Description

BSE lists 2000 Commercial Papers of Rs. 5,00,000 each issued by Birla Group Holdings Private Limited on private placement basis, with maturity date of February 11, 2026.

Summary

BSE has listed new Commercial Papers issued by Birla Group Holdings Private Limited on private placement basis. The listing comprises 2000 units with a face value of Rs. 5,00,000 each, effective from November 12, 2025. The instruments carry dual credit ratings of CRISIL A1+ and ICRA A1+, indicating highest safety for short-term debt.

Key Points

  • Quantity: 2000 Commercial Papers of Rs. 5,00,000 each
  • Scrip Code: 730543, Scrip ID: BGH121125
  • ISIN Number: INE09OL14IC0
  • Credit Rating: CRISIL A1+ and ICRA A1+
  • Issue Price: Rs. 491,664.50 per unit
  • Face Value: Rs. 500,000 per unit
  • Market Lot: 1 unit
  • Trading only in dematerialized form
  • Standard denomination: Rs. 5 Lakhs and multiples thereof
  • Tick size: 1 paise
  • Issuing and Paying Agent: Axis Bank Limited

Regulatory Changes

No regulatory changes introduced. This is a standard listing notification for debt securities.

Compliance Requirements

  • Trading members must trade these securities only in dematerialized form under ISIN INE09OL14IC0
  • Trading must be conducted in standard denomination of Rs. 5 Lakhs and multiples thereof
  • Tick size of 1 paise must be adhered to for all transactions

Important Dates

  • Notice Date: November 12, 2025
  • Allotment Date: November 12, 2025
  • Listing Date: November 12, 2025
  • Redemption Date: February 11, 2026
  • Tenure: 91 days (approximately 3 months)

Impact Assessment

This is a routine commercial paper listing with minimal market impact. The instruments provide short-term financing to Birla Group Holdings Private Limited and offer investment opportunities for debt market participants. The dual A1+ ratings from CRISIL and ICRA indicate minimal credit risk. The 3-month maturity period is typical for commercial paper instruments used for working capital financing. No impact on equity markets or broader trading operations.

Impact Justification

Routine listing of commercial paper on debt segment with no impact on equity markets or regulatory changes