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Updates

| Updated on February 02, 2018 Published on March 04, 2017

Sub.: Intimation of Record dates/Specified dates as per Clause 60 of Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015. This has reference to our letter dt. 12th February 2016 and 18th January, 2017 regarding intimation of Record dates and Payout dates in respect of Non-Convertible Debentures (NCDs) issued by the Company. Our banker has advised us to change the payout date from April 01, 2017 to March 31, 2017 in respect of the NCDs bearing following ISINs: ISIN NSE Scrip Code BSE Scrip Code INE721A07FW3 NX 934888 INE721A07HK4 YA 935134 INE721A07HL2 YB 935136 INE721A07AO1 N9 934796 INE721A07AN3 NA 934797 INE721A07AM5 NB 934798 INE721A08AA8 NK 934807 INE721A08AB6 NJ 934806 INE721A08AC4 NI 934805 INE721A07DM9 NS 934851 INE721A07FV5 NW 934887 INE721A07GS9 Y2 934916 INE721A07GT7 Y3 934917 Hence we inform you that the payout date is preponed to March 31, 2017 in respect of the said NCDs.

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Source : BSE - www.bseindia.com

Published on March 04, 2017
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