Description
BSE lists three new Treasury Bills with maturities ranging from October 2025 to July 2026, effective July 25, 2025.
Summary
BSE has listed three new Treasury Bills (T-Bills) in the G GROUP - DEBT INSTRUMENTS category, effective July 25, 2025. The T-Bills have varying maturity periods from 91 days to 364 days.
Key Points
- Three new Treasury Bills listed on BSE debt segment
- All securities classified under G GROUP - DEBT INSTRUMENTS
- Market lot size of 1 for all listed T-Bills
- Trading restricted two working days prior to maturity date
New Listings
Scrip Code | ISIN | Symbol | Maturity Date |
---|---|---|---|
805097 | IN002025X182 | 91TB301025 | 30/10/2025 |
805098 | IN002025Y180 | 182TB29126 | 29/01/2026 |
805099 | IN002025Z187 | 364TB30726 | 30/07/2026 |
Trading Restrictions
- Securities will not be available for trading two working days before maturity/redemption date
- Restriction applies as: Maturity Date (T) minus two Trading Days (excluding bank holidays)
Important Dates
- Effective Date: July 25, 2025
- Notice Date: July 31, 2025
- Maturity Dates: October 30, 2025; January 29, 2026; July 30, 2026
Impact Assessment
Minimal market impact as this is a routine listing of government securities. Provides additional short to medium-term investment options for debt market participants.
Impact Justification
Standard operational listing of government securities with minimal market disruption