Description

BSE lists new debt securities of Keertana Finserv Limited worth Rs. 3,500 units on private placement basis with 11.30% interest rate.

Summary

BSE has listed new debt securities of Keertana Finserv Limited issued on private placement basis. The securities are admitted to dealings on the BSE Debt segment with effect from July 30, 2025.

Key Points

  • Quantity: 3,500 units with market lot of 1
  • Scrip Code: 976346, Scrip ID: 1130KFL27
  • ISIN Number: INE0NES07154 (further listings under same ISIN)
  • Credit Rating: IND BBB+/Stable
  • Face Value: Rs. 1,00,000 per unit
  • Issue Price: Rs. 1,01,124 per unit
  • Interest Rate: 11.30% per annum (monthly payments)
  • Trading only in dematerialized form
  • Tick size: 1 paise

Regulatory Changes

No regulatory changes introduced.

Compliance Requirements

  • Trading members must trade these securities only in dematerialized form
  • Securities must be traded under the specified ISIN number
  • Reference to Placement Memorandum available on BSE website for further details

Important Dates

  • Date of Allotment: July 28, 2025
  • Trading Commencement: July 30, 2025
  • Interest Payment Period: February 23, 2025 to January 23, 2027 (monthly)
  • Date of Redemption: January 23, 2027

Impact Assessment

Limited market impact as this is a routine listing of debt securities on private placement basis. The listing provides additional investment options in the debt segment for institutional and qualified investors.

Impact Justification

Routine debt securities listing with limited market impact