Date: August 28, 2026
Board Meeting Outcomes
- The company has fixed the record date for redemption and interest payment for its listed Non-Convertible Debentures (NCDs).
Financial Results (Standalone & Consolidated)
Not Specified
Dividend Declaration or Non-Declaration
Not Specified
KMP / Board / Auditor Changes
Not Specified
Auditor’s Report
Not Specified
Disinvestment / Strategic Actions
Not Specified
Other Operational / Legal / Strategic Disclosures
NCD Redemption Details
- Security Type: 990 Listed, Rated, Secured, Redeemable, Non-Convertible Debentures
- Face Value: ₹10,00,000 each
- Record Date: September 03, 2026
- Purpose: Full redemption of NCDs along with payment of interest @ 8.62% p.a. payable annually
- Due Date for Redemption and Interest Payment: September 28, 2026