Date: 19th September 2026

Dividend / Interest Payment Declaration

  • Non-Convertible Debentures (NCD) Series 050 with ISIN INE953L08337
  • Record Date: 1 October 2026 for determining eligible debenture holders
  • Interest Payment Date: 16 October 2026
  • Payment Type: Interest payment
  • Payment will be made to debenture holders whose names appear as beneficial owner at the end of record date
  • Beneficial ownership determination based on details furnished by registrar and transfer agent
  • Applies to debentures held in electronic form