARENESS PROGRAMMES
3653 DP4186 16-Jan-2014 AVAILABILITY OF CDSL SYSTEM
3654 DP4187 17-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3655 DP4188 17-Jan-2014 DETAILS OF CHANGE OF NAME EFFECTED BY ISSUERS
3656 DP4189 17-Jan-2014 CDSLS DP TRAINING PROGRAMME
3657 DP4190 17-Jan-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3658 DP4191 18-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
Page 67
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3659 DP4192 20-Jan-2014 DETAILS OF CORPORATE ACTION
3660 DP4193 20-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3661 DP4194 20-Jan-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3662 DP4195 21-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3663 DP4196 21-Jan-2014 DETAILS OF CHANGE OF NAME EFFECTED BY ISSUERS
3664 DP4197 21-Jan-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3665 DP4198 21-Jan-2014 INVESTOR AWARENESS PROGRAMME
3666 DP4199 22-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3667 DP4200 22-Jan-2014 INVESTOR AWARENESS PROGRAMMES
3668 DP4201 23-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3669 DP4202 24-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3670 DP4203 24-Jan-2014 OPERATIONAL GUIDELINES FOR DESIGNATED DEPOSITORY
PARTICIPANTS
3671 DP4204 25-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3672 DP4205 25-Jan-2014 CHANGE OF NAME EFFECTED BY RTA
3673 DP4206 27-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3674 DP4207 27-Jan-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3675 DP4208 27-Jan-2014 DETAILS OF CORPORATE ACTIONS
3676 DP4209 28-Jan-2014 INVESTOR AWARENESS PROGRAMMES
3677 DP4210 28-Jan-2014 DP OPERATING INSTRUCTIONS AS OF DECEMBER 2013-
CHAPTERS-ANNEXURES
3678 DP4211 28-Jan-2014 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS-CHAPTER
12-FEES-CHARGES AND DEPOSITS
3679 DP4212 28-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3680 DP4213 28-Jan-2014 WITHDRAWAL OF SECURITIES FROM CDSL
3681 DP4214 29-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3682 DP4215 29-Jan-2014 INVESTOR AWARENESS PROGRAMMES
3683 DP4216 30-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3684 DP4217 30-Jan-2014 INVESTOR AWARENESS PROGRAMME
3685 DP4218 30-Jan-2014 AVAILABILITY OF CDSL SYSTEM
3686 DP4219 31-Jan-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3687 DP4220 31-Jan-2014 CHANGE OF RTA EFFECTED BY ISSUER
3688 DP4221 01-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3689 DP4222 03-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3690 DP4223 03-Feb-2014 DETAILS OF CORPORATE ACTIONS
3691 DP4224 03-Feb-2014 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3692 DP4225 04-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3693 DP4226 04-Feb-2014 INVESTOR AWARENESS PROGRAMMES
3694 DP4227 04-Feb-2014 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS -
DECEMBER 2013
3695 DP4228 05-Feb-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3696 DP4229 05-Feb-2014 INVESTOR AWARENESS PROGRAMME
3697 DP4230 05-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3698 DP4231 06-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3699 DP4232 06-Feb-2014 RAJIV GANDHI EQUITY SAVING SCHEME -RGESS-2013-FAQ
3700 DP4233 07-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3701 DP4234 07-Feb-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3702 DP4235 08-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3703 DP4236 10-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3704 DP4237 11-Feb-2014 DETAILS OF CHANGE OF NAME EFFECTED BY ISSUERS
3705 DP4238 11-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3706 DP4239 11-Feb-2014 INSURANCE CERTIFICATES
3707 DP4240 11-Feb-2014 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3708 DP4241 11-Feb-2014 INVESTOR AWARENESS PROGRAMME
3709 DP4242 11-Feb-2014 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
3710 DP4243 11-Feb-2014 SEBI CIRCULAR GUIDELINES FOR INSPECTION OF DEPOSITORY
PARTICIPANTS DPS BY DEPOSITORIES
3711 DP4244 11-Feb-2014 NEW MARKET TYPE AND THE DEADLINE TIME FOR SUBMISSION OF
INSTRUCTIONS BSE
3712 DP4245 12-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3713 DP4246 12-Feb-2014 INVESTOR AWARENESS PROGRAMME
3714 DP4247 12-Feb-2014 INVESTOR AWARENESS PROGRAMMES
3715 DP4248 13-Feb-2014 CDSL MASTER REPORTS IN BROWSER BASED CDAS
3716 DP4249 13-Feb-2014 DETAILS OF CHANGE OF NAME EFFECTED BY ISSUERS
3717 DP4250 13-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 68
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3718 DP4251 13-Feb-2014 INVESTOR AWARENESS PROGRAMMES
3719 DP4252 13-Feb-2014 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3720 DP4253 14-Feb-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3721 DP4254 14-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3722 DP4255 15-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3723 DP4256 17-Feb-2014 INVESTOR AWARENESS PROGRAMMES
3724 DP4257 17-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3725 DP4258 17-Feb-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
3726 DP4259 17-Feb-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3727 DP4260 18-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3728 DP4261 18-Feb-2014 SETTLEMENT TIMINGS OF BSE-NSE-MCX-SX
ON FEBRUARY 20-21-25- 2014
3729 DP4262 19-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3730 DP4263 19-Feb-2014 DETAILS OF CORPORATE ACTIONS
3731 DP4264 19-Feb-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3732 DP4265 20-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3733 DP4266 20-Feb-2014 INVESTOR AWARENESS PROGRAMME
3734 DP4267 21-Feb-2014 RESCHEDULED-INVESTOR AWARENESS PROGRAMME -
MAHARASHTRA
3735 DP4268 21-Feb-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3736 DP4269 21-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3737 DP4270 21-Feb-2014 INTER DEPOSITORY TRANSFERS ON FEBRUARY 22- 2014
3738 DP4271 21-Feb-2014 CHANGE OF NAME EFFECTED BY DP
3739 DP4272 21-Feb-2014 DISCONTINUATION OF DETAILS OF PERMANENTLY INACTIVE
COMMODITY ICINS IN CD03 REPORT
3740 DP4273 21-Feb-2014 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
3741 DP4274 22-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3742 DP4275 24-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3743 DP4276 24-Feb-2014 INVESTOR AWARENESS PROGRAMMES
3744 DP4277 25-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3745 DP4278 25-Feb-2014 DETAILS OF CORPORATE ACTIONS
3746 DP4279 25-Feb-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3747 DP4280 25-Feb-2014 INVESTOR AWARENESS PROGRAMME
3748 DP4281 25-Feb-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3749 DP4282 25-Feb-2014 REVISED FORMAT FOR PRINCIPAL AND GRANDFATHER BY
EXPERIENCE CATEGORY FOR CONTINUING PROFESSIONAL
EDUCATION CPE PROGRAMME FOR DEPOSITORY OPERATIONS
3750 DP4283 26-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3751 DP4284 26-Feb-2014 INVESTOR AWARENESS PROGRAMME
3752 DP4285 26-Feb-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3753 DP4286 28-Feb-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3754 DP4287 28-Feb-2014 INVESTOR AWARENESS PROGRAMMES
3755 DP4288 28-Feb-2014 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION PROGRAMME OF NISM - DEPOSITORY OPERATIONS
3756 DP4289 03-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3757 DP4290 03-Mar-2014 DETAILS OF CORPORATE ACTIONS
3758 DP4291 04-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3759 DP4292 04-Mar-2014 INVESTOR AWARENESS PROGRAMME
3760 DP4293 04-Mar-2014 CHANGE OF NAME EFFECTED BY DPS
3761 DP4294 05-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3762 DP4295 05-Mar-2014 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3763 DP4296 06-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3764 DP4297 06-Mar-2014 INVESTOR AWARENESS PROGRAMMES
3765 DP4298 07-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3766 DP4299 10-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3767 DP4300 10-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3768 DP4301 11-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3769 DP4302 11-Mar-2014 INVESTOR AWARENESS PROGRAMMES
3770 DP4303 12-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3771 DP4304 12-Mar-2014 AMENDMENTS TO BYE LAWS
3772 DP4305 12-Mar-2014 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
3773 DP4306 12-Mar-2014 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS-
ANNEXURE 17-4-BO GRIEVANCE REPORT
3774 DP4307 13-Mar-2014 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3775 DP4308 13-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 69
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3776 DP4309 13-Mar-2014 SEBI CIRCULAR- ON ANTI-MONEY LAUNDERING
3777 DP4310 13-Mar-2014 INVESTOR AWARENESS PROGRAMMES
3778 DP4311 14-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3779 DP4312 15-Mar-2014 DETAILS OF CORPORATE ACTIONS
3780 DP4313 15-Mar-2014 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
3781 DP4314 15-Mar-2014 NEW MARKET TYPE AND THE DEADLINE TIME FOR SUBMISSION OF
INSTRUCTIONS NSE
3782 DP4315 15-Mar-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3783 DP4316 15-Mar-2014 NAMING CONVENTION OF DPC9 REPORT
3784 DP4317 15-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3785 DP4318 18-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3786 DP4319 19-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3787 DP4320 19-Mar-2014 INVESTOR AWARENESS PROGRAMMES
3788 DP4321 19-Mar-2014 DETAILS OF CORPORATE ACTIONS
3789 DP4322 20-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3790 DP4323 20-Mar-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3791 DP4324 20-Mar-2014 INVESTOR AWARENESS PROGRAMMES
3792 DP4325 21-Mar-2014 SETTLEMENT TIMINGS OF BSE-NSE - MCX-SX ON MARCH 24 - 2014 -
MARCH 25- 2014 - MARCH 27- 2014
3793 DP4326 21-Mar-2014 NEW PROCEDURE FOR OBTAINING-DSC
3794 DP4327 21-Mar-2014 THE SECURITIES AND EXCHANGE BOARD OF INDIA -KYC
REGISTRATION AGENCY-AMENDMENT REGULATIONS- 2014
3795 DP4328 21-Mar-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3796 DP4329 21-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3797 DP4330 21-Mar-2014 INVESTOR AWARENESS PROGRAMMES
3798 DP4331 22-Mar-2014 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
3799 DP4332 24-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3800 DP4333 24-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3801 DP4334 24-Mar-2014 INVESTOR AWARENESS PROGRAMME
3802 DP4335 25-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3803 DP4336 26-Mar-2014 DETAILS OF CORPORATE ACTIONS
3804 DP4337 26-Mar-2014 INVESTOR AWARENESS PROGRAMME
3805 DP4338 26-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3806 DP4339 26-Mar-2014 FINANCIAL ACTION TASK FORCE -FATF- PUBLIC STATEMENT DATED
FEBRUARY-14-2014
3807 DP4340 27-Mar-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM
3808 DP4341 27-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3809 DP4342 27-Mar-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3810 DP4343 27-Mar-2014 AVAILABILITY OF CDSL SYSTEM
3811 DP4344 28-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3812 DP4345 28-Mar-2014 POSTAL BALLOTS THROUGH CDSLS EVOTING PLATFORM
3813 DP4346 28-Mar-2014 LIST OF STATUS SUBSTATUS FOR DEMAT ACCOUNTS
3814 DP4347 28-Mar-2014 NAMING CONVENTION OF DPC9 REPORT
3815 DP4348 28-Mar-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3816 DP4349 28-Mar-2014 DETAILS OF CORPORATE ACTIONS
3817 DP4350 31-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3818 DP4351 31-Mar-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3819 DP4352 01-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3820 DP4353 01-Apr-2014 SETTLEMENT TIMINGS OF BSE NSE MCX SX
3821 DP4354 01-Apr-2014 SEBI CIRCULAR-COMMENCEMENT OF FOREIGN PORTFOLIO
INVESTOR REGIME
3822 DP4355 02-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3823 DP4356 02-Apr-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
3824 DP4357 03-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3825 DP4358 03-Apr-2014 AVAILABILITY OF CDSL SYSTEM
3826 DP4359 03-Apr-2014 RELEASE OF NEW CDAS VERSION
3827 DP4360 03-Apr-2014 DETAILS OF CORPORATE ACTIONS
3828 DP4361 04-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3829 DP4362 04-Apr-2014 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
3830 DP4363 04-Apr-2014 SHIFTING OF SETTLEMENT ACTIVITIES OF BSE FROM BOISL TO ICCL
3831 DP4364 07-Apr-2014 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3832 DP4365 07-Apr-2014 INVESTOR AWARENESS PROGRAMMES
3833 DP4366 09-Apr-2014 INVESTOR AWARENESS PROGRAMMES
3834 DP4367 09-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 70
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3835 DP4368 09-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3836 DP4369 09-Apr-2014 NSEL CIRCULAR ? REMATERIALIZATION AND FINANCIAL CLOSURE
OF E-SERIES
3837 DP4370 09-Apr-2014 SEBI CIRCULAR - CHANGE IN INVESTMENT CONDITIONS-
RESTRICTIONS FOR FII-QFI
3838 DP4371 10-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL

3839 DP4372 10-Apr-2014 POSTAL BALLOTS THROUGH CDSLS E-VOTING PLATFORM


3840 DP4373 10-Apr-2014 SUBMISSION / DISSEMINATION OF DP TARIFF - CHARGE
STRUCTURE TO CDSL EVERY YEAR
3841 DP4374 11-Apr-2014 INTER DEPOSITORY TRANSFERS ON APRIL 11- 2014 AND APRIL 18-
2014
3842 DP4375 11-Apr-2014 THE RAJIV GANDHI EQUITY SAVINGS SCHEME-2013
3843 DP4376 11-Apr-2014 DETAILS OF CORPORATE ACTIONS
3844 DP4377 11-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3845 DP4378 11-Apr-2014 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
3846 DP4379 11-Apr-2014 DISCONTINUATION OF INTER-DEPOSITORY TRANSACTIONS ON
TRADING HOLIDAYS
3847 DP4380 15-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3848 DP4381 15-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3849 DP4382 16-Apr-2014 DEMATERIALISATION OF TREASURY BILLS
3850 DP4383 16-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3851 DP4384 16-Apr-2014 AVAILABILITY OF CDSL SYSTEM
3852 DP4385 16-Apr-2014 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM -
DEPOSITORY OPERATIONS
3853 DP4386 17-Apr-2014 INVESTOR AWARENESS PROGRAMME
3854 DP4387 17-Apr-2014 POSTAL BALLOTS THROUGH CDSLS E VOTING PLATFORM
3855 DP4388 17-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3856 DP4389 21-Apr-2014 TERMINATION OF AGREEMENT BETWEEN CDSL AND PRIME
BROKING COMPANY INDIA LIMITED
3857 DP4390 21-Apr-2014 GENERAL ELECTIONS LOK SABHA 2014 IN MAHARASHTRA
ON THURSDAY APRIL 24 2014
3858 DP4391 21-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3859 DP4392 21-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3860 DP4393 22-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3861 DP4394 22-Apr-2014 VOTING THROUGH CDSL EVOTING PLATFORM
3862 DP4395 23-Apr-2014 INVESTOR AWARENESS PROGRAMME
3863 DP4396 23-Apr-2014 INSURANCE POLICY FOR SECURITIES
3864 DP4397 23-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3865 DP4398 23-Apr-2014 DETAILS OF CORPORATE ACTIONS
3866 DP4399 25-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3867 DP4400 25-Apr-2014 INVESTOR AWARENESS PROGRAMME
3868 DP4401 26-Apr-2014 CDSLS DP TRAINING PROGRAMME
3869 DP4402 28-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL ON APRIL 25 2014
3870 DP4403 28-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL ON APRIL 26 2014
3871 DP4404 29-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3872 DP4405 29-Apr-2014 VOTING THROUGH CDSLS
E VOTING PLATFORM
3873 DP4406 29-Apr-2014 WITHDRAWAL OF SECURITIES FROM CDSL
3874 DP4407 29-Apr-2014 DISCONTINUATION OF INTER DEPOSITORY TRANSACTIONS ON
TRADING HOLIDAYS
3875 DP4408 30-Apr-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3876 DP4409 30-Apr-2014 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACC TO BO
ACC
3877 DP4410 30-Apr-2014 DETAILS OF CORPORATE ACTIONS
3878 DP4411 02-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3879 DP4412 02-May-2014 SEBI CIRCULAR-INFRASTRUCTURE FACILITIES AND SUBMISSION OF
PERIODIC REPORTS BY DDPS
3880 DP4413 02-May-2014 NSEL CIRCULAR - EXTENSION OF RECORD DATE AND FINANCIAL
CLOSURE START DATE OF E-SERIES
3881 DP4414 02-May-2014 INVESTOR AWARENESS PROGRAMMES
3882 DP4415 05-May-2014 DETAILS OF SECURITIES ADMITTED IN CDSL
3883 DP4416 05-May-2014 DP OPERATING INSTRUCTIONS AS OF MARCH 2014 -
CHAPTERS AND ANNEXURES
3884 DP4417 06-May-2014 FREQUENTLY ASKED QUESTIONS ON
FOREIGN PORTFOLIO INVESTORS
3885 DP4418 06-May-2014 ANNUAL BILL

Page 71
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3886 DP4419 06-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3887 DP4420 07-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3888 DP4421 08-May-2014 INVESTOR AWARENESS PROGRAMMES
3889 DP4422 08-May-2014 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
3890 DP4423 08-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3891 DP4424 08-May-2014 NATIONAL SPOT EXCHANGE LIMITED CIRCULAR
PROCESS OF FINANCIAL CLOSURE OF E SERIES
3892 DP4425 09-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3893 DP4426 12-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3894 DP4427 13-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3895 DP4428 13-May-2014 SETTLEMENT TIMINGS OF BSE-NSE - MCX-SX
ON MAY 15 2014- MAY 16 2014 AND MAY 20 2014
3896 DP4430 14-May-2014 VOTING THROUGH CDSLS E-VOTING PLATFORM
3897 DP4431 14-May-2014 AMENDMENTS TO BYE LAWS
3898 DP4429 15-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3899 DP4432 15-May-2014 DETAIILS OF SECURITIES ADMITTED WITH CDSL
3900 DP4433 15-May-2014 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
3901 DP4434 16-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3902 DP4435 16-May-2014 INVESTOR AWARENESS PROGRAMMES
3903 DP4436 16-May-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3904 DP4437 16-May-2014 SEBI CIRCULAR -RISK MANAGEMENT FRAMEWORK FOR FPI UNDER
THE SEBI REGULATIONS-2014
3905 DP4438 19-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3906 DP4439 19-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3907 DP4440 19-May-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
3908 DP4441 19-May-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3909 DP4442 20-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3910 DP4443 20-May-2014 VOTING THROUGH CDSLS E VOTING PLATFORM
3911 DP4444 21-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3912 DP4445 21-May-2014 INVESTOR AWARENESS PROGRAMMES
3913 DP4446 21-May-2014 CHANGE OF RTA EFFECTED BY ISSUER
3914 DP4447 21-May-2014 CHANGE OF RTA EFFECTED BY ISSUER
3915 DP4448 22-May-2014 INVESTOR AWARENESS PROGRAMME
3916 DP4449 22-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3917 DP4450 22-May-2014 AVAILABILITY OF CDSL SYSTEM
3918 DP4451 23-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3919 DP4452 23-May-2014 VOTING THROUGH CDSLS EVOTING PLATFORM
3920 DP4453 24-May-2014 DETAILS OF CORPORATE ACTIONS
3921 DP4454 26-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3922 DP4455 26-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3923 DP4456 26-May-2014 SEBI NOTIFICATION (PAYMENT OF FEES) (AMENDMENT)
REGULATIONS, 2014
3924 DP4457 26-May-2014 DP-4457-SEBI-KYC-REQUIREMENTS-FOR-EFIS-FPIS
3925 DP4458 26-May-2014 DETAILS-OF-CORPORATE-ACTIONS
3926 DP4459 26-May-2014 WITHDRAWAL-OF-CDSL
3927 DP4460 27-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3928 DP4461 27-May-2014 NSEL CIRCULAR-PROCESS OF FINANCIAL CLOSURE OF E-SERIES
3929 DP4462 27-May-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3930 DP4463 28-May-2014 INVESTOR AWARENESS PROGRAMMES
3931 DP4464 28-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3932 DP4465 29-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3933 DP4466 30-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3934 DP4467 30-May-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3935 DP4468 30-May-2014 INVESTOR AWARENESS PROGRAMMES
3936 DP4469 31-May-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3937 DP4470 02-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3938 DP4471 03-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3939 DP4472 03-Jun-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3940 DP4473 03-Jun-2014 CDSL DP TRAINING PROGRAMME
3941 DP4474 03-Jun-2014 SEBI CIRCULAR - REVIEW OF THE SECURITIES LENDING AND
BORROWING (SLB) FRAMEWORK
3942 DP4475 04-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3943 DP4477 04-Jun-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3944 DP4478 05-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3945 DP4479 05-Jun-2014 INVESTOR AWARENESS PROGRAMMES

Page 72
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
3946 DP4480 05-Jun-2014 DETAILS OF CORPORATE ACTIONS
3947 DP4481 05-Jun-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3948 DP4482 05-Jun-2014 RELEASE OF NEW CDAS VERSION
3949 DP4483 06-Jun-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
3950 DP4484 06-Jun-2014 INVESTOR AWARENESS PROGRAMMES
3951 DP4485 06-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3952 DP4486 06-Jun-2014 INVESTOR AWARENESS PROGRAMME
3953 DP4487 09-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3954 DP4488 09-Jun-2014 DELIVERY INSTRUCTION SLIP -DIS -ISSUANCE AND TRANSACTION
PROCESSING
3955 DP4489 10-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3956 DP4490 10-Jun-2014 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION PROGRAMME OF NISM - DEPOSITORY OPERATIONS
3957 DP4491 10-Jun-2014 WITHDRAWAL-TERMINATION OF DEPOSITORY PARTICIPANTS OF
CDSL
3958 DP4492 10-Jun-2014 NSEL CIRCULAR - PROCESS OF FINANCIAL CLOSURE OF E-SILVER
3959 DP4493 11-Jun-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3960 DP4494 11-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3961 DP4495 11-Jun-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3962 DP4496 12-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3963 DP4497 12-Jun-2014 INVESTOR AWARENESS PROGRAMMES
3964 DP4498 12-Jun-2014 THE RAJIV GANDHI EQUITY SAVINGS SCHEME 2013
-GENERAL APPLICATION
3965 DP4499 13-Jun-2014 INVESTOR AWARENESS PROGRAMMES
3966 DP4500 13-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3967 DP4501 14-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3968 DP4502 14-Jun-2014 CHANGE OF NAME EFFECTED BY DP
3969 DP4503 16-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3970 DP4504 16-Jun-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3971 DP4505 17-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3972 DP4506 17-Jun-2014 SEBI CIRCULAR- KNOW YOUR CLIENT -KYC- REQUIREMENTS FOR
FOREIGN PORTFOLIO INVESTORS -FPIS
3973 DP4507 18-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3974 DP4508 18-Jun-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3975 DP4509 18-Jun-2014 INVESTOR AWARENESS PROGRAMME
3976 DP4510 19-Jun-2014 SEBI CIRCULAR - INVESTMENTS BY FPIS IN NON-CONVERTIBLE -
REDEEMABLE PREFERENCE SHARES OR DEBENTURES OF INDIAN
COMPANIES
3977 DP4511 19-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3978 DP4512 19-Jun-2014 INVESTOR AWARENESS PROGRAMME
3979 DP4513 20-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3980 DP4514 20-Jun-2014 DETAILS OF CORPORATE ACTIONS
3981 DP4515 20-Jun-2014 SEBI CONFIRMATORY ORDER IN THE MATTER OF REENA BANSAL
3982 DP4516 20-Jun-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3983 DP4517 20-Jun-2014 NSEL CIRCULAR INTIMATION TO MEMBERS ON REMITTANCE OF E
GOLD AND E-SILVER
3984 DP4518 23-Jun-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
3985 DP4519 23-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3986 DP4520 23-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
3987 DP4521 23-Jun-2014 MONITORING OF MULTIPLE OF AGGREGATE VALUE OF PORTFOLIO
OF SECURITIES -AVPS- TO NET WORTH OF A STOCK BROKER DP.
3988 DP4522 23-Jun-2014 CLARIFICATION ON COMPUTATION OF
NET WORTH CERTIFICATE
3989 DP4523 23-Jun-2014 HARDWARE-SOFTWARE CONFIGURATION REQUIREMENTS FOR
REPORTS AND SIGNATURE EXTRACTION
3990 DP4524 24-Jun-2014 PARTICIPATION OF FPIS IN THE CURRENCY DERIVATIVES SEGMENT
3991 DP4525 24-Jun-2014 DETAILS OF SECURITIIES ADMITTED WITH CDSL
3992 DP4526 24-Jun-2014 SUBMISSION OF NET WORTH CERTIFICATE & AUDITED FINANCIAL
STATEMENTS
3993 DP4527 24-Jun-2014 DELIVERY INSTRUCTION SLIP (DIS) ISSUANCE AND TRANSACTION
PROCESSING
3994 DP4528 24-Jun-2014 INSURANCE CERTIFICATES
3995 DP4529 24-Jun-2014 INVESTOR AWARENESS PROGRAMME
3996 DP4530 24-Jun-2014 DETAILS OF CORPORATE ACTIONS
3997 DP4531 25-Jun-2014 POWER OF ATTORNEY POA SETUP FOR ALL HOLDERS THROUGH
UPLOAD
3998 DP4532 25-Jun-2014 WITHDRAWAL OF SECURITIES FROM CDSL
3999 DP4533 25-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 73
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4000 DP4534 25-Jun-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4001 DP4535 25-Jun-2014 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION -CPE- PROGRAMME OF NISM - DEPOSITORY
OPERATIONS
4002 DP4536 25-Jun-2014 INVESTOR AWARENESS PROGRAMMES
4003 DP4537 26-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4004 DP4538 26-Jun-2014 DETAILS OF CORPORATE ACTIONS
4005 DP4539 26-Jun-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4006 DP4540 27-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4007 DP4541 28-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4008 DP4542 28-Jun-2014 SETTLEMENT TIMINGS OF BSE, NSE & MCX-SX
ON JULY 2 2014- JULY 3 2014 - JULY 7 2014
4009 DP4543 30-Jun-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4010 DP4544 30-Jun-2014 INSURANCE POLICY FOR WAREHOUSE RECEIPTS HELD IN
DEMATERIALISED FORM
4011 DP4545 01-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4012 DP4546 01-Jul-2014 SEBI CIRCULAR- DISPATCH OF PHYSICAL STATEMENTS TO BOS
HAVING ZERO BALANCE AND NIL TRANSACTIONS
4013 DP4547 01-Jul-2014 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM
4014 DP4548 01-Jul-2014 SEBI CIRCULAR INTER GOVERNMENTAL AGREEMENT WITH UNITED
STATES OF AMERICA UNDER FOREIGN ACCOUNTS TAX
COMPLIANCE ACT REGISTRATION
4015 DP4476 02-Jul-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4016 DP4549 02-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4017 DP4550 02-Jul-2014 NSEL CIRCULAR - PROCESS OF FINANCIAL CLOSURE OF E-SERIES
4018 DP4551 02-Jul-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4019 DP4552 02-Jul-2014 DETAILS OF CORPORATE ACTIONS
4020 DP4553 03-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4021 DP4554 03-Jul-2014 RESCHEDULED INVESTOR AWARENESS PROGRAMME -
MAHARASHTRA
4022 DP4555 03-Jul-2014 INVESTOR AWARENESS PROGRAMME - MAHARASHTRA
4023 DP4556 03-Jul-2014 TERMINATION OF AGREEMENT BETWEEN CDSL AND DJS STOCK
AND SHARES LIMITED
4024 DP4557 04-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4025 DP4558 04-Jul-2014 SEBI CIR- DELIVERY INSTRUCTION SLIP ISSUANCE AND
PROCESSING
4026 DP4559 07-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4027 DP4560 07-Jul-2014 WITHDRAWAL OF SECURITIES FROM CDSL
4028 DP4561 07-Jul-2014 FACILITY OF EASIEST
- ELECTRONIC ACCESS TO SECURITIES INFORMATION AND
EXECUTION OF SECURED TRANSACTIONS
4029 DP4562 07-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4030 DP4563 08-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4031 DP4564 08-Jul-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4032 DP4565 08-Jul-2014 INVESTOR AWARENESS PROGRAMME
4033 DP4566 09-Jul-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4034 DP4567 09-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4035 DP4568 09-Jul-2014 INVESTOR AWARENESS PROGRAMME
4036 DP4569 10-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4037 DP4570 10-Jul-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4038 DP4571 10-Jul-2014 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION CPE PROGRAMME OF NISM
4039 DP4572 10-Jul-2014 AVAILABILITY OF CDSL SYSTEM
4040 DP4573 11-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4041 DP4574 12-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4042 DP4575 14-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4043 DP4576 14-Jul-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4044 DP4577 14-Jul-2014 SETTLEMENT PROCESS FOR OFFER FOR SALE BSE
4045 DP4578 15-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4046 DP4579 15-Jul-2014 INVESTOR AWARENESS PROGRAMMES
4047 DP4580 15-Jul-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4048 DP4581 16-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4049 DP4582 16-Jul-2014 AVAILABILITY OF CDSL SYSTEM
4050 DP4583 16-Jul-2014 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION PROGRAMME OF NISM - DEPOSITORY OPERATIONS
4051 DP4584 17-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4052 DP4585 18-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4053 DP4586 18-Jul-2014 DETAILS CHANGE OF RTA EFFECTED BY ISSUER

Page 74
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4054 DP4587 19-Jul-2014 TRUST TRANSACTIONS USING SECURED TEXTING FOR CDSL
DEMAT ACCOUNT HOLDERS
4055 DP4588 19-Jul-2014 INVESTOR AWARENESS PROGRAMME
4056 DP4589 21-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4057 DP4590 22-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4058 DP4591 22-Jul-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4059 DP4592 23-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4060 DP4593 24-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4061 DP4594 24-Jul-2014 MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
4062 DP4595 24-Jul-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
4063 DP4596 24-Jul-2014 INVESTOR AWARENESS PROGRAMMES
4064 DP4597 24-Jul-2014 DISCONTINUATION OF INTER DEPOSITORY TRANSACTIONS ON
TRADING HOLIDAYS
4065 DP4598 24-Jul-2014 SEBI CIRCULAR CHANGE IN GOVERNMENT DEBT
INVESTMENT LIMITS
4066 DP4599 25-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4067 DP4600 25-Jul-2014 INVESTOR AWARENESS PROGRAMMES
4068 DP4601 25-Jul-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4069 DP4602 25-Jul-2014 DETAILS OF CORPORATE ACTIONS
4070 DP4603 26-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4071 DP4604 28-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4072 DP4605 28-Jul-2014 SUBMISSION OF COMPLIANCE CERTIFICATE BY DEPOSITORY
PARTICIPANTS
4073 DP4606 30-Jul-2014 INVESTOR AWARENESS PROGRAMME
4074 DP4607 30-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4075 DP4608 30-Jul-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4076 DP4609 31-Jul-2014 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
4077 DP4610 31-Jul-2014 UPDATED FAQS ON
FOREIGN PORTFOLIO INVESTORS
4078 DP4611 31-Jul-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4079 DP4612 01-Aug-2014 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
4080 DP4613 01-Aug-2014 NSEL CIRCULAR E SERIES FINANCIAL CLOSURE
4081 DP4614 01-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4082 DP4615 01-Aug-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4083 DP4616 02-Aug-2014 INVESTOR AWARENESS PROGRAMMES
4084 DP4617 02-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4085 DP4618 04-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4086 DP4619 04-Aug-2014 AVAILABILITY OF CDSL SYSTEM
4087 DP4620 04-Aug-2014 FINANCIAL ACTION TASK FORCE FATF PUBLIC STATEMENT DATED
JUNE 27 2014
4088 DP4621 05-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4089 DP4622 05-Aug-2014 INVESTOR AWARENESS PROGRAMME
4090 DP4623 05-Aug-2014 DETAILS OF CORPORATE ACTIONS
4091 DP4624 06-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4092 DP4625 07-Aug-2014 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
4093 DP4626 07-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4094 DP4627 08-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4095 DP4628 08-Aug-2014 NSEL CIRCULAR ? DEBIT OF E-GOLD ICIN BALANCES FROM THE
BENEFICIARY ACCOUNTS
4096 DP4629 09-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4097 DP4630 11-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4098 DP4631 12-Aug-2014 DETAILS OF SECURITIES ADMITTED WTH CDSL
4099 DP4632 12-Aug-2014 RELEASE OF FORMATTED VERSION OF DP89 REPORT
4100 DP4633 13-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL ON AUGUST 12,
2014
4101 DP4634 13-Aug-2014 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
4102 DP4635 13-Aug-2014 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM
DEPOSITORY OPERATIONS
4103 DP4636 13-Aug-2014 DETAILS OF CORPORATE ACTIONS
4104 DP4637 13-Aug-2014 AVAILABILITY OF CDSL SYSTEM
4105 DP4638 13-Aug-2014 DP OPERATING INSTRUCTIONS AS OF JUNE 2014-CHAPTERS -
ANNEXURES
4106 DP4639 14-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4107 DP4640 14-Aug-2014 TRANSFER OF SECURITIES THAT ARE UNDER LOCK IN- INACTIVE
ISIN

Page 75
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4108 DP4641 14-Aug-2014 INVESTOR AWARENESS PROGRAMME
4109 DP4642 18-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4110 DP4643 18-Aug-2014 SETTLEMENT TIMINGS OF BSE- NSE - MCX-SX
ON AUGUST 19- 2014- AUGUST 20- 2014 - AUGUST 22- 2014
4111 DP4644 18-Aug-2014 INVESTOR AWARENESS PROGRAMMES
4112 DP4645 19-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4113 DP4646 20-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4114 DP4647 20-Aug-2014 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
4115 DP4648 21-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4116 DP4649 21-Aug-2014 DETAILS OF CORPORATE ACTIONS
4117 DP4650 21-Aug-2014 CLARIFICATIONS REGARDING NISM SERIES VI DOCE
4118 DP4651 22-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4119 DP4652 22-Aug-2014 UPLOADING OF REPORTS TO FIU IND THROUGH THE FINNET
GATEWAY
4120 DP4653 22-Aug-2014 REMATERIALISATION OF SECURITIES
4121 DP4654 23-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4122 DP4655 25-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4123 DP4656 25-Aug-2014 PAYMENT OF PENDING DUES
4124 DP4657 25-Aug-2014 DETAILS OF CORPORATE ACTIONS
4125 DP4658 25-Aug-2014 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
4126 DP4659 26-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4127 DP4660 26-Aug-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4128 DP4661 27-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4129 DP4662 27-Aug-2014 NSEL CIRCULAR ? DEBIT OF E-ZINC ICIN BALANCES FROM THE
BENEFICIARY ACCOUNTS AND REMITTANCE TOWARDS FINAL
TRANCHE OF E-SILVER
4130 DP4663 27-Aug-2014 CHANGE OF NAME EFFECTED BY DP
4131 DP4664 27-Aug-2014 DELIVERY INSTRUCTION SLIP ISSUANCE AND TRANSACTION
PROCESSING
4132 DP4665 28-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4133 DP4666 28-Aug-2014 INVESTOR AWARENESS PROGRAMME
4134 DP4667 28-Aug-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4135 DP4668 28-Aug-2014 DETAILS OF CORPORATE ACTIONS
4136 DP4669 30-Aug-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4137 DP4670 01-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4138 DP4671 01-Sep-2014 SEBI NOTIFICATION TICKER ON WEBSITE OF DPS FOR SMS ALERTS
4139 DP4672 01-Sep-2014 CHANGE OF NAME EFFECTED BY RTA
4140 DP4673 01-Sep-2014 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
4141 DP4674 02-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4142 DP4675 03-Sep-2014 SEBI CIRCULAR INFORMATION REGARDING GRIEVANCE
REDRESSAL MECHANISM
4143 DP4676 03-Sep-2014 DETAILS OF CORPORATE ACTIONS
4144 DP4677 03-Sep-2014 SEBI NOTIFICATION INFORMATION ON WEBSITE OF DEPOSITORY
PARTICIPANTS DPS FOR KYC
4145 DP4678 03-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4146 DP4679 03-Sep-2014 INVESTOR AWARENESS PROGRAMMES
4147 DP4680 03-Sep-2014 DETAILS OF CORPORATE ACTIONS
4148 DP4681 04-Sep-2014 INTER DEPOSITORY TRANSFERS ON SEPTEMBER 04 2014 AND
SEPTEMBER 06 2014
4149 DP4682 04-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4150 DP4683 05-Sep-2014 RE ORGANISATION OF THE EXISTING STATE OF ANDHRA PRADESH
4151 DP4684 05-Sep-2014 INVESTOR AWARENESS PROGRAMMES
4152 DP4685 05-Sep-2014 SCANNING OF DELIVERY INSTRUCTION SLIPS DIS AUDIT
REQUIREMENTS
4153 DP4686 05-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4154 DP4687 08-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL ON SEPTEMBER 05,
2014
4155 DP4688 08-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL ON SEPTEMBER 06,
2014
4156 DP4689 08-Sep-2014 DETAILS OF CORPORATE ACTION
4157 DP4690 08-Sep-2014 COMMONLY OBSERVED DISCREPANCIES IN INSPECTION OF DPS IN
THE AREA OF PMLA REQUIREMENTS
4158 DP4691 09-Sep-2014 WITHDRAWAL OF SECURITIES FROM CDSL
4159 DP4692 09-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL ON SEPTEMBER 08,
2014
4160 DP4693 09-Sep-2014 INSURANCE CERTIFICATES
4161 DP4694 10-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 76
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4162 DP4695 10-Sep-2014 REVISED FORMAT FOR REPORT ON INTERNAL AUDIT AND
CONCURRENT AUDIT OF RISK PRONE AREAS OF DP OPERATIONS
FOR HALF YEAR ENDED 30TH SEPTEMBER-2014
4163 DP4696 10-Sep-2014 INVESTOR AWARENESS PROGRAMMES
4164 DP4697 11-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4165 DP4698 11-Sep-2014 CDSLS DP TRAINING PROGRAMME FROM OCTOBER 07, 2014 TO
OCTOBER 10, 2014 AT MUMBAI
4166 DP4699 11-Sep-2014 DETAILS OF CORPORATE ACTIONS
4167 DP4700 11-Sep-2014 AVAILABILITY OF CDSL SYSTEM
4168 DP4701 12-Sep-2014 DETAIILS OF SECURIITIIES ADMIITTED WIITH CDSL
4169 DP4702 12-Sep-2014 DETAIILS OF CHANGE OF RTA EFFECTED BY IISSUER
4170 DP4703 13-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4171 DP4704 15-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4172 DP4705 15-Sep-2014 TESTING OF DIS ISSUANCE AND TRANSACTION PROCESSING ON
CDSL MOCK SYSTEM
4173 DP4706 15-Sep-2014 INVESTOR AWARENESS PROGRAMMES
4174 DP4707 16-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4175 DP4708 17-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4176 DP4709 17-Sep-2014 RELEASE OF TRANSFER OF SECURITIES THAT ARE UNDER LOCK IN-
INACTIVE ISIN - PENDING DEMAT
4177 DP4710 18-Sep-2014 INVESTOR AWARENESS PROGRAMME
4178 DP4711 18-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4179 DP4712 18-Sep-2014 AVAILABILITY OF CDSL SYSTEM
4180 DP4713 19-Sep-2014 AL-QAIDA SANCTIONS LIST AND THE UN SECURITY COUNCILS
TALIBAN SANCTIONS LIST
4181 DP4714 19-Sep-2014 NSEL CIRCULAR ? DEBIT OF E-SILVER BALANCES FROM THE
BENEFICIARY ACCOUNTS
4182 DP4715 19-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4183 DP4716 19-Sep-2014 INVESTOR AWARENESS PROGRAMMES
4184 DP4717 19-Sep-2014 UPDATING NAGAR URBAN CO-OPERATIVE BANK LIMITED ACCOUNT
NUMBERS IN BO ACCOUNTS
4185 DP4718 19-Sep-2014 DETAILS OF CORPORATE ACTIONS
4186 DP4719 20-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4187 DP4720 22-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4188 DP4721 23-Sep-2014 TESTING OF DELIVERY INSTRUCTION SLIP (DIS) ISSUANCE AND
TRANSACTION PROCESSING ON CDSL MOCK SYSTEM
4189 DP4722 23-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4190 DP4723 23-Sep-2014 DETAILS OF CORPORATE ACTIONS
4191 DP4724 24-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4192 DP4725 24-Sep-2014 DETAILS OF CORPORATE ACTIONS
4193 DP4726 24-Sep-2014 INVESTOR AWARENESS PROGRAMMES
4194 DP4727 24-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4195 DP4728 25-Sep-2014 RELEASE OF NEW CDAS VERSION AND
AVAILABILITY OF CDSL SYSTEM
4196 DP4729 25-Sep-2014 SCANNING OF DELIVERY INSTRUCTION SLIPS (DIS) ? AUDIT
REQUIREMENTS
4197 DP4730 25-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4198 DP4731 26-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4199 DP4732 26-Sep-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4200 DP4733 26-Sep-2014 INVESTOR AWARENESS PROGRAMMES
4201 DP4734 27-Sep-2014 SCANNING OF DELIVERY INSTRUCTION SLIPS (DIS) ? AUDIT
REQUIREMENTS
4202 DP4735 29-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4203 DP4736 29-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4204 DP4737 29-Sep-2014 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
4205 DP4738 29-Sep-2014 AVAILABILITY OF CDSL SYSTEM
4206 DP4739 30-Sep-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4207 DP4740 30-Sep-2014 TERMINATION OF REGISTRAR & TRANSFER AGENT CHOKSH
INFOTECH LIMITED
4208 DP4741 30-Sep-2014 UPDATED FAQS ON FOREIGN PORTFOLIO INVESTOR FPIS
4209 DP4742 30-Sep-2014 DETAILS OF CORPORATE ACTIONS
4210 DP4743 01-Oct-2014 DETAILS OF CORPORATE ACTIONS
4211 DP4744 01-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4212 DP4745 01-Oct-2014 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM
DEPOSITORY OPERATIONS
4213 DP4746 04-Oct-2014 INVESTOR AWARENESS PROGRAMME
4214 DP4747 07-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4215 DP4748 08-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 77
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4216 DP4749 08-Oct-2014 DETAILS OF CORPORATE ACTIONS
4217 DP4750 08-Oct-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4218 DP4751 08-Oct-2014 INVESTOR AWARENESS PROGRAMMES
4219 DP4752 08-Oct-2014 AL-QAIDA SANCTIONS LIST AND THE UN SECURITY COUNCIL?S
TALIBAN SANCTIONS LIST
4220 DP4753 09-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4221 DP4754 10-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4222 DP4755 10-Oct-2014 DELIVERY INSTRUCTION SLIP ISSUANCE AND TRANSACTION
PROCESSING
4223 DP4756 11-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4224 DP4757 13-Oct-2014 WITHDRAWAL OF SECURITIES FROM CDSL
4225 DP4758 13-Oct-2014 INVESTOR AWARENESS PROGRAMME
4226 DP4759 13-Oct-2014 GENERAL ELECTIONS -ASSEMBLY- 2014 IN MAHARASHTRA
ON WEDNESDAY- OCTOBER 15- 2014
4227 DP4760 14-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4228 DP4761 14-Oct-2014 GENERAL ELECTIONS (ASSEMBLY) 2014 IN MAHARASHTRA ON
WEDNESDAY, OCTOBER 15, 2014
4229 DP4762 14-Oct-2014 SCANNING OF DELIVERY INSTRUCTION SLIPS (DIS) ? AUDIT
REQUIREMENTS
4230 DP4763 16-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4231 DP4764 16-Oct-2014 DETAILS OF CORPORATE ACTIONS
4232 DP4765 16-Oct-2014 AVAILABILITY OF CDSL SYSTEM
4233 DP4766 17-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4234 DP4767 17-Oct-2014 INVESTOR AWARENESS PROGRAMME
4235 DP4768 17-Oct-2014 FREEZE - UNFREEZE FACILITY THROUGH EASI-EASIEST SYSTEM
AND ADDITIONAL FACILITY FOR TRUSTED ACCOUNT - EASIEST
4236 DP4769 17-Oct-2014 AVAILABILITY OF INTER-DEPOSITORY TRANSACTIONS ON
OCTOBER 23- 2014
4237 DP4770 18-Oct-2014 DETAILS OF CORPORATE ACTION
4238 DP4771 20-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4239 DP4772 20-Oct-2014 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
4240 DP4773 21-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4241 DP4774 21-Oct-2014 DETAILS OF CORPORATE ACTIONS
4242 DP4775 21-Oct-2014 SETTLEMENT TIMINGS OF BSE-NSE - MCX-SX
ON OCTOBER 27 2014 OCTOBER 28 2014 - OCTOBER 30 2014
4243 DP4776 21-Oct-2014 CHANGE OF NAME EFFECTED BY DPS
4244 DP4777 22-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4245 DP4778 22-Oct-2014 DETAILS OF CORPORATE ACTIONS
4246 DP4779 25-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4247 DP4780 25-Oct-2014 INVESTOR AWARENESS PROGRAMMES
4248 DP4781 27-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4249 DP4782 27-Oct-2014 DETAILS OF CORPORATE ACTIONS
4250 DP4783 28-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4251 DP4784 28-Oct-2014 INVESTOR AWARENESS PROGRAMMES
4252 DP4785 29-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4253 DP4786 29-Oct-2014 DP OPERATING INSTRUCTIONS AS OF SEPTEMBER 2014 ?
CHAPTERS-ANNEXURES
4254 DP4787 29-Oct-2014 DETAILS OF CORPORATE ACTIONS
4255 DP4788 29-Oct-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4256 DP4789 30-Oct-2014 MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
4257 DP4790 30-Oct-2014 INVESTOR AWARENESS PROGRAMMES
4258 DP4791 30-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4259 DP4792 31-Oct-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4260 DP4793 31-Oct-2014 CONCURRENT AUDIT OF RISK PRONE AREAS BY CONCURRENT
INTERNAL AUDITORS OF THE DPS REVISED CHECKLIST
4261 DP4794 31-Oct-2014 WITHDRAWAL TERMINATION OF DEPOSITORY PARTICIPANTS OF
CDSL
4262 DP4795 31-Oct-2014 INVESTOR AWARENESS PROGRAMMES
4263 DP4796 31-Oct-2014 UPDATED FAQS ON
FOREIGN PORTFOLIO INVESTORS
4264 DP4797 31-Oct-2014 CLOSURE OF RTA OPERATIONS BY
COMPUTRONICS FINANCIAL SERVICES I LIMITED
4265 DP4798 01-Nov-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4266 DP4799 01-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4267 DP4800 03-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4268 DP4801 03-Nov-2014 SHIFTING OF NSDL OPERATIONS TO DISASTER RECOVERY SITE
4269 DP4802 05-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 78
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4270 DP4803 05-Nov-2014 INVESTOR AWARENESS PROGRAMMES
4271 DP4804 05-Nov-2014 AMENDMENTS TO BYE LAWS
4272 DP4805 07-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4273 DP4806 07-Nov-2014 TRAINING PROGRAMME FOR INTERNAL - CONCURRENT AUDITORS
AND COMPLIANCE OFFICERS - DP OFFICIALS
4274 DP4807 08-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4275 DP4808 10-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4276 DP4809 11-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4277 DP4810 11-Nov-2014 DETAILS OF CORPORATE ACTION
4278 DP4811 11-Nov-2014 INVESTOR AWARENESS PROGRAMME
4279 DP4812 11-Nov-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4280 DP4813 12-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4281 DP4814 12-Nov-2014 INVESTOR AWARENESS PROGRAMMES
4282 DP4815 13-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4283 DP4816 14-Nov-2014 CONSOLIDATED ACCOUNT STATEMENT FOR ALL SECURITIES
ASSETS
4284 DP4817 14-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4285 DP99999 14-Nov-2014 AA
4286 DP4818 17-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4287 DP4819 17-Nov-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4288 DP4820 17-Nov-2014 DETAILS OF CORPORATE ACTION
4289 DP4821 17-Nov-2014 INVESTOR AWARENESS PROGRAMME
4290 DP4822 17-Nov-2014 CDSLS TRUST APPLICATION ON GOOGLE PLAY STORE
4291 DP4823 17-Nov-2014 NSEL CIRCULAR ESERIES FINANCIAL CLOSURE
4292 DP4824 17-Nov-2014 FINANCIAL ACTION TASK FORCE PUBLIC STATEMENT DATED
OCTOBER 24 2014
4293 DP4825 18-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4294 DP4826 18-Nov-2014 INVESTOR AWARENESS PROGRAMME
4295 DP4827 18-Nov-2014 DETAILS OF CORPORATE ACTION
4296 DP4828 19-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4297 DP4829 19-Nov-2014 INVESTOR AWARENESS PROGRAMME
4298 DP4830 20-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4299 DP4831 20-Nov-2014 INVESTOR AWARENESS PROGRAMME
4300 DP4832 20-Nov-2014 DETAILS OF CORPORATE ACTION
4301 DP4833 20-Nov-2014 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
4302 DP4834 20-Nov-2014 AVAILABILITY OF CDSL SYSTEM
4303 DP4835 21-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4304 DP4836 21-Nov-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4305 DP4837 21-Nov-2014 DETAILS OF CORPORATE ACTIONS
4306 DP4838 22-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4307 DP4839 24-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4308 DP4840 24-Nov-2014 DISPATCH OF TRANSACTION AND HOLDING STATEMENTS ON
BEHALF OF DEPOSITORY PARTICIPANTS
4309 DP4841 24-Nov-2014 DETAILS OF CORPORATE ACTION
4310 DP4842 25-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4311 DP4843 25-Nov-2014 AMENDMENTS TO UN SECURITY COUNCILS AL QAIDA SANCTIONS
LIST
4312 DP4844 25-Nov-2014 INVESTOR AWARENESS PROGRAMME
4313 DP4845 25-Nov-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4314 DP4846 26-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4315 DP4847 27-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4316 DP4848 27-Nov-2014 DETAILS OF CORPORATE ACTION
4317 DP4849 28-Nov-2014 INVESTOR AWARENESS PROGRAMME
4318 DP4850 28-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4319 DP4851 28-Nov-2014 MANDATORY USE OF EASIEST BY DP FOR EXECUTING
TRANSACTIONS
4320 DP4852 29-Nov-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4321 DP4853 01-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4322 DP4854 01-Dec-2014 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
4323 DP4855 02-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4324 DP4856 02-Dec-2014 INVESTOR AWARENESS PROGRAMME
4325 DP4857 03-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4326 DP4858 03-Dec-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4327 DP4859 03-Dec-2014 INVESTOR AWARENESS PROGRAMMES
4328 DP4860 03-Dec-2014 DETAILS OF CORPORATE ACTION

Page 79
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4329 DP4861 04-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4330 DP4862 05-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4331 DP4863 08-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4332 DP4864 08-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4333 DP4865 09-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4334 DP4866 09-Dec-2014 INVESTOR AWARENESS PROGRAMMES
4335 DP4867 10-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4336 DP4868 10-Dec-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4337 DP4869 10-Dec-2014 INVESTOR AWARENESS PROGRAMME
4338 DP4870 11-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4339 DP4871 11-Dec-2014 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
4340 DP4874 11-Dec-2014 AMENDMENTS TO UN SECURITY COUNCILS AL QAIDA SANCTIONS
LIST
4341 DP4872 12-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4342 DP4873 12-Dec-2014 DETAILS OF CORPORATE ACTIONS
4343 DP4875 13-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4344 DP4876 15-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4345 DP4877 16-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4346 DP4878 16-Dec-2014 CDSLS DP TRAINING PROGRAMME
4347 DP4879 17-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4348 DP4880 17-Dec-2014 RISK ASSESSMENT TEMPLATE
4349 DP4881 17-Dec-2014 DETAILS OF CORPORATE ACTIONS
4350 DP4882 18-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4351 DP4883 18-Dec-2014 AVAILABILITY OF CDSL SYSTEM
4352 DP4884 19-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4353 DP4885 19-Dec-2014 AMENDMENTS TO UN SECURITY COUNCILS AL QAIDA SANCTIONS
LIST
4354 DP4886 19-Dec-2014 MOVEMENT OF PAYOUT SECURITIES FROM
CM POOL ACCOUNT TO BO ACCOUNT
4355 DP4887 20-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL ON DECEMBER 19,
2014
4356 DP4888 22-Dec-2014 DETAIILS OF SECURIITIIES ADMIITTED WIITH CDSL
4357 DP4889 22-Dec-2014 INVESTOR AWARENESS PROGRAMMES
4358 DP4890 22-Dec-2014 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4359 DP4891 22-Dec-2014 REDRESSAL OF INVESTOR GRIEVANCES THROUGH SCORES
PLATFORM
4360 DP4892 23-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4361 DP4893 23-Dec-2014 RISK ASSESSMENT TEMPLATE
4362 DP4894 23-Dec-2014 INVESTOR AWARENESS PROGRAMMES
4363 DP4895 24-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4364 DP4896 24-Dec-2014 INVESTOR AWARENESS PROGRAMMES
4365 DP4897 24-Dec-2014 DETAILS OF CORPORATE ACTIONS
4366 DP4898 24-Dec-2014 AVAILABILITY OF CDSL SYSTEM
4367 DP4899 26-Dec-2014 DETAILS OF SECURITIES ADMIITED WITH CDSL
4368 DP4900 26-Dec-2014 CONSOLIDATED ACCOUNT STATEMENT CAS - INCORPORATION OF
ADDITIONAL FIELDS IN BO MODULE
4369 DP4901 26-Dec-2014 INVESTOR AWARENESS PROGRAMME
4370 DP4902 27-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4371 DP4903 29-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4372 DP4904 29-Dec-2014 INVESTOR AWARENESS PROGRAMMES
4373 DP4905 29-Dec-2014 SECURIITIIES AND EXCHANGE BOARD OF IINDIIA
(DP) (AMENDMENT)
REGULATIIONS,, 2014
4374 DP4906 30-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4375 DP4907 30-Dec-2014 DETAILS OF CORPORATE ACTION
4376 DP4908 30-Dec-2014 SINGLE REGISTRATION FOR DEPOSITORY PARTICIPANTS
4377 DP4909 31-Dec-2014 DETAILS OF SECURITIES ADMITTED WITH CDSL
4378 DP4910 31-Dec-2014 REGISTRATION FOR THE PURPOSE OF FOREIGN ACCOUNTS TAX
COMPLIANCE ACT FATCA
4379 DP4911 31-Dec-2014 CHANGE OF NAME EFFECTED BY RTAS
4380 DP4912 01-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4381 DP4913 01-Jan-2015 INVESTOR AWARENESS PROGRAMME
4382 DP4914 02-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4383 DP4915 05-Jan-2015 DETAILS OF CORPORATE ACTIONS
4384 DP4916 05-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4385 DP4917 06-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4386 DP4918 06-Jan-2015 INVESTOR AWARENESS PROGRAMMES
Page 80
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4387 DP4919 06-Jan-2015 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION PROGRAMME OF NISM ? DEPOSITORY OPERATIONS
4388 DP4920 07-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4389 DP4921 07-Jan-2015 INVESTOR AWARENESS PROGRAMMES
4390 DP4922 07-Jan-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4391 DP4923 07-Jan-2015 AMENDMENTS TO UN SECURITY COUNCILS AL-QAIDA SANCTIONS
LIST
4392 DP4924 08-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4393 DP4925 08-Jan-2015 AVAILABILITY OF CDSL SYSTEM
4394 DP4926 08-Jan-2015 DETAILS OF CORPORATE ACTIONS
4395 DP4927 09-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4396 DP4928 09-Jan-2015 DISCONTINUATION OF INTER-DEPOSITORY TRANSACTIONS ON
TRADING HOLIDAYS
4397 DP4929 09-Jan-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4398 DP4930 10-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4399 DP4931 12-Jan-2015 DETAIILS OF SECURIITIIES ADMIITTED WIITH CDSL
4400 DP4932 12-Jan-2015 CDSLS DP TRAINING PROGRAMME
4401 DP4933 12-Jan-2015 INSURANCE POLICY FOR WAREHOUSE RECEIPTS
HELD IN DEMATERIALISED FORM
4402 DP4934 12-Jan-2015 INVESTOR AWARENESS PROGRAMMES
4403 DP4935 12-Jan-2015 REMINDER ? UPDATION OF EMAIL STATEMENT FLAG IN BO MODULE
4404 DP4936 13-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4405 DP4937 13-Jan-2015 INVESTOR AWARENESS PROGRAMME
4406 DP4938 14-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4407 DP4939 15-Jan-2015 SMS ALERTS TO BENEFICIAL OWNERS
4408 DP4940 15-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4409 DP4941 15-Jan-2015 INVESTOR AWARENESS PROGRAMMES
4410 DP4942 15-Jan-2015 INVESTOR AWARENESS PROGRAMME
4411 DP4943 16-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4412 DP4944 16-Jan-2015 INVESTOR AWARENESS PROGRAMMES
4413 DP4945 16-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4414 DP4946 19-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4415 DP4947 19-Jan-2015 INVESTOR AWARENESS PROGRAMME
4416 DP4948 20-Jan-2015 DETAILS OF CORPORATE ACTIONS
4417 DP4949 20-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4418 DP4950 21-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4419 DP4952 21-Jan-2015 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM
CM POOL ACCOUNT TO BO ACCOUNT
4420 DP4953 21-Jan-2015 CHANGE OF NAME EFFECTED BY DP
4421 DP4954 21-Jan-2015 RISK ASSESSMENT TEMPLATE
4422 DP4951 22-Jan-2015 AVAIILABIILIITY OF CDSL SYSTEM
4423 DP4955 22-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4424 DP4956 23-Jan-2015 SHIFTING OF NSDL OPERATIONS TO DISASTER RECOVERY SITE
4425 DP4958 23-Jan-2015 INVESTOR AWARENESS PROGRAMMES
4426 DP4959 23-Jan-2015 DETAILS OF CORPORATE ACTION
4427 DP4957 24-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4428 DP4960 24-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4429 DP4961 24-Jan-2015 INVESTOR AWARENESS PROGRAMMES
4430 DP4962 27-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4431 DP4963 27-Jan-2015 INVESTOR AWARENESS PROGRAMMES
4432 DP4964 28-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4433 DP4965 28-Jan-2015 INVESTOR AWARENESS PROGRAMMES
4434 DP4966 29-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4435 DP4967 29-Jan-2015 INVESTOR AWARENESS PROGRAMMES
4436 DP4968 30-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4437 DP4969 31-Jan-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4438 DP4970 02-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4439 DP4971 02-Feb-2015 DETAILS OF CORPORATE ACTION
4440 DP4972 02-Feb-2015 INVESTOR AWARENESS PROGRAMMES
4441 DP4973 03-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4442 DP4974 03-Feb-2015 INVESTOR AWARENESS PROGRAMME
4443 DP4975 04-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4444 DP4976 04-Feb-2015 REMINDER ? UPDATION OF EMAIL STATEMENT FLAG IN BO MODULE
4445 DP4977 05-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4446 DP4978 05-Feb-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER

Page 81
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4447 DP4979 05-Feb-2015 CHANGE IN INVESTMENT CONDITIONS RESTRICTIONS FOR FPI
INVESTMENTS IN CORPORATE DEBT SECURITIES
4448 DP4980 05-Feb-2015 INVESTOR AWARENESS PROGRAMME
4449 DP4981 05-Feb-2015 AMENDMENTS TO UN SECURITY COUNCILS AL-QAIDA SANCTIONS
LIST
4450 DP4982 06-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4451 DP4983 06-Feb-2015 CHANGE IN INVESTMENT CONDITIONS FOR FPI INVESTMENTS IN
GOVERNMENT DEBT SECURITIES
4452 DP4984 07-Feb-2015 DETAIILS OF SECURIITIIES ADMIITTED WIITH CDSL
4453 DP4985 07-Feb-2015 WIITHDRAWAL OF SECURIITIIES FROM CDSL
4454 DP4986 09-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4455 DP4987 09-Feb-2015 INVESTOR AWARENESS PROGRAMMES
4456 DP4988 09-Feb-2015 DETAILS OF CORPORATE ACTIONS
4457 DP4989 09-Feb-2015 CHANGE OF NAME EFFECTED BY DP
4458 DP4990 10-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4459 DP4991 10-Feb-2015 TARIFF STRUCTURE
4460 DP4992 10-Feb-2015 INVESTOR AWARENESS PROGRAMMES
4461 DP4993 10-Feb-2015 RESCHEDULE OF INVESTOR AWARENESS PROGRAMME IN MUMBAI
4462 DP4994 11-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4463 DP4995 11-Feb-2015 INVESTOR AWARENESS PROGRAMME
4464 DP4996 11-Feb-2015 DETAILS OF CORPORATE ACTIONS
4465 DP4997 11-Feb-2015 DP OPERATING INSTRUCTIONS AS OF DECEMBER 2014 ?
CHAPTERS ANNEXURES
4466 DP4998 12-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4467 DP4999 12-Feb-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4468 DP5000 12-Feb-2015 MOVEMENT OF PAYOUT SECURITIES FROM
CM POOL ACCOUNT TO BO ACCOUNT
4469 DP5001 12-Feb-2015 CHANGE OF NAME EFFECTED BY DP
4470 DP5002 12-Feb-2015 INVESTOR AWARENESS PROGRAMMES
4471 DP5003 13-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4472 DP5004 13-Feb-2015 INVESTOR AWARENESS PROGRAMMES
4473 DP5005 16-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4474 DP5006 18-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4475 DP5007 18-Feb-2015 INVESTOR AWARENESS PROGRAMMES
4476 DP5008 18-Feb-2015 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
4477 DP5009 18-Feb-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4478 DP5010 19-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4479 DP5011 19-Feb-2015 INVESTOR AWARENESS PROGRAMMES
4480 DP5012 19-Feb-2015 DETAILS OF CORPORATE ACTIONS
4481 DP5013 19-Feb-2015 SETTLEMENT TIMINGS OF BSE, NSE & MCX-SX
ON FEBRUARY 20, 2015, FEBRUARY 23, 2015 & FEBRUARY 25, 2015
4482 DP5014 19-Feb-2015 PROCEDURE FOR INSTALLATION OF NEW SILVERLIGHT
CERTIFICATE FOR BROWSER BASED CDAS
4483 DP5015 20-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4484 DP5016 20-Feb-2015 CPE PROGRAMME OF NISM ? DEPOSITORY OPERATIONS
4485 DP5017 20-Feb-2015 UPDATE OF MOBILE NUMBER - REGISTRATION FOR SMS ALERT
4486 DP5018 20-Feb-2015 CHANGE OF VENUE
INVESTOR AWARENESS PROGRAMME
4487 DP5019 20-Feb-2015 INVESTOR AWARENESS PROGRAMMES
4488 DP5020 20-Feb-2015 ADDITIONAL FACILITY TO CMS - TRANSFER OF SECURITIES TO CMS
CLIENT MARGIN ACCOUNT THROUGH EASIEST
4489 DP5021 21-Feb-2015 DETAILS OF CORPORATE ACTION
4490 DP5022 21-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4491 DP5023 23-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4492 DP5024 24-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4493 DP5025 24-Feb-2015 INVESTOR AWARENESS PROGRAMMES
4494 DP5026 24-Feb-2015 DETAILS OF CORPORATE ACTION
4495 DP5027 24-Feb-2015 INTER-DEPOSITORY TRANSFER ON SATURDAY, 28 FEBRUARY 2015
4496 DP5028 26-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4497 DP5029 26-Feb-2015 INVESTOR AWARENESS PROGRAMMES
4498 DP5030 26-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4499 DP5031 26-Feb-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4500 DP5032 26-Feb-2015 DETAILS OF CORPORATE ACTIONS
4501 DP5033 26-Feb-2015 CONSOLIDATED ACCOUNT STATEMENT ? REVISED FILE FORMATS
FOR REPORTS DPB9-DPS8-DPS9
4502 DP5034 27-Feb-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4503 DP5035 27-Feb-2015 CDSLS DP TRAINING PROGRAMME

Page 82
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4504 DP5036 27-Feb-2015 RESCHEDULED INVESTOR AWARENESS PROGRAMME ?
MAHARASHTRA
4505 DP5037 27-Feb-2015 SETTLEMENT TIMINGS OF BSE, NSE & MCX-SX
ON MARCH 02, 2015, MARCH 03, 2015 & MARCH 05, 2015
4506 DP5038 02-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4507 DP5039 02-Mar-2015 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
4508 DP5040 02-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4509 DP5041 02-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4510 DP5042 03-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4511 DP5043 03-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4512 DP5044 04-Mar-2015 MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
4513 DP5045 04-Mar-2015 REVISED INSTRUCTION FORMAT FOR DISPATCH OF TRANSACTION
AND HOLDING STATEMENTS ON BEHALF OF DP
4514 DP5046 04-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4515 DP5047 04-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4516 DP5048 04-Mar-2015 CONSOLIDATED ACCOUNT STATEMENT (CAS) ? LIST OF CAS
ELIGIBLE BOIDS
4517 DP5049 05-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4518 DP5050 05-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4519 DP5051 07-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4520 DP5052 09-Mar-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4521 DP5053 09-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4522 DP5054 10-Mar-2015 DETAILS OF CORPORATE ACTION
4523 DP5055 10-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4524 DP5056 11-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4525 DP5057 11-Mar-2015 INVETOR AWARENESS PROGRAMME
4526 DP5058 11-Mar-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4527 DP5059 12-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4528 DP5060 12-Mar-2015 DETAILS OF CORPORATE ACTIONS
4529 DP5061 12-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4530 DP5062 13-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4531 DP5063 13-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4532 DP5064 13-Mar-2015 AVAILABILITY OF CDSL SYSTEM
4533 DP5065 13-Mar-2015 RESCHEDULED INVESTOR AWARENESS PROGRAMME ? KERALA
4534 DP5066 14-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4535 DP5067 16-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4536 DP5068 16-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4537 DP5069 18-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4538 DP5070 18-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4539 DP5071 18-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4540 DP5072 19-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4541 DP5073 19-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4542 DP5074 19-Mar-2015 DETAILS OF CORPORATE ACTION
4543 DP5075 20-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4544 DP5076 20-Mar-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4545 DP5077 21-Mar-2015 TERMINATION OF AGREEMENT BETWEEN CDSL AND MAX
PLANWEALTH SECURITIES LIMITED
4546 DP5078 21-Mar-2015 DETAILS OF CORPORATE ACTION
4547 DP5079 21-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4548 DP5080 21-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4549 DP5081 23-Mar-2015 RISK ASSESSMENT TEPMLATE
4550 DP5082 23-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4551 DP5083 23-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4552 DP5084 24-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4553 DP5085 24-Mar-2015 INVESTOR AWARENESS
PROGRAMMES
4554 DP5086 25-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4555 DP5087 25-Mar-2015 INVESTOR AWARENESS PROGRAMME
4556 DP5088 25-Mar-2015 SEBI CIRCULAR ? SARAL ACCOUNT OPENING FORM FOR RESIDENT
INDIVIDUALS
4557 DP5089 25-Mar-2015 CLOSURE OF RTA OPERATIIONS BY MCS LIIMIITED - KOLKATA
4558 DP5090 25-Mar-2015 DETAILS OF CORPORATE ACTIONS
4559 DP5091 25-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4560 DP5092 26-Mar-2015 AVAILABILITY OF CDSL SYSTEM
4561 DP5093 26-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 83
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4562 DP5094 26-Mar-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4563 DP5095 27-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4564 DP5096 27-Mar-2015 DETAILS OF CORPORATE ACTIONS
4565 DP6000 27-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4566 DP5102 30-Mar-2015 REVISED FORMAT-OF-IAR-AND-CAR FOR HALF YEAR ENDED MARCH
2015
4567 DP5103 30-Mar-2015 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
4568 DP5099 31-Mar-2015 TRAINING PROGRAMME ON RISK ASSESSMENT TEMPLATE
4569 DP5101 31-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4570 DP5104 31-Mar-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4571 DP5105 31-Mar-2015 INVESTOR AWARENESS PROGRAMMES
4572 DP5106 31-Mar-2015 MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
4573 DP5107 31-Mar-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4574 DP5108 31-Mar-2015 SETTLEMENT TIMINGS OF BSE, NSE & MCX-SX
ON APRIL 06, 2015, APRIL 07, 2015 & APRIL 09, 2015
4575 DP5109 01-Apr-2015 MANDATORY USE OF `EASIEST? BY DP FOR EXECUTING
TRANSACTIONS
4576 DP5110 01-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4577 DP5111 01-Apr-2015 WITHDRAWAL OF SECURITIES FROM CDSL
4578 DP5112 04-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL ON APRIL 01, 2015
4579 DP5113 06-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4580 DP5114 06-Apr-2015 CHANGE OF NAME EFFECTED BY DP
4581 DP5115 06-Apr-2015 AMENDMENTS TO UN SECURITY COUNCILS AL-QAIDA SANCTIONS
LIST
4582 DP5116 06-Apr-2015 INVESTOR AWARENESS PROGRAMMES
4583 DP5117 07-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4584 DP5118 08-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4585 DP5119 08-Apr-2015 SUBMISSION / DISSEMINATION OF DP TARIFF / CHARGE
STRUCTURE TO CDSL EVERY YEAR
4586 DP5120 08-Apr-2015 INVESTOR AWARENESS PROGRAMME
4587 DP5097 09-Apr-2015 CONCURRENT AUDIIT OF RIISK PRONE AREAS BY CONCURRENT /
INTERNALL AUDIITORS OF THE DPS
4588 DP5098 09-Apr-2015 REVIISED FORMAT FOR REPORT ON IINTERNAL AUDIIT
AND CONCURRENT AUDIIT OF RIISK PRONE AREAS
OF DP OPERATIIONS FOR HALF YEAR ENDED 31-MARCH-2015
4589 DP5121 09-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4590 DP5122 09-Apr-2015 CONSOLIDATED ACCOUNT STATEMENT (CAS) - LIST OF CAS
ELIGIBLE BOIDS - MARCH 2015
4591 DP5123 09-Apr-2015 DETAILS OF CORPORATE ACTIONS
4592 DP5124 10-Apr-2015 INVESTOR AWARENESS PROGRAMMES
4593 DP5125 10-Apr-2015 MOVEMENT OF PAYOUT SECURITIES FROM
CLEARING MEMBER POOL ACCOUNT TO BO ACCOUNT
4594 DP5126 10-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4595 DP5127 10-Apr-2015 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM ?
DEPOSITORY OPERATIONS
4596 DP5128 10-Apr-2015 SEBI CIRCULAR - REVISION OF LIMITS FOR CURRENCY
DERIVATIVES CONTRACTS
4597 DP5129 11-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4598 DP5130 11-Apr-2015 NISM SERIES ? VI DEPOSITORY OPERATIONS
CERTIFICATION EXAMINATION
4599 DP5131 13-Apr-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4600 DP5132 13-Apr-2015 WITHDRAWAL OF SECURITIES FROM CDSL
4601 DP5133 13-Apr-2015 INVESTOR AWARENESS PROGRAMMES
4602 DP5134 13-Apr-2015 INSURANCE POLICY FOR SECURITIES
4603 DP5135 13-Apr-2015 DP OPERATIING INSTRUCTIONS AS OF MARCH 2015 ?
CHAPTERS AND ANNEXURES
4604 DP5136 15-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4605 DP5137 15-Apr-2015 DETAILS OF CORPORATE ACTIONS
4606 DP5138 15-Apr-2015 INVESTOR AWARENESS PROGRAMMES
4607 DP5139 15-Apr-2015 SEPARATE MOBILE NUMBER / EMAIL ID FOR CLIENTS
4608 DP5140 16-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4609 DP5141 16-Apr-2015 RECTIFICATION IN NAME OF THE BENEFICIAL OWNER
4610 DP5142 16-Apr-2015 CHANGE OF NAME EFFECTED BY RTA
4611 DP5143 17-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4612 DP5144 17-Apr-2015 RESCHEDULED
INVESTOR AWARENESS PROGRAMME ? MAHARASHTRA
4613 DP5145 17-Apr-2015 AMENDMENTS TO UN SECURITY COUNCILS AL-QAIDA AND TALIBAN
SANCTIONS LIST

Page 84
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4614 DP5147 18-Apr-2015 INVESTOR AWARENESS PROGRAMMES
4615 DP5148 18-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4616 DP5146 20-Apr-2015 REMINDER - UPDATE OF MOBILE NUMBER - REGISTRATION FOR
SMS ALERT
4617 DP5149 20-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4618 DP5150 21-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4619 DP5151 21-Apr-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4620 DP5152 21-Apr-2015 CDSL DP TRAINING PROGRAMME
4621 DP5153 22-Apr-2015 DETAILS OF CORPORATE ACTIONS
4622 DP5154 22-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4623 DP5155 22-Apr-2015 INVESTOR AWARENESS PROGRAMMES
4624 DP5156 22-Apr-2015 PARAMETERS AND REPORTING OF ALERTS FOR POTENTIAL
SUSPICIOUS TRANSACTION REPORTS
4625 DP5157 23-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4626 DP5158 23-Apr-2015 INVESTOR AWARENESS PROGRAMME
4627 DP5159 24-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4628 DP5160 24-Apr-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4629 DP5161 25-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4630 DP5162 25-Apr-2015 FINANCIAL ACTION TASK FORCE [FATF] PUBLIC STATEMENT DATED
FEBRUARY 27, 2015
4631 DP5163 27-Apr-2015 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
4632 DP5164 28-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4633 DP5165 28-Apr-2015 TRAINING SCHEDULE CPE PROGRAMME OF NISM - DEPOSITORY
OPERATIONS
4634 DP5166 28-Apr-2015 AVAILABLITY OF CDSL SYSTEM
4635 DP5167 29-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4636 DP5168 30-Apr-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4637 DP5169 30-Apr-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4638 DP5170 30-Apr-2015 INVESTOR AWARENESS PROGRAMMES
4639 DP5171 02-May-2015 SETTLEMENT TIMINGS OF BSE, NSE & MCX-SX
4640 DP5172 04-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4641 DP5173 04-May-2015 INVESTOR AWARENESS PROGRAMME
4642 DP5174 05-May-2015 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
4643 DP5175 06-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4644 DP5176 06-May-2015 CONSOLIDATED ACCOUNT STATEMENT CAS ? LIST OF CAS
ELIGIBLE
BOIDS ? APRIL 2015
4645 DP5177 06-May-2015 INVESTOR AWARENESS PROGRAMME
4646 DP5178 07-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4647 DP5179 08-May-2015 INVESTOR AWARENESS PROGRAMMES
4648 DP5180 08-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4649 DP5181 08-May-2015 ANNUAL BILL
4650 DP5182 09-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4651 DP5183 11-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4652 DP5184 11-May-2015 DETAILS OF CORPORATE ACTIONS
4653 DP5185 12-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4654 DP5186 12-May-2015 INVESTOR AWARENESS PROGRAMMES
4655 DP5187 13-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4656 DP5188 13-May-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4657 DP5189 13-May-2015 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM ?
DEPOSITORY OPERATIONS
4658 DP5190 13-May-2015 INVESTOR AWARENESS PROGRAMME
4659 DP5191 14-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4660 DP5192 14-May-2015 INVESTOR AWARENESS PROGRAMME
4661 DP5193 15-May-2015 ADDITIONAL OPTIONS FOR DOWNLOADING OF COMMUNIQUES
4662 DP5194 15-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4663 DP5195 15-May-2015 INVEESTOR AWARENESS PROGRAMMES
4664 DP5196 15-May-2015 AMENDMENTS TO UN SECURITY COUNCIILS AL-QAIDA SANCTIONS
LIST
4665 DP5197 15-May-2015 DISPATCH OF BILL CUM STATEMENTS DBS ON BEHALF OF
DEPOSITORY PARTICIPANTS
4666 DP5198 16-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4667 DP5199 18-May-2015 INVESTOR AWARENESS PROGRAMMES
4668 DP5200 18-May-2015 DETAILS OF CORPORATE ACTION
4669 DP5201 19-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 85
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4670 DP5202 19-May-2015 OPENING AND OPERATING OF DEMAT ACCOUNT BY VISUALLY
CHALLENGED PERSONS
4671 DP5203 20-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4672 DP5204 20-May-2015 INVESTOR AWARENESS PROGRAMMES
4673 DP5205 20-May-2015 CREATING AWARENESS AMONGST THE DP STAFF FOR EARLY
RESOLUTION OF INVESTOR GRIEVANCES
4674 DP5206 21-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4675 DP5207 21-May-2015 DETAILS OF CORPORATE ACTION
4676 DP5208 21-May-2015 INVESTOR AWARENESS PROGRAMME
4677 DP5209 22-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4678 DP5210 22-May-2015 INVESTOR AWARENESS PROGRAMME
4679 DP5211 22-May-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4680 DP5212 23-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4681 DP5213 25-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4682 DP5214 25-May-2015 INCREASE IN SERVICE TAX RATE
4683 DP5215 25-May-2015 UPDATED FAQ ON FOREIGN PORTFOLIO INVESTORS - FPIS
4684 DP5216 26-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4685 DP5217 26-May-2015 INVESTOR AWARENESS PROGRAMME
4686 DP5218 26-May-2015 REMINDER - MANDATORY USE OF EASIEST BY DP FOR EXECUTING
TRANSACTIONS
4687 DP5219 27-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4688 DP5220 28-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4689 DP5221 28-May-2015 INVESTOR AWARENESS PROGRAMMES
4690 DP5222 28-May-2015 AVAILABILITY OF CDSL SYSTEM
4691 DP5223 28-May-2015 DEATILS OF CORPORATE ACTION
4692 DP5224 29-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4693 DP5225 29-May-2015 INVESTOR AWARENESS PROGRAMMES
4694 DP5226 30-May-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4695 DP5227 01-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4696 DP5228 01-Jun-2015 CPE PROGRAMME OF NISM - DEPOSITORY OPERATIONS
4697 DP5229 02-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4698 DP5230 02-Jun-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4699 DP5231 03-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4700 DP5232 04-Jun-2015 DETAILS OF CORPORATE ACTIONS
4701 DP5233 04-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4702 DP5234 04-Jun-2015 REVISED FEES FOR CPE PROGRAMME OF NISM ? DEPOSITORY
OPERATIONS
4703 DP5235 04-Jun-2015 INVESTOR AWARENESS PROGRAMME
4704 DP5236 05-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4705 DP5237 05-Jun-2015 INVESTOR AWARENESS PROGRAMME
4706 DP5238 05-Jun-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4707 DP5239 06-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL ON JUNE 05, 2015
4708 DP5240 06-Jun-2015 LIST OF CAS ELIGIBLE BOIDS - MAY 2015
4709 DP5241 08-Jun-2015 SEBI CIRCULAR ? DATABASE FOR DISTINCTIVE NUMBER (DN) OF
SHARES
4710 DP5242 08-Jun-2015 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM ?
DEPOSITORY OPERATIONS
4711 DP5243 09-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4712 DP5244 09-Jun-2015 INVESTOR AWARENESS PROGRAMMES
4713 DP5245 10-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4714 DP5246 10-Jun-2015 AVAILABILITY OF CDSL SYSTEM
4715 DP5247 10-Jun-2015 DETAILS OF CORPORATE ACTIONS
4716 DP5248 11-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4717 DP5249 11-Jun-2015 INVESTOR AWARENESS PROGRAMMES
4718 DP5250 12-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4719 DP5251 12-Jun-2015 INVESTOR AWARENESS PROGRAMME
4720 DP5252 13-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4721 DP5253 15-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4722 DP5254 15-Jun-2015 REMINDER ? PROCESSING OF PENDING EASIEST REGISTRATION
REQUEST
4723 DP5255 15-Jun-2015 INVESTOR AWARENESS PROGRAMMES
4724 DP5256 15-Jun-2015 SEMINAR AT NEW DELHI ON PMLA GUIDELINES AND INVESTOR
GRIEVANCE
4725 DP5257 16-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4726 DP5258 16-Jun-2015 INVESTOR AWARENESS PROGRAMMES
4727 DP5259 17-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 86
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4728 DP5260 17-Jun-2015 CDSLS DP TRAINING PROGRAMME
4729 DP5261 18-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4730 DP5262 19-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4731 DP5263 22-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4732 DP5264 22-Jun-2015 AMENDMENTS TO CDSLS BYE LAWS
4733 DP5265 22-Jun-2015 CPE PROGRAMME OF NISM - DEPOSITORY OPERATIONS
4734 DP5266 22-Jun-2015 INVESTOR AWARENESS PROGRAMMES
4735 DP5267 23-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4736 DP5268 23-Jun-2015 INVESTOR AWARENESS PROGRAMMES
4737 DP5269 23-Jun-2015 DETAILS OF CORPORATE ACTION
4738 DP5270 24-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4739 DP5271 25-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4740 DP5272 25-Jun-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4741 DP5273 25-Jun-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4742 DP5274 26-Jun-2015 LIST OF ERROR CODES WITH ERROR CODE DESCRIPTION
4743 DP5275 26-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4744 DP5276 26-Jun-2015 INVESTOR AWARENESS PROGRAMME
4745 DP5277 26-Jun-2015 WITHDRAWAL OF SECURITIES FROM CDSL
4746 DP5278 27-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4747 DP5279 29-Jun-2015 SETTLEMENT TIMINGS OF BSE, NSE & MCX-SX ON JULY 01, 2015,
JULY 02, 2015, JULY 03, 2015 AND JULY 06, 2015
4748 DP5280 30-Jun-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4749 DP5281 01-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4750 DP5282 01-Jul-2015 CHANGE OF NAME EFFECTED BY DP
4751 DP5283 01-Jul-2015 DETAILS OF CORPORATE ACTION
4752 DP5284 01-Jul-2015 NEW MARKET TYPES FOR SUBMISSION OF INSTRUCTIONS - BSE
4753 DP5285 01-Jul-2015 NEW MARKET TYPE FOR SUBMISSION OF INSTRUCTIONS - NSE
4754 DP5286 02-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4755 DP5287 02-Jul-2015 INVESTOR AWARENESS PROGRAMMES
4756 DP5288 02-Jul-2015 CPE PROGRAMME OF NISM - DEPOSITORY OPERATIONS
4757 DP5289 03-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4758 DP5290 03-Jul-2015 INVESTOR AWARENESS PROGRAMME
4759 DP5291 03-Jul-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4760 DP5292 03-Jul-2015 INSURANCE POLICY FOR WAREHOUSE RECEIPTS HELD IN
DEMATERIALISED FORM
4761 DP5293 04-Jul-2015 SECURITIES ADMITTED WITH CDSL
4762 DP5294 06-Jul-2015 CONSOLIDATED ACCOUNT STATEMENT (CAS) ? LIST OF CAS
ELIGIBLE BOIDS ? JUNE 2015
4763 DP5295 06-Jul-2015 INVESTOR AWARENESS PROGRAMME
4764 DP5296 07-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4765 DP5297 07-Jul-2015 INVESTOR AWARENESS PROGRAMMES
4766 DP5298 07-Jul-2015 RELEASE OF TRANSFER OF SECURITIES THAT ARE UNDER
PENDING REMAT / DESTAT/ RESTAT
4767 DP5299 07-Jul-2015 SEBI PRESS RELEASE REGARDING PUBLIC ISSUE PROCESS
4768 DP5300 08-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4769 DP5301 08-Jul-2015 AMENDMENTS TO UN SECURITY COUNCILS AL-QAIDA SANCTIONS
LIST
4770 DP5302 08-Jul-2015 INVESTOR AWARENESS PROGRAMMES
4771 DP5303 08-Jul-2015 AVAILABILITY OF CDSL SYSTEM
4772 DP5304 09-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4773 DP5305 10-Jul-2015 SUBMISSION OF NET WORTH CERTIFICATE AUDITED FINANCIAL
STATEMENTS
4774 DP5306 10-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4775 DP5307 10-Jul-2015 INVESTOR AWARENESS PROGRAMMES
4776 DP5308 10-Jul-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4777 DP5309 11-Jul-2015 CDSLS DP OPERATING INSTRUCTIONS AS OF JUNE 2015
4778 DP5310 11-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4779 DP5311 13-Jul-2015 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
4780 DP5312 13-Jul-2015 INSURANCE CERTIFICATE
4781 DP5313 13-Jul-2015 TRAINING PROGRAMME FOR IA AND COMPLIANCE OFFICERS
4782 DP5314 13-Jul-2015 SEMINAR AT AHMEDABAD ON PMLA GUIDELINES
4783 DP5315 14-Jul-2015 RESCHEDULED - SEMINAR AT AHMEDABAD ON PMLA GUIDELINES
4784 DP5316 14-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4785 DP5317 14-Jul-2015 CPE PROGRAMME OF NISM - DEPOSITORY OPERATIONS
4786 DP5318 14-Jul-2015 DETAILS OF CORPORATE ACTION

Page 87
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4787 DP5319 14-Jul-2015 INVESTOR AWARENESS PROGRAMME
4788 DP5320 15-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4789 DP5321 16-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4790 DP5322 16-Jul-2015 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
4791 DP5323 16-Jul-2015 INVESTOR AWARENESS PROGRAMME
4792 DP5324 16-Jul-2015 AVAILABILITY OF CDSL SYSTEM
4793 DP5325 17-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4794 DP5326 20-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4795 DP5327 20-Jul-2015 RELEASE OF ADDITIONAL OPTIONS IN DIS MODULE
4796 DP5328 21-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4797 DP5329 21-Jul-2015 INVESTOR AWARENESS PROGRAMMES
4798 DP5330 21-Jul-2015 AMENDMENTS TO UN SECURITY COUNCILS AL-QAIDA SANCTIONS
LIST
4799 DP5331 22-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4800 DP5332 22-Jul-2015 CHANGE IN NAME OF DP
4801 DP5333 22-Jul-2015 INVESTOR AWARENESS PROGRAMME
4802 DP5334 23-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4803 DP5335 23-Jul-2015 AMENDMENTS TO UN SECURITY COUNCILS AL-QAIDA SANCTIONS
LIST
4804 DP5336 24-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4805 DP5337 24-Jul-2015 INVESTOR AWARENESS PROGRAMMES
4806 DP5338 24-Jul-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4807 DP5339 24-Jul-2015 SEMINAR AT MUMBAI ON PMLA GUIDELINES
4808 DP5340 25-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4809 DP5341 27-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4810 DP5342 27-Jul-2015 LIST OF STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
4811 DP5343 28-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4812 DP5344 28-Jul-2015 INVESTOR AWARENESS PROGRAMMES
4813 DP5345 28-Jul-2015 SETTLEMENT PROCESS FOR TENDER OFFER - NSE
4814 DP5346 29-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4815 DP5347 29-Jul-2015 INVESTOR AWARENESS PROGRAMMES
4816 DP5348 30-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4817 DP5349 31-Jul-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4818 DP5350 31-Jul-2015 RELEASE OF CAS RELATED FIELDS IN DPS8, DPS9 AND DPB9
REPORTS
4819 DP5351 31-Jul-2015 SEBI CIRCULAR - CYBER SECURITY AND CYBER RESILIENCE
FRAMEWORK
4820 DP5352 01-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL ON JULY 31, 2015
4821 DP5353 03-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4822 DP5354 03-Aug-2015 INVESTOR AWARENESS PROGRAMMES
4823 DP5355 04-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4824 DP5356 04-Aug-2015 CHANGE OF NAME EFFECTED BY DP
4825 DP5357 04-Aug-2015 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM ?
DEPOSITORY OPERATIONS
4826 DP5358 04-Aug-2015 CAS ? LIST OF CAS ELIGIBLE BOIDS ? JULY 2015
4827 DP5359 05-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4828 DP5360 05-Aug-2015 INVESTOR AWARENESS PROGRAMMES
4829 DP5361 05-Aug-2015 AVAILABILITY OF CDSL SYSTEM
4830 DP5362 06-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4831 DP5363 06-Aug-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4832 DP5364 06-Aug-2015 WITHDRAWAL OF SECURITIES FROM CDSL
4833 DP5365 06-Aug-2015 AVAILABILITY OF CDSL SYSTEM
4834 DP5366 06-Aug-2015 INVESTOR AWARENESS PROGRAMMES
4835 DP5367 07-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4836 DP5368 08-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4837 DP5369 08-Aug-2015 SETTLEMENT PROCESS FOR TENDER OFFER BSE
4838 DP5370 10-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4839 DP5371 11-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4840 DP5372 11-Aug-2015 FATF PUBLIC STATEMENT DATED JUNE 26 2015
4841 DP5373 11-Aug-2015 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM CM
POOL ACCOUNT TO BO ACCOUNT
4842 DP5374 11-Aug-2015 AVAILABILITY OF CDSL SYSTEM ? AUGUST 15 2015
4843 DP5375 11-Aug-2015 INVESTOR AWARENESS PROGRAMME
4844 DP5376 11-Aug-2015 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS ? JUNE
2015

Page 88
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4845 DP5377 12-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4846 DP5378 12-Aug-2015 INVESTOR AWARENESS PROGRAMME
4847 DP5379 13-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4848 DP5380 14-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4849 DP5381 14-Aug-2015 SETTLEMENT TIMINGS OF BSE, NSE & MCX-SX
4850 DP5382 14-Aug-2015 DETAILS OF CORPORATE ACTION
4851 DP5383 17-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4852 DP5384 17-Aug-2015 SEBI GENERAL ORDER DATED JULY 20 2015
4853 DP5385 17-Aug-2015 INVESTOR AWARENESS PROGRAMMES
4854 DP5386 18-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4855 DP5387 18-Aug-2015 DETAILS OF CORPORATE ACTION
4856 DP5388 18-Aug-2015 INVESTOR AWARENESS PROGRAMMES
4857 DP5389 19-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4858 DP5390 19-Aug-2015 INVESTOR AWARENESS PROGRAMMES
4859 DP5391 20-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4860 DP5392 20-Aug-2015 INVESTOR AWARENESS PROGRAMME
4861 DP5393 21-Aug-2015 AMENDMENTS TO UN SECURITY COUNCILS AL-QAIDA SANCTIONS
LIST
4862 DP5394 21-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4863 DP5395 21-Aug-2015 INVESTOR AWARENESS PROGRAMMES
4864 DP5396 22-Aug-2015 DETAILS OF CORPORATE ACTION
4865 DP5397 22-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4866 DP5398 24-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4867 DP5399 24-Aug-2015 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM ?
DEPOSITORY OPERATIONS
4868 DP5400 25-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4869 DP5401 25-Aug-2015 WITHDRAWAL OF SECURITIES FROM CDSL
4870 DP5402 25-Aug-2015 INVESTOR AWARENESS PROGRAMMES
4871 DP5403 25-Aug-2015 CDSLS DP TRAINING PROGRAMME
4872 DP5404 25-Aug-2015 AMENDMENTS TO UN SECURITY COUNCILS AL-QAIDA SANCTIONS
LIST
4873 DP5405 26-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4874 DP5406 26-Aug-2015 RESCHEDULED - INVESTOR AWARENESS PROGRAMME ?
AHMEDABAD
4875 DP5407 26-Aug-2015 REVISED FORMAT OF IAR AND CAR REPORT FOR HALF YEAR
ENDED SEPTEMBER 2015
4876 DP5408 27-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4877 DP5409 27-Aug-2015 INVESTOR AWARENESS PROGRAMME
4878 DP5410 27-Aug-2015 SEBI CIRCULAR - IMPLEMENTATION-OF-MCAA-AND-FATCA
4879 DP5411 28-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4880 DP5412 29-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4881 DP5413 31-Aug-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4882 DP5414 31-Aug-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4883 DP5415 31-Aug-2015 ANNUAL BILL & OTHER BILLS
4884 DP5416 31-Aug-2015 INVESTOR AWARENESS PROGRAMMES
4885 DP5417 01-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4886 DP5418 02-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4887 DP5419 02-Sep-2015 INVESTOR AWARENESS PROGRAMMES
4888 DP5420 03-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4889 DP5421 03-Sep-2015 DETAILS OF CORPORATE ACTION
4890 DP5422 03-Sep-2015 INVESTOR AWARENESS PROGRAMME
4891 DP5423 04-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4892 DP5424 04-Sep-2015 CONSOLIDATED ACCOUNT STATEMENT CAS ? LIST OF CAS
ELIGIBLE BOIDS ? AUGUST 2015
4893 DP5425 05-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4894 DP5426 07-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4895 DP5427 07-Sep-2015 INVESTOR AWARENESS PROGRAMMES
4896 DP5428 08-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4897 DP5429 08-Sep-2015 AMENDMENTS TO UN SECURITY COUNCILS AL-QAIDA SANCTIONS
LIST
4898 DP5430 09-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4899 DP5431 10-Sep-2015 AVAILABILITY OF CDSL SYSTEM
4900 DP5432 10-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4901 DP5433 11-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4902 DP5434 11-Sep-2015 SEBI CIRCULAR - REPORTING-REQUIREMENT-UNDER-FATCA AND
CRS-GUIDANCE-NOTE

Page 89
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4903 DP5435 12-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4904 DP5436 15-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4905 DP5437 15-Sep-2015 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
4906 DP5438 15-Sep-2015 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM -
DEPOSITORY OPERATIONS
4907 DP5439 15-Sep-2015 RISK-ASSESSMENT TEMPLATE
4908 DP5440 16-Sep-2015 DETAILS OF CORPORATE ACTIONS
4909 DP5441 16-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4910 DP5442 16-Sep-2015 INVESTOR AWARENESS PROGRAMME
4911 DP5443 18-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4912 DP5444 18-Sep-2015 INVESTOR AWARENESS PROGRAMMES
4913 DP5445 18-Sep-2015 EASIEST CHANGE IN THE PROCESS FOR OBTAINING DIGITAL
SIGNATURE CERTIFICATE
4914 DP5446 18-Sep-2015 RGESS COMPLIANCE REPORT DPK6 REPORT
4915 DP5447 19-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4916 DP5448 21-Sep-2015 INVESTOR AWARENESS PROGRAMMES
4917 DP5449 21-Sep-2015 AMENDMENTS TO UN SECURITY COUNCILS AL QAIDA SANCTIONS
LIST
4918 DP5450 22-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4919 DP5451 22-Sep-2015 DETAILS OF CORPORATE ACTIONS
4920 DP5452 22-Sep-2015 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION PROGRAMME OF NISM DEPOSITORY OPERATIONS
4921 DP5453 23-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4922 DP5454 23-Sep-2015 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM
DEPOSITORY OPERATIONS
4923 DP5455 23-Sep-2015 INVESTOR AWARENESS PROGRAMMES
4924 DP5456 23-Sep-2015 RELEASE OF NEW FUNCTIONALITIES AND CHANGES IN FILE
FORMATS
4925 DP5457 24-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4926 DP5458 26-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4927 DP5459 26-Sep-2015 INVESTOR AWARENESS PROGRAMMES
4928 DP5461 29-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4929 DP5462 29-Sep-2015 INVESTOR AWARENESS PROGRAMMES
4930 DP5463 29-Sep-2015 SEMINAR AT CHENNAI ON PMLA GUIDELINES
4931 DP5460 30-Sep-2015 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM
DEPOSITORY OPERATIONS
4932 DP5464 30-Sep-2015 AVAILABILITY OF CDSL SYSTEM
4933 DP5465 30-Sep-2015 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
4934 DP5466 30-Sep-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4935 DP5467 30-Sep-2015 PROCEDURAL GUIDELINES FOR OPERATIONALISATION OF DN
DATABASE
4936 DP5468 30-Sep-2015 AVAILABILITY OF NETWORK CONNECTIVITY ON 1ST OCTOBER 2015
4937 DP5469 30-Sep-2015 INVESTOR AWARENESS PROGRAMME
4938 DP5470 01-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4939 DP5471 01-Oct-2015 TERMINATION OF AGREEMENT BETWEEN CDSL AND MOONGIPA
INVESTMENTS LIMITED
4940 DP5472 03-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4941 DP5473 05-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4942 DP5474 05-Oct-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4943 DP5475 05-Oct-2015 WITHDRAWAL OF SECURITIES FROM CDSL
4944 DP5476 05-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4945 DP5477 05-Oct-2015 DETAILS OF CORPORATE ACTIONS
4946 DP5478 05-Oct-2015 CONSOLIDATED ACCOUNT STATEMENT CAS LIST OF CAS ELIGIBLE
BOIDS
4947 DP5479 06-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4948 DP5480 06-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4949 DP5481 06-Oct-2015 EASIEST REVISED SUBSCRIPTION FORM FOR OBTAINING DSC
4950 DP5482 07-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4951 DP5483 07-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4952 DP5484 08-Oct-2015 AMENDMENTS TO UN SECURITY COUNCILS AL QAIDA SANCTIONS
LIST
4953 DP5485 08-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4954 DP5486 08-Oct-2015 AVAILABILITY OF CDSL SYSTEM
4955 DP5487 08-Oct-2015 SEBI CIRCULAR INVESTMENTS BY FPIS IN GOVERNMENT
SECURITIES
4956 DP5488 09-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 90
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
4957 DP5489 09-Oct-2015 AVAILABILITY OF CDSL SYSTEM
4958 DP5490 10-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4959 DP5491 12-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4960 DP5492 12-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4961 DP5493 13-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4962 DP5494 13-Oct-2015 CHANGE IN NAME OF DP
4963 DP5495 13-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4964 DP5496 13-Oct-2015 DETAILS OF CORPORATE ACTIONS
4965 DP5497 14-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4966 DP5498 14-Oct-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
4967 DP5499 14-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4968 DP5500 14-Oct-2015 RELEASE OF NEW FUNCTIONALITIES AND CHANGES IN FILE
FORMATS
4969 DP5501 15-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4970 DP5502 15-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4971 DP5503 15-Oct-2015 RELEASE OF REVAMPED BO MODULE WITH ADDITIONAL FEATURES
4972 DP5504 16-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4973 DP5505 16-Oct-2015 CPE PROGRAMME OF NISM - DEPOSITORY OPERATIONS
4974 DP5506 16-Oct-2015 TERMINATION OF AGREEMENT BETWEEN CDSL AND AARYA EQUITY
(INDIA) PRIVATE LIMITED
4975 DP5507 16-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4976 DP5508 17-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4977 DP5509 20-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4978 DP5510 20-Oct-2015 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
4979 DP5511 20-Oct-2015 CHANGE IN NAME OF DP
4980 DP5512 21-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4981 DP5513 21-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4982 DP5514 23-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4983 DP5515 23-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4984 DP5516 26-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4985 DP5517 26-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4986 DP5518 27-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4987 DP5519 27-Oct-2015 INVESTOR AWARENESS PROGRAMME
4988 DP5520 27-Oct-2015 DP OPERATING INSTRUCTIONS AS OF SEPTEMBER 2015
CHAPTERS AND ANNEXURES
4989 DP5521 27-Oct-2015 FIU IND ADVISORY NOTIFICATION
4990 DP5522 28-Oct-2015 AVAILABILITY OF CDSL SYSTEM
4991 DP5523 28-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4992 DP5524 28-Oct-2015 CHANGE OF NAME EFFECTED BY DPS
4993 DP5525 28-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4994 DP5526 28-Oct-2015 REMINDER - RELEASE OF NEW FUNCTIONALITIES
4995 DP5527 29-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
4996 DP5528 29-Oct-2015 DETAILS OF CORPORATE ACTIONS
4997 DP5529 29-Oct-2015 INVESTOR AWARENESS PROGRAMMES
4998 DP5530 30-Oct-2015 DETAILS OF CORPORATE ACTIONS
4999 DP5531 30-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5000 DP5532 31-Oct-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5001 DP5533 31-Oct-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5002 DP5534 02-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5003 DP5535 02-Nov-2015 INVESTOR AWARENESS PROGRAMMES
5004 DP5536 02-Nov-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5005 DP5537 03-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5006 DP5538 03-Nov-2015 DETAILS OF CORPORATE ACTIONS
5007 DP5539 03-Nov-2015 CAS LIST OF CAS ELIGIBLE BOIDS OCTOBER 2015
5008 DP5540 04-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5009 DP5541 04-Nov-2015 INVESTOR AWARENESS PROGRAMMES
5010 DP5542 04-Nov-2015 CDSLS DP TRAINING PROGRAMME FROM NOVEMBER 30 2015 TO
DECEMBER 03 2015 AT MUMBAI
5011 DP5543 05-Nov-2015 AVAILABILITY OF CDSL SYSTEM
5012 DP5544 05-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5013 DP5545 05-Nov-2015 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
SEPTEMBER 2015
5014 DP5546 06-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5015 DP5547 06-Nov-2015 SEBI NOTIFICATION TICKER ON WEBSITE OF DPS FOR INVESTOR
AWARENESS

Page 91
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5016 DP5548 06-Nov-2015 NEW MARKET TYPES FOR SUBMISSION OF INSTRUCTIONS
5017 DP5549 06-Nov-2015 SETTLEMENT TIMINGS OF BSE NSE & MSEI ON NOVEMBER 13 16 18
2015
5018 DP5550 09-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5019 DP5551 09-Nov-2015 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
5020 DP5552 09-Nov-2015 INVESTOR AWARENESS PROGRAMMES
5021 DP5553 09-Nov-2015 LAUNCH OF ONLINE WILL SERVICES BY CDSL MYEASIWILL
5022 DP5554 10-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5023 DP5555 10-Nov-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5024 DP5556 13-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5025 DP5557 13-Nov-2015 RELEASE OF NEW FUNCTIONALITIES
5026 DP5558 13-Nov-2015 SEBI CIRCULAR STREAMLINING THE PROCESS OF PUBLIC ISSUE OF
EQUITY SHARES AND CONVERTIBLES
5027 DP5559 14-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5028 DP5560 16-Nov-2015 INVESTOR AWARENESS PROGRAMME
5029 DP5561 17-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5030 DP5562 18-Nov-2015 DETAIILS OF SECURIITIIES ADMIITTED WIITH CDSL
5031 DP5563 18-Nov-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5032 DP5564 18-Nov-2015 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
5033 DP5565 18-Nov-2015 CHANGES IN BO SETUP/MODIFY: ENTRY OF RECIPIENT DEMAT
ACCOUNTS FOR CM POA HOLDER
5034 DP5566 19-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5035 DP5567 19-Nov-2015 AMENDMENTS TO UN SECURITY COUNCILS AL QAIDA AND 1988
SANCTIONS LIST
5036 DP5568 19-Nov-2015 INVESTOR AWARENESS PROGRAMMES
5037 DP5569 20-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5038 DP5570 21-Nov-2015 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
5039 DP5571 23-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5040 DP5572 23-Nov-2015 REMINDER RELEASE OF NEW FUNCTIONALITIES
5041 DP5573 23-Nov-2015 INVESTOR AWARENESS PROGRAMME
5042 DP5574 23-Nov-2015 SEMINAR AT KOLKATA ON PMLA GUIDELINES
5043 DP5575 24-Nov-2015 DETAILS OF CORPORATE ACTIONS
5044 DP5576 24-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5045 DP5577 24-Nov-2015 DELIVERY INSTRUCTION SLIP DIS ISSUANCE AND TRANSACTION
PROCESSING
5046 DP5578 24-Nov-2015 IMPLEMENTATION OF UN SECURITY COUNCILS RESOLUTIONS
5047 DP5579 26-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5048 DP5580 26-Nov-2015 INVESTOR AWARENESS PROGRAMMES
5049 DP5581 26-Nov-2015 DETAILS OF CORPORATE ACTION
5050 DP5582 27-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5051 DP5583 27-Nov-2015 INVESTOR AWARENESS PROGRAMMES
5052 DP5584 28-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5053 DP5585 30-Nov-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5054 DP5586 01-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5055 DP5587 01-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5056 DP5588 02-Dec-2015 DETAILS OF CORPORATE ACTIONS
5057 DP5589 02-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5058 DP5590 02-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5059 DP5591 03-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5060 DP5592 04-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5061 DP5593 04-Dec-2015 CHANGE IN NAME OF DP
5062 DP5594 04-Dec-2015 CAS LIST OF CAS ELIGIBLE BOIDS NOVEMBER 2015
5063 DP5595 04-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5064 DP5596 05-Dec-2015 DETAILS OF CORPORATE ACTIONS
5065 DP5597 05-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5066 DP5598 05-Dec-2015 AVAILABILITY OF CDSL SYSTEM
5067 DP5599 08-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5068 DP5600 08-Dec-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5069 DP5601 09-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5070 DP5602 09-Dec-2015 INVESTOR AWARENESS PROGREMMES
5071 DP5603 10-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5072 DP5604 10-Dec-2015 DETAILS OF CORPORATE ACTION
5073 DP5605 10-Dec-2015 CHANGE IN NAME OF DP
5074 DP5607 10-Dec-2015 FATF PUBLIC STATEMENT DATED OCTOBER 23 2015

Page 92
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5075 DP5608 10-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5076 DP5609 11-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5077 DP5610 11-Dec-2015 INVESTOR AWARENESS PROGRAMME
5078 DP5611 11-Dec-2015 CHANGES IN BO SETUP MODIFY IN CM POA HOLDERS
5079 DP5612 11-Dec-2015 DISPATCH OF STATEMENT OF HOLDINGS AND KYC DOCUMENTS TO
BOS
5080 DP5613 11-Dec-2015 SEBI CIRCULAR REVIEW OF ANNUAL CUSTODY / ISSUER CHARGES
5081 DP5614 12-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5082 DP5615 12-Dec-2015 SEBI CIRCULAR FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
BSDA
5083 DP5616 14-Dec-2015 DETAILS OF CORPORATE ACTIONS
5084 DP5617 15-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5085 DP5618 15-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5086 DP5619 16-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5087 DP5620 16-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5088 DP5621 16-Dec-2015 DETAILS OF CORPORATE ACTIONS
5089 DP5622 17-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5090 DP5623 17-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5091 DP5624 17-Dec-2015 TRAINING PROGRAMME FOR COMPLIANCE OFFICERS DP OFFICIALS
5092 DP5625 18-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5093 DP5626 18-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5094 DP5627 18-Dec-2015 DETAILS OF CORPORATE ACTIONS
5095 DP5628 19-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5096 DP5629 21-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5097 DP5630 21-Dec-2015 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
5098 DP5631 21-Dec-2015 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON DECEMBER 28 29
AND 31 2015
5099 DP5632 22-Dec-2015 DISCONTINUATION OF INTER DEPOSITORY TRANSACTIONS ON
TRADING HOLIDAYS
5100 DP5633 22-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5101 DP5634 22-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5102 DP5635 22-Dec-2015 AMENDMENTS TO UN SECURITY COUNCILS AL QAIDA SANCTIONS
LIST
5103 DP5636 23-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5104 DP5637 23-Dec-2015 INVESTOR AWARENESS PROGRAMME
5105 DP5638 23-Dec-2015 DETAILS OF CORPORATE ACTION
5106 DP5640 23-Dec-2015 RELEASE FUNCTIONALITY TO VALIDATE TRANX MAPPED RECIPIENT
ACCOUNT
5107 DP5641 24-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5108 DP5642 24-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5109 DP5639 28-Dec-2015 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION
(CPE) PROGRAMME OF NIISM ? DEPOSIITORY OPERATIIONS
5110 DP5643 28-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5111 DP5644 28-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5112 DP5645 29-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5113 DP5646 29-Dec-2015 DETAILS OF CORPORATE ACTION
5114 DP5647 29-Dec-2015 INVESTOR AWARENESS PROGRAMME
5115 DP5648 30-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5116 DP5649 30-Dec-2015 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5117 DP5650 30-Dec-2015 INVESTOR AWARENESS PROGRAMMES
5118 DP5651 31-Dec-2015 DETAILS OF SECURITIES ADMITTED WITH CDSL
5119 DP5652 31-Dec-2015 AVAILABILITY OF CDSL SYSTEM
5120 DP5653 01-Jan-2016 DETAIILS OF SECURIITIIES ADMIITTED WIITH CDSL
5121 DP5654 01-Jan-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5122 DP5655 01-Jan-2016 INSURANCE POLICY FOR WAREHOUSE RECEIPTS HELD IN
DEMATERIALISED FORM
5123 DP5656 01-Jan-2016 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
5124 DP5657 02-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5125 DP5658 04-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5126 DP5659 04-Jan-2016 CAS LIST OF CAS ELIGIBLE BOIDS DECEMBER 2015
5127 DP5660 05-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5128 DP5661 05-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5129 DP5662 05-Jan-2016 REMINDER - DIS ISSUANCE AND TRANSACTION PROCESSING
5130 DP5663 06-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5131 DP5664 06-Jan-2016 DETAILS OF CORPORATE ACTIONS

Page 93
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5132 DP5665 06-Jan-2016 CDSLS DP TRAINING PROGRAMME FROM FEBRUARY 01 2016 TO
FEBRUARY 04 2016 AT MUMBAI
5133 DP5666 06-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5134 DP5667 06-Jan-2016 AVAILABILITY OF CDSL SYSTEM
5135 DP5668 07-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5136 DP5669 08-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5137 DP5670 08-Jan-2016 LIST OF STATUS AND SUB STATUS FOR DEMAT ACCOUNTS
5138 DP5671 09-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5139 DP5672 11-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5140 DP5673 11-Jan-2016 SEBI CIRCULAR REVISED CONTENTS OF APP CUM BIDDING FORM
AND MANNER OF DISCLOSURE
5141 DP5674 12-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5142 DP5675 12-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5143 DP5676 13-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5144 DP5677 14-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5145 DP5678 14-Jan-2016 CDSLS DP OPERATING INSTRUCTIONS AS OF DECEMBER 2015
5146 DP5679 14-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5147 DP5680 14-Jan-2016 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5148 DP5681 14-Jan-2016 DETAILS OF CORPORATE ACTION
5149 DP5682 15-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5150 DP5683 16-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5151 DP5684 16-Jan-2016 INVESTOR AWARENESS PROGRAMME
5152 DP5685 18-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5153 DP5686 18-Jan-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5154 DP5687 19-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5155 DP5688 19-Jan-2016 INVESTOR AWARENESS PROGRAMME
5156 DP5689 19-Jan-2016 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
5157 DP5690 19-Jan-2016 AVAILABILITY OF CDSL SYSTEM
5158 DP5691 20-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5159 DP5692 20-Jan-2016 AVAILABILITY OF CDSL SYSTEM
5160 DP5693 20-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5161 DP5694 21-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5162 DP5695 21-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5163 DP5696 22-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5164 DP5697 22-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5165 DP5698 22-Jan-2016 AMENDMENTS TO SEBI DEPOSITORIES AND PARTICIPANTS
REGULATIONS 2016
5166 DP5699 22-Jan-2016 SEBI CIRCULAR CLARIFICATION CIRCULAR ON STREAMLINING THE
PROCESS OF PUBLIC ISSUE
5167 DP5700 23-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5168 DP5701 23-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5169 DP5702 23-Jan-2016 AMENDMENTS TO UN SECURITY COUNCILS ALQAIDA SANCTIONS
LIST
5170 DP5703 25-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5171 DP5704 25-Jan-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5172 DP5705 27-Jan-2016 SEBI CIRCULAR KYC CLARIFICATION ON VOLUNTARY ADAPTATION
OF AADHAAR BASED E KYC
5173 DP5706 27-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5174 DP5707 28-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5175 DP5708 28-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5176 DP5709 28-Jan-2016 DETAILS OF CORPORATE ACTION
5177 DP5711 29-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5178 DP5712 29-Jan-2016 INVESTOR AWARENESS PROGRAMMES
5179 DP5713 30-Jan-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5180 DP5714 30-Jan-2016 RESCHEDULED
INVESTOR AWARENESS PROGRAMME KOLKATA
5181 DP5715 01-Feb-2016 UPDATING THE COSMOS COOP BANK LIMITED ACCOUNT NUMBERS
IN BO ACCOUNTS
5182 DP5716 01-Feb-2016 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5183 DP5717 01-Feb-2016 WITHDRAWAL OF SECURITIES FROM CDSL
5184 DP5718 02-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5185 DP5719 02-Feb-2016 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
5186 DP5720 02-Feb-2016 INVESTOR AWARENESS PROGRAMMES
5187 DP5721 03-Feb-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5188 DP5722 03-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5189 DP5723 03-Feb-2016 INVESTOR AWARENESS PROGRAMMES
Page 94
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5190 DP5724 03-Feb-2016 CAS LIST OF CAS ELIGIBLE BOIDS JANUARY 2016
5191 DP5725 04-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5192 DP5726 04-Feb-2016 INVESTOR AWARENESS PROGRAMMES
5193 DP5727 05-Feb-2016 AVAILABILITY OF CDSL SYSTEM
5194 DP5728 05-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5195 DP5729 05-Feb-2016 RELEASE OF BSDA UPLOAD FILE FORMAT
5196 DP5730 05-Feb-2016 INVESTOR AWARENESS PROGRAMMES
5197 DP5731 05-Feb-2016 UPDATING ICICI BANK LIMITED ACCOUNT NUMBERS IN BO
ACCOUNTS
5198 DP5732 06-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5199 DP5733 06-Feb-2016 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5200 DP5734 08-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5201 DP5735 08-Feb-2016 DETAILS OF CORPORATE ACTION
5202 DP5736 09-Feb-2016 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
DECEMBER 2015
5203 DP5737 09-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5204 DP5738 09-Feb-2016 INVESTOR AWARENESS PROGRAMMES
5205 DP5739 10-Feb-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5206 DP5740 10-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5207 DP5741 10-Feb-2016 INVESTOR AWARENESS PROGRAMMES
5208 DP5742 11-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5209 DP5743 12-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5210 DP5744 12-Feb-2016 INVESTOR AWARENESS PROGRAMMES
5211 DP5745 12-Feb-2016 REMINDER ENCRYPTION OF UPLOAD FILES
5212 DP5746 13-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5213 DP5748 15-Feb-2016 INVESTOR AWARENESS PROGRAMMES
5214 DP5749 16-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5215 DP5750 16-Feb-2016 DETAILS OF CORPORATE ACTIONS
5216 DP5751 17-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5217 DP5752 17-Feb-2016 CDSLS DP TRAINING PROGRAMME FROM MARCH 28 2016 TO
MARCH 31 2016
5218 DP5753 17-Feb-2016 INVESTOR AWARENESS PROGRAMMES
5219 DP5754 17-Feb-2016 IMPLEMENTATION TWO FACTOR AUTHENTICATION FOR BROWSER
BASED CDAS
5220 DP5755 17-Feb-2016 CONCURRENT AUDIT OF RISK PRONE AREAS BY CONCURRENT
INTERNAL AUDITORS OF THE DPS
5221 DP5756 17-Feb-2016 AMENDMENTS TO CDSLS BYE LAWS
5222 DP5757 18-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5223 DP5758 18-Feb-2016 SETTLEMENT TIMINGS OF BSE, NSE & MSEIL ON FEBRUARY 22 23
AND 25 2016
5224 DP5759 18-Feb-2016 INVESTOR AWARENESS PROGRAMMES
5225 DP5760 18-Feb-2016 AMENDMENTS TO UN SECURITY COUNCILS ALQAIDA SANCTIONS
LIST
5226 DP5761 19-Feb-2016 WITHDRAWAL OF REGISTRAR AND TRANSFER AGENT OF CDSL
5227 DP5762 19-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5228 DP5763 19-Feb-2016 SCANNING OF DIS SENDING OF STATEMENT OF ACCOUNT TO THE
BOS
5229 DP5764 19-Feb-2016 RELEASE OF NEW FACILITY TO RESET PASSWORD UNLOCK USER
5230 DP5765 20-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5231 DP5747 22-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5232 DP5766 22-Feb-2016 WITHDRAWAL OF SECURITIES FROM CDSL
5233 DP5767 22-Feb-2016 DETAILS OF CORPORATE ACTION
5234 DP5768 23-Feb-2016 INVESTOR AWARENESS PROGRAMMES
5235 DP5769 23-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5236 DP5770 24-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5237 DP5771 24-Feb-2016 INVESTOR AWARENESS PROGRAMMES
5238 DP5772 25-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5239 DP5773 25-Feb-2016 DETAILS OF CORPORATE ACTIONS
5240 DP5774 25-Feb-2016 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS CHAPTER
2
5241 DP5775 26-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5242 DP5776 29-Feb-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5243 DP5777 01-Mar-2016 DISCONTINUATION OF PHYSICAL LETTERS ISSUED BY AUDIT
DEPARTMENT
5244 DP5778 01-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5245 DP5779 01-Mar-2016 CHARGES FOR GENERATING AND DISPATCH OF CAS
5246 DP5780 01-Mar-2016 FACILITY FOR BASIC SERVICE DEMAT ACCOUNT BSDA

Page 95
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5247 DP5781 02-Mar-2016 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
5248 DP5782 02-Mar-2016 INVESTOR AWARENESS PROGRAMMES
5249 DP5783 02-Mar-2016 DETAILS OF SECURITIES ADMMITED WITH CDSL
5250 DP5784 02-Mar-2016 NEW FACILITY AVAILABLE THROUGH EASI EASIEST
5251 DP5785 03-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5252 DP5786 03-Mar-2016 DETAILS OF CORPORATE ACTION
5253 DP5787 04-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5254 DP5788 04-Mar-2016 INVESTOR AWARENESS PROGRAMMES
5255 DP5789 04-Mar-2016 UPDATION OF BANK OF BARODA NEW BANK ACCOUNT NUMBERS IN
BO ACCOUNTS
5256 DP5790 04-Mar-2016 CONSOLIDATED ACCOUNT STATEMENT LIST OF CAS ELIGIBLE
BOIDS FEBRUARY 2016
5257 DP5791 04-Mar-2016 AVAILABILITY OF CDSL SYSTEM
5258 DP5792 05-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5259 DP5793 08-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5260 DP5794 08-Mar-2016 INVESTOR AWARENESS PROGRAMMES
5261 DP5795 09-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5262 DP5796 09-Mar-2016 INVESTOR AWARENESS PROGRAMMES
5263 DP5797 09-Mar-2016 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
5264 DP5798 10-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5265 DP5799 10-Mar-2016 INVESTOR AWARENESS PROGRAMMES
5266 DP5800 11-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5267 DP5801 11-Mar-2016 DETAILS OF CORPORATE ACTION
5268 DP5802 11-Mar-2016 INVESTOR AWARENESS PROGRAMMES
5269 DP5803 12-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5270 DP5804 12-Mar-2016 RESCHEDULED - INVESTOR AWARENESS PROGRAMMES
5271 DP5805 14-Mar-2016 DETAILS OF SECURITIES ADMITETD WITH CDSL
5272 DP5806 14-Mar-2016 SEBI CIRCULAR FAQS ON KYC CLARIFICATION ON VOLUNTARY
ADAPTATION OF AADHAAR BASED E KYC PROCESS
5273 DP5807 14-Mar-2016 REVISED FORMAT OF IAR AND CAR OF THE DPS
5274 DP5808 14-Mar-2016 INVESTOR AWARENESS PROGRAMMES
5275 DP5809 15-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5276 DP5810 15-Mar-2016 REMINDER ENCRYPTION OF UPLOAD FILES
5277 DP5811 15-Mar-2016 DETAILS OF CORPORATE ACTION
5278 DP5812 15-Mar-2016 RISK ASSESSMENT TEMPLATE
5279 DP5813 15-Mar-2016 REVISED FILE FORMATS OF STATEMENTS OF TRANSACTION AND
HOLDING DPC9
5280 DP5814 15-Mar-2016 CHANGE OF NAME EFFECTED BY DP
5281 DP5815 16-Mar-2016 USE OF DIGITAL SIGNATURE FOR UPLOADING RETURNS ON FINNET
GATEWAY
5282 DP5816 16-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5283 DP5817 16-Mar-2016 INVESTOR AWARENESS PROGRAMME
5284 DP5818 16-Mar-2016 INVESTOR AWARENESS PROGRAMMES
5285 DP5819 16-Mar-2016 CLOSURE OF CDSL RTA
5286 DP5820 17-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5287 DP5821 17-Mar-2016 INVESTMENTS BY FPIS IN REITS INVITS AIFS AND CORPORATE
BONDS UNDER DEFAULT
5288 DP5822 18-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5289 DP5823 18-Mar-2016 UPDATION OF KALLAPPANNA AWADE ICHALKARANJI JANATA SAH
BANK LTD NEW BANK ACC NO IN BO ACC
5290 DP5824 18-Mar-2016 INVESTOR AWARENESS PROGRAMMES
5291 DP5825 18-Mar-2016 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5292 DP5826 18-Mar-2016 WITHDRAWAL OF SECURITIES FROM CDSL

5293 DP5827 19-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL


5294 DP5828 21-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5295 DP5829 22-Mar-2016 DETAILS OF CORPORATE ACTIONS
5296 DP5830 22-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5297 DP5831 22-Mar-2016 INVESTOR AWARENESS PROGRAMME
5298 DP5832 23-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5299 DP5833 23-Mar-2016 ENCRYPTION OF UPLOAD FILES
5300 DP5834 26-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5301 DP5835 28-Mar-2016 INVESTOR AWARENESS PROGRAMME
5302 DP5836 29-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5303 DP5837 29-Mar-2016 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL

Page 96
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5304 DP5838 30-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5305 DP5839 30-Mar-2016 INVESTOR AWARENESS PROGRAMME
5306 DP5840 30-Mar-2016 DETAILS OF CORPORATE ACTION
5307 DP5841 31-Mar-2016 INVESTOR AWARENESS PROGRAMMES
5308 DP5842 31-Mar-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5309 DP5843 31-Mar-2016 SETTLEMENT TIMINGS OF BSE NSE & MSEIL ON APRIL 04 2016 APRIL
05 2016 & APRIL 07 2016
5310 DP5844 31-Mar-2016 RELEASE OF NEW FUNCTIONALITY EARMARKING OF SECURITIES IN
BOS DEMAT ACCOUNT
5311 DP5845 01-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5312 DP5846 01-Apr-2016 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
5313 DP5847 02-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5314 DP5848 04-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5315 DP5849 04-Apr-2016 INVESTOR AWARENESS PROGRAMMES
5316 DP5850 04-Apr-2016 SUBMISSION DISSEMINATION OF DP TARIFF CHARGE STRUCTURE
TO CDSL EVERY YEAR
5317 DP5851 04-Apr-2016 WITHDRAWAL TERMINATION OF DEPOSITORY PARTICIPANTS OF
CDSL
5318 DP5852 04-Apr-2016 CAS LIST OF CAS ELIGIBLE BOIDS MARCH 2016
5319 DP5853 05-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5320 DP5854 06-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5321 DP5855 06-Apr-2016 DETAILS OF CORPORATE ACTIONS
5322 DP5856 07-Apr-2016 DETAILS OF SECURITIES ADMITETD WITH CDSL
5323 DP5857 07-Apr-2016 AVAILABILITY OF CDSL SYSTEM
5324 DP5858 07-Apr-2016 SETTLEMENT TIMINGS OF BSE, NSE & MSEIL ON APRIL 11, 12 & 18,
2016
5325 DP5859 08-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5326 DP5860 08-Apr-2016 SEBI CIRCULAR FAQ KYC CLARIFICATION ON VOLUNTARY
ADAPTION OF AADHAARE KYC PROCESS
5327 DP5861 11-Apr-2016 INVESTOR AWARENESS PROGRAMME
5328 DP5862 11-Apr-2016 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
5329 DP5863 11-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5330 DP5864 12-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5331 DP5865 12-Apr-2016 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
5332 DP5866 13-Apr-2016 INVESTOR AWARENESS PROGRAMMES
5333 DP5867 13-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5334 DP5868 13-Apr-2016 INSURANCE POLICY FOR SECURITIES
5335 DP5869 13-Apr-2016 CDSLS DP OPERATING INSTRUCTIONS AS OF MARCH 2016
5336 DP5870 13-Apr-2016 TAGGING OF DEMAT ACCOUNTS OF TRADING CLEARING MEMBERS
5337 DP5871 13-Apr-2016 FINANCIAL ACTION TASK FORCE [FATF] PUBLIC STATEMENT DATED
FEBRUARY 19, 2016
5338 DP5873 16-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5339 DP5874 16-Apr-2016 INVESTOR AWARENESS PROGRAMMES
5340 DP5875 20-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5341 DP5876 20-Apr-2016 INVESTOR AWARENESS PROGRAMME
5342 DP5877 21-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5343 DP5878 21-Apr-2016 INVESTOR AWARENESS PROGRAMMES
5344 DP5879 21-Apr-2016 AVAILABILITY OF CDSL SYSTEM
5345 DP5880 21-Apr-2016 CAS UPDATION OF CAS MODE IN BO MODULE
5346 DP5881 22-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5347 DP5882 22-Apr-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5348 DP5883 22-Apr-2016 INVESTOR AWARENESS PROGRAMME
5349 DP5884 23-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5350 DP5885 25-Apr-2016 DETAILS OF CORPORATE ACTIONS
5351 DP5886 26-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5352 DP5887 27-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5353 DP5888 27-Apr-2016 INVESTOR AWARENESS PROGRAMMES
5354 DP5889 28-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5355 DP5890 29-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5356 DP5891 30-Apr-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5357 DP5892 30-Apr-2016 AVAILABILITY OF CDSL SYSTEM
5358 DP5893 30-Apr-2016 INVESTOR AWARENESS PROGRAMMES
5359 DP5894 02-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5360 DP5895 03-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5361 DP5896 03-May-2016 INVESTOR AWARENESS PROGRAMMES

Page 97
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5362 DP5897 04-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5363 DP5898 04-May-2016 E-VOTING THROUGH CDSLS M-VOTING APP
5364 DP5899 04-May-2016 AMENDMENTS TO CDSLS BYE LAWS
5365 DP5900 04-May-2016 INVESTOR AWARENESS PROGRAMMES
5366 DP5901 04-May-2016 CAS LIST OF CAS ELIGIBLE BOIDS APRIL 2016
5367 DP5902 04-May-2016 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
5368 DP5903 04-May-2016 CDSLS E-KYC SERVICES
5369 DP5904 05-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5370 DP5905 05-May-2016 ANNUAL BILL
5371 DP5906 05-May-2016 AVAILABILITY OF CDSL SYSTEM
5372 DP5907 06-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5373 DP5908 07-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5374 DP5909 07-May-2016 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5375 DP5911 09-May-2016 DETAILS OF CORPORATE ACTION
5376 DP5912 09-May-2016 INVESTOR AWARENESS PROGRAMMES
5377 DP5913 10-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5378 DP5914 10-May-2016 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
5379 DP5915 10-May-2016 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
5380 DP5910 11-May-2016 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION
(CPE) PROGRAMME OF NIISM ? DEPOSIITORY OPERATIIONS
5381 DP5916 11-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5382 DP5917 11-May-2016 INVESTOR AWARENESS PROGRAMMES
5383 DP5918 11-May-2016 DETAILS OF CORPORATE ACTION
5384 DP5919 11-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5385 DP5920 12-May-2016 CPE PROGRAMMES OF NISM DEPOSITORY OPERATIONS
5386 DP5921 13-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5387 DP5922 14-May-2016 DETAILS OF CORPORATE ACTION
5388 DP5923 14-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5389 DP5924 16-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5390 DP5925 17-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5391 DP5926 18-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5392 DP8927 18-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5393 DP5928 19-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5394 DP5929 20-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5395 DP5930 20-May-2016 INVESTOR AWARENESS PROGRAMMES
5396 DP5931 21-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5397 DP5933 23-May-2016 INVESTOR AWARENESS PROGRAMMES
5398 DP5934 24-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5399 DP5935 24-May-2016 WITHDRAWAL OF REGISTRAR & TRANSFER AGENT OF CDSL
5400 DP5936 25-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5401 DP5937 25-May-2016 INVESTOR AWARENESS PROGRAMMES
5402 DP5938 25-May-2016 PROFILE OF CDSL DEMAT ACCOUNT HOLDERS
5403 DP5932 26-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5404 DP5939 26-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5405 DP5940 26-May-2016 CDSL INFO CENTER (CIC)
5406 DP5941 26-May-2016 E VOTING INSRUCTIONS
5407 DP5942 26-May-2016 RESCHEDULED INVESTOR AWARENESS PROGRAMME BARASAT
5408 DP5943 27-May-2016 APPLICABILITY OF KRISHI KALYAN CESS
5409 DP5944 27-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5410 DP5945 27-May-2016 INVESTOR AWARENESS PROGRAMMES
5411 DP5946 28-May-2016 INVESTOR AWARENESS PROGRAMMES
5412 DP5947 28-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5413 DP5948 30-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5414 DP5949 30-May-2016 INVESTOR AWARENESS PROGRAMMES
5415 DP5950 31-May-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5416 DP5951 31-May-2016 SINGLE SIGN ON WITH CDSLS E VOTING SYSTEM
5417 DP5952 31-May-2016 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
5418 DP5953 01-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5419 DP5954 01-Jun-2016 INVESTOR AWARENESS PROGRAMMES
5420 DP5955 01-Jun-2016 DETAILS OF CORPORATE ACTION
5421 DP5956 02-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5422 DP5957 02-Jun-2016 CDSLS DP TRAINING PROGRAMME
5423 DP5958 03-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 98
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5424 DP5959 03-Jun-2016 CAS LIST OF CAS ELIGIBLE BOIDS MAY 2016
5425 DP5960 03-Jun-2016 ACCESSING CDSL DEPOSITORY APPLICATION USING INTERNET
5426 DP5961 04-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5427 DP5962 04-Jun-2016 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
5428 DP5963 06-Jun-2016 DETAILS OF CORPORATE ACTION
5429 DP5964 07-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5430 DP5965 08-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5431 DP5966 08-Jun-2016 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM ?
DEPOSITORY OPERATIONS
5432 DP5967 09-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5433 DP5968 09-Jun-2016 INVESTOR AWARENESS PROGRAMMES
5434 DP5969 10-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5435 DP5970 10-Jun-2016 INVESTOR AWARENESS PROGRAMME
5436 DP5971 10-Jun-2016 AVAILABILITY OF CDSL SYSTEM
5437 DP5972 11-Jun-2016 AVAILABILITY OF CDSL SYSTEM
5438 DP5973 13-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5439 DP5974 14-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5440 DP5975 15-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5441 DP5976 16-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5442 DP5977 16-Jun-2016 INVESTOR AWARENESS PROGRAMMES
5443 DP5978 16-Jun-2016 SEBI CIRCULAR KYC NORMS FOR ODI SUBSCRIBERS
5444 DP5979 16-Jun-2016 AVAILABILITY OF CDSL SYSTEM
5445 DP5980 17-Jun-2016 SUBMISSION OF NET WORTH CERTIFICATE AUDITED FINANCIAL
STATEMENTS
5446 DP5981 17-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5447 DP5982 17-Jun-2016 AMENDMENTS TO CDSL?S DP OPERATING INSTRUCTIONS
5448 DP5983 17-Jun-2016 AVAILABILITY OF CDSL SYSTEM
5449 DP5984 20-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5450 DP5985 21-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5451 DP5986 21-Jun-2016 INVESTOR AWARENESS PROGRAMMES
5452 DP5987 22-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5453 DP5988 22-Jun-2016 INVESTOR AWARENESS PROGRAMMES
5454 DP5989 23-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5455 DP5990 23-Jun-2016 SEBI CIRCULAR ? REVIEW OF THE FRAMEWORK OF POSITION
LIMITS
5456 DP5991 23-Jun-2016 AVAILABILITY OF CDSL SYSTEM
5457 DP5992 24-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5458 DP5993 27-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5459 DP5994 28-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5460 DP5995 29-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5461 DP5996 29-Jun-2016 AVAILABILITY OF CDSL SYSTEM
5462 DP5997 29-Jun-2016 INVESTOR AWARENESS PROGRAMMES
5463 DP5998 29-Jun-2016 RELEASE OF BSDA UPLOAD FILE FORMAT
5464 DP5999 30-Jun-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5465 DP6001 01-Jul-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5466 DP6002 01-Jul-2016 CHANGE IN NAME OF DP
5467 DP6003 04-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5468 DP6004 04-Jul-2016 LIST OF CAS ELIGIBLE BOIDS JUNE 2016
5469 DP6005 04-Jul-2016 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
5470 DP6006 05-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5471 DP6007 05-Jul-2016 INCENTIVE TO DPS FOR OPENING AND MAINTAINING BSDA
ACCOUNTS
5472 DP6008 05-Jul-2016 AVAILABILITY OF CDSL SYSTEM
5473 DP6009 05-Jul-2016 FACILITY FOR BSDA
5474 DP6010 07-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5475 DP6011 07-Jul-2016 INVESTOR AWARENESS PROGRAMMES
5476 DP6012 08-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5477 DP6013 08-Jul-2016 CHANGE IN NAME OF DP
5478 DP6014 09-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5479 DP6015 12-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5480 DP6016 12-Jul-2016 DETAILS OF CORPORATE ACTION
5481 DP6017 13-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5482 DP6018 13-Jul-2016 REVISED TARIFF FOR DISPATCH OF TRANSX AND HOLDING
STATEMENTS

Page 99
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5483 DP6019 13-Jul-2016 INVESTOR AWARENESS PROGRAMMES
5484 DP6020 13-Jul-2016 AVAILABILITY OF CDSL SYSTEM
5485 DP6021 14-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5486 DP6022 15-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5487 DP6023 15-Jul-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5488 DP6024 15-Jul-2016 IMPLEMENTATION OF SANCTIONS ON DPRK

5489 DP6025 15-Jul-2016 CDSLS DP OPERATING INSTRUCTIONS AS OF JUNE 2016


5490 DP6026 18-Jul-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5491 DP6027 18-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5492 DP6028 18-Jul-2016 INVESTOR AWARENES PROGRAMMES
5493 DP6029 18-Jul-2016 SEBI CIRCULAR SIMPLIFICATION OF ACCOUNT OPENING KIT
5494 DP6030 19-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5495 DP6031 20-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5496 DP6032 20-Jul-2016 INVESTOR AWARENESS PROGRAMMES
5497 DP6033 21-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5498 DP6034 22-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5499 DP6035 22-Jul-2016 AVAILABILITY OF CDSL SYSTEM
5500 DP6036 25-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5501 DP6037 25-Jul-2016 DETAILS OF CORPORATE ACTION
5502 DP6038 26-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5503 DP6039 26-Jul-2016 CLARIFICATION REGARDING GRANDFATHERING OF ODI ISSUERS
AND MODIFICATION
5504 DP6040 26-Jul-2016 PAN MODIFICATION AT CDSLS END
5505 DP6041 26-Jul-2016 INTRODUCTION OF ADDITIONAL REPORT IN CDAS SYSTEM FOR
USERS
5506 DP6042 26-Jul-2016 PLEDGE UNPLEDGE CONFISCATION FACILITY THROUGH EASIEST
SYSTEM
5507 DP6043 27-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5508 DP6044 27-Jul-2016 CHANGE IN NAME OF DP
5509 DP6045 27-Jul-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5510 DP6046 28-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5511 DP6047 29-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5512 DP6048 29-Jul-2016 INVESTOR AWARENESS PROGRAMMES
5513 DP6049 29-Jul-2016 SEBI CIRCULAR
OPERATIONALISATION OF CENTRAL KYC RECORDS REGISTRY
CKYCR
5514 DP6050 29-Jul-2016 DETAILS OF CORPORATE ACTION
5515 DP6051 30-Jul-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5516 DP6052 01-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5517 DP6053 02-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5518 DP6054 02-Aug-2016 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
5519 DP6055 03-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5520 DP6056 03-Aug-2016 AVAILABILITY OF CDSL SYSTEM
5521 DP6057 04-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5522 DP6058 04-Aug-2016 CONSOLIDATED ACCOUNT STATEMENT LIST OF CAS ELIGIBLE
BOIDS JULY 2016
5523 DP6059 04-Aug-2016 INVESTOR AWARENESS PROGRAMMES
5524 DP6060 05-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5525 DP6061 05-Aug-2016 FOREIGN INVESTMENT IN RUPEE DENOMINATED BONDS
5526 DP6062 06-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5527 DP6063 08-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5528 DP6064 08-Aug-2016 CHANGE OF NAME EFFECTED BY RTA
5529 DP6065 08-Aug-2016 INVESTOR AWARENESS PROGRAMMES
5530 DP6066 08-Aug-2016 FATF PUBLIC STATEMENT DATED JUNE 24 2016
5531 DP6067 08-Aug-2016 DETAILS OF CORPORATE ACTION
5532 DP6068 09-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5533 DP6069 09-Aug-2016 INVESTOR AWARENESS PROGRAMMES
5534 DP6070 09-Aug-2016 REGISTRATION FOR STATEMENT OF ACCOUNT THROUGH
ELECTRONIC MODE
5535 DP6071 10-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5536 DP6072 10-Aug-2016 CDSLS DP TRAINING PROGRAMME
5537 DP6073 10-Aug-2016 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
5538 DP6074 10-Aug-2016 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS JUNE 2016
5539 DP6075 10-Aug-2016 AVAILABILITY OF CDSL SYSTEM
5540 DP6076 11-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
Page 100
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5541 DP6077 12-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5542 DP6078 12-Aug-2016 SETTLEMENT OF G SEC TRADES BY BOS ON NDS OM PLATFORM
5543 DP6079 12-Aug-2016 DETAILS OF CORPORATE ACTION
5544 DP6080 12-Aug-2016 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON AUGUST 18 19 23 2016
5545 DP6081 16-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5546 DP6082 16-Aug-2016 DETAILS OF CORPORATE ACTION
5547 DP6083 16-Aug-2016 INVESTOR AWARENESS PROGRAMME
5548 DP6084 17-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5549 DP6085 17-Aug-2016 MANDATORY REQUIREMENT OF REASON CODE FOR
TRANSACTIONS
5550 DP6086 18-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5551 DP6087 18-Aug-2016 AVAILABILITY OF CDSL SYSTEM
5552 DP6088 19-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5553 DP6089 20-Aug-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5554 DP6090 22-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5555 DP6091 22-Aug-2016 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
5556 DP6092 22-Aug-2016 INVESTOR AWARENESS PROGRAMMES
5557 DP6093 22-Aug-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5558 DP6094 23-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5559 DP6095 23-Aug-2016 UPDATED GUIDANCE NOTE FOR FATCA AND CRS
5560 DP6096 24-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5561 DP6097 24-Aug-2016 DETAILS OF CORPORATE ACTION
5562 DP6098 24-Aug-2016 INVESTOR AWARENESS PROGRAMMES
5563 DP6099 25-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5564 DP6100 26-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5565 DP6101 29-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5566 DP6102 29-Aug-2016 WITHDRAWAL OF SECURITIES FROM CDSL
5567 DP6103 29-Aug-2016 TRAINING PROGRAMME FOR COMPLIANCE-PRINCIPAL OFFICERS-
DP-OFFICIALS AND INTERNAL -CONCURRENT AUDITORS
5568 DP6104 29-Aug-2016 SUBMISSION OF NET WORTH CERTIFICATE & AUDITED FINANCIAL
STATEMENTS
5569 DP6105 30-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5570 DP6106 30-Aug-2016 PENALTY FOR NON PAYMENT OF PAYOUT SECURITIES FROM CM
POOL ACCOUNT TO BO ACCOUNT
5571 DP6107 30-Aug-2016 DETAILS OF CORPORATE ACTION
5572 DP6108 31-Aug-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5573 DP6109 31-Aug-2016 PRESS RELEASE AUGUST 31 FOR FATCA CRS NOTE
5574 DP6110 01-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5575 DP6111 01-Sep-2016 INVESTOR AWARENESS PROGRAMMES
5576 DP6112 02-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5577 DP6113 02-Sep-2016 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
5578 DP6114 03-Sep-2016 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
5579 DP6115 03-Sep-2016 CONSOLIDATED ACCOUNT STATEMENT CAS LIST OF CAS ELIGIBLE
BOIDS AUGUST 2016
5580 DP6116 06-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5581 DP6117 06-Sep-2016 INVESTOR AWARENESS PROGRAMMES
5582 DP6118 06-Sep-2016 DETAILS OF CORPORATE ACTION
5583 DP6119 07-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5584 DP6120 07-Sep-2016 RESCHEDULED INVESTOR AWARENESS PROGRAMME
5585 DP6121 08-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5586 DP6122 08-Sep-2016 RISK ASSESSMENT TEMPLATE
5587 DP6123 08-Sep-2016 INVESTOR AWARENESS PROGRAMMES
5588 DP6124 08-Sep-2016 FAQS ON SEBI CIRCULAR DATED JUNE 10, 2016
5589 DP6125 09-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5590 DP6126 09-Sep-2016 DETAILS OF CORPORATE ACTION
5591 DP6127 09-Sep-2016 REVISED FORMAT FOR REPORT ON IAR AND CAR
5592 DP6128 12-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5593 DP6129 12-Sep-2016 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES
5594 DP6130 12-Sep-2016 SEBI CIRCULAR
RESTRICTIONS ON PROMOTERS AND WHOLE TIME DIRECTOR
5595 DP6131 12-Sep-2016 DETAILS OF CORPORATE ACTIONS
5596 DP6132 12-Sep-2016 INVESTOR AWARENESS PROGRAMMES
5597 DP6133 12-Sep-2016 INTER DEPOSITORY TRANSFER OF GOVERNMENT SECURITIES
5598 DP6134 14-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5599 DP6135 15-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 101
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5600 DP6136 15-Sep-2016 AVAILABILITY OF CDSL SYSTEM
5601 DP6137 16-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5602 DP6138 16-Sep-2016 AVAILABILITY OF CDSL SYSTEM
5603 DP6139 19-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5604 DP6140 19-Sep-2016 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
5605 DP6141 19-Sep-2016 CDSLS DP TRAINING PROGRAMME
5606 DP6142 20-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5607 DP6143 20-Sep-2016 INVESTOR AWARENESS PROGRAMMES
5608 DP6144 21-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5609 DP6145 21-Sep-2016 DETAILS OF CORPORATE ACTIONS
5610 DP6146 21-Sep-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5611 DP6147 22-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5612 DP6148 22-Sep-2016 INVESTOR AWARENESS PROGRAMMES
5613 DP6149 23-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5614 DP6150 23-Sep-2016 OPENING OF HUF DEMAT ACCOUNTS AND PROCEDURE
5615 DP6151 24-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5616 DP6152 26-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5617 DP6153 26-Sep-2016 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
5618 DP6154 27-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5619 DP6155 28-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5620 DP6156 28-Sep-2016 INVESTOR AWARENESS PROGRAMMES
5621 DP6157 28-Sep-2016 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM ?
DEPOSITORY OPERATIONS
5622 DP6158 29-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5623 DP6159 29-Sep-2016 INVESTOR AWARENESS PROGRAMMES
5624 DP6160 29-Sep-2016 SEBI CIRCULAR ENHANCED SUPERVISION OF STOCK BROKERS
DEPOSITORY PARTICIPANTS
5625 DP6161 29-Sep-2016 OFFER FOR SALE OF HINDUSTAN COPPER LIMITED
5626 DP6162 30-Sep-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5627 DP6163 30-Sep-2016 INVESTOR AWARENESS PROGRAMMES
5628 DP6164 03-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5629 DP6165 03-Oct-2016 FACILITY FOR BSDA
5630 DP6166 03-Oct-2016 INVESTOR AWARENESS PROGRAMME
5631 DP6167 03-Oct-2016 TRAINING PROGRAMME FOR COMPLIANCE PRINCIPAL OFFICER
5632 DP6168 04-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5633 DP6169 04-Oct-2016 DETAILS OF CORPORATE ACTIONS
5634 DP6170 04-Oct-2016 SEBI CIRCULAR INVESTMENTS BY FPIS IN GOVERNMENT
SECURITIES
5635 DP6171 04-Oct-2016 LIST OF CAS ELIGIBLE BOIDS SEPTEMBER 2016
5636 DP6172 05-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5637 DP6173 05-Oct-2016 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM CM
POOL ACCOUNT TO BO ACCOUNT
5638 DP6174 06-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5639 DP6175 06-Oct-2016 CDSLS DP OPERATING INSTRUCTIONS AS OF SEPTEMBER 2016
5640 DP6176 06-Oct-2016 INVESTOR AWARENESS PROGRAMMES
5641 DP6177 06-Oct-2016 DETAILS OF CORPORATE ACTION
5642 DP6178 07-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5643 DP6179 08-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5644 DP6180 10-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5645 DP6181 10-Oct-2016 INVESTOR AWARENESS PROGRAMMES
5646 DP6182 10-Oct-2016 DETAILS OF CORPORATE ACTIONS
5647 DP6183 13-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5648 DP6184 13-Oct-2016 AMENDMENTS TO CDSLS DP OPERATIING IINSTRUCTIIONS
5649 DP6185 14-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5650 DP6186 14-Oct-2016 CHANGE OF NAME EFFECTED BY DP
5651 DP6187 14-Oct-2016 INVESTOR AWARENESS PROGRAMMES
5652 DP6188 14-Oct-2016 UPDATION OF KOTAK BANK MICR IFSC CODES IN BO ACCOUNTS
5653 DP6189 15-Oct-2016 TRAINING SCHEDULE FOR CPE PROGRAMME OF NIISM ?
DEPOSIITORY OPERATIIONS
5654 DP6190 17-Oct-2016 DETAILS OF CORPORATE ACTION
5655 DP6191 17-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5656 DP6192 17-Oct-2016 INVESTOR AWARENESS PROGRAMMES
5657 DP6193 18-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5658 DP6194 18-Oct-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5659 DP6195 18-Oct-2016 INVESTOR AWARENESS PROGRAMMES

Page 102
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5660 DP6196 19-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5661 DP6197 19-Oct-2016 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
5662 DP6198 19-Oct-2016 INVESTOR AWARENESS PROGRAMMES
5663 DP6199 19-Oct-2016 DETAILS OF CORPORATE ACTIONS
5664 DP6201 19-Oct-2016 OFFER FOR SALE OF NBCC INDIA LIMITED
5665 DP6200 20-Oct-2016 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
5666 DP6202 20-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5667 DP6203 20-Oct-2016 INVESTOR AWARENESS PROGRAMMES
5668 DP6204 21-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5669 DP6205 22-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5670 DP6206 24-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5671 DP6207 24-Oct-2016 INVESTOR AWARENESS PROGRAMMES
5672 DP6208 24-Oct-2016 NOTIFICATION ISSUED BY MCA FOR TRANSFER OF SHARES TO IEPF
ACCOUNT
5673 DP6209 25-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5674 DP6210 25-Oct-2016 DETAILS OF CORPORATE ACTIONS
5675 DP6211 25-Oct-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5676 DP6212 25-Oct-2016 AVAILABILITY OF INTER DEPOSITORY TRANSACTIONS ON OCTOBER
30 2016
5677 DP6213 26-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5678 DP6214 27-Oct-2016 LIST OF STATUS AND SUB STATUS FOR DEMAT ACCOUNTS
5679 DP6215 27-Oct-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5680 DP6216 27-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5681 DP6217 28-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5682 DP6218 28-Oct-2016 DETAILS OF CORPORATE ACTION
5683 DP6219 28-Oct-2016 CHANGE OF NAME EFFECTED BY DP
5684 DP6220 29-Oct-2016 MICR IFSC CODE IN CDSL SYSTEM
5685 DP6221 29-Oct-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5686 DP6222 01-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5687 DP6223 02-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5688 DP6224 02-Nov-2016 TRADE REPOSITORY FOR CORPORATE BONDS
5689 DP6225 02-Nov-2016 DETAILS OF CORPORATE ACTION
5690 DP6226 02-Nov-2016 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
5691 DP6227 03-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5692 DP6228 03-Nov-2016 INVESTOR AWARENESS PROGRAMME
5693 DP6229 03-Nov-2016 AVAILABILITY OF CDSL SYSTEM
5694 DP6230 04-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5695 DP6231 04-Nov-2016 CAS LIST OF CAS ELIGIBLE BOIDS OCTOBER 2016
5696 DP6232 04-Nov-2016 CPE PROGRAMME OF NISM DEPOSITORY PARTICIPANT
5697 DP6233 07-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5698 DP6234 07-Nov-2016 COMPLIANCE MANUAL FOR DP
5699 DP6235 07-Nov-2016 INVESTOR AWARENESS PROGRAMMES
5700 DP6236 08-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5701 DP6237 09-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5702 DP6238 09-Nov-2016 DETAILS OF CORPORATE ACTIONS
5703 DP6239 09-Nov-2016 EXTENSION OF PAY-IN TIME
5704 DP6240 10-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5705 DP6241 10-Nov-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5706 DP6242 10-Nov-2016 INVESTOR AWARENESS PROGRAMMES
5707 DP6243 11-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5708 DP6244 11-Nov-2016 SEBI CIRCULAR UPLOADING OF EXISTING CLIENTS KYC RECORDS
5709 DP6245 15-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5710 DP6246 16-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5711 DP6247 16-Nov-2016 INVESTOR AWARENESS PROGRAMMES
5712 DP6248 17-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5713 DP6249 17-Nov-2016 DETAILS OF CORPORATE ACTION
5714 DP6250 18-Nov-2016 MULTIPLE NOMINATION FACILITY
5715 DP6251 18-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5716 DP6252 21-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5717 DP6253 21-Nov-2016 SEBI CIRCULAR FPIS REQUIREMENT OF PAN
5718 DP6254 22-Nov-2016 ENHANCED SUPERVISION OF STOCK BROKERS
5719 DP6255 22-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5720 DP6256 22-Nov-2016 DETAILS OF CORPORATE ACTION
5721 DP6257 22-Nov-2016 INVESTOR AWARENESS PROGRAMMES

Page 103
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5722 DP6258 23-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5723 DP6259 24-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5724 DP6260 25-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5725 DP6261 25-Nov-2016 INVESTOR AWARENESS PROGRAMMES
5726 DP6262 26-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5727 DP6263 28-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5728 DP6264 29-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5729 DP6265 29-Nov-2016 DETAILS OF CORPORATE ACTIONS
5730 DP6266 30-Nov-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5731 DP6267 30-Nov-2016 INVESTOR AWARENESS PROGRAMMES
5732 DP6268 01-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5733 DP6269 01-Dec-2016 AVAILABILITY OF CDSL SYSTEM
5734 DP6270 01-Dec-2016 AVAILABILITY OF CDSL SYSTEM
5735 DP6271 02-Dec-2016 DETAILS OF CORPORATE ACTION
5736 DP6272 02-Dec-2016 ONLINE FACILITY FOR ADD MOD AND DELETION IN DETAILS OF DP
SERVICE CENTRES
5737 DP6273 02-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5738 DP6274 02-Dec-2016 INVESTOR AWARENESS PROGRAMME
5739 DP6275 03-Dec-2016 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
5740 DP6276 05-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5741 DP6277 05-Dec-2016 LIST OF CAS ELIGIBLE BOIDS NOVEMBER 2016
5742 DP6278 06-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5743 DP6279 07-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5744 DP6280 07-Dec-2016 DETAILS OF CORPORATE ACTION
5745 DP6281 08-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5746 DP6282 08-Dec-2016 LIST OF STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
5747 DP6283 08-Dec-2016 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON DECEMBER 13 14 16
2016
5748 DP6284 09-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5749 DP6285 09-Dec-2016 MCA NOTIFICATION IEPF RULES
5750 DP6286 09-Dec-2016 DETAILS OF CORPORATE ACTION
5751 DP6287 09-Dec-2016 INVESTOR AWARENESS PROGRAMMES
5752 DP6288 10-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5753 DP6289 12-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5754 DP6290 12-Dec-2016 DETAILS OF CORPORATE ACTIONS
5755 DP6291 12-Dec-2016 UPLOADING OF THE EXISTING CLIENTS KYC DETAILS CKYCR
5756 DP6292 13-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5757 DP6293 14-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5758 DP6294 15-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5759 DP6295 16-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5760 DP6296 19-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5761 DP6297 19-Dec-2016 INTER DEPOSITORY TRANSFERS ON TRADING HOLIDAYS
5762 DP6298 19-Dec-2016 INVESTOR AWARENESS PROGRAMMES
5763 DP6299 19-Dec-2016 CDSLS DP TRAINING PROGRAMME
5764 DP6300 20-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5765 DP6301 20-Dec-2016 DETAILS OF CORPORATE ACTIONS
5766 DP6302 21-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5767 DP6303 21-Dec-2016 INVESTOR AWARENESS PROGRAMME
5768 DP6304 21-Dec-2016 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5769 DP6305 22-Dec-2016 SEBI CIRCULAR ENHANCED SUPERVISION OF STOCK BROKERS
DEPOSITORY PARTICIPANTS
5770 DP6306 22-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5771 DP6307 23-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5772 DP6308 23-Dec-2016 INVESTOR AWARENESS PROGRAMME
5773 DP6309 26-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5774 DP6310 26-Dec-2016 CPE PROGRAMME OF NISM DEPOSITORY PARTICIPANT
5775 DP6311 26-Dec-2016 DETAILS OF CORPORATE ACTION
5776 DP6312 27-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5777 DP6313 27-Dec-2016 INVESTOR AWARENESS PROGRAMMES
5778 DP6314 28-Dec-2016 AVAILABILITY OF CDSL SYSTEM
5779 DP6315 28-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5780 DP6316 28-Dec-2016 CPE PROGRAMME OF NISM DEPOSITORY PARTICIPANT
5781 DP6317 29-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5782 DP6318 30-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 104
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5783 DP6319 31-Dec-2016 DETAILS OF SECURITIES ADMITTED WITH CDSL
5784 DP2017-1 04-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5785 DP2017-10 04-Jan-2017 INVESTOR AWARENESS PROGRAMMES
5786 DP2017-11 04-Jan-2017 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO ACCOUNTS
5787 DP2017-2 04-Jan-2017 INSURANCE POLICY FOR WAREHOUSE RECEIPTS
HELD IN DEMATERIALISED FORM
5788 DP2017-3 04-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5789 DP2017-4 04-Jan-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
5790 DP2017-5 04-Jan-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5791 DP2017-6 04-Jan-2017 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO ACCOUNTS
5792 DP2017-7 04-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5793 DP2017-8 04-Jan-2017 DETAILS OF CORPORATE ACTION
5794 DP2017-9 04-Jan-2017 CASLIST OF CAS ELIGIBLE BOIDS DECEMBER 2016
5795 DP2017-12 05-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5796 DP2017-13 05-Jan-2017 INVESTOR AWARENESS PROGRAMMES
5797 DP2017-14 05-Jan-2017 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO ACCOUNTS
5798 DP2017-15 05-Jan-2017 SEBI CIRCULAR GUIDELINES PARTICIPATION FUNCTIONING FPI IN
IFSC
5799 DP2017-16 06-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5800 DP2017-17 06-Jan-2017 INVESTOR AWARENESS PROGRAMME
5801 DP2017-18 06-Jan-2017 AVAILABILITY OF CDSL SYSTEM
5802 DP2017-19 06-Jan-2017 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO ACCOUNTS
5803 DP2017-20 07-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5804 DP2017-21 09-Jan-2017 DETAILS OF CORPORATE ACTION
5805 DP2017-22 09-Jan-2017 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO ACCOUNT
5806 DP2017-23 10-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5807 DP2017-24 10-Jan-2017 REVISIO IN TIMING FOR NSE NORMAL AUCTION SETTLEMENT
5808 DP2017-25 11-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5809 DP2017-26 11-Jan-2017 INVESTOR AWARENESS PROGRAMMES
5810 DP2017-27 11-Jan-2017 CDSLS DP OPERATING INSTRUCTIONS AS OF DECEMBER 2016
5811 DP2017-28 12-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5812 DP2017-29 13-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5813 DP2017-30 14-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5814 DP2017-31 16-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5815 DP2017-32 16-Jan-2017 UPDATION OF EMAIL IDS MOBILE NUMBERS AND BANK ACCOUNT
DETAILS IN DEMAT ACCOUNTS
5816 DP2017-33 17-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5817 DP2017-34 17-Jan-2017 INVESTOR AWARENESS PROGRAMMES
5818 DP2017-35 17-Jan-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5819 DP2017-36 18-Jan-2017 DETAILS OF SECURITEIS ADMITTED WITH CDSL
5820 DP2017-37 18-Jan-2017 INVESTOR AWARENESS PROGRAMME
5821 DP2017-38 18-Jan-2017 DETAILS OF CORPORATE ACTION
5822 DP2017-39 19-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5823 DP2017-40 20-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5824 DP2017-41 20-Jan-2017 FATF PUBLIC STATEMENT DATED OCTOBER 21 2016
5825 DP2017-42 20-Jan-2017 INVESTOR AWARENESS PROGRAMME
5826 DP2017-43 23-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5827 DP2017-44 23-Jan-2017 AVAILABILITY OF CDSL SYSTEM
5828 DP2017-45 24-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5829 DP2017-46 25-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5830 DP2017-47 25-Jan-2017 NPCI CIRCULAR ? PENALTY FOR TRANSACTIONS PROCESSED WITH
OLD BANK ACCOUNT NUMBERS
5831 DP2017-48 27-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5832 DP2017-49 27-Jan-2017 INVESTOR AWARENESS PROGRAMMES
5833 DP2017-50 28-Jan-2017 DETAILS OF CORPORATE ACTION
5834 DP2017-51 28-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5835 DP2017-52 30-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5836 DP2017-53 30-Jan-2017 INVESTOR AWARENESS PROGRAMMES
5837 DP2017-54 31-Jan-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5838 DP2017-55 31-Jan-2017 CDSLS DP TRAINING PROGRAMME FROM FEBRUARY 20 2017 TO
FEBRUARY 23 2017 AT MUMBAI
5839 DP2017-56 01-Feb-2017 DETAILS OF SECURITIIES ADMITTED WITH CDSL
5840 DP2017-57 01-Feb-2017 DETAILS OF CORPORATE ACTIONS
5841 DP2017-58 01-Feb-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS

Page 105
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5842 DP2017-59 01-Feb-2017 SEBI CIRCULAR CREDIT OF PROCEEDS DUE TO WRITE OFF OF
SECURITIES HELD BY FPI
5843 DP2017-60 02-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5844 DP2017-61 02-Feb-2017 INVESTOR AWARENESS PROGRAMME
5845 DP2017-62 03-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5846 DP2017-63 03-Feb-2017 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
5847 DP2017-64 03-Feb-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
5848 DP2017-65 04-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5849 DP2017-66 04-Feb-2017 CAS - LIST OF CAS ELIGIBLE
BOIDS ? JANUARY 2017
5850 DP2017-67 06-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5851 DP2017-68 06-Feb-2017 DETAILS OF CORPORATE ACTION
5852 DP2017-69 06-Feb-2017 AMENDMENTS TO PROCEDURE FOR TENDERING AND SETTLEMENT
OF SHARES
5853 DP2017-70 07-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5854 DP2017-71 08-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5855 DP2017-72 08-Feb-2017 INVESTOR AWARENESS PROGRAMMES
5856 DP2017-73 09-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5857 DP2017-74 10-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5858 DP2017-75 10-Feb-2017 AVAILABILITY OF CDSL SYSTEM
5859 DP2017-76 10-Feb-2017 DETAILS OF CORPORATE ACTION
5860 DP2017-77 10-Feb-2017 INVESTOR AWARENESS PROGRAMMES
5861 DP2017-78 11-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5862 DP2017-79 14-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5863 DP2017-80 14-Feb-2017 INVESTOR AWARENESS PROGRAMMES
5864 DP2017-81 15-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5865 DP2017-82 15-Feb-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5866 DP2017-83 16-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5867 DP2017-84 16-Feb-2017 DETAILS OF CORPORATE ACTION
5868 DP2017-85 16-Feb-2017 INVESTOR AWARENESS PROGRAMMES
5869 DP2017-86 16-Feb-2017 WITHDRAWAL OF REGISTRAR & TRANSFER AGENTS OF CDSL
5870 DP2017-87 17-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5871 DP2017-88 17-Feb-2017 DETAILS OF CORPORATE ACTIONS
5872 DP2017-89 17-Feb-2017 INVESTOR AWARENESS PROGRAMMES
5873 DP2017-90 17-Feb-2017 CPE PROGRAMME OF NISM DEPOSITORY PARTICIPANT
5874 DP2017-91 17-Feb-2017 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON FEBRUARY 22 23 28
2017
5875 DP2017-92 18-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5876 DP2017-93 20-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5877 DP2017-94 20-Feb-2017 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
5878 DP2017-95 21-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5879 DP2017-96 22-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5880 DP2017-97 22-Feb-2017 LIST OF STATUS AND SUB STATUS FOR DEMAT ACCOUNTS
5881 DP2017-100 23-Feb-2017 RECOVERY OF LINK MANAGEMENT CHARGES FROM CDSL BY BSE
LTD
5882 DP2017-98 23-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5883 DP2017-99 23-Feb-2017 CHANGE OF NAME EFFECTED BY DPS
5884 DP2017-101 25-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5885 DP2017-102 25-Feb-2017 DETAILS OF CORPORATE ACTION
5886 DP2017-103 25-Feb-2017 INVESTOR AWARENESS PROGRAMMES
5887 DP2017-104 27-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5888 DP2017-105 27-Feb-2017 INVESTOR AWARENESS PROGRAMME
5889 DP2017-106 27-Feb-2017 SEBI CIRCULAR - AMENDMENT PURSUANT TO COMPREHENSIVE
REVIEW OF INVESTOR GRIEVANCE
5890 DP2017-107 28-Feb-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5891 DP2017-108 28-Feb-2017 INVESTOR AWARENESS PROGRAMME
5892 DP2017-109 01-Mar-2017 DETAILS OF SECURITIES ADMITTED
5893 DP2017-110 01-Mar-2017 INVESTOR AWARENESS PROGRAMMES
5894 DP2017-111 01-Mar-2017 DETAILS OF CORPORATE ACTION
5895 DP2017-112 02-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5896 DP2017-113 03-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5897 DP2017-114 03-Mar-2017 AVAILABILITY OF CDSL SYSTEM
5898 DP2017-115 03-Mar-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5899 DP2017-116 03-Mar-2017 SEBI CIRCULAR INVESTMENTS BY FPIS IN CORPORATE DEBT
SECURITIES

Page 106
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5900 DP2017-117 03-Mar-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
5901 DP2017-118 03-Mar-2017 CAS - LIST OF CAS ELIGIBLE
BOIDS FEBRUARY 2017
5902 DP2017-119 04-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5903 DP2017-120 04-Mar-2017 INVESTOR AWARENESS PROGRAMME
5904 DP2017-121 06-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5905 DP2017-122 07-Mar-2017 CHANGE OF RTA EFFECTED BY ISSUER
5906 DP2017-123 07-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5907 DP2017-124 08-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5908 DP2017-125 08-Mar-2017 INVESTOR AWARENESS PROGRAMMES
5909 DP2017-126 08-Mar-2017 DETAILS OF CORPORATE ACTION
5910 DP2017-127 09-Mar-2017 DETAILS OFN SECURITIES ADMITETD WITH CDSL
5911 DP2017-128 09-Mar-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
5912 DP2017-129 10-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5913 DP2017-130 14-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5914 DP2017-131 14-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5915 DP2017-132 15-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5916 DP2017-133 15-Mar-2017 INVESTOR AWARENESS PROGRAMMES
5917 DP2017-134 15-Mar-2017 RISK ASSESSMENT TEMPLATE
5918 DP2017-135 15-Mar-2017 DETAILS OF CORPORATE ACTION
5919 DP2017-136 15-Mar-2017 AVAILABILITY OF CDSL SYSTEM
5920 DP2017-137 16-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5921 DP2017-138 16-Mar-2017 NOTIFICATION ISSUED BY MCA FOR TRANSFER OF SHARES TO IEPF
ACCOUNT
5922 DP2017-139 17-Mar-2017 SEBI CIRCULAR REDRESSAL OF INVESTOR GRIEVANCES THROUGH
SCORES PLATFORM
5923 DP2017-140 17-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5924 DP2017-141 17-Mar-2017 INACTIVATION OF UNUSED CDAS USER IDS
5925 DP2017-142 17-Mar-2017 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
5926 DP2017-143 18-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5927 DP2017-144 20-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5928 DP2017-145 20-Mar-2017 INVESTOR AWARENESS PROGRAMMES
5929 DP2017-146 21-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5930 DP2017-147 21-Mar-2017 REMINDER RECOVERY OF LINK MANAGEMENT CHARGES FROM
CDSL BY BSE LTD
5931 DP2017-148 22-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5932 DP2017-149 22-Mar-2017 CHANGE OF NAME EFFECTED BY DP
5933 DP2017-150 22-Mar-2017 INVESTOR AWARENESS PROGRAMME
5934 DP2017-151 23-Mar-2017 DETAILS OF CORPORATE ACTIONS
5935 DP2017-152 23-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5936 DP2017-153 23-Mar-2017 AVAILABILITY OF CDSL SYSTEM
5937 DP2017-154 24-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5938 DP2017-155 24-Mar-2017 INVESTOR AWARENESS PROGRAMME
5939 DP2017-156 25-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5940 DP2017-157 25-Mar-2017 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON MARCH 29 30 2017 ON
APRIL 03 2017
5941 DP2017-158 27-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5942 DP2017-159 27-Mar-2017 URGENT CONFIRMATION OF BSE INTRANET CONNECTIVITY USED
FOR ACCESSING CDSL DEPOSITORY APPLICATION
5943 DP2017-160 28-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5944 DP2017-161 28-Mar-2017 INVESTOR AWARENESS PRORAMMES
5945 DP2017-162 29-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5946 DP2017-163 29-Mar-2017 INTERNAL AUDIT CONCURRENT AUDIT OF RISK PRONE AREAS OF
THE DPS
5947 DP2017-164 29-Mar-2017 SUBMISSION OF NET WORTH CERTIFICATE AUDITED FINANCIAL
STATEMENTS
5948 DP2017-165 29-Mar-2017 FINANCIAL ACTION TASK FORCE FATF PUBLIC STATEMENT DATED
FEBRUARY 24 2017
5949 DP2017-166 30-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5950 DP2017-167 30-Mar-2017 FACILITY OF AUTOMATIC DOWNLOAD OF REPORTS
5951 DP2017-168 31-Mar-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5952 DP2017-169 31-Mar-2017 NEW MARKET TYPE AND THE DEADLINE TIME FOR SUBMISSION OF
PAY IN INSTRUCTIONS
5953 DP2017-170 01-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5954 DP2017-171 03-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5955 DP2017-172 03-Apr-2017 SUBMISSION OF DP TARIFF STRUCTURE TO CDSL

Page 107
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
5956 DP2017-173 05-Apr-2017 CAS LIST OF CAS ELIGIBLE BOIDS MARCH 2017
5957 DP2017-174 05-Apr-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
5958 DP2017-175 05-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5959 DP2017-176 05-Apr-2017 LINKING OF DEMAT ACCOUNTS OF INDIVIDUALS WITH AADHAR
5960 DP2017-177 05-Apr-2017 CAS LIST OF CAS ELIGIBLE BOIDS MARCH 2017
5961 DP2017-178 06-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5962 DP2017-179 06-Apr-2017 SEBI CIRCULAR CAPACITY PLANNING FRAMEWORK FOR THE
DEPOSITORIES
5963 DP2017-180 07-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5964 DP2017-181 07-Apr-2017 INVESTOR AWARENESS PROGRAMME
5965 DP2017-182 08-Apr-2017 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION (CPE) PROGRAMME OF NISM - DEPOSITORY
OPERATIONS
5966 DP2017-183 08-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5967 DP2017-184 10-Apr-2017 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
5968 DP2017-185 11-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5969 DP2017-186 12-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5970 DP2017-187 12-Apr-2017 AMENDMENTS TO CDSLS BYE LAWS
5971 DP2017-188 12-Apr-2017 CDSLS DP OPERATING INSTRUCTIONS AS OF MARCH 2017
5972 DP2017-189 12-Apr-2017 DEMAT OF SECURITIES OF ISINS WHICH ARE FROZEN FOR DEBIT
5973 DP2017-190 12-Apr-2017 INSURANCE POLICY FOR SECURITIES
5974 DP2017-191 13-Apr-2017 AMENDMENTS TO CDSLS BYE LAWS
5975 DP2017-192 13-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5976 DP2017-193 13-Apr-2017 DETAILS OF CORPORATE ACTION
5977 DP2017-194 17-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5978 DP2017-195 18-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5979 DP2017-196 18-Apr-2017 PRESS RELEASE DATED APRIL 11 2017 ISSUED BY MINISTRY OF
FINANCE FOR FATCA
5980 DP2017-197 19-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5981 DP2017-198 19-Apr-2017 INVESTOR AWARENESS PROGRAMMES
5982 DP2017-199 19-Apr-2017 OFFER FOR SALE OF NATIONAL ALUMINIUM COMPANY LIMITED
5983 DP2017-200 20-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5984 DP2017-201 21-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5985 DP2017-202 21-Apr-2017 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
CHAPTER 12 FEES CHARGES AND DEPOSITS
5986 DP2017-203 22-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5987 DP2017-204 22-Apr-2017 DETAILS OF CORPORATE ACTION
5988 DP2017-205 24-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5989 DP2017-206 25-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5990 DP2017-207 26-Apr-2017 INVESTOR AWARENESS PROGRAMME
5991 DP2017-208 26-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5992 DP2017-209 26-Apr-2017 DETAILS OF CORPORATE ACTION
5993 DP2017-210 27-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5994 DP2017-211 27-Apr-2017 INVESTOR AWARENESS PROGRAMME
5995 DP2017-212 28-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
5996 DP2017-213 28-Apr-2017 FREEZE REASON CODE
5997 DP2017-214 28-Apr-2017 DETAILS OF CORPORATE ACTION
5998 DP2017-215 28-Apr-2017 ONLINE FACILITY FOR SUBMISSION OF IAR AND CAR OF RISK
PRONE AREAS REPORT
5999 DP2017-216 29-Apr-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6000 DP2017-217 29-Apr-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6001 DP2017-218 02-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6002 DP2017-219 02-May-2017 CHANGE IN NAME OF DP
6003 DP2017-220 03-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6004 DP2017-221 03-May-2017 ANNUAL BILL
6005 DP2017-222 03-May-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
6006 DP2017-223 04-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6007 DP2017-224 04-May-2017 CONSOLIDATED ACCOUNT STATEMENT (CAS) LIST OF CAS ELIGIBLE
BOIDS
6008 DP2017-225 04-May-2017 AVAILABILITY OF CDSL SYSTEM
6009 DP2017-226 04-May-2017 DETAILS OF CORPORATE ACTION
6010 DP2017-227 05-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6011 DP2017-228 05-May-2017 SEBI CIRCULAR ONLINE REGISTRATION MECHANISM FOR
SECURITIES MARKET INTERMEDIARIES
6012 DP2017-229 05-May-2017 CDSLS DP TRAINING PROGRAMME FROM MAY 22 2017 TO MAY 25
2017
6013 DP2017-230 06-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
Page 108
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6014 DP2017-231 06-May-2017 REMINDER SUBMISSION OF REPORT ON IAR CAR
6015 DP2017-232 08-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6016 DP2017-233 08-May-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6017 DP2017-234 08-May-2017 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON MAY 11 MAY 12 MAY
16 2017
6018 DP2017-235 09-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6019 DP2017-236 10-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6020 DP2017-237 10-May-2017 INVESTOR AWARENESS PROGRAMMES
6021 DP2017-238 11-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6022 DP2017-239 12-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6023 DP2017-240 12-May-2017 INVESTOR AWARENESS PROGRAMMES
6024 1444 13-May-2017 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
6025 DP2017-242 13-May-2017 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
6026 DP241 13-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6027 DP2017-243 15-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6028 DP2017-244 16-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6029 DP2017-245 16-May-2017 CHANGE IN NAME OF DP
6030 DP2017-246 16-May-2017 CHANGE IN TRANSACTION DESCRIPTION
6031 DP2017-247 16-May-2017 DETAILS OF CORPORATE ACTION
6032 DP2017-248 17-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6033 DP2017-249 17-May-2017 INVESTOR AWARENESS PROGRAMMES
6034 DP2017-250 18-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6035 DP2017-251 19-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6036 DP2017-252 19-May-2017 AVAILABILITY OF CDSL SYSTEM
6037 DP2017-253 22-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6038 DP2017-254 22-May-2017 INVESTOR AWARENESS PROGRAMMES
6039 DP2017-255 23-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6040 DP2017-256 23-May-2017 TIMELINES FOR BO MODIFICATIONS
6041 DP2017-257 24-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6042 DP2017-258 24-May-2017 DETAILS OF CORPORATE ACTIONS
6043 DP2017-259 24-May-2017 INVESTOR AWARENESS PROGRAMMES
6044 DP2017-260 25-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6045 DP2017-261 26-May-2017 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
6046 DP2017-262 26-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6047 DP2017-263 26-May-2017 INVESTOR AWARENESS PROGRAMMES
6048 DP2017-264 27-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6049 DP2017-265 27-May-2017 CAS LIST OF BOUNCED EMAIL BOIDS MARCH APRIL 2017
6050 DP2017-266 29-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6051 DP2017-267 29-May-2017 REMINDER - LINKING OF DEMAT ACCOUNTS OF INDIVIDUALS WITH
AADHAR
6052 DP2017-268 30-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6053 DP2017-269 31-May-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6054 DP2017-270 01-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6055 DP2017-271 01-Jun-2017 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
6056 DP2017-272 02-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6057 DP2017-273 02-Jun-2017 INVESTOR AWARENESS PROGRAMME
6058 DP2017-274 02-Jun-2017 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM -
DEPOSITORY OPERATIONS
6059 DP2017-275 02-Jun-2017 PENALTY FOR NOT SCANNING AND UPLOADING OF DIS
6060 DP2017-276 03-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6061 DP2017-277 05-Jun-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
6062 DP2017-278 05-Jun-2017 CAS LIST OF CAS ELIGIBLE BOIDS MAY 2017
6063 DP2017-279 05-Jun-2017 INVESTOR AWARENESS PROGRAMMES
6064 DP2017-280 06-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6065 DP2017-281 07-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6066 DP2017-282 08-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6067 DP2017-283 08-Jun-2017 INVESTOR AWARENESS PROGRAMMES
6068 DP2017-284 08-Jun-2017 CHANGE IN NAME OF DP
6069 DP2017-285 09-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6070 DP2017-286 09-Jun-2017 INVESTOR AWARENESS PROGRAMME
6071 DP2017-287 09-Jun-2017 DETAILS OF CORPORATE ACTION
6072 DP2017-288 12-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6073 DP2017-289 12-Jun-2017 CENTRAL DEPOSITORY SERVICES INDIA LIMITED INITIAL PUBLIC
OFFER

Page 109
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6074 DP2017-290 12-Jun-2017 THE CHHATTISGARH PROTECTION OF DEPOSITORS INTEREST ACT
2005
6075 DP2017-291 13-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6076 DP2017-292 13-Jun-2017 INVESTOR AWARENESS PROGRAMME
6077 DP2017-293 14-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6078 DP2017-294 14-Jun-2017 INVESTOR AWARENESS PROGRAMMES
6079 DP2017-295 14-Jun-2017 WINDOWS OPERATING SYSTEM FOR DP OPERATION
6080 DP2017-296 15-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6081 DP2017-297 15-Jun-2017 INVESTOR AWARENESS PROGRAMME
6082 DP2017-298 16-Jun-2017 INVESTOR AWARENESS PROGRAMMES
6083 DP2017-299 16-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6084 DP2017-300 16-Jun-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6085 DP2017-301 16-Jun-2017 SEBI CIRCULAR INTEREST AND DIVIDEND INFORMATION
REPORTING
6086 DP2017-302 17-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6087 DP2017-303 19-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6088 DP2017-304 20-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6089 DP2017-305 20-Jun-2017 NOTIFICATION ON THE RAJIV GANDHI EQUITY SAVINGS SCHEME
2012
6090 DP2017-306 21-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6091 DP2017-307 21-Jun-2017 INVESTOR AWARENESS PROGRAMME
6092 DP2017-308 21-Jun-2017 DETAILS OF CORPORATE ACTION
6093 DP2017-309 22-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6094 DP2017-310 22-Jun-2017 INVESTOR AWARENESS PROGRAMME
6095 DP2017-311 23-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6096 DP2017-312 23-Jun-2017 CAPTURING OF GST REGISTRATION NUMBERS
6097 DP2017-313 24-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6098 DP2017-314 24-Jun-2017 SEBI CIRCULAR CLARIFICATION TO ENHANCED SUPERVISION
CIRCULAR
6099 DP2017-315 27-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6100 DP2017-316 28-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6101 DP2017-317 28-Jun-2017 INVESTOR AWARENESS PROGRAMMES
6102 DP2017-318 28-Jun-2017 INTEREST CHARGE TO BE LEVIED BY DPS FOR NON PAYMENT OF
DUES
6103 DP2017-319 28-Jun-2017 ENHANCED SUPERVISION OF STOCK BROKERS
6104 DP2017-320 28-Jun-2017 OFFER FOR SALE OF RASHTRIYA CHEMICALS AND FERTILIZERS
LIMITED
6105 DP2017-321 29-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6106 DP2017-322 29-Jun-2017 CAPTURING OF GST REGISTRATION NUMBERS
6107 DP2017-323 30-Jun-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6108 DP2017-324 30-Jun-2017 INVESTOR AWARENESS PROGRAMME
6109 DP2017-325 30-Jun-2017 NEW MARKET TYPE AND THE DEADLINE TIME FOR
SUBMISSION OF PAY-IN INSTRUCTIONS
6110 DP2017-326 01-Jul-2017 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
6111 DP2017-327 03-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6112 DP2017-328 04-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6113 DP2017-329 04-Jul-2017 LIST OF CAS ELIGIBLE BOIDS JUNE 2017
6114 DP2017-330 04-Jul-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
6115 DP2017-331 05-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6116 DP2017-332 05-Jul-2017 SEBI CIRCULAR -INVESTMENTS BY FPIS IN GOVERNMENT
SECURITIES
6117 DP2017-333 05-Jul-2017 SEBI CIRCULAR ACCEPTANCE OF E-PAN CARD FOR KYC PURPOSE
FOR FPIS
6118 DP2017-334 06-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6119 DP2017-335 07-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6120 DP2017-336 07-Jul-2017 CDSLS DP TRAINING PROGRAMME
6121 DP2017-337 07-Jul-2017 AVAILABILITY OF CDSL SYSTEM
6122 DP2017-338 08-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6123 DP2017-339 10-Jul-2017 CAS LIST OF BOUNCED EMAIL BOIDS MAY 2017
6124 DP2017-340 10-Jul-2017 SEBI CIRCULAR GUIDELINES FOR ISSUANCE OF ODIS WITH
DERIVATIVE
6125 DP2017-341 10-Jul-2017 UPGRADATION OF REL ID CLIENT SOFTWARE AT USER END
6126 DP2017-342 10-Jul-2017 INVESTOR AWARENESS PROGRAMMES
6127 DP2017-343 11-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6128 DP2017-344 12-Jul-2017 SEBI CIRCULAR INTEREST AND DIVIDEND INFORMATION
REPORTING IN CASE OF CUSTODIAL ACCOUNTS
6129 DP2017-345 12-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 110
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6130 DP2017-346 13-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6131 DP2017-347 13-Jul-2017 SEBI CIRCULAR FPI IFSC AMENDMENTS
6132 DP2017-348 13-Jul-2017 WINDOWS OPERATING SYSTEM FOR DP OPERATION
6133 DP2017-349 14-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6134 DP2017-350 14-Jul-2017 CDSLS DP OPERATING INSTRUCTIONS AS OF JUNE 2017
6135 DP2017-351 15-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6136 DP2017-352 17-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6137 DP2017-353 18-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6138 DP2017-354 18-Jul-2017 REMINDER LINKING OF DEMAT ACCOUNTS OF INDIVIDUALS WITH
AADHAR
6139 DP2017-355 18-Jul-2017 DETAILS OF CORPORATE ACTION
6140 DP2017-356 18-Jul-2017 FINANCIAL ACTION TASK FORCE PUBLIC STATEMENT DATED 23
JUNE, 2017
6141 DP2017-357 19-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6142 DP2017-358 19-Jul-2017 INVESTOR AWARENESS PROGRAMMES
6143 DP2017-359 20-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6144 DP2017-361 21-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6145 DP2017-362 21-Jul-2017 SEBI CIRCULAR INTEREST AND DIVIDEND INFORMATION
REPORTING
IN CASE OF CUSTODIAL ACCOUNTS
6146 DP2017-363 24-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6147 DP2017-364 24-Jul-2017 INVESTMENTS BY FPIS IN CORPORATE DEBT
6148 DP2017-365 25-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6149 DP2017-366 25-Jul-2017 DETAILS OF CORPORATE ACTIONS
6150 DP2017-367 25-Jul-2017 INCENTIVE TO DPS FOR OPENING AND MAINTAINING BSDA
ACCOUNTS
6151 DP2017-368 25-Jul-2017 OFFER FOR SALE OF NATIONAL FERTILIZERS LIMITED
6152 DP2017-369 26-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6153 DP2017-370 26-Jul-2017 REDEMPTION EXTINGUISHMENT OF PLEDGE BALANCE
6154 DP2017-371 27-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6155 DP2017-372 28-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6156 DP2017-373 29-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6157 DP2017-374 31-Jul-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6158 DP2017-375 31-Jul-2017 CAS LIST OF BOUNCED EMAIL BOIDS JUNE 2017
6159 DP2017-376 01-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6160 DP2017-377 01-Aug-2017 OFFER FOR SALE OF HINDUSTAN COPPER LIMITED
6161 DP2017-378 02-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6162 DP2017-379 03-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6163 DP2017-380 03-Aug-2017 AVAILABILITY OF CDSL SYSTEM
6164 DP2017-381 03-Aug-2017 INVESTOR AWARENESS PROGRAMMES
6165 DP2017-382 03-Aug-2017 DETAILS OF CORPORATE ACTION
6166 DP2017-383 03-Aug-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
6167 DP2017-384 04-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6168 DP2017-385 04-Aug-2017 CAS LIST OF CAS ELIGIBLE BOIDS JULY 2017
6169 DP2017-386 05-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6170 DP2017-387 07-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6171 DP2017-388 08-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6172 DP2017-389 09-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6173 DP2017-390 09-Aug-2017 DETAILS OF CORPORATE ACTION
6174 DP2017-391 09-Aug-2017 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
6175 DP2017-392 10-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6176 DP2017-393 11-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6177 DP2017-394 11-Aug-2017 MALICIOUS SOFTWARE SCRIPT ALERT
6178 DP2017-395 11-Aug-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6179 DP2017-396 12-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6180 DP2017-397 14-Aug-2017 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON AUGUST 18 21
AUGUST 23 2017
6181 DP2017-398 16-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6182 DP2017-399 16-Aug-2017 INVESTOR AWARENESS PROGRAMMES
6183 DP2017-400 16-Aug-2017 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
6184 DP2017-401 17-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6185 DP2017-402 17-Aug-2017 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM ?
DEPOSITORY OPERATIONS
6186 DP2017-403 17-Aug-2017 INVESTOR AWARENESS PROGRAMME
6187 DP2017-404 18-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 111
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6188 DP2017-405 19-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6189 DP2017-406 21-Aug-2017 REMINDER SUBMISSION OF NET WORTH CERTIFICATE AFS
6190 DP2017-407 22-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6191 DP2017-408 22-Aug-2017 INSURANCE CERTIFICATES
6192 DP2017-409 22-Aug-2017 NEW REGISTRATION PROCEDURE FOR EASIEST FACILITY FOR
INDIVIDUAL SOLE HOLDERS
6193 DP2017-410 23-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6194 DP2017-411 23-Aug-2017 DETAILS OF CORPORATE ACTIONS
6195 DP2017-412 23-Aug-2017 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
6196 DP2017-413 24-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6197 DP2017-414 26-Aug-2017 INVESTOR AWARENESS PROGRAMME
6198 DP2017-415 28-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6199 DP2017-416 28-Aug-2017 OFFER FOR SALE OF NTPC LIMITED
6200 DP2017-417 29-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6201 DP2017-418 29-Aug-2017 DETAILS OF CORPORATE ACTIONS
6202 DP2017-419 29-Aug-2017 INVESTOR AWARENESS PROGRAMME
6203 DP2017-420 31-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6204 DP2017-421 31-Aug-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6205 DP2017-422 31-Aug-2017 REMINDER INCENTIVE TO DPS FOR OPENING AND MAINTAINING
BSDA ACCOUNTS
6206 DP2017-423 01-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6207 DP2017-424 04-Sep-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6208 DP2017-425 04-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6209 DP2017-426 04-Sep-2017 INCENTIVE TO DPS FOR OPENING AND MAINTAINING BSDA
ACCOUNTS
6210 DP2017-427 04-Sep-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
6211 DP2017-428 04-Sep-2017 LIST OF CAS ELIGIBLE BOIDS AUGUST 2017
6212 DP2017-429 04-Sep-2017 CYBER SECURITY ADVISORY LOCKY RANSOMWARE FOR
DEPOSITORY PARTICIPANT
6213 DP2017-430 05-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6214 DP2017-431 06-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6215 DP2017-432 06-Sep-2017 INVESTOR AWARENESS PROGRAMME
6216 DP2017-433 07-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6217 DP2017-434 07-Sep-2017 UPDATION OF STATE (TELANGANA) IN DEMAT ACCOUNTS
6218 DP2017-435 07-Sep-2017 INVESTOR AWARENESS PROGRAMMES
6219 DP2017-436 08-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6220 DP2017-437 08-Sep-2017 INVESTOR AWARENESS PROGRAMMES
6221 DP2017-438 08-Sep-2017 AVAILABILITY OF CDSL SYSTEM
6222 DP2017-440 09-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6223 DP2017-439 11-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6224 DP2017-441 11-Sep-2017 DETAILS OF CORPORATE ACTIONS
6225 DP2017-442 11-Sep-2017 CAPTURING CONSIDERATION AMOUNT INTRODUCTION OF SWITCH
IN SWITCH OUT FACILITY
6226 DP2017-443 11-Sep-2017 DETAILS OF CORPORATE ACTION
6227 DP2017-444 12-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6228 DP2017-445 12-Sep-2017 INVESTOR AWARENESS PROGRAMME
6229 DP2017-446 13-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6230 DP2017-447 14-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6231 DP2017-448 14-Sep-2017 INVESTOR AWARENESS PROGRAMMES
6232 DP2017-449 15-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6233 DP2017-450 15-Sep-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6234 DP2017-451 16-Sep-2017 IINVESTOR AWARENESS PROGRAMMES
6235 DP2017-452 18-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6236 DP2017-453 18-Sep-2017 AMENDMENTS TO CDSLS BYE LAWS
6237 DP2017-454 19-Sep-2017 INVESTOR AWARENESS PROGRAMME
6238 DP2017-455 19-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6239 DP2017-456 20-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6240 DP2017-457 20-Sep-2017 DETAILS OF CORPORATE ACTIONS
6241 DP2017-458 20-Sep-2017 EXTENSION OF TIME FOR SUBMISSION OF NET WORTH
CERTIFICATE AND AUDITED FINANCIAL STATEMENTS
6242 DP2017-459 21-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6243 DP2017-460 21-Sep-2017 MULTIPLE MODIFICATIONS IN BO ACCOUNT
6244 DP2017-461 22-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6245 DP2017-463 22-Sep-2017 AVAILABILITY OF CDSL SYSTEM
6246 DP2017-464 22-Sep-2017 SEBI CIRCULAR INTEGRATION OF BROKING ACTIVITIES

Page 112
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6247 DP2017-465 23-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6248 DP2017-466 26-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6249 DP2017-467 26-Sep-2017 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
6250 DP2017-468 27-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6251 DP2017-469 27-Sep-2017 AVAILABILITY OF CDSL SYSTEM
6252 DP2017-470 27-Sep-2017 INVESTOR AWARENESS PROGRAMME
6253 DP2017-471 27-Sep-2017 DETAILS OF CORPORATE ACTIONS
6254 DP2017-472 27-Sep-2017 LAUNCH OF CDSL COMMODITY REPOSITORY LTD
6255 DP2017-473 28-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6256 DP2017-474 28-Sep-2017 INVESTOR AWARENESS PROGRAMMES
6257 DP2017-475 28-Sep-2017 DETAILS OF CORPORATE ACTIONS
6258 DP2017-476 28-Sep-2017 CAS LIST OF BOUNCED EMAIL BOIDS AUGUST 2017
6259 DP2017-462 29-Sep-2017 REVISED FORMAT FOR IAR AND CAR FOR HALF YEAR ENDED 30TH
SEPTEMBER 2017
6260 DP2017-477 29-Sep-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6261 DP2017-478 29-Sep-2017 FORMAT FOR CAPTURING OF BO SIGNATURE
6262 DP2017-479 03-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6263 DP2017-480 04-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6264 DP2017-481 04-Oct-2017 INVESTOR AWARENESS PROGRAMMES
6265 DP2017-482 04-Oct-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
6266 DP2017-483 04-Oct-2017 CONSOLIDATED ACCOUNT STATEMENT LIST OF CAS ELIGIBLE
BOIDS SEPTEMBER 2017
6267 DP2017-484 05-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6268 DP2017-485 05-Oct-2017 AVAILABILITY OF CDSL SYSTEM
6269 DP2017-486 05-Oct-2017 RISK ASSESSMENT TEMPLATE
6270 DP2017-487 05-Oct-2017 SEBI CIRCULAR INVESTMENTS BY FPIS IN GOVERNMENT
SECURITIES
6271 DP2017-488 05-Oct-2017 INVESTOR AWARENESS PROGRAMME
6272 DP2017-489 06-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6273 DP2017-490 06-Oct-2017 INVESTOR AWARENESS PROGRAMME
6274 DP2017-491 06-Oct-2017 INVESTOR AWARENESS PROGRAMME
6275 DP2017-492 07-Oct-2017 CHANGE IN REGISTERED OFFICE OF CDSL
6276 DP2017-493 07-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6277 DP2017-494 09-Oct-2017 DETAILS OF CORPORATE ACTION
6278 DP2017-495 10-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6279 DP2017-496 10-Oct-2017 DETAILS OF CORPORATE ACTION
6280 DP2017-497 11-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6281 DP2017-498 11-Oct-2017 INVESTOR AWARENESS PROGRAMMES
6282 DP2017-499 11-Oct-2017 TERMINATION OF DEPOSITORY PARTICIPANTS OF CDSL
6283 DP2017-500 12-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6284 DP2017-501 13-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6285 DP2017-502 13-Oct-2017 INVESTOR AWARENESS PROGRAMME
6286 DP2017-503 13-Oct-2017 CDSLS DP OPERATING INSTRUCTIONS AS OF SEPTEMBER 2017
6287 DP2017-504 13-Oct-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6288 DP2017-505 13-Oct-2017 MULTIPLE SETTLEMENTS ON ACCOUNT OF MUHURAT TRADING
6289 DP2017-506 16-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6290 DP2017-507 16-Oct-2017 DETAILS OF CORPORATE ACTION
6291 DP2017-508 17-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6292 DP2017-509 17-Oct-2017 NOTIFICATION AND CIRCULAR ISSUED BY MCA FOR TRANSFER OF
SHARES TO IEPF ACCOUNT
6293 DP2017-510 18-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6294 DP2017-511 18-Oct-2017 MOVEMENT OF PAYOUT SECURITIES
6295 DP2017-512 21-Oct-2017 DETAILS OF CORPORATE ACTIONS
6296 DP2017-513 21-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6297 DP2017-514 24-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6298 DP2017-515 24-Oct-2017 OFFER FOR SALE OF NLC INDIA LIMITED
6299 DP2017-516 25-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6300 DP2017-517 25-Oct-2017 INVESTOR AWARENESS PROGRAMME
6301 DP2017-518 26-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6302 DP2017-519 26-Oct-2017 CONTACT DETAILS OF CDSL OFFICIALS
6303 DP2017-520 26-Oct-2017 DETAILS OF CORPORATE ACTIONS
6304 DP2017-521 27-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6305 DP2017-522 27-Oct-2017 NEW ADDRESS OF CDSLS CHENNAI OFFICE
6306 DP2017-524 31-Oct-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6307 DP2017-525 01-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 113
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6308 DP2017-526 01-Nov-2017 INVESTOR AWARENESS PROGRAMME
6309 DP2017-527 02-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6310 DP2017-528 03-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6311 DP2017-529 03-Nov-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
6312 DP2017-530 03-Nov-2017 INVESTOR AWARENESS PROGRAMME
6313 DP2017-531 03-Nov-2017 RESCHEDULED INVESTOR AWARENESS PROGRAMME
6314 DP2017-532 06-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6315 DP2017-533 06-Nov-2017 CAS LIST OF CAS ELIGIBLE BOIDS OCTOBER 2017
6316 DP2017-534 07-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6317 DP2017-535 07-Nov-2017 INVESTOR AWARENESS PROGRAMME
6318 DP2017-536 08-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6319 DP2017-537 08-Nov-2017 INVESTOR AWARENESS PROGRAMMES
6320 DP2017-538 08-Nov-2017 AVAILABILITY OF CDSL SYSTEM
6321 DP2017-539 08-Nov-2017 DETAILS OF CORPORATE ACTIONS
6322 DP2017-540 09-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6323 DP2017-541 10-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6324 DP2017-542 10-Nov-2017 RECORDING OF NON DISPOSAL UNDERTAKING NDU
6325 DP2017-543 13-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6326 DP2017-544 14-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6327 DP2017-545 15-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6328 DP2017-546 15-Nov-2017 FATF PUBLIC STATEMENT DATED NOVEMBER 03 2017
6329 DP2017-547 16-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6330 DP2017-548 16-Nov-2017 INVESTOR AWARENESS PROGRAMMES
6331 DP2017-549 17-Nov-2017 NEW TYPES OF CORPORATE ACTION IN THE CDSL SYSTEM
6332 DP2017-550 17-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6333 DP2017-551 17-Nov-2017 SEBI CIRCULAR INVESTMENTS BY FPIS IN HYBRID SECURITIES
6334 DP2017-552 18-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6335 DP2017-553 20-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6336 DP2017-554 20-Nov-2017 DEBITS IN BO ACCOUNTS FROZEN UNDER FREEZE REASON CODE
6337 DP2017-555 20-Nov-2017 REVIEW OF SECURITIES LENDING AND BORROWING SLB
FRAMEWORK
6338 DP2017-556 21-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6339 DP2017-557 22-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6340 DP2017-558 23-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6341 DP2017-559 23-Nov-2017 INVESTOR AWARENESS PROGRAMME
6342 DP2017-560 24-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6343 DP2017-561 24-Nov-2017 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
SEPTEMBER 2017
6344 DP2017-562 25-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6345 DP2017-563 27-Nov-2017 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
6346 DP2017-564 28-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6347 DP2017-565 28-Nov-2017 CAS LIST OF BOUNCED EMAIL BOIDS SEPTEMBER OCTOBER 2017
6348 DP2017-566 29-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6349 DP2017-567 29-Nov-2017 INVESTOR AWARENESS PROGRAMMES
6350 DP2017-568 30-Nov-2017 DETAILS OF CORPORATE ACTION
6351 DP2017-569 30-Nov-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6352 DP2017-570 30-Nov-2017 CHANGE IN NAME OF DP
6353 DP2017-571 30-Nov-2017 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON DECEMBER 04 05 07
2017
6354 DP2017-572 01-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6355 DP2017-573 01-Dec-2017 INVESTOR AWARENESS PROGRAMME
6356 DP2017-574 02-Dec-2017 TRAINING PROGRAMME FOR COMPLIANCE/ PRINCIPAL OFFICERS /
DP OFFICIALS AND
INTERNAL / CONCURRENT AUDITORS
6357 DP2017-575 04-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL ON DECEMBER
6358 DP2017-576 04-Dec-2017 DETAILS OF CORPORATE ACTIONS
6359 DP2017-577 04-Dec-2017 CAS LIST OF CAS ELIGIBLE BOIDS DECEMBER 2017
6360 DP2017-578 05-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6361 DP2017-579 05-Dec-2017 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
6362 DP2017-580 05-Dec-2017 INVESTOR AWARENESS PROGRAMMES
6363 DP2017-581 06-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6364 DP2017-582 06-Dec-2017 INVESTOR AWARENESS PROGRAMME
6365 DP2017-583 06-Dec-2017 CHANGE IN NAME OF DP
6366 DP2017-584 06-Dec-2017 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
6367 DP2017-585 07-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 114
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6368 DP2017-586 07-Dec-2017 INVESTOR AWARENESS PROGRAMMES
6369 DP2017-587 08-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6370 DP2017-588 08-Dec-2017 INVESTOR AWARENESS PROGRAMMES
6371 DP2017-589 08-Dec-2017 AVAILABILITY OF CDSL SYSTEM
6372 DP2017-590 09-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6373 DP2017-591 12-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6374 DP2017-592 12-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6375 DP2017-593 13-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6376 DP2017-594 13-Dec-2017 INVESTOR AWARENESS PROGRAMMES
6377 DP2017-595 14-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6378 DP2017-596 14-Dec-2017 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION
6379 DP2017-597 14-Dec-2017 DETAILS OF CORPORATE ACTION
6380 DP2017-598 15-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6381 DP2017-599 15-Dec-2017 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION
6382 DP2017-600 16-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6383 DP2017-601 16-Dec-2017 NEW FILE FORMAT FOR UPDATE OF AADHAAR NUMBER UID AND
INTRODUCTION OF NEW FIELD UID VERIFICATION FLAG
6384 DP2017-602 18-Dec-2017 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
6385 DP2017-603 18-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6386 DP2017-604 19-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6387 DP2017-605 19-Dec-2017 INVESTOR AWARENESS PROGRAMMES
6388 DP2017-606 19-Dec-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6389 DP2017-607 20-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6390 DP2017-608 21-Dec-2017 SEBI CIRCULAR INVESTMENTS BY FPIS IN GOVERNMENT
SECURITIES
6391 DP2017-609 21-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6392 DP2017-610 21-Dec-2017 INTER DEPOSITORY TRANSFERS ON TRADING HOLIDAYS
6393 DP2017-611 22-Dec-2017 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6394 DP2017-612 22-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6395 DP2017-613 22-Dec-2017 INVESTOR AWARENESS PROGRAMME
6396 DP2017-614 23-Dec-2017 DETAILS OF CORPORATE ACTIONS
6397 DP2017-615 26-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6398 DP2017-616 26-Dec-2017 INVESTOR AWARENESS PROGRAMMES
6399 DP2017-617 27-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6400 DP2017-618 28-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6401 DP2017-619 28-Dec-2017 INVESTOR AWARENESS PROGRAMME
6402 DP2017-620 29-Dec-2017 DETAILS OF SECURITIES ADMITTED WITH CDSL
6403 DP2017-621 29-Dec-2017 UPDATION OF SBI IFSCS AGAINST IFSCS OF 5 MERGED ASSOCIATE
BANKS OF SBI
6404 DP2017-622 29-Dec-2017 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
6405 DP2017-623 29-Dec-2017 INVESTOR AWARENESS PROGRAMME
6406 DP2018-1 01-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6407 DP2018-2 02-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6408 DP2018-3 03-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6409 DP2018-4 03-Jan-2018 INVESTOR AWARENESS PROGRAMME
6410 DP2018-5 03-Jan-2018 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
6411 DP2018-6 04-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6412 DP2018-7 04-Jan-2018 DETAILS OF CORPORATE ACTION
6413 DP2018-8 04-Jan-2018 CAS LIST OF CAS ELIGIBLE BOIDS DECEMBER 2017
6414 DP2018-10 05-Jan-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6415 DP2018-9 05-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6416 DP2018-11 08-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6417 DP2018-12 08-Jan-2018 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
6418 DP2018-13 08-Jan-2018 CDSLS DP TRAINING PROGRAMME FROM JANUARY 22 TO 25 2018
AT MUMBAI
6419 DP2018-14 08-Jan-2018 OFFER FOR SALE OF NMDC LIMITED
6420 DP2018-15 09-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6421 DP2018-16 10-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6422 DP2018-17 11-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6423 DP2018-18 11-Jan-2018 INVESTOR AWARENESS PROGRAMMES
6424 DP2018-19 11-Jan-2018 AVAILABILITY OF CDSL SYSTEM
6425 DP2018-20 12-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6426 DP2018-21 12-Jan-2018 AVAILABILITY OF CDSL SYSTEM

Page 115
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6427 DP2018-22 12-Jan-2018 REVISED DPB9 REPORT PURSUANT TO UPDATION OF NEW IFSCS
OF SBI
6428 DP2018-23 15-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6429 DP2018-24 15-Jan-2018 INSURANCE POLICY FOR WAREHOUSE RECEIPTS HELD IN
DEMATERIALISED FORM
6430 DP2018-25 16-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6431 DP2018-26 17-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6432 DP2018-27 17-Jan-2018 INVESTOR AWARENESS PROGRAMMES
6433 DP2018-28 17-Jan-2018 CDSLS DP OPERATING INSTRUCTIONS AS OF DECEMBER 2017
6434 DP2018-29 17-Jan-2018 DETAILS OF CORPORATE ACTION
6435 DP2018-30 18-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6436 DP2018-31 18-Jan-2018 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM
DEPOSITORY OPERATIONS
6437 DP2018-32 18-Jan-2018 INVESTOR AWARENESS PROGRAMMES
6438 DP2018-33 19-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6439 DP2018-34 20-Jan-2018 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM
6440 DP2018-35 20-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6441 DP2018-36 23-Jan-2018 INVESTOR AWARENESS PROGRAMME
6442 DP2018-37 23-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6443 DP2018-38 23-Jan-2018 DOWNLOADING OF RATE FILES FOR VARIOUS SECURITIES
6444 DP2018-39 23-Jan-2018 TRAINING PROGRAMME FOR COMPLIANCE PRINCIPAL OFFICERS DP
OFFICIALS AND INTERNAL CONCURRENT AUDITORS
6445 DP2018-40 24-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6446 DP2018-41 24-Jan-2018 INVESTOR AWARENESS PROGRAMMES
6447 DP2018-42 24-Jan-2018 AVAILABILITY OF CDSL SYSTEM
6448 DP2018-43 25-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6449 DP2018-44 27-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6450 DP2018-45 29-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6451 DP2018-46 30-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6452 DP2018-47 30-Jan-2018 NEW DEMAT REJECTION CODE
6453 DP2018-48 30-Jan-2018 INVESTOR AWARENESS PROGRAMMES
6454 DP2018-49 31-Jan-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6455 DP2018-50 31-Jan-2018 INVESTOR AWARENESS PROGRAMME
6456 DP2018-51 31-Jan-2018 CAS LIST OF BOUNCED EMAIL BOIDS NOVEMBER DECEMBER 2017
6457 DP2018-52 01-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6458 DP2018-53 01-Feb-2018 INVESTOR AWARENESS PROGRAMMES
6459 DP2018-54 02-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6460 DP2018-55 03-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6461 DP2018-56 03-Feb-2018 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
6462 DP2018-57 05-Feb-2018 CAS LIST OF CAS ELIGIBLE BOIDS JANUARY 2018
6463 DP2018-58 06-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6464 DP2018-59 06-Feb-2018 INVESTOR AWARENESS PROGRAMMES
6465 DP2018-60 07-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6466 DP2018-61 07-Feb-2018 INVESTOR AWARENESS PROGRAMME
6467 DP2018-62 08-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6468 DP2018-63 08-Feb-2018 INVESTOR AWARENESS PROGRAMME
6469 DP2018-64 08-Feb-2018 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
6470 DP2018-65 09-Feb-2018 DETAILS OF CORPORATE ACTION
6471 DP2018-66 09-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6472 DP2018-67 09-Feb-2018 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM
DEPOSITORY OPERATIONS
6473 DP2018-68 10-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6474 DP2018-69 10-Feb-2018 CHANGE IN NAME OF DP
6475 DP2018-70 12-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6476 DP2018-71 14-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6477 DP2018-72 14-Feb-2018 INVESTOR AWARENESS PROGRAMMES
6478 DP2018-73 14-Feb-2018 AVAILABILITY OF CDSL SYSTEM FEBRUARY 18 2018
6479 DP2018-74 15-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6480 DP2018-75 15-Feb-2018 INVESTOR AWARENESS PROGRAMME
6481 DP2018-76 15-Feb-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6482 DP2018-77 15-Feb-2018 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON FEBRUARY 20 21 23
2018
6483 DP2018-78 16-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6484 DP2018-79 16-Feb-2018 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
DECEMBER 2017

Page 116
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6485 DP2018-80 17-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6486 DP2018-81 17-Feb-2018 SEBI CIRCULAR EASING OF ACCESS NORMS FOR INVESTMENT BY
FPIS
6487 DP2018-82 17-Feb-2018 INVESTOR AWARENESS PROGRAMME
6488 DP2018-83 19-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6489 DP2018-84 19-Feb-2018 INVESTOR AWARENESS PROGRAMMES
6490 DP2018-85 20-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6491 DP2018-86 21-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6492 DP2018-87 22-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6493 DP2018-88 22-Feb-2018 CHANGE IN NAME OF DP
6494 DP2018-89 22-Feb-2018 INVESTOR AWARENESS PROGRAMMES
6495 DP2018-90 23-Feb-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6496 DP2018-91 23-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6497 DP2018-92 23-Feb-2018 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
6498 DP2018-93 23-Feb-2018 DETAILS OF CORPORATE ACTION
6499 DP2018-94 23-Feb-2018 DUE DILIGENCE IN DEPOSITORY OPERATIONS
6500 DP2018-95 24-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6501 DP2018-96 26-Feb-2018 DETAILS OF CORPORATE ACTION
6502 DP2018-97 26-Feb-2018 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
6503 DP2018-98 26-Feb-2018 CAS LIST OF BOUNCED EMAIL BOIDS ? JANUARY 2018
6504 DP2018-99 27-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6505 DP2018-100 28-Feb-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6506 DP2018-101 01-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6507 DP2018-102 01-Mar-2018 INTIMATION FOR CHANGE IN CDSL BANK DETAILS FOR MAKING
PAYMENTS
6508 DP2018-103 05-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6509 DP2018-104 05-Mar-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6510 DP2018-105 05-Mar-2018 CAS LIST OF CAS ELIGIBLE BOIDS FEBRUARY 2018
6511 DP2018-106 05-Mar-2018 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
6512 DP2018-107 06-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6513 DP2018-108 06-Mar-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6514 DP2018-109 07-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6515 DP2018-110 07-Mar-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6516 DP2018-111 07-Mar-2018 INVESTOR AWARENESS PROGRAMME
6517 DP2018-112 08-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6518 DP2018-113 08-Mar-2018 INVESTOR AWARENESS PROGRAMMES
6519 DP2018-114 09-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6520 DP2018-115 09-Mar-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6521 DP2018-116 09-Mar-2018 AVAILABILITY OF CDSL SYSTEM
6522 DP2018-117 09-Mar-2018 INVESTOR AWARENESS PROGRAMME
6523 DP2018-118 09-Mar-2018 FATF PUBLIC STATEMENT DATED FEBRUARY 23 2018
6524 DP2018-119 10-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6525 DP2018-120 10-Mar-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6526 DP2018-121 12-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6527 DP2018-122 12-Mar-2018 SEBI CIRCULAR SEPARATE LIMIT OF INTEREST RATE FUTURES IRFS
FOR FPIS
6528 DP2018-123 13-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6529 DP2018-124 14-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6530 DP2018-125 14-Mar-2018 CLARIFICATIONS IN RESPECT OF INVESTMENT BY CERTAIN
CATEGORY II FPIS
6531 DP2018-126 14-Mar-2018 CHANGE OF NAME EFFECTED BY RTA
6532 DP2018-127 14-Mar-2018 INVESTOR AWARENESS PROGRAMMES
6533 DP2018-128 15-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6534 DP2018-129 15-Mar-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6535 DP2018-130 15-Mar-2018 INVESTOR AWARENESS PROGRAMMES
6536 DP2018-131 16-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6537 DP2018-132 16-Mar-2018 SEBI LETTER FLASHING A LINK TO SCORES ON THE DASHBOARD
OF DEMAT ACCOUNT
6538 DP2018-133 17-Mar-2018 SEBI CIRCULAR-REVISION OF LIMITS RELATING TO REQUIREMENT
OF UNDERLYING EXPOSURE
6539 DP2018 135 19-Mar-2018 INVESTOR AWARENESS PROGRAMMES
6540 DP2018-134 19-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6541 DP2018-136 19-Mar-2018 CHANGE OF NAME EFFECTED BY DP
6542 DP2018-137 20-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6543 DP2018-138 21-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 117
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6544 DP2018-139 21-Mar-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6545 DP2018-140 21-Mar-2018 DETAILS OF COPORATE ACTION
6546 DP2018-141 22-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6547 DP2018-142 22-Mar-2018 WITHDRAWAL OF REGISTRAR & TRANSFER AGENT OF CDSL
6548 DP2018-143 22-Mar-2018 INVESTOR AWARENESS PROGRAMME
6549 DP2018-145 22-Mar-2018 RISK ASSESSMENT TEMPLATE
6550 DP2018-144 23-Mar-2018 SWITCH IN AND SWITCH OUT
6551 DP2018-146 23-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6552 DP2018-147 23-Mar-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6553 DP2018-148 23-Mar-2018 CHANGE IN NAME OF DP
6554 DP2018-149 23-Mar-2018 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
6555 DP2018-150 23-Mar-2018 CDSLS DP TRAINING PROGRAMME FROM APRIL 16 2018 TO APRIL 19
2018 AT MUMBAI
6556 DP2018-151 24-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6557 DP2018-152 24-Mar-2018 CLARIFICATIONS ON QUERIES RAISED BY DPS FOR CHANGE IN
BANK DETAILS
6558 DP2018-153 26-Mar-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6559 DP2018-154 26-Mar-2018 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
6560 DP2018-155 26-Mar-2018 REMINDER DISPATCH OF PHYSICAL STATEMENTS TO BOS HAVING
ZERO BALANCE AND NIL TRANSACTION
6561 DP2018-156 27-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6562 DP2018-157 27-Mar-2018 AVAILABILITY OF CDSL SYSTEM APRIL 01 2018
6563 DP2018-158 27-Mar-2018 SUBMISSION OF INFORMATION AS REQUIRED BY SEBI
6564 DP2018-159 28-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6565 DP2018-160 28-Mar-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6566 DP2018-161 28-Mar-2018 REVISED FORMAT OF IAR AND CAR FOR HALF YEAR ENDED 31
MARCH 2018
6567 DP2018-162 28-Mar-2018 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON APRIL 03 04 06 2018
6568 DP2018-163 28-Mar-2018 AVAILABILITY OF CDSL SYSTEM APRIL 01 2018
6569 DP2018-164 31-Mar-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6570 DP2018-165 31-Mar-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6571 DP2018-166 02-Apr-2018 SUBMISSION DISSEMINATION OF DP TARIFF CHARGE STRUCTURE
TO CDSL EVERY YEAR
6572 DP2018-167 02-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6573 DP2018-168 02-Apr-2018 SEBI CIRCULAR INVESTOR GRIEVANCE REDRESS MECHANISM NEW
POLICY MEASURES
6574 DP2018-169 02-Apr-2018 DUE DILIGENCE AND REPORTING UNDER FATCA AND COMMON
REPORTING STANDARDS
6575 DP2018-170 03-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6576 DP2018-171 03-Apr-2018 WITHDRAWAL TERMINATION OF DEPOSITORY PARTICIPANTS OF
CDSL
6577 DP2018-172 03-Apr-2018 INVESTOR AWARENESS PROGRAMMES
6578 DP2018-173 03-Apr-2018 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
6579 DP2018-174 04-Apr-2018 LIST OF CAS ELIGIBLE BOIDS MARCH 2018
6580 DP2018-175 04-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6581 DP2018-176 04-Apr-2018 INVESTOR AWARENESS PROGRAMME
6582 DP2018-177 04-Apr-2018 DETAILS OF CORPORATE ACTION
6583 DP2018-178 05-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6584 DP2018-179 05-Apr-2018 AVAILABILITY OF CDSL SYSTEM
6585 DP2018-180 05-Apr-2018 SUBMISSION OF NET WORTH CERTIFICATE & AUDITED FINANCIAL
STATEMENTS
6586 DP2018-181 06-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6587 DP2018-182 06-Apr-2018 CHANGE OF RTA EFFECTED BY ISSUER
6588 DP2018-183 06-Apr-2018 NEW CORPORATE ACTION TYPES IN THE CDSL SYSTEM
6589 DP2018-184 07-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6590 DP2018-185 09-Apr-2018 REVISED SETTLEMENT SCHEDULE FOR DEBT MARKET SEGMENT
OF MSEIL
6591 DP2018-186 10-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6592 DP2018-188 10-Apr-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6593 DP2018-189 10-Apr-2018 INVESTOR AWARENESS PROGRAMME
6594 DP2018-190 11-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6595 DP2018-191 11-Apr-2018 INVESTOR AWARENESS PROGRAMMES
6596 DP2018-192 11-Apr-2018 SEBI CIRCULAR - CLARIFICATION ON CLUBBING OF INVESTMENT
LIMITS OF FOREIGN GOVERNMENT
6597 DP2018-193 11-Apr-2018 SEBI CIRCULAR - KNOW YOUR CLIENT REQUIREMENTS FOR
FOREIGN PORTFOLIO INVESTORS

Page 118
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6598 DP2018-187 12-Apr-2018 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM
CMPOOL ACCOUNT TO BO ACCOUNT
6599 DP2018-194 12-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6600 DP2018-195 12-Apr-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6601 DP2018-196 12-Apr-2018 DETAILS OF CORPORATE ACTIONS
6602 DP2018-197 12-Apr-2018 INSURANCE POLICY FOR SECURITIES
6603 DP2018-198 13-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6604 DP2018-199 13-Apr-2018 DP OPERATING INSTRUCTIONS AS OF MARCH 2018
6605 DP2018-200 13-Apr-2018 UPDATION OF SBI MICR- IFSC OF 5 MERGED ASSOCIATE BANKS OF
SBI
6606 DP2018-201 16-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6607 DP2018-202 16-Apr-2018 INVESTMENTS BY FPIS IN GOVERNMENT AND CORPORATE DEBT
SECURITIES
6608 DP2018-203 16-Apr-2018 DETAILS OF CORPORATE ACTIONS
6609 DP2018-204 17-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6610 DP2018-206 18-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6611 DP2018-207 18-Apr-2018 INVESTOR AWARENESS PROGRAMMES
6612 DP2018-208 18-Apr-2018 TERMINATION OF AGREEMENT BETWEEN CDSL AND WEALTH
MANTRA LIMITED
6613 DP2018-209 19-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6614 DP2018-205 20-Apr-2018 CONCURRENT AUDIT OF RISK PRONE AREAS BY AUDITORS OF THE
DPS
6615 DP2018-210 20-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6616 DP2018-211 20-Apr-2018 DETAILS OF CORPORATE ACTION
6617 DP2018-212 20-Apr-2018 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
6618 DP2018-213 23-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6619 DP2018-214 23-Apr-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6620 DP2018-215 23-Apr-2018 ADDITIONAL FACILITY FOR CHANGE OF CONTACT DETAILS
ADDITIONAL FACILITY FOR CHANGE OF CONTACT DETAILS IN CDSL
DEMAT ACCOUNT BY EASI/EASIEST USERS
6621 DP2018-216 24-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6622 DP2018-217 24-Apr-2018 DETAILS OF CORPORATE ACTION
6623 DP2018-218 25-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6624 DP2018-219 25-Apr-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6625 DP2018-220 25-Apr-2018 INVESTOR AWARENESS PROGRAMMES
6626 DP2018-221 25-Apr-2018 CHANGE IN NAME OF DP
6627 DP2018-222 26-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6628 DP2018-223 26-Apr-2018 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM
CM POOL ACCOUNT TO BO ACCOUNT
6629 DP2018-224 26-Apr-2018 AVAILABILITY OF CDSL SYSTEM
6630 DP2018-225 26-Apr-2018 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON MAY 02 MAY 03 MAY
07 2018
6631 DP2018-226 27-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6632 DP2018-227 27-Apr-2018 DETAILS OF CORPORATE ACTION
6633 DP2018-228 30-Apr-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6634 DP2018-229 30-Apr-2018 LIST OF STATUS AND SUB STATUS FOR DEMAT ACCOUNTS
6635 DP2018-230 02-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6636 DP2018-231 02-May-2018 INVESTOR AWARENESS PROGRAMMES
6637 DP2018-232 03-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6638 DP2018-233 03-May-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6639 DP2018-234 03-May-2018 INVESTOR AWARENESS PROGRAMMES
6640 DP2018-235 04-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6641 DP2018-236 04-May-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6642 DP2018-237 04-May-2018 CAS LIST OF CAS ELIGIBLE BOIDS APRIL 2018
6643 DP2018-238 04-May-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6644 DP2018-239 04-May-2018 ANNUAL BILL
6645 DP2018-240 04-May-2018 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT BSDA
6646 DP2018-241 07-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6647 DP2018-242 08-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6648 DP2018-243 09-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6649 DP2018-244 09-May-2018 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
6650 DP2018-245 09-May-2018 AVAILABILITY OF CDSL SYSTEM MAY 13 2018
6651 DP2018-246 10-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6652 DP2018-247 10-May-2018 AUDITORS DP OFFICIALS TRAINING PROGRAMME
6653 DP2018-248 10-May-2018 DETAILS OF CORPORATE ACTION
6654 DP2018-249 11-May-2018 INVESTOR AWARENESS PROGRAMMES
6655 DP2018-250 11-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
Page 119
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6656 DP2018-251 14-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6657 DP2018-252 14-May-2018 INVESTOR AWARENESS PROGRAMMES
6658 DP2018-253 15-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6659 DP2018-254 16-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6660 DP2018-255 16-May-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6661 DP2018-256 17-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6662 DP2018-257 17-May-2018 INVESTOR AWARENESS PROGRAMMES
6663 DP2018-258 18-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6664 DP2018-259 18-May-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6665 DP2018-260 19-May-2018 INVESTOR AWARENESS PROGRAMME
6666 DP2018-262 22-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6667 DP2018-263 22-May-2018 PLEDGE IN FAVOR OF NSCCL AS COLLATERAL MARGIN FROM
DESIGNATED COLLATERAL ACCOUNT OF NSE CMS MAINTAINED
WITH ANY DP OF CDSL
6668 DP2018-264 23-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6669 DP2018-265 23-May-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6670 DP2018-266 24-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6671 DP2018-267 24-May-2018 INVESTOR AWARENESS PROGRAMMES
6672 DP2018-268 24-May-2018 TRAINING PROGRAMME FOR COMPLIANCE OFFICERS DP OFFICIALS
AND INTERNAL CONCURRENT AUDITORS
6673 DP2018-269 25-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6674 DP2018-270 25-May-2018 DETAIILS OF CHANGE OF RTA EFFECTED BY ISSUER
6675 DP2018-271 25-May-2018 CDSLS DP TRAINING PROGRAMME FROM JUNE 25 2018 TO JUNE 28
2018 AT MUMBAI
6676 DP2018-272 26-May-2018 CREATION OF NEW MARKET TYPE AND THE DEADLINE TIME FOR
BSE
6677 DP2018-273 28-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6678 DP2018-274 28-May-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS

6679 DP2018-275 28-May-2018 UPDATED LIST OF REASON CODES FOR OFF MARKET
TRANSACTIONS IEPF REFUND
6680 DP2018-276 29-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6681 DP2018-277 29-May-2018 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS MARCH
2018
6682 DP2018-278 29-May-2018 CHANGE IN NAME OF DP
6683 DP2018-279 30-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6684 DP2018-280 30-May-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6685 DP2018-281 30-May-2018 DETAILS OF CORPORATE ACTION
6686 DP2018-282 31-May-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6687 DP2018-283 01-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6688 DP2018-284 01-Jun-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6689 DP2018-285 01-Jun-2018 INVESTOR AWARENESS PROGRAMME
6690 DP2018-286 04-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6691 DP2018-287 04-Jun-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6692 DP2018-288 04-Jun-2018 CAS LIST OF CAS ELIGIBLE BOIDS MAY 2018
6693 DP2018-289 05-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6694 DP2018-290 05-Jun-2018 FACILITY FOR BSDA
6695 DP2018-291 06-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6696 DP2018-292 06-Jun-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6697 DP2018-293 07-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6698 DP2018-294 07-Jun-2018 AMENDMENTS TO PREVENTION OF MONEY LAUNDERING RULES
2005
6699 DP2018-295 07-Jun-2018 DETAILS OF CORPORATE ACTION
6700 DP2018-296 07-Jun-2018 AVAILABILITY OF CDSL SYSTEM
6701 DP2018-297 08-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6702 DP2018-298 08-Jun-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6703 DP2018-299 11-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6704 DP2018-300 12-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6705 DP2018-301 12-Jun-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6706 DP2018-302 12-Jun-2018 CONSOLIDATED ACCOUNT STATEMENT CAS
LIST OF BOUNCED EMAIL BOIDS FEBRUARY 2018
6707 DP2018-303 13-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6708 DP2018-304 13-Jun-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6709 DP2018-305 13-Jun-2018 AMENDMENTS TO CDSLS BYE LAWS
6710 DP2018-306 14-Jun-2018 CONSOLIDATED ACCOUNT STATEMENT CAS LIST OF BOUNCED
EMAIL BOIDS MARCH AND APRIL 2018
6711 DP2018-307 14-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 120
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6712 DP2018-308 14-Jun-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6713 DP2018-309 14-Jun-2018 DETAILS OF CORPORATE ACTIONS
6714 DP2018-310 15-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6715 DP2018-311 15-Jun-2018 PENALTY FOR NON MOVEMENT OF PAYOUT SECURITIES FROM
CM POOL ACCOUNT TO BO ACCOUNT
6716 DP2018-312 18-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6717 DP2018-313 18-Jun-2018 INVESTOR AWARENESS PROGRAMMES
6718 DP2018-314 18-Jun-2018 SEBI CIRCULAR REVIEW OF INVESTMENT BY FOREIGN PORTFOLIO
INVESTORS FPI IN DEBT
6719 DP2018-315 19-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6720 DP2018-316 20-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6721 DP2018-317 20-Jun-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6722 DP2018-318 20-Jun-2018 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
6723 DP2018-319 21-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6724 DP2018-320 21-Jun-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6725 DP2018-321 22-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6726 DP2018-322 22-Jun-2018 INVESTOR AWARENESS PROGRAMMES
6727 DP2018-323 22-Jun-2018 DETAILS OF CORPORATE ACTIONS
6728 DP2018-324 25-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6729 DP2018-325 26-Jun-2018 INVESTOR AWARENESS PROGRAMME
6730 DP2018-326 26-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6731 DP2018-327 26-Jun-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6732 DP2018-328 26-Jun-2018 DETAILS OF CORPORATE ACTIONS
6733 DP2018-329 27-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6734 DP2018-330 27-Jun-2018 INVESTOR AWARENESS PROGRAMME
6735 DP2018-331 28-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6736 DP2018-332 28-Jun-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6737 DP2018-333 28-Jun-2018 INVESTOR AWARENESS PROGRAMMES
6738 DP2018-334 28-Jun-2018 CONSOLIDATED ACCOUNT STATEMENT CAS LIST OF BOUNCED
EMAIL BOIDS MAY 2018
6739 DP2018-335 29-Jun-2018 DISCONTINUATION OF ONLINE SETUP FACILITY THROUGH DPS
EASIEST LOGIN
6740 DP2018-336 29-Jun-2018 ADDITIONAL FACILITY FOR EASIEST INDIVIDUAL SOLE HOLDERS
6741 DP2018-337 29-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6742 DP2018-338 30-Jun-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6743 DP2018-339 30-Jun-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6744 DP2018-340 02-Jul-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6745 DP2018-341 02-Jul-2018 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
6746 DP2018-342 03-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6747 DP2018-343 03-Jul-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6748 DP2018-344 04-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6749 DP2018-345 04-Jul-2018 CAS LIST OF CAS ELIGIBLE BOIDS JUNE 2018
6750 DP2018-346 05-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6751 DP2018-347 05-Jul-2018 FACILITY FOR BASIC SERVICE DEMAT ACCOUNT
6752 DP2018-348 06-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6753 DP2018-349 06-Jul-2018 AVAILABILITY OF CDSL SYSTEM
6754 DP2018-350 06-Jul-2018 INVESTOR AWARENESS PROGRAMME
6755 DP2018-351 06-Jul-2018 SEBI NOTIFICATION MANDATORY DEMATERIALIZATION FOR
TRANSFER OF SECURITIES
6756 DP2018-352 07-Jul-2018 SEBI CIRCULAR GUIDELINES ON AML STANDARDS AND COMBATING
THE FINANCING OF TERRORISM (CFT
6757 DP2018-353 07-Jul-2018 CAPTURING CONSIDERATION AMOUNT PAYMENT DETAILS IN CDSL
SYSTEM
6758 DP2018-354 07-Jul-2018 RELEASE OF SWITCH IN SWITCH OUT FACILITY
6759 DP2018-355 09-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6760 DP2018-356 09-Jul-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6761 DP2018-357 09-Jul-2018 RELEASE OF NEW FUNCTIONALITY IN DPC9 REPORT
6762 DP2018-358 09-Jul-2018 DETAILS OF CORPORATE ACTIONS
6763 DP2018-359 10-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6764 DP2018-360 10-Jul-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6765 DP2018-361 11-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6766 DP2018-362 12-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6767 DP2018-363 12-Jul-2018 WITHDRAWAL OF REGISTRAR & TRANSFER AGENT OF CDSL
6768 DP2018-364 12-Jul-2018 INVESTOR AWARENESS PROGRAMME
6769 DP2018-365 13-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6770 DP2018-366 13-Jul-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER

Page 121
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6771 DP2018-367 13-Jul-2018 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
6772 DP2018-368 13-Jul-2018 SEBI CIRCULAR INVESTMENT BY FPI THROUGH PRIMARY MARKET
ISSUANCES
6773 DP2018-369 14-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6774 DP2018-370 16-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6775 DP2018-371 16-Jul-2018 INVESTOR AWARENESS PROGRAMMES
6776 DP2018-372 17-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6777 DP2018-373 17-Jul-2018 INVESTOR AWARENESS PROGRAMMES
6778 DP2018-374 17-Jul-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6779 DP2018-375 17-Jul-2018 CDSLS DP OPERATING INSTRUCTIONS AS OF JUNE 2018
6780 DP2018-376 17-Jul-2018 LIST OF STATUS AND SUB STATUS FOR DEMAT ACCOUNTS
6781 DP2018-377 18-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6782 DP2018-378 19-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6783 DP2018-379 20-Jul-2018 DETAILS OF DETAILS OF SECURITIES ADMITTED WITH CDSL
6784 DP2018-380 20-Jul-2018 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
6785 DP2018-381 20-Jul-2018 INVESTOR AWARENESS PROGRAMME
6786 DP2018-382 20-Jul-2018 FINANCIAL ACTION TASK FORCE PUBLIC STATEMENT DATED JUNE
29 2018
6787 DP2018-383 20-Jul-2018 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
6788 DP2018-384 21-Jul-2018 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
6789 DP2018-385 23-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6790 DP2018-386 23-Jul-2018 INVESTOR AWARENESS PROGRAMMES
6791 DP2018-387 23-Jul-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6792 DP2018-388 24-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6793 DP2018-389 24-Jul-2018 INVESTOR AWARENESS PROGRAMMES
6794 DP2018-401 24-Jul-2018 CONSOLIDATED ACCOUNT STATEMENT LIST OF BOUNCED EMAIL
BOIDS JUNE 2018
6795 DP2018-390 25-Jul-2018 CREATION OF NEW MARKET TYPE AND THE DEADLINE TIME FOR
SUBMISSION OF PAY IN INSTRUCTIONS
6796 DP2018-391 25-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6797 DP2018-392 25-Jul-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6798 DP2018-393 25-Jul-2018 INVESTOR AWARENESS PROGRAMME
6799 DP2018-394 26-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6800 DP2018-395 26-Jul-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6801 DP2018-396 26-Jul-2018 INVESTOR AWARENESS PROGRAMME
6802 DP2018-397 27-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6803 DP2018-398 27-Jul-2018 CHANGE OF NAME EFFECTED BY DP
6804 DP2018-399 30-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6805 DP2018-400 31-Jul-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6806 DP2018-402 01-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6807 DP2018-403 02-Aug-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
6808 DP2018-404 02-Aug-2018 INVESTOR AWARENESS PROGRAMMES
6809 DP2018-405 02-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6810 DP2018-406 03-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6811 DP2018-407 03-Aug-2018 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
6812 DP2018-408 03-Aug-2018 CHANGES IN BO ACCOUNT INFORMATION
6813 DP2018-409 04-Aug-2018 CAS LIST OF CAS ELIGIBLE BOIDS JULY 2018
6814 DP2018-410 06-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6815 DP2018-411 06-Aug-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6816 DP2018-412 07-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6817 DP2018-413 07-Aug-2018 DETAILS OF CORPORATE ACTIONS
6818 DP2018-414 08-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6819 DP2018-415 08-Aug-2018 INVESTOR AWARENESS PROGRAMMES
6820 DP2018-416 09-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6821 DP2018-417 09-Aug-2018 AVAILABILITY OF CDSL SYSTEM
6822 DP2018-418 10-Aug-2018 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
6823 DP2018-419 10-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6824 DP2018-420 10-Aug-2018 UPDATION OF NIL BANK ACCOUNT DETAILS IN DEMAT ACCOUNT
6825 DP2018-421 11-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6826 DP2018-422 13-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6827 DP2018-423 13-Aug-2018 CDSLS DP TRAINING PROGRAMME FROM SEPTEMBER 03 2018 TO
SEPTEMBER 06 2018 AT MUMBAI
6828 DP2018-424 13-Aug-2018 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
6829 DP2018-425 13-Aug-2018 REMATERIALISATION OF SECURITIES

Page 122
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6830 DP2018-426 13-Aug-2018 DETAILS OF CORPORATE ACTIONS
6831 DP2018-427 14-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6832 DP2018-428 14-Aug-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6833 DP2018-429 14-Aug-2018 INVESTOR AWARENESS PROGRAMME
6834 DP2018-430 14-Aug-2018 INVESTOR AWARENESS PROGRAMMES
6835 DP2018-431 16-Aug-2018 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON AUGUST 20 AUGUST
21 AND AUGUST 24 2018
6836 DP2018-432 16-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6837 DP2018-433 16-Aug-2018 INVESTOR AWARENESS PROGRAMMES
6838 DP2018-434 16-Aug-2018 UPGRADATION REL-ID CLIENT SOFTWARE AT USER END
6839 DP2018-435 17-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6840 DP2018-436 17-Aug-2018 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
6841 DP2018-437 17-Aug-2018 SEBI CIRCULAR STREAMLINING THE PROCESS OF PUBLIC ISSUE
6842 DP2018-438 17-Aug-2018 INTRODUCTION OF ONLINE PAYMENT FACILITY
6843 DP2018-439 20-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6844 DP2018-440 20-Aug-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6845 DP2018-441 20-Aug-2018 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
6846 DP2018-442 21-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6847 DP2018-443 23-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6848 DP2018-444 23-Aug-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6849 DP2018-445 23-Aug-2018 INVESTOR AWARENESS PROGRAMMES
6850 DP2018-446 24-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6851 DP2018-447 24-Aug-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6852 DP2018-448 24-Aug-2018 SEBI CIRCULAR AMENDMENT TO KNOW YOUR CLIENT
REQUIREMENTS FOR FPIS
6853 DP2018-449 27-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6854 DP2018-450 28-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6855 DP2018-451 28-Aug-2018 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS JUNE 2018
6856 DP2018-452 29-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6857 DP2018-453 29-Aug-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6858 DP2018-454 29-Aug-2018 CHANGE IN NAME OF DP
6859 DP2018-455 30-Aug-2018 AVAILABILITY OF CDSL SYSTEM
6860 DP2018-456 30-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6861 DP2018-457 30-Aug-2018 INVESTOR AWARENESS PROGRAMMES
6862 DP2018-458 30-Aug-2018 INVESTOR AWARENESS PROGRAMME RESCHEDULED
6863 DP2018-459 31-Aug-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6864 DP2018-460 31-Aug-2018 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
6865 DP2018-461 31-Aug-2018 SUBMISSION OF NET WORTH CERTIFICATE AUDITED FINANCIAL
STATEMENTS
6866 DP2018-462 01-Sep-2018 CAS LIST OF BOUNCED EMAIL BOIDS JULY 2018
6867 DP2018-463 03-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6868 DP2018-464 04-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6869 DP2018-465 04-Sep-2018 CAPTURING CONSIDERATION PAYMENT DETAILS IN CDSL SYSTEM
6870 DP2018-466 04-Sep-2018 FILES AVAILABLE IN BILLING FOLDER
6871 DP2018-467 05-Sep-2018 CAS LIST OF CAS ELIGIBLE BOIDS AUGUST 2018
6872 DP2018-468 05-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6873 DP2018-469 05-Sep-2018 INVESTOR AWARENESS PROGRAMMES
6874 DP2018-470 05-Sep-2018 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
6875 DP2018-471 06-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6876 DP2018-472 06-Sep-2018 DETAILS OF CORPORATE ACTION
6877 DP2018-473 07-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6878 DP2018-474 08-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6879 DP2018-475 08-Sep-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6880 DP2018-476 10-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6881 DP2018-477 10-Sep-2018 INVESTOR AWARENESS PROGRAMME
6882 DP2018-478 10-Sep-2018 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
6883 DP2018-479 10-Sep-2018 INTER DEPOSITORY TRANSFERS FOR GOVERNMENT SECURITIES
6884 DP2018-480 11-Sep-2018 INVESTOR AWARENESS PROGRAMMES
6885 DP2018-481 11-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6886 DP2018-482 11-Sep-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6887 DP2018-483 12-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6888 DP2018-484 14-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 123
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6889 DP2018-485 14-Sep-2018 INVESTOR AWARENESS PROGRAMME
6890 DP2018-486 14-Sep-2018 DETAILS OF CORPORATE ACTION
6891 DP2018-487 15-Sep-2018 INVESTOR AWARENESS PROGRAMME
6892 DP2018-488 17-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6893 DP2018-489 17-Sep-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6894 DP2018-490 17-Sep-2018 INVESTOR AWARENESS PROGRAMME
6895 DP2018-491 18-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6896 DP2018-492 18-Sep-2018 CHANGE IN NAME OF RTA
6897 DP2018-493 18-Sep-2018 INVESTOR AWARENESS PROGRAMME
6898 DP2018-494 18-Sep-2018 DETAILS OF CORPORATE ACTION
6899 DP2018-495 18-Sep-2018 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
6900 DP2018-496 18-Sep-2018 CHANGES IN BO ACCOUNT INFORMATION
6901 DP2018-497 19-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6902 DP2018-498 19-Sep-2018 REVISED FORMAT OF IAR AND CAR FOR HALF YEAR ENDED 30
SEPTEMBER 2018
6903 DP2018-500 21-Sep-2018 CHANGES IN BO ACCOUNT INFORMATION
6904 DP2018-501 21-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6905 DP2018-502 21-Sep-2018 SETUP/MODIFICATION FACILITY OF BANK DETAILS
FOR DPS IN CDSL SYSTEM
6906 DP2018-503 21-Sep-2018 INVESTOR AWARENESS PROGRAMME
6907 DP2018-504 22-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6908 DP2018-505 24-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6909 DP2018-506 24-Sep-2018 SEBI CIRCULAR ELIGIBILITY CONDITIONS FOR FOREIGN PORTFOLIO
INVESTORS
6910 DP2018-507 24-Sep-2018 SEBI CIRCULAR KNOW YOUR CLIENT REQUIREMENTS FOR
FOREIGN PORTFOLIO INVESTORS
6911 DP2018-508 25-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6912 DP2018-509 25-Sep-2018 DETAILS OF CORPORATE ACTION
6913 DP2018-510 26-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6914 DP2018-511 26-Sep-2018 CAS LIST OF BOUNCED EMAIL BOIDS AUGUST 2018
6915 DP2018-512 27-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6916 DP2018-513 27-Sep-2018 SUBMISSION OF NET WORTH CERTIFICATE AND AUDITED
FINANCIAL STATEMENTS
6917 DP2018-514 27-Sep-2018 INCENTIVE TO DPS FOR OPENING AND MAINTAINING BSDA
ACCOUNTS
6918 DP2018-515 28-Sep-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6919 DP2018-516 01-Oct-2018 AVAILABILITY OF CDSL SYSTEM AND PENALTY FOR NON
MOVEMENT OF PAYOUT SECURITIES
6920 DP2018-517 01-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6921 DP2018-518 01-Oct-2018 INVESTOR AWARENESS PROGRAMMES
6922 DP2018-519 01-Oct-2018 REMINDER CAPTURING CONSIDERATION PAYMENT DETAILS IN
CDSL SYSTEM
6923 DP2018-520 03-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6924 DP2018-521 03-Oct-2018 INVESTOR AWARENESS PROGRAMMES
6925 DP2018-522 04-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6926 DP2018-523 04-Oct-2018 INVESTOR AWARENESS PROGRAMMES
6927 DP2018-524 04-Oct-2018 CAS LIST OF CAS ELIGIBLE BOIDS SEPTEMBER 2018
6928 DP2018-525 04-Oct-2018 DETAILS OF CORPORATE ACTION
6929 DP2018-526 05-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6930 DP2018-527 05-Oct-2018 INVESTOR AWARENESS PROGRAMMES
6931 DP2018-528 05-Oct-2018 AVAILABILITY OF CDSL SYSTEM
6932 DP2018-529 05-Oct-2018 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
6933 DP2018-530 05-Oct-2018 RISK ASSESSMENT TEMPLATE
6934 DP2018-531 08-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6935 DP2018-532 08-Oct-2018 SETUP MODIFICATION FACILITY OF BANK DETAILS FOR DPS IN
CDSL SYSTEM
6936 DP2018-533 09-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6937 DP2018-534 10-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6938 DP2018-535 10-Oct-2018 INVESTOR AWARENESS PROGRAMME
6939 DP2018-536 11-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6940 DP2018-537 11-Oct-2018 INVESTOR AWARENESS PROGRAMME
6941 DP2018-538 11-Oct-2018 FURNISHING REVISED GROUND OF SUSPICION TO FIU IND
6942 DP2018-539 11-Oct-2018 DETAILS OF CORPORATE ACTION
6943 DP2018-540 12-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6944 DP2018-541 12-Oct-2018 INVESTOR AWARENESS PROGRAMME
6945 DP2018-542 12-Oct-2018 DETAILS OF CORPORATE ACTION

Page 124
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
6946 DP2018-543 13-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6947 DP2018-544 15-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6948 DP2018-545 15-Oct-2018 MOVEMENT OF PAYOUT SECURITIES FROM CLEARING MEMBER
POOL ACCOUNT TO BO ACCOUNT
6949 DP2018-546 16-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6950 DP2018-547 16-Oct-2018 CDSLS DP OPERATING INSTRUCTIONS AS OF SEPTEMBER 2018
6951 DP2018-548 16-Oct-2018 SEBI CIRCULAR MONTHLY REPORT OF FPI REGISTRATION ON SEBIS
WEBSITE
6952 DP2018-549 16-Oct-2018 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
6953 DP2018-550 17-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6954 DP2018-551 19-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6955 DP2018-552 19-Oct-2018 DETAILS OF CORPORATE ACTIONS
6956 DP2018-553 22-Oct-2018 CHANGE IN NAME OF DP
6957 DP2018-554 22-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6958 DP2018-555 22-Oct-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6959 DP2018-556 23-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6960 DP2018-557 23-Oct-2018 INVESTOR AWARENESS PROGRAMMES
6961 DP2018-558 24-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6962 DP2018-559 24-Oct-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6963 DP2018-560 24-Oct-2018 INVESTOR AWARENESS PROGRAMMES
6964 DP2018-561 24-Oct-2018 DETAILS OF CORPORATE ACTION
6965 DP2018-562 25-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6966 DP2018-563 25-Oct-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6967 DP2018-564 25-Oct-2018 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO ACCOUNTS
6968 DP2018-565 26-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6969 DP2018-566 26-Oct-2018 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO ACCOUNTS
6970 DP2018-567 27-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6971 DP2018-568 27-Oct-2018 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO ACCOUNTS
6972 DP2018-569 29-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6973 DP2018-570 29-Oct-2018 CAUTION TO BE EXERCISED WHILE DEALING WITH CERTAIN
ENTITIES
6974 DP2018-571 30-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6975 DP2018-572 30-Oct-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
6976 DP2018-573 30-Oct-2018 OFFER FOR SALE OF COAL INDIA LIMITED
6977 DP2018-574 30-Oct-2018 INTEGRITY PLEDGE VIGILANCE AWARENESS WEEK
6978 DP2018-575 31-Oct-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6979 DP2018-576 31-Oct-2018 INVESTOR AWARENESS PROGRAMMES
6980 DP2018-577 31-Oct-2018 DETAILS OF CORPORATE ACTIONS
6981 DP2018-578 01-Nov-2018 INVESTOR AWARENESS PROGRAMMES
6982 DP2018-579 01-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6983 DP2018-580 01-Nov-2018 AVAILABILITY OF CDSL SYSTEM
6984 DP2018-581 01-Nov-2018 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
6985 DP2018-582 01-Nov-2018 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO ACCOUNTS
6986 DP2018-583 02-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6987 DP2018-584 02-Nov-2018 AVAILABILITY OF CDSL SYSTEM
6988 DP2018-585 02-Nov-2018 MULTIPLE SETTLEMENTS ON ACCOUNT OF MUHURAT TRADING
6989 DP2018-586 02-Nov-2018 INVESTOR AWARENESS PROGRAMME
6990 DP2018-587 05-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6991 DP2018-588 05-Nov-2018 STREAMLINING THE PROCESS OF PUBLIC ISSUE OF EQUITY
SHARES AND CONVERTIBLES
6992 DP2018-589 06-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
6993 DP2018-590 06-Nov-2018 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
6994 DP2018-591 06-Nov-2018 CHANGE IN NAME OF DP
6995 DP2018-592 06-Nov-2018 INTER DEPOSITORY TRANSFERS FOR GOVERNMENT SECURITIES
6996 DP2018-593 06-Nov-2018 UPDATION OF NEW BANK ACCOUNT NUMBERS IN BO ACCOUNTS
6997 DP2018-594 06-Nov-2018 AVAILABILITY OF CDSL SYSTEM
6998 DP2018-595 06-Nov-2018 CONSOLIDATED ACCOUNT STATEMENT LIST OF CAS ELIGIBLE
BOIDS OCTOBER 2018
6999 DP2018-596 09-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7000 DP2018-597 09-Nov-2018 INVESTOR AWARENESS PROGRAMME
7001 DP2018-598 10-Nov-2018 DETAILS OF SECURITIES ADMITTTED WITH CDSL
7002 DP2018-599 12-Nov-2018 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
7003 DP2018-600 12-Nov-2018 INVESTOR AWARENESS PROGRAMMES
7004 DP2018-601 12-Nov-2018 DETAILS OF CORPORATE ACTIONS

Page 125
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7005 DP2018-602 12-Nov-2018 UPDATION OF NIL INVALID BANK ACCOUNT DETAILS IN DEMAT
ACCOUNT
7006 DP2018-603 13-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7007 DP2018-604 14-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7008 DP2018-605 14-Nov-2018 SEBI CIRCULAR STANDARDISED NORMS FOR TRANSFER OF
SECURITIES IN PHYSICAL MODE
7009 DP2018-606 15-Nov-2018 INVESTOR AWARENESS PROGRAMMES
7010 DP2018-607 15-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7011 DP2018-608 15-Nov-2018 DETAILS OF CORPORATE ACTIONS
7012 DP2018-609 16-Nov-2018 AVAILABILITY OF CDSL SYSTEM
7013 DP2018-610 16-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7014 DP2018-611 16-Nov-2018 CDSLS DP TRAINING PROGRAMME FROM DECEMBER 04 TO
DECEMBER 07,2018 AT MUMBAI
7015 DP2018-612 19-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7016 DP2018-613 20-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7017 DP2018-614 20-Nov-2018 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON NOVEMBER 22
NOVEMBER 26 NOVEMBER 28 2018
7018 DP2018-615 20-Nov-2018 INVESTOR AWARENESS PROGRAMMES
7019 DP2018-616 21-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7020 DP2018-617 21-Nov-2018 INVESTOR AWARENESS PROGRAMMES
7021 DP2018-618 22-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7022 DP2018-619 22-Nov-2018 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
7023 DP2018-620 22-Nov-2018 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM
DEPOSITORY OPERATIONS
7024 DP2018-621 22-Nov-2018 FINANCIAL ACTION TASK FORCE FATF PUBLIC STATEMENT DATED
OCTOBER 19 2018
7025 DP2018-622 24-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7026 DP2018-623 24-Nov-2018 INVESTOR AWARENESS PROGRAMMES
7027 DP2018-624 26-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7028 DP2018-625 26-Nov-2018 INVESTOR AWARENESS PROGRAMME
7029 DP2018-626 26-Nov-2018 DETAILS OF CORPORATE ACTION
7030 DP2018-627 27-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7031 DP2018-628 28-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7032 DP2018-629 28-Nov-2018 MANUAL AUTHENTICATION BY DPS FOR TRANSACTIONS EXECUTED
BY EASIEST USERS
7033 DP2018-630 28-Nov-2018 INVESTOR AWARENESS PROGRAMME
7034 DP2018-631 28-Nov-2018 DETAILS OF CORPORATE ACTIONS
7035 DP2018-632 29-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7036 DP2018-633 29-Nov-2018 INVESTOR AWARENESS PROGRAMME
7037 DP2018-634 30-Nov-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7038 DP2018-635 30-Nov-2018 CAS LIST OF BOUNCED EMAIL BOIDS SEPTEMBER 2018 AND
OCTOBER 2018
7039 DP2018-636 30-Nov-2018 CHANGE IN NAME OF RTA
7040 DP2018-637 03-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7041 DP2018-638 03-Dec-2018 INVESTOR AWARENESS PROGRAMMES
7042 DP2018-639 04-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7043 DP2018-640 04-Dec-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7044 DP2018-641 04-Dec-2018 SEBI CIRCULAR CYBER SECURITY AND CYBER RESILIENCE
FRAMEWORK FOR SB DP
7045 DP2018-642 04-Dec-2018 SEBI NOTIFICATION MANDATORY DEMATERIALIZATION FOR
TRANSFER OF SECURITIES
7046 DP2018-643 04-Dec-2018 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7047 DP2018-644 04-Dec-2018 CAS LIST OF CAS ELIGIBLE BOIDS NOVEMBER 2018
7048 DP2018-645 04-Dec-2018 CAUTION WHILE TRANSFERING DEMATERIALIZING SECURITIES
7049 DP2018-646 05-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7050 DP2018-647 05-Dec-2018 INVESTOR AWARENESS PROGRAMME
7051 DP2018-648 05-Dec-2018 TERMINATION OF AGREEMENT BETWEEN CDSL AND GUINESS
SECURITIES LIMITED
7052 DP2018-649 06-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7053 DP2018-650 06-Dec-2018 INVESTOR AWARENESS PROGRAMMES
7054 DP2018-651 06-Dec-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7055 DP2018-652 07-Dec-2018 AVAILABILITY OF CDSL SYSTEM
7056 DP2018-653 07-Dec-2018 COMPLIANCE MANUAL FOR DEPOSITORY PARTICIPANTS
SEPTEMBER 2018
7057 DP2018-654 07-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7058 DP2018-655 07-Dec-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7059 DP2018-656 10-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 126
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7060 DP2018-657 10-Dec-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
7061 DP2018-658 11-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7062 DP2018-659 12-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7063 DP2018-660 12-Dec-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7064 DP2018-661 12-Dec-2018 DETAILS OF CORPORATE ACTION
7065 DP2018-662 12-Dec-2018 ADVISORY BY FIU IND REGARDING REFILLING OF REPORTS
7066 DP2018-663 13-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7067 DP2018-664 14-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7068 DP2018-665 14-Dec-2018 TERMINATION OF AGREEMENT BETWEEN CDSL AND IDEAL STOCK
BROKING PRIVATE LIMITED
7069 DP2018-666 14-Dec-2018 SEBI CIRCULAR CLARIFICATION ON CLUBBING OF INVESTMENT
LIMITS OF FPI
7070 DP2018-667 17-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7071 DP2018-668 17-Dec-2018 INVESTOR AWARENESS PROGRAMME
7072 DP2018-669 18-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7073 DP2018-670 18-Dec-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7074 DP2018-671 19-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7075 DP2018-672 19-Dec-2018 INVESTOR AWARENESS PROGRAMMES
7076 DP2018-673 20-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7077 DP2018-674 20-Dec-2018 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
7078 DP2018-675 20-Dec-2018 INVESTOR AWARENESS PROGRAMME
7079 DP2018-676 20-Dec-2018 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
7080 DP2018-677 21-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7081 DP2018-678 21-Dec-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7082 DP2018-679 21-Dec-2018 INVESTOR AWARENESS PROGRAMME
7083 DP2018-680 22-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7084 DP2018-681 22-Dec-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7085 DP2018-682 24-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7086 DP2018-683 24-Dec-2018 MOVEMENT OF PAYOUT SECURITIES FROM CM POOL ACCOUNT TO
BO ACCOUNT
7087 DP2018-684 24-Dec-2018 DETAILS OF CORPORATE ACTION
7088 DP2018-685 24-Dec-2018 INVESTOR AWARENESS PROGRAMMES
7089 DP2018-686 26-Dec-2018 INVESTOR AWARENESS PROGRAMMES
7090 DP2018-687 26-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7091 DP2018-688 26-Dec-2018 INVESTOR AWARENESS PROGRAMME
7092 DP2018-689 27-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7093 DP2018-690 27-Dec-2018 INTER DEPOSITORY TRANSFERS AND PENALTY FOR NON
MOVEMENT OF PAYOUT SECURITIES
7094 DP2018-691 28-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7095 DP2018-692 28-Dec-2018 FIU IND DIRECTIONS
7096 DP2018-693 29-Dec-2018 CHANGE IN NAME OF DP
7097 DP2018-694 29-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7098 DP2018-695 31-Dec-2018 DETAILS OF SECURITIES ADMITTED WITH CDSL
7099 DP2018-696 31-Dec-2018 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7100 DP2018-697 31-Dec-2018 INVESTOR AWARENESS PROGRAMME
7101 DP2019-1 01-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7102 DP2019-2 02-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7103 DP2019-3 02-Jan-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7104 DP2019-4 02-Jan-2019 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
7105 DP2019-5 02-Jan-2019 INVESTOR AWARENESS PROGRAMME
7106 DP2019-6 03-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7107 DP2019-7 03-Jan-2019 CHANGE IN NAME OF DP
7108 DP2019-10 04-Jan-2019 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7109 DP2019-8 04-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7110 DP2019-9 04-Jan-2019 LIST OF CAS ELIGIBLE BOIDS DECEMBER 2018
7111 DP2019-11 07-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7112 DP2019-12 07-Jan-2019 REPORTING FOR ARTIFICIAL INTELLIGENCE AND MACHINE
LEARNING APPLICATIONS
7113 DP2019-13 08-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7114 DP2019-14 08-Jan-2019 INVESTOR AWARENESS PROGRAMMES
7115 DP2019-15 08-Jan-2019 CDSLS DP TRAINING PROGRAMME FROM FEBRUARY 25 2019 TO
FEBRUARY 28 2019 AT MUMBAI
7116 DP2019-16 09-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7117 DP2019-17 09-Jan-2019 MINOR CORRECTION IN NAME OF THE BENEFICIAL OWNER
7118 DP2019-18 10-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 127
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7119 DP2019-19 10-Jan-2019 INVESTOR AWARENESS PROGRAMME
7120 DP2019-20 10-Jan-2019 DETAILS OF CORPORATE ACTION
7121 DP2019-21 11-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7122 DP2019-22 11-Jan-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7123 DP2019-23 11-Jan-2019 NEW FACILITY IN DELIVERY INSTRUCTION SLIP (DIS) MODULE
7124 DP2019-24 12-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7125 DP2019-25 12-Jan-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
7126 DP2019-26 12-Jan-2019 AVAILABILITY OF CDSL SYSTEM
7127 DP2019-27 14-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7128 DP2019-28 14-Jan-2019 DETAILS OF CORPORATE ACTION
7129 DP2019-29 15-Jan-2019 FATF - GUIDANCE FOR A RISK BASED APPROACH FOR SECURITIES
SECTOR
7130 DP2019-30 15-Jan-2019 ACCEPTANCE OF PROBATE OF WILL OR WILL FOR TRANSMISSION
OF SECURITIES HELD IN DEMATERIALIZED MODE
7131 DP2019-31 16-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7132 DP2019-32 16-Jan-2019 INVESTOR AWARENESS PROGRAMME
7133 DP2019-33 17-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7134 DP2019-34 17-Jan-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
7135 DP2019-35 17-Jan-2019 INVESTOR AWARENESS PROGRAMME
7136 DP2019-36 18-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7137 DP2019-37 18-Jan-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7138 DP2019-38 18-Jan-2019 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
7139 DP2019-39 21-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7140 DP2019-40 22-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7141 DP2019-41 22-Jan-2019 CDSLS DP OPERATING INSTRUCTIONS AS OF DECEMBER 2018
7142 DP2019-42 23-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7143 DP2019-43 23-Jan-2019 INVESTOR AWARENESS PROGRAMME
7144 DP2019-44 23-Jan-2019 CAS LIST OF BOUNCED EMAIL BOIDS NOVEMBER 2018 DECEMBER
2018
7145 DP2019-45 24-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7146 DP2019-46 24-Jan-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7147 DP2019-47 24-Jan-2019 AVAILABILITY OF CDSL SYSTEM
7148 DP2019-48 24-Jan-2019 INVESTOR AWARENESS PROGRAMME
7149 DP2019-49 24-Jan-2019 DETAILS OF CORPORATE ACTION
7150 DP2019-50 24-Jan-2019 SEBI CIRCULAR -CLARIFICATIONS IN SEBI (DEPOSITORIES -
PARTICIPANTS) REGULATIONS, 2018
7151 DP2019-51 25-Jan-2019 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION
(CPE) PROGRAMME OF NISM? DEPOSITORY OPERATIONS
7152 DP2019-52 25-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7153 DP2019-53 28-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7154 DP2019-54 28-Jan-2019 DETAILS OF CORPORATE ACTION
7155 DP2019-55 28-Jan-2019 INVESTOR AWARENESS PROGRAMME
7156 DP2019-56 28-Jan-2019 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
7157 DP2019-57 28-Jan-2019 INCREASE IN TIMELINES FOR PROCESSING OF DEMATERIALIZATION
REQUESTS
7158 DP2019-58 29-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7159 DP2019-59 30-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7160 DP2019-60 31-Jan-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7161 DP2019-61 01-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7162 DP2019-62 02-Feb-2019 INTRODUCTION OF DISCOUNT ON ONLINE PAYMENT FACILITY
7163 DP2019-63 04-Feb-2019 CAS LIST OF CAS ELIGIBLE BOIDS JANUARY 2019
7164 DP2019-64 05-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7165 DP2019-65 05-Feb-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7166 DP2019-66 05-Feb-2019 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7167 DP2019-67 07-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7168 DP2019-68 07-Feb-2019 INVESTOR AWARENESS PROGRAMME
7169 DP2019-69 07-Feb-2019 WITHDRAWAL OF REGISTRAR AND TRANSFER AGENT OF CDSL
7170 DP2019-70 08-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7171 DP2019-71 11-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7172 DP2019-72 12-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7173 DP2019-73 12-Feb-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7174 DP2019-74 12-Feb-2019 AVAILABILITY OF CDSL SYSTEM
7175 DP2019-75 12-Feb-2019 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
7176 DP2019-76 13-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
Page 128
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7177 DP2019-77 13-Feb-2019 INVESTOR AWARENESS PROGRAMME
7178 DP2019-78 14-Feb-2019 INVESTOR AWARENESS PROGRAMMES
7179 DP2019-79 14-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7180 DP2019-80 15-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7181 DP2019-81 15-Feb-2019 SETTLEMENT TIMINGS OF BSE, NSE & MSEIL ON FEBRUARY 20,
FEBRUARY 21 & FEBRUARY 25, 2019
7182 DP2019-82 18-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7183 DP2019-83 18-Feb-2019 INVESTOR AWARENESS PROGRAMME
7184 DP2019-84 18-Feb-2019 DETAILS OF CORPORATE ACTION
7185 DP2019-85 19-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7186 DP2019-86 19-Feb-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7187 DP2019-87 19-Feb-2019 INVESTOR AWARENESS PROGRAMMES
7188 DP2019-88 19-Feb-2019 CHANGE IN NAME OF DP
7189 DP2019-89 20-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7190 DP2019-90 21-Feb-2019 CHANGE IN NAME OF DP
7191 DP2019-91 21-Feb-2019 INVESTOR AWARENESS PROGRAMME
7192 DP2019-92 21-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7193 DP2019-93 21-Feb-2019 INVESTOR AWARENESS PROGRAMME
7194 DP2019-94 21-Feb-2019 DETAILS OF CORPORATE ACTION
7195 DP2019-100 22-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7196 DP2019-95 22-Feb-2019 MONITORING AND REPORTING OF ALERTS
7197 DP2019-96 22-Feb-2019 SEBI CUSTOMERS DATA REGISITERED WITH INTERMEDIARIES
7198 DP2019-97 22-Feb-2019 AUTO DOWNLOAD OF REPORTS
7199 DP2019-98 22-Feb-2019 CAS LIST OF BOUNCED EMAIL BOIDS JANUARY 2019
7200 DP2019-99 22-Feb-2019 INVESTOR AWARENESS PROGRAMME
7201 DP2019-101 23-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7202 DP2019-102 23-Feb-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7203 DP2019-103 26-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7204 DP2019-104 27-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7205 DP2019-105 27-Feb-2019 INVESTOR AWARENESS PROGRAMME
7206 DP2019-106 27-Feb-2019 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
7207 DP2019-107 28-Feb-2019 INVESTOR AWARENESS PROGRAMME
7208 DP2019-108 28-Feb-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7209 DP2019-109 01-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7210 DP2019-110 01-Mar-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7211 DP2019-111 01-Mar-2019 DUE DILIGENCE IN DEPOSITORY OPERATIONS
7212 DP2019-112 05-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7213 DP2019-113 05-Mar-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7214 DP2019-114 05-Mar-2019 INVESTOR AWARENESS PROGRAMME
7215 DP2019-115 05-Mar-2019 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7216 DP2019-116 05-Mar-2019 CAS LIST OF CAS ELIGIBLE BOIDS FEBRUARY 2019
7217 DP2019-117 05-Mar-2019 ENHANCEMENT IN DISPLAY OF FREEZE STATUS OF BO ACCOUNT
7218 DP2019-118 06-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7219 DP2019-119 06-Mar-2019 INVESTOR AWARENESS PROGRAMMES
7220 DP2019-120 07-Mar-2019 AVAILABILITY OF CDSL SYSTEM
7221 DP2019-121 07-Mar-2019 DETAILS OF CORPORATE ACTION
7222 DP2019-122 07-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7223 DP2019-123 07-Mar-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7224 DP2019-124 07-Mar-2019 INVESTOR AWARENESS PROGRAMME
7225 DP2019-125 08-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7226 DP2019-126 08-Mar-2019 MICR CODE OPTIONAL IN CDSL SYSTEM
7227 DP2019-127 09-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7228 DP2019-128 09-Mar-2019 AVAILABILITY OF CDSL SYSTEM
7229 DP2019-129 11-Mar-2019 REVISED FORMAT OF IAR AND CAR FOR HALF YEAR ENDED 31
MARCH 2019
7230 DP2019-130 11-Mar-2019 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
7231 DP2019-131 12-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7232 DP2019-132 12-Mar-2019 INVESTOR AWARENESS PROGRAMME
7233 DP2019-133 13-Mar-2019 INVESTOR AWARENESS PROGRAMMES
7234 DP2019-134 13-Mar-2019 DETAILS OF CORPORATE ACTIONS
7235 DP2019-135 13-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7236 DP2019-136 14-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7237 DP2019-137 14-Mar-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER

Page 129
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7238 DP2019-138 14-Mar-2019 CAUTION TO BE EXERCISED WHILE DEALING WITH CERTAIN
ENTITIES
7239 DP2019-139 15-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7240 DP2019-140 15-Mar-2019 SEBI CIRCULAR REVIEW OF INVESTMENT BY FPI IN DEBT
7241 DP2019-141 15-Mar-2019 INVESTOR AWARENESS PROGRAMMES
7242 DP2019-142 15-Mar-2019 AVAILABILITY OF CDSL SYSTEM
7243 DP2019-143 16-Mar-2019 INVESTOR AWARENESS PROGRAMME
7244 DP2019-144 18-Mar-2019 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
7245 DP2019-145 18-Mar-2019 CIRCULAR CYBER SECURITY CYBER RESILIENCE FRAMEWORK
7246 DP2019-146 18-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7247 DP2019-147 18-Mar-2019 INVESTOR AWARENESS PROGRAMME
7248 DP2019-148 18-Mar-2019 CDSLS DP TRAINING PROGRAMME FROM MARCH 25 2019 TO
MARCH 28 2019
7249 DP2019-149 19-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7250 DP2019-150 20-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7251 DP2019-151 20-Mar-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7252 DP2019-152 20-Mar-2019 RELEASE OF MICR CODE OPTIONAL IN CDSL SYSTEM
7253 DP2019-153 22-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7254 DP2019-154 22-Mar-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
7255 DP2019-155 22-Mar-2019 INVESTOR AWARENESS PROGRAMME
7256 DP2019-156 22-Mar-2019 CONSOLIDATED ACCOUNT STATEMENT (CAS)
LIST OF BOUNCED EMAIL BOIDS ? FEBRUARY 2019
7257 DP2019-157 25-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7258 DP2019-158 26-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7259 DP2019-159 26-Mar-2019 DETAILS OF CORPORATE ACTIONS
7260 DP2019-160 26-Mar-2019 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
7261 DP2019-161 27-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7262 DP2019-162 28-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7263 DP2019-163 28-Mar-2019 INVESTOR AWARENESS PROGRAMME
7264 DP2019-164 29-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7265 DP2019-165 29-Mar-2019 RISK ASSESSMENT TEMPLATE
7266 DP2019-166 29-Mar-2019 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON APRIL 02 APRIL 03
APRIL 05 2019
7267 DP2019-167 30-Mar-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7268 DP2019-168 30-Mar-2019 DETAILS OF CORPORATE ACTION
7269 DP2019-169 01-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7270 DP2019-170 01-Apr-2019 REMINDER - ENHANCEMENT IN DISPLAY OF FREEZE STATUS OF BO
ACCOUNT
7271 DP2019-171 02-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7272 DP2019-172 02-Apr-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7273 DP2019-173 03-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7274 DP2019-175 03-Apr-2019 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7275 DP2019-174 04-Apr-2019 REPORTING FOR ARTIFICIAL INTELLIGENCE AND MACHINE
LEARNING APPLICATIONS
7276 DP2019-176 04-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7277 DP2019-177 04-Apr-2019 AVAILABILITY OF CDSL SYSTEM
7278 DP2019-178 05-Apr-2019 CAS LIST OF CAS ELIGIBLE BOIDS MARCH 2019
7279 DP2019-179 05-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7280 DP2019-180 05-Apr-2019 SUBMISSION DISSEMINATION OF DP TARIFF CHARGE STRUCTURE
TO CDSL EVERY YEAR
7281 DP2019-181 08-Apr-2019 INCREASE IN TIMELINES FOR PROCESSING OF DEMATERIALIZATION
REQUESTS
7282 DP2019-182 08-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7283 DP2019-183 08-Apr-2019 TERMINATION OF AGREEMENT BETWEEN CDSL AND PUG
SECURITIES PRIVATE LIMITED
7284 DP2019-184 10-Apr-2019 INVESTOR AWARENESS PROGRAMMES
7285 DP2019-185 10-Apr-2019 DETAILS OF CORPORATE ACTIONS
7286 DP2019-187 12-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7287 DP2019-188 12-Apr-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7288 DP2019-189 12-Apr-2019 INVESTOR AWARENESS PROGRAMME
7289 DP2019-190 12-Apr-2019 ADVISORY BY FIU-IND REGARDING REFILING OF STR REJECTED
7290 DP2019-191 12-Apr-2019 INSURANCE POLICY FOR SECURITIES
7291 DP2019-192 12-Apr-2019 DETAILS OF CORPORATE ACTION
7292 DP2019-193 15-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7293 DP2019-194 15-Apr-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7294 DP2019-195 15-Apr-2019 CDSLS DP OPERATING INSTRUCTIONS AS OF MARCH 2019

Page 130
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7295 DP2019-196 16-Apr-2019 INVESTOR AWARENESS PROGRAMME
7296 DP2019-197 16-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7297 DP2019-198 16-Apr-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7298 DP2019-199 18-Apr-2019 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7299 DP2019-200 18-Apr-2019 SEBI CIRCULAR SEPARATE BSDA LIMIT FOR DEBT SECURITIES
7300 DP2019-201 18-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7301 DP2019-202 22-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7302 DP2019-203 22-Apr-2019 ENTITIES DESIGNATED BY THE UNITED NATIONS SECURITY
COUNCIL
7303 DP2019-204 23-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7304 DP2019-205 23-Apr-2019 GENERAL ELECTIONS LOK SABHA 2019 IN MUMBAI ON MONDAY
APRIL 29 2019
7305 DP2019-206 23-Apr-2019 CHANGE IN NAME OF DP
7306 DP2019-207 24-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7307 DP2019-208 24-Apr-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7308 DP2019-209 24-Apr-2019 INVESTOR AWARENESS PROGRAMMES
7309 DP5872 24-Apr-2019 PROCEDURE FOR REVERSAL OF ERRONEOUS TRANSFERS ONLINE
FACILITY
7310 DP2019-210 25-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7311 DP2019-211 25-Apr-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7312 DP2019-212 26-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7313 DP2019-213 26-Apr-2019 INVESTOR AWARENESS PROGRAMMES
7314 DP2019-214 27-Apr-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7315 DP2019-215 27-Apr-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7316 DP2019-216 30-Apr-2019 SUBMISSION OF NET WORTH CERTIFICATE & AUDITED FINANCIAL
STATEMENTS
7317 DP2019-217 02-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7318 DP2019-218 03-May-2019 DETAILS OF CORPORATE ACTION
7319 DP2019-219 03-May-2019 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
7320 DP2019-220 03-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7321 DP2019-221 06-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
DPS
7322 DP2019-222 06-May-2019 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7323 DP2019-223 06-May-2019 CAS LIST OF CAS ELIGIBLE BOIDS APRIL 2019
7324 DP2019-224 07-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7325 DP2019-225 07-May-2019 INVESTOR AWARENESS PROGRAMMES
7326 DP2019-226 07-May-2019 DETAILS OF CORPORATE ACTIONS
7327 DP2019-227 08-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7328 DP2019-228 08-May-2019 CDSLS DP TRAINING PROGRAMME FROM JUNE 17 2019 TO JUNE 17
2019 AT MUMBAI
7329 DP2019-229 09-May-2019 ANNUAL BILL
7330 DP2019-230 09-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7331 DP2019-231 09-May-2019 INVESTOR AWARENESS PROGRAMMES
7332 DP2019-232 10-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7333 DP2019-233 10-May-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7334 DP2019-234 10-May-2019 SEBI CIRCULAR PERMITTING FPI TO INVEST IN MUNICIPAL BONDS
7335 DP2019-235 13-May-2019 DETAILS OF CORPORATE ACTION
7336 DP2019-236 13-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7337 DP2019-237 13-May-2019 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7338 DP2019-238 14-May-2019 INVESTOR AWARENESS PROGRAMMES
7339 DP2019-239 14-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7340 DP2019-240 15-May-2019 CHANGE OF NAME EFFCTED BY RTA
7341 DP2019-241 15-May-2019 AVAILABILITY OF CDSL SYSTEM
7342 DP2019-242 15-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7343 DP2019-243 15-May-2019 INVESTOR AWARNESS PROGRAMMES
7344 DP201-244 16-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7345 DP2019-245 17-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7346 DP2019-246 17-May-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7347 DP2019-247 17-May-2019 CAS LIST OF BOUNCED EMAIL BOIDS MARCH 2019
7348 DP2019-248 20-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7349 DP2019-249 21-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7350 DP2019-250 21-May-2019 INVESTOR AWARENESS PROGRAMMES
7351 DP2019-251 22-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7352 DP2019-252 22-May-2019 INVESTOR AWARENESS PROGRAMMES
7353 DP2019-255 25-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 131
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7354 DP2019-256 27-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7355 DP2019-257 28-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7356 DP2019-258 29-May-2019 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7357 DP2019-259 29-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7358 DP2019-260 29-May-2019 SEPARATE BSDA LIMIT FOR DEBT SEGMENT
7359 DP2019-261 29-May-2019 CAS LIST OF BOUNCED EMAIL BOIDS APRIL 2019
7360 DP2019-262 29-May-2019 INVESTOR AWARENESS PROGRAMMES
7361 DP2019-263 29-May-2019 SEBI CIRCULAR CFT UNDER UNLAWFUL ACTIVITIES PREVENTION
ACT 1967
7362 DP2019-264 30-May-2019 INVESTOR AWARENESS PROGRAMME
7363 DP2019-265 30-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7364 DP2019-266 31-May-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7365 DP2019-267 31-May-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7366 DP2019-268 31-May-2019 INVESTOR AWARENESS PROGRAMME
7367 DP2019-269 31-May-2019 FATF PUBLIC STATEMENT DATED FEBRUARY 22 2019
7368 DP2019-270 01-Jun-2019 INVESTOR AWARENESS PROGRAMME
7369 DP2019-273 06-Jun-2019 CAS LIST OF CAS ELIGIBLE BOIDS MAY 2019
7370 DP2019-274 06-Jun-2019 INVESTOR AWARENESS PROGRAMMES
7371 DP2019-275 06-Jun-2019 AVAILABILITY OF CDSL SYSTEM
7372 DP2019-276 07-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7373 DP2019-277 07-Jun-2019 AVAILABILITY OF CDSL SYSTEM
7374 DP2019-278 07-Jun-2019 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7375 DP2019-279 07-Jun-2019 INVESTOR AWARENESS PROGRAMMES
7376 DP2019-280 08-Jun-2019 STREAMLINING THE PROCESS OF PUBLIC ISSUE OF EQUITY
SHARES AND CONVERTIBLES
7377 DP2019-281 08-Jun-2019 FRAMEWORK FOR THE PROCESS OF ACCREDITATION OF
INVESTORS
7378 DP2019-282 08-Jun-2019 CAUTION TO BE EXERCISED WHILE DEALING WITH CERTAIN
ENTITIES
7379 DP2019-283 10-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7380 DP2019-284 10-Jun-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7381 DP2019-285 10-Jun-2019 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
7382 DP2019-286 10-Jun-2019 CHANGES IN DPI5 SUCCESS FAILURE REPORT FOR BSDA
INDIVIDUAL UPLOAD
7383 DP2019-287 12-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7384 DP2019-288 12-Jun-2019 INVESTOR AWARENESS PROGRAMMES
7385 DP2019-289 12-Jun-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7386 DP2019-290 13-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7387 DP2019-291 14-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7388 DP2019-292 14-Jun-2019 DETAILS OF CORPORATE ACTIONS
7389 DP2019-293 17-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7390 DP2019-294 17-Jun-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7391 DP2019-295 17-Jun-2019 INVESTOR AWARENESS PROGRAMMES
7392 DP2019-296 17-Jun-2019 AUCTION SETTLEMENT REVISED PAYIN TIME
7393 DP2019-297 18-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7394 DP2019-298 18-Jun-2019 INVESTOR AWARENESS PROGRAMMES
7395 DP2019-299 19-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7396 DP2019-300 19-Jun-2019 INVESTOR AWARENESS PROGRAMMES
7397 DP2019-301 19-Jun-2019 INTIMATION FOR PAYMENT INSTRUCTIONS
7398 DP2019-302 20-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7399 DP2019-303 20-Jun-2019 INVESTOR AWARENESS PROGRAMMES
7400 DP2019-304 21-Jun-2019 HANDLING OF CLIENTS SECURITIES BY TRADING MEMBERS
CLEARING MEMBERS
7401 DP2019-305 21-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7402 DP2019-306 21-Jun-2019 INVESTOR AWARENESS PROGRAMME
7403 DP2019-307 24-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7404 DP2019-308 24-Jun-2019 TERMINATION OF AGREEMENT BETWEEN CDSL AND WELLINDIA
SECURITIES LIMITED
7405 DP2019-309 24-Jun-2019 INVESTOR AWARENESS PROGRAMME
7406 DP2019-310 25-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7407 DP2019-311 25-Jun-2019 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
7408 DP2019-312 25-Jun-2019 INTIMATION FOR PAYMENT INSTRUCTIONS
7409 DP2019-313 26-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7410 DP2019-314 26-Jun-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7411 DP2019-315 26-Jun-2019 INVESTOR AWARENESS PROGRAMMES
7412 DP2019-316 27-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 132
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7413 DP2019-317 27-Jun-2019 INVESTOR AWARENESS PROGRAMMES
7414 DP2019-318 27-Jun-2019 FINANCIAL ACTION TASK FORCE [FATF] PUBLIC STATEMENT DATED
JUNE 21, 2019
7415 DP2019-319 28-Jun-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7416 DP2019-320 29-Jun-2019 INVESTOR AWARENESS PROGRAMME
7417 DP2019-322 01-Jul-2019 STREAMLINING THE PROCESS OF PUBLIC ISSUE OF EQUITY
SHARES AND CONVERTIBLES
7418 DP2019-323 01-Jul-2019 CAUTION WHILE TRANSFERING DEMATERIALIZING SECURITIES
7419 DP2019-324 01-Jul-2019 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
7420 DP2019-325 02-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7421 DP2019-326 03-Jul-2019 REVISED PAYIN TIME FOR AUCTION OF PHYSICAL SETTLEMENT OF
STOCK DERIVATIVES
7422 DP2019-327 03-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7423 DP2019-328 03-Jul-2019 DETAILS OF CORPORATE ACTIONS
7424 DP2019-329 03-Jul-2019 INVESTOR AWARENESS PROGRAMME
7425 DP2019-330 04-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7426 DP2019-331 04-Jul-2019 LIST OF CAS ELIGIBLE BOIDS JUNE 2019
7427 DP2019-332 04-Jul-2019 DISPLAYING OF INFORMATION REGARDING SCORES
7428 DP2019-333 04-Jul-2019 INVESTOR AWARENESS PROGRAMMES
7429 DP2019-334 05-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7430 DP2019-335 05-Jul-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7431 DP2019-336 05-Jul-2019 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM
DEPOSITORY OPERATIONS
7432 DP2019-337 05-Jul-2019 PAN MODIFICATION AT DP END
7433 DP2019-338 06-Jul-2019 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7434 DP2019-321 08-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7435 DP2019-339 08-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7436 DP2019-340 08-Jul-2019 CAS LIST OF BOUNCED EMAIL BOIDS MAY 2019
7437 DP2019-341 09-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7438 DP2019-342 09-Jul-2019 CAUTION TO BE EXERCISED WHILE DEALING WITH CERTAIN
ENTITIES
7439 DP2019-343 09-Jul-2019 CHANGE IN NAME OF DP
7440 DP2019-344 10-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7441 DP2019-345 10-Jul-2019 INVESTOR AWARENESS PROGRAMMES
7442 DP2019-346 11-Jul-2019 AVAILABILITY OF CDSL SYSTEM
7443 DP2019-347 11-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7444 DP2019-348 11-Jul-2019 INVESTOR AWARENESS PROGRAMME
7445 DP2019-349 12-Jul-2019 INVESTOR AWARENESS PROGRAMME
7446 DP2019-350 12-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7447 DP2019-351 15-Jul-2019 INVESTOR AWARENESS PROGRAMMES
7448 DP2019-352 15-Jul-2019 UPDATED LIST OF REASON CODES FOR OFF MARKET
TRANSACTIONS
7449 DP2019-353 15-Jul-2019 AUDITORS DP OFFICIALS TRAINING PROGRAMME
7450 DP2019-354 16-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7451 DP2019-355 16-Jul-2019 INVESTOR AWARENESS PROGRAMMES
7452 DP2019-356 17-Jul-2019 CDSLS DP OPERATING INSTRUCTIONS AS OF JUNE 2019
7453 DP2019-357 17-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7454 DP2019-358 17-Jul-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7455 DP2019-359 17-Jul-2019 INVESTOR AWARENESS PROGRAMMES
7456 DP2019-360 18-Jul-2019 INVESTOR AWARENESS PROGRAMMES
7457 DP2019-361 18-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7458 DP2019-362 18-Jul-2019 CHANGE IN NAME OF DP
7459 DP2019-363 19-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7460 DP2019-364 19-Jul-2019 INVESTOR AWARENESS PROGRAMMES
7461 DP2019-365 22-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7462 DP2019-366 22-Jul-2019 RELEASE OF NEW FUNCTIONALITY IN DPC9 REPORT
7463 DP2019-367 23-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7464 DP2019-368 23-Jul-2019 AUDITORS DP OFFICIALS TRAINING PROGRAMME
7465 DP2019-369 24-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7466 DP2019-370 24-Jul-2019 INVESTOR AWARENESS PROGRAMMES
7467 DP2019-371 25-Jul-2019 INVESTOR AWARENESS PROGRAMME
7468 DP2019-372 25-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7469 DP2019-373 26-Jul-2019 UNITED NATIONS SECURITY COUNCIL SANCTION COMMITTEE LIST
7470 DP2019-374 26-Jul-2019 INVESTOR AWARENESS PROGRAMMES
7471 DP2019-375 26-Jul-2019 REPORTING FOR CYBER SECURITY CYBER RESILIENCE
FRAMEWORK

Page 133
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7472 DP2019-376 26-Jul-2019 CDSLS DP TRAINING PROGRAMME FROM AUGUST 26 2019 TO
AUGUST 29 2019 AT MUMBAI
7473 DP2019-377 29-Jul-2019 DETAILS OF CORPORATE ACTION
7474 DP2019-378 29-Jul-2019 STREAMLINING THE PROCESS OF PUBLIC ISSUE OF EQUITY
SHARES AND CONVERTIBLES
7475 DP2019-379 30-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7476 DP2019-380 30-Jul-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7477 DP2019-381 30-Jul-2019 INVESTOR AWARENESS PROGRAMME
7478 DP2019-382 31-Jul-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7479 DP2019-383 31-Jul-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7480 DP2019-384 31-Jul-2019 UPDATED LIST OF REASON CODES FOR OFF MARKET
TRANSACTIONS
7481 DP2019-385 01-Aug-2019 INVESTOR AWARENESS PROGRAMME
7482 DP2019-386 02-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7483 DP2019-387 02-Aug-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7484 DP2019-388 02-Aug-2019 UPDATED LIST OF REASON CODES FOR OFF MARKET
TRANSACTIONS
7485 DP2019-389 03-Aug-2019 INVESTOR
7486 DP2019-390 05-Aug-2019 CONSOLIDATED ACCOUNT STATEMENT (CAS) - LIST OF CAS
ELIGIBLE BOIDS - JULY 2019
7487 DP2019-391 05-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7488 DP2019-394 06-Aug-2019 INSURANCE CERTIFICATES
7489 DP2019-392 07-Aug-2019 DETAILS
7490 DP2019-393 07-Aug-2019 FACILTY
7491 DP2019-395 07-Aug-2019 INVESTOR
7492 DP2019-396 07-Aug-2019 DETAILS
7493 DP2019-397 08-Aug-2019 DETAILS
7494 DP2019-398 08-Aug-2019 DATABASE
7495 DP2019-399 09-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7496 DP2019-400 09-Aug-2019 CHANGE IN NAME OF RTA
7497 DP2019-401 09-Aug-2019 AVAILABILITY OF CDSL SYSTEM
7498 DP2019-402 10-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7499 DP2019-403 13-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7500 DP2019-404 14-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7501 DP2019-405 14-Aug-2019 LIST OF REASON CODES FOR OFF MARKET TRANSACTIONS
14082019
7502 DP2019-406 16-Aug-2019 DETAILS OF CORPORATE ACTION
7503 DP2019-407 16-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7504 DP2019-408 19-Aug-2019 DETAILS
7505 DP2019-409 19-Aug-2019 INVESTOR
7506 DP2019-410 19-Aug-2019 WITHDRAWAL
7507 DP2019-411 20-Aug-2019 INVESTOR AWARENESS PROGRAMME
7508 DP2019-412 20-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7509 DP2019-413 21-Aug-2019 CREATION OF NEW MARKET TYPE FOR SETTLEMENT OF DEBT
MARKET SEGMENT
7510 DP2019-414 21-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7511 DP2019-415 21-Aug-2019 INVESTOE AWARENESS PROGRAMMES
7512 DP2019-416 21-Aug-2019 CAS LIST OF BOUNCED EMAIL BOIDS JULY 2019
7513 DP2019-417 22-Aug-2019 INVESTOR AWARENESS PROGRAMME
7514 DP2019-418 22-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7515 DP2019-419 23-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7516 DP2019-420 23-Aug-2019 DETAILS OF CORPORATE ACTION
7517 DP2019-421 23-Aug-2019 HANDLING OF CLIENTS SECURITIES BY TRADING MEMBERS -
CLEARING MEMBERS - UNPAID SECURITIES ACCOUNT
7518 DP2019-422 26-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7519 DP2019-423 26-Aug-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7520 DP2019-424 26-Aug-2019 INVESTOR AWARENESS PROGRAMMES
7521 DP2019-425 27-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7522 DP2019-426 27-Aug-2019 INVESTOR AWARENESS PROGRAMMES
7523 DP2019-427 27-Aug-2019 REVISED GUIDELINES BY FIU-IND
7524 DP2019-428 28-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7525 DP2019-429 28-Aug-2019 INVESTOR AWARENESS PROGRAMME
7526 DP2019-430 28-Aug-2019 UPDATED LIST OF REASON CODES FOR OFF MARKET
TRANSACTIONS
7527 DP2019-431 29-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7528 DP2019-432 29-Aug-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7529 DP2019-433 29-Aug-2019 FURNISHING UPLOAD OF REPORTS IN FINET GATEWAY
Page 134
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7530 DP2019-434 29-Aug-2019 INVESTOR AWARENESS PROGRAMMES
7531 DP2019-435 29-Aug-2019 PROCESS OF ACCREDITATION OF INVESTORS FOR THE PURPOSE
OF INNOVATORS GROWTH PLATFORM
7532 DP2019-436 30-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7533 DP2019-437 30-Aug-2019 HANDLING OF CLIENTS SECURITIES BY TRADING MEMBERS
CLEARING MEMBERS
7534 DP2019-438 30-Aug-2019 INVESTOR AWARENESS PROGRAMME
7535 DP2019-439 31-Aug-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7536 DP2019-440 03-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7537 DP2019-441 03-Sep-2019 INVESTOR AWARENESS PROGRAMME
7538 DP2019-442 04-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7539 DP2019-443 04-Sep-2019 CHANGE OF RTA EFFECTED BY ISSUER
7540 DP2019-444 05-Sep-2019 INVESTOR AWARENESS PROGRAMMES
7541 DP2019-445 06-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7542 DP2019-446 06-Sep-2019 LIST OF CAS ELIGIBLE BOIDS - AUGUST 2019
7543 DP2019-447 06-Sep-2019 INVESTOR AWARENESS PROGRAMME
7544 DP2019-448 07-Sep-2019 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7545 DP2019-449 11-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7546 DP2019-450 11-Sep-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7547 DP2019-451 11-Sep-2019 INVESTOR AWARENESS PROGRAMME
7548 DP2019-452 11-Sep-2019 DETAILS OF CORPORATE ACTION
7549 DP2019-453 12-Sep-2019 AVAILABILITY OF CDSL SYSTEM
7550 DP2019-454 12-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7551 DP2019-455 12-Sep-2019 INVESTOR AWARENESS PROGRAMMES
7552 DP2019-456 13-Sep-2019 CAPTURING RELATION FOR OFF MARKET TRANSFER
7553 DP2019-457 13-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7554 DP2019-458 13-Sep-2019 UNITED NATIONS SECURITY COUNCIL SANCTION COMMITTEE LIST
7555 DP2019-459 13-Sep-2019 INVESTOR AWARENESS PROGRAMME
7556 DP2019-460 14-Sep-2019 INVESTOR AWARENESS PROGRAMME
7557 DP2019-461 16-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7558 DP2019-462 16-Sep-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7559 DP2019-463 17-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7560 DP2019-464 17-Sep-2019 DETAILS OF CORPORATE ACTION
7561 DP2019-465 17-Sep-2019 INVESTOR AWARENESS PROGRAMMES
7562 DP2019-466 18-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7563 DP2019-467 18-Sep-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7564 DP2019-468 18-Sep-2019 REVISED FORMAT OF IAR AND CAR FOR HALF YEAR ENDED 30
SEPTEMBER 2019
7565 DP2019-469 18-Sep-2019 INVESTOR AWARENESS PROGRAMMES
7566 DP2019-470 19-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7567 DP2019-471 19-Sep-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7568 DP2019-472 19-Sep-2019 INVESTOR AWARENESS PROGRAMME
7569 DP2019-473 20-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7570 DP2019-474 20-Sep-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7571 DP2019-475 20-Sep-2019 INVESTOR AWARENESS PROGRAMME
7572 DP2019-476 20-Sep-2019 HANDLING OF CLIENTS SECURITIES BY TM CM CLIENT COLLATERAL
ACCOUNT
7573 DP2019-477 23-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7574 DP2019-478 23-Sep-2019 CDSLS DP TRAINING PROGRAMME FROM OCTOBER 15 2019 TO
OCTOBER 18 2019 AT MUMBAI
7575 DP2019-479 23-Sep-2019 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
7576 DP2019-480 24-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7577 DP2019-481 24-Sep-2019 INVESTOR AWARENESS PROGRAMMES
7578 DP2019-482 24-Sep-2019 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7579 DP2019-483 24-Sep-2019 UPDATED LIST OF REASON CODES FOR OFF MARKET
TRANSACTIONS
7580 DP2019-484 25-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7581 DP2019-485 25-Sep-2019 CHANGE OF RTA EFFECTED BY ISSUER
7582 DP2019-486 26-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7583 DP2019-487 26-Sep-2019 INVESTOR AWARENESS PROGRAMME
7584 DP2019-488 26-Sep-2019 AVAILABILITY OF CDSL SYSTEM
7585 DP2019-489 27-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7586 DP2019-490 27-Sep-2019 INVESTOR AWARENESS PROGRAMMES
7587 DP2019-491 30-Sep-2019 EXTENSION OF TIME FOR SUBMISSION OF NET WORTH
CERTIFICATE

Page 135
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7588 DP2019-492 30-Sep-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7589 DP2019-493 30-Sep-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7590 DP2019-494 01-Oct-2019 CHANGE IN NAME OF DP
7591 DP2019-495 01-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7592 DP2019-496 01-Oct-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7593 DP2019-497 01-Oct-2019 INVESTOR AWARENESS PROGRAMMES
7594 DP2019-498 01-Oct-2019 RISK ASSESSMENT TEMPLATE
7595 DP2019-499 03-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7596 DP2019-500 03-Oct-2019 CAS LIST OF BOUNCED EMAIL BOIDS AUGUST 2019
7597 DP2019-501 03-Oct-2019 NEW MARKET TYPE AND THE DEADLINE TIME FOR SUBMISSION OF
INSTRUCTIONS MCCIL
7598 DP2019-503 04-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7599 DP2019-504 04-Oct-2019 INVESTOR AWARENESS PROGRAMMES
7600 DP2019-505 04-Oct-2019 CAS LIST OF CAS ELIGIBLE BOIDS SEPTEMBER 2019
7601 DP2019-506 07-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7602 DP2019-507 09-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7603 DP2019-508 09-Oct-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7604 DP2019-509 09-Oct-2019 AVAILABILITY OF CDSL SYSTEM
7605 DP2019-510 09-Oct-2019 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7606 DP2019-511 10-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7607 DP2019-512 10-Oct-2019 INVESTOR AWARENESS PROGRAMME
7608 DP2019-513 11-Oct-2019 DETAILS OF CORPORATE ACTION
7609 DP2019-514 11-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7610 DP2019-515 11-Oct-2019 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7611 DP2019-516 14-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7612 DP2019-517 15-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7613 DP2019-518 15-Oct-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7614 DP2019-519 15-Oct-2019 INVESTOR AWARENESS PROGRAMMES
7615 DP2019-520 15-Oct-2019 DETAILS OF CORPORATE ACTION
7616 DP2019-521 15-Oct-2019 SEBI CIRCULAR FRAMEWORK FOR ISSUE OF DEPOSITORY
RECEIPTS
7617 DP2019-522 16-Oct-2019 INVESTOR AWARENESS PROGRAMME
7618 DP2019-523 16-Oct-2019 ASSEMBLY ELECTIONS 2019 IN MAHARASHTRA ON MONDAY
OCTOBER 21 2019
7619 DP2019-524 17-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7620 DP2019-525 17-Oct-2019 CUSTOMERS DATA REGISITERED WITH INTERMEDIARIES
7621 DP2019-526 17-Oct-2019 INVESTOR AWARENESS PROGRAMME
7622 DP2019-527 18-Oct-2019 OPENING OF POOL ACCOUNT FOR PORTFOLIO MANAGEMENT
SERVICES
7623 DP2019-528 18-Oct-2019 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
7624 DP2019-529 18-Oct-2019 INVESTOR AWARENESS PROGRAMME
7625 DP2019-530 22-Oct-2019 DP OPERATING INSTRUCTIONS AS OF SEPTEMBER 2019
7626 DP2019-531 22-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7627 DP2019-532 22-Oct-2019 INVESTOR AWARENESS PROGRAMMES
7628 DP2019-533 23-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7629 DP2019-534 23-Oct-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7630 DP2019-535 23-Oct-2019 CYBER SECURITY AND CYBER RESILIENCE FRAMEWORK FOR
STOCK BROKERS
7631 DP2019-536 23-Oct-2019 DETAILS OF CORPORATE ACTION
7632 DP2019-537 24-Oct-2019 LIST OF STATUS AND SUB STATUS FOR DEMAT ACCOUNTS
7633 DP2019-538 24-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7634 DP2019-539 24-Oct-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7635 DP2019-540 24-Oct-2019 AVAILABILITY OF CDSL SYSTEM AND MULTIPLE SETTLEMENTS
ACCOUNT OF MUHURAT TRADING
7636 DP2019-541 25-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7637 DP2019-542 25-Oct-2019 ANTI MONEY LAUNDERING COMBATING FINANCING OF TERRORISM
STANDARDS
7638 DP2019-543 29-Oct-2019 INVESTOR AWARENESS PROGRAMME
7639 DP2019-544 29-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7640 DP2019-545 29-Oct-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7641 DP2019-546 30-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7642 DP2019-547 31-Oct-2019 INVESTOR AWARENESS PROGRAMMES
7643 DP2019-548 31-Oct-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7644 DP2019-549 01-Nov-2019 DETAILS OF CORPORATE ACTION
7645 DP2019-550 01-Nov-2019 INVESTOR AWARENESS PROGRAMMES

Page 136
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7646 DP2019-551 01-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7647 DP2019-552 04-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7648 DP2019-553 04-Nov-2019 CHANGE OF RTA EFFECTED BY ISSUER
7649 DP2019-554 04-Nov-2019 WITHDRAWAL OF CDSL DP
7650 DP2019-555 04-Nov-2019 CAS - LIST OF CAS ELIGIBLE BOIDS - OCTOBER 2019
7651 DP2019-556 05-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7652 DP2019-557 06-Nov-2019 INVESTOR AWARENESS PROGRAMMES
7653 DP2019-558 06-Nov-2019 FACILITY FOR BSDA
7654 DP2019-559 06-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7655 DP2019-561 06-Nov-2019 SEBI CIRCULAR - OPERATIONAL GUIDELINES FOR FPIS
7656 DP2019-562 06-Nov-2019 AVAILABILITY OF CDSL SYSTEM
7657 DP2019-563 06-Nov-2019 TERMINATION OF AGREEMENT BETWEEN CDSL AND FAIRWEALTH
AND BRH
7658 DP2019-564 07-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7659 DP2019-565 07-Nov-2019 OPENING OF POOL ACCOUNT FOR PORTFOLIO MANAGEMENT
SERVICES
7660 DP2019-566 08-Nov-2019 CHANGE OF NAME EFFECTED BY DP
7661 DP2019-567 08-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7662 DP2019-568 08-Nov-2019 CHANGE OF RTA EFFECTED BY ISSUER
7663 DP2019-560 11-Nov-2019 SEBI CIRCULAR E KYC AUTHENTICATION FACILITY UNDER PMLA
7664 DP2019-569 11-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7665 DP2019-570 11-Nov-2019 CHANGE OF RTA EFFECTED BY ISSUER
7666 DP2019-571 11-Nov-2019 INVESTOR AWARENESS PROGRAMME
7667 DP2019-572 13-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7668 DP2019-573 13-Nov-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7669 DP2019-574 14-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7670 DP2019-575 14-Nov-2019 SEBI CIRCULAR- STREAMLINING THE PROCESS OF PUBLIC ISSUE
OF EQUITY SHARES AND CONVERTIBLES
7671 DP2019-576 15-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7672 DP2019-577 15-Nov-2019 SUBMISSION OF ONLINE QUARTERLY CYBER INCIDENT FORM BY
DEPOSITORY PARTICIPANTS
7673 DP2019-578 15-Nov-2019 UPDATED LIST OF REASON CODES FOR OFF MARKET
TRANSACTIONS
7674 DP2019-579 18-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7675 DP2019-580 18-Nov-2019 MAPPING OF UNIQUE CLIENT CODE WITH DEMAT ACCOUNT OF THE
CLIENTS
7676 DP2019-581 19-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7677 DP2019-582 19-Nov-2019 INVESTOR AWARENESS PROGRAMMES
7678 DP2019-583 20-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7679 DP2019-584 21-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7680 DP2019-585 21-Nov-2019 FATF PUBLIC STATEMENT DATED OCTOBER 18, 2019
7681 DP2019-586 21-Nov-2019 INVESTOR AWARENESS PROGRAMME
7682 DP2019-587 21-Nov-2019 CDSL DP TRAINING PROGRAMME FROM 10-DEC-TO-13-DEC-2019
7683 DP2019-588 21-Nov-2019 CPE PROGRAMME - NOV-30-2019-BHOPAL
7684 DP2019-589 22-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7685 DP2019-590 22-Nov-2019 DETAILS OF CORPORATE ACTION
7686 DP2019-591 25-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7687 DP2019-592 26-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7688 DP2019-593 26-Nov-2019 INVESTOR AWARENESS PROGRAMMES
7689 DP2019-594 26-Nov-2019 CAS - LIST OF BOUNCED EMAIL IDS - SEPTEMBER & OCTOBER, 2019
7690 DP2019-595 27-Nov-2019 DETAILS OF CORPORATE ACTION
7691 DP2019-596 27-Nov-2019 INVESTOR AWARENESS PROGRAMME
7692 DP2019-597 27-Nov-2019 UPDATED LIST OF REASON CODES FOR OFF MARKET
TRANSACTIONS
7693 DP2019-598 28-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7694 DP2019-599 28-Nov-2019 CHANGE OF RTA EFFECTED BY ISSUERS
7695 DP2019-600 28-Nov-2019 INVESTOR AWARENESS PROGRAMME
7696 DP2019-601 29-Nov-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7697 DP2019-602 29-Nov-2019 CHANGE OF RTA EFFECTED BY ISSUER
7698 DP2019-603 02-Dec-2019 INVESTOR AWARENESS PROGRAMME
7699 DP2019-604 02-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7700 DP2019-605 03-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7701 DP2019-606 03-Dec-2019 LIST OF CAS ELIGIBLE BOIDS - NOVEMBER 2019
7702 DP2019-607 04-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7703 DP2019-608 04-Dec-2019 AVAILABILITY OF CDSL SYSTEM
7704 DP2019-609 04-Dec-2019 FACILITY OF BASIC SERVICE DEMAT ACCOUNT

Page 137
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7705 DP2019-610 05-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7706 DP2019-611 05-Dec-2019 INVESTOR AWARENESS PROGRAMME
7707 DP2019-612 06-Dec-2019 UNITED NATIONS SECURITY COUNCIL SANCTION COMMITTEE LIST
7708 DP2019-613 06-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7709 DP2019-614 06-Dec-2019 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
7710 DP2019-615 09-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7711 DP2019-616 09-Dec-2019 OPENING CLEARING MEMBER ACCOUNT FOR ICEX EXCHANGE
7712 DP2019-617 10-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7713 DP2019-618 11-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7714 DP2019-619 11-Dec-2019 DETAILS OF CORPORATE ACTION
7715 DP2019-620 11-Dec-2019 INVESTOR AWARENESS PROGRAMMES
7716 DP2019-621 12-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7717 DP2019-622 12-Dec-2019 INVESTOR AWARENESS PROGRAMME
7718 DP2019-623 12-Dec-2019 UPDATED LIST OF REASON CODES FOR OFF MARKET
TRANSACTIONS
7719 DP2019-624 13-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7720 DP2019-625 16-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7721 DP2019-626 16-Dec-2019 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM -
DEPOSITORY OPERATIONS
7722 DP2019-627 16-Dec-2019 INVESTOR AWARENESS PROGRAMMES
7723 DP2019-628 17-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7724 DP2019-629 17-Dec-2019 WITHDRAWAL OF CDSL DP
7725 DP2019-630 17-Dec-2019 INVESTOR AWARENESS PROGRAMMES
7726 DP2019-631 17-Dec-2019 TRAINING SCHEDULE FOR CPE OF NISM - DEPOSITORY
OPERATIONS
7727 DP2019-632 18-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7728 DP2019-633 18-Dec-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7729 DP2019-634 18-Dec-2019 INVESTOR AWARENESS PROGRAMME
7730 DP2019-635 19-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7731 DP2019-636 19-Dec-2019 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7732 DP2019-637 19-Dec-2019 DETAILS OF CORPORATE ACTION
7733 DP2019-638 19-Dec-2019 INVESTOR AWARENESS PROGRAMME
7734 DP2019-639 20-Dec-2019 INVESTOR AWARENESS PROGRAMME
7735 DP2019-640 23-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7736 DP2019-641 24-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7737 DP2019-642 24-Dec-2019 INVESTOR AWARENESS PROGRAMMES
7738 DP2019-643 24-Dec-2019 GOVERNMENT OF INDIA NOTIFICATION REGARDING THE INDIAN
STAMP RULES - 2019
7739 DP2019-644 26-Dec-2019 INVESTOR AWARENESS PROGRAMME
7740 DP2019-645 26-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7741 DP2019-646 27-Dec-2019 AVAILABILITY OF CDSL SYSTEM
7742 DP2019-647 27-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7743 DP2019-648 27-Dec-2019 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7744 DP2019-649 30-Dec-2019 INVESTOR AWARENESS PROGRAMME
7745 DP2019-650 30-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7746 DP2019-651 31-Dec-2019 DETAILS OF SECURITIES ADMITTED WITH CDSL
7747 DP2020-1 01-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7748 DP2020-2 01-Jan-2020 CAS LIST OF BOUNCED EMAIL BOIDS NOVEMBER 2019
7749 DP2020-3 01-Jan-2020 INTER DEPOSITORY TRANSFERS AND PENALTY FOR
NONMOVEMENT OF PAYOUT SECURITIES
7750 DP2020-4 02-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7751 DP2020-5 02-Jan-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7752 DP2020-6 02-Jan-2020 INVESTOR AWARENESS PROGRAMME
7753 DP2020-7 03-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7754 DP2020-8 03-Jan-2020 COLLECTION OF STAMP-DUTY THROUGH DEPOSITORIES STAMP
DUTY RULES 2019
7755 DP2020-10 06-Jan-2020 CAS LIST OF CAS ELIGIBLE BOIDS DECEMBER 2019
7756 DP2020-11 06-Jan-2020 COLLECTION OF STAMP DUTY THROUGH DEPOSITORIES STAMP
DUTY RULES 2019
7757 DP2020-9 06-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7758 DP2020-12 07-Jan-2020 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7759 DP2020-13 07-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7760 DP2020-14 07-Jan-2020 INVESTOR AWARENESS PROGRAMME
7761 DP2020-15 08-Jan-2020 ADVISORY TO DEMAT ACCOUNT HOLDERS
7762 DP2020-16 08-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 138
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7763 DP2020-17 08-Jan-2020 DETAILS OF CORPORATE ACTION
7764 DP2020-18 08-Jan-2020 PROVISION TO PAY STAMP DUTY IN ADVANCE
THROUGH ONLINE PORTAL
7765 DP2020-19 08-Jan-2020 GOVERNMENT OF INDIA NOTIFICATION REGARDING THE INDIAN
STAMP RULES 2019
7766 DP2020-20 09-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7767 DP2020-21 10-Jan-2020 INTIMATION FOR FREEZING PAYMENTS TO CDSL STAMP DUTY
ACCOUNT
7768 DP2020-22 10-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7769 DP2020-23 10-Jan-2020 AVAILABILITY OF CDSL SYSTEM
7770 DP2020-24 13-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7771 DP2020-25 13-Jan-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7772 DP2020-26 14-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7773 DP2020-27 14-Jan-2020 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7774 DP2020-28 14-Jan-2020 INCENTIVE TO DPS FOR OPENING AND MAINTAINING BSDA
ACCOUNTS
7775 DP2020-29 14-Jan-2020 INVESTOR AWARENESS PROGRAMMES
7776 DP2020-30 15-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7777 DP2020-31 15-Jan-2020 ENHANCED DUE DILIGENCE FOR DEMATERIALIZATION OF PHYSICAL
SECURITIES
7778 DP2020-32 15-Jan-2020 INVESTOR AWARENESS PROGRAMMES
7779 DP2020-33 16-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7780 DP2020-34 16-Jan-2020 AVAILABILITY OF CDSL SYSTEM
7781 DP2020-35 16-Jan-2020 INVESTOR AWARENESS PROGRAMMES
7782 DP2020-36 17-Jan-2020 AVAILABILITY OF CDSL SYSTEM
7783 DP2020-37 17-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7784 DP2020-38 17-Jan-2020 CHANGE IN NAME OF DP
7785 DP2020-39 17-Jan-2020 HANDLING OF CLIENTS SECURITIES BY TM CM
7786 DP2020-41 20-Jan-2020 CDSLS DP OPERATING INSTRUCTIONS AS OF DECEMBER 2019
7787 DP2020-42 20-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7788 DP2020-43 20-Jan-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7789 DP2020-44 21-Jan-2020 INVESTOR AWARENESS PROGRAMME
7790 DP2020-45 21-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7791 DP2020-46 22-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7792 DP2020-47 22-Jan-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7793 DP2020-48 22-Jan-2020 INVESTOR AWARENESS PROGRAMMES
7794 DP2020-49 23-Jan-2020 STREAMLINING THE PROCESS OF RIGHTS ISSUE
7795 DP2020-50 23-Jan-2020 CAS LIST OF BOUNCED EMAIL BOIDS DECEMBER 2019
7796 DP2020-51 24-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7797 DP2020-52 27-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7798 DP2020-53 27-Jan-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7799 DP2020-54 27-Jan-2020 UNITED NATIONS SECURITY COUNCIL SANCTION COMMITTEE LIST
7800 DP2020-55 27-Jan-2020 INVESTOR AWARENESS PROGRAMME
7801 DP2020-56 28-Jan-2020 CDSL OFFICES TO REMAIN OPEN ON ACCOUNT OF UNION BUDGET
7802 DP2020-57 28-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7803 DP2020-58 28-Jan-2020 INVESTOR AWARENESS PROGRAMMES
7804 DP2020-59 29-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7805 DP2020-60 29-Jan-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7806 DP2020-61 29-Jan-2020 INVESTOR AWARENESS PROGRAMMES
7807 DP2020-62 30-Jan-2020 MULTIPLE SETTLEMENTS ON ACCOUNT OF TRADING ON SATURDAY
FEBRUARY 01 2020
7808 DP2020-63 31-Jan-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7809 DP2020-64 31-Jan-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7810 DP2020-65 31-Jan-2020 INVESTOR AWARENESS PROGRAMME
7811 DP2020-66 31-Jan-2020 INTER DEPOSITORY TRANSFERS FOR GOVERNMENT SECURITIES
7812 DP2020-67 01-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7813 DP2020-68 01-Feb-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7814 DP2020-69 03-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7815 DP2020-70 04-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7816 DP2020-71 04-Feb-2020 DETAILS OF CORPORATE ACTIONS
7817 DP2020-72 04-Feb-2020 INVESTOR AWARENESS PROGRAMME
7818 DP2020-73 04-Feb-2020 CAS LIST OF CAS ELIGIBLE BOIDS JANUARY 2020
7819 DP2020-74 05-Feb-2020 DETAILS OF CORPORATE ACTION
7820 DP2020-75 06-Feb-2020 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7821 DP2020-76 06-Feb-2020 INVESTOR AWARENESS PROGRAMME

Page 139
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7822 DP2020-77 06-Feb-2020 FACILITY FOR BSDA
7823 DP2020-78 07-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7824 DP2020-79 10-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7825 DP2020-80 10-Feb-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7826 DP2020-81 10-Feb-2020 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7827 DP2020-82 12-Feb-2020 ENHANCED DUE DILIGENCE FOR DEMATERIALIZATION OF PHYSICAL
SECURITIES
7828 DP2020-83 12-Feb-2020 CDSLS DP TRAINING PROGRAMME FROM MARCH 03 2020 TO
MARCH 06 2020
7829 DP2020-84 12-Feb-2020 INVESTOR AWARENESS PROGRAMMES
7830 DP2020-85 12-Feb-2020 COMMON APPLICATION FORM FOR FOREIGN PORTFOLIO
INVESTORS
7831 DP2020-86 13-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7832 DP2020-88 17-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7833 DP2020-89 17-Feb-2020 CHANGE OF RTA EFFECTED BY ISSUERS
7834 DP2020-90 17-Feb-2020 INVESTOR AWARENESS PROGRAMME
7835 DP2020-91 19-Feb-2020 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
ON FEBRUARY 19, 2020
7836 DP2020-92 19-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7837 DP2020-93 19-Feb-2020 CHANGE OF RTA EFFECTED BY ISSUER
7838 DP2020-94 20-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7839 DP2020-95 20-Feb-2020 INVESTOR AWARENESS PROGRAMMES
7840 DP2020-96 20-Feb-2020 TRAINING SCHEDULE FOR (CPE) PROGRAMME OF NISM
DEPOSITORY OPERATIONS
7841 DP2020-97 20-Feb-2020 SECURITY COUNCIL DOCUMENT AND SANCTIONS LISTS
7842 DP2020-100 24-Feb-2020 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
7843 DP2020-98 24-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7844 DP2020-99 24-Feb-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7845 DP2020-101 25-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7846 DP2020-102 25-Feb-2020 INVESTOR AWARENESS PROGRAMME
7847 DP2020-103 25-Feb-2020 SECURITY COUNCIL DOCUMENT AND SANCTIONS LISTS
7848 DP2020-104 25-Feb-2020 SECURITY COUNCIL DOCUMENT AND SANCTIONS LISTS
7849 DP2020-105 26-Feb-2020 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
7850 DP2020-106 26-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7851 DP2020-107 27-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7852 DP2020-108 27-Feb-2020 CAS LIST OF BOUNCED EMAIL BOIDS JANUARY 2020
7853 DP2020-109 27-Feb-2020 INVESTOR AWARENESS PROGRAMMES
7854 DP2020-110 28-Feb-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7855 DP2020-111 28-Feb-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7856 DP2020-112 28-Feb-2020 INVESTOR AWARENESS PROGRAMME
7857 DP2020-113 02-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7858 DP2020-114 02-Mar-2020 INVESTOR AWARENESS PROGRAMMES
7859 DP2020-115 02-Mar-2020 MARGIN OBLIGATIONS TO BE GIVEN BY WAY OF PLEDGE RE-
PLEDGE
7860 DP2020-116 03-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7861 DP2020-117 03-Mar-2020 INVESTOR AWARENESS PROGRAMME
7862 DP2020-118 04-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7863 DP2020-119 04-Mar-2020 INVESTOR AWARENESS PROGRAMMES
7864 DP2020-120 04-Mar-2020 WITHDRAWAL TERMINATION OF DEPOSITORY PARTICIPANT OF
CDSL
7865 DP2020-121 05-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7866 DP2020-122 05-Mar-2020 CAS LIST OF CAS ELIGIBLE BOIDS FEBRUARY 2020
7867 DP2020-123 05-Mar-2020 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7868 DP2020-124 05-Mar-2020 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
7869 DP2020-125 05-Mar-2020 DETAILS OF CORPORATE ACTION
7870 DP2020-126 06-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7871 DP2020-127 09-Mar-2020 WITHDRAWAL OF CDSL DP
7872 DP2020-128 09-Mar-2020 CHANGE OF RTA EFFECTED BY ISSUERS
7873 DP2020-129 09-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7874 DP2020-130 09-Mar-2020 INVESTOR AWARENESS PROGRAMME
7875 DP2020-131 11-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7876 DP2020-132 11-Mar-2020 INVESTOR AWARENESS PROGRAMMES
7877 DP2020-133 12-Mar-2020 AVAILABILITY OF CDSL SYSTEM
7878 DP2020-134 12-Mar-2020 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7879 DP2020-135 12-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 140
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7880 DP2020-136 13-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7881 DP2020-137 13-Mar-2020 INVESTOR AWARENESS PROGRAMMES
7882 DP2020-138 13-Mar-2020 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
7883 DP2020-139 13-Mar-2020 INTER-DEPOSITORY TRANSFERS DATED MARCH 14, 2020
7884 DP2020-140 15-Mar-2020 NOTIFICATION FROM MINISTRY OF FINANCE IN THE MATTER OF YES
BANK LIMITED
7885 DP2020-141 16-Mar-2020 MAPPING OF UNIQUE CLIENT CODE WITH DEMAT ACCOUNTS OF
THE CLIENTS
7886 DP2020-142 16-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7887 DP2020-143 16-Mar-2020 NOTIFICATION FROM MINISTRY OF FINANCE IN THE MATTER OF YES
BANK LIMITED
7888 DP2020-144 17-Mar-2020 DETAILS OF CORPORATE ACTION
7889 DP2020-145 17-Mar-2020 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7890 DP2020-146 18-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7891 DP2020-147 18-Mar-2020 MINISTRY OF FINANCE NOTIFICATION FOR YES
BANK LIMITED
7892 DP2020-148 19-Mar-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7893 DP2020-149 19-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7894 DP2020-150 20-Mar-2020 ADDITIONAL FACILITY OF GROUPING ACCOUNT FOR EASI EASIEST
USERS
7895 DP2020-151 20-Mar-2020 AVAILABILITY OF CDSL SYSTEM
7896 DP2020-152 20-Mar-2020 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS AT MUMBAI
7897 DP2020-153 23-Mar-2020 DETAILS OF CORPORATE ACTION
7898 DP2020-154 23-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7899 DP2020-155 23-Mar-2020 CHANGE OF RTA EFFECTED BY ISSUER
7900 DP2020-156 23-Mar-2020 NEW CORPORATE ACTION TYPE IN THE CDSL SYSTEM
7901 DP2020-157 24-Mar-2020 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON MARCH 25 2020
7902 DP2020-158 26-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7903 DP2020-159 27-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7904 DP2020-160 27-Mar-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
7905 DP2020-161 27-Mar-2020 GOVERNMENT OF INDIA NOTIFICATION REGARDING THE INDIAN
STAMP RULES 2019
7906 DP2020-162 30-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7907 DP2020-163 30-Mar-2020 ONLINE FACILITY TO UPLOAD DOWNLOAD INVESTOR GRIEVANCE
RELATED CORRESPONDENCE
7908 DP2020-164 30-Mar-2020 RELAXATION IN COMPLIANCE TIME PERIOD WITH CERTAIN SEBI
D&P REGULATION 2018 DUE TO COVID 19 PANDEMIC
7909 DP2020-165 30-Mar-2020 COLLECTION OF STAMP DUTY THROUGH STOCK EXCHANGES
CLEARING CORPORATIONS AND DEPOSITORIES RULES 2019
7910 DP2020-166 31-Mar-2020 SETTLEMENT TIMINGS OF BSE NSE MSEIL ON APRIL 03 2020 AND
APRIL 07 2020
7911 DP2020-167 31-Mar-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7912 DP2020-168 31-Mar-2020 NATIONAL RISK ASSESSMENT
7913 DP2020-169 01-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7914 DP2020-170 01-Apr-2020 SECURITY COUNCIL DOCUMENT AND SANCTIONS LISTS
7915 DP2020-171 01-Apr-2020 TEMPORARY RELAXATION IN PROCESSING OF DOCUMENTS
PERTAINING TO FPIS DUE TO COVID 19
7916 DP2020-172 03-Apr-2020 DETAILS OF CORPORATE ACTION
7917 DP2020-173 03-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7918 DP2020-174 07-Apr-2020 CAS LIST OF BOUNCED EMAIL BOIDS FEBRUARY 2020
7919 DP2020-175 07-Apr-2020 SUBMISSION DISSEMINATION OF DP TARIFF CHARGE STRUCTURE
TO CDSL EVERY YEAR
7920 DP2020-176 07-Apr-2020 CONTINUATION OF PHASE II OF UNIFIED PAYMENTS INTERFACE
7921 DP2020-177 07-Apr-2020 CYBER SECURITY ADVISORY
7922 DP2020-178 07-Apr-2020 REVISED SETTLEMENT TIMINGS FOR MUTUAL FUND REDEMPTION
7923 DP2020-179 07-Apr-2020 LIST OF CAS ELIGIBLE BOIDS MARCH 2020
7924 DP2020-180 08-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7925 DP2020-181 09-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7926 DP2020-182 09-Apr-2020 AVAILABILITY OF CDSL SYSTEM
7927 DP2020-183 09-Apr-2020 REVISED FORMAT FOR IAR AND CAR FOR HALF YEAR ENDED
7928 DP2020-184 09-Apr-2020 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7929 DP2020-185 13-Apr-2020 INSURANCE POLICY FOR SECURITIES
7930 DP2020-187 13-Apr-2020 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
7931 DP2020-188 15-Apr-2020 REVISED CUT OFF TIMELINE FOR MUTUAL FUND TRANSACTIONS
7932 DP2020-189 15-Apr-2020 RISK ASSESSMENT TEMPLATE
7933 DP2020-190 15-Apr-2020 MAPPING OF UNIQUE CLIENT CODE WITH DEMAT ACCOUNTS OF
THE CLIENTS

Page 141
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7934 DP2020-191 17-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7935 DP2020-192 17-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7936 DP2020-193 20-Apr-2020 EXTENSION SETTLEMENT TIMINGS MF NSE MSEIL
7937 DP2020-194 20-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7938 DP2020-195 21-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7939 DP2020-196 21-Apr-2020 SUBMISSION DISSEMINATION OF DP TARIFF CHARGE STRUCTURE
TO CDSL EVERY YEAR
7940 DP2020-197 21-Apr-2020 CDSLS DP OPERATING INSTRUCTIONS AS OF MARCH 2020
7941 DP2020-198 23-Apr-2020 RELAXATION IN TIME PERIOD FOR CERTAIN ACTIVITIES
7942 DP2020-199 23-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7943 DP2020-186 24-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7944 DP2020-200 24-Apr-2020 DETAILS OF CORPORATE ACTION
7945 DP2020-201 24-Apr-2020 RELAXATION IN TIMELINES FOR COMPLIANCE WITH REGULATORY
REQUIREMENTS
7946 DP2020-202 24-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7947 DP2020-203 27-Apr-2020 SEBI CIRCULAR - CLARIFICATION ON KNOW YOUR CLIENT (KYC)
PROCESS AND USE OF
TECHNOLOGY FOR KYC
7948 DP2020-204 28-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7949 DP2020-205 28-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7950 DP2020-207 29-Apr-2020 ADDITIONAL CHANGES IN DEMATERIALIZATION OF PHYSICAL
SECURITIES
7951 DP2020-208 29-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7952 DP2020-209 30-Apr-2020 SUBMISSION OF NET WORTH CERTIFICATE AUDITED FINANCIAL
STATEMENTS
7953 DP2020-210 30-Apr-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7954 DP2020-211 01-May-2020 DISSEMINATION OF DP TARIFF CHARGE STRUCTURE AND RISK
ASSESSMENT TEMPLATE
7955 DP2020-212 04-May-2020 CAS LIST OF BOUNCED EMAIL BOIDS MARCH 2020
7956 DP2020-213 04-May-2020 CAS LIST OF CAS ELIGIBLE BOIDS APRIL 2020
7957 DP2020-214 04-May-2020 FATF PUBLIC STATEMENT DATED FEBRUARY 21 2020
7958 DP2020-215 04-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7959 DP2020-216 05-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7960 DP2020-217 06-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7961 DP2020-218 06-May-2020 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7962 DP2020-219 06-May-2020 MULTIPLE SETTLEMENTS ON ACCOUNT OF TRADING
7963 DP2020-220 08-May-2020 AVAILABILITY OF CDSL SYSTEM
7964 DP2020-221 08-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7965 DP2020-222 08-May-2020 NATIONAL RISK ASSESSMENT
7966 DP2020-223 11-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7967 DP2020-224 12-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7968 DP2020-225 13-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7969 DP2020-226 13-May-2020 ENTITIES PERMITTED TO UNDERT0AKE E KYC AADHAAR
AUTHENTICATION SERVICE
7970 DP2020-227 14-May-2020 MAPPING OF UNIQUE CLIENT CODE WITH DEMAT ACCOUNTS OF
THE CLIENTS
7971 DP2020-228 14-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7972 DP2020-229 18-May-2020 RELAXATION IN TIMELINES FOR COMPLIANCE WITH REGULATORY
REQUIREMENTS
7973 DP2020-230 18-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7974 DP2020-231 18-May-2020 ANNUAL BILL
7975 DP2020-232 20-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7976 DP2020-233 22-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7977 DP2020-234 22-May-2020 MARGIN OBLIGATIONS TO BE GIVEN BY WAY OF MARGIN PLEDGE
MARGIN REPLEDGE
7978 DP2020-235 26-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7979 DP2020-236 27-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7980 DP2020-237 27-May-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
7981 DP2020-238 27-May-2020 TERMINATION OF DEPOSITORY PARTICIPANTS OF CDSL
7982 DP2020-239 27-May-2020 CAS LIST OF BOUNCED EMAIL BOIDS APRIL 2020
7983 DP2020-240 27-May-2020 MARGIN OBLIGATIONS TO BE GIVEN BY WAY OF PLEDGE RE
PLEDGE
7984 DP2020-241 28-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7985 DP2020-242 29-May-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7986 DP2020-243 02-Jun-2020 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
7987 DP2020-244 02-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7988 DP2020-245 02-Jun-2020 WARNING REGARDING CYCLONIC STORM NISARGA

Page 142
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
7989 DP2020-246 03-Jun-2020 MAPPING OF UNIQUE CLIENT CODE WITH DEMAT ACCOUNTS OF
THE CLIENTS
7990 DP2020-247 03-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7991 DP2020-248 05-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7992 DP2020-249 05-Jun-2020 CAS LIST OF CAS ELIGIBLE BOIDS MAY 2020
7993 DP2020-250 05-Jun-2020 MAPPING OF UNIQUE CLIENT CODE WITH DEMAT ACCOUNTS OF
THE CLIENTS
7994 DP2020-251 08-Jun-2020 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
7995 DP2020-252 08-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
7996 DP2020-253 09-Jun-2020 RELAXATION IN SUBMISSION OF CAR RAT
7997 DP2020-254 10-Jun-2020 AVAILABILITY OF CDSL SYSTEM
7998 DP2020-255 10-Jun-2020 IMPLEMENTATION OF PROVISION REGARDING POA
7999 DP2020-256 10-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8000 DP2020-257 10-Jun-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8001 DP2020-258 11-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8002 DP2020-259 11-Jun-2020 UNSC PRESS RELEASE AND SANCTION LISTS
8003 DP2020-260 11-Jun-2020 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
8004 DP2020-261 12-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8005 DP2020-262 12-Jun-2020 INDIAN STAMP RULES 2019
8006 DP2020-263 15-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8007 DP2020-264 16-Jun-2020 DETAILS OF CORPORATE ACTION
8008 DP2020-265 16-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8009 DP2020-266 17-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8010 DP2020-267 18-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8011 DP2020-268 18-Jun-2020 DETAILS OF CORPORATE ACTION
8012 DP2020-270 22-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8013 DP2020-271 23-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8014 DP2020-272 23-Jun-2020 CAS LIST OF BOUNCED EMAIL BOIDS MAY 2020
8015 DP2020-273 24-Jun-2020 RELAXATION IN TIMELINES FOR COMPLIANCE WITH REGULATORY
REQUIREMENTS
8016 DP2020-274 24-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8017 DP2020-275 25-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8018 DP2020-276 25-Jun-2020 TEMPORARY RELAXATION IN PROCESSING OF DOCUMENTS
PERTAINING TO FPIS DUE TO COVID 19
8019 DP2020-277 26-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8020 DP2020-278 27-Jun-2020 PROVISION TO PAY STAMP DUTY IN ADVANCE
THROUGH ONLINE PORTAL
8021 DP2020-280 30-Jun-2020 ADDITIONAL FIELD CODE VALUES IN DPC9 TRANSACTION CUM
HOLDING REPORT
8022 DP2020-281 30-Jun-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8023 DP2020-282 30-Jun-2020 RELAXATION IN TIMELINES FOR COMPLIANCE WITH REGULATORY
REQUIREMENTS
8024 DP2020-283 01-Jul-2020 PROVISION TO PAY STAMP DUTY IN ADVANCE THROUGH ONLINE
PORTAL
8025 DP2020-284 01-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8026 DP2020-285 01-Jul-2020 DETAILS OF CORPORATE ACTION
8027 DP2020-286 02-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8028 DP2020-287 03-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8029 DP2020-288 04-Jul-2020 YES BANK RECONSTRUCTION SCHEME 2020
8030 DP2020-289 06-Jul-2020 PROVISION TO PAY STAMP DUTY IN ADVANCE THROUGH ONLINE
PORTAL
8031 DP2020-290 06-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8032 DP2020-291 07-Jul-2020 YES BANK LIMITED RECONSTRUCTION SCHEME 2020
8033 DP2020-292 07-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8034 DP2020-293 07-Jul-2020 CAS LIST OF CAS ELIGIBLE BOIDS JUNE 2020
8035 DP2020-294 07-Jul-2020 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL
8036 DP2020-295 08-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8037 DP2020-296 08-Jul-2020 NEW CORPORATE ACTION TYPE IN CDSL
8038 DP2020-297 08-Jul-2020 AVAILABILITY OF CDSL SYSTEM
8039 DP2020-298 09-Jul-2020 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8040 DP2020-299 09-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8041 DP2020-300 09-Jul-2020 CHANGE OF RTA EFFECTED BY ISSUERS
8042 DP2020-301 10-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8043 DP2020-302 13-Jul-2020 STANDARD OPERATING PROCEDURE IN THE CASES OF TRADING
MEMBER CLEARING MEMBER
8044 DP2020-303 13-Jul-2020 DETAILS OF CORPORATE ACTION
8045 DP2020-304 13-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 143
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8046 DP2020-305 14-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8047 DP2020-306 14-Jul-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8048 DP2020-307 15-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8049 DP2020-308 16-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8050 DP2020-309 16-Jul-2020 MARGIN OBLIGATIONS TO BE GIVEN BY WAY OF MARGIN PLEDGE
MARGIN REPLEDGE
8051 DP2020-310 16-Jul-2020 DP OPERATIING IINSTRUCTIIONS AS OF JUNE 2020
8052 DP2020-311 17-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8053 DP2020-312 17-Jul-2020 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
8054 DP2020-313 20-Jul-2020 AMENDMENT TO CDSL'S BYELAWS
8055 DP2020-314 20-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8056 DP2020-315 20-Jul-2020 CHANGE OF RTA EFFECTED BY ISSUER
8057 DP2020-316 21-Jul-2020 PLEDDGING AND UNPLEDGING MODULE
8058 DP2020-317 22-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8059 DP2020-318 23-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8060 DP2020-319 24-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8061 DP2020-320 24-Jul-2020 DETAILS OF CORPORATE ACTION
8062 DP2020-321 27-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8063 DP2020-322 27-Jul-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8064 DP2020-323 27-Jul-2020 SECURITY COUNCIL DOCUMENT AND SANCTIONS LISTS
8065 DP2020-324 28-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8066 DP2020-325 28-Jul-2020 CAS LIST OF BOUNCED EMAIL BOIDS JUNE 2020
8067 DP2020-326 28-Jul-2020 MARGIN OBLIGATIONS TO BE GIVEN BY WAY OF MARGIN PLEDGE
REPLEDGE
8068 DP2020-327 29-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8069 DP2020-328 30-Jul-2020 SEBI CIRCULAR-MARGIN OBLIGATION BY WAY OF PLEDGE /
REPLEDGE IN DEPOSITORY SYSTEM
8070 DP2020-329 30-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8071 DP2020-330 31-Jul-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8072 DP2020-331 31-Jul-2020 SEBI CIRCULAR - RELAXATION IN TIMELINES FOR COMPLIANCE
WITH REGULATORY REQUIREMENTS
8073 DP2020-332 03-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8074 DP2020-333 04-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8075 DP2020-334 05-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8076 DP2020-335 06-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8077 DP2020-336 06-Aug-2020 LIST OF CAS ELIGIBLE BOIDS JULY 2020
8078 DP2020-337 07-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8079 DP2020-338 07-Aug-2020 MARGIN OBLIGATIONS TO BE GIVEN BY WAY OF MARGIN PLEDGE
REPLEDGE
8080 DP2020-339 07-Aug-2020 AVAILABILITY OF CDSL SYSTEM
8081 DP2020-340 07-Aug-2020 FACILITY FOR BASIC SERVICE DEMAT ACCOUNT
8082 DP2020-341 10-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8083 DP2020-342 10-Aug-2020 FAQ ON SEBI CIRCULAR KYC PROCESS AND USE OF TECHNOLOGY
FOR KYC
8084 DP2020-343 11-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8085 DP2020-344 11-Aug-2020 MANDATORY DOWNLOAD OF LATEST DIGITAL SIGNER
8086 DP2020-345 12-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8087 DP2020-346 12-Aug-2020 DETAILS OF CORPORATE ACTION
8088 DP2020-347 12-Aug-2020 STAMP DUTY UTILIZATION DETAILS
8089 DP2020-348 13-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8090 DP2020-349 14-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8091 DP2020-350 17-Aug-2020 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
8092 DP2020-351 17-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8093 DP2020-352 18-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8094 DP2020-353 18-Aug-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8095 DP2020-354 19-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8096 DP2020-355 20-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8097 DP2020-356 21-Aug-2020 DETAILS OF CORPORATE ACTION
8098 DP2020-357 21-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8099 DP2020-358 21-Aug-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8100 DP2020-359 21-Aug-2020 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTION
8101 DP2020-360 24-Aug-2020 NEW CORPORATE ACTION TYPES IN CDSL SYSTEM
8102 DP2020-361 24-Aug-2020 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
8103 DP2020-362 24-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8104 DP2020-363 25-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 144
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8105 DP2020-364 25-Aug-2020 MARGIN PLEDGE MARGIN REPLEDGE IN THE DEPOSITORY SYSTEM
8106 DP2020-365 26-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8107 DP2020-366 27-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8108 DP2020-367 27-Aug-2020 SECURITY COUNCIL DOCUMENT AND SANCTIONS LISTS
8109 DP2020-368 28-Aug-2020 DETAILS OF CORPORATE ACTION
8110 DP2020-369 28-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8111 DP2020-370 28-Aug-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8112 DP2020-371 28-Aug-2020 EXECUTION OF POA BY THE CLIENT IN FAVOUR OF THE STOCK
BROKER
8113 DP2020-372 29-Aug-2020 AVAILABILTY OF CDSL SYSTEM
8114 DP2020-373 29-Aug-2020 RECORDING OF ALL TYPES OF ENCUMBRANCES IN THE
DEPOSITORY SYSTEM
8115 DP2020-374 31-Aug-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8116 DP2020-375 01-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8117 DP2020-376 01-Sep-2020 TEMPORARY RELAXATION IN PROCESSING OF DOCUMENTS
PERTAINING TO FPIS
8118 DP2020-377 02-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8119 DP2020-378 02-Sep-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8120 DP2020-379 02-Sep-2020 DETAILS OF CORPORATE ACTION
8121 DP2020-380 03-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8122 DP2020-381 04-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8123 DP2020-382 07-Sep-2020 MARGIN PLEDGE MARGIN RE-PLEDGE IN THE DEPOSITORY SYSTEM
8124 DP2020-383 07-Sep-2020 DETAILS OF CORPORATE ACTION
8125 DP2020-384 07-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8126 DP2020-385 07-Sep-2020 CAS LIST OF CAS ELIGIBLE BOIDS AUGUST 2020
8127 DP2020-386 07-Sep-2020 TEMPLATE FOR INTERNAL RISK ASSESSMENT OF DPS
8128 DP2020-387 08-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8129 DP2020-388 09-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8130 DP2020-389 10-Sep-2020 CORRIGENDUM TO MASTER CIRCULAR FOR DEPOSITORIES
8131 DP2020-390 10-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8132 DP2020-391 10-Sep-2020 RELAXATION IN SUBMISSION OF CONCURRENT AUDIT OF RISK
PRONE AREAS
8133 DP2020-392 10-Sep-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8134 DP2020-393 10-Sep-2020 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8135 DP2020-394 10-Sep-2020 ENTITIES PERMITTED TO UNDERTAKE E KYC AADHAAR
AUTHENTICATION
8136 DP2020-395 11-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8137 DP2020-396 11-Sep-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8138 DP2020-397 14-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8139 DP2020-398 15-Sep-2020 STAMP DUTY UTILIZATION DETAILS
8140 DP2020-400 16-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8141 DP2020-399 17-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8142 DP2020-401 17-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8143 DP2020-402 17-Sep-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8144 DP2020-403 18-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8145 DP2020-404 18-Sep-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8146 DP2020-405 21-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8147 DP2020-406 21-Sep-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8148 DP2020-407 21-Sep-2020 SECURITY COUNCIL DOCUMENT AND SANCTIONS LISTS
8149 DP2020-408 22-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8150 DP2020-409 22-Sep-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8151 DP2020-410 23-Sep-2020 WITHDRAWAL OF SECURITIES FROM CDSL
8152 DP2020-411 23-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8153 DP2020-412 24-Sep-2020 MARGIN OBLIGATIONS TO BE GIVEN BY WAY OF MARGIN PLEDGE
REPLEDGE
8154 DP2020-413 24-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8155 DP2020-414 24-Sep-2020 WRITE OFF OF SHARES HELD BY FPIS
8156 DP2020-415 25-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8157 DP2020-416 28-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8158 DP2020-417 28-Sep-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8159 DP2020-418 28-Sep-2020 DETAILS OF CORPORATE ACTION
8160 DP2020-419 29-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8161 DP2020-420 29-Sep-2020 MAPPING OF UNIQUE CLIENT CODE WITH DEMAT ACCOUNTS OF
THE BENEFICIAL OWNERS
8162 DP2020-421 30-Sep-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 145
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8163 DP2020-422 30-Sep-2020 EXTENSION OF TIME FOR SUBMISSION OF NET WORTH
CERTIFICATE
8164 DP2020-423 30-Sep-2020 RISK ASSESSMENT TEMPLATE
8165 DP2020-424 01-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8166 DP2020-425 01-Oct-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8167 DP2020-426 01-Oct-2020 DETAILS OF CORPORATE ACTION
8168 DP2020-427 05-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8169 DP2020-428 05-Oct-2020 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
8170 DP2020-429 06-Oct-2020 CAS LIST OF CAS ELIGIBLE BOIDS SEPTEMBER 2020
8171 DP2020-430 06-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8172 DP2020-431 06-Oct-2020 FRAMEWORK FOR MONITORING OF FOREIGN HOLDING IN
DEPOSITORY RECEIPTS
8173 DP2020-432 06-Oct-2020 AMENDMENTS TO CDSLS BYE LAWS
8174 DP2020-433 06-Oct-2020 RELAXATION IN TIMELINES FOR COMPLIANCE WITH REGULATORY
REQUIREMENTS
8175 DP2020-434 07-Oct-2020 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8176 DP2020-435 07-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8177 DP2020-436 08-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8178 DP2020-437 08-Oct-2020 DETAILS OF CORPORATE ACTION
8179 DP2020-438 08-Oct-2020 AVAILABILITY OF CDSL SYSTEM
8180 DP2020-439 09-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8181 DP2020-440 12-Oct-2020 STAMP DUTY UTILIZATION DETAILS
8182 DP2020-441 12-Oct-2020 DETAILS OF CORPORATE ACTION
8183 DP2020-442 12-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8184 DP2020-443 13-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8185 DP2020-444 14-Oct-2020 FAQ ON SEBI CIRCULAR CLARIFICATION ON KYC PROCESS AND
USE OF TECHNOLOGY FOR KYC
8186 DP2020-445 14-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8187 DP2020-446 14-Oct-2020 REVISED CHECKLIST ON CONCURRENT AUDIT OF RISK PRONE
AREAS
8188 DP2020-447 14-Oct-2020 MANDATORY OTP AUTHENTICATION FOR OFF MARKET TRANSFERS
8189 DP2020-448 14-Oct-2020 REMINDER PROCESSING OF PENDING REQUEST IN EASIEST
8190 DP2020-449 15-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8191 DP2020-450 15-Oct-2020 AMENDMENTS TO CDSLS BYE LAWS
8192 DP2020-451 15-Oct-2020 CDSLS DP OPERATING INSTRUCTIONS AS OF SEPTEMBER 2020
8193 DP2020-452 16-Oct-2020 UNSC PRESS RELEASE AND SANCTION LISTS
8194 DP2020-453 16-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8195 DP2020-454 16-Oct-2020 WITHDRAWAL OF SECURITIES FROM CDSL
8196 DP2020-455 16-Oct-2020 SUBMISSION OF IAR AND CAR FOR HALF YEAR ENDED 30 SEPT 2020
8197 DP2020-456 19-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8198 DP2020-457 19-Oct-2020 REVISED CUT OFF TIMELINE FOR MUTUAL FUND TRANSACTIONS
8199 DP2020-458 20-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8200 DP2020-459 21-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8201 DP2020-460 22-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8202 DP2020-461 23-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8203 DP2020-462 26-Oct-2020 SEBI ADVISORY ON REMOTE ACCESS AND TELECOMMUTING
8204 DP2020-463 26-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8205 DP2020-464 26-Oct-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8206 DP2020-465 27-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8207 DP2020-466 28-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8208 DP2020-467 29-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8209 DP2020-468 29-Oct-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8210 DP2020-469 29-Oct-2020 SETTLEMENT TIMINGS OF BSE NSE MSEIL ICEX
8211 DP2020-470 30-Oct-2020 EXTENSION OF TIME FOR SUBMISSION OF NET WORTH
CERTIFICATE
8212 DP2020-471 30-Oct-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8213 DP2020-472 30-Oct-2020 DETAILS OF CORPORATE ACTION
8214 DP2020-473 02-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8215 DP2020-474 03-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8216 DP2020-475 04-Nov-2020 MAPPING OF UCC WITH DEMAT ACCOUNTS OF THE BENEFICIAL
OWNERS
8217 DP2020-476 04-Nov-2020 EXEMPTION FROM TRAVEL BAN FOR THE THREE SANCTIONED
MEMBERS
8218 DP2020-477 04-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8219 DP2020-478 04-Nov-2020 RECOGNITIONS OF CDSLS BRANCH OFFICE IN GIFT CITY
8220 DP2020-479 05-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 146
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8221 DP2020-480 05-Nov-2020 AVAILABILITY OF CDSL SYSTEM
8222 DP2020-481 05-Nov-2020 CAS LIST OF CAS ELIGIBLE BOIDS OCTOBER 2020
8223 DP2020-482 06-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8224 DP2020-483 06-Nov-2020 FATF PUBLIC STATEMENTS AFTER OCTOBER 2020 PLENARY
8225 DP2020-484 09-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8226 DP2020-485 09-Nov-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8227 DP2020-486 09-Nov-2020 WITHDRAWAL OF SECURITIES FROM CDSL
8228 DP2020-487 09-Nov-2020 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8229 DP2020-488 09-Nov-2020 STAMP DUTY UTILIZATION DETAILS
8230 DP2020-489 10-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8231 DP2020-490 11-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8232 DP2020-491 11-Nov-2020 MULTIPLE SETTLEMENTS ON ACCOUNT OF MUHURAT TRADING
8233 DP2020-492 12-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8234 DP2020-493 13-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8235 DP2020-494 13-Nov-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8236 DP2020-495 17-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8237 DP2020-496 17-Nov-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8238 DP2020-497 17-Nov-2020 WITHDRAWAL OF SECURITIES FROM CDSL
8239 DP2020-498 18-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8240 DP2020-499 19-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8241 DP2020-500 20-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8242 DP2020-501 20-Nov-2020 WORLD INVESTOR WEEK 2020
8243 DP2020-502 23-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8244 DP2020-503 23-Nov-2020 INFORMATION ON WEBSITE OF DPS FOR WORLD INVESTOR WEEK
2020
8245 DP2020-504 24-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8246 DP2020-505 25-Nov-2020 INTRODUCTION OF UPI MECHANISM AND APPLICATION THROUGH
ONLINE INTERFACE
8247 DP2020-506 25-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8248 DP2020-507 26-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8249 DP2020-508 26-Nov-2020 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
8250 DP2020-509 26-Nov-2020 AVAILABILITY OF CDSL SYSTEM
8251 DP2020-510 27-Nov-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8252 DP2020-511 27-Nov-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
8253 DP2020-512 27-Nov-2020 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
8254 DP2020-513 27-Nov-2020 NEW CORPORATE ACTION TYPE IN THE CDSL SYSTEM
8255 DP2020-514 01-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8256 DP2020-515 01-Dec-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8257 DP2020-516 01-Dec-2020 RELAXATION IN TIMELINES FOR COMPLIANCE WITH REGULATORY
REQUIREMENTS
8258 DP2020-517 02-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8259 DP2020-518 02-Dec-2020 STAMP DUTY UTILIZATION DETAILS
8260 DP2020-519 03-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8261 DP2020-520 04-Dec-2020 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8262 DP2020-521 04-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8263 DP2020-522 04-Dec-2020 CAS LIST OF BOUNCED EMAIL BOIDS
8264 DP2020-523 04-Dec-2020 CAS LIST OF CAS ELIGIBLE
BOIDS NOVEMBER 2020
8265 DP2020-524 07-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8266 DP2020-525 07-Dec-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8267 DP2020-526 07-Dec-2020 MAPPING OF UNIQUE CLIENT CODE WITH DEMAT ACCOUNTS OF
BENEFICIAL OWNERS
8268 DP2020-527 07-Dec-2020 OPERATIONAL GUIDELINES FOR TRANSFER AND DEMAT OF RE
LODGED PHYSICAL SHARES
8269 DP2020-528 08-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8270 DP2020-529 09-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8271 DP2020-530 09-Dec-2020 FINANCIAL SECTOR ORGANISATIONS REGARDING SOFTWARE AS A
SERIVCE SAAS BASED SYSTEM
8272 DP2020-531 10-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8273 DP2020-532 10-Dec-2020 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
8274 DP2020-533 10-Dec-2020 AVAILABILITY OF CDSL SYSTEM
8275 DP2020-534 11-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8276 DP2020-535 11-Dec-2020 E VOTING FACILITY PROVIDED BY LISTED ENTITIES
8277 DP2020-536 14-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8278 DP2020-537 14-Dec-2020 DETILS OF CORPORATE ACTION

Page 147
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8279 DP2020-538 14-Dec-2020 FURTHER RELAXATION IN SUBMISSION OF CAR
8280 DP2020-539 15-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8281 DP2020-540 16-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8282 DP2020-541 17-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8283 DP2020-542 17-Dec-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8284 DP2020-543 18-Dec-2020 CDSLS DP ONLINE TRAINING PROGRAMME FROM JANUARY 18 TO
21 2021
8285 DP2020-544 18-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8286 DP2020-545 18-Dec-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8287 DP2020-546 18-Dec-2020 DETAILS OF CORPORATE ACTION
8288 DP2020-547 21-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8289 DP2020-548 22-Dec-2020 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
8290 DP2020-549 22-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8291 DP2020-550 22-Dec-2020 NOTIFICATION ON UPDATED LISTS OF UNSCR 1718 SANCTIONS
COMMITTEE
8292 DP2020-551 22-Dec-2020 FRAMEWORK FOR ISSUE OF DEPOSITORY RECEIPTS
CLARIFICATIONS
8293 DP2020-552 23-Dec-2020 EXTENSION OF INTER DEPOSITORY DEADLINE TIME
8294 DP2020-553 23-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8295 DP2020-554 28-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8296 DP2020-555 28-Dec-2020 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
8297 DP2020-556 29-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8298 DP2020-557 29-Dec-2020 INCREASE IN WIDTH OF TRANSACTION ID FROM 6 DIGITS TO 8
DIGITS
8299 DP2020-558 30-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8300 DP2020-559 30-Dec-2020 INTER DEPOSITORY TRANSFERS AND PENALTY FOR NON
MOVEMENT OF PAYOUT SECURITIES
8301 DP2020-560 30-Dec-2020 CAS LIST OF BOUNCED EMAIL BOIDS
8302 DP2020-561 31-Dec-2020 DETAILS OF SECURITIES ADMITTED WITH CDSL
8303 DP2021-1 01-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8304 DP2021-2 01-Jan-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8305 DP2021-3 01-Jan-2021 DETAILS OF CORPORATE ACTION
8306 DP2021-4 04-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8307 DP2021-5 05-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8308 DP2021-6 05-Jan-2021 CAS LIST OF CAS ELIGIBLE BOIDS DECEMBER 2020
8309 DP2021-7 06-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8310 DP2021-8 06-Jan-2021 MAPPING OF UNIQUE CLIENT CODE WITH DEMAT ACCOUNTS
8311 DP2021-9 06-Jan-2021 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8312 DP2021-10 07-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8313 DP2021-11 08-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8314 DP2021-12 08-Jan-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8315 DP2021-13 08-Jan-2021 AVAILABILITY OF CDSL SYSTEM
8316 DP2021-14 11-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8317 DP2021-15 11-Jan-2021 DETAILS OF CHANGE OF RTA ADMITTED WITH CDSL
8318 DP2021-16 12-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8319 DP2021-17 13-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8320 DP2021-18 13-Jan-2021 DETAILS OF CORPORATE ACTION
8321 DP2021-19 14-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8322 DP2021-20 14-Jan-2021 CDSLS DPS OPERATING INSTRUCTIONS AS OF DECEMBER 2020
8323 DP2021-21 15-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8324 DP2021-22 15-Jan-2021 DETAIL OF CHANGE OF RTA EFFECTED BY ISSUER
8325 DP2021-23 18-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8326 DP2021-24 19-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8327 DP2021-25 20-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8328 DP2021-26 21-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8329 DP2021-27 21-Jan-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8330 DP2021-28 21-Jan-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8331 DP2021-29 22-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8332 DP2021-30 25-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8333 DP2021-31 25-Jan-2021 DETAIL OF CHANGE OF RTA EFFECTED BY ISSUER
8334 DP2021-32 25-Jan-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8335 DP2021-33 25-Jan-2021 UPDATED LIST OF REASON CODES FOR OFF MARKET
TRANSACTIONS
8336 DP2021-34 27-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8337 DP2021-35 28-Jan-2021 LIST OF INDIVIDUALS ENTITIES DESIGNATED ADDED AMENDED BY
UNSCR

Page 148
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8338 DP2021-36 28-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8339 DP2021-37 29-Jan-2021 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
8340 DP2021-38 29-Jan-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8341 DP2021-39 29-Jan-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8342 DP2021-40 29-Jan-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8343 DP2021-41 29-Jan-2021 CAS LIST OF BOUNCED EMAIL BOIDS
8344 DP2021-42 01-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8345 DP2021-43 01-Feb-2021 INSURANCE POLICY FOR WAREHOUSE RECEIPTS HELD IN
DEMATERIALISED FORM
8346 DP2021-44 02-Feb-2021 STAMP DUTY UTILIZATION DETAILS
8347 DP2021-45 02-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8348 DP2021-46 02-Feb-2021 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION PROGRAMME OF NISM DEPOSITORY OPERATIONS
8349 DP2021-47 03-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8350 DP2021-48 04-Feb-2021 LIST OF CAS ELIGIBLE BOIDS ? JANUARY 2021
8351 DP2021-49 04-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8352 DP2021-50 05-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8353 DP2021-51 05-Feb-2021 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8354 DP2021-52 06-Feb-2021 REQUEST FOR QUOTE (RFQ) FOR DEMAT ACCOUNTS HELD BY
KARVY STOCK BROKING LTD
8355 DP2021-53 08-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8356 DP2021-54 08-Feb-2021 ACCEPTANCE OF DELIVERY INSTRUCTIONS THROUGH ONLINE
PORTAL OF INTERMEDIARIES
8357 DP2021-55 09-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8358 DP2021-56 09-Feb-2021 CDSLS DP TRAINING PROGRAMME
8359 DP2021-57 09-Feb-2021 TRAINING PROGRAMME FOR COMPLIANCE PRINCIPAL OFFICERS
8360 DP2021-58 10-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8361 DP2021-59 10-Feb-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
8362 DP2021-60 10-Feb-2021 AVAILABILITY OF CDSL SYSTEM
8363 DP2021-62 11-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8364 DP2021-63 11-Feb-2021 DETAILS OF CORPORATE ACTION
8365 DP2021-64 12-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8366 DP2021-65 12-Feb-2021 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
8367 DP2021-66 12-Feb-2021 REQUEST FOR QUOTE (RFQ) FOR DEMAT ACCOUNTS HELD BY
KARVY STOCK BROKING LIMITED
8368 DP2021-67 15-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8369 DP2021-68 16-Feb-2021 INCREASE IN WIDTH OF PLEDGE SEQUENCE NUMBER
8370 DP2021-69 16-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8371 DP2021-70 17-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8372 DP2021-71 17-Feb-2021 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
8373 DP2021-72 17-Feb-2021 DETAILS OF CORPORATE ACTIONS
8374 DP2021-73 17-Feb-2021 DETAILS OF CORPORATE ACTIONS
8375 DP2021-74 17-Feb-2021 DETAILS OF CORPORATE ACTIONS
8376 DP2021-75 18-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8377 DP2021-76 18-Feb-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8378 DP2021-77 18-Feb-2021 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
8379 DP2021-78 19-Feb-2021 AMENDMENT TO BYE LAWS
8380 DP2021-79 19-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8381 DP2021-80 22-Feb-2021 UPGRADATION REL ID CLIENT SOFTWARE AT USER END
8382 DP2021-81 22-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8383 DP2021-82 23-Feb-2021 CPE PROGRAMME OF NISM DEPOSITORY PARTICIPANT
8384 DP2021-83 23-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8385 DP2021-84 24-Feb-2021 DETAILS OS SECURITIES ADMITTED WITH CDSL
8386 DP2021-85 24-Feb-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8387 DP2021-86 25-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8388 DP2021-87 25-Feb-2021 UPDATES UNSC AMENDMENT OF 92 ENTRIES
8389 DP2021-88 26-Feb-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8390 DP2021-89 01-Mar-2021 UPDATES TO UNSC LIST DELETION OF 2 INDIVIDUALS
8391 DP2021-90 01-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8392 DP2021-91 01-Mar-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8393 DP2021-92 01-Mar-2021 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
8394 DP2021-93 02-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8395 DP2021-94 02-Mar-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8396 DP2021-95 03-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8397 DP2021-96 04-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 149
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8398 DP2021-97 04-Mar-2021 MASTER CIRCULAR ON SURVEILLANCE OF SECURITIES MARKET
8399 DP2021-98 05-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8400 DP2021-99 06-Mar-2021 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
8401 DP2021-100 08-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8402 DP2021-101 08-Mar-2021 CHANGE OF RTA EFFECTED BY ISSUER
8403 DP2021-102 08-Mar-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8404 DP2021-103 08-Mar-2021 DETAILS OF CORPORATE ACTION
8405 DP2021-104 08-Mar-2021 FATF PUBLIC STATEMENTS AFTER FEBRUARY 2021 PLENARY
8406 DP2021-105 09-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8407 DP2021-106 09-Mar-2021 VERIFICATION OF ADDRESS MOBILE AND EMAIL ID
8408 DP2021-107 10-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8409 DP2021-108 10-Mar-2021 CAS LIST OF BOUNCED EMAIL BOIDS
8410 DP2021-109 10-Mar-2021 CAS LIST OF CAS ELIGIBLE BOIDS FEBRUARY 2021
8411 DP2021-110 10-Mar-2021 STAMP DUTY UTILIZATION DETAILS
8412 DP2021-111 12-Mar-2021 AVAILABILITY OF CDSL SYSTEM
8413 DP2021-112 12-Mar-2021 CODE OF CONDUCT FOR PREVENTION OF FRAUD OR MARKET
ABUSE
8414 DP2021-113 12-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8415 DP2021-114 12-Mar-2021 ACCEPTANCE OF DELIVERY INSTRUCTIONS THROUGH ONLINE
PORTAL OF DEPOSITORY PARTICIPANTS / STOCK BROKERS
8416 DP2021-115 15-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8417 DP2021-116 16-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8418 DP2021-117 16-Mar-2021 CHANGE OF RTA EFFECTED BY ISSUER
8419 DP2021-118 17-Mar-2021 DETAILS OF CORPORATE ACTION
8420 DP2021-119 17-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8421 DP2021-120 18-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8422 DP2021-121 18-Mar-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8423 DP2021-122 18-Mar-2021 ROLLOUT OF LEGAL ENTITY TEMPLATE
8424 DP2021-123 19-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8425 DP2021-124 19-Mar-2021 CHANGE OF RTA EFFECTED BY ISSUER
8426 DP2021-125 19-Mar-2021 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION PROGRAMME OF NISM ? DEPOSITORY OPERATIONS
8427 DP2021-126 19-Mar-2021 AMENDMENTS TO BYE LAWS
8428 DP2021-127 22-Mar-2021 CLARIFICATION ON DOWNLOADING OF THE KYC DOCUMENTS OF
CLIENTS FROM KRA SYSTEM
8429 DP2021-128 22-Mar-2021 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
8430 DP2021-129 22-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8431 DP2021-130 22-Mar-2021 TRAI REGULATIONS 2018
8432 DP2021-131 23-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8433 DP2021-132 23-Mar-2021 CHANGE OF RTA EFFECTED BY ISSUER
8434 DP2021-133 24-Mar-2021 DETAILS OF CORPORATE ACTION
8435 DP2021-134 24-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8436 DP2021-135 25-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8437 DP2021-136 25-Mar-2021 RISK ASSESSMENT TEMPLATE
8438 DP2021-137 25-Mar-2021 DETAILS OF CORPORATE ACTION
8439 DP2021-138 26-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8440 DP2021-139 26-Mar-2021 UPDATES TO UNSC'S ISIL (DA'ESH) & AL-QAIDA SANCTIONS LIST -
AMENDMENT OF 8 INDIVIDUALS
8441 DP2021-140 30-Mar-2021 CDSLS DP ONLINE TRAINING PROGRAMME
8442 DP2021-141 30-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8443 DP2021-142 30-Mar-2021 DETAILS OF CORPORATE ACTION
8444 DP2021-143 30-Mar-2021 PRIOR APPROVAL FOR CHANGE IN CONTROL
8445 DP2021-144 31-Mar-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8446 DP2021-145 31-Mar-2021 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
ON THURSDAY APRIL 01 2021
8447 DP2021-146 01-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8448 DP2021-147 01-Apr-2021 AVAILABILITY OF CDSL SYSTEM
8449 DP2021-148 01-Apr-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8450 DP2021-149 01-Apr-2021 GUIDELINES PERTAINING TO SURRENDER OF FPI REGISTRATION
8451 DP2021-150 05-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8452 DP2021-151 05-Apr-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8453 DP2021-152 05-Apr-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES OF KYC OF
CLIENTS
8454 DP2021-153 06-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8455 DP2021-154 06-Apr-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8456 DP2021-155 06-Apr-2021 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT

Page 150
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8457 DP2021-156 06-Apr-2021 ACCEPTANCE OF DELIVERY INSTRUCTIONS THROUGH ONLINE
PORTAL OF DEPOSITORY PARTICIPANTS / STOCK BROKERS
8458 DP2021-157 07-Apr-2021 CAS LIST OF BOUNCED EMAIL BOIDS
8459 DP2021-158 07-Apr-2021 STAMP DUTY UTILIZATION DETAILS
8460 DP2021-159 07-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8461 DP2021-160 07-Apr-2021 COMBATING FINANCING OF TERRORISM
8462 DP2021-161 08-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8463 DP2021-162 08-Apr-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8464 DP2021-163 08-Apr-2021 UPDATES TO UNSCS 1267 1989 ISIL DA ESH AND AL QAIDA
SANCTIONS
LIST
8465 DP2021-164 08-Apr-2021 LIST OF CAS ELIGIBLE
BOIDS MARCH 2021
8466 DP2021-165 09-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8467 DP2021-166 10-Apr-2021 TRANSFER OF BUSINESS BY SEBI REGISTERED INTERMEDIARIES
8468 DP2021-167 12-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8469 DP2021-168 12-Apr-2021 CHANGE OF RTA EFFECTED BY ISSUER
8470 DP2021-169 12-Apr-2021 DETAILS OF CORPORATE ACTIONS
8471 DP2021-170 12-Apr-2021 INSURANCE POLICY FOR SECURITIES
8472 DP2021-171 12-Apr-2021 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
8473 DP2021-172 13-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8474 DP2021-173 14-Apr-2021 DETAILS OF CORPORATE ACTIONS
8475 DP2021-174 15-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8476 DP2021-175 16-Apr-2021 DP OPERATING INSTRUCTIONS AS OF MARCH - 2021
8477 DP2021-176 16-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8478 DP2021-177 16-Apr-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8479 DP2021-178 19-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8480 DP2021-179 19-Apr-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8481 DP2021-180 19-Apr-2021 WITHDRAWAL OF CDSL DP
8482 DP2021-181 20-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8483 DP2021-182 20-Apr-2021 DETAIL OF CHANGE OF RTA EFFECTED BY ISSUER
8484 DP2021-183 22-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8485 DP2021-184 22-Apr-2021 SUBMISSION / DISSEMINATION OF DP TARIFF / CHARGE
STRUCTURE
8486 DP2021-185 23-Apr-2021 ACCEPTANCE OF DELIVERY INSTRUCTIONS THROUGH ONLINE
PORTAL
8487 DP2021-186 23-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8488 DP2021-187 23-Apr-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8489 DP2021-188 26-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8490 DP2021-189 26-Apr-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8491 DP2021-190 26-Apr-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8492 DP2021-191 27-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8493 DP2021-192 28-Apr-2021 REMINDER - SUBMISSION / DISSEMINATION OF DP TARIFF / CHARGE
STRUCTURE
8494 DP2021-193 28-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8495 DP2021-194 28-Apr-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8496 DP2021-195 29-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8497 DP2021-196 29-Apr-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8498 DP2021-197 29-Apr-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8499 DP2021-198 29-Apr-2021 UPDATION OF MERGER BANK DETAILS
8500 DP2021-199 30-Apr-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8501 DP2021-200 30-Apr-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
8502 DP2021-201 30-Apr-2021 WITHDRAWAL OF REGISTRAR AND TRANSFER AGENT OF CDSL
8503 DP2021-202 30-Apr-2021 SEBI - RELAXATION IN TIMELINES FOR COMPLIANCE WITH
REGULATORY REQUIREMENTS
8504 DP2021-203 01-May-2021 DETAILS OF CORPORATE ACTION
8505 DP2021-204 03-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8506 DP2021-205 03-May-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
8507 DP2021-206 04-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8508 DP2021-207 04-May-2021 CYBER SECURITY ADVISORY - STANDARD OPERATING PROCEDURE
8509 DP2021-208 05-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8510 DP2021-209 06-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8511 DP2021-210 06-May-2021 CYBER SECURITY - INFORMATION OF DESIGNATED OFFICER
8512 DP2021-211 07-May-2021 AVAILABILITY OF CDSL SYSTEM
8513 DP2021-212 07-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8514 DP2021-213 07-May-2021 DETAILS OF CORPORATE ACTION

Page 151
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8515 DP2021-214 07-May-2021 ACCEPTANCE OF DIS THROUGH ONLINE PORTAL
8516 DP2021-215 07-May-2021 ACCEPTANCE OF DELIVERY INSTRUCTIONS THROUGH ONLINE
PORTAL OF DEPOSITORY PARTICIPANTS / STOCK BROKERS
8517 DP2021-216 08-May-2021 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8518 DP2021-217 10-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8519 DP2021-218 10-May-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8520 DP2021-219 11-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8521 DP2021-220 11-May-2021 DETAILS OF CORPORATE ACTION
8522 DP2021-221 11-May-2021 CDSLS DP TRAINING PROGRAMME
8523 DP2021-222 12-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8524 DP2021-223 14-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8525 DP2021-224 17-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8526 DP2021-225 17-May-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8527 DP2021-226 17-May-2021 DISSEMINATION OF INFORMATION ON ACTION TAKEN AGAINST DPS
ON THE WEBSITE OF DEPOSITORIES
8528 DP2021-227 17-May-2021 SUBMISSION OF NET WORTH CERTIFICATE AND AUDITED
FINANCIAL STATEMENTS
8529 DP2021-228 18-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8530 DP2021-229 19-May-2021 DETAILS OF CORPORATE ACTION
8531 DP2021-230 19-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8532 DP2021-231 20-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8533 DP2021-232 21-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8534 DP2021-233 21-May-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8535 DP2021-234 24-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8536 DP2021-235 24-May-2021 DETAILS OF CORPORATE ACTION
8537 DP2021-236 25-May-2021 REVISED FORMAT FOR REPORT ON INTERNAL AUDIT OF
DEPOSITORY PARTICIPANT
8538 DP2021-237 25-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8539 DP2021-238 25-May-2021 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
ON WEDNESDAY MAY 26 2021
8540 DP2021-239 26-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8541 DP2021-240 27-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8542 DP2021-241 27-May-2021 LIST OF STATUS AND SUB STATUS FOR DEMAT ACCOUNTS
8543 DP2021-242 28-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8544 DP2021-243 31-May-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8545 DP2021-244 31-May-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8546 DP2021-245 31-May-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8547 DP2021-246 01-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8548 DP2021-247 02-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8549 DP2021-248 02-Jun-2021 OFF MARKET TRANSFER OF SECURITIES BY FPI
8550 DP2021-249 03-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8551 DP2021-250 03-Jun-2021 ANNUAL BILL
8552 DP2021-251 04-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8553 DP2021-252 07-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8554 DP2021-253 07-Jun-2021 REVISED CHECKLIST ON CONCURRENT AUDIT OF RISK PRONE
AREAS
8555 DP2021-254 07-Jun-2021 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8556 DP2021-255 08-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8557 DP2021-256 08-Jun-2021 NEW CORPORATE ACTION TYPES IN CDSL SYSTEM
8558 DP2021-257 09-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8559 DP2021-258 09-Jun-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8560 DP2021-259 10-Jun-2021 AVAILABILITY OF CDSL SYSTEM
8561 DP2021-260 10-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8562 DP2021-261 10-Jun-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8563 DP2021-262 11-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8564 DP2021-263 14-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8565 DP2021-264 15-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8566 DP2021-265 16-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8567 DP2021-266 17-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8568 DP2021-267 17-Jun-2021 DETAILS OF CORPORATE ACTION
8569 DP2021-268 18-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8570 DP2021-269 18-Jun-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8571 DP2021-270 21-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8572 DP2021-271 22-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 152
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8573 DP2021-272 22-Jun-2021 DETAILS OF CORPORATE ACTION
8574 DP2021-273 22-Jun-2021 CENTRALIZED DATABASE FOR CORPORATE BONDS DEBENTURES
8575 DP2021-274 22-Jun-2021 UPDATES TO UNSCS 1267 1989 ISIL DAESH AL QAIDA SANCTIONS
LIST
8576 DP2021-275 23-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8577 DP2021-276 23-Jun-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8578 DP2021-277 24-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8579 DP2021-278 25-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8580 DP2021-279 28-Jun-2021 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
8581 DP2021-280 28-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8582 DP2021-281 29-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8583 DP2021-282 29-Jun-2021 SELF DECLARATION FOR COMPLIANCE OF SECTION 206AB OF
INCOME TAX ACT 1961
8584 DP2021-283 30-Jun-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8585 DP2021-284 30-Jun-2021 DISCONTINUATION OF DISCOUNT ON ONLINE PAYMENT FACILITY
8586 DP2021-285 30-Jun-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8587 DP2021-286 01-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8588 DP2021-287 01-Jul-2021 CHANGE OF NAME EFFECTED BY DP
8589 DP2021-288 01-Jul-2021 UPDATION OF MERGER BANKS DETAILS
8590 DP2021-289 01-Jul-2021 CDSLS DP ONLINE TRAINING PROGRAMME
8591 DP2021-290 02-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8592 DP2021-291 02-Jul-2021 FATF PUBLIC STATEMENTS AFTER JUNE 2021 PLENARY
8593 DP2021-292 03-Jul-2021 RELAXATION IN TIMELINES FOR COMPLIANCE WITH REGULATORY
REQUIREMENTS
8594 DP2021-293 05-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8595 DP2021-294 06-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8596 DP2021-295 06-Jul-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8597 DP2021-296 07-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8598 DP2021-297 07-Jul-2021 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8599 DP2021-298 08-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8600 DP2021-332 08-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8601 DP2021-299 09-Jul-2021 AVAILABILITY OF CDSL SYSTEM
8602 DP2021-300 09-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8603 DP2021-301 09-Jul-2021 RELEASE OF NEW MODULE FOR MODULES MIGRATED ON NEW
TECHNOLOGY
8604 DP2021-302 09-Jul-2021 SUBMISSION OF ANNUAL SYSTEM AUDIT REPORT
8605 DP2021-303 12-Jul-2021 DETAILS OF CORPORATE ACTION
8606 DP2021-304 13-Jul-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8607 DP2021-305 13-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8608 DP2021-306 14-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8609 DP2021-307 15-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8610 DP2021-308 15-Jul-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8611 DP2021-309 15-Jul-2021 SURVEILLANCE OBLIGATION OF DEPOSITORY PARTICIPANT
8612 DP2021-310 16-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8613 DP2021-311 16-Jul-2021 GUIDELINES FOR ONLINE CLOSURE OF DEMAT ACCOUNTS
8614 DP2021-312 19-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8615 DP2021-313 19-Jul-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8616 DP2021-314 19-Jul-2021 BLOCK MECHANISM IN DEMAT ACCOUNT OF CLIENTS
UNDERTAKING SALE TRANSACTIONS
8617 DP2021-315 22-Jul-2021 CDSLS DP OPERATING INSTRUCTIONS AS OF JUNE 2021
8618 DP2021-316 22-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8619 DP2021-317 22-Jul-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8620 DP2021-318 22-Jul-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8621 DP2021-319 22-Jul-2021 DETAILS OF CORPORATE ACTION
8622 DP2021-320 23-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8623 DP2021-321 23-Jul-2021 INCENTIVE TO DPS FOR OPENING AND MAINTAINING BSDA
ACCOUNTS
FOR THE F.Y. 2019-20
8624 DP2021-322 26-Jul-2021 DETAILS OF CORPORATE ACTIONS
8625 DP2021-323 26-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8626 DP2021-324 26-Jul-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8627 DP2021-325 26-Jul-2021 NOMINATION FOR ELIGIBLE TRADING AND DEMAT ACCOUNTS
8628 DP2021-326 27-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8629 DP2021-327 27-Jul-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER

Page 153
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8630 DP2021-328 27-Jul-2021 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS 2016 TRANCHE I
8631 DP2021-329 28-Jul-2021 RTA INTER OPERABLE PLATFORM FOR ENHANCING INVESTORS
EXPERIENCE
8632 DP2021-330 28-Jul-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8633 DP2021-331 28-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8634 DP2021-333 29-Jul-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8635 DP2021-334 29-Jul-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8636 DP2021-335 31-Jul-2021 BLOCK MECHANISM IN DEMAT ACCOUNT OF CLIENTS
UNDERTAKING SALE TRANSACTIONS
8637 DP2021-336 02-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8638 DP2021-337 02-Aug-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8639 DP2021-338 03-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8640 DP2021-339 03-Aug-2021 DETAILS OF CORPORATE ACTION
8641 DP2021-340 04-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8642 DP2021-341 04-Aug-2021 CHANGE OF RTA EFFECTED BY ISSUER
8643 DP2021-342 05-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8644 DP2021-343 06-Aug-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8645 DP2021-344 06-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8646 DP2021-345 06-Aug-2021 DETAILS OF CHANGE OF RTA EFFECTED BY RTA
8647 DP2021-346 09-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8648 DP2021-347 09-Aug-2021 CHANGE OF RTA EFFECTED BY ISSUERS
8649 DP2021-348 09-Aug-2021 FACILITY FOR BSDA
8650 DP2021-349 10-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8651 DP2021-350 11-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8652 DP2021-351 11-Aug-2021 DETAILS OF CORPORATE ACTION
8653 DP2021-352 12-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8654 DP2021-353 13-Aug-2021 RELEASE OF NEW MODULE FOR LATEST TECHNOLOGY MODULES
8655 DP2021-354 13-Aug-2021 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
ON MONDAY, AUGUST 16, 2021
8656 DP2021-355 15-Aug-2021 DETAILS OF CORPORATE ACTION
8657 DP2021-356 15-Aug-2021 ONLINE SUBMISSION OF ACTIONS REQUIRED ON FATF PUBLIC
STATEMENTS
8658 DP2021-357 16-Aug-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8659 DP2021-358 16-Aug-2021 DETAILS OF CORPORATE ACTION
8660 DP2021-359 16-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8661 DP2021-360 17-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8662 DP2021-361 17-Aug-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8663 DP2021-362 17-Aug-2021 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
8664 DP2021-363 17-Aug-2021 GUIDELINES FOR ONLINE CLOSURE OF DEMAT ACCOUNTS
8665 DP2021-364 18-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8666 DP2021-365 20-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8667 DP2021-366 20-Aug-2021 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
8668 DP2021-367 23-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8669 DP2021-368 23-Aug-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8670 DP2021-369 23-Aug-2021 SURVEILLANCE OBLIGATION OF DEPOSITORY PARTICIPANT
8671 DP2021-370 24-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8672 DP2021-371 25-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8673 DP2021-372 26-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8674 DP2021-373 26-Aug-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8675 DP2021-374 27-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8676 DP2021-375 30-Aug-2021 DETAILS OF CORPORATE ACTION
8677 DP2021-376 30-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8678 DP2021-377 30-Aug-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8679 DP2021-378 31-Aug-2021 PERMITTING NON SCHEDULED PAYMENTS BANKS TO REGISTER AS
BANKERS TO AN ISSUE
8680 DP2021-379 31-Aug-2021 MODIFICATION IN OPERATIONAL GUIDELINES FOR FPIS AND DDPS
8681 DP2021-380 31-Aug-2021 OPERATIONAL CIRCULAR FOR ISSUE AND LISTING OF NON
CONVERTIBLE SECURITIES
8682 DP2021-381 31-Aug-2021 SECURITY AND COVENANT MONITORING USING DISTRIBUTED
LEDGER TECHNOLOGY
8683 DP2021-382 31-Aug-2021 TENDERING OF SHARES IN OPEN OFFERS BUY BACK OFFERS AND
DELISTING OFFERS
8684 DP2021-383 31-Aug-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8685 DP2021-384 01-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 154
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8686 DP2021-385 02-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8687 DP2021-386 03-Sep-2021 AVAILABILITY OF CDSL SYSTEM
8688 DP2021-387 03-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8689 DP2021-388 03-Sep-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8690 DP2021-389 03-Sep-2021 AADHAAR SEEDING LINKAGE OF AADHAAR WITH PAN
8691 DP2021-390 06-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8692 DP2021-391 07-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8693 DP2021-392 07-Sep-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8694 DP2021-393 07-Sep-2021 GUIDELINES ON ISSUANCE OF NON CONVERTIBLE DEBT
INSTRUMENTS
8695 DP2021-394 07-Sep-2021 MODALITIES FOR IMPLEMENTATION OF THE FRAMEWORK FOR
ACCREDITED INVESTORS
8696 DP2021-395 07-Sep-2021 PROCESSING OF REQUEST FOR DEMATERIALIZATION OF SHARES
8697 DP2021-396 08-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8698 DP2021-397 08-Sep-2021 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8699 DP2021-398 08-Sep-2021 RELEASE OF NEW MODULE FOR LATEST TECHNOLOGY MODULES
8700 DP2021-399 09-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8701 DP2021-400 09-Sep-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8702 DP2021-401 09-Sep-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8703 DP2021-402 13-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8704 DP2021-403 13-Sep-2021 UPDATES TO UNSCS 1267 1989 ISIL AND AL QAIDA SANCTIONS
LIST
8705 DP2021-404 13-Sep-2021 DETAILS OF CORPORATE ACTION
8706 DP2021-405 14-Sep-2021 CDSLS DP ONLINE TRAINING PROGRAMME
8707 DP2021-406 14-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8708 DP2021-407 14-Sep-2021 GUIDELINES FOR DESTATEMENTIZATION OF MUTUAL FUND
8709 DP2021-408 15-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8710 DP2021-409 16-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8711 DP2021-410 16-Sep-2021 RELEASE OF NEW MODULE FOR MODULES MIGRATED ON NEW
TECHNOLOGY
8712 DP2021-411 16-Sep-2021 RELEASE OF ADDITIONAL MODULE ON HOME SCREEN NAMED AS
REPORT DOWNLOAD
8713 DP2021-412 17-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8714 DP2021-413 17-Sep-2021 DETAILS OF CORPORATE ACTION
8715 DP2021-414 20-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8716 DP2021-415 20-Sep-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8717 DP2021-416 20-Sep-2021 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS 2016
8718 DP2021-417 20-Sep-2021 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS 2016
8719 DP2021-418 21-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8720 DP2021-419 21-Sep-2021 AADHAAR SEEDING LINKAGE OF AADHAAR WITH PAN
8721 DP2021-420 22-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8722 DP2021-421 23-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8723 DP2021-422 23-Sep-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8724 DP2021-423 24-Sep-2021 DETAILS OF CORPORATE ACTION
8725 DP2021-424 24-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8726 DP2021-425 27-Sep-2021 DETAILS OF CORPORATE ACTIONS
8727 DP2021-426 27-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8728 DP2021-427 27-Sep-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8729 DP2021-428 27-Sep-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8730 DP2021-429 28-Sep-2021 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
8731 DP2021-430 28-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8732 DP2021-431 28-Sep-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8733 DP2021-432 28-Sep-2021 POSITION LIMITS FOR CURRENCY DERIVATIVES CONTRACTS
8734 DP2021-433 28-Sep-2021 INTRODUCTION OF T 1 ROLLING SETTLEMENT ON AN OPTIONAL
BASIS
8735 DP2021-434 29-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8736 DP2021-435 29-Sep-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8737 DP2021-436 29-Sep-2021 DETAILS OF CORPORATE ACTIONS
8738 DP2021-437 29-Sep-2021 COMPREHENSIVE REVIEW OF INVESTOR GRIEVANCE REDRESSAL
MECHANISM
8739 DP2021-438 30-Sep-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8740 DP2021-439 30-Sep-2021 EXTENSION OF TIME FOR SUBMISSION OF NET WORTH
CERTIFICATE
8741 DP2021-440 01-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8742 DP2021-441 01-Oct-2021 WITHDRAWAL OF DEPOSITORY PARTICIPANTS OF CDSL

Page 155
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8743 DP2021-442 01-Oct-2021 CHANGE OF NAME EFFECTED BY DP
8744 DP2021-443 04-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8745 DP2021-444 04-Oct-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8746 DP2021-445 04-Oct-2021 SUBMISSION OF INCIDENT QUARTERLY REPORTING OF CYBER
ATTACKS
8747 DP2021-446 04-Oct-2021 USING EDIS ELECTRONIC DELIVERY INSTRUCTIONS
8748 DP2021-447 04-Oct-2021 ONLINE ACCOUNT OPENING OTHER INDIVIDUAL AND NON
INDIVIDUAL ACCOUNTS
8749 DP2021-448 04-Oct-2021 DETAILS OF CORPORATE ACTION
8750 DP2021-449 05-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8751 DP2021-450 05-Oct-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8752 DP2021-451 06-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8753 DP2021-452 06-Oct-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8754 DP2021-453 06-Oct-2021 DISCONTINUATION OF USAGE OF POOL ACCOUNT FOR MF
TRANSACTIONS
8755 DP2021-454 06-Oct-2021 DETAILS OF CORPORATE ACTIONS
8756 DP2021-455 07-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8757 DP2021-456 07-Oct-2021 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8758 DP2021-457 08-Oct-2021 AVAILABILITY OF CDSL SYSTEM
8759 DP2021-458 08-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8760 DP2021-459 08-Oct-2021 DETAILS OF CORPORATE ACTIONS
8761 DP2021-460 11-Oct-2021 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
8762 DP2021-461 11-Oct-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8763 DP2021-462 11-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8764 DP2021-463 12-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8765 DP2021-464 13-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8766 DP2021-465 14-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8767 DP2021-466 14-Oct-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8768 DP2021-467 14-Oct-2021 DETAILS OF CORPORATE ACTIONS
8769 DP2021-468 18-Oct-2021 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
8770 DP2021-469 18-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8771 DP2021-470 19-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8772 DP2021-471 19-Oct-2021 DETAILS OF CORPORATE ACTION
8773 DP2021-472 20-Oct-2021 E VOTING FACILITY PROVIDED BY LISTED ENTITIES
8774 DP2021-473 20-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8775 DP2021-474 20-Oct-2021 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
8776 DP2021-475 20-Oct-2021 DETAILS OF CORPORATE ACTION
8777 DP2021-476 21-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8778 DP2021-477 21-Oct-2021 CDSLS DP OPERATING INSTRUCTIONS AS OF SEPTEMBER 2021
8779 DP2021-478 22-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8780 DP2021-479 22-Oct-2021 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
8781 DP2021-480 22-Oct-2021 INTEGRITY PLEDGE VIGILANCE AWARENESS WEEK
8782 DP2021-481 25-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8783 DP2021-482 25-Oct-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8784 DP2021-483 25-Oct-2021 DETAILS OF CORPORATE ACTIONS
8785 DP2021-484 26-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8786 DP2021-485 27-Oct-2021 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
8787 DP2021-486 27-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8788 DP2021-487 27-Oct-2021 DETAILS OF CORPORATE ACTIONS
8789 DP2021-488 28-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8790 DP2021-489 28-Oct-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8791 DP2021-490 29-Oct-2021 CYBER SECURITY AWARENESS CAMPAIGN
8792 DP2021-491 29-Oct-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8793 DP2021-492 29-Oct-2021 DETAILS OF CORPORATE ACTION
8794 DP2021-493 30-Oct-2021 REVISED FORMAT FOR IAR AND CAR FOR HALF YEAR ENDED 30
SEPTEMBER 2021
8795 DP2021-494 01-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8796 DP2021-495 02-Nov-2021 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
8797 DP2021-496 02-Nov-2021 CHANGE OF NAME EFFECTED BY DP
8798 DP2021-497 02-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8799 DP2021-498 02-Nov-2021 MULTIPLE SETTLEMENTS ON ACCOUNT OF MUHURAT TRADING
8800 DP2021-499 02-Nov-2021 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS
8801 DP2021-500 03-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8802 DP2021-501 08-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8803 DP2021-502 08-Nov-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER

Page 156
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8804 DP2021-503 09-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8805 DP2021-504 09-Nov-2021 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8806 DP2021-505 09-Nov-2021 DETAILS OF CORPORATE ACTIONS
8807 DP2021-506 09-Nov-2021 NEW STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
8808 DP2021-507 10-Nov-2021 SEBI - WRITE OFF OF DEBT SECURITIES HELD BY FPIS
SURRENDERING THEIR REGISTRATION
8809 DP2021-508 10-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8810 DP2021-509 11-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8811 DP2021-510 11-Nov-2021 COMMON AND SIMPLIFIED NORMS FOR PROCESSING INVESTORS
SERVICE REQUEST AND FURNISHING KYC DETAILS
8812 DP2021-511 12-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8813 DP2021-512 12-Nov-2021 AVAILABILITY OF CDSL SYSTEM
8814 DP2021-513 12-Nov-2021 DETAILS OF CORPORATE ACTIONS
8815 DP2021-514 15-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8816 DP2021-515 16-Nov-2021 CYBER SECURITY ADVISORY
8817 DP2021-516 16-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8818 DP2021-517 16-Nov-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8819 DP2021-518 17-Nov-2021 ONLINE ACCOUNT OPENING OTHER INDIVIDUAL AND NON
INDIVIDUAL ACCOUNTS
8820 DP2021-519 17-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8821 DP2021-520 17-Nov-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8822 DP2021-521 18-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8823 DP2021-523 18-Nov-2021 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
8824 DP2021-524 18-Nov-2021 WORLD INVESTOR WEEK 2021
8825 DP2021-522 19-Nov-2021 DETAILS OF CORPORATE ACTION
8826 DP2021-525 22-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8827 DP2021-526 22-Nov-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8828 DP2021-527 22-Nov-2021 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS 2015
8829 DP2021-528 22-Nov-2021 FATF PUBLIC STATEMENT ON JURISDICTIONS OCTOBER 2021
8830 DP2021-529 23-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8831 DP2021-530 23-Nov-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8832 DP2021-531 24-Nov-2021 FRAMEWORK FOR REGULATORY SANDBOX
8833 DP2021-532 24-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8834 DP2021-535 24-Nov-2021 DETAILS OF CORPORATE ACTIONS
8835 DP2021-533 25-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8836 DP2021-534 25-Nov-2021 CDSLS DP ONLINE TRAINING PROGRAMME
8837 DP2021-536 26-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8838 DP2021-537 26-Nov-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8839 DP2021-538 26-Nov-2021 CLOSURE OF BSE SLB CLEARING MEMBER POOL ACCOUNTS
8840 DP2021-539 29-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8841 DP2021-540 29-Nov-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8842 DP2021-541 30-Nov-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8843 DP2021-542 30-Nov-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8844 DP2021-543 30-Nov-2021 DISCLOSURE OF COMPLAINTS AGAINST THE STOCK EXCHANGES
8845 DP2021-544 01-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8846 DP2021-545 01-Dec-2021 NEW MARKET TYPE FOR T+1 SETTLEMENT
8847 DP2021-546 01-Dec-2021 UPDATES TO UNSCS 1267 1989 ISIL AND AL QAIDA SANCTIONS LIST
8848 DP2021-547 02-Dec-2021 DETAILS OF CORPORATE ACTION
8849 DP2021-548 02-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8850 DP2021-549 02-Dec-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8851 DP2021-550 03-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8852 DP2021-551 03-Dec-2021 INTER DEPOSITORY TRANSFERS FOR GOVERNMENT SECURITIES
8853 DP2021-552 06-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8854 DP2021-553 07-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8855 DP2021-554 08-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8856 DP2021-555 08-Dec-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8857 DP2021-556 08-Dec-2021 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8858 DP2021-557 09-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8859 DP2021-558 09-Dec-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8860 DP2021-559 10-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8861 DP2021-560 10-Dec-2021 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
8862 DP2021-561 10-Dec-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8863 DP2021-562 10-Dec-2021 RELEASE OF NEW MODULE FOR MODULES MIGRATED ON NEW
TECHNOLOGY
8864 DP2021-563 13-Dec-2021 WITHDRAWAL OF SECURITIES FROM CDSL

Page 157
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8865 DP2021-564 13-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8866 DP2021-565 13-Dec-2021 CPE PROGRAMME OF NISM DEPOSITORY OPERATIONS
8867 DP2021-566 14-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8868 DP2021-567 15-Dec-2021 DETAILS OF CORPORATE ACTION
8869 DP2021-568 15-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8870 DP2021-569 15-Dec-2021 VALIDATION OF REASON CODES WHILE EXECUTION OF OFF
MARKET TRANSACTIONS
8871 DP2021-570 16-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8872 DP2021-571 16-Dec-2021 WITHDRAWAL OF SECURITIES FROM CDS
8873 DP2021-572 17-Dec-2021 COMMON AND SIMPLIFIED NORMS FOR PROCESSING INVESTORS
SERVICE REQUEST BY RTAS
8874 DP2021-573 17-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8875 DP2021-574 17-Dec-2021 DETAILS OF CORPORATE ACTIONS
8876 DP2021-575 20-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8877 DP2021-576 20-Dec-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8878 DP2021-577 21-Dec-2021 WITHDRAWAL OF RTA OF CDSL
8879 DP2021-578 21-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8880 DP2021-579 21-Dec-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8881 DP2021-580 21-Dec-2021 DETAILS OF CORPORATE ACTION
8882 DP2021-581 23-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8883 DP2021-582 23-Dec-2021 DETAILS OF CORPORATE ACTIONS
8884 DP2021-583 23-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8885 DP2021-584 23-Dec-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8886 DP2021-585 23-Dec-2021 INTER-DEPOSITORY TRANSFERS AND PENALTY FOR NON
MOVEMENT OF PAYOUT SECURITIES
8887 DP2021-586 24-Dec-2021 UPDATES TO UNSCS
AL QAIDA SANCTIONS LIST ADDITION OF ONE ENTRY
8888 DP2021-587 24-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8889 DP2021-588 24-Dec-2021 AVAILABILITY OF CDSL SYSTEM
8890 DP2021-589 25-Dec-2021 DISCLOSURE OF INVESTOR CHARTER FOR DEPOSITORIES AND
DEPOSITORY PARTICIPANTS
8891 DP2021-590 27-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8892 DP2021-591 27-Dec-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8893 DP2021-592 27-Dec-2021 DETAILS OF CORPORATE ACTION
8894 DP2021-593 27-Dec-2021 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
8895 DP2021-594 28-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8896 DP2021-595 28-Dec-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8897 DP2021-596 28-Dec-2021 DISABLE OF DOWNLOAD AND MANAGE BUTTONS FROM THE
EXISTING REPORT MODULE
8898 DP2021-597 29-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8899 DP2021-598 29-Dec-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8900 DP2021-599 30-Dec-2021 DETAILS OF SECURITIES ADMITED WITH CDSL
8901 DP2021-600 30-Dec-2021 WITHDRAWAL OF SECURITIES FROM CDSL
8902 DP2021-601 30-Dec-2021 DETAILS OF CORPORATE ACTIONS
8903 DP2021-602 31-Dec-2021 DETAILS OF SECURITIES ADMITTED WITH CDSL
8904 DP2021-603 31-Dec-2021 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8905 DP2021-604 31-Dec-2021 AVAILABILITY OF CDSL SYSTEM
8906 DP2021-605 31-Dec-2021 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8907 DP2022-1 03-Jan-2022 UPDATES FOR IMPLEMENTATION OF SECTION 51A OF UAPA
8908 DP2022-2 03-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8909 DP2022-3 03-Jan-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8910 DP2022-4 04-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8911 DP2022-5 04-Jan-2022 FACILITY FOR SUBMISSION OF REPORTS REPORTING ALERTS
8912 DP2022-6 05-Jan-2022 AMENDMENT TO CDSL BYE LAWS
8913 DP2022-7 05-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8914 DP2022-8 05-Jan-2022 DETAILS OF CORPORATE ACTION
8915 DP2022-10 06-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8916 DP2022-11 06-Jan-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8917 DP2022-9 06-Jan-2022 REVISION TO OPERATIONAL CIRCULAR FOR ISSUE AND LISTING
8918 DP2022-12 07-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8919 DP2022-13 07-Jan-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8920 DP2022-14 07-Jan-2022 INCREASING AWARENESS REGARDING ONLINE MECHANISMS
8921 DP2022-15 07-Jan-2022 DETAILS OF CORPORATE ACTION
8922 DP2022-16 07-Jan-2022 FACILITY OF BASIC SERVICE DEMAT ACCOUNT
Page 158
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8923 DP2022-17 10-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8924 DP2022-18 10-Jan-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8925 DP2022-19 10-Jan-2022 DETAILS OF CORPORATE ACTION
8926 DP2022-20 11-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8927 DP2022-21 12-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8928 DP2022-22 12-Jan-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8929 DP2022-23 12-Jan-2022 SLB SETTLEMENT REVISED PAYIN TIME
8930 DP2022-24 12-Jan-2022 TRAINING SCHEDULE FOR CPE
8931 DP2022-25 13-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8932 DP2022-26 13-Jan-2022 DETAILS OF CORPORATE ACTIONS
8933 DP2022-27 14-Jan-2022 FRAMEWORK FOR OPERATIONALIZING THE GOLD EXCHANGE IN
INDIA
8934 DP2022-28 14-Jan-2022 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
8935 DP2022-29 14-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8936 DP2022-30 17-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8937 DP2022-31 18-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8938 DP2022-32 18-Jan-2022 DETAILS OF CORPORATE ACTIONS
8939 DP2022-33 19-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8940 DP2022-34 19-Jan-2022 CDSLS DP OPERATING INSTRUCTIONS AS OF DECEMBER 2021
8941 DP2022-35 20-Jan-2022 UPDATES UNSC REMOVAL OF THREE ENTITIES
8942 DP2022-36 20-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8943 DP2022-37 20-Jan-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8944 DP2022-38 21-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8945 DP2022-39 21-Jan-2022 EXTENSION OF TIMELINES FOR SUBMISSION OF NET WORTH
CERTIFICATE
8946 DP2022-40 24-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8947 DP2022-41 24-Jan-2022 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS 2016-17 SERIES I
8948 DP2022-42 24-Jan-2022 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS 2016 (I)
8949 DP2022-43 25-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8950 DP2022-44 25-Jan-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8951 DP2022-45 25-Jan-2022 WITHDRAWAL OF SECURITIES FROM CDSL
8952 DP2022-46 25-Jan-2022 DETAILS OF CORPORATE ACTIONS
8953 DP2022-47 27-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8954 DP2022-48 28-Jan-2022 ISSUANCE OF SECURITIES IN DEMATERIALIZED FORM
8955 DP2022-49 28-Jan-2022 UPDATES FOR IMPLEMENTATION OF SECTION 51A OF UAPA
8956 DP2022-50 28-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8957 DP2022-51 28-Jan-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8958 DP2022-52 31-Jan-2022 CHANGE OF NAME EFFECTED BY DP
8959 DP2022-53 31-Jan-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8960 DP2022-54 31-Jan-2022 WITHDRAWAL OF SECURITIES FROM CDSL
8961 DP2022-55 01-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8962 DP2022-56 01-Feb-2022 WITHDRAWAL OF SECURITIES FROM CDSL
8963 DP2022-57 01-Feb-2022 LAUNCH OF CVL ACCREDITATION AGENCY
8964 DP2022-58 02-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8965 DP2022-59 02-Feb-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8966 DP2022-60 02-Feb-2022 DETAILS OF CORPORATE ACTIONS
8967 DP2022-61 03-Feb-2022 TRAINING PROGRAMME FOR COMPLIANCE OFFICERS PRINCIPAL
OFFICERS
8968 DP2022-62 03-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8969 DP2022-63 04-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8970 DP2022-64 07-Feb-2022 REGARDING PUBLIC HOLIDAY UNDER NEGOTIABLE INSTRUMENT
ACT
8971 DP2022-65 07-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8972 DP2022-66 07-Feb-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8973 DP2022-67 07-Feb-2022 CLARIFICATION ON KYC PROCESS AND USE OF TECHNOLOGY
8974 DP2022-68 08-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8975 DP2022-69 08-Feb-2022 WITHDRAWAL OF SECURITIES FROM CDSL
8976 DP2022-70 08-Feb-2022 DETAILS OF CORPORATE ACTION
8977 DP2022-71 08-Feb-2022 CHANGE OF NAME EFFECTED BY DP
8978 DP2022-72 09-Feb-2022 CDSLS DP ONLINE TRAINING PROGRAMME
8979 DP2022-73 09-Feb-2022 DISCLOSURES IN THE ABRIDGED PROSPECTUS AND FRONT COVER
PAGE
8980 DP2022-74 09-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8981 DP2022-75 09-Feb-2022 AVAILABILITY OF CDSL SYSTEM

Page 159
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
8982 DP2022-76 10-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8983 DP2022-77 10-Feb-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8984 DP2022-78 10-Feb-2022 DETAILS OF CORPORATE ACTIONS
8985 DP2022-79 11-Feb-2022 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
8986 DP2022-80 11-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8987 DP2022-81 11-Feb-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8988 DP2022-82 14-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8989 DP2022-83 14-Feb-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8990 DP2022-84 14-Feb-2022 WITHDRAWAL OF SECURITIES FROM CDSL
8991 DP2022-85 15-Feb-2022 ?DETAILS OF SECURITIES ADMITTED WITH CDSL
8992 DP2022-86 16-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8993 DP2022-87 16-Feb-2022 DETAILS OF CORPORATE ACTIONS
8994 DP2022-88 17-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8995 DP2022-89 17-Feb-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
8996 DP2022-90 17-Feb-2022 WITHDRAWAL OF SECURITIES FROM CDSL
8997 DP2022-91 17-Feb-2022 AVAILABILITY OF CDSL SYSTEM
8998 DP2022-92 18-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
8999 DP2022-93 18-Feb-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9000 DP2022-94 21-Feb-2022 WITHDRAWAL OF CDSL DP
9001 DP2022-95 21-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9002 DP2022-96 21-Feb-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9003 DP2022-97 21-Feb-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9004 DP2022-98 21-Feb-2022 DETAILS OF CORPORATE ACTIONS
9005 DP2022-100 22-Feb-2022 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
9006 DP2022-101 22-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9007 DP2022-99 22-Feb-2022 STANDARD OPERATING GUIDELINES FOR THE VAULT MANAGERS
AND DEPOSITORIES
9008 DP2022-102 23-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9009 DP2022-103 23-Feb-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9010 DP2022-104 24-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9011 DP2022-105 24-Feb-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9012 DP2022-106 25-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9013 DP2022-107 25-Feb-2022 NOMINATION FOR ELIGIBLE TRADING AND DEMAT ACCOUNTS
9014 DP2022-108 25-Feb-2022 ONLINE AUCTION FACILITY FOR DEMAT ACCOUNTS HELD BY CDSL
MANAGED DP
9015 DP2022-109 26-Feb-2022 ONLINE AUCTION FACILITY FOR DEMAT ACCOUNTS HELD BY CDSL
MANAGED DP
9016 DP2022-110 28-Feb-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9017 DP2022-111 28-Feb-2022 EARLY REDEMPTION OF SGB 2016 17 SERIES IV
9018 DP2022-112 28-Feb-2022 EARLY REDEMPTION OF SGB 2016 II ISSUE DATE MARCH 29 2016
9019 DP2022-113 28-Feb-2022 EARLY REDEMPTION OF SGB 2016 17 SERIES II ISSUE DATE
SEPTEMBER 30 2016
9020 DP2022-114 02-Mar-2022 APPROACH TO SECURITIES MARKET DATA ACCESS AND TERMS OF
USAGE
9021 DP2022-115 02-Mar-2022 OPENING OF DEMAT ACCOUNT IN CASE OF HUF
9022 DP2022-116 02-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9023 DP2022-117 02-Mar-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9024 DP2022-118 02-Mar-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9025 DP2022-119 02-Mar-2022 AVAILABILITY OF CDSL SYSTEM
9026 DP2022-120 03-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9027 DP2022-123 04-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9028 DP2022-124 04-Mar-2022 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
9029 DP2022-121 07-Mar-2022 CERT IN ADVISORY PREVENTING DATA BREACHES DATA LEAKS
9030 DP2022-122 07-Mar-2022 DETAILS OF CORPORATE ACTIONS
9031 DP2022-125 07-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9032 DP2022-126 07-Mar-2022 DETAILS OF CORPORATE ACTIONS
9033 DP2022-127 07-Mar-2022 UPDATES TO UNSCS ISIL DAESH AND AL QAIDA SANCTIONS LIST
9034 DP2022-128 08-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9035 DP2022-129 08-Mar-2022 SEPARATE INTIMATION OF FILING IMPORTANT AND URGENT STRS
9036 DP2022-130 08-Mar-2022 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
9037 DP2022-131 09-Mar-2022 AMENDMENT TO CDSL BYE LAWS
9038 DP2022-132 09-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9039 DP2022-133 09-Mar-2022 AADHAAR SEEDING LINKAGE OF AADHAAR WITH PAN
9040 DP2022-134 09-Mar-2022 RELAXATION IN ADHERENCE TO PRESCRIBED TIMELINES DUE TO
COVID 19

Page 160
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9041 DP2022-135 10-Mar-2022 REVISION TO OPERATIONAL CIRCULAR FOR ISSUE AND LISTING
9042 DP2022-136 10-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9043 DP2022-137 10-Mar-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9044 DP2022-138 11-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9045 DP2022-139 11-Mar-2022 DETAILS OF CORPORATE ACTIONS
9046 DP2022-140 11-Mar-2022 INCENTIVE TO DPS FOR OPENING AND MAINTAINING BSDA
ACCOUNTS FY 2020 2021
9047 DP2022-141 14-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9048 DP2022-142 14-Mar-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9049 DP2022-143 14-Mar-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9050 DP2022-144 14-Mar-2022 UPDATES TO UNSCS ISIL DA ESH AND AL QAIDA SANCTIONS LIST
9051 DP2022-145 15-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9052 DP2022-146 15-Mar-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9053 DP2022-147 15-Mar-2022 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
9054 DP2022-148 15-Mar-2022 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
9055 DP2022-149 15-Mar-2022 DETAILS OF CORPORATE ACTIONS
9056 DP2022-150 16-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9057 DP2022-151 16-Mar-2022 UPDATION OF MERGER BANKS DETAILS
9058 DP2022-152 17-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9059 DP2022-153 17-Mar-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9060 DP2022-154 17-Mar-2022 DISCONTINUATION OF USAGE OF POOL ACCOUNTS FOR
TRANSACTIONS
9061 DP2022-155 21-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9062 DP2022-156 22-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9063 DP2022-157 22-Mar-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9064 DP2022-158 22-Mar-2022 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
9065 DP2022-159 23-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9066 DP2022-160 23-Mar-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9067 DP2022-161 24-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9068 DP2022-162 24-Mar-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9069 DP2022-163 24-Mar-2022 DETAILS OF CORPORATE ACTIONS
9070 DP2022-164 25-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9071 DP2022-165 25-Mar-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9072 DP2022-166 25-Mar-2022 INTRODUCTION OF PMS POA IN CDSL SYSTEM
9073 DP2022-167 25-Mar-2022 AADHAAR SEEDING LINKAGE OF AADHAAR WITH PAN
9074 DP2022-168 28-Mar-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9075 DP2022-169 28-Mar-2022 DETAILS OF CORPORATE ACTIONS
9076 DP2022-170 28-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9077 DP2022-171 28-Mar-2022 LIST OF STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
9078 DP2022-172 29-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9079 DP2022-173 29-Mar-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9080 DP2022-174 29-Mar-2022 FATF PUBLIC STATEMENTS AFTER MARCH 2022 PLENARY
9081 DP2022-175 29-Mar-2022 ONLINE SUBMISSION OF ACTIONS REQUIRED ON FATF PUBLIC
STATEMENTS
9082 DP2022-176 30-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9083 DP2022-177 30-Mar-2022 DETAILS OF CORPORATE ACTIONS
9084 DP2022-178 31-Mar-2022 AADHAAR SEEDING LINKAGE OF AADHAAR WITH PAN
9085 DP2022-179 31-Mar-2022 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
9086 DP2022-180 31-Mar-2022 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
9087 DP2022-181 31-Mar-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9088 DP2022-182 31-Mar-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9089 DP2022-183 31-Mar-2022 NON EXECUTION OF INTER DEPOSITORY TRANSFERS OF
GOVERNMENT SECURITIES
9090 DP2022-184 01-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9091 DP2022-185 01-Apr-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9092 DP2022-186 01-Apr-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9093 DP2022-187 01-Apr-2022 DISCONTINUATION OF USAGE OF POOL ACCOUNTS FOR
TRANSACTIONS
9094 DP2022-188 01-Apr-2022 AMENDMENT TO CDSL BYE LAWS
9095 DP2022-189 01-Apr-2022 SUBMISSION OF IAR AND CAR FOR HALF YEAR ENDED 31 MARCH
2022
9096 DP2022-190 01-Apr-2022 DEMAT AND REMAT PROCESS FLOW
9097 DP2022-191 04-Apr-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9098 DP2022-192 04-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 161
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9099 DP2022-193 05-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9100 DP2022-194 05-Apr-2022 SEBI-EXECUTION OF `DEMAT DEBIT AND PLEDGE INSTRUCTION
9101 DP2022-195 06-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9102 DP2022-196 06-Apr-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9103 DP2022-197 06-Apr-2022 SUBMISSION DISSEMINATION OF DP TARIFF CHARGE STRUCTURE
9104 DP2022-198 06-Apr-2022 REVISION OF UPI LIMITS IN PUBLIC ISSUE OF EQUITY SHARES AND
CONVERTIBLES
9105 DP2022-199 06-Apr-2022 CDSLS DP TRAINING PROGRAMME
9106 DP2022-200 07-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9107 DP2022-201 07-Apr-2022 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
9108 DP2022-202 08-Apr-2022 GUIDELINES IN PURSUANCE OF AMENDMENT TO SEBI KYC
REGISTRATION
9109 DP2022-203 08-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9110 DP2022-204 08-Apr-2022 AVAILABILITY OF CDSL SYSTEM
9111 DP2022-205 08-Apr-2022 DETAILS OF CORPORATE ACTIONS
9112 DP2022-206 11-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9113 DP2022-207 11-Apr-2022 UPDATES FOR IMPLEMENTATION OF SECTION 51A OF UAPA
9114 DP2022-208 11-Apr-2022 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
9115 DP2022-209 11-Apr-2022 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
9116 DP2022-210 11-Apr-2022 WITHDRAWAL OF REGISTRAR AND TRANSFER AGENT OF CDSL
9117 DP2022-212 12-Apr-2022 INSURANCE POLICY FOR SECURITIES
9118 DP2022-213 12-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9119 DP2022-214 12-Apr-2022 DETAILS OF CORPORATE ACTIONS
9120 DP2022-211 18-Apr-2022 ADDITIONAL FACILITY FOR UPDATION OF INCOME DETAILS IN CDSL
9121 DP2022-215 18-Apr-2022 DETAILS OF CORPORATE ACTIONS
9122 DP2022-216 19-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9123 DP2022-217 19-Apr-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9124 DP2022-218 20-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9125 DP2022-219 20-Apr-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9126 DP2022-220 20-Apr-2022 UPGRADATION REL ID CLIENT SOFTWARE AT USER END
9127 DP2022-221 20-Apr-2022 CDSLS DP OPERATING INSTRUCTIONS AS OF MARCH 2022
9128 DP2022-222 21-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9129 DP2022-223 21-Apr-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9130 DP2022-224 21-Apr-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9131 DP2022-225 21-Apr-2022 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
9132 DP2022-226 22-Apr-2022 STREAMLINING THE PROCESS OF PUBLIC ISSUES AND REDRESSAL
OF INVESTOR GRIEVANCES
9133 DP2022-227 22-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9134 DP2022-228 22-Apr-2022 DETAIL OF CHANGE OF RTA EFFECTED BY ISSUER
9135 DP2022-229 22-Apr-2022 DETAIL OF CORPORATE ACTION
9136 DP2022-230 25-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9137 DP2022-231 25-Apr-2022 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS CALENDAR
9138 DP2022-232 26-Apr-2022 OPERATIONAL CIRCULAR FOR ISSUE AND LISTING
9139 DP2022-233 26-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9140 DP2022-234 26-Apr-2022 REMINDER SUBMISSION DISSEMINATION OF DP TARIFF CHARGE
STRUCTURE
9141 DP2022-235 27-Apr-2022 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
9142 DP2022-236 27-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9143 DP2022-237 27-Apr-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9144 DP2022-238 27-Apr-2022 DETAILS OF CORPORATE ACTION
9145 DP2022-239 28-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9146 DP2022-240 28-Apr-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9147 DP2022-241 29-Apr-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9148 DP2022-242 02-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9149 DP2022-243 04-May-2022 MODIFICATION IN THE OPERATIONAL GUIDELINES FOR FPI DDP
ELIGIBLE FOREIGN INVESTORS
9150 DP2022-244 04-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9151 DP2022-245 04-May-2022 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
9152 DP2022-246 05-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9153 DP2022-247 05-May-2022 REDUCTION OF TIMELINES FOR LISTING OF UNITS OF INVIT
9154 DP2022-248 05-May-2022 REDUCTION OF TIMELINES FOR LISTING OF UNITS OF REIT
9155 DP2022-249 06-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9156 DP2022-250 06-May-2022 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
9157 DP2022-251 09-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 162
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9158 DP2022-252 09-May-2022 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
9159 DP2022-253 10-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9160 DP2022-254 11-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9161 DP2022-255 12-May-2022 GAZETTE NOTIFICATION UPDATES IN SECTION 35 1 A OF UAPA
9162 DP2022-256 12-May-2022 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
9163 DP2022-257 12-May-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY OTB SPS
INTERNATIONAL LTD
9164 DP2022-258 12-May-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY OTB FILATEX INDIA
LIMITED
9165 DP2022-259 12-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9166 DP2022-260 13-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9167 DP2022-261 13-May-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9168 DP2022-262 13-May-2022 DETAIL OF CORPORATE ACTION
9169 DP2022-263 16-May-2022 SEBI-GUIDELINES FOR SETTING UP SUBSIDIARIES, JOINT
VENTURES IN GIFT IFSC
9170 DP2022-264 16-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9171 DP2022-265 16-May-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9172 DP2022-266 16-May-2022 REVISED PAY-IN TIME FOR EQUITY CASH SEGMENT FOR BSE
9173 DP2022-267 17-May-2022 AMENDMENTS TO DP OPERATING INSTRUCTIONS - CHAPTER 6
9174 DP2022-268 17-May-2022 DETAILS OF CORPORATE ACTIONS
9175 DP2022-269 17-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9176 DP2022-270 17-May-2022 SETTLEMENT SCHEDULE OFFER TO BUY - (TAKEOVER) FOR
INDSOYA LTD
9177 DP2022-271 18-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9178 DP2022-272 18-May-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9179 DP2022-273 19-May-2022 SIMPLIFICATION OF PROCEDURE FOR TRANSMISSION OF
SECURITIES
9180 DP2022-274 19-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9181 DP2022-275 19-May-2022 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
9182 DP2022-276 20-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9183 DP2022-277 21-May-2022 DETAILS OF CORPORATE ACTIONS
9184 DP2022-278 23-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9185 DP2022-279 23-May-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY BUTTERFLY
GANDHIMATHI APPLIANCES LTD
9186 DP2022-280 24-May-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY GAIL INDIA LTD
9187 DP2022-281 24-May-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY INDERGIRI FINANCE
LTD
9188 DP2022-282 24-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9189 DP2022-283 25-May-2022 SUBMISSION OF NET WORTH CERTIFICATE AND AUDITED
FINANCIAL STATEMENTS
9190 DP2022-284 25-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9191 DP2022-285 25-May-2022 DETAILS OF CORPORATE ACTION
9192 DP2022-286 26-May-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9193 DP2022-287 26-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9194 DP2022-288 27-May-2022 REGISTRATION OF THE RES IN FINNET 2.0 SYSTEM OF FIU-IND
9195 DP2022-289 27-May-2022 REVISED PAY IN TIME FOR EQUITY CASH SEGMENT FOR BSE NSE
9196 DP2022-290 27-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9197 DP2022-291 27-May-2022 REVISED SETTLEMENT SCHEDULE FOR OFFER TO BUY FILATEX
INDIA LIMITED
9198 DP2022-292 30-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9199 DP2022-293 30-May-2022 ANNUAL BILL FOR THE FINANCIAL YEAR 2022 23
9200 DP2022-294 31-May-2022 DETAILS OF CORPORATE ACTION
9201 DP2022-295 31-May-2022 MODIFICATION TO STANDARD OPERATING PROCEDURE IN THE
CASES OF TM CM LEADING TO DEFAULT
9202 DP2022-296 31-May-2022 PROCESSING OF ASBA APPLICATIONS IN PUBLIC ISSUE OF EQUITY
SHARES AND CONVERTIBLES
9203 DP2022-297 31-May-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9204 DP2022-298 31-May-2022 SUBMISSION OF ANNUAL SYSTEM AUDIT REPORT
9205 DP2022-299 31-May-2022 UPDATES TO UNSCS ISIL DA ESH AND AL QAIDA SANCTIONS LIST
9206 DP2022-300 31-May-2022 REVISED SETTLEMENT SCHEDULE FOR OTB SPS INTERNATIONAL
LTD
9207 DP2022-301 31-May-2022 REVISED PAY IN TIME FOR AUCTION SETTLEMENT FOR BSE AND
NSE
9208 DP2022-302 01-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9209 DP2022-303 01-Jun-2022 NETWORK CONFIGURATION FOR UPGRADATION OF REL ID CLIENT
9210 DP2022-304 02-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9211 DP2022-305 02-Jun-2022 AVAILABILITY OF CDSL SYSTEM

Page 163
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9212 DP2022-306 06-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9213 DP2022-307 06-Jun-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9214 DP2022-308 06-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9215 DP2022-309 06-Jun-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9216 DP2022-310 06-Jun-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9217 DP2022-311 06-Jun-2022 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
9218 DP2022-312 07-Jun-2022 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
9219 DP2022-313 07-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9220 DP2022-314 07-Jun-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9221 DP2022-315 07-Jun-2022 CHANGE OF NAME EFFECTED BY DP
9222 DP2022-316 07-Jun-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9223 DP2022-317 07-Jun-2022 STREAMLINING THE PROCESS OF RIGHTS ISSUE
9224 DP2022-318 07-Jun-2022 DETAILS OF CORPORATE ACTION
9225 DP2022-319 07-Jun-2022 DISCLOSURE OF INVESTOR CHARTER FOR DEPOSITORIES
AND DEPOSITORY PARTICIPANTS
9226 DP2022-320 08-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9227 DP2022-321 09-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9228 DP2022-322 09-Jun-2022 DETAILS OF CORPORATE ACTION
9229 DP2022-323 09-Jun-2022 MODIFICATION IN CYBER SECURITY AND CYBER RESILIENCE
9230 DP2022-324 09-Jun-2022 DISCONTINUATION OF OLD TECHNOLOGY MODULES
9231 DP2022-325 10-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9232 DP2022-326 10-Jun-2022 DETAILS OF CORPORATE ACTION
9233 DP2022-327 13-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9234 DP2022-328 13-Jun-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9235 DP2022-329 13-Jun-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9236 DP2022-330 14-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9237 DP2022-331 14-Jun-2022 IMPLEMENTATION STATUS OF CYBER SECURITY AND CYBER
RESILIENCE
9238 DP2022-332 14-Jun-2022 DEMAT DEBIT AND PLEDGE INSTRUCTION DDPI
9239 DP2022-333 15-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9240 DP2022-334 15-Jun-2022 DETAILS OF CORPORATE ACTIONS
9241 DP2022-335 16-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9242 DP2022-336 17-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9243 DP2022-337 17-Jun-2022 REVISED SETTLEMENT SCHEDULE FOR OFFER TO BUY
9244 DP2022-338 17-Jun-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY - JUSTRIDE
ENTERPRISES LTD
9245 DP2022-339 17-Jun-2022 CHANGE OF NAME EFFECTED BY DP
9246 DP2022-340 20-Jun-2022 VALIDATION OF REASON CODES WHILE EXECUTION OFF MARKET
TRANSACTIONS
9247 DP2022-341 20-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9248 DP2022-342 21-Jun-2022 NAMING / TAGGING OF DEMAT ACCOUNTS MAINTAINED BY STOCK
BROKERS
9249 DP2022-343 21-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9250 DP2022-344 21-Jun-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9251 DP2022-345 21-Jun-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9252 DP2022-346 22-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9253 DP2022-347 22-Jun-2022 DETAILS OF CORPORATE ACTIONS
9254 DP2022-348 22-Jun-2022 MODIFICATION IN OPERATIONAL GUIDELINES FOR FPIS, DDPS AND
ELIGIBLE FOREIGN INVESTORS
9255 DP2022-349 22-Jun-2022 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC OF CLIENTS
9256 DP2022-350 23-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9257 DP2022-351 23-Jun-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9258 DP2022-352 23-Jun-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS - SUPERB PAPERS LTD
9259 DP2022-353 23-Jun-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY - ZYDUS
LIFESCIENCES
LIMITED
9260 DP2022-354 23-Jun-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY
9261 DP2022-355 24-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9262 DP2022-356 24-Jun-2022 DETAILS OF CORPORATE ACTION
9263 DP2022-357 24-Jun-2022 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION PROGRAMME OF NISM ? DEPOSITORY OPERATIONS
9264 DP2022-358 27-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9265 DP2022-359 27-Jun-2022 SEBI-INTRODUCTION OF UPI MECHANISM FOR REAL ESTATE
INVESTMENT TRUSTS

Page 164
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9266 DP2022-360 27-Jun-2022 SEBI-INTRODUCTION OF UPI MECHANISM FOR INFRASTRUCTURE
INVESTMENT TRUSTS
9267 DP2022-361 27-Jun-2022 SEBI-REDUCTION OF TIMELINES FOR LISTING OF UNITS OF
PRIVATELY PLACED FRASTRUCTURE INVESTMENT TRUST
9268 DP2022-362 27-Jun-2022 SEBI-IMPLEMENTATION OF CIRCULAR ON GUIDELINES IN
PURSUANCE OF AMENDMENT TO SEBI KYC
9269 DP2022-363 28-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9270 DP2022-364 28-Jun-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
9271 DP2022-365 28-Jun-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9272 DP2022-366 28-Jun-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY
9273 DP2022-367 28-Jun-2022 DETAILS OF CORPORATE ACTIONS
9274 DP2022-368 28-Jun-2022 NAMING / TAGGING OF DEMAT ACCOUNTS MAINTAINED BY STOCK
BROKERS
9275 DP2022-369 29-Jun-2022 CHANGE IN IVR NUMBER OF CDSL
9276 DP2022-370 29-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9277 DP2022-371 30-Jun-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9278 DP2022-372 30-Jun-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY
9279 DP2022-373 30-Jun-2022 SEBI-IMPLEMENTATION OF CIRCULAR ON EXECUTION OF DEMAT
DEBIT AND PLEDGE INSTRUCTION - EXTENSION
9280 DP2022-374 01-Jul-2022 SEBI-MODIFICATION IN CYBER SECURITY AND CYBER RESILIENCE
9281 DP2022-375 01-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9282 DP2022-376 01-Jul-2022 REVISED PAYIN TIME FOR EQUITY CASH SEGMENT
9283 DP2022-377 01-Jul-2022 SEBI-DISCLOSURE OF HOLDINGS
9284 DP2022-378 01-Jul-2022 RELEASE OF NEW MODULE FOR LATEST TECHNOLOGY MODULES
9285 DP2022-379 01-Jul-2022 NEW STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
9286 DP2022-380 04-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9287 DP2022-381 04-Jul-2022 CHANGE IN DEADLINE TIME FOR SUBMITTING PAY-IN
INSTRUCTIONS
9288 DP2022-382 05-Jul-2022 AVAILABILITY OF CDSL SYSTEM
9289 DP2022-383 05-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9290 DP2022-384 05-Jul-2022 AMENDMENT TO INVESTOR GRIEVANCE REDRESSAL MECHANISM
9291 DP2022-385 05-Jul-2022 INTRODUCTION OF PLEDGE REASON CODE AND CAPTURING
ULTIMATE LENDER DETAILS
9292 DP2022-386 06-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9293 DP2022-387 07-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9294 DP2022-388 07-Jul-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9295 DP2022-389 08-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9296 DP2022-390 08-Jul-2022 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
9297 DP2022-391 11-Jul-2022 DETAILS OF CORPORATE ACTIONS
9298 DP2022-392 11-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9299 DP2022-393 12-Jul-2022 CDSL DP TRAINING PROGRAMME
9300 DP2022-394 12-Jul-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9301 DP2022-395 14-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9302 DP2022-396 14-Jul-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY - SICAGEN INDIA LTD
9303 DP2022-397 14-Jul-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9304 DP2022-398 15-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9305 DP2022-399 15-Jul-2022 DP OPERATING INSTRUCTIONS AS OF JUNE 2022 CHAPTERS &
ANNEXURES
9306 DP2022-400 15-Jul-2022 UPDATES TO UNSCS 1718 SANCTIONS LIST
AMENDMENT OF ONE INDIVIDUAL
9307 DP2022-401 15-Jul-2022 NEW MARKET TYPE FOR ELECTRONIC GOLD RECEIPTS SEGMENT
9308 DP2022-402 18-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9309 DP2022-403 18-Jul-2022 DETAILS OF CORPORATE ACTION
9310 DP2022-404 18-Jul-2022 LEVY OF GOODS & SERVICES TAX ON THE FEES PAYABLE TO
SEBI
9311 DP2022-405 19-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9312 DP2022-407 19-Jul-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY DELTA INDUSTRIAL
RESOURCES LTD.
9313 DP2022-406 20-Jul-2022 DETAILS OF CORPORATE ACTION
9314 DP2022-408 20-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9315 DP2022-409 20-Jul-2022 DOS AND DONTS AND BEST PRACTICES TO BE FOLLOWED FOR
CDSL DEMAT ACCOUNT HOLDERS
9316 DP2022-410 20-Jul-2022 CHANGE OF NAME EFFECTED BY DP
9317 DP2022-411 21-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9318 DP2022-412 21-Jul-2022 SEBI-CIR-ENTITIES-ALLOWED-USE-E-KYC-AADHAAR-
AUTHENTICATION

Page 165
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9319 DP2022-413 21-Jul-2022 AVAILABILITY OF CDSL SYSTEM
9320 DP2022-414 21-Jul-2022 DETAILS OF CORPORATE ACTION
9321 DP2022-415 21-Jul-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY - VERITAS INDIA LTD
9322 DP2022-416 22-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9323 DP2022-417 25-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9324 DP2022-418 26-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9325 DP2022-419 26-Jul-2022 CERT-IN ADVISORY - PREVENTING DATA BREACHES - DATA LEAKS
9326 DP2022-420 26-Jul-2022 SEBI-MODIFICATION-IN-CYBER-SECURITY-FOR-SB-DP
9327 DP2022-421 27-Jul-2022 DETAILS OF CORPORATE ACTION
9328 DP2022-422 27-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9329 DP2022-423 27-Jul-2022 IMPLEMENTATION OF CIRCULAR ON GUIDELINES IN PURSUANCE OF
AMENDMENT TO SEBI KRA REGULATIONS 2011
9330 DP2022-424 28-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9331 DP2022-425 28-Jul-2022 WITHDRAWAL - TERMINATION OF DEPOSITORY PARTICIPANT OF
CDSL
9332 DP2022-426 28-Jul-2022 CHANGE IN DEADLINE TIME FOR SUBMITTING PAY-IN
INSTRUCTIONS
FOR ITP FOR SME & DEBT SETTLEMENTS
9333 DP2022-427 28-Jul-2022 NAMING - TAGGING OF DEMAT ACCOUNTS
MAINTAINED BY STOCK BROKERS
9334 DP2022/427 28-Jul-2022 NAMING/TAGGING OF DEMAT ACCOUNTS MAINTAINED BY STOCK
BROKERS
9335 DP2022-428 29-Jul-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9336 DP2022-429 29-Jul-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY - MATRIMONY.COM
LTD
9337 DP2022-430 29-Jul-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9338 DP2022-431 29-Jul-2022 REVISED PAY-IN TIME FOR AUCTION SETTLEMENT ON
WEDNESDAY-AUGUST 03-2022
9339 DP2022-432 01-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9340 DP2022-433 01-Aug-2022 FRAMEWORK FOR AUTOMATED DEACTIVATION OF TRADING AND
DEMAT ACCOUNTS IN CASES OF INADEQUATE KYCS
9341 DP2022-434 01-Aug-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9342 DP2022-435 02-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9343 DP2022-436 02-Aug-2022 UPDATES TO UNSCS 1718 SANCTIONS LIST AMENDMENT OF 44
ENTRIES
9344 DP2022-437 03-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9345 DP2022-438 03-Aug-2022 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
9346 DP2022-439 03-Aug-2022 CHANGE OF NAME EFFECTED BY RTA
9347 DP2022-440 03-Aug-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY - BHAGYANAGAR
PROPERTIES LTD
9348 DP2022-441 04-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9349 DP2022-442 04-Aug-2022 FATF PUBLIC STATEMENTS AFTER JUNE 2022 PLENARY
9350 DP2022-443 05-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9351 DP2022-444 05-Aug-2022 DETAILS OF CORPORATE ACTION
9352 DP2022-445 05-Aug-2022 SEBI-CIR-GUIDELINES-FOR-DT-AND-LISTED-ISSUER-COMPANIES
9353 DP2022-446 05-Aug-2022 AVAILABILITY OF CDSL SYSTEM
9354 DP2022-447 08-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9355 DP2022-448 08-Aug-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9356 DP2022-449 08-Aug-2022 FRAMEWORK FOR RESTRICTING TRADING BY DESIGNATED
PERSONS BY FREEZING PAN AT SECURITY LEVEL.
9357 DP2022-450 08-Aug-2022 RELEASE OF NEW MODULE FOR LATEST TECHNOLOGY MODULES
9358 DP2022-451 08-Aug-2022 CAPTURING ULTIMATE LENDER DETAILS FOR DEBENTURE
TRUSTEE
ACTING AS PLEDGEE
9359 DP2022-452 08-Aug-2022 DETAILS OF CORPORATE ACTION
9360 DP2022-453 10-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9361 DP2022-454 11-Aug-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9362 DP2022-455 11-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9363 DP2022-456 11-Aug-2022 AVAILABILITY OF CDSL SYSTEM
9364 DP2022-457 11-Aug-2022 DETAILS OF CORPORATE ACTION
9365 DP2022-458 11-Aug-2022 KYC RECONFIRMATION OF SIKKIM BASED DEMAT ACCOUNTS
9366 DP2022-459 12-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9367 DP2022-460 12-Aug-2022 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
ON TUESDAY - AUG - 16 - 22
9368 DP2022-461 12-Aug-2022 DETAILS OF CORPORATE ACTION
9369 DP2022-462 12-Aug-2022 PROVIDING UCC DETAILS MANDATORILY FOR PAY-IN
TRANSACTIONS
9370 DP2022-463 12-Aug-2022 DEMAT DEBIT AND PLEDGE INSTRUCTION (DDPI)
9371 DP2022-464 16-Aug-2022 REVISED PAY-IN TIME FOR SETTLEMENT

Page 166
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9372 DP2022-465 16-Aug-2022 CENTRAL KYC RECORDS REGISTRY - CKYCR- FRAMEWORK
9373 DP2022-466 16-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9374 DP2022-467 16-Aug-2022 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
9375 DP2022-468 17-Aug-2022 INVESTOR GRIEVANCE REDRESSAL MECHANISM
9376 DP2022-469 17-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9377 DP2022-470 17-Aug-2022 DETAILS OF CORPORATE ACTION
9378 DP2022-471 18-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9379 DP2022-472 18-Aug-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9380 DP2022-473 18-Aug-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY - GOLDCREST
CORPORATION LTD
9381 DP2022-474 19-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9382 DP2022-475 19-Aug-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9383 DP2022-476 19-Aug-2022 DEMAT DEBIT AND PLEDGE INSTRUCTION (DDPI)
9384 DP2022-477 19-Aug-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9385 DP2022-478 19-Aug-2022 BLOCK MECHANISM IN DEMAT ACCOUNT OF CLIENTS
UNDERTAKING
SALE TRANSACTIONS
9386 DP2022-479 22-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9387 DP2022-480 22-Aug-2022 PARTICIPATION AS FINANCIAL INFORMATION PROVIDERS IN
ACCOUNT
AGGREGATOR FRAMEWORK
9388 DP2022-481 23-Aug-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9389 DP2022-482 23-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9390 DP2022-483 24-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9391 DP2022-484 24-Aug-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9392 DP2022-485 24-Aug-2022 DETAILS OF CORPORATE ACTION
9393 DP2022-486 25-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9394 DP2022-487 25-Aug-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9395 DP2022-488 26-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9396 DP2022-489 26-Aug-2022 LIST OF SIKKIM BASED DEMAT ACCOUNTS
9397 DP2022-490 26-Aug-2022 DETAILS OF CORPORATE ACTIONS
9398 DP2022-491 26-Aug-2022 REVISED PAY IN TIME FOR NORMAL & AUCTION SETTLEMENT
9399 DP2022-492 26-Aug-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9400 DP2022-493 29-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9401 DP2022-494 29-Aug-2022 SEBI-CIR-AMENDMENTS-BY-A-LISTED-INVIT
9402 DP2022-495 29-Aug-2022 SEBI-CIR-AMENDMENTS-BY-A-LISTED-REIT
9403 DP2022-496 29-Aug-2022 SEBI-CIR-OPENING-OF-DEMAT-ACCOUNT-IN-CASE-OF-HUF
9404 DP2022-497 30-Aug-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9405 DP2022-498 30-Aug-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9406 DP2022-499 01-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9407 DP2022-500 01-Sep-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9408 DP2022-501 01-Sep-2022 DETAILS OF CORPORATE ACTIONS
9409 DP2022-502 02-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9410 DP2022-503 02-Sep-2022 DETAILS OF CORPORATE ACTIONS
9411 DP2022-504 05-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9412 DP2022-505 05-Sep-2022 DETAILS OF CORPORATE ACTION
9413 DP2022-506 06-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9414 DP2022-507 06-Sep-2022 AVAILABILITY OF CDSL SYSTEM
9415 DP2022-508 06-Sep-2022 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
9416 DP2022-509 07-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9417 DP2022-510 07-Sep-2022 DETAILS OF CORPORATE ACTION
9418 DP2022-511 07-Sep-2022 KYC RECONFIRMATION OF SIKKIM BASED DEMAT ACCOUNTS
9419 DP2022-512 08-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9420 DP2022-513 08-Sep-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9421 DP2022-514 08-Sep-2022 MANDATORY UPDATION OF CERTAIN ATTRIBUTES OF KYC OF
DEFICIENT CLIENTS
9422 DP2022-515 08-Sep-2022 FRAMEWORK FOR FREEZING OF CLIENT?S DEMAT ACCOUNT ON
NONDELIVERY OF SCN-ORDER
9423 DP2022-516 09-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9424 DP2022-517 09-Sep-2022 SOFTWARE UPGRADATION REGARDING DIGITAL SIGNATURE
USAGE
9425 DP2022-518 09-Sep-2022 REGISTRATION OF THE RES IN FINNET 2.0 SYSTEM OF FIU-IND
9426 DP2022-519 12-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9427 DP2022-520 12-Sep-2022 DETAILS OF CORPORATE ACTION
Page 167
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9428 DP2022-521 12-Sep-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY - QUEST SOFTECH
INDIA
LTD
9429 DP2022-522 13-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9430 DP2022-523 13-Sep-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9431 DP2022-524 14-Sep-2022 MASTER CIRCULAR ON SURVEILLANCE OF SECURITIES MARKET
9432 DP2022-525 14-Sep-2022 PROVIDING UCC DETAILS MANDATORILY FOR PAY-IN
TRANSACTIONS
9433 DP2022-526 14-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9434 DP2022-527 15-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9435 DP2022-528 15-Sep-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9436 DP2022-529 16-Sep-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9437 DP2022-530 16-Sep-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9438 DP2022-531 16-Sep-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9439 DP2022-532 16-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9440 DP2022-533 16-Sep-2022 INCENTIVE TO DPS FOR OPENING AND MAINTAINING BSDA
ACCOUNTS FOR
THE F.Y. 2021-22
9441 DP2022-534 19-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9442 DP2022-535 19-Sep-2022 REVISED CHECKLIST ON CONCURRENT AUDIT OF RISK PRONE
AREAS
BY AUDITORS OF THE DPS
9443 DP2022-536 19-Sep-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9444 DP2022-537 20-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9445 DP2022-538 20-Sep-2022 DETAILS OF CORPORATE ACTION
9446 DP2022-539 21-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9447 DP2022-540 21-Sep-2022 PAY-IN SECURITIES AGAINST OBLIGATIONS RECEIVED FROM THE
CLEARING
CORPORATIONS
9448 DP2022-541 21-Sep-2022 FRAMEWORK ON SOCIAL STOCK EXCHANGE
9449 DP2022-542 21-Sep-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9450 DP2022-543 22-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9451 DP2022-544 22-Sep-2022 UPDATES TO UNSCS 1718 SANCTIONS LIST AMENDMENT OF 2
ENTRIES
9452 DP2022-545 22-Sep-2022 DETAILS OF CORPORATE ACTION
9453 DP2022-546 23-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9454 DP2022-547 23-Sep-2022 ISSUE AND LISTING OF COMMERCIAL PAPER BY LISTED INVITS
9455 DP2022-548 23-Sep-2022 ISSUE AND LISTING OF COMMERCIAL PAPER BY LISTED REITS
9456 DP2022-549 26-Sep-2022 FRAMEWORK FOR RESTRICTING TRADING BY DESIGNATED
PERSONS
(DPS) BY FREEZING PAN AT SECURITY LEVEL
9457 DP2022-550 26-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9458 DP2022-551 26-Sep-2022 DETAILS OF CORPORATE ACTION
9459 DP2022-552 27-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9460 DP2022-553 27-Sep-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9461 DP2022-554 28-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9462 DP2022-555 28-Sep-2022 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM DEPOSITORY
OPERATIONS
9463 DP2022-556 28-Sep-2022 MODIFICATION IN THE OPERATIONAL GUIDELINES FOR FPIS, DDPS
AND
EFIS
9464 DP2022-557 28-Sep-2022 TIMELINE FOR UPGRADATION OF REL-ID CLIENT
9465 DP2022-558 29-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9466 DP2022-559 29-Sep-2022 REVISED PAY-IN TIME FOR NORMAL & AUCTION SETTLEMENT
9467 DP2022-560 29-Sep-2022 AMENDMENTS TO CDSL DP OPERATING INSTRUCTIONS
9468 DP2022-561 29-Sep-2022 AMENDMENTS TO CDSL DP OPERATING INSTRUCTIONS
9469 DP2022-562 30-Sep-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9470 DP2022-563 30-Sep-2022 CDSL DP TRAINING PROGRAMME
9471 DP2022-564 30-Sep-2022 DETAILS OF CORPORATE ACTION
9472 DP2022-565 30-Sep-2022 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS 2017-18 SERIES
III
9473 DP2022-566 30-Sep-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9474 DP2022-567 03-Oct-2022 TWO-FACTOR AUTHENTICATION FOR TRANSACTIONS IN UNITS OF
MUTUAL FUNDS
9475 DP2022-568 03-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9476 DP2022-569 03-Oct-2022 AMENDMENTS TO REIT
9477 DP2022-570 03-Oct-2022 AMENDMENTS TO INVIT
9478 DP2022-571 03-Oct-2022 REPORT ON INTERNAL AUDIT AND
CONCURRENT AUDIT OF RISK PRONE AREAS OF DP OPERATIONS

Page 168
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9479 DP2022-573 03-Oct-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9480 DP2022-572 04-Oct-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY - SIS LTD
9481 DP2022-574 04-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9482 DP2022-575 04-Oct-2022 AVAILABILITY OF CDSL SYSTEM
9483 DP2022-576 04-Oct-2022 DETAILS OF CORPORATE ACTION
9484 DP2022-577 04-Oct-2022 CYBER SECURITY ADVISORY
9485 DP2022-578 04-Oct-2022 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
9486 DP2022-579 04-Oct-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9487 DP2022-580 04-Oct-2022 SETTLEMENT SCHEDULE FOR OFFER TO BUY - QUICK HEAL
TECHNOLOGIES LTD
9488 DP2022-581 06-Oct-2022 EXT OF TIMELINE FOR ENTERING THE DETAILS OF SECURITIES IN
SECURITY AND COVENANT MONITORING SYSTEM
9489 DP2022-582 06-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9490 DP2022-583 07-Oct-2022 CHANGES IN EARLY PAY-IN CUT OFF TIME FOR OCTOBER 07, 2022
9491 DP2022-584 07-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9492 DP2022-585 07-Oct-2022 SEBI CIRCULAR -
EXECUTION OF DDPI FOR TRANSFER OF SECURITIES
9493 DP2022-586 07-Oct-2022 EXT OF TIME FOR SUBMISSION OF NET WORTH CERTIFICATE &
AUDITED FINANCIAL STATEMENTS
9494 DP2022-587 10-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9495 DP2022-588 10-Oct-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9496 DP2022-589 10-Oct-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9497 DP2022-590 10-Oct-2022 DISCONTINUATION OF PROVIDING TRANSACTION STATEMENT FOR
SPECIFIC REASONS
9498 DP2022-591 10-Oct-2022 DETAILS OF CORPORATE ACTIONS
9499 DP2022-592 11-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9500 DP2022-593 11-Oct-2022 EARLY REDEMPTION OF SGB FOR THE MONTH OF OCT 2022
9501 DP2022-594 12-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9502 DP2022-595 13-Oct-2022 SEBI CIRCULAR - REVIEW OF PROVISIONS PERTAINING TO
ELECTRONIC
BOOK PROVIDER PLATFORM
9503 DP2022-596 13-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9504 DP2022-598 13-Oct-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9505 DP2022-599 14-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9506 DP2022-600 14-Oct-2022 SUSPENSION, CANCELLATION OR SURRENDER OF
CERTIFICATE OF REGISTRATION OF A CREDIT RATING AGENCY
9507 DP2022-597 15-Oct-2022 DP OPERATING INSTRUCTIONS AS OF SEP-2022
CHAPTERS-ANNEXURES
9508 DP2022-601 17-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9509 DP2022-602 17-Oct-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9510 DP2022-603 18-Oct-2022 DETAILS OF CORPORATE ACTIONS
9511 DP2022-604 18-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9512 DP2022-605 18-Oct-2022 REVISED TIMELINE FOR UPGRADATION OF REL-ID CLIENT
9513 DP2022-606 19-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9514 DP2022-607 19-Oct-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9515 DP2022-608 19-Oct-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9516 DP2022-609 19-Oct-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9517 DP2022-610 19-Oct-2022 EARLY REDEMPTION OF SGB CALENDAR FOR THE
PERIOD OCT 2022 TO MAR 2023
9518 DP2022-611 19-Oct-2022 DETAILS OF CORPORATE ACTIONS
9519 DP2022-612 20-Oct-2022 REQUEST FOR QUOTE PLATFORM FOR TRADE
EXECUTION AND SETTLEMENT OF TRADES
9520 DP2022-613 20-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9521 DP2022-614 20-Oct-2022 MULTIPLE SETTLEMENTS & REVISED PAY-IN TIME ON ACCOUNT OF
MUHURAT TRADING AND SETTLEMENT HOLIDAY
9522 DP2022-615 21-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9523 DP2022-616 21-Oct-2022 GAZETTE NOTIFICATION - UPDATES IN SECTION 35(1)(A) OF UAPA,
1967
9524 DP2022-617 21-Oct-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9525 DP2022-618 25-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9526 DP2022-619 25-Oct-2022 DETAILS OF CORPORATE ACTIONS
9527 DP2022-620 25-Oct-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9528 DP2022-621 25-Oct-2022 REVISED PAY-IN TIME FOR AUCTION SETTLEMENT ON
WEDNESDAY, NOVEMBER 02, 2022.
9529 DP2022-622 27-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 169
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9530 DP2022-623 27-Oct-2022 TEMPLATE FOR SUPERVISORY RISK ASSESSMENT
9531 DP2022-624 27-Oct-2022 TEMPLATE FOR SUPERVISORY RISK ASSESSMENT
9532 DP2022-625 27-Oct-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9533 DP2022-626 28-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9534 DP2022-627 28-Oct-2022 SEBI CIR - BLOCK MECHANISM - CLARIFICATION
9535 DP2022-628 28-Oct-2022 DETAILS OF CORPORATE ACTIONS
9536 DP2022-629 31-Oct-2022 SEBI CIR - REDUCTION IN DENOMINATION FOR DEBT SEC
AND NON-CONVERTIBLE REDEEMABLE PREF SHARES
9537 DP2022-630 31-Oct-2022 DETAILS OF CORPORATE ACTION
9538 DP2022-631 31-Oct-2022 FATF PUBLIC STATEMENTS AFTER OCTOBER 2022 PLENARY
9539 DP2022-632 31-Oct-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9540 DP2022-633 01-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9541 DP2022-634 01-Nov-2022 REV OF PROVISIONS PERTAINING TO SPECIFICATIONS RELATED TO
ISIN
9542 DP2022-635 02-Nov-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9543 DP2022-636 02-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9544 DP2022-637 03-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9545 DP2022-638 03-Nov-2022 BLOCK MECHANISM IN DEMAT ACCOUNT OF CLIENTS
UNDERTAKING
SALE TRANSACTIONS
9546 DP2022-639 04-Nov-2022 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
9547 DP2022-640 04-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9548 DP2022-641 04-Nov-2022 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
9549 DP2022-642 04-Nov-2022 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM ?
DEPOSITORY OPERATIONS
9550 DP2022-643 04-Nov-2022 DEMAT DEBIT AND PLEDGE INSTRUCTION (DDPI)
9551 DP2022-644 07-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9552 DP2022-645 07-Nov-2022 WITHDRAWAL OF SECURITIES FROM CDSL
9553 DP2022-646 07-Nov-2022 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
9554 DP2022-647 09-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9555 DP2022-648 09-Nov-2022 REGISTRATION OF THE REPORTING ENTITIES IN FINNET 2.0
SYSTEM OF FIU-IND
9556 DP2022-649 09-Nov-2022 DETAILS OF CORPORATE ACTION
9557 DP2022-650 09-Nov-2022 SEBI CIR - MASTER CIRCULAR ON THE REDRESSAL OF INVESTOR
GRIEVANCES THROUGH THE SCORES PLATFORM
9558 DP2022-651 09-Nov-2022 AMENDMENT TO CDSL BYE LAWS
9559 DP2022-652 10-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9560 DP2022-653 10-Nov-2022 INVESTOR GRIEVANCE REDRESSAL MECHANISM
9561 DP2022-654 10-Nov-2022 AVAILABILITY OF CDSL SYSTEM
9562 DP2022-655 10-Nov-2022 BLOCK MECHANISM IN DEMAT ACCOUNT OF CLIENTS
FOR INTER-DEPOSITORY AND EARLY PAYIN TRANSACTIONS
9563 DP2022-656 11-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9564 DP2022-657 11-Nov-2022 DETAILS OF CORPORATE ACTION
9565 DP2022-658 11-Nov-2022 SEBI CIR - HANDLING OF CLIENTS SECURITIES BY TRADING
MEMBERS / CLEARING MEMBERS
9566 DP2022-660 11-Nov-2022 BLOCK MECHANISM IN DEMAT ACCOUNT OF CLIENTS
UNDERTAKING SALE TRANSACTIONS
9567 DP2022-659 14-Nov-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9568 DP2022-661 14-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9569 DP2022-663 14-Nov-2022 DETAILS OF CORPORATE ACTION
9570 DP2022-662 15-Nov-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9571 DP2022-664 15-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9572 DP2022-665 15-Nov-2022 SEBI CIR - REGISTRATION AND REGULATORY FRAMEWORK FOR
ONLINE
BOND PLATFORM PROVIDERS
9573 DP2022-666 16-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9574 DP2022-667 16-Nov-2022 REVISED PAY-IN TIME FOR AUCTION SETTLEMENT ON
THURSDAY, NOVEMBER 17, 2022
9575 DP2022-668 16-Nov-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9576 DP2022-669 17-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9577 DP2022-670 20-Nov-2022 DELAY IN SETTLEMENT ACTIVITIES
9578 DP2022-671 22-Nov-2022 DETAILS OF CORPORATE ACTION
9579 DP2022-672 23-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9580 DP2022-673 24-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9581 DP2022-674 24-Nov-2022 DETAILS OF CORPORATE ACTIONS
9582 DP2022-675 25-Nov-2022 MALWARE INFECTION DETAILS

Page 170
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9583 DP2022-676 25-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9584 DP2022-677 25-Nov-2022 DETAILS OF CORPORATE ACTIONS
9585 DP2022-678 25-Nov-2022 AVAILABILITY OF CDSL SYSTEM
9586 DP2022-679 28-Nov-2022 SEBI CIRCULAR - EXTENSION OF TIMELINES
9587 DP2022-680 28-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9588 DP2022-681 29-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9589 DP2022-682 29-Nov-2022 REVISED PAY-IN TIME FOR AUCTION SETTLEMENT ON WEDNESDAY,
NOVEMBER 30, 2022
9590 DP2022-684 30-Nov-2022 DETAILS OF CORPORATE ACTIONS
9591 DP2022-685 30-Nov-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9592 DP2022-686 30-Nov-2022 AMENDMENTS TO CDSLS DP OPERATING INSTRUCTIONS
9593 DP2022-683 01-Dec-2022 FRAMEWORK FOR FREEZING OF CLIENTS DEMAT ACCOUNT
9594 DP2022-687 01-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9595 DP2022-688 01-Dec-2022 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM -
DEPOSITORY OPERATIONS
9596 DP2022-689 01-Dec-2022 DETAILS OF CORPORATE ACTIONS
9597 DP2022-690 01-Dec-2022 AVAILABILITY OF CDSL SYSTEM
9598 DP2022-691 02-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9599 DP2022-692 02-Dec-2022 SEBI CIR ISSUANCE OF GREEN DEBT SECURITIES
9600 DP2022-693 05-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9601 DP2022-694 06-Dec-2022 SEBI CIR - PROCEDURE FOR SEEKING PRIOR APPROVAL FOR
CHANGE
IN CONTROL
9602 DP2022-695 06-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9603 DP2022-696 06-Dec-2022 SEBI CIR - REVIEW OF TIMELINES FOR LISTING OF SECURITIES
ISSUED
ON A PRIVATE PLACEMENT BASIS
9604 DP2022-697 07-Dec-2022 TRAINING SCHEDULE FOR CPE PROGRAMME OF NISM -
DEPOSITORY OPERATIONS
9605 DP2022-698 07-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9606 DP2022-699 08-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9607 DP2022-700 08-Dec-2022 CHANGE OF NAME EFFECTED BY DP
9608 DP2022-701 09-Dec-2022 FILE FORMAT FOR NEW ALERTS
9609 DP2022-702 09-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9610 DP2022-703 09-Dec-2022 AMENDMENT TO CDSL BYE LAWS
9611 DP2022-704 12-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9612 DP2022-705 12-Dec-2022 AMENDMENTS TO CDSL DP OPERATING INSTRUCTIONS
9613 DP2022-706 13-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9614 DP2022-707 13-Dec-2022 DETAILS OF CORPORATE ACTION
9615 DP2022-708 13-Dec-2022 AMENDMENTS TO CDSL DP OPERATING INSTRUCTIONS
9616 DP2022-709 14-Dec-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9617 DP2022-710 14-Dec-2022 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
9618 DP2022-711 14-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9619 DP2022-712 14-Dec-2022 DETAILS OF CORPORATE ACTIONS
9620 DP2022-713 15-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9621 DP2022-714 15-Dec-2022 AVAILABILITY OF CDSL SYSTEM
9622 DP2022-715 15-Dec-2022 TRAINING PROGRAMME
9623 DP2022-716 16-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9624 DP2022-717 19-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9625 DP2022-718 20-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9626 DP2022-719 20-Dec-2022 SEBI CIR - CLARIFICATION TO SEBI CIRCULAR DATED AUGUST 04,
2022
ON ENHANCED GUIDELINES
9627 DP2022-720 20-Dec-2022 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9628 DP2022-721 21-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9629 DP2022-722 21-Dec-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9630 DP2022-723 22-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9631 DP2022-724 22-Dec-2022 AVAILABILITY OF CDSL SYSTEM
9632 DP2022-725 23-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9633 DP2022-726 23-Dec-2022 INTER-DEPOSITORY TRANSFERS AND PENALTY FOR NON
MOVEMENT OF PAYOUT SECURITIES ON TRADING HOLIDAYS
9634 DP2022-727 23-Dec-2022 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9635 DP2022-728 26-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9636 DP2022-729 26-Dec-2022 DETAILS OF CORPORATE ACTION
9637 DP2022-730 27-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 171
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9638 DP2022-731 27-Dec-2022 TEMPLATE FOR SUPERVISORY RISK ASSESSMENT
9639 DP2022-732 28-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9640 DP2022-733 29-Dec-2022 SEBI MASTER CIRCULAR FOR FPI, DDP AND EFI
9641 DP2022-734 29-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9642 DP2022-735 29-Dec-2022 CHANGE OF NAME EFFECTED BY DP
9643 DP2022-736 30-Dec-2022 DETAILS OF SECURITIES ADMITTED WITH CDSL
9644 DP2023-1 02-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9645 DP2023-2 02-Jan-2023 AMENDMENT TO CDSL BYE LAWS
9646 DP2023-3 03-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9647 DP2023-4 03-Jan-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9648 DP2023-5 04-Jan-2023 DETAILS OF CORPORATE ACTION
9649 DP2023-6 04-Jan-2023 SEBI CIRCULAR - APPLICABILITY OF SEBI CIR ON PFMIS TO AMC
REPO CLEARING LIMITED
9650 DP2023-7 04-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9651 DP2023-8 05-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9652 DP2023-9 05-Jan-2023 DEMAT DEBIT AND PLEDGE INSTRUCTION (DDPI)
9653 DP2023-10 06-Jan-2023 AADHAAR SEEDING (LINKAGE OF AADHAAR WITH PAN)
9654 DP2023-11 06-Jan-2023 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER 17
9655 DP2023-12 06-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9656 DP2023-13 06-Jan-2023 AMENDMENTS TO CDSL DP OPERATING INSTRUCTIONS
9657 DP2023-14 09-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9658 DP2023-15 09-Jan-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9659 DP2023-16 09-Jan-2023 DETAILS OF CORPORATE ACTIONS
9660 DP2023-17 09-Jan-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
9661 DP2023-18 09-Jan-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9662 DP2023-19 10-Jan-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9663 DP2023-20 10-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9664 DP2023-21 10-Jan-2023 AVAILABILITY OF CDSL SYSTEM
9665 DP2023-22 11-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9666 DP2023-23 11-Jan-2023 EXT OF TIMELINES IN `SECURITY AND
COVENANT MONITORING? SYSTEM HOSTED BY DEPOSITORIES
9667 DP2023-24 11-Jan-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9668 DP2023-25 12-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9669 DP2023-26 12-Jan-2023 DP OPERATING INSTRUCTIONS AS OF DECEMBER - 2022
CHAPTERS & ANNEXURES
9670 DP2023-27 12-Jan-2023 SEBI CIR - PERTAINING TO SECURITY AND COVENANT MONITORING
9671 DP2023-28 13-Jan-2023 CHANGES IN DP57 AND DP89 REPORT
9672 DP2023-29 13-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9673 DP2023-30 13-Jan-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9674 DP2023-31 13-Jan-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9675 DP2023-32 16-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9676 DP2023-33 16-Jan-2023 SEBI CIR - OPERATIONAL CIRCULAR FOR CREDIT RATING AGENCIES
9677 DP2023-34 16-Jan-2023 SEBI CIR - MODE OF SETTLEMENT FOR TRADES EXECUTED ON THE
REQUEST FOR QUOTE PLATFORM
9678 DP2023-35 17-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9679 DP2023-36 18-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9680 DP2023-37 18-Jan-2023 CDSL DP TRAINING PROGRAMME
9681 DP2023-38 18-Jan-2023 DETAILS OF CORPORATE ACTIONS
9682 DP2023-39 18-Jan-2023 WITHDRAWAL OF REGISTRAR & TRANSFER AGENT OF CDSL
9683 DP2023-40 19-Jan-2023 UPDATES TO UNSC : ADDITION OF 1 ENTRY
9684 DP2023-41 19-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9685 DP2023-42 19-Jan-2023 DETAILS OF CORPORATE ACTIONS
9686 DP2023-43 19-Jan-2023 DEMAT DEBIT AND PLEDGE INSTRUCTION (DDPI)
9687 DP2023-44 19-Jan-2023 UPDATES IN SECTION 35(1)(A) OF UAPA, 1967
9688 DP2023-45 20-Jan-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9689 DP2023-46 20-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9690 DP2023-47 20-Jan-2023 REVISED PAY-IN TIME FOR AUCTION & SLBM MARKET TYPE
9691 DP2023-48 20-Jan-2023 SEBI CIR - COMPREHENSIVE FRAMEWORK ON OFS OF SHARES
THROUGH STOCK EXCHANGE MECHANISM
9692 DP2023-49 20-Jan-2023 NOMINATION FOR ELIGIBLE DEMAT ACCOUNTS
9693 DP2023-50 23-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9694 DP2023-51 24-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9695 DP2023-52 24-Jan-2023 WITHDRAWAL OF SECURITIES FROM CDSL

Page 172
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9696 DP2023-53 24-Jan-2023 WITHDRAWAL OF REGISTRAR & TRANSFER AGENT OF CDSL
9697 DP2023-54 24-Jan-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9698 DP2023-55 25-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9699 DP2023-56 25-Jan-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9700 DP2023-57 25-Jan-2023 T+1 SETTLEMENT CYCLE IN EQUITY SEGMENT
9701 DP2023-58 25-Jan-2023 MODIFICATION IN CYBER SECURITY AND CYBER RESILIENCE
FRAMEWORK FOR DEPOSITORY PARTICIPANTS
9702 DP2023-59 25-Jan-2023 GAZETTE NOTIFICATION - UPDATES IN SECTION 35(1)(A) OF UAPA,
1967
9703 DP2023-60 25-Jan-2023 PROVIDING UCC DETAILS MANDATORILY FOR PAY-IN
TRANSACTIONS
9704 DP2023-61 27-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9705 DP2023-62 30-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9706 DP2023-63 30-Jan-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9707 DP2023-64 31-Jan-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9708 DP2023-65 31-Jan-2023 MAPPING OF UNIQUE CLIENT CODE WITH DEMAT ACCOUNTS
9709 DP2023-66 01-Feb-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9710 DP2023-67 01-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9711 DP2023-68 01-Feb-2023 UPDATES TO UNSCS 1267/1989 SANCTIONS LIST -
ADDITION OF ONE ENTRY
9712 DP2023-69 01-Feb-2023 DETAILS OF CORPORATE ACTION
9713 DP2023-70 01-Feb-2023 SEBI CIR - FACILITY OF CONDUCTING MEETINGS OF UNIT HOLDERS
OF
INVITS
9714 DP2023-71 01-Feb-2023 SEBI CIR - FACILITY OF CONDUCTING MEETINGS OF UNIT HOLDERS
OF
REITS
9715 DP2023-72 02-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9716 DP2023-73 02-Feb-2023 MIGRATION OF ACCOUNT OF CHOICE USERS TO NEW DRIVERS
9717 DP2023-74 02-Feb-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9718 DP2023-75 02-Feb-2023 FIU CIR - INDIVIDUAL(S) AND ENTITIES UNDER SECTION 35(1)(A) OF
UAPA.
9719 DP2023-76 03-Feb-2023 INSTALLATION PROCEDURE TO NEW DRIVERS
9720 DP2023-77 03-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9721 DP2023-78 06-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9722 DP2023-79 07-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9723 DP2023-80 07-Feb-2023 DETAILS OF CORPORATE ACTIONS
9724 DP2023-81 07-Feb-2023 SEBI CIR - AMENDMENTS TO OPERATIONAL CIRCULAR FOR CRAS
9725 DP2023-82 08-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9726 DP2023-83 08-Feb-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
9727 DP2023-84 08-Feb-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9728 DP2023-85 09-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9729 DP2023-86 09-Feb-2023 AVAILABILITY OF CDSL SYSTEM
9730 DP2023-87 09-Feb-2023 AMENDMENT TO CDSL BYE LAWS
9731 DP2023-88 10-Feb-2023 SURVEILLANCE OBLIGATION OF DEPOSITORY PARTICIPANT
9732 DP2023-89 10-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9733 DP2023-90 10-Feb-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9734 DP2023-91 10-Feb-2023 SEBI CIR - ENHANCED OBLIGATIONS AND RESPONSIBILITIES ON
QUALIFIED STOCK BROKERS
9735 DP2023-92 10-Feb-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
9736 DP2023-93 10-Feb-2023 SEBI CIR - CLARIFICATION W.R.T. ISSUANCE AND LISTING OF
PERPETUAL DEBT INSTRUMENTS
9737 DP2023-94 10-Feb-2023 SEBI CIR - FIRST-TIME ISSUERS OF DEBT SECURITIES UNDER SEBI
9738 DP2023-95 10-Feb-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9739 DP2023-96 10-Feb-2023 NEW STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
9740 DP2023-97 13-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9741 DP2023-98 13-Feb-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9742 DP2023-99 13-Feb-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9743 DP2023-100 14-Feb-2023 DETAILS OF CORPORATE ACTIONS
9744 DP2023-101 14-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9745 DP2023-102 15-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9746 DP2023-103 15-Feb-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9747 DP2023-104 15-Feb-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9748 DP2023-105 15-Feb-2023 UPDATES TO UNSC 1267/1989 SANCTIONS LIST - AMENDMENTS IN
29 ENTRIES
9749 DP2023-106 15-Feb-2023 DETAILS OF CORPORATE ACTION

Page 173
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9750 DP2023-107 16-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9751 DP2023-108 16-Feb-2023 SEBI CIR - INTRODUCTION OF ISSUE SUMMARY DOCUMENT AND
DISSEMINATION OF ISSUE ADVERTISEMENTS
9752 DP2023-109 16-Feb-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9753 DP2023-110 17-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9754 DP2023-111 17-Feb-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9755 DP2023-112 17-Feb-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
9756 DP2023-113 17-Feb-2023 SEBI CIR - MAINTENANCE OF A WEBSITE BY STOCK BROKERS AND
DEPOSITORY PARTICIPANTS
9757 DP2023-114 20-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9758 DP2023-115 20-Feb-2023 DETAILS OF CORPORATE ACTIONS
9759 DP2023-116 21-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9760 DP2023-117 21-Feb-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9761 DP2023-118 21-Feb-2023 DETAILS OF CORPORATE ACTIONS
9762 DP2023-119 22-Feb-2023 CHANGE IN ACCOUNT OPENING FILE FORMATS
9763 DP2023-120 22-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9764 DP2023-121 23-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9765 DP2023-122 23-Feb-2023 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER 7
9766 DP2023-123 23-Feb-2023 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER 2 AND 6
9767 DP2023-124 24-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9768 DP2023-125 24-Feb-2023 CHANGE OF NAME EFFECTED BY DP
9769 DP2023-126 27-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9770 DP2023-127 27-Feb-2023 GAZETTE NOTIFICATION - UPDATES IN SECTION 35(1)(A) OF UAPA,
1967
9771 DP2023-129 28-Feb-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9772 DP2023-130 28-Feb-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9773 DP2023-131 28-Feb-2023 DETAILS OF CORPORATE ACTIONS
9774 DP2023-128 01-Mar-2023 HANDLING OF CLIENT SECURITIES
9775 DP2023-132 01-Mar-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9776 DP2023-133 01-Mar-2023 SEBI CIR - ADVISORY FOR SEBI REGULATED ENTITIES REGARDING
CYBERSECURITY BEST PRACTICES
9777 DP2023-134 01-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9778 DP2023-135 02-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9779 DP2023-136 02-Mar-2023 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS CALENDAR FOR
THE
PERIOD APRIL 2023 TO SEPTEMBER 2023
9780 DP2023-137 03-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9781 DP2023-138 03-Mar-2023 FATF PUBLIC STATEMENTS AFTER FEBRUARY 2023 PLENARY
9782 DP2023-139 03-Mar-2023 DETAILS OF CORPORATE ACTION
9783 DP2023-140 03-Mar-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9784 DP2023-141 06-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9785 DP2023-142 06-Mar-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9786 DP2023-143 08-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9787 DP2023-144 08-Mar-2023 SEBI CIR - OPERATIONAL CIRCULAR FOR CREDIT RATING AGENCIES
9788 DP2023-145 08-Mar-2023 SEBI CIRCULAR - TO ENTITIES OPERATING/ DESIROUS OF
OPERATING
AS ONLINE BOND PLATFORM PROVIDERS
9789 DP2023-146 08-Mar-2023 DETAILS OF CORPORATE ACTIONS
9790 DP2023-147 09-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9791 DP2023-148 09-Mar-2023 SEBI-MASTER-CIR-SUBSTANTIAL ACQUISITION OF SHARES
AND TAKEOVERS
9792 DP2023-149 09-Mar-2023 SEBI CIR - FRAMEWORK FOR ADOPTION OF CLOUD SERVICES BY
SEBI
REGULATED ENTITIES
9793 DP2023-150 09-Mar-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
9794 DP2023-151 09-Mar-2023 HANDLING OF CLIENTS SECURITIES BY TRADING MEMBERS (TM) /
CLEARING MEMBERS (CM)
9795 DP2023-152 09-Mar-2023 AVAILABILITY OF CDSL SYSTEM
9796 DP2023-153 10-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9797 DP2023-154 10-Mar-2023 DETAILS OF CORPORATE ACTION
9798 DP2023-155 10-Mar-2023 REGISTRATION OF NOMINATION THROUGH EASI / EASIEST
& CDSL WEBSITE
9799 DP2023-156 13-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9800 DP2023-157 13-Mar-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9801 DP2023-158 14-Mar-2023 NEW STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
9802 DP2023-159 14-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9803 DP2023-160 14-Mar-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL

Page 174
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9804 DP2023-161 14-Mar-2023 AMENDMENTS TO CDSL DP OPERATING INSTRUCTIONS
9805 DP2023-162 14-Mar-2023 DETAILS OF CORPORATE ACTIONS
9806 DP2023-163 14-Mar-2023 AADHAAR SEEDING (LINKAGE OF PAN WITH AADHAAR)
9807 DP2023-164 15-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9808 DP2023-165 16-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9809 DP2023-166 16-Mar-2023 DETAILS OF CORPORATE ACTIONS
9810 DP2023-167 17-Mar-2023 DETAILS OF CORPORATE ACTION
9811 DP2023-168 17-Mar-2023 MIGRATION OF ACCOUNT OF CHOICE USERS TO NEW DRIVERS
9812 DP2023-169 17-Mar-2023 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
9813 DP2023-170 17-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9814 DP2023-171 17-Mar-2023 AVAILABILITY OF CDSL SYSTEM
9815 DP2023-172 17-Mar-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9816 DP2023-173 20-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9817 DP2023-174 20-Mar-2023 MULTIPLE SETTLEMENTS & REVISED PAY-IN TIME ON ACCOUNT OF
TRADING AND SETTLEMENT HOLIDAY
9818 DP2023-175 20-Mar-2023 SEBI CIR - FOR PROCESSING INVESTORS SERVICE REQUESTS BY
RTAS
9819 DP2023-176 20-Mar-2023 UPDATES TO UNSC AMENDMENTS IN
102 ENTRIES
9820 DP2023-177 20-Mar-2023 AMENDMENTS TO CDSL DP OPERATING INSTRUCTIONS
9821 DP2023-178 21-Mar-2023 HANDLING OF CLIENTS SECURITIES BY TRADING MEMBERS (TM) /
CLEARING MEMBERS (CM)
9822 DP2023-179 21-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9823 DP2023-180 22-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9824 DP2023-181 22-Mar-2023 DETAILS OF CORPORATE ACTION
9825 DP2023-182 22-Mar-2023 NON-EXECUTION OF INTER-DEPOSITORY TRANSFERS OF
GOVERNMENT
SECURITIES ON APRIL 01, 2023
9826 DP2023-183 23-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9827 DP2023-184 23-Mar-2023 NEW RFI AS PER SUPPLEMENTAL GUIDELINES BY FIU(IND)
9828 DP2023-185 23-Mar-2023 SEBI MASTER CIR - GUIDELINES ON AML STANDARDS AND CFT
/OBLIGATIONS OF SECURITIES MARKET
9829 DP2023-186 23-Mar-2023 NOMINATION FOR ELIGIBLE DEMAT ACCOUNTS
9830 DP2023-187 24-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9831 DP2023-188 24-Mar-2023 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
9832 DP2023-189 24-Mar-2023 SEBI CIRCULAR - MASTER CIRCULAR ON SURVEILLANCE OF
SECURITIES MARKET
9833 DP2023-190 24-Mar-2023 NOMINATION FOR ELIGIBLE DEMAT ACCOUNTS
9834 DP2023-191 27-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9835 DP2023-192 27-Mar-2023 SEBI CIR - NOMINATION FOR ELIGIBLE TRADING AND DEMAT
ACCOUNTS EXTENSION OF TIMELINES
9836 DP2023-193 28-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9837 DP2023-194 28-Mar-2023 DETAILS OF CORPORATE ACTION
9838 DP2023-195 28-Mar-2023 MODE OF OPERATION
9839 DP2023-196 28-Mar-2023 SEBI CIR - AMENDMENT TO SECURITIES LENDING SCHEME, 1997
9840 DP2023-197 29-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9841 DP2023-198 29-Mar-2023 DETAILS OF CORPORATE ACTION
9842 DP2023-199 29-Mar-2023 AADHAAR SEEDING (LINKAGE OF AADHAAR WITH PAN)
9843 DP2023-200 29-Mar-2023 MEASURES TO CURB MISUSE OF HEADERS AND CONTENT
TEMPLATES -
SMSES
9844 DP2023-201 31-Mar-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9845 DP2023-202 31-Mar-2023 SUBMISSION OF COMPLIANCE OF CLOSURE OF FINDINGS
IDENTIFIED
DURING VAPT
9846 DP2023-203 31-Mar-2023 SEBI CIR - SEBI CIR - NORMS FOR SCHEME OF ARRANGEMENT
9847 DP2023-204 31-Mar-2023 SEBI CIR - STREAMLINING THE ONBOARDING PROCESS OF FPIS
9848 DP2023-205 31-Mar-2023 SEBI CIR - NOMINATION FOR MUTUAL FUND UNIT HOLDERS -
EXTENSION OF TIMELINES
9849 DP2023-206 31-Mar-2023 SEBI CIR - EXT OF COMPLIANCE PERIOD - FUND RAISING BY LARGE
CORPORATES
9850 DP2023-207 31-Mar-2023 GUIDELINES IN PURSUANCE OF AMENDMENT TO SEBI KYC
REGISTRATION AGENCY (KRA) REGULATIONS, 2011
9851 DP2023-208 31-Mar-2023 HANDLING OF CLIENTS SECURITIES BY TRADING MEMBERS /
CLEARING MEMBERS
9852 DP2023-209 03-Apr-2023 REVISED FORMAT FOR REPORT ON INTERNAL AUDIT AND
CONCURRENT AUDIT
9853 DP2023-210 03-Apr-2023 DETAILS OF CORPORATE ACTION
9854 DP2023-211 03-Apr-2023 VERIFICATION OF MOBILE NUMBER REVOCATION LIST (MNRL)
PUBLISHED BY TRAI

Page 175
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9855 DP2023-212 03-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9856 DP2023-213 05-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9857 DP2023-214 06-Apr-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
9858 DP2023-215 06-Apr-2023 SEBI CIR - OPERATIONAL GUIDANCE - AMENDMENT TO SEBI
9859 DP2023-216 06-Apr-2023 SEBI CIR - OPERATIONAL CIRCULAR FOR DEBENTURE TRUSTEES
9860 DP2023-217 06-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9861 DP2023-218 06-Apr-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9862 DP2023-219 06-Apr-2023 SETUP/MODIFICATION FACILITY OF BANK DETAILS
FOR DPS IN CDSL SYSTEM
9863 DP2023-220 06-Apr-2023 SUBMISSION / DISSEMINATION OF DP TARIFF / CHARGE
STRUCTURE TO CDSL EVERY YEAR
9864 DP2023-221 06-Apr-2023 DETAILS OF CORPORATE ACTION
9865 DP2023-222 10-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9866 DP2023-223 11-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9867 DP2023-224 11-Apr-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9868 DP2023-225 11-Apr-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9869 DP2023-226 12-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9870 DP2023-227 12-Apr-2023 AVAILABILITY OF CDSL SYSTEM
9871 DP2023-228 12-Apr-2023 DETAILS OF CORPORATE ACTIONS
9872 DP2023-229 13-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9873 DP2023-230 13-Apr-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9874 DP2023-231 13-Apr-2023 ONLINE SUBMISSION OF ACTIONS REQUIRED ON FATF PUBLIC
STATEMENTS
9875 DP2023-232 13-Apr-2023 MODE OF OPERATION
9876 DP2023-233 15-Apr-2023 DP OPERATING INSTRUCTIONS AS OF MARCH - 2023
CHAPTERS & ANNEXURES
9877 DP2023-234 17-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9878 DP2023-235 17-Apr-2023 AMENDMENT TO CDSL BYE LAWS
9879 DP2023-236 18-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9880 DP2023-237 18-Apr-2023 SUBMISSION / DISSEMINATION OF DP TARIFF / CHARGE
STRUCTURE TO CDSL EVERY YEAR
9881 DP2023-238 18-Apr-2023 SEBI CIR - CONTRIBUTION BY ELIGIBLE ISSUERS OF DEBT
SECURITIES
TO THE SETTLEMENT GUARANTEE FUND
9882 DP2023-239 18-Apr-2023 DETAILS OF CORPORATE ACTION
9883 DP2023-240 19-Apr-2023 CDSL DP TRAINING PROGRAMME
9884 DP2023-241 19-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9885 DP2023-242 19-Apr-2023 DETAILS OF CORPORATE ACTIONS
9886 DP2023-243 20-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9887 DP2023-244 20-Apr-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9888 DP2023-245 20-Apr-2023 PROCESSING OF TRANSACTIONS WITH OLD BANK ACCOUNT
NUMBERS
9889 DP2023-246 21-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9890 DP2023-247 21-Apr-2023 DETAILS OF CORPORATE ACTION
9891 DP2023-248 21-Apr-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9892 DP2023-249 21-Apr-2023 SEBI CIR - ISSUE OF MASTER CIRCULAR BY STOCK EXCHANGES,
CLEARING CORPORATIONS AND DEPOSITORIES
9893 DP2023-250 24-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9894 DP2023-251 24-Apr-2023 SEBI CIRCULAR - PROCEDURE FOR PRIOR APPROVAL FOR CHANGE
IN CONTROL OF
VAULT MANAGERS
9895 DP2023-252 25-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9896 DP2023-253 25-Apr-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9897 DP2023-254 25-Apr-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9898 DP2023-255 26-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9899 DP2023-256 26-Apr-2023 FRAMEWORK FOR FREEZING OF CLIENTS DEMAT ACCOUNT ON
NON-DELIVERY OF SCN - ORD
9900 DP2023-257 27-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9901 DP2023-258 27-Apr-2023 DETAILS OF CORPORATE ACTIONS
9902 DP2023-259 27-Apr-2023 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER - 2
9903 DP2023-260 27-Apr-2023 PARTICIPATION AS FINANCIAL INFORMATION PROVIDERS IN
ACCOUNT
AGGREGATOR FRAMEWORK
9904 DP2023-261 27-Apr-2023 GUIDELINES IN PURSUANCE OF AMENDMENT TO SEBI KYC
REGISTRATION AGENCY (KRA) REGULATIONS, 2011
9905 DP2023/262 28-Apr-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9906 DP2023/263 28-Apr-2023 HARMONIZATION OF FILE FORMATS
9907 DP2023-264 02-May-2023 DETAILS OF CORPORATE ACTIONS
9908 DP2023-265 02-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 176
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9909 DP2023-266 02-May-2023 DETAILS OF CORPORATE ACTION
9910 DP2023-267 02-May-2023 INSURANCE POLICY FOR SECURITIES
9911 DP2023-268 02-May-2023 SEBI CIR - PROCEDURE FOR IMPLEMENTATION OF SECTION 12A OF
THE
WEAPONS OF MASS DESTRUCTION
9912 DP2023-269 03-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9913 DP2023-270 03-May-2023 DETAILS OF CORPORATE ACTIONS
9914 DP2023-271 03-May-2023 REGISTRATION ON FIN GATE 2.0 PORTAL
9915 DP2023-272 03-May-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9916 DP2023-273 04-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9917 DP2023-274 04-May-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9918 DP2023-275 04-May-2023 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
9919 DP2023-276 04-May-2023 SUBMISSION OF NET WORTH CERTIFICATE & AUDITED FINANCIAL
STATEMENTS
9920 DP2023-277 05-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9921 DP2023-278 05-May-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
9922 DP2023-279 05-May-2023 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER-2
9923 DP2023-280 05-May-2023 PMS MANAGER DETAILS IN CDAS
9924 DP2023-281 05-May-2023 INTRODUCTION OF LEGAL ENTITY IDENTIFIER
9925 DP2023-282 08-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9926 DP2023-283 08-May-2023 INTRODUCTION OF LEGAL ENTITY IDENTIFIER (LEI)
9927 DP2023-284 08-May-2023 UPDATES TO UNSCS
1267/ 1989 ISIL (DAESH) & AL-QAIDA SANCTIONS LIST: ADDITION OF
2
ENTRIES
9928 DP2023-285 09-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9929 DP2023-286 09-May-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9930 DP2023-287 09-May-2023 INTRODUCTION OF ISSUE SUMMARY DOCUMENT (ISD) AND
DISSEMINATION OF ISSUE ADVERTISEMENTS
9931 DP2023-288 10-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9932 DP2023-289 10-May-2023 SEBI CIR - ADDITIONAL REQUIREMENTS FOR THE ISSUERS OF
TRANSITION BONDS
9933 DP2023-290 10-May-2023 AVAILABILITY OF CDSL SYSTEM
9934 DP2023-291 10-May-2023 DETAILS OF CORPORATE ACTIONS
9935 DP2023-292 11-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9936 DP2023-293 11-May-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9937 DP2023-294 12-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9938 DP2023-295 15-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9939 DP2023-297 16-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9940 DP2023-298 16-May-2023 SUBMISSION OF ANNUAL SYSTEM AUDIT REPORT
9941 DP2023-299 17-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9942 DP2023-296 18-May-2023 DETAILS OF CORPORATE ACTIONS
9943 DP2023-300 18-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9944 DP2023-301 18-May-2023 DETAILS OF CORPORATE ACTIONS
9945 DP2023-302 19-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9946 DP2023-303 22-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9947 DP2023-304 22-May-2023 PMS MANAGER DETAILS IN CDSL SYSTEM
9948 DP2023-305 23-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9949 DP2023-306 23-May-2023 WITHDRAWAL OF SECURITIES FROM CDSL
9950 DP2023-307 23-May-2023 SEBI CIR - RISK DISCLOSURE WITH RESPECT TO TRADING
9951 DP2023-308 23-May-2023 SEBI CIR - DEMATERIALIZATION OF SECURITIES BY REITS
9952 DP2023-309 23-May-2023 SEBI CIR - DEMATERIALIZATION OF SECURITIES BY INVITS
9953 DP2023-310 24-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9954 DP2023-311 24-May-2023 DETAILS OF CORPORATE ACTIONS
9955 DP2023-312 25-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9956 DP2023-313 26-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9957 DP2023-314 29-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9958 DP2023-315 30-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9959 DP2023-316 30-May-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9960 DP2023-317 30-May-2023 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
9961 DP2023-318 31-May-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9962 DP2023-319 31-May-2023 DETAILS OF CORPORATE ACTION
9963 DP2023-320 01-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9964 DP2023-321 01-Jun-2023 SEBI CIR - COMPREHENSIVE GUIDELINES FOR IPF AND ISF AT
STOCK
EXCHANGES AND DEPOSITORIES
9965 DP2023-322 02-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL

Page 177
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
9966 DP2023-323 02-Jun-2023 DETAILS OF CORPORATE ACTION
9967 DP2023-324 05-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9968 DP2023-325 05-Jun-2023 CONSOLIDATED ACCOUNT STATEMENT (CAS) AND DISPATCH OF
TRANSACTION STATEMENTS (DOTS)
9969 DP2023-326 06-Jun-2023 SEBI MASTER CIRCULAR FOR ELECTRONIC GOLD RECEIPTS
9970 DP2023-327 06-Jun-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9971 DP2023-328 06-Jun-2023 DETAILS OF CORPORATE ACTION
9972 DP2023-329 06-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9973 DP2023-330 06-Jun-2023 SECURITY COUNCIL ISIL AND AL- QAIDA SANCTIONS
COMMITTEE AMENDS ONE ENTRY TO ITS SANCTIONS LIST
9974 DP2023-331 07-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9975 DP2023-332 07-Jun-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
9976 DP2023-333 07-Jun-2023 SECURITY COUNCIL ISIL AND AL-QAIDA SANCTIONS
COMMITTEE REMOVES TWO ENTRIES FROM ITS SANCTIONS LIST
9977 DP2023-334 07-Jun-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9978 DP2023-335 08-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9979 DP2023-336 08-Jun-2023 AMENDMENT TO CDSL BYE LAWS
9980 DP2023-337 08-Jun-2023 SEBI MASTER CIRCULAR FOR MUTUAL FUNDS
9981 DP2023-338 08-Jun-2023 SEBI CIR - TRANSACTIONS IN CORPORATE BONDS THROUGH
REQUEST
FOR QUOTE PLATFORM BY STOCK BROKERS
9982 DP2023-339 09-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9983 DP2023-340 09-Jun-2023 DETAILS OF CORPORATE ACTION
9984 DP2023-341 09-Jun-2023 SEBI CIR - UPSTREAMING OF CLIENTS FUNDS BY STOCK BROKERS /
CM TO CC
9985 DP2023-342 12-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9986 DP2023-343 12-Jun-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
9987 DP2023-344 13-Jun-2023 ANNUAL BILL
9988 DP2023-345 13-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9989 DP2023-346 13-Jun-2023 INTRODUCTION OF NEW REASON CODE FOR EXECUTION OF
OFF MARKET TRANSACTIONS
9990 DP2023-347 14-Jun-2023 DETAILS OF CORPORATE ACTIONS
9991 DP2023-348 14-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9992 DP2023-349 14-Jun-2023 IMPLEMENTATION OF SECTION 12A OF WEAPONS OF MASS
DESTRUCTION
9993 DP2023-350 15-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9994 DP2023-351 15-Jun-2023 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
9995 DP2023-352 15-Jun-2023 AVAILABILITY OF CDSL SYSTEM
9996 DP2023-353 16-Jun-2023 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
9997 DP2023-354 16-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9998 DP2023-355 19-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
9999 DP2023-356 19-Jun-2023 ORDERS REGARDING THE UNSC RESOLUTIONS 1718 & 2231
10000 DP2023-357 19-Jun-2023 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
10001 DP2023-358 20-Jun-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10002 DP2023-359 20-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10003 DP2023-360 20-Jun-2023 AADHAAR SEEDING (LINKAGE OF PAN WITH AADHAAR)
10004 DP2023-361 20-Jun-2023 DETAILS OF CORPORATE ACTIONS
10005 DP2023-362 21-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10006 DP2023-363 21-Jun-2023 SEBI CIR - AMENDMENT TO GUIDELINES ON AML STANDARDS AND
CFT /OBLIGATIONS
10007 DP2023-364 21-Jun-2023 SEBI CIR - ADHERENCE TO PROVISIONS OF REGULATION 51A OF
SEBI
10008 DP2023-365 22-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10009 DP2023-366 23-Jun-2023 SEBI CIR - ISSUANCE OF UNITS OF AIFS IN DEMATERIALISED FORM
10010 DP2023-367 23-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10011 DP2023-368 23-Jun-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10012 DP2023-369 23-Jun-2023 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER-12
10013 DP2023-370 23-Jun-2023 UPSTREAMING OF CLIENTS FUNDS BY STOCK BROKERS /
CLEARING MEMBERS TO CLEARING CORPORATIONS
10014 DP2023-371 26-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10015 DP2023-372 27-Jun-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10016 DP2023-373 27-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10017 DP2023-374 27-Jun-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10018 DP2023-375 27-Jun-2023 REVISED SETTLEMENT SCHEDULE ON ACCOUNT OF TRADING
HOLIDAY
10019 DP2023-376 28-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10020 DP2023-377 28-Jun-2023 WITHDRAWAL OF REGISTRAR & TRANSFER AGENT OF CDSL

Page 178
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10021 DP2023-378 28-Jun-2023 PROCEDURE FOR UPDATION OF EMAIL ID AND MOBILE NUMBER IN
DEMAT ACCOUNTS
10022 DP2023-379 30-Jun-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10023 DP2023-380 30-Jun-2023 AADHAAR SEEDING (LINKAGE OF PAN WITH AADHAAR)
10024 DP2023-381 30-Jun-2023 SEBI CIR - IMPLEMENTATION OF CIRCULAR ON UPSTREAMING OF
CLIENTS FUNDS
10025 DP2023-382 30-Jun-2023 SEBI MASTER CIR FOR ISSUE OF CAPITAL AND DISCLOSURE
REQUIREMENTS
10026 DP2023-383 03-Jul-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10027 DP2023-384 03-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10028 DP2023-385 04-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10029 DP2023-386 04-Jul-2023 IMPLEMENTATION OF SECURITY COUNCIL RESOLUTION
10030 DP2023-387 04-Jul-2023 SEBI CIR - FORMAT FOR ANNUAL SECRETARIAL COMPLIANCE
REPORT
FOR INVITS
10031 DP2023-388 04-Jul-2023 SEBI CIR - FORMAT FOR ANNUAL SECRETARIAL COMPLIANCE
REPORT
FOR REITS
10032 DP2023-389 04-Jul-2023 SEBI CIR - TRADING SUPPORTED BY BLOCKED AMOUNT IN
SECONDARY
MARKET
10033 DP2023-390 05-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10034 DP2023-391 05-Jul-2023 AVAILABILITY OF CDSL SYSTEM
10035 DP2023-392 06-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10036 DP2023-393 06-Jul-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10037 DP2023-394 06-Jul-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
10038 DP2023-395 06-Jul-2023 AADHAAR SEEDING (LINKAGE OF PAN WITH AADHAAR)
10039 DP2023-396 07-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10040 DP2023-397 07-Jul-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10041 DP2023-398 09-Jul-2023 AVAILABILITY OF CDSL SYSTEM
10042 DP2023-399 10-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10043 DP2023-400 11-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10044 DP2023-401 12-Jul-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10045 DP2023-402 12-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10046 DP2023-403 12-Jul-2023 AADHAAR SEEDING (LINKAGE OF PAN WITH AADHAAR)
10047 DP2023-404 12-Jul-2023 TRANSMISSION AND DELETION OF NAME
10048 DP2023-405 13-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10049 DP2023-406 13-Jul-2023 AVAILABILITY OF CDSL SYSTEM
10050 DP2023-407 14-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10051 DP2023-408 14-Jul-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10052 DP2023-409 14-Jul-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10053 DP2023-410 14-Jul-2023 DETAILS OF CORPORATE ACTIONS
DP
10054 DP2023-411 14-Jul-2023 MASTER CIRCULAR FOR DEPOSITORY PARTICIPANTS (DPS)
10055 DP2023-412 14-Jul-2023 DP OPERATIING IINSTRUCTIIONS AS OF JUNE 2023
CHAPTERS & ANNEXURES
10056 DP2023-413 17-Jul-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10057 DP2023-414 18-Jul-2023 SEBI - ONLINE REMITTANCE OF FEES PAYABLE TO SEBI
10058 DP2023-415 18-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10059 DP2023-416 19-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10060 DP2023-417 19-Jul-2023 SEBI - EXTENDING FRAMEWORK FOR RESTRICTION OF TRADING BY
DESIGNATED PERSONS
10061 DP2023-418 20-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10062 DP2023-419 20-Jul-2023 AVAILABILITY OF CDSL SYSTEM
10063 DP2023-420 20-Jul-2023 TRANSMISSION AND DELETION OF NAME
10064 DP2023-421 21-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10065 DP2023-422 21-Jul-2023 SEBI - NEW CATEGORY OF MUTUAL FUND SCHEMES FOR ESG
10066 DP2023-423 24-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10067 DP2023-424 24-Jul-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10068 DP2023-425 25-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10069 DP2023-426 25-Jul-2023 PROCESSING OF TRANSACTIONS WITH OLD BANK ACCOUNT
NUMBERS
10070 DP2023-427 25-Jul-2023 IMPLEMENTATION OF UAPA & UPDATES TO UNSC - ISIL (D
10071 DP2023-428 25-Jul-2023 DETAILS OF CORPORATE ACTIONS
10072 DP2023-429 26-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10073 DP2023-430 26-Jul-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10074 DP2023-431 26-Jul-2023 DETAIL OF CORPORATE ACTION
10075 DP2023-432 27-Jul-2023 DETAIL OF CHANGE OF RTA EFFECTED BY ISSUER

Page 179
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10076 DP2023-433 27-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10077 DP2023-434 27-Jul-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10078 DP2023-435 28-Jul-2023 SEBI-MANDATING LEGAL ENTITY IDENTIFIER (LEI)
10079 DP2023-436 28-Jul-2023 DETAIL OF CHANGE OF RTA EFFECTED BY ISSUER
10080 DP2023-437 28-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10081 DP2023-438 28-Jul-2023 CHANGE OF NAME EFFECTED BY DP
10082 DP2023-439 31-Jul-2023 DETAIL OF CHANGE OF RTA EFFECTED BY ISSUER
10083 DP2023-440 31-Jul-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10084 DP2023-441 31-Jul-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10085 DP2023-442 01-Aug-2023 SEBI - ONLINE RESOLUTION OF DISPUTES IN THE INDIAN
SECURITIES MARKET
10086 DP2023-443 01-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10087 DP2023-444 01-Aug-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10088 DP2023-445 01-Aug-2023 DETAILS OF CORPORATE ACTION
10089 DP2023-446 02-Aug-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10090 DP2023-447 02-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10091 DP2023-448 02-Aug-2023 UPDATES FOR DESIGNATION OF ISIS ORGANIZERS AND FINANCIAL
FACILITATORS BASED IN SOUTH AFRICA
10092 DP2023-449 03-Aug-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10093 DP2023-450 03-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10094 DP2023-451 03-Aug-2023 SEBI - MASTER CIRCULAR FOR ALTERNATIVE INVESTMENT FUNDS
(AIFS)
10095 DP2023-452 04-Aug-2023 SEBI - AMENDMENTS TO GUIDELINES FOR PREFERENTIAL ISSUE
AND INSTITUTIONAL PLACEMENT BY REIT
10096 DP2023-453 04-Aug-2023 SEBI - AMENDMENTS TO GUIDELINES FOR PREFERENTIAL ISSUE
AND INSTITUTIONAL PLACEMENT BY INVIT
10097 DP2023-454 04-Aug-2023 SEBI - MASTER CIRCULAR FOR ISSUE AND LISTING
10098 DP2023-455 04-Aug-2023 SEBI - MASTER CIRCULAR FOR COMPLIANCE WITH PROVISION OF
SEBI BY LISTED ENTITIES
10099 DP2023-456 04-Aug-2023 SEBI - MASTER CIRCULAR FOR ESG RATING PROVIDERS
10100 DP2023-457 04-Aug-2023 SEBI - OFFER FOR SALE FRAMEWORK FOR SALE OF UNITS OF
REITS AND INVITS
10101 DP2023-458 04-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10102 DP2023/459 04-Aug-2023 REDRESSAL OF INVESTOR GRIEVANCES ON ODR PLATFORM
10103 DP2023/460 07-Aug-2023 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
10104 DP2023/461 07-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10105 DP2023-462 08-Aug-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10106 DP2023-463 08-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10107 DP2023-464 08-Aug-2023 CDSL DP TRAINING PROGRAMME
10108 DP2023-465 08-Aug-2023 SEBI - VALIDITY PERIOD OF APPROVAL GRANTED BY SEBI TO AIFS
AND VCFS
10109 DP2023-466 08-Aug-2023 SEBI - TRANSACTIONS IN CORPORATE BONDS THROUGH REQUEST
FOR QUOTE (RFQ) PLATFORM BY FPIS
10110 DP2023-467 08-Aug-2023 CHANGE OF NAME EFFECTED BY DP
10111 DP2023-468 09-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10112 DP2023-469 09-Aug-2023 SEBI - MASTER CIRCULAR FOR INFRASTRUCTURE INVESTMENT
TRUSTS
10113 DP2023-470 09-Aug-2023 SEBI - FACILITY TO REMEDY ERRONEOUS TRANSFERS IN DEMAT
ACCOUNTS
10114 DP2023-471 09-Aug-2023 SEBI - MASTER CIRCULAR FOR REAL ESTATE INVESTMENT TRUSTS
10115 DP2023-472 09-Aug-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
10116 DP2023-473 09-Aug-2023 REDRESSAL OF INVESTOR GRIEVANCES ON ODR PLATFORM &
DISPLAY OF LINK TO ODR PORTAL
10117 DP2023-474 09-Aug-2023 SEBI - MASTER CIRCULAR FOR DEBENTURE TRUSTEE
10118 DP2023-475 10-Aug-2023 DETAILS OF CORPORATE ACTIONS
10119 DP2023-476 10-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10120 DP2023-477 10-Aug-2023 SEBI-REDUCTION IN TIMELINE FOR LISTING OF SHARE
10121 DP2023-478 10-Aug-2023 AVAILABILITY OF CDSL SYSTEM
10122 DP2023-479 10-Aug-2023 LAUNCH OF CDAS NEW PLATFORM
10123 DP2023-480 10-Aug-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10124 DP2023-481 11-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10125 DP2023-482 11-Aug-2023 REDRESSAL OF INVESTOR GRIEVANCES ON ODR PLATFORM
10126 DP2023-483 14-Aug-2023 SEBI - SIMPLIFICATION OF KYC PROCESS AND RATIONALIZATION OF
RISK MANAGEMENT
10127 DP2023-484 14-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10128 DP2023-485 14-Aug-2023 DETAILS OF CORPORATE ACTION
10129 DP2023-486 16-Aug-2023 SEBI - TIMELINE FOR THE EXIT OPTION WINDOW PERIOD FOR
CHANGE IN CONTROL OF AMC

Page 180
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10130 DP2023-487 16-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10131 DP2023-488 16-Aug-2023 SEBI - MASTER CIRCULAR FOR ONLINE RESOLUTION OF DISPUTES
IN THE INDIAN SECURITIES MARKET
10132 DP2023-489 17-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10133 DP2023-490 17-Aug-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10134 DP2023-491 17-Aug-2023 DETAILS OF CORPORATE ACTIONS
10135 DP2023-492 18-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10136 DP2023-493 18-Aug-2023 VALIDATION OF AADHAAR BASED KYC RECORDS WITH KRA
10137 DP2023-494 21-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10138 DP2023-495 21-Aug-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10139 DP2023-496 21-Aug-2023 SECURITY COUNCIL 1718 SANCTIONS COMMITTEE AMENDS NINE
ENTRIES ON ITS SANCTIONS LIST
10140 DP2023-497 22-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10141 DP2023-498 22-Aug-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10142 DP2023-499 23-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10143 DP2023-500 24-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10144 DP2023-501 24-Aug-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10145 DP2023-502 25-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10146 DP2023-503 25-Aug-2023 WITHDRAWAL OF REGISTRAR & TRANSFER AGENT OF CDSL
10147 DP2023-504 25-Aug-2023 SEBI MODIFICATION IN CYBER SECURITY AND CYBER RESILIENCE
FRAMEWORK
10148 DP2023-505 25-Aug-2023 SEBI MANDATING ADDITIONAL DISCLOSURES BY FOREIGN
PORTFOLIO INVESTORS
10149 DP2023-506 28-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10150 DP2023-507 28-Aug-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10151 DP2023-508 29-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10152 DP2023-509 30-Aug-2023 DETAILS OF CORPORATE ACTION
10153 DP2023-510 30-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10154 DP2023-511 30-Aug-2023 SUBMISSION OF NET WORTH CERTIFICATE & AUDITED FINANCIAL
STATEMENTS
10155 DP2023-512 30-Aug-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10156 DP2023-513 31-Aug-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10157 DP2023-514 31-Aug-2023 SEBI - FACILITATION OF GRIEVANCE REDRESSAL MECHANISM
(AMENDMENT) REGULATIONS, 2023
10158 DP2023-515 01-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10159 DP2023-516 01-Sep-2023 TRAINING SCHEDULE FOR CPE OF NISM - DEPOSITORY
OPERATIONS
10160 DP2023-517 01-Sep-2023 MEASURES TO CURB MISUSE OF HEADERS AND CONTENT
TEMPLATES - SMSES
10161 DP2023-518 01-Sep-2023 AVAILABILITY OF EASI/EASIEST SYSTEM
10162 DP2023-519 04-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10163 DP2023-520 05-Sep-2023 CHANGE OF NAME EFFECTED BY DP
10164 DP2023-521 05-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10165 DP2023-522 05-Sep-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10166 DP2023-523 05-Sep-2023 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS CALENDAR
10167 DP2023-524 05-Sep-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
10168 DP2023-525 05-Sep-2023 VALIDATION OF AADHAAR BASED KYC RECORDS WITH KRA
10169 DP2023-526 06-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10170 DP2023-527 07-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10171 DP2023-528 07-Sep-2023 DETAILS OF CORPORATE ACTION
10172 DP2023-529 08-Sep-2023 AVAILABILITY OF CDSL SYSTEM
10173 DP2023-530 08-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10174 DP2023-531 08-Sep-2023 DETAILS OF CORPORATE ACTION
10175 DP2023-532 08-Sep-2023 FATF-PUBLIC STATEMENTS AFTER JUNE-2023 PLENARY
10176 DP2023-533 08-Sep-2023 CYBER SECURITY ADVISORY - CYBER SECURITY ALERT FOR G20
SUMMIT
10177 DP2023/534 11-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10178 DP2023/535 11-Sep-2023 SEBI ONLINE RESOLUTION OF DISPUTES IN THE INDIAN SECURITIES
MARKET
10179 DP2023-536 12-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10180 DP2023-537 12-Sep-2023 SEBI - BOARD NOMINATION RIGHTS TO UNITHOLDERS OF
INFRASTRUCTURE INVESTMENT TRUSTS (INVITS)
10181 DP2023-538 12-Sep-2023 SEBI - BOARD NOMINATION RIGHTS TO UNITHOLDERS OF REAL
ESTATE INVESTMENT TRUSTS (REITS)
10182 DP2023-539 12-Sep-2023 ALERTS FROM FIN GATE 2.0 - THE WEAPONS OF MASS
DESTRUCTION & LIST OF NODAL OFFICERS
10183 DP2023-540 13-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10184 DP2023-541 13-Sep-2023 TERMINATION OF DEPOSITORY PARTICIPANTS OF CDSL

Page 181
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10185 DP2023-542 13-Sep-2023 DETAILS OF CORPORATE ACTION
10186 DP2023-543 14-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10187 DP2023-544 15-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10188 DP2023-545 15-Sep-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10189 DP2023-546 15-Sep-2023 AMENDMENT TO CDSL BYE LAWS
10190 DP2023-547 18-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10191 DP2023-548 18-Sep-2023 CHANGE-IN-DP-NAME
10192 DP2023-549 18-Sep-2023 FRAMEWORK FOR RESTRICTING TRADING BY DESIGNATED
PERSONS (?DPS?) BY FREEZING PAN AT SECURITY LEVEL
10193 DP2023-550 18-Sep-2023 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
10194 DP2023-551 20-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10195 DP2023-552 21-Sep-2023 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
10196 DP2023-553 21-Sep-2023 REDRESSAL OF INVESTOR GRIEVANCES THROUGH THE SEBI
COMPLAINT REDRESSAL(SCORES) PLATFORM
10197 DP2023-554 21-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10198 DP2023-555 21-Sep-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10199 DP2023-556 21-Sep-2023 DETAILS OF CORPORATE ACTION
10200 DP2023-557 22-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10201 DP2023-558 22-Sep-2023 DETAILS OF CORPORATE ACTION
10202 DP2023-559 25-Sep-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10203 DP2023-560 25-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10204 DP2023-561 25-Sep-2023 AMENDMENT TO CDSL BYE LAWS
10205 DP2023-562 25-Sep-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10206 DP2023-563 26-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10207 DP2023-564 26-Sep-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10208 DP2023-565 26-Sep-2023 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
10209 DP2023-566 26-Sep-2023 DETAILS OF CORPORATE ACTION
10210 DP2023-567 26-Sep-2023 EXTENSION OF TIMELINES FOR NOMINATION IN ELIGIBLE DEMAT
ACCOUNTS
10211 DP2023-568 27-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10212 DP2023-569 28-Sep-2023 REVISED SETTLEMENT TIMINGS OF BSE NSE
10213 DP2023-570 28-Sep-2023 SEBI - NOMINATION FOR MUTUAL FUND UNIT HOLDERS EXTENSION
OF
TIMELINES
10214 DP2023-571 28-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10215 DP2023-572 28-Sep-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10216 DP2023-573 29-Sep-2023 REVISED MUTUAL FUND SETTLEMENTS
10217 DP2023-574 29-Sep-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10218 DP2023-575 03-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10219 DP2023-576 04-Oct-2023 AVAILABILITY OF CDSL SYSTEM
10220 DP2023-577 04-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10221 DP2023-578 04-Oct-2023 SEBI CENTRALIZED MECHANISM FOR REPORTING THE DEMISE OF
AN
INVESTOR THROUGH KRAS
10222 DP2023-579 04-Oct-2023 DETAILS OF CORPORATE ACTIONS
10223 DP2023-580 04-Oct-2023 REVISED FORMAT FOR REPORT ON INTERNAL AUDIT AND
CONCURRENT AUDIT REPORT
10224 DP2023-581 04-Oct-2023 PROCESS FOR DIGITAL SIGNATURE CERTIFICATE MAPPING
10225 DP2023-582 05-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10226 DP2023-583 05-Oct-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
10227 DP2023-584 05-Oct-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10228 DP2023-585 05-Oct-2023 WORLD INVESTOR WEEK 2023
10229 DP2023-586 06-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10230 DP2023-587 06-Oct-2023 DETAILS OF CORPORATE ACTIONS
10231 DP2023-588 09-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10232 DP2023-589 09-Oct-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10233 DP2023-590 09-Oct-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10234 DP2023-591 09-Oct-2023 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER12
10235 DP2023-592 10-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10236 DP2023-593 10-Oct-2023 CDSLS DP TRAINING PROGRAMME
10237 DP2023-594 10-Oct-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10238 DP2023-595 10-Oct-2023 SEBI MASTER CIRCULAR FOR DEPOSITORIES
10239 DP2023-596 11-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10240 DP2023-597 11-Oct-2023 WITHDRAWAL OF SECURITIES FROM CDSL
Page 182
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10241 DP2023-598 12-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10242 DP2023-599 13-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10243 DP2023-600 13-Oct-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10244 DP2023-601 13-Oct-2023 DP OPERATING INSTRUCTIONS AS OF SEPTEMBER 2023
CHAPTERS AND ANNEXURES
10245 DP2023-602 13-Oct-2023 NEW STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
10246 DP2023-603 16-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10247 DP2023-604 16-Oct-2023 SEBI-MASTER CIRCULAR ON KNOW YOUR CLIENT NORMS FOR THE
SECURITIES MARKET
10248 DP2023-605 16-Oct-2023 SEBI CIRCULAR - AMENDMENTS TO THE GUIDELINES ON AML
STANDARDS AND CFT
10249 DP2023-606 16-Oct-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10250 DP2023-607 16-Oct-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10251 DP2023-608 17-Oct-2023 DETAILS OF CORPORATE ACTION
10252 DP2023-609 17-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10253 DP2023-610 17-Oct-2023 SUBMISSION OF REPORT ON INTERNAL AUDIT AND CONCURRENT
AUDIT
10254 DP2023-611 17-Oct-2023 ADVISORY FOR SEBI REGULATED ENTITIES REGARDING CYBER
SECURITY BEST PRACTICES
10255 DP2023-612 18-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10256 DP2023-613 18-Oct-2023 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
10257 DP2023-614 19-Oct-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10258 DP2023-615 19-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10259 DP2023-616 19-Oct-2023 DETAILS OF CORPORATE ACTIONS
10260 DP2023-617 20-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10261 DP2023-618 20-Oct-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10262 DP2023-619 20-Oct-2023 DETAILS OF CORPORATE ACTIONS
10263 DP2023-620 23-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10264 DP2023-621 23-Oct-2023 UNAVAILABILITY OF SCORES PORTAL
10265 DP2023-622 23-Oct-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10266 DP2023-623 23-Oct-2023 DETAILS OF CORPORATE ACTIONS
10267 DP2023-624 25-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10268 DP2023-625 26-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10269 DP2023-626 26-Oct-2023 INTEGRITY PLEDGE VIGILANCE AWARENESS WEEK
10270 DP2023-627 27-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10271 DP2023-628 27-Oct-2023 FACILITY FOR BULK UPLOAD FOR RESPONDING TO SURVEILLANCE
ALERTS
10272 DP2023-629 30-Oct-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10273 DP2023-630 30-Oct-2023 CHANGE OF NAME EFFECTED BY DP
10274 DP2023-631 30-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10275 DP2023-632 30-Oct-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10276 DP2023-633 31-Oct-2023 DETAILS OF CORPORATE ACTIONS
10277 DP2023-634 31-Oct-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10278 DP2023-635 31-Oct-2023 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS OF SGB 2018-19
SERIES III
10279 DP2023-636 31-Oct-2023 SEBI MANDATING ADDITIONAL DISCLOSURES BY FOREIGN
PORTFOLIO INVESTORS
10280 DP2023-637 01-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10281 DP2023-638 01-Nov-2023 CONVERSION OF PROCESSING OF ICCL SETTLEMENTS LIKE NCL
SETTLEMENTS
10282 DP2023-639 02-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10283 DP2023-640 02-Nov-2023 ADDITIONAL FIELDS IN DEMAT SET-UP - REJECTION AND CLOSURE
10284 DP2023-641 03-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10285 DP2023-642 03-Nov-2023 REVISION IN MANNER OF ACHIEVING MINIMUM PUBLIC
UNITHOLDING REQUIREMENT INVITS
10286 DP2023-643 03-Nov-2023 VALIDATION OF AADHAAR BASED KYC RECORDS WITH KRA
10287 DP2023-644 06-Nov-2023 AVAILABILITY OF CDSL SYSTEM ON NOVEMBER AND
MULTIPLE SETTLEMENTS ACCOUNT OF MUHURAT TRADING
10288 DP2023-645 06-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10289 DP2023-646 06-Nov-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
10290 DP2023-647 07-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10291 DP2023-648 07-Nov-2023 DETAILS OF CORPORATE ACTIONS
10292 DP2023-649 07-Nov-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10293 DP2023-650 08-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10294 DP2023-651 08-Nov-2023 WITHDRAWAL OF SECURITIES FROM CDSL

Page 183
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10295 DP2023-652 09-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10296 DP2023-653 09-Nov-2023 ISSUANCE OF UNITS OF AIFS IN DEMATERIALIZED FORM
10297 DP2023-654 09-Nov-2023 DETAILS OF CORPORATE ACTIONS
10298 DP2023-655 10-Nov-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10299 DP2023-656 10-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10300 DP2023-657 10-Nov-2023 WITHDRAWAL OF REGISTRAR & TRANSFER AGENT OF CDSL
10301 DP2023-658 10-Nov-2023 ONLINE FACILITY FOR MANDATORY SUBMISSIONS TO CDSL BY
DEPOSITORY
PARTICIPANTS
10302 DP2023-659 13-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10303 DP2023-660 13-Nov-2023 SEBI CIR PROCEDURAL FRAMEWORK FOR DEALING WITH
UNCLAIMED
AMOUNTS LYING WITH ENTITIES
10304 DP2023-661 13-Nov-2023 SEBI CIR PROCEDURAL FRAMEWORK FOR DEALING WITH
UNCLAIMED
AMOUNTS LYING WITH REITS
10305 DP2023-662 13-Nov-2023 SEBI CIR PROCEDURAL FRAMEWORK FOR DEALING WITH
UNCLAIMED
AMOUNTS LYING WITH INVITS
10306 DP2023-663 13-Nov-2023 FATF PUBLIC STATEMENTS AFTER OCTOBER 2023 PLENARY
10307 DP2023-664 13-Nov-2023 NEW STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
10308 DP2023-665 15-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10309 DP2023-666 15-Nov-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10310 DP2023-667 15-Nov-2023 DETAILS OF CORPORATE ACTION
10311 DP2023-668 16-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10312 DP2023-669 16-Nov-2023 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
10313 DP2023-670 16-Nov-2023 SECURITY COUNCIL ISIL (DA ESH) AND AL-QAIDA SANCTIONS
10314 DP2023-671 17-Nov-2023 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION
10315 DP2023-672 17-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10316 DP2023-673 17-Nov-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10317 DP2023-674 20-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10318 DP2023-675 20-Nov-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10319 DP2023-676 20-Nov-2023 SIMPLIFIED NORMS FOR PROCESSING INVESTORS SERVICE
REQUESTS BY RTAS
10320 DP2023-677 21-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10321 DP2023-678 21-Nov-2023 TRAINING SCHEDULE FOR CPE OF NISM DEPOSITORY OPERATIONS
10322 DP2023-679 22-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10323 DP2023-680 22-Nov-2023 CDSLS REFRESHER TRAINING PROGRAMME
10324 DP2023-681 22-Nov-2023 DETAILS OF CORPORATE ACTIONS
10325 DP2023-682 22-Nov-2023 ADDITIONAL FIELDS IN DEMAT SET UP REJECTION AND CLOSURE
10326 DP2023-683 22-Nov-2023 INCENTIVE TO DPS FOR OPENING AND MAINTAINING BSDA
ACCOUNTS FOR THE F.Y. 2022-2023
10327 DP2023-684 23-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10328 DP2023-685 23-Nov-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10329 DP2023-686 23-Nov-2023 WITHDRAWAL/TERMINATION OF DEPOSITORY PARTICIPANTS OF
CDSL
10330 DP2023-687 23-Nov-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10331 DP2023-688 24-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10332 DP2023-689 24-Nov-2023 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
10333 DP2023-690 28-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10334 DP2023-691 28-Nov-2023 AVAILABILITY OF CDSL SYSTEM
10335 DP2023-692 29-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10336 DP2023-693 29-Nov-2023 VALIDATION OF KYC RECORDS WITH KRA
10337 DP2023-694 29-Nov-2023 SETTLEMENT SCHEDULE FOR TENDER OFFER SETTLEMENTS
10338 DP2023-695 30-Nov-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10339 DP2023-696 30-Nov-2023 SUBMISSION OF VAPT REPORT
10340 DP2023-697 30-Nov-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10341 DP2023-698 01-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10342 DP2023-699 04-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10343 DP2023-700 04-Dec-2023 EXTENSION OF TIMELINE FOR IMPLEMENTATION OF
REDRESSAL OF IG THROUGH SCORES
10344 DP2023-701 04-Dec-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10345 DP2023-702 05-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10346 DP2023-703 05-Dec-2023 PENALTY FOR NOT SCANNING AND UPLOADING OF DIS
10347 DP2023-704 06-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10348 DP2023-705 06-Dec-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10349 DP2023-706 06-Dec-2023 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT

Page 184
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10350 DP2023-707 07-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10351 DP2023-708 08-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10352 DP2023-709 08-Dec-2023 NATIONAL LEVEL FINANCIAL LITERACY QUIZ - 2024
10353 DP2023-710 08-Dec-2023 AMENDMENT TO CDSL BYE LAWS
10354 DP2023-711 11-Dec-2023 SEBI-REVISED FRAMEWORK FOR COMPUTATION OF NET
DISTRIBUTABLE CASH FLOW BY REITS
10355 DP2023-712 11-Dec-2023 SEBI-REVISED FRAMEWORK FOR COMPUTATION OF NET
DISTRIBUTABLE CASH FLOW BY INVITS
10356 DP2023-713 11-Dec-2023 DETAILS OF CORPORATE ACTION
10357 DP2023-714 11-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10358 DP2023-715 11-Dec-2023 AVAILABILITY OF CDSL SYSTEM
10359 DP2023-716 11-Dec-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10360 DP2023-717 11-Dec-2023 TRADING SUPPORTED BY BLOCKED AMOUNT IN SECONDARY
MARKET
10361 DP2023-718 12-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10362 DP2023-719 12-Dec-2023 CREDIT OF UNITS OF AIFS IN DEMATERIALISED FORM
10363 DP2023-720 12-Dec-2023 DETAILS OF CORPORATE ACTION
10364 DP2023-721 12-Dec-2023 CDSLS REFRESHER TRAINING PROGRAMME FOR DP
10365 DP2023-722 13-Dec-2023 SEBI CIR UPSTREAMING OF CLIENTS FUNDS BY STOCKBROKERS
CC TO CM
10366 DP2023-723 13-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10367 DP2023-724 13-Dec-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10368 DP2023-725 13-Dec-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10369 DP2023-726 13-Dec-2023 HARMONIZATION OF FILE FORMATS ACROSS DEPOSITORY
10370 DP2023-727 14-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10371 DP2023-728 15-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10372 DP2023-729 15-Dec-2023 NEW STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
10373 DP2023-730 18-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10374 DP2023-731 18-Dec-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10375 DP2023-732 19-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10376 DP2023-733 19-Dec-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10377 DP2023-734 19-Dec-2023 CHANGE OF NAME EFFECTED BY DP
10378 DP2023-735 19-Dec-2023 SEBI CIR SIMPLIFICATION OF REQUIREMENTS FOR GRANT OF
ACCREDITATION TO INVESTORS
10379 DP2023-736 19-Dec-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10380 DP2023-737 19-Dec-2023 PROCEDURE FOR OPENING OF AGGREGATE ESCROW - AIF DEMAT
ACCOUNTS
10381 DP2023-738 20-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10382 DP2023-739 20-Dec-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10383 DP2023-740 20-Dec-2023 SEBI CIR - PRINCIPLES OF FINANCIAL MARKET INFRASTRUCTURES
10384 DP2023-741 21-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10385 DP2023-742 21-Dec-2023 SEBI CIR AMENDMENT - ONLINE RESOLUTION OF DISPUTES IN THE
INDIAN SECURITIES MARKET
10386 DP2023-743 21-Dec-2023 FRAMEWORK FOR RESTRICTING TRADING BY DESIGNATED
PERSONS
DPS BY FREEZING PAN AT SECURITY LEVEL
10387 DP2023-744 22-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10388 DP2023-745 22-Dec-2023 FACILITY TO REMEDY ERRONEOUS TRANSFERS IN DEMAT
ACCOUNTS
10389 DP2023-746 26-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10390 DP2023-747 26-Dec-2023 INTIMATION FOR ADDITION IN BANK ACCOUNT DETAILS
FOR NON-STAMP DUTY
10391 DP2023-748 26-Dec-2023 INTIMATION FOR ADDITION IN BANK ACCOUNT DETAILS FOR STAMP
DUTY
10392 DP2023-749 26-Dec-2023 SUBMISSION OF NET WORTH CERTIFICATE AUDITED FINANCIAL
STATEMENTS
10393 DP2023-750 27-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10394 DP2023-751 27-Dec-2023 WITHDRAWAL OF SECURITIES FROM CDSL
10395 DP2023-752 27-Dec-2023 TRADING SUPPORTED BY BLOCKED AMOUNT IN SECONDARY
MARKET
10396 DP2023-753 27-Dec-2023 EXTENSION OF TIMELINES FOR PROVIDING CHOICE OF
NOMINATION
10397 DP2023-754 28-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10398 DP2023-755 28-Dec-2023 DETAILS OF CORPORATE ACTIONS
10399 DP2023-756 28-Dec-2023 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10400 DP2023-757 28-Dec-2023 FACILITY TO REMEDY ERRONEOUS TRANSFERS IN DEMAT
ACCOUNTS

Page 185
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10401 DP2023-758 29-Dec-2023 SEBI CIR FRAMEWORK ON SOCIAL STOCK EXCHANGE
10402 DP2023-759 29-Dec-2023 SEBI CIR MODIFICATIONS TO PROVISIONS REGISTRATION AND
REGULATORY FRAMEWORK FOR ONLINE BOND PLATFORM
PROVIDERS
10403 DP2023-760 29-Dec-2023 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10404 DP2023-761 29-Dec-2023 CHANGE OF NAME EFFECTED BY DP
10405 DP2023-762 29-Dec-2023 SEBI - MASTER CIRCULAR FOR ONLINE RESOLUTION OF DISPUTES
IN
THE INDIAN SECURITIES MARKET
10406 DP2023-763 29-Dec-2023 DETAILS OF SECURITIES ADMITTED WITH CDSL
10407 DP2023-764 29-Dec-2023 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10408 DP2023-765 29-Dec-2023 SEBI ? CENTRALIZED MECHANISM FOR REPORTING THE DEMISE OF
AN INVESTOR THROUGH KRAS
10409 DP2024-1 01-Jan-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10410 DP2024-2 01-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10411 DP2024-3 01-Jan-2024 DETAILS OF CORPORATE ACTION
10412 DP2024-4 01-Jan-2024 SHIFTING OF OPERATIONS FROM PRIMARY SITE WITH INTRA-DAY
SWITCH OVER TO DISASTER RECOVERY SITE
10413 DP2024-5 02-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10414 DP2024-6 02-Jan-2024 DETAILS OF CORPORATE ACTIONS
10415 DP2024-7 03-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10416 DP2024-8 03-Jan-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10417 DP2024-10 04-Jan-2024 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
10418 DP2024-9 04-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10419 DP2024-11 05-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10420 DP2024-12 05-Jan-2024 REPORTING FOR ARTIFICIAL INTELLIGENCE AND MACHINE
LEARNING
10421 DP2024-13 05-Jan-2024 DETAILS OF CORPORATE ACTION
10422 DP2024-14 08-Jan-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10423 DP2024-15 08-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10424 DP2024-16 08-Jan-2024 DETAILS OF CORPORATE ACTION
10425 DP2024-17 09-Jan-2024 GROUP EMAIL IDS FOR CDSL COMMUNICATION
10426 DP2024-18 09-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10427 DP2024-20 09-Jan-2024 POPULARIZING SEBI INVESTOR WEBSITE
10428 DP2024-21 09-Jan-2024 SECURITY COUNCIL ISIL DAESH AND AL QAIDA SANCTIONS
COMMITTEE AMENDS SEVEN ENTRIES TO ITS SANCTIONS LIST
10429 DP2024-22 09-Jan-2024 DETAILS OF CORPORATE ACTION
10430 DP2024-19 10-Jan-2024 SECURITY COUNCIL 1718 SANCTIONS COMMITTEE AMENDS TWO
10431 DP2024-23 10-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10432 DP2024-24 10-Jan-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10433 DP2024-25 10-Jan-2024 DETAILS OF CORPORATE ACTION
10434 DP2024-26 11-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10435 DP2024-27 11-Jan-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10436 DP2024-28 11-Jan-2024 GAZETTE NOTIFICATION UPDATES IN SECTION OF UAPA, 1967
10437 DP2024-29 11-Jan-2024 SECURITY COUNCIL ISIL DAESH AND AL QAIDA SANCTIONS
10438 DP2024-30 11-Jan-2024 AVAILABILITY OF CDSL SYSTEM
10439 DP2024-31 12-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10440 DP2024-32 12-Jan-2024 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER - 6 & 12
10441 DP2024-33 12-Jan-2024 DP OPERATING INSTRUCTIONS AS OF DECEMBER - 2023
CHAPTERS & ANNEXURES
10442 DP2024-34 15-Jan-2024 DETAILS OF CORPORATE ACTION
10443 DP2024-35 15-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10444 DP2024-36 15-Jan-2024 WITHDRAWAL OF DEPOSITORY PARTICPANTS OF CDSL
10445 DP2024-37 15-Jan-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10446 DP2024-38 15-Jan-2024 SEBI CIR GUIDELINES FOR AIF WITH RESPECT TO HOLDING THEIR
INVESTMENTS IN DEMATERIALISED FORM
10447 DP2024-39 16-Jan-2024 INTER DEPOSITORY TRANSFERS AND PENALTY FOR NON
MOVEMENT OF PAYOUT SECURITIES ON TRADING HOLIDAYS
10448 DP2024-40 16-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10449 DP2024-41 16-Jan-2024 WITHDRAWAL OF SECURITIES FROM CDSL
10450 DP2024-42 16-Jan-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10451 DP2024-43 17-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10452 DP2024-44 17-Jan-2024 MULTIPLE SETTLEMENTS ON ACCOUNT OF SPECIAL LIVE TRADING
ON JANUARY 20, 2024
10453 DP2024-45 18-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10454 DP2024-46 19-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10455 DP2024-47 19-Jan-2024 AVAILABILITY OF CDSL SYSTEM

Page 186
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10456 DP2024-48 19-Jan-2024 NORMAL LIVE TRADING SESSION ON JANUARY 20, 2024, AND
AVAILABILITY OF CDSL SYSTEM
10457 DP2024-49 19-Jan-2024 REVISED SCHEDULE FOR MULTIPLE SETTLEMENTS ON 23-JAN-2024
10458 DP2024-50 20-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10459 DP2024-51 20-Jan-2024 INTRODUCTION OF NEW FREEZE REASON CODE FOR LEGAL ENTITY
IDENTIFIER
10460 DP2024-52 23-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10461 DP2024-53 23-Jan-2024 CDSLS DP TRAINING PROGRAMME
10462 DP2024-54 24-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10463 DP2024-55 24-Jan-2024 CHANGE OF NAME EFFECTED BY DP
10464 DP2024-56 24-Jan-2024 TERMINATION OF DEPOSITORY PARTICIPANT S OF CDSL
10465 DP2024-57 24-Jan-2024 SEBI CIR - FRAMEWORK FOR OFFER FOR SALE OF SHARES TO
EMPLOYEES THROUGH STOCK EXCHANGE MECHANISM
10466 DP2024-58 24-Jan-2024 DETAILS OF CORPORATE ACTIONS
10467 DP2024-59 25-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10468 DP2024-60 29-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10469 DP2024-61 29-Jan-2024 SEBI CIR - EXTENSION OF TIMELINE FOR VERIFICATION OF MARKET
RUMOURS BY LISTED ENTITIES
10470 DP2024-62 29-Jan-2024 SEBI CIR - STREAMLINING OF REGULATORY REPORTING BY
DESIGNATED DEPOSITORY PARTICIPANTS AND CUSTODIANS
10471 DP2024-63 29-Jan-2024 DETAILS OF CORPORATE ACTION
10472 DP2024-64 29-Jan-2024 NEW STATUS AND SUB-STATUS FOR DEMAT ACCOUNTS
10473 DP2024-65 30-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10474 DP2024-66 30-Jan-2024 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION PROGRAME OF NISM-DEPOSITORY OPERATIONS
10475 DP2024-67 30-Jan-2024 REVISED SCHEDULE FOR AUCTION SETTLEMENTS
ON FEBRUARY 01, 2024
10476 DP2024-68 31-Jan-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10477 DP2024-69 31-Jan-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10478 DP2024-70 01-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10479 DP2024-71 01-Feb-2024 SEBI CIR ? FRAMEWORK FOR SHORT SELLING
10480 DP2024-72 02-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10481 DP2024-73 02-Feb-2024 PROCEDURE FOR LINKING BENEFICIARY BETWEEN SELLER BO AND
BUYER BO
10482 DP2024-74 02-Feb-2024 DETAILS OF CORPORATE ACTION
10483 DP2024-75 02-Feb-2024 DETAILS OF CORPORATE ACTION
10484 DP2024-76 05-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10485 DP2024-77 05-Feb-2024 WITHDRAWAL OF SECURITIES FROM CDSL
10486 DP2024-78 05-Feb-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10487 DP2024-79 06-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10488 DP2024-80 06-Feb-2024 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
10489 DP2024-81 07-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10490 DP2024-82 07-Feb-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10491 DP2024-83 07-Feb-2024 AVAILABILITY OF CDSL SYSTEM
10492 DP2024-84 08-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10493 DP2024-85 09-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10494 DP2024-86 09-Feb-2024 SECURITY COUNCIL ISIL DAESH AND AL-QAIDA SANCTIONS
COMMITTEE AMENDS 85 ENTRIES ON ITS SANCTIONS LIST
10495 DP2024-87 09-Feb-2024 SEBI CIR - REVISED PRICING METHODOLOGY ? INSTITUTIONAL
PLACEMENTS OF INFRASTRUCTURE INVESTMENT TRUST
10496 DP2024-88 12-Feb-2024 VALIDATION OF KYC RECORDS WITH KRA
10497 DP2024-89 12-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10498 DP2024-90 13-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10499 DP2024-91 13-Feb-2024 SUBMISSION OF COMPLIANCE OF CLOSURE OF FINDINGS
IDENTIFIED
DURING VAPT
10500 DP2024-92 14-Feb-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10501 DP2024-93 14-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10502 DP2024-94 15-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10503 DP2024-95 15-Feb-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10504 DP2024-96 15-Feb-2024 REPORTING OF CYBER INCIDENTS
10505 DP2024-97 16-Feb-2024 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10506 DP2024-98 16-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10507 DP2024-100 19-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10508 DP2024-101 19-Feb-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10509 DP2024-102 19-Feb-2024 CHANGE OF NAME EFFECTED BY DP
10510 DP2024-99 19-Feb-2024 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
10511 DP2024-103 20-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
Page 187
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10512 DP2024-104 21-Feb-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10513 DP2024-105 21-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10514 DP2024-106 21-Feb-2024 DETAILS OF CORPORATE ACTIONS
10515 DP2024-107 21-Feb-2024 SEBI CIR - CENTRALIZATION OF CERTIFICATIONS UNDER FATCA
AND
COMMON REPORTING STANDARD AT KRAS
10516 DP2024-108 22-Feb-2024 LIVE TRADING SESSION AND SHIFTING OF OPERATIONS FROM
PRIMARY SITE TO DRS
10517 DP2024-109 22-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10518 DP2024-110 22-Feb-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10519 DP2024-111 23-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10520 DP2024-112 26-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10521 DP2024-113 26-Feb-2024 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10522 DP2024-114 27-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10523 DP2024-115 28-Feb-2024 MULTIPLE SETTLEMENTS ON ACCOUNT OF SPECIAL LIVE TRADING
ON MARCH 02, 2024
10524 DP2024-116 28-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10525 DP2024-117 28-Feb-2024 7 RFIS AS PER SUPPLEMENTAL GUIDELINES BY FIU IND
10526 DP2024-118 29-Feb-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10527 DP2024-119 29-Feb-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10528 DP2024-120 01-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10529 DP2024-121 01-Mar-2024 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10530 DP2024-122 01-Mar-2024 DETAILS OF CORPORATE ACTIONS
10531 DP2024-123 02-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10532 DP2024-124 02-Mar-2024 DETAILS OF CORPORATE ACTIONS
10533 DP2024-125 04-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10534 DP2024-126 04-Mar-2024 WITHDRAWAL OF SECURITIES FROM CDSL
10535 DP2024-127 04-Mar-2024 SEBI CIR - GUIDELINES FOR RETURNING OF DRAFT OFFER
DOCUMENT AND ITS RESUBMISSION
10536 DP2024-128 04-Mar-2024 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10537 DP2024-129 05-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10538 DP2024-130 05-Mar-2024 EARLY REDEMPTION OF SOVEREIGN GOLD BONDS CALENDAR FOR
THE
PERIOD APRIL 2024 TO SEPTEMBER 2024
10539 DP2024-131 06-Mar-2024 FATF PUBLIC STATEMENTS AFTER FEBRUARY 2024 PLENARY
10540 DP2024-132 06-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10541 DP2024-133 06-Mar-2024 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
10542 DP2024-134 07-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10543 DP2024-135 07-Mar-2024 DETAILS OF CORPORATE ACTIONS
10544 DP2024-136 07-Mar-2024 DETAILS OF CORPORATE ACTION
10545 DP2024-137 11-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10546 DP2024-138 11-Mar-2024 CLOSURE OF REGISTRAR TRANSFER AGENT OF CDSL
10547 DP2024-139 12-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10548 DP2024-140 12-Mar-2024 SECURITY COUNCIL 1718 SANCTIONS COMMITTEE AMENDS
ONE ENTRY ON ITS SANCTIONS LIST
10549 DP2024-141 12-Mar-2024 GAZETTE NOTIFICATION - UPDATES IN SECTION 35(1)(A) OF UAPA,
1967
10550 DP2024-142 13-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10551 DP2024-143 14-Mar-2024 AVAILABILITY OF CDSL SYSTEM
10552 DP2024-144 14-Mar-2024 CLOSURE OF REGISTRAR & TRANSFER AGENT OF CDSL
10553 DP2024-145 14-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10554 DP2024-146 14-Mar-2024 WITHDRAWAL OF SECURITIES FROM CDSL
10555 DP2024-147 14-Mar-2024 VALIDATION OF AADHAAR BASED KYC RECORDS WITH KRA
10556 DP2024-148 15-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10557 DP2024-149 15-Mar-2024 DETAILS OF CORPORATE ACTIONS
10558 DP2024-150 15-Mar-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10559 DP2024-151 15-Mar-2024 TRAINING PROGRAMME FOR COMPLIANCE OFFICER, PRINCIPAL
OFFICER, INTERNAL AND CONCURRENT AUDITORS
10560 DP2024-152 18-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10561 DP2024-153 18-Mar-2024 WITHDRAWAL OF SECURITIES FROM CDSL
10562 DP2024-154 19-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10563 DP2024-155 20-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10564 DP2024-156 20-Mar-2024 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10565 DP2024-157 20-Mar-2024 CHANGE OF NAME EFFECTED BY DP
10566 DP2024-158 20-Mar-2024 HARMONIZATION OF FILE FORMATS ACROSS DEPOSITORY
10567 DP2024-159 20-Mar-2024 DETAILS OF CORPORATE ACTIONS
Page 188
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10568 DP2024-160 20-Mar-2024 SEBI CIR - ENTITIES ALLOWED TO USE E-KYC AADHAAR UIDAI IN
SECURITIES MARKET
10569 DP2024-161 21-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10570 DP2024-162 21-Mar-2024 SEBI CIR - SAFEGUARDS TO ADDRESS THE CONCERNS OF THE
INVESTORS ON TRANSFER OF SECURITIES
10571 DP2024-163 21-Mar-2024 SEBI CIR - AMENDMENT TO CIRCULAR FOR MANDATING
ADDITIONAL DISCLOSURES
10572 DP2024-164 21-Mar-2024 OPERATIONAL GUIDELINES FOR ROLLING NORMAL T PLUS 0
SETTLEMENT.
10573 DP2024-165 22-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10574 DP2024-166 22-Mar-2024 AMENDMENT TO CDSL BYE LAWS
10575 DP2024-167 22-Mar-2024 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10576 DP2024-168 26-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10577 DP2024-169 27-Mar-2024 NON-EXECUTION OF INTER-DEPOSITORY TRANSFERS OF
GOVERNMENT
SECURITIES ON APRIL 01, 2024
10578 DP2024-170 27-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10579 DP2024-171 27-Mar-2024 IMPLEMENTATION OF TWO FACTOR AUTHENTICATION FOR
ACCESSING AUDITWEB PORTAL
10580 DP2024-173 28-Mar-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10581 DP2024-174 28-Mar-2024 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
10582 DP2024-175 28-Mar-2024 DETAILS OF CORPORATE ACTIONS
10583 DP2024-176 01-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10584 DP2024-177 02-Apr-2024 REMINDER: SUBMISSION OF COMPLIANCE OF CLOSURE OF
FINDINGS
IDENTIFIED DURING VAPT
10585 DP2024-178 02-Apr-2024 SUBMISSION OF COMPLIANCE OF FRAMEWORK FOR ADOPTION OF
CLOUD SERVICES BY SEBI REGULATED ENTITIES
10586 DP2024-179 02-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10587 DP2024-180 02-Apr-2024 SUBMISSION / DISSEMINATION OF DP TARIFF / CHARGE
STRUCTURE TO
CDSL EVERY YEAR
10588 DP2024-181 02-Apr-2024 AVAILABILITY OF CDSL SYSTEM
10589 DP2024-182 03-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10590 DP2024-183 04-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10591 DP2024-184 04-Apr-2024 WITHDRAWAL OF SECURITIES FROM CDSL
10592 DP2024-185 04-Apr-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10593 DP2024-186 04-Apr-2024 DETAILS OF CORPORATE ACTIONS
10594 DP2024-187 05-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10595 DP2024-188 05-Apr-2024 REDRESSAL OF INVESTOR GRIEVANCE THROUGH SEBI SCORES 2.0
10596 DP2024-189 08-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10597 DP2024-190 08-Apr-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10598 DP2024-191 08-Apr-2024 REVISED FORMAT FOR REPORT ON INTERNAL AUDIT AND
CONCURRENT AUDIT OF RISK PRONE AREAS OF DP OPERATIONS
FOR
HALF YEAR ENDED 31ST MARCH 2024
10599 DP2024-192 09-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10600 DP2024-193 10-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10601 DP2024-194 10-Apr-2024 SEBI CIR - ENTITIES ALLOWED TO USE E-KYC AADHAAR
AUTHENTICATION SERVICES OF UIDAI AS SUB-KUA
10602 DP2024-195 10-Apr-2024 TRADING HOLIDAY ON MAY 20, 2024 ON ACCOUNT OF
PARLIAMENTARY ELECTIONS
10603 DP2024-196 10-Apr-2024 DETAILS OF CORPORATE ACTION
10604 DP2024-197 12-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10605 DP2024-198 12-Apr-2024 REVISED CHECKLIST ON CONCURRENT AUDIT OF RISK PRONE
AREAS
BY AUDITORS OF THE DPS
10606 DP2024-199 15-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10607 DP2024-200 15-Apr-2024 MANDATORY UPDATION OF CERTAIN ATTRIBUTES PERTAINING TO
KYC
OF CLIENTS
10608 DP2024-201 15-Apr-2024 AADHAAR SEEDING LINKAGE OF PAN WITH AADHAAR
10609 DP2024-202 16-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10610 DP2024-203 16-Apr-2024 DETAILS OF CORPORATE ACTION
10611 DP2024-204 16-Apr-2024 SECURITY COUNCIL 1718 SANCTIONS COMMITTEE AMENDS
ONE ENTRY ON ITS SANCTIONS LIST
10612 DP2024-205 18-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10613 DP2024-206 18-Apr-2024 DETAILS OF CORPORATE ACTION
10614 DP2024-207 18-Apr-2024 SUBMISSION DISSEMINATION OF DP TARIFF CHARGE STRUCTURE
TO
CDSL EVERY YEAR

Page 189
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10615 DP2024-208 18-Apr-2024 DP OPERATING INSTRUCTIONS AS OF MARCH 2024
CHAPTERS & ANNEXURES
10616 DP2024-209 19-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10617 DP2024-211 22-Apr-2024 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10618 DP2024-212 22-Apr-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10619 DP2024-213 22-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10620 DP2024-214 22-Apr-2024 REPORTING FOR ARTIFICIAL INTELLIGENCE (AI) AND MACHINE
LEARNING (ML) APPLICATIONS
10621 DP2024-215 22-Apr-2024 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
10622 DP2024-216 22-Apr-2024 DETAILS OF CORPORATE ACTION
10623 DP2024-210 23-Apr-2024 GUIDELINES FOR ONLINE CLOSURE OF DEMAT ACCOUNTS
10624 DP2024-217 23-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10625 DP2024-218 23-Apr-2024 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10626 DP2024-219 23-Apr-2024 VALIDATION OF KYC RECORDS WITH KRA
10627 DP2024-220 24-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10628 DP2024-221 25-Apr-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10629 DP2024-222 25-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10630 DP2024-223 26-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10631 DP2024-224 26-Apr-2024 SECURITY COUNCIL ISIL DA ESH AND AL QAIDA SANCTIONS
COMMITTEE AMENDS ONE ENTRY TO ITS SANCTIONS LIST
10632 DP2024-225 29-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10633 DP2024-226 29-Apr-2024 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10634 DP2024-227 29-Apr-2024 CHANGE IN IVR AND SUPPORT EMAIL ID FOR CDSL
10635 DP2024-228 29-Apr-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUER
10636 DP2024-229 29-Apr-2024 EX-PARTE INTERIM ORDER CUM SHOW CAUSE NOTICE ORDER
10637 DP2024-230 29-Apr-2024 MASTER CIRCULAR FOR DEPOSITORY PARTICIPANTS (DPS)
10638 DP2024-231 30-Apr-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10639 DP2024-232 30-Apr-2024 DETAILS OF CORPORATE ACTION
10640 DP2024-233 30-Apr-2024 INSURANCE POLICY FOR SECURITIES
10641 DP2024-234 30-Apr-2024 COMPREHENSIVE STRATEGY TO ADDRESS SCAMS SOLICITING
INVESTMENTS
10642 DP2024-235 02-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10643 DP2024-236 02-May-2024 SPECIAL LIVE TRADING SESSION AND SHIFTING OF OPERATIONS
10644 DP2024-237 03-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10645 DP2024-238 06-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10646 DP2024-239 06-May-2024 TERMINATION OF DEPOSITORY PARTICIPANT OF CDSL
10647 DP2024-240 06-May-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10648 DP2024-241 06-May-2024 HARMONIZATION OF FILE FORMATS ACROSS DEPOSITORY
10649 DP2024-242 06-May-2024 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10650 DP2024-243 06-May-2024 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT
10651 DP2024-244 07-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10652 DP2024-245 07-May-2024 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10653 DP2024-246 07-May-2024 ANNUAL BILL
10654 DP2024-247 08-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10655 DP2024-248 09-May-2024 SEBI CIR - MASTER CIRCULAR FOR ALTERNATIVE INVESTMENT
FUNDS
10656 DP2024-249 09-May-2024 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10657 DP2024-250 09-May-2024 AVAILABILITY OF CDSL SYSTEM
10658 DP2024-251 09-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10659 DP2024-252 09-May-2024 DETAILS OF CORPORATE ACTION
10660 DP2024-253 10-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10661 DP2024-254 10-May-2024 DETAILS OF CORPORATE ACTIONS
10662 DP2024-255 10-May-2024 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER 12
10663 DP2024-256 13-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10664 DP2024-257 13-May-2024 SEBI CIR - MASTER CIRCULAR FOR CUSTODIANS
10665 DP2024-258 13-May-2024 SEBI CIR - ENTITIES ALLOWED TO USE E-KYC AADHAAR
AUTHENTICATION SERVICES
10666 DP2024-259 14-May-2024 DETAILS OF CORPORATE ACTION
10667 DP2024-260 14-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10668 DP2024-261 14-May-2024 MULTIPLE SETTLEMENTS ON MAY 21 2024 ON ACCOUNT OF
SPECIAL LIVE TRADING SESSION ON MAY 18 2024
10669 DP2024-262 15-May-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10670 DP2024-263 15-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10671 DP2024-264 15-May-2024 DETAILS OF CORPORATE ACTIONS
10672 DP2024-265 15-May-2024 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER - 6
Page 190
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10673 DP2024-266 15-May-2024 COMPLIANCE WITH RIGHTS OF PERSONS WITH DISABILITIES ACT,
2016
10674 DP2024-267 16-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10675 DP2024-268 17-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10676 DP2024-269 21-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10677 DP2024-270 21-May-2024 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER - 4
10678 DP2024-271 21-May-2024 TRAINING SCHEDULE FOR CONTINUING PROFESSIONAL
EDUCATION
10679 DP2024-272 21-May-2024 SEBI CIR - REVIEW OF VALIDATION OF KYC RECORDS BY KRAS
UNDER
RISK MANAGEMENT FRAMEWORK
10680 DP2024-273 22-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10681 DP2024-274 22-May-2024 PRINCIPAL ENTITIES UNDER TELECOM COMMERCIAL
COMMUNICATION
REGULATIONS, 2018, TRAI
10682 DP2024-275 23-May-2024 DETAILS OF CORPORATE ACTION
10683 DP2024-276 23-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10684 DP2024-277 23-May-2024 SEBI- ISSUE AND LISTING OF NON-CONVERTIBLE DEBT SECURITIES
AND CP
10685 DP2024-278 23-May-2024 MULTIPLE SETTLEMENTS ON ACCOUNT OF SETTLEMENT HOLIDAY
10686 DP2024-279 23-May-2024 CLARIFICATION ON HANDLING OF CLIENTS? SECURITIES BY
TRADING
MEMBERS (TM) / CLEARING MEMBERS (CM)
10687 DP2024-280 24-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10688 DP2024-281 27-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10689 DP2024-282 27-May-2024 SEBI CIR - NORMS FOR SHARING OF REAL TIME PRICE DATA TO
THIRD
PARTIES
10690 DP2024-283 28-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10691 DP2024-284 28-May-2024 SEBI CIR - SELF REGULATORY ORGANIZATIONS FOR SOCIAL
IMPACT ASSESSORS
10692 DP2024-285 28-May-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10693 DP2024-286 29-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10694 DP2024-287 29-May-2024 DETAILS OF CORPORATE ACTIONS
10695 DP2024-288 30-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10696 DP2024-289 30-May-2024 SEBI CIR - INVESTOR CHARTER FOR DEPOSITORIES AND
DEPOSITORY
PARTICIPANTS
10697 DP2024-290 30-May-2024 SEBI CIR KYC REVIEW OF VALIDATION OF KYC RECORDS BY KRAS
10698 DP2024-291 31-May-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10699 DP2024-292 31-May-2024 REVIEW OF VALIDATION OF KYC RECORDS WITH KRA
10700 DP2024-293 03-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10701 DP2024-294 03-Jun-2024 WITHDRAWAL OF DEPOSITORY PARTICIPANT OF CDSL
10702 DP2024-295 03-Jun-2024 SEBI MASTER CIR FOR FPI, DESIGNATED
DP AND ELIGIBLE FOREIGN INVESTORS
10703 DP2024-296 04-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10704 DP2024-297 04-Jun-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10705 DP2024-298 05-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10706 DP2024-299 05-Jun-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10707 DP2024-300 05-Jun-2024 SEBI CIR TIMELINES FOR DISCLOSURES BY SOCIAL ENTERPRISES
ON
SOCIAL STOCK EXCHANGE
10708 DP2024-301 06-Jun-2024 SUBMISSION OF ANNUAL SYSTEM AUDIT REPORT
10709 DP2024-302 06-Jun-2024 SEBI CIR ENHANCEMENT OF OPERATIONAL EFFICIENCY AND RISK
REDUCTION
10710 DP2024-303 06-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10711 DP2024-304 06-Jun-2024 AVAILABILITY OF CDSL SYSTEM
10712 DP2024-305 06-Jun-2024 SEBI CIR DISCLOSURES OF MATERIAL CHANGES AND OTHER
OBLIGATIONS
10713 DP2024-306 06-Jun-2024 FACILITY FOR BASIC SERVICES DEMAT ACCOUNT (BSDA)
10714 DP2024-307 06-Jun-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10715 DP2024-308 06-Jun-2024 NEW TRANSACTION STATUS AND TRANSACTION CODES FOR AIF
TRANSACTIONS
10716 DP2024-309 07-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10717 DP2024-310 07-Jun-2024 IMPLEMENTATION OF TWO FACTOR AUTHENTICATION IN EASI &
EASIEST
LOGIN
10718 DP2024-311 07-Jun-2024 SEBI CIR FRAMEWORK OF "FINANCIAL DISINCENTIVES FOR
SURVEILLANCE RELATED LAPSES"
10719 DP2024-312 07-Jun-2024 SEBI CIR UPLOADING OF KYC INFORMATION BY KYC REGISTRATION
AGENCIES TO CENTRAL KYC RECORDS REGISTRY
10720 DP2024-313 07-Jun-2024 UPDATION OF MERGER BANKS DETAILS

Page 191
DP-COMMUNIQUE-INDEX
Communiqué Communiqué
Sr.No. Communiqué Description
no. date
10721 DP2024-314 07-Jun-2024 INTRODUCTION OF REJECTION REASON FOR PLEDGE AND
UNPLEDGE
REQUEST
10722 DP2024-315 10-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10723 DP2024-316 11-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10724 DP2024-317 11-Jun-2024 UPDATION OF CHOICE OF NOMINATION
10725 DP2024-318 12-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10726 DP2024-319 12-Jun-2024 DETAILS OF CORPORATE ACTIONS
10727 DP2024-320 12-Jun-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10728 DP2024-321 12-Jun-2024 REVISED SETTLEMENT SCHEDULE FOR TENDER OFFER
SETTLEMENTS
10729 DP2024-322 12-Jun-2024 CDSL
10730 DP2024-323 13-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10731 DP2024-324 13-Jun-2024 DETAILS OF CORPORATE ACTION
10732 DP2024-325 14-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10733 DP2024-326 14-Jun-2024 INTRODUCTION OF REJECTION REASON FOR PLEDGE AND
UNPLEDGE REQUEST
10734 DP2024-327 14-Jun-2024 HARMONIZATION OF FILE FORMATS ACROSS DEPOSITORY
10735 DP2024-328 18-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10736 DP2024-329 18-Jun-2024 SEBI CIR - MODIFICATION IN FRAMEWORK FOR OFFER FOR SALE
10737 DP2024-330 18-Jun-2024 SEBI MASTER CIRCULAR FOR REAL ESTATE INVESTMENT TRUSTS
10738 DP2024-331 18-Jun-2024 SEBI MASTER CIRCULAR FOR INFRASTRUCTURE INVESTMENT
TRUSTS
10739 DP2024-332 18-Jun-2024 SEBI MASTER CIRCULAR FOR CREDIT RATING AGENCIES
10740 DP2024-333 18-Jun-2024 SEBI MASTER CIRCULAR FOR DEBENTURE TRUSTEES
10741 DP2024-334 18-Jun-2024 SEBI MASTER CIRCULAR ESG RATING PROVIDERS
10742 DP2024-335 18-Jun-2024 SEBI CIR - FRAMEWORK FOR PROVIDING FLEXIBILITY TO FOREIGN
PORTFOLIO INVESTORS
10743 DP2024-336 19-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10744 DP2024-337 19-Jun-2024 SEBI CIR- GUIDELINES ON AML AND STANDARDS COMBATING
FINANCING OF TERRORISM
10745 DP2024-338 19-Jun-2024 DETAILS OF CORPORATE ACTION
10746 DP2024-339 20-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10747 DP2024-340 20-Jun-2024 DETAILS OF CHANGE OF RTA EFFECTED BY ISSUERS
10748 DP2024-341 20-Jun-2024 SURVEILLANCE OBLIGATION OF DP
AND
AMENDMENT IN QUARTERLY REPORTING FORMAT
10749 DP2024-342 20-Jun-2024 HARMONIZATION OF FILE FORMATS ACROSS DEPOSITORY
10750 DP2024-343 21-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10751 DP2024-344 21-Jun-2024 VALIDATION OF KYC RECORDS WITH KRA
10752 DP2024-345 24-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10753 DP2024-346 24-Jun-2024 HARMONIZATION OF FILE FORMATS ACROSS DEPOSITORY
10754 DP2024-347 25-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10755 DP2024-348 25-Jun-2024 AMENDMENTS TO DP OPERATING INSTRUCTIONS CHAPTER - 3
10756 DP2024-349 25-Jun-2024 DETAILS OF CORPORATE ACTION
10757 DP2024-350 26-Jun-2024 DETAILS OF SECURITIES ADMITTED WITH CDSL
10758 DP2024-351 26-Jun-2024 DETAILS OF CORPORATE ACTION
10759 DP2024-352 26-Jun-2024 STATUTORY COMMITTEES AT MARKET INFRASTRUCTURE
INSTITUTIONS (MIIS)
10760 DP2024-353 27-Jun-2024 HARMONIZATION OF FILE FORMATS ACROSS DEPOSITORY

Page 192

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