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Jm Financial Products Ltd - Compliances-Reg. 57 (1) - Certificate of interest payment/Principal in case of NCD

| Updated on July 26, 2019 Published on July 26, 2019

In continuation to our letter dated June 3, 2019 and pursuant to Regulation 57(1) of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, we wish to inform you that JM Financial Products Limited
(the Company), has duly made the payment of interest amount, on July 26, 2019* to the debenture holder of the below mentioned Non Convertible Debentures as on the record date i.e. Thursday, July 11, 2019:

Detail name on Bolt system: JFPL-8.90%-28-7-20-PVT
Scrip Code: 956785
Scrip ID on Bolt system: 89JFPL20
ISIN: INE523H07858

*Since the date of payment of interest amount will be falling on Sunday i.e. July 28, 2019, the interest amount, is paid today i.e., July 26, 2019.

Kindly take the above on your record and acknowledge receipt.

Pdf Link: Jm Financial Products Ltd - Compliances-Reg. 57 (1) - Certificate of interest payment/Principal in case of NCD

Source : BSE - www.bseindia.com

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Published on July 26, 2019
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