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Green Infra Wind Energy Ltd - Compliances-Reg. 60 (2) - Record Date - interest /dividend / redemption /repayment

| Updated on March 29, 2019 Published on March 29, 2019

In reference to the captioned subject, it is hereby informed that the Board of Directors of the Company had approved the payment of Interest Payment Dates and their respective Record Dates for the purpose of payment of interest on NCDs for the Financial Year 2019-20 in respect of 10000 Non-Convertible Debentures of Rs. 10 Lakh each aggregating Rs. 1000 Crores (NCDs) bearing ISIN No. INE477K07018. The details of Interest Payment Dates and their respective Record Dates are annexed as Annexure I.

Coupon for Month Ended Coupon Payment Date(1) Record Date(2)
April-2019 30-Apr-19 23-Apr-19
May-2019 31-May-19 24-May-19
June-2019 1-Jul-19 23-Jun-19
July-2019 31-Jul-19 24-Jul-19
August-2019 2-Sep-19 24-Aug-19
September-2019 30-Sep-19 23-Sep-19
October-2019 31-Oct-19 24-Oct-19
November-2019 2-Dec-19 23-Nov-19
December-2019 31-Dec-19 24-Dec-19
January-2020 31-Jan-20 24-Jan-20
February-2020 28-Feb-20 21-Feb-20
March-2020 31-Mar-20 24-Mar-20

(1) Note: The Coupon Payment Date is subject to shift to the next Business Day if the payment date falls on the holiday

(2) Note: The Record Date would be taken at the end of the day irrespective of the same being a business day

Pdf Link: Green Infra Wind Energy Ltd - Compliances-Reg. 60 (2) - Record Date - interest /dividend / redemption /repayment

Source : BSE - www.bseindia.com

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Published on March 29, 2019
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