Description
BSE announces listing of two series of debt securities issued by Edel Finance Company Limited on private placement basis, effective December 1, 2025.
Summary
BSE has listed two new debt securities issued by Edel Finance Company Limited on private placement basis, effective December 1, 2025. The securities are rated CRISIL A+/STABLE and will be traded in dematerialized form only on the BSE Debt segment.
Key Points
- Two debt securities series listed: EFCL30725 (500 units) and EFCL300725 (100 units)
- Both securities have face value and paid-up value of Rs. 100,000 each
- Credit rating: CRISIL A+/STABLE for both series
- Securities will trade only in dematerialized form
- Tick size: 1 paise
- Market lot: 1 unit for both series
- Redemption date: October 30, 2028 for both series
Security Details
Series 1 (EFCL30725)
- ISIN: INE836K07304 (Further listings under same ISIN)
- Scrip Code: 976967
- Quantity: 500 units
- Issue Price: Rs. 101,192.00
- Allotment Date: November 28, 2025
- Interest Rate: As per KID (Key Information Document)
- Interest Payment: Cumulative
- Put/Call Option: As per KID
Series 2 (EFCL300725)
- ISIN: INE836K07312 (Further listings under same ISIN)
- Scrip Code: 976968
- Quantity: 100 units
- Issue Price: Rs. 100,352.00
- Allotment Date: July 30, 2025
- Interest Rate: As per KID
- Interest Payment: Cumulative
- Put/Call Option: NA
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 the specified ISIN numbers
- Members must adhere to the tick size of 1 paise for these securities
- Trading members should refer to the Placement Memorandum available at https://www.bseindia.com/markets/debt/memorandum_data.aspx for further details
- Contact BSE debt department (22728352/8597/8995/5753/8915) for clarifications
Important Dates
- Listing Date: December 1, 2025
- Allotment Date (Series 1): November 28, 2025
- Allotment Date (Series 2): July 30, 2025
- Redemption Date (Both Series): October 30, 2028
Impact Assessment
This is a routine listing notification with minimal market impact. The listing adds liquidity options for investors holding or interested in Edel Finance Company Limited debt securities. The cumulative interest structure and CRISIL A+/STABLE rating indicates moderate credit quality. Impact is limited to debt market participants and does not affect equity markets or broader trading operations.
Impact Justification
Routine debt securities listing notification affecting only specific debt market participants and investors in Edel Finance securities