Description

Trading suspended for ECL Finance Limited debentures (ECL-9.60%-19-12-25-PVT) from December 4, 2025 due to redemption record date.

Summary

BSE has announced the suspension of trading in non-convertible debentures of ECL Finance Limited effective December 4, 2025. The suspension is due to the company fixing a record date for redemption of its ECL-9.60%-19-12-25-PVT debentures (ISIN: INE804I07H64, Code: 953139). Trading members are instructed to cease dealing in these debentures from the no-dealings date.

Key Points

  • Trading suspension for ECL Finance Limited debentures ECL-9.60%-19-12-25-PVT
  • ISIN: INE804I07H64
  • BSE Code: 953139
  • Record date set for December 4, 2025
  • No dealings permitted from December 4, 2025
  • Purpose: Redemption of non-convertible debentures
  • Notice issued by Marian Dsouza, Assistant Vice President – Listing Compliance and Operations

Regulatory Changes

No new regulatory changes introduced. This is a standard corporate action notice for debenture redemption process.

Compliance Requirements

  • Trading members must not deal in the specified ECL Finance Limited debentures from December 4, 2025
  • All trading activity in these debentures must cease on or after the no-dealings date
  • Trading members must take note of the suspension and update their systems accordingly

Important Dates

  • Notice Date: November 24, 2025
  • Record Date: December 4, 2025
  • No Dealings From: December 4, 2025

Impact Assessment

The impact is limited to holders and traders of this specific debenture series. Debenture holders on record as of December 4, 2025 will be eligible for redemption. Trading members must ensure compliance with the suspension to avoid trading violations. The suspension is temporary and specific to the redemption process, affecting liquidity for these particular debt securities during the redemption period.

Impact Justification

Trading suspension affects specific debenture holders and trading members dealing with ECL Finance debt securities; limited to single security with defined redemption timeline.