Trading Members of the Exchange are hereby informed that Nava Ltd has fixed Record Date for the purpose of Sub-Division of the Equity Shares of the Company :-
DEMATERIALISED SECURITIES – ROLLING SETTLEMENT SEGMENT
|
COMPANY NAME
&
CODE
|
RECORD DATE
|
PURPOSE
|
SUB-DIVIDED PAID-UP VALUE
|
SUB-DIVIDED PAID-UP VALUE
W.E.F.
|
NAVA LTD
(513023)
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20/01/2025
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Subdivision of existing Equity Shares from One Equity Share of Rs.2/- each into Two Equity Shares of Re.1/- each.
|
Re.1/-
|
20/01/2025
DR-802/2024-2025
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Note: -
i. ISIN No. INE725A01022 of Rs.2/- paid up will not be valid for transactions done on the Exchange on or after 20/01/2025.
ii. The new ISIN Number for Re. 1/- paid up will be informed to the market by a separate notice.
Marian Dsouza
Senior Manager– Listing Operations
January 02, 2025 |