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General Announcement

23 Jun 2026 18:22

RNS Number : 4634J
Axis Bank Limited
23 June 2026
 

THIS ANNOUNCEMENT IS NOT FOR DISTRIBUTION, DIRECTLY OR INDIRECTLY, IN OR INTO THE UNITED STATES OF AMERICA OR ANY OTHER JURISDICTION WHERE TO DO SO WOULD BE UNLAWFUL

 

AXIS/CO/CS/181/2026-27

 

June 23, 2026

 

National Stock Exchange of India Limited

Exchange Plaza,

Plot No. C/1, "G" Block

Bandra-Kurla Complex

Bandra (E), Mumbai - 400 051

 

NSE Symbol: AXISBANK

BSE Limited

P. J. Towers,

Dalal Street

Fort, Mumbai - 400 001

 

 

BSE Scrip Code: 532215

 

Dear Sir/Madam,

 

Sub.: Disclosure under Regulation 30 of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, as amended (the "Listing Regulations")

 

In furtherance to our letter bearing reference number AXIS/CO/CS/493/2025-26 dated December 26, 2025, we wish to inform you that in relation to the existing Global Medium Term Notes ("GMTN") programme of Axis Bank Limited ("the Bank"), the Bank has completed the pricing of its issuance of USD denominated (i) Additional Tier 1 notes and (ii) Senior Notes (collectively "Notes" and such issuance the "Issue").

 

The details of the Notes are detailed below:

 

(i) Additional Tier 1 Notes

 

Particulars

Details

Type of instrument

Additional Tier 1 under the Global Medium Term Note Programme in accordance with RBI Guidelines (as defined in the Offering Circular dated December 26, 2025 ("Offering Circular")

Series number

31

Tranche number

1

Currency

USD

Aggregate nominal amount

(i)Series

USD 500,000,000

(ii)Tranche

USD 500,000,000

Issue price

100 per cent. of the Aggregate Nominal Amount

Issue date

June 30, 2026

Maturity date

Not applicable

Interest basis

Fixed rate

Coupon/interest offered, schedule of payment of coupon/interest and principal

 

6.875 per cent. per annum payable semi-annually in arrear on each Interest Payment Date (as defined in the in the Offering Circular)

Use of proceeds

As set out in the Offering Circular

Listing

Global Securities Market of the India International Exchange (IFSC) Limited ("India INX") and Debt Securities Market of the NSE IFSC Limited ("NSE IX")

Method of distribution

Syndicated

Charge/security, if any, created over the assets

NA

Special right/interest/privileges attached to the instrument and changes thereof;

 

NIL

Delay in payment of interest / principal amount for a period of more than three months from the due date or default in payment of interest / principal

 

NA

Details of any letter or comments regarding payment/non-payment of interest, principal on due dates, or any other matter concerning the security and /or the assets along with its comments thereon, if an

 

NA

Details of redemption of preference shares indicating the manner of redemption (whether out of profits or out of fresh issue) and debentures

NA

 

(ii) Senior Notes

 

Particulars

Details

Type of instrument

Senior Unsecured Fixed Rate Notes under the Global Medium Term Note Programme in accordance with RBI Guidelines (as defined in the Offering Circular)

Series number

10

Tranche number

1

Currency

USD

Aggregate nominal amount

(i)Series

USD 300,000,000

(ii)Tranche

USD 300,000,000

Issue price

100 per cent. of the Aggregate Nominal Amount

Issue date

June 30, 2026

Maturity date

June 30, 2031

Interest basis

Fixed rate

Coupon/interest offered, schedule of payment of coupon/interest and principal

 

5.348 per cent. per annum payable semi-annually in arrear on each Interest Payment Date (as defined in the in the Offering Circular)

Use of proceeds

As set out in the Offering Circular

Listing

Global Securities Market of the India International Exchange (IFSC) Limited ("India INX") and Debt Securities Market of the NSE IFSC Limited ("NSE IX")

Method of distribution

Syndicated

Charge/security, if any, created over the assets

NA

Special right/interest/privileges attached to the instrument and changes thereof;

 

NIL

Delay in payment of interest / principal amount for a period of more than three months from the due date or default in payment of interest / principal

 

NA

Details of any letter or comments regarding payment/non-payment of interest, principal on due dates, or any other matter concerning the security and /or the assets along with its comments thereon, if any

 

NA

Details of redemption of preference shares indicating the manner of redemption (whether out of profits or out of fresh issue) and debentures

NA

 

Further, we would also like to inform you that the Bank has also executed, inter alia, the Subscription Agreement with the Managers appointed for the Issue.

 

This is for information of all concerned in compliance with the applicable provisions of Listing Regulations.

 

This is for your information and records.

 

 

Thanking you,

Yours faithfully,

For Axis Bank Limited

 

 

Sandeep Poddar

Company Secretary

 

CC: London Stock Exchange

Singapore Stock Exchange

 

DISCLAIMER:

The offering circular dated December 26, 2025 ("Offering Circular") and Pricing Supplement for the GMTN Programme has not been and will not be registered or filed or published as a prospectus or a statement in lieu of a prospectus with the Securities and Exchange Board of India, the relevant Registrar of Companies, or any other statutory or regulatory body of like nature in India in respect of a public offer or information memorandum, general information document, key information document or other offering material in respect of any private placement of securities under the Companies Act, 2013, as amended, and the rules thereunder or any other applicable Indian laws.

 

The Offering Circular and Pricing Supplement has not been and will not be reviewed or approved by any regulatory authority in India, including, but not limited to, the relevant Registrar of Companies, the Securities and Exchange Board of India, the Reserve Bank of India, or any recognised stock exchange in India. The Offering Circular is not and should not be construed as an advertisement, invitation, offer or sale of any securities to the public or any person resident in India.

 

The Notes have not been and will not be, offered or sold to any person resident in India.

The Notes have not been, and will not be, registered under the U.S. Securities Act of 1933, as amended (the "Securities Act"), or the securities laws of any state of the United States or any other jurisdiction and the Notes may not be offered or sold within the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act and applicable state or local securities laws.

 

http://www.rns-pdf.londonstockexchange.com/rns/4634J_1-2026-6-23.pdf

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FURFLFLDRTIVFIR
Date   Source Headline
23rd Jun 20266:22 pmRNSGeneral Announcement
19th Jun 202610:36 amRNSPrior Intimation of Board Meeting and TWC
28th Apr 202611:22 amRNSUpdate
28th Apr 202611:20 amRNSChange in SMP
28th Apr 202611:20 amRNSGeneral Update
28th Apr 202611:17 amRNSResults
28th Apr 202611:17 amRNSInvestor Presentation and Press Release
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19th Jan 20261:45 pmRNSResult of Postal Ballot
14th Jan 20269:55 amRNSGrant of Stock Options
29th Dec 20257:00 amRNSUpdate to the Global Medium Term Notes Programme
29th Dec 20257:00 amRNSUpdate to the Global Medium Term Notes Programme
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13th Feb 202512:52 pmRNSChange in SMP
13th Feb 202512:49 pmRNSRBI Penalty
3rd Feb 20257:00 amRNSChange in vesting period
31st Jan 20252:24 pmRNSChange in Management
17th Jan 20252:46 pmRNSChange in Management
16th Jan 202511:02 amRNSMiscellaneous (Financial Results Q3FY25)
7th Jan 20257:00 amRNSIntimation of Board Meeting

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