Kindly note multiple settlements scheduled on 13-05-2025 i.e. same day pay in / pay out for Trading date 09-05-2025 & 12-05-2025. As per SEBI's circular dated July 16, 2021, Inter Settlement (BTST) not allowed from Member’s Pool Account. Shares purchased by the client on 09-05-2025 will not be available for sell on 12-05-2025 due to same day Pay-in & Pay-out on 13-05-2025. Regards-Treasury Team. (022-40778037-22-36-73).