Description
NSE announces listing of commercial paper securities from various companies on the debt market segment effective August 5, 2025.
Summary
NSE has admitted privately placed commercial paper securities from 7 companies to dealings on the Debt Market Segment with effect from August 5, 2025. The circular provides details of the securities including ISINs, face values, issue prices, and redemption dates.
Key Points
- 10 commercial paper securities from 7 different companies listed on debt market segment
- All securities have face value of ₹5,00,000 each
- Issue prices range from ₹4,70,333 to ₹4,96,389.5
- Redemption periods vary from 45 days to 6 months
- Effective date: August 5, 2025
Securities Listed
Axis Securities Limited
- Security: ASL CP 28/01/26 Sr 23
- ISIN: INE110O14GC6
- Quantity: 6,000 securities
- Issue Price: ₹4,84,805
- Redemption: January 28, 2026
Hindustan Zinc Limited
- Security: HZL CP 04/11/25
- ISIN: INE267A14879
- Quantity: 5,000 securities
- Issue Price: ₹4,92,703.5
- Redemption: November 4, 2025
Deutsche Investments India Private Limited
- Security: DIIPL CP 04/11/25 Sr 361
- ISIN: INE144H14HT1
- Quantity: 2,000 securities
- Issue Price: ₹4,92,026.5
- Redemption: November 4, 2025
Godrej Properties Limited
- Security 1: GPL CP 03/11/25 Sr 52 (ISIN: INE484J14YG9)
- Security 2: GPL CP 04/11/25 Sr 53 (ISIN: INE484J14YF1)
- Combined quantity: 5,500 securities
- Redemption: November 3-4, 2025
Godrej Industries Limited
- Security: GIL CP 30/10/25 Sr 64
- ISIN: INE233A143J0
- Quantity: 1,500 securities
- Issue Price: ₹4,93,041.5
- Redemption: October 30, 2025
Aditya Birla Money Limited
- Security: ABML CP 04/11/25
- ISIN: INE865C14OC4
- Quantity: 3,000 securities
- Issue Price: ₹4,92,002.5
- Redemption: November 4, 2025
ICICI Securities Limited
- Security 1: ISEC CP 04/11/25 (ISIN: INE763G14ZV8)
- Security 2: ISEC CP 27/02/26 (ISIN: INE763G14XI0)
- Combined quantity: 5,000 securities
- Redemption: November 4, 2025 and February 27, 2026
CESC Limited
- Security: CESC CP 19/09/25
- ISIN: INE486A14FP3
- Quantity: 2,000 securities
- Issue Price: ₹4,96,389.5
- Redemption: September 19, 2025
Regulatory Framework
Listing notification issued in pursuance of Regulation 3.1.1 of the National Stock Exchange Debt Market (Trading) Regulations.
Important Dates
- Effective Date: August 5, 2025
- Redemption Dates: Range from September 19, 2025 to February 27, 2026
Impact Assessment
Routine administrative notification with minimal market impact. Provides additional debt market liquidity and investment options for institutional investors in commercial paper segment.
Impact Justification
Routine listing notification of commercial paper securities with limited market impact