Corporate Announcement
Security Code : 532215    Company : AXISBANK    
 
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  Exchange Received Time  01/03/2017 18:54:37         Exchange Disseminated Time   01/03/2017 18:54:42              Time Taken   00:00:05
SUB: NOTICE REGARDING RECORD DATE FOR PAYMENT OF INTEREST AND REDEMPTION OF UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED TIER II DEBENTURE - SR - 15 REF: INE238A08286 - NSE CODE - BB UTIB17 / BSE CODE - 945427 With reference to above, we inform that the Record Date for payment of interest with redemption amount on Unsecured Redeemable Non-Convertible Subordinated Tier II Debenture (Sr.-15) due on 30.03.2017 for the period 30.03.2016 to 29.03.2017, will be on 17.03.2017. Accordingly, the Register of Debenture holders (Sr.-15) and the Transfer Books of the above debentures will remain closed on that date. The Debenture holders, whose names will appear on the Register of Debenture holders under Series 15 (ISIN INE238A08286) of the Bank as on 17.03.2017, will be entitled to receive the interest along with redemption amount due on 30.03.2017. You are requested to take the above on record.
 

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