Business Context and Reporting Period
Company: ICICI Bank Limited
Filing Type: Form 6-K (Report of Foreign Issuer)
Reporting Date: May 28, 2025
Subject: Update regarding the secondary listing of foreign currency bonds.
Key Financial Metrics
This filing does not contain financial performance data such as revenue, profit, cash flow, margins, debt levels, or liquidity metrics. The document is a regulatory notice regarding capital market activities.
Material Changes
The Bank has executed a secondary listing of two existing foreign currency bond tranches on the debt securities platform of the NSE International Exchange (NSE IX). These bonds were previously listed on the Singapore Exchange Securities Trading Limited and the Global Securities Market platform at India International Exchange (IFSC) Limited.
- Tranche 1: US$ 800,000,000 (ISIN: US45112EAG44 / US45112FAJ57); Issued March 18, 2016; Matures March 18, 2026.
- Tranche 2: US$ 500,000,000 (ISIN: US45112EAH27 / US45112FAM86); Issued December 14, 2017; Matures December 14, 2027.
Guidance, Outlook, and Risks
The filing contains no management commentary, financial guidance, outlook, risk factors, or discussion of contingencies. It serves solely to inform the SEC of the secondary listing action.
Investor Verification Points
- Confirm the trading status and liquidity of the specified bond tranches on the NSE International Exchange platform.
- Verify the continued listing status on the Singapore Exchange and India INX platforms.
- Review the Bank's latest Form 20-F for comprehensive financial performance and debt maturity schedules.