T-Bills (133)
| Date | Circular | Tags | |||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Trading suspension notice for four T-bills and one Sovereign Gold Bond maturing on December 4, 2025, effective from December 2, 2025. | |||||||||||||
Trading suspension notice for four T-bills and one Sovereign Gold Bond maturing on December 4, 2025, effective from December 2, 2025.
| |||||||||||||
Trading suspended for three T-bills and one Sovereign Gold Bond maturing on December 4, 2025, effective December 2, 2025. | |||||||||||||
Trading suspended for three T-bills and one Sovereign Gold Bond maturing on December 4, 2025, effective December 2, 2025.
| |||||||||||||
Trading suspension notification for three T-bills and one Sovereign Gold Bond maturing on their redemption dates, effective December 02, … | |||||||||||||
Trading suspension notification for three T-bills and one Sovereign Gold Bond maturing on their redemption dates, effective December 02, 2025.
| |||||||||||||
Trading suspended for three T-bills and one Sovereign Gold Bond effective December 2, 2025 due to maturity on December 4, 2025. | |||||||||||||
Trading suspended for three T-bills and one Sovereign Gold Bond effective December 2, 2025 due to maturity on December 4, 2025.
| |||||||||||||
BSE announces non-competitive bidding facility for auction of three Treasury Bills (91-day, 182-day, and 364-day) totaling Rs. 19,000 crore … | |||||||||||||
BSE announces non-competitive bidding facility for auction of three Treasury Bills (91-day, 182-day, and 364-day) totaling Rs. 19,000 crore on December 03, 2025.
| |||||||||||||
Three new Treasury Bills with maturities ranging from 91 to 364 days will be listed on BSE effective November 28, 2025. | |||||||||||||
Three new Treasury Bills with maturities ranging from 91 to 364 days will be listed on BSE effective November 28, 2025.
| |||||||||||||
BSE announces listing of three new Treasury Bills with maturities ranging from 91 to 364 days, effective November 28, 2025. | |||||||||||||
BSE announces listing of three new Treasury Bills with maturities ranging from 91 to 364 days, effective November 28, 2025.
| |||||||||||||
Trading suspension for T-bill 91TB281125 (ISIN: IN002025X224) effective November 26, 2025 due to maturity on redemption date. | |||||||||||||
Trading suspension for T-bill 91TB281125 (ISIN: IN002025X224) effective November 26, 2025 due to maturity on redemption date.
| |||||||||||||
Trading in T-bill ISIN IN002025X224 (91TB281125) suspended from November 26, 2025 due to maturity on redemption date. | |||||||||||||
Trading in T-bill ISIN IN002025X224 (91TB281125) suspended from November 26, 2025 due to maturity on redemption date.
| |||||||||||||
BSE suspends trading in T-bill with SCRIP CODE 805109 (ISIN: IN002025X224) effective November 26, 2025, due to maturity on November 28, … | |||||||||||||
BSE suspends trading in T-bill with SCRIP CODE 805109 (ISIN: IN002025X224) effective November 26, 2025, due to maturity on November 28, 2025.
| |||||||||||||