Description

BSE lists new commercial paper and debt securities issued on private placement basis, effective January 2, 2026.

Summary

BSE has listed new privately placed securities on its debt market segment effective January 2, 2026. The listing includes 3 commercial paper issues and 2 debt securities (privately placed debt instruments). Trading members can trade these securities in dematerialized form only, with commercial papers having a standard denomination of Rs. 5 lakhs and multiples thereof.

Key Points

  • Three commercial paper issues listed: Nuvama Wealth Finance Limited (1000 units), Bajaj Financial Securities Limited (3000 units), and Bajaj Housing Finance Limited (8000 units)
  • Two debt securities listed: EarlySalary Services Private Limited (11,500 units) and Oxyzo Financial Services Limited (10,000 units)
  • All commercial papers have face value of Rs. 5,00,000 each with tick size of 1 paise
  • Commercial papers trade in standard denomination of Rs. 5 lakhs and multiples
  • All securities will be traded only in dematerialized form under specific ISIN numbers
  • Interest rates range from 6.12% to 10.50% p.a. depending on the instrument

Commercial Paper Details

Nuvama Wealth Finance Limited (NWFL010126)

  • Quantity: 1,000 units
  • 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

Bajaj Financial Securities Limited (BFSL020126)

  • Quantity: 3,000 units
  • 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

Bajaj Housing Finance Limited (BHFL1126)

  • Quantity: 8,000 units
  • 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

Debt Securities Details

EarlySalary Services Private Limited (1050ESPL28)

  • Quantity: 11,500 units
  • Face/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

Oxyzo Financial Services Limited (RROFSL28)

  • Quantity: 10,000 units
  • Face/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

Regulatory Changes

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

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 thereof
  • Tick size for all securities is 1 paise
  • For debt securities details, trading members should refer to the Placement Memorandum at https://www.bseindia.com/markets/debt/memorandum_data.aspx

Important Dates

  • Effective Date of Listing: January 2, 2026
  • Allotment Dates: December 31, 2025 (debt securities), January 1-2, 2026 (commercial papers)
  • Redemption Dates: January 16, 2026 to January 1, 2027 (commercial papers); March 9, 2028 and January 3, 2028 (debt securities)

Impact Assessment

This is a routine listing announcement affecting only the debt market segment. The impact is limited to trading members dealing in debt securities and investors in these specific instruments. The listing provides additional trading opportunities in high-rated commercial papers (A1+) and investment-grade debt securities (A- to A+). For clarifications, trading members can contact BSE debt department at 22728352/8597/8995/5753/8915.

Impact Justification

Routine listing announcement for privately placed debt securities; affects only debt segment trading members and specific debt instruments