Description
BSE announces listing of three new Treasury Bills with maturities ranging from November 2025 to August 2026.
Summary
BSE has announced the listing of three new Treasury Bills (T-Bills) that will be available for trading from August 22, 2025. These government securities will be listed under G GROUP - DEBT INSTRUMENTS with varying maturity periods.
Key Points
- Three T-Bills will be listed with scrip codes 805106, 805107, and 805108
- All securities have market lot size of 1
- Maturities range from 91 days to 364 days
- Trading will be suspended two working days before maturity date
Regulatory Changes
No regulatory changes announced - this is a routine listing notification.
Compliance Requirements
- Trading members must note the trading suspension rule before maturity
- Securities will not be available for trading two working days prior to maturity/redemption date
- Contact BSE at 2272 8352/5753/8597 for clarifications
Important Dates
- Effective Date: August 22, 2025
- Maturity Dates:
- 91TB201125: November 20, 2025
- 182TB19226: February 19, 2026
- 364TB20826: August 20, 2026
Impact Assessment
Minimal market impact as this is routine government securities listing. Provides additional investment options for institutional investors and adds liquidity to the debt market segment.
Impact Justification
Routine listing of government securities with no direct impact on equity markets