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NOTICES |
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Notice No. |
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20221122-20 |
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Notice Date |
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22 Nov 2022 |
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Category |
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Corporate Actions |
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Segment |
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Equity |
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Subject |
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Subdivision of equity shares of Likhitha Infrastructure Ltd (Scrip Code: 543240). |
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Content |
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Trading Members of the Exchange are hereby informed that Likhitha Infrastructure Ltd., has fixed Record Date for the purpose of Sub-Division of the Equity Shares of the Company:-
DEMATERIALISED SECURITIES – ROLLING SETTLEMENT SEGMENT
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COMPANY NAME
&
CODE
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RECORD DATE
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PURPOSE
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SUB-DIVIDED PAID-UP VALUE
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SUB-DIVIDED PAID-UP VALUE
W.E.F.
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Likhitha Infrastructure Ltd.
(543240)
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02/12/2022
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Subdivision of existing Equity Shares from One Equity Share of Rs.10/- each into Two Equity Shares of Rs.5/- each.
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Rs.5/-
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02/12/2022
DR-668/2022-2023*
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* Trading Members are requested to take note that, the Company Scrip will be shifted to T+1 Settlement w.e.f 25th November, 2022. Accordingly, the Ex-date will be shifted from 01.12.2022 (T+2) to 02.12.2022 (T+1) on 25.11.2022. Therefore, the Ex-Date as would be appliable w.e.f. 25.11.2022 for the corporate action of Stock Split of Company has been considered in this Notice.
Note:-
i. ISIN No. INE060901019 of Rs. 10/- paid up will not be valid for transactions done on the Exchange on or after 02/12/2022.
ii. The new ISIN Number for Re. 5/- paid up will be informed to the market by a separate notice.
Marian D’Souza
Senior Manager– Listing Operations
November 22, 2022
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