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Exchange Received Time  25/04/2017 15:49:47 Exchange Disseminated Time 25/04/2017 15:49:57 Time Taken 00:00:10 | In accordance with Regulation 50(1) and 60(2) of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, we wish to intimate the following details regarding payment of Interest on Debentures and Redemption of Debentures issued by us. Type of Debentures: Secured Redeemable Non-Convertible Debentures Coupon Rate : 8.70% Issue : Series : E (ISIN NO: INE331A07190 ) 1000 Debentures of Rs.10 lakhs each, aggregating to Rs.100 crores. Interest Payable Date : 23.05.2017 Principal Redemption Date : 23.05.2017 Record Date : 08.05.2017 Kindly take the same on record. |
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