Description

Listing of commercial papers and debt securities issued by Nuvama Wealth Finance, Bajaj Financial Securities, Bajaj Housing Finance, EarlySalary Services, and Oxyzo Financial Services on BSE Debt Segment.

Summary

BSE has admitted several privately placed debt securities and commercial papers to trading on the Debt Segment effective January 2, 2026. The notice covers three commercial papers from Nuvama Wealth Finance Limited, Bajaj Financial Securities Limited, and Bajaj Housing Finance Limited, along with two debt instruments from EarlySalary Services Private Limited and Oxyzo Financial Services Limited.

Key Points

  • All securities will trade only in dematerialized form under specified ISIN numbers
  • Commercial papers have standard denomination of Rs. 5 lakhs and multiples thereof
  • Tick size for all securities is 1 paise
  • Market lot is 1 for all listed securities
  • Trading members can contact debt department at 22728352/8597/8995/5753/8915 for clarifications

Listed Securities Details

Commercial Papers

Nuvama Wealth Finance Limited (NWFL010126)

  • Quantity: 1,000 units
  • Face Value: Rs. 5,00,000
  • Issue Price: Rs. 4,95,565.50
  • Interest Rate: 7.10% p.a. (cumulative)
  • Allotment Date: January 1, 2026
  • Redemption Date: February 16, 2026
  • Credit Rating: CRISIL A1+, ICRA A1+
  • ISIN: INE918K14CW7
  • Scrip Code: 730884

Bajaj Financial Securities Limited (BFSL020126)

  • Quantity: 3,000 units
  • Face Value: Rs. 5,00,000
  • Issue Price: Rs. 4,98,829.00
  • Interest Rate: 6.12% p.a. (cumulative)
  • Allotment Date: January 2, 2026
  • Redemption Date: January 16, 2026
  • Credit Rating: CRISIL A1+, IND A1+
  • ISIN: INE01C314ED1
  • Scrip Code: 730885

Bajaj Housing Finance Limited (BHFL1126)

  • Quantity: 8,000 units
  • Face Value: Rs. 5,00,000
  • Issue Price: Rs. 4,68,252.50
  • Interest Rate: 6.78% p.a. (cumulative)
  • Allotment Date: January 1, 2026
  • Redemption Date: January 1, 2027
  • Credit Rating: CRISIL A1+, IND A1+
  • ISIN: INE377Y14BV1
  • Scrip Code: 730886

Debt Securities (Privately Placed)

EarlySalary Services Private Limited (1050ESPL28)

  • Quantity: 11,500 units
  • Face Value: Rs. 1,00,000
  • Issue Price: Rs. 1,00,000
  • Interest Rate: 10.50% p.a. (monthly payment)
  • Allotment Date: December 31, 2025
  • Interest Payment: February 9, 2026 to March 9, 2028
  • Redemption Date: March 9, 2028
  • Credit Rating: CARE A-
  • ISIN: INE01YL07417
  • Scrip Code: 977431

Oxyzo Financial Services Limited (RROFSL28)

  • Quantity: 10,000 units
  • Face Value: Rs. 1,00,000
  • Issue Price: Rs. 1,00,000
  • Interest Rate: T-Bill + Spread
  • Allotment Date: December 31, 2025
  • Redemption Date: January 3, 2028
  • Credit Rating: ICRA A+ (Stable)
  • ISIN: INE04VS07487
  • Scrip Code: 977432

Compliance Requirements

  • Trading members must trade these securities only in dematerialized form
  • Commercial papers must be traded in standard denomination of Rs. 5 lakhs and multiples
  • All trades must follow 1 paise tick size
  • Market lot size is 1 for all securities
  • For detailed information on debt securities, refer to Placement Memorandum at https://www.bseindia.com/markets/debt/memorandum_data.aspx

Important Dates

  • Effective Trading Date: January 2, 2026
  • NWFL CP Redemption: February 16, 2026
  • BFSL CP Redemption: January 16, 2026
  • BHFL CP Redemption: January 1, 2027
  • ESPL Debt Redemption: March 9, 2028
  • OFSL Debt Redemption: January 3, 2028

Impact Assessment

This is a routine administrative listing notification with minimal market-wide impact. The circular provides technical details for debt market participants and trading members regarding newly admitted securities. Impact is limited to investors and traders specifically dealing with debt instruments and commercial papers. The diverse credit ratings (A1+ to A-) and varying tenures (14 days to 2+ years) provide options for different risk appetites in the debt market.

Impact Justification

Routine listing notification for privately placed debt securities with limited impact on general market participants