On account of the settlement holiday on 19-Feb-2026, multiple settlements have been scheduled for 20-Feb-2026. Details of the impact of this settlement holiday on your trading account is as follows:
|
Segment |
Trade placed on |
BTST Not Allowed |
Date of Settlement |
|
Equity & Derivatives (F&O) |
18-Feb-2026 |
19-Feb-2026 |
20-Feb-2026 |
Please note the following:
-
Funds from shares sold on 18 & 19-Feb-26 will be available for withdrawal on 20-Feb-26. No fund payouts will be processed on 19-Feb-26.
-
Trades can be placed as usual, except stocks bought on 18-Feb-26 cannot be sold on 19-Feb-26.
-
Settlement for trades executed on 18 & 19-Feb-26, will be processed on 20-Feb-26 for both Equity and Derivatives.
-
Profits/credits from trades done on 18-Feb-26 will not reflect in your account balance on 19-Feb-26.
Refer: NSE Circular

