Description

Three new Treasury Bills with maturities of 91, 182, and 364 days to be listed on BSE debt segment effective August 29, 2025.

Summary

BSE announces the listing of three new Treasury Bills (T-Bills) in the debt segment, effective August 29, 2025. The T-Bills include 91-day, 182-day, and 364-day instruments with specific ISIN codes and maturity dates.

Key Points

  • Three Treasury Bills to be listed under G GROUP - DEBT INSTRUMENTS
  • Trading commences August 29, 2025
  • Market lot size is 1 for all instruments
  • Standard pre-maturity trading restrictions apply

Treasury Bill Details

Scrip CodeISINSymbolMaturity DateDuration
805109IN002025X22491TB281125November 28, 202591 days
805110IN002025Y222182TB27226February 27, 2026182 days
805111IN002025Z229364TB28826August 28, 2026364 days

Trading Restrictions

  • Securities will not be available for trading two working days prior to maturity/redemption date
  • Restriction period excludes bank holidays

Important Dates

  • Listing Date: August 29, 2025
  • 91-day T-Bill Maturity: November 28, 2025
  • 182-day T-Bill Maturity: February 27, 2026
  • 364-day T-Bill Maturity: August 28, 2026

Impact Assessment

Minimal market impact as this represents routine government securities listing. Provides additional short to medium-term investment options for debt market participants seeking government-backed instruments.

Impact Justification

Standard Treasury Bill listing with routine trading restrictions near maturity