Description
BSE announces listing of three new Treasury Bills with maturities ranging from 91 days to 364 days, effective August 22, 2025.
Summary
BSE announces the listing of three new Treasury Bills (T-Bills) effective August 22, 2025. The securities will be available for trading in the G GROUP - DEBT INSTRUMENTS category with varying maturity periods from 91 days to 364 days.
Key Points
- Three new Treasury Bills to be listed on BSE debt segment
- Trading commences August 22, 2025
- All securities classified under G GROUP - DEBT INSTRUMENTS
- Market lot size of 1 for all three issues
- Standard pre-maturity trading restrictions apply
Treasury Bills Details
Scrip Code | ISIN | Symbol | Maturity Date | Days to Maturity |
---|---|---|---|---|
805106 | IN002025X216 | 91TB201125 | November 20, 2025 | 91 days |
805107 | IN002025Y214 | 182TB19226 | February 19, 2026 | 182 days |
805108 | IN002025Z211 | 364TB20826 | August 20, 2026 | 364 days |
Trading Restrictions
- Securities will not be available for trading two working days prior to maturity/redemption date
- Restriction applies as: Maturity Date (T) minus two Trading Days (excluding bank holidays)
Important Dates
- Listing Date: August 22, 2025
- Trading Suspension: Two working days before each respective maturity date
- Maturity Dates: November 20, 2025; February 19, 2026; August 20, 2026
Impact Assessment
Routine treasury bill listing with minimal market impact. Provides additional short to medium-term government debt investment options for market participants. Standard procedure with established trading protocols.
Impact Justification
Routine listing of government treasury bills with standard trading procedures