Date: 25.09.2026

Board Meeting Outcomes

  • Revision of interest payment date for bond series ISIN INE062A08397 from 28.09.2026 to 27.09.2026
  • Decision made in compliance with SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, Regulation 30

Bond Payment Details

  • Bond series: ISIN INE062A08397
  • Original interest payment date communicated as 28.09.2026 via letter no. CC/S&B/SD/2026-27/64 dated 20.04.2026
  • Original date selection was due to 26.09.2026 (4th Saturday) and 27.09.2026 (Sunday) being holidays
  • Working Day Convention from Placement Memorandum Term Sheet requires payment on immediately succeeding working day if coupon date falls on non-working day
  • Revised payment date: 27.09.2026 (Sunday) now declared as working day

Compliance Information

  • Disclosure made under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015
  • Follow-up to previous letter No. CC/S&B/AND/2026-27/408 dated 07.09.2026