Nse Claim
Nse Claim
Nse Claim
CLAIM AGAINST:
Email id*
PAN No.*
Kindly provide a copy of the following documents as attachments with this form:
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PAN card TM-Client
KYCregistratio
details
n form
Client code
The above documents need to be provided for a period of at least 2 years prior to
which the claim has arisen.
Kindly provide a copy of the demat account transaction statements for a period of
at least 2 years prior to which the claim has arisen.
Bank Name
Branch Name
Bank A/c No.
Kindly provide original bank certificate or certified bank account statement/ copy of
passbook for payments made by you (as reflecting in your ledger account
statement) stating the following information:-
5. Nature of Claim *:
CM^ claim (Rs.) F&O^ claim
A. Non-receipt of securities purchased NA
(Details to be enclosed as per format provided at Annexure 1, point A)
i. SCORES ref.no
ii. Status of complaint
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Please state, whether you are a registered sub-broker or authorized person?
YES / NO
Are you related to the employee / proprietor / partners / directors of the TM?
YES / NO.
Please state, if any of your relative is/was a client of the Trading Member.
YES / NO
If yes, please provide the details viz., name/ relation/ Client Code, etc.
Declaration
I have disclosed all my transactions and I do not owe any amount to the trading
member.
The claim pertains to the undersigned only and that is not made on behalf of any
other person.
All the information provided by me is true to the best of my knowledge and I am
aware that my claim is liable to be rejected if the information given by me is found
to be false or incorrect.
Place: _____________
Date: ______________
(DD- MM-YYYY) Claimant’s
Signature*
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General Instructions for CM and F&O segment claim:
a. Please read the entire document carefully before filling up the details.
b. Please provide complete details in respect of your claim, as per the format specified in the
Annexures.
c. Please provide your complete Personal details ie: address, pin-code contact numbers,
PAN no. so that Exchange can get in touch with you in case additional information is
required.
d. Ensure that the following mandatory documents have been provided by you along with the
claim form.
Copy of Ledger account statements
Copy of Margin ledger account statements (wherever applicable)
Acknowledgement letter by TM towards the receipt of Margin money (wherever
applicable).
Copy of Demat account transaction statements
Bank certificate/ certified bank statement or pass book for payments made to TM.
Copy of contract notes pertaining to the claim.
Copy of PAN card.
Copy of Member Constituent agreement
Copy of KYC details submitted to the TM.
e. All the documents submitted by you should pertain to the same period. (ie. period
of at least 2 years prior to which the claim has arisen.)
f. In-case the claimant is a company, in addition to the above documents, please provides
copy of board resolution providing names of authorized signatories, and list of all the
directors/ shareholders/promoters of the company.
1. Contract in securities, which are not made subject to the Bye-laws, Rules and Regulations
of the Exchange.
2. Claims for trades that are not executed on Exchange.
3. Claims arising out of any arrangement of settlement (in lieu of bonafide dues) for trade
executed on the Exchange.
4. Claims which are in the nature of a loan, with or without security.
5. Claims which are received after the due date from the date of publication of the notice
inviting claims.
6. Claims not supported by adequate documents in respect of payments made to / received
from trading member and also securities delivered / received, etc.
7. Loss emanated from delayed delivery of securities.
8. Claim for the interest on the amount claimed.
9. Claim for damages / harassment / miscellaneous charges.
10. Claims of investors whose unique client code are not registered with Exchange.
11. Claims where documents are not received within the specified time period as intimated by
the Exchange.
12. Claimants holding arbitration awards / IGRP awards in their favour will be treated at par with
the other claims and be independently evaluated by the Relevant Authority.
13. In case of review request, more than 2 review requests or cases where review documents
are not filed with the Exchange within 90 days of receipt of intimation from the Exchange.
Abbreviations used:
***********
Annexure 1
Details of claim
(For more records, please attach separate sheet giving all details of claim.)
i. Please provide in the following format, the list of securities which have not been received by
you on purchase, and attach copies of contract notes in support of your claim.
Name of the
Contract Date of contract Settlement
S. no. security Qty. Rate Value (Rs)
note no. note no.
purchased
ii. Please provide in the following format, details of payment along with proof of payment ie.
bank certificate, certified bank account statement/ copy of passbook for purchase of the
above securities.
iii. Please provide in the following format, details of securities sold (if any) for purchase of the
securities mentioned above in point (A i), and attach copies of contract notes for the sale
transactions in support of your claim.
iv. Please provide in the following format, details of proof of delivery of securities sold i.e.
Demat account transaction statement (evidencing that the securities sold are delivered) as
specified above in (point A iii), for paying towards purchase of securities as mentioned in
point (A i).
Beneficiary
S. Name of the Date of Name of the Names of the Beneficiary
Qty. Account
no. security sold delivery Depository Participant Account Holders
No.
i. Please provide in the following format, the list of securities sold by you for which you have
not received payments and attach copies of contract notes in support of your claim.
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ii. Please provide in the following format, details of proof of delivery of securities sold (ie.
demat account transaction statement evidencing that the securities sold have been
delivered) as specified by you above in (B i).
Please provide in the following format, details of payments along with proof of payment ie.
bank certificate, certified bank account statement/ copy of passbook paid to TM towards
margin money.
Please provide in the following format , details of securities delivered along with proof of
delivery ie. demat account statement (evidencing that the securities are delivered)
towards margin money.
Please provide in the following format, the details of the securities for which corporate
benefit is claimed.
Type of Ex-date of
S. Name of Symb Date of purchase of Amount
corporate corporate Qty Rate
no Security ol securities (Rs.)
benefit benefit
Please provide in the following format, the details of the securities for which corporate
benefit is claimed.
Type of Ex-date of
S. Name of Date of transfer of Amount
Symbol corporate corporate Qty Rate
no Security securities (Rs.)
benefit benefit
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