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Jm Financial Capital Ltd - Compliances-Reg. 60 (2) - Record Date - interest /dividend / redemption /repayment

| Updated on March 01, 2019 Published on March 01, 2019

We wish to inform that in terms of Supplemental Disclosure Document dated September 28, 2017, the Company has received a communication intending to exercise put option in respect of following Non-Convertible Debentures (NCDs):

Detail name on Bolt system: JMFCL-8.85%-29-9-20-PVT
Scrip Code: 957061
Scrip ID on Bolt system: 885JMFCL20
ISIN: INE901W07012

Further, pursuant to Regulation 60 and Regulation 50 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, the Record Date for ascertaining debenture holders entitled to receive redemption amount is Thursday, March 14, 2019 and the date for payment of redemption amount for the said NCDs will be Friday, March 29, 2019.

We request you to take the above on your record and acknowledge receipt.

Pdf Link: Jm Financial Capital Ltd - Compliances-Reg. 60 (2) - Record Date - interest /dividend / redemption /repayment

Source : BSE - www.bseindia.com

Published on March 01, 2019
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