Description

BSE announces listing of three new Treasury Bills with maturities ranging from 91 days to 364 days, effective August 8, 2025.

Summary

BSE announces the listing of three new Treasury Bills (T-Bills) in the G GROUP - DEBT INSTRUMENTS category, effective August 8, 2025. The T-Bills have varying maturity periods of 91 days, 182 days, and 364 days.

Key Points

  • Three new Treasury Bills will be listed on BSE starting August 8, 2025
  • All T-Bills classified under G GROUP - DEBT INSTRUMENTS
  • Market lot size of 1 for all three instruments
  • Trading restrictions apply two working days before maturity

Treasury Bills Details

Scrip CodeISINSymbolMaturity Date
805100IN002025X19091TB061125November 6, 2025
805101IN002025Y198182TB05226February 5, 2026
805102IN002025Z195364TB06826August 6, 2026

Trading Restrictions

  • Securities will not be available for trading two working days prior to maturity/redemption date
  • Restriction applies to Maturity Date (T) minus two trading days (excluding bank holidays)

Important Dates

  • Effective Date: August 8, 2025
  • 91-day T-Bill Maturity: November 6, 2025
  • 182-day T-Bill Maturity: February 5, 2026
  • 364-day T-Bill Maturity: August 6, 2026

Impact Assessment

Minimal market impact as this is a routine listing of government treasury bills. Provides additional short to medium-term investment options for debt market participants.

Impact Justification

Routine listing of government treasury bills with standard terms