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Icici Securities Primary Dealership Ltd - Compliances-Reg. 60 (2) - Record Date - interest /dividend / redemption /repayment

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

Dear Sir,

Ref.: Unsecured, Subordinated, Listed, Redeemable, Non-Convertible Debentures constituting of ` 1,000,000/- each fully paid up under Scrip Code: 956260


Sub.: Intimating record date

Pursuant to the requirement of the SEBI (Listing obligations and Disclosure Requirements) Regulations 2015, we write to inform you that the record date for the purpose of coupon payment to the holders of 500 - 8.25% p.a. Unsecured, Subordinated, Listed, Redeemable, Non-Convertible Debentures of ` 1,000,000/- each, fully paid up constituting Tier II capital of the Company is fixed for April 10, 2019. We request you to further note that the coupon is payable on April 25, 2019.

Pdf Link: Icici Securities Primary Dealership 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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