Trading Members of the Exchange are hereby informed that with effect from November 25, 2022, 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
|
ISIN
|
Market Lot
|
Symbol
|
Maturity Date
|
804683
|
IN002022X346
|
10
|
91TB230223
|
23/02/2023
|
804684
|
IN002022Y351
|
10
|
182TB250523
|
25/05/2023
|
804685
|
IN002022Z341
|
10
|
364TB231123
|
23/11/2023
|
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.
Rupal Khandelwal
Assistant General Manager
17/11/2022 |