Date: August 4, 2026
Board Meeting Outcomes
This disclosure informs about the pricing of a new tranche of senior notes under the bank's existing Global Medium Term Note (GMTN) programme.
The Bank has completed the pricing for a USD denominated Senior Notes issuance by its Gift City Branch.
The new tranche will be consolidated and form a single series with the existing U.S.$300,000,000 5.348 per cent. Senior Notes under the U.S.$5,000,000,000 GMTN programme.
Fundraising / Financing Details
Type of instrument: Senior Notes under the Global Medium Term Note Programme in accordance with RBI Guidelines.
Series number: 30
Tranche number: 2
Currency: USD
Aggregate nominal amount:
- Series: U.S.$600,000,000
- Tranche: U.S.$300,000,000
Issue price: 99.544 per cent. of the Aggregate Nominal Amount plus accrued interest from and including 30 June 2026 to but not including 11 August 2026.
Issue date: August 11, 2026
Maturity date: June 30, 2031
Interest basis: Fixed rate
Method of distribution: Non-Syndicated
Listing: The notes will be listed on the International Exchange (IFSC) Limited (India INX) and Debt Securities Market of the NSE IFSC Limited (NSE IX).
The disclosure confirms there is no charge/security created over assets, no special rights/privileges attached, and no history of delay in payment or default (marked as NA).
Other Operational / Legal / Strategic Disclosures
This announcement is a follow-up to previous letters with reference numbers AXIS/CO/CS/493/2025-26 dated December 26, 2025 and AXIS/CO/CS/181/2026-27 dated June 23, 2026.
A comprehensive disclaimer states that the offering circular and pricing supplement for the GMTN Programme have not been and will not be registered with SEBI, the Registrar of Companies, or any other Indian regulatory body.
The notes have not been offered or sold to any person resident in India and are not registered under the U.S. Securities Act of 1933.
Sections Not Specified
KMP / Board / Auditor Changes: Not Specified
Dividend Declaration or Non-Declaration: Not Specified
Financial Results: Not Specified
Auditor’s Report: Not Specified
Disinvestment / Strategic Actions: Not Specified
Media Release / Investor Communication: Not Specified