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Ecl Finance Ltd - Compliances-Reg. 60 (2) - Record Date - interest /dividend / redemption /repayment

| Updated on July 22, 2019

Scrip Code: 957653
ISIN: INE804I075X6

Sub: Record date for Payment of Interest and Partial Repayment of Principal on Non - Convertible Debentures issued by the Company vide Disclosure document dated February 21, 2018

Pursuant to the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015 (the Regulations), we would like to inform that the Company fixes August 2, 2019 as the Record Date for payment of interest and partial repayment of principal vide Disclosure document dated February 21, 2018.

The interest and due principal will be paid on August 21, 2019.

Particulars Amount Per NCD (Rs.)
Face Value before Redemption: 7,50,000
Face Value being Redeemed on August 21 2019: 2,50,000
Face Value post Redemption: 5,00,000

Kindly take the same on record.

Pdf Link: Ecl Finance Ltd - Compliances-Reg. 60 (2) - Record Date - interest /dividend / redemption /repayment

Source : BSE - www.bseindia.com

Published on July 22, 2019

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