Description
NSE announces listing of commercial papers issued by financial services companies including ICICI Securities, Axis Securities, Godrej Industries, HDFC Securities, Angel One, 5Paisa Capital, and Motilal Oswal on the debt market segment.
Summary
NSE has admitted privately placed commercial papers (CPs) from seven financial services companies to dealings on its Debt Market Segment effective January 29, 2026. The securities were allotted on January 28, 2026, with redemption dates ranging from March 2026 to January 2027.
Key Points
- Total of 10 commercial paper issuances listed on NSE debt market segment
- All securities allotted on January 28, 2026
- Effective listing date: January 29, 2026
- Face value for all CPs: ₹5,00,000 per unit
- Maturity periods range from 53 days to 364 days
- Total issuance quantity: 38,600 units (approximately ₹1,930 crore)
- Issuers include leading brokerages and financial services companies
Listed Securities Details
ICICI Securities Limited
- Security: ISEC CP 30/03/26
- ISIN: INE763G14E44
- Quantity: 4,000 units
- Issue Price: ₹4,94,161
- Redemption: March 30, 2026
Axis Securities Limited
- Security: ASL CP 29/04/26 Sr 65
- ISIN: INE110O14HJ9
- Quantity: 4,000 units
- Issue Price: ₹4,90,582
- Redemption: April 29, 2026
Godrej Industries Limited
Security 1: GIL CP 25/01/27 Sr 151
ISIN: INE233A146R6
Quantity: 1,500 units
Issue Price: ₹4,64,739.5
Redemption: January 25, 2027
Security 2: GIL CP 27/01/27 Sr 152
ISIN: INE233A146S4
Quantity: 1,500 units
Issue Price: ₹4,64,558.5
Redemption: January 27, 2027
HDFC Securities Limited
Security 1: HSL CP 29/04/2026
ISIN: INE700G14RT1
Quantity: 7,500 units
Issue Price: ₹4,90,582
Redemption: April 29, 2026
Security 2: HSL CP 15/04/2026
ISIN: INE700G14RU9
Quantity: 4,000 units
Issue Price: ₹4,92,008
Redemption: April 15, 2026
Security 3: HSL CP 28/04/2026
ISIN: INE700G14RV7
Quantity: 2,000 units
Issue Price: ₹4,90,683.5
Redemption: April 28, 2026
Angel One Limited
- Security: AOL CP 28/01/27 Sr 72
- ISIN: INE732I14CX4
- Quantity: 6,000 units
- Issue Price: ₹4,60,405
- Redemption: January 28, 2027
5Paisa Capital Limited
- Security: PCL CP 23/03/26 Sr 8
- ISIN: INE618L14151
- Quantity: 100 units
- Issue Price: ₹4,93,513
- Redemption: March 23, 2026
Motilal Oswal Financial Services Limited
- Security: MOFS CP 28/01/2027
- ISIN: INE338I14LQ5
- Quantity: 8,000 units
- Issue Price: ₹4,63,134
- Redemption: January 28, 2027
Regulatory Framework
The listing is notified under Regulation 3.1.1 of the National Stock Exchange Debt Market (Trading) Regulations.
Important Dates
- Allotment Date: January 28, 2026
- Listing Date: January 29, 2026
- Redemption Dates: March 23, 2026 to January 28, 2027
Impact Assessment
This is a routine administrative notification with minimal market impact. The listing provides institutional investors access to short-term debt instruments from established financial services companies. The commercial papers offer tenors ranging from approximately 2 months to 12 months, providing liquidity options for debt market participants.
Impact Justification
Routine listing notification of commercial papers on debt market segment with no material market impact or trading restrictions