TMI BlogMonthly statement to be furnished by a recognised association in respect of transactions in which client codes have been modified after registering in the system for the month of…....X X X X Extracts X X X X X X X X Extracts X X X X ..... system for the month of ______________ 1. Name and address of the recognized association:_____________________________________________________ 2. Permanent Account Number: ________________________________________________________________________ 3. Details of transactions, in which client codes have been modified after registering in system, are enclosed in a soft copy as annexure. V ..... X X X X Extracts X X X X X X X X Extracts X X X X ..... Commodity derivative name Quantity Rate Total value of transaction Buy or Sale Date of Transaction Total value of commodity derivative in col. 11 bought/ sold on the exchange during the day* To ..... X X X X Extracts X X X X X X X X Extracts X X X X ..... ..... X X X X Extracts X X X X X X X X Extracts X X X X ..... *Note- The value or number of transaction will be in respect of buy if col. (15) is buy and sale if col. (15) is sale. ..... X X X X Extracts X X X X X X X X Extracts X X X X
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