Description
R Systems International Limited's new debt securities worth Rs. 275 crore (27,500 units at Rs. 100,000 face value) listed on BSE Debt segment with 9.75% interest rate and maturity date of November 11, 2030.
Summary
BSE has announced the listing and admission to trading of new debt securities issued by R Systems International Limited on a private placement basis, effective November 12, 2025. The securities comprise 27,500 units of debentures with a face value of Rs. 100,000 each, carrying a 9.75% per annum interest rate with quarterly payment frequency and maturing on November 11, 2030.
Key Points
- Quantity: 27,500 units
- Face Value: Rs. 100,000 per unit (Total issue size: Rs. 275 crore)
- Scrip Code: 977286
- Scrip ID: 975RSIL30
- ISIN: INE411H08011
- Credit Rating: CRISIL AA-/Stable
- Interest Rate: 9.75% per annum (paid quarterly)
- Issue Price: Rs. 100,000
- Market Lot: 1
- Trading: Dematerialised form only
- Tick Size: 1 paise
- Put/Call Option: Not applicable
Regulatory Changes
No regulatory changes introduced. This is a standard listing notification for privately placed debt securities.
Compliance Requirements
- Trading members must trade these securities only in dematerialised form under ISIN INE411H08011
- Members should refer to the Placement Memorandum available at https://www.bseindia.com/markets/debt/memorandum_data.aspx for complete details
- For clarifications, trading members may contact BSE debt department at 22728352/8597/8995/5753/8915
Important Dates
- Date of Allotment: November 11, 2025
- Listing Date: November 12, 2025
- Interest Payment: Quarterly
- Maturity/Redemption Date: November 11, 2030
Impact Assessment
This is a routine debt listing with limited market-wide impact. The listing adds Rs. 275 crore of CRISIL AA-/Stable rated debt securities to the BSE Debt segment. The securities are privately placed and therefore have a limited investor base. The 9.75% interest rate reflects current market conditions for AA- rated corporate debt. Trading members can now facilitate transactions in these securities for eligible investors holding these instruments.
Impact Justification
Routine debt listing announcement for private placement securities with standard terms, minimal market-wide impact