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NOTICES |
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Notice No. |
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20241024-36 |
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Notice Date |
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24 Oct 2024 |
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Category |
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Others |
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Segment |
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Debt |
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Subject |
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Listing of new Treasury Bills (T-Bills) |
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Content |
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Trading Members of the Exchange are hereby informed that with effect from October 25, 2024, the under-mentioned Treasury Bills (T-Bills) shall be listed and admitted to dealings on the Exchange in the list of G GROUP - DEBT INSTRUMENTS.
Scrip code
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ISIN
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Market Lot
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Symbol
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Maturity Date
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804977
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IN002024X292
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1
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91TB230125
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23/01/2025
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804978
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IN002024Y282
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1
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182TB240425
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24/04/2025
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804979
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IN002024Z289
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1
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364TB231025
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23/10/2025
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Trading members are requested to note that the above-listed securities shall not be available for Trading Two (2) working days prior to the Maturity/Redemption Date i.e., Maturity Date (T) minus two Trading Days (not being Bank Holiday/s).
In case the Trading Members require any clarification, they may please contact on-
2272 8352/5753/8597.
Hardik Bhuta
Assistant General Manager
October 24, 2024 |
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