nsdl.co.in … · xls file · web view · 2014-07-09aaa crisil dt- 18.02.14 mr. p.a.varghese...
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Company ISIN Number Name of the Instrument
INE076P07017
INE076P07025
INE796L07886
INE796L07126
INE796L07191
INE796L07142
INE796L07969
INE796L07381
INE796L07407
INE796L07621
INE796L07225
INE796L07811
INE796L07498
MAANAVEEYA DEVELOPMENT & FINANCE PRIVATE LIMITED
10% SECURED REDEEMABLE NON-CONVERTIBEL DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 12/06/2018
MAANAVEEYA DEVELOPMENT & FINANCE PRIVATE LIMITED
10% SECURED REDEEMABLE NON-CONVERTIBEL DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 30/10/2018
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
8.5892% SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-120. DATE OF MATURITY 28/08/2014
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
NIfty Index Linked Secured Non-Conertible Debenture. Letter of Alotment. Series- MQ-21. Date of Maturity 29/09/2014
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
Nifty Index Linked Secured Non-Convertible Debenture. Letter of Allotment. Series- MQ- 27. Date of Maturity 03/10/2014
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
Nifty Index Linked Secured Non-Convertible Debenture. Letter of Allotment.Series- MQ 20. Date of Maturity 07/10/2014
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-128. DATE OF MATURITY 08/10/2014
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
Nifty Index Linked Secured Non-Convertible Debenture. Series- MQ59. Date of Maturity 13/10/2014
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
Nifty Index linked Secured Non-Convertible Debenture. Series- MQ-61. Date of Maturity 17/10/2014
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-90. DATE OF MATURITY 20/10/2014
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
Nifty Index linked Secured Non-Convertible Debenture. Letter of Allotment. Series- MQ 33. Date of Maturity 26/11/2014
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-110. DATE OF MATURITY 12/01/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX Nifty Index Linked Secured Non-Convertible Debenture. Series- MQ-72. Date of Maturity 02/07/2015
INE796L07506
INE796L07845
INE796L07936
INE796L07902
INE796L07464
INE796L07910
INE796L07597
INE796L07951
INE796L07AC5
INE796L07860
INE796L07522
INE796L07548
INE796L07563
INE796L07589
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX Nifty Index Linked Secured Non-Convertible Debenture. Series- MQ-76. Date of Maturity 02/07/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-113. DATE OF MATURITY 09/03/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-127. DATE OF MATURITY 23/03/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-121. DATE OF MATURITY 22/04/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P Nifty Index Linked Secured Non-Convertible Debenture. Series- MQ-71. Date of Maturity 22/05/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-126. DATE OF MATURITY 01/06/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX & NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES MQ-87. DATE OF MATURITY 05/11/2015.
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-129. DATE OF MATURITY 22/06/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
9.2% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES MQ-137. DATE OF MATURITY 03/07/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-117. DATE OF MATURITY 08/04/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX Nifty Index Linked Secured Non-Convertible Debenture. Series- MQ-79. Date of Maturity 13/08/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX Nifty Index Linked Secured Non-Convertible Debenture. Series- MQ-80. Date of Maturity 17/08/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX Nifty Index Linked Secured Non-Convertible Debenture. Series- MQ-84. Date of Maturity: 23/09/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX & NIFTY LINKED. SECURED NON CONVERTIBLE DEBENTURES MQ-86. DATE OF MATURITY 23/10/2015.
INE796L07613
INE796L07639
INE796L07647
INE796L07605
INE796L07AA9
INE796L07688
INE796L07696
INE796L07746
INE796L07753
INE796L07761
INE796L07977
INE796L07878
INE796L07787
INE796L07803
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-93. DATE OF MATURITY 19/11/2015.
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-94. DATE OF MATURITY 24/11/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-95. DATE OF MATURITY 26/11/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES MQ-92. DATE OF MATURITY 12/11/2015.
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES MQ-135. DATE OF MATURITY 28/12/2015
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-98. DATE OF MATURITY 02/02/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-100. DATE OF MATURITY 31/03/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX BANK INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-105. DATE OF MATURITY 13/05/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-106. DATE OF MATURITY 20/05/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-107. DATE OF MATURITY 27/05/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-124. DATE OF MATURITY 27/06/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-119. DATE OF MATURITY 29/08/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-109. DATE OF MATURITY 05/10/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-112. DATE OF MATURITY 10/10/2016
INE796L07829
INE796L07928
INE796L07944
INE796L07852
INE796L07670
INE796L07662
INE796L07894
INE796L07985
INE796L07993
INE796L07AB7
MADHUCON INFRA LIMITED INE679K07019
INE348F08019
INE348F08035
INE348F08027
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-114. DATE OF MATURITY 17/10/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-123. DATE OF MATURITY 24/10/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-122. DATE OF MATURITY 24/10/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-118. DATE OF MATURITY 21/11/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-97. DATE OF MATURITY 12/02/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
S&P CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-96. DATE OF MATURITY 12/02/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-116. DATE OF MATURITY 06/12/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-133. DATE OF MATURITY 12/12/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURES SERIES MQ-134. DATE OF MATURITY 19/12/2016
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED
CNX NIFTY INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES MQ-136. DATE OF MATURITY 25/07/201712% SECURED NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 01/08/2018
MADHYA PRADESH FINANCIAL CORPORATION
9.15% Unsecured Redeemable Non Convertible Taxable Bonds.Letter of Allotment. Series - I (2009-10).Date of Maturity: 30/06/2020
MADHYA PRADESH FINANCIAL CORPORATION
10.20% Unsecured Redeemable Non Convertible Taxable Bonds.Letter of Allotment. Series - I (2011-12).Date of Maturity: 01/03/2021
MADHYA PRADESH FINANCIAL CORPORATION
8.89% Unsecured Redeemable Non Convertible Taxable Bonds.Letter of Allotment. Series - I (2010-11).Date of Maturity: 01/06/2021
INE696O08013
MAGMA FINCORP LIMITED INE511C08712
MAGMA FINCORP LTD INE511C07367
MAGMA FINCORP LTD. INE511C07391
MAGMA FINCORP LTD. INE511C07383
MAGMA FINCORP LTD. INE511C07425
MAGMA FINCORP LTD. INE511C07409
MAGMA FINCORP LTD. INE511C07417
MAGMA FINCORP LTD. INE511C07433
MAGMA FINCORP LTD. INE511C07458
MAGMA FINCORP LTD. INE511C07441
MAGMA FINCORP LTD. INE511C08902
MAGMA FINCORP LTD. INE511C08886
MAGMA FINCORP LTD. INE511C08894
MAGICRETE BUILDING SOLUTIONS PRIVATE LIMITED
ZERO COUPON UNSECURED COMPULSORY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 14.03.2023Reset rate Unsecured Non-Convertible Subordinated Perpetual Bonds in the nature of Debentures.
10.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES SS. DATE OF MATURITY 21/10/2016
10.0066% SECURED NON CONVERTIBLE DEBENTURES. SERIES VV. DATE OF MATURITY 07/04/2015
10.4073% SECURED NON CONVERTIBLE DEBENTURES. SERIES UU. DATE OF MATURITY 04/09/2015
10.2508% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES YY. DATE OF MATURITY 03/06/2016
10.4946% SECURED NON CONVERTIBLE DEBENTURES. SERIES WW. DATE OF MATURITY 26/04/2016
10.2605% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES XX. DATE OF MATURITY 17/06/2016
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES ZZ. DATE OF MATURITY 23/06/2016
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES BBB. DATE OF MATURITY 23/06/2017
10.2221% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES AAA. DATE OF MATURITY 08/11/2017
11% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN THE NATURE OF DEBENTURES. DATE OF MATURITY 28/04/202110.90% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN THE NATURE OF DEBENTURES. DATE OF MATURITY 26/09/2023RESET RATE UNSECURED NON-CONVERTIBLE SUBORDINATED PERPETUAL BONDS IN THE NATURE OF DEBENTURES.
MAGMA FINCORP LTD. INE511C07318
MAGMA FINCORP LTD. INE511C07284
MAGMA FINCORP LTD. INE511C07227
MAGMA FINCORP LTD. INE511C07235
MAGMA FINCORP LTD. INE511C07326
MAGMA FINCORP LTD. INE511C07292
MAGMA FINCORP LTD. INE511C07300
MAGMA FINCORP LTD. INE511C07334
MAGMA FINCORP LTD. INE511C08720
MAGMA FINCORP LTD. INE511C07193
MAGMA FINCORP LTD. INE511C08811
MAGMA FINCORP LTD. INE511C08837
MAGMA FINCORP LTD. INE511C08852
MAGMA FINCORP LTD. INE511C08845
10.1% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NN. DATE OF MATURITY 14/09/2014
10.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES KK. DATE OF MATURITY 17/10/2014.
11% Secured Non-Convertible Debenture. Date of Maturity 16.12.2014
11% Secured Non-Convertible Debenture. Date of Maturity 16.06.2015
10.2% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES OO. DATE OF MATURITY 06/08/2015
10.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES LL. DATE OF MATURITY 16/10/2015.
10.4% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES MM. DATE OF MATURITY 11/12/2015
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP. DATE OF MATURITY 05/04/2016
11.50% p.a. Unsecured, Non-cumulative, Redeemable, Non Convertible, Subordinated Debentures Date of Matuiry : 26/06/201611.50% Secured Non-Convertible Debenture. Series Z Date of Maturity 01/02/2017
11.5% Unsecured Redeemable Non-Convertible Subordinated Debenture. Date of Maturity 06/06/2018
11% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN THE NATURE OF DEBENTURES. DATE OF MATURITY 17/01/202011% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN THE NATURE OF DEBENTURES. DATE OF MATURITY 19/03/202011% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN THE NATURE OF DEBENTURES. DATE OF MATURITY 11/03/2020
MAGMA FINCORP LTD. INE511C08803
MAGMA FINCORP LTD. INE511C08829
INE511C07276
INE511C07094
INE511C07102
INE511C07144
INE511C07151
INE511C07359
INE511C07219
INE511C08431
INE511C08464
INE511C08514
INE511C08522
INE511C07268
11.5% Unsecured Redeemable Non-Convertible Subordinated Debenture. Date of Maturity 06/09/2022
11% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN THE NATURE OF DEBENTURES. DATE OF MATURITY 17/01/2023
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
10.75% Secured Redeemable Non-Convertible Debenture.Series JJ. Date of Maturity 07/08/2014.
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
10.45% Secured Non Convertible Debentures. Date of Maturity: 07/09/2014
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
10.60% Secured Non-Convertible Debenture. Date of Maturity 17/10/2014
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.25% Secured Non-Convertible Debenture. Date of Maturity 14/11/2014
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11% Secured Non-Convertible Debenture. Date of Maturity 25/11/2014
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
9.34% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES RR. DATE OF MATURITY 05/12/2014
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.20% Secured Non-Convertible Debenture. Date of Maturity 02/04/2015
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.50% Unsecured Non Convertible Debentures.Letter of allotment. Date of Maturity: 02/06/2015
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.50% Unsecured Non Convertible Debentures.Letter of allotment. Date of Maturity: 22/06/2015
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.50% Unsecured Non Convertible Debentures.Letter of allotment. Date of Maturity: 29/06/2015
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.50% Unsecured Non Convertible Debentures.Letter of allotment. Date of Maturity: 30/06/2015
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11% Secured Redeemable Non-Convertible Debenture.Series II. Date of Maturity 07/08/2015.
INE511C08563
INE511C08688
INE511C08696
INE511C07342
INE511C07375
INE511C07169
INE511C08738
INE511C08753
INE511C07250
INE511C08761
INE511C08779
INE511C08795
INE511C08746
INE511C08787
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.50% Unsecured Non Convertible Debentures.Letter of allotment. Date of Maturity: 07/08/2015
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.50% Unsecured Non-Convertible Debenture .Date of Maturity30/12/2015.
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.50% Unsecured Non-Convertible Debenture. Date of Maturity19/01/2016.
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
9.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES QQ. DATE OF MATURITY 20/05/2016
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
10.2537% SECURED NON CONVERTIBLE DEBENTURES. SERIES TT. DATE OF MATURITY 12/04/2016
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.50% Secured Non-Convertible Debenture. Date of Maturity 14/12/2016
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.75% p.a. Unsecured, Redeemable, Non Convertible, Subordinated debt in the nature of Debenture Letter of allotment Date of Matuiry : 05/06/2017
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.75% Unsecured Non-Convertible Debenture. Date of Maturity 14/06/2017
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
10.8% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 27/06/2017
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.75% Unsecured Non-Convertible Debenture. Date of Maturity 28/06/2017
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.75% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 07/09/2017
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
12% Unsecured Non-Convertible Debenture. Date of Maturity 27/09/2017
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.20% p.a. Unsecured, Redeemable, Non Convertible, Subordinated Debenture Date of Matuiry : 09/12/2018
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.75% Unsecured Non-Convertible Debenture. Date of Maturity 30/03/2019
INE511C08910
INE511C08860
INE511C08498
INE511C08506
INE511C08704
INE511C08878
INE153A08014
INE173L07011
INE010E07291
INE010E08034
INE343E08047 11.5% bonds SR-2003/A.LOA.
INE041G07036
INE041G07069
INE041G07093
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
11.45% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN THE NATURE OF DEBENTURES. DATE OF MATURITY 30/06/2021
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
10.70% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED BONDS IN THE NATURE OF DEBENTURES. DATE OF MATURITY 21/04/2023
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
Reset rate Unsecured Non Convertible Subordinated Perpetual Bonds in the nature of Debentures.Letter of allotment.
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
Reset rate Unsecured Non Convertible Subordinated Perpetual Bonds in the nature of Debentures.Letter of allotment.
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
Reset rate Unsecured Non-Convertible Subordinated Perpetual Bonds in the nature of Debenture.
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD)
RESET RATE UNSECURED NON-CONVERTIBLE SUBORDINATED PERPETUAL BONDS IN THE NATURE OF DEBENTURES.
MAHANAGAR TELEPHONE NIGAM LIMITED.
8.57% UNSECURED GOVERMENT OF INDIA GURANTEED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. LETTER OF
MAHARASHTRA AIRPORT DEVELOPMENT CO. LTD.
3% (YTM: 10.50%) Secured, Redeemable Non Convertible Debentures.Letter of Allotment. Final Date of Maturity: 04/06/2022
MAHARASHTRA JEEVAN PRADHIKARAN
9.50% secured redeemable non convertible bonds. Option-III. Series XI. Date of Maturity 20.07.2016
MAHARASHTRA JEEVAN PRADHIKARAN
8.00 % Unsecured Redeemable Non convertible bonds. Series XII. Option III . Date of Maturity: 20.04.2017
MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION
MAHARASHTRA PATBANDHARE VITTIYA CO. LTD.
11.50% Secured Redeemable Non-Convertible Bonds.Series -I. Instrument C. Letter of Allotment
MAHARASHTRA PATBANDHARE VITTIYA CO. LTD.
11.50% Secured Redeemable Non-Convertible Bonds.Series -II. Instrument C. Letter of Allotment
MAHARASHTRA PATBANDHARE VITTIYA COMPANY LTD
9.50% Secured Redeemable Non-Convertible Bonds.Series -III. Instrument C. Letter of Allotment
INE041G07101
INE041G07119
INE341E08165
INE341E07092
INE341E07068
INE341E07084
INE341E07118
INE341E07142
INE341E07274
INE341E07266
INE341E08017
INE341E08025
INE341E08033
INE341E08041
MAHARASHTRA PATBANDHARE VITTIYA COMPANY LTD.
8.00% Secured Redeemable non convertible bonds Series (IV) (i) Instrument A. Date of maturity: 28.04.2020
MAHARASHTRA PATBANDHARE VITTIYA COMPANY LTD.
8.25 % Secured Redeemable non convertible bonds - Series (IV)(i). Instrument B. Date of Maturity: 28.04.2022
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
11.50% Secured (Guaranteed & Rated)Bonds. Series XVII Option III. Letter of Allotment
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Non-Convertible Debentures Series V, Type A, Date OF maturity: 01/07/2015
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Non-Convertible Debentures Series III, Type A, Date OF maturity: 02/05/2015
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Non-Convertible Debentures Series IV, Type A, Date OF maturity: 03/05/2015
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Non-Convertible Debentures Series VI, Type A, Date OF maturity:22/09/2015
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Non-Convertible Debentures Series VII, Type A, Date OF maturity:24/10/2015
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Non-Convertible Debentures Series XI, Date OF maturity:24/07/2016
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Non-Convertible Debentures Series XI, Date OF maturity:27/07/2016
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Bonds. Series XII. Date of Maturity:14/08/2016. LOA
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Bonds. Series XII. Date of Maturity:31/08/2016. LOA
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Bonds. Series XII. Date of Maturity:10/09/2016. LOA
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Bonds. Series XIII. Date of Maturity:19/10/2016. LOA
INE341E08058
INE341E08066
INE341E08090
INE341E08132
INE341E08173
INE341E08207
INE341E07282
INE341E07308
INE341E07290
INE341E11037
INE341E11011
INE341E07365
INE341E11029
INE341E07324
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.50% Secured Bonds. Series XIII. Date of Maturity:23/10/2016. LOA
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.00% Secured Bonds. Series XV. Date of Maturity:13/02/2017. LOA
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
13.00% Secured(Un-Guaranteed & Un-Rated) Bonds. Series XV. Date of Maturity:20/03/2017. Letter of Allotment
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
11.72% Secured Bonds. Series XVI Option IV. Date of Maturity:31/08/2017. Letter of Allotment
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
11.72% Secured (Guaranteed & Rated)Bonds. Series XVII Option IV. Letter of Allotment
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
11.72% Secured (Guaranteed & Rated)Bonds. Series XVIII Option I-B. Letter of Allotment
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
Zero Coupon Secured Non-Convertible Bonds Series XIX. Letter Of Allotment.
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
10% Secured Redeemable Non-Convertible Bonds. Series XXI. Letter Of Allotment.
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
10% Secured Redeemable Non-Convertible Bonds. Series XX. Letter Of Allotment.
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
Low Coupon Deep Discount Bonds.Series XXIV (YTM 10.25%). Letter of allotment. Date of maturity: 03.03.2020.
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
Secured Regular return appreciation non convertible redeemable taxable bonds (Deep Discount Appreciation Bonds) series XXIII , Option II. Letter of
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
Yield to Maturity 8.75 % Secured Regular return appreciation non convertible redeemable taxable bonds Series XXIII. Option II. Letter of allotment. Date of
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION
8.75% (YTM) Secured Regular Retrun Appreciation Non convertible Redeemable Taxable Bonds (Deep Discount Appreciation Bonds) . Series XXIII.
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION LIMITED
Zero Coupon Secured Non-Convertible Bonds Series XXII Option I. Letter Of Allotment.
INE872F07069
INE692O07014
MAHINDRA & MAHINDRA LIMITED INE101A07221
MAHINDRA & MAHINDRA LIMITED INE101A08070
INE774D07GA0
INE774D07GC6
INE774D07JM9
INE774D07ID0
INE774D07IG3
INE774D07GH5
INE774D07GJ1
INE774D07GG7
INE774D07GI3
INE774D07IM1
MAHARASHTRA WATER CONSERVATION CORPORATION
11.50% Secured Redeemable Non-Convertible Bonds Series-III. Letter of Allotment
MAHAVIR (THALTEJ) COMPLEX PRIVATE LIMITED
15% SECURED NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 15/02/2016
11.95% Secured Redeemable Non-Convertible Debentures. Letter of Allotment.Date of maturity: 12/12/2015
9.55% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 04/07/2063
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.20% Secured Non-Convertible Debenture. Letter of Allotment. Series- AE2011. Date of Maturity 08/07/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.90% Secured Non-Convertible Debenture. Letter of Allotment. Series- AG2011. Date of Maturity 25/07/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.0370% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AS2013. DATE OF MATURITY 04/08/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES - AK2012. LETTER OF ALLOTMENT. DATE OF MATURITY 08/08/2014.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.8980465% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES AN2012.LETTER OF ALLOTMENT. DATE OF MATURITY 14/08/2014.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.10% Secured Non-Convertible Debenture. Letter of Allotment. Series- AL2011. Date of Maturity 22/08/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.10% Secured Non-Convertible Debenture. Letter of Allotment. Series- AK2011. Date of Maturity 09/09/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.10% Secured Non-Convertible Debenture. Letter of Allotment. Series- AM2011. Date of Maturity 11/09/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.10% Secured Non-Convertible Debenture. Letter of Allotment. Series- AN2011. Date of Maturity 19/09/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.55% SECURED REDEEMEABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AT2012. DATE OF MATURITY 13/10/2014
INE774D07IN9
INE774D07IO7
INE774D07GS2
INE774D07IR0
INE774D07EY5
INE774D07HF7
INE774D07HD2
INE774D07HM3
INE774D07HP6
INE774D07II9
INE774D07IC2
INE774D07IZ3
INE774D07IB4
INE774D07IJ7
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.55% SECURED REDEEMEABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AS2012. DATE OF MATURITY 16/10/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.6% SECURED REDEEMEABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AV2012. DATE OF MATURITY 16/10/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.20% Secured Non-Convertible Debenture.Letter of Allotment. Series- AW2011. Date of Maturity 23/10/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.48% SECURED REDEEMEABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AY2012. DATE OF MATURITY 23/10/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
13.00% Secured Redeemable Non Convertible debenture Letter of Allotment Series YP2008 Final Date of Redemption: 27/10/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series- BJ2011. Date of Maturity 14/11/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series- BH2011. Date of Maturity 25/11/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series- BQ2011. Date of Maturity 25/11/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.20% Secured Non-Convertible Debenture. Letter of Allotment. Series- BT2011. Date of Maturity 15/12/2014
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.85% SECURED REDEEMEABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AP 2012. DATE OF MATURITY 03/03/2015.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES - AJ2012. LETTER OF ALLOTMENT. DATE OF MATURITY 03/07/2015.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AF 2013. DATE OF MATURITY 04/02/2015.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series- AI2012. Date of Maturity 04/05/2015
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.85% SECURED REDEEMEABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AQ2012. DATE OF MATURITY 04/09/2015
INE774D07IA6
INE774D07JH9
INE774D07JJ5
INE774D07JL1
INE774D07JV0
INE774D07HX0
INE774D07IE8
INE774D07JI7
INE774D07IH1
INE774D07IP4
INE774D07IL3
INE774D07IT6
INE774D07IW0
INE774D07JY4
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series- AH2012. Date of Maturity 16/04/2015
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AN2013. DATE OF MATURITY 22/04/2015
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AQ2013. DATE OF MATURITY 24/04/2015
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AP2013. DATE OF MATURITY 24/04/2015
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.7455% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AD2014. DATE OF MATURITY 29/04/2015
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.75% Secured Non-Convertible Debenture. Letter of Allotment. Series- AE2012. Date of Maturity 06/03/2015
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES AL2012. LETTER OF ALLOTMENT. DATE OF MATURITY 07/01/2015.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AR2013. DATE OF MATURITY 07/05/2015
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.90% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES AO2012.LETTER OF ALLOTMENT. DATE OF MATURITY 17/08/2015.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.5% SECURED REDEEMEABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AW2012. DATE OF MATURITY 19/10/2015
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.5% SECURED REDEEMEABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AU2012. DATE OF MATURITY 12/10/2015
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.LETTER OF ALLOTMENT. SERIES BA 2012. DATE OF MATURITY 28/12/2015.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.LETTER OF ALLOTMENT. SERIES AB 2013. DATE OF MATURITY 15/01/2016.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AG2014. DATE OF MATURITY 29/01/2016
INE774D07JQ0
INE774D07JO5
INE774D07JD8
INE774D07JR8
INE774D07JW8
INE774D07JX6
INE774D07HW2
INE774D08FW4
INE774D08GA8
INE774D08GB6
INE774D08GR2
INE774D07IU4
INE774D07IY6
INE774D07JB2
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AV2013. DATE OF MATURITY 04/10/2016
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
KOTAK MAHINDRA BANK BASE RATE (PRESENTLY 9.75%) + SPREAD (-0.65%) PRESENTLY 9.1% (BASE RATE FLOOR 8.20% BASE RATE CAP 10.00% )
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AJ2013. DATE OF MATURITY 10/05/2016
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AX2013. DATE OF MATURITY 18/10/2016
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.90% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AE2014. DATE OF MATURITY 20/01/2017
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AF2014. DATE OF MATURITY 24/01/2017
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.95% Secured Non-Convertible Debenture. Letter of Allotment. Series - AD2012. Date of Maturity 02/03/2017
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
12.00% Unsecured Non Convertible Debentures. Series III. Letter of allotment. Date of Maturity: 17/04/2017
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
12.00% Unsecured Non Convertible Debentures. Series HHH. Letter of allotment. Date of Maturity: 11/05/2017
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
11.00% Unsecured Non Convertible Debentures. Series JJJ. Letter of allotment. Date of Maturity: 13/06/2017
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.50% Unsecured Non Convertible Debentures. Series KKK. Letter of allotment. Date of Maturity: 26/07/2017
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.LETTER OF ALLOTMENT. SERIES AA 2013. DATE OF MATURITY 20/12/2017.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.4% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AE 2013. DATE OF MATURITY 15/01/2018
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AH 2013. DATE OF MATURITY 27/02/2018
INE774D07JG1
INE774D07JK3
INE774D07JA4
INE774D07JP2
INE774D07IV2
INE774D08JC8
INE774D07JS6
INE774D07JT4
INE774D07JU2
INE774D08LB6
INE774D08JR6
INE774D08JS4
INE774D08LE0
INE774D08LG5
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AM2013. DATE OF MATURITY 20/04/2018
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AO2013. DATE OF MATURITY 25/04/2018
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AG 2013. DATE OF MATURITY 07/02/2018
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AW2013. DATE OF MATURITY 08/10/2018
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.3395489% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.LETTER OF ALLOTMENT. SERIES AC 2013. DATE OF MATURITY 10/04/2018.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
11.75% Unsecured Redeemable Non Convertible debenture Letter of Allotment Series PPP Date of Maturity: 17/10/2018
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AA2014. DATE OF MATURITY 15/01/2019
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AB2014. DATE OF MATURITY 16/01/2019
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.90% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES AC2014. DATE OF MATURITY 17/01/2019
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.02% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES YYY. LETTER OF ALLOTMENT. DATE OF MATURITY 21/10/2019.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.85% Unsecured Non-convertible Debenture Letter of Allotment Series QQQ Date of Maturity : 11/11/2019
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.85% Unsecured Non-convertible Debenture Letter of Allotment Series RRR Date of Maturity : 20/11/2019
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.70% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES AAA2013. LETTER OF ALLOTMENT. DATE OF MATURITY 23/04/2020
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES CCC2013. LETTER OF ALLOTMENT. DATE OF MATURITY 25/05/2020
INE774D08KV6
INE774D08KW4
INE774D08KX2
INE774D08KY0
INE774D08KZ7
INE774D08LA8
INE774D08LC4
INE774D08LD2
INE774D08LF7
INE611O07022
INE611O07014
INE611O07030
INE813A07049
INE813A07056
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.80% Unsecured Non-convertible Debenture Letter of Allotment. Series - SSS. Date of Maturity : 25/01/2021.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.05% Unsecured Non-convertible Debenture Letter of Allotment. Series - TTT. Date of Maturity : 07/12/2021.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.50% Unsecured Non-Convertible Debenture. Letter of Allotment.Series- UUU. Date of Maturity 13/12/2021
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.15% Unsecured Non-Convertible Debenture. Letter of Allotment.Series- VVV. Date of Maturity 20/06/2022
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.15% Unsecured Non-Convertible Debenture. Letter of Allotment.Series- WWW. Date of Maturity 27/06/2022
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
10.02% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES XXX. LETTER OF ALLOTMENT. DATE OF MATURITY 19/10/2022.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.8% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES ZZZ. LETTER OF ALLOTMENT. DATE OF MATURITY 17/01/2023.
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.70% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES BBB2013. LETTER OF ALLOTMENT. DATE OF MATURITY 24/04/2023
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED
9.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES DDD2013. LETTER OF ALLOTMENT. DATE OF MATURITY 24/05/2023
MAHINDRA BEBANCO DEVELOPERS LIMITED
11.60% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 11/06/2014
MAHINDRA BEBANCO DEVELOPERS LIMITED
11.60% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 11/09/2014
MAHINDRA BEBANCO DEVELOPERS LIMITED
11.60% SECURED REDEEMABLE NON-CONVERTIBEL DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 11/03/2015
MAHINDRA LIFESPACE DEVELOPERS LTD
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES I. LETTER OF ALLOTMENT. DATE OF MATURITY 04/04/2016
MAHINDRA LIFESPACE DEVELOPERS LTD
8% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES II. LETTER OF ALLOTMENT. DATE OF MATURITY 04/04/2017
INE813A07031
INE244N07032
INE244N07024
INE244N07016
INE674N07030
INE674N07014
INE674N07022
MANAPPURAM FINANCE LIMITED INE522D07560
MANAPPURAM FINANCE LIMITED INE522D07677
MANAPPURAM FINANCE LIMITED INE522D07685
MANAPPURAM FINANCE LIMITED INE522D07578
MANAPPURAM FINANCE LIMITED INE522D07586
MANAPPURAM FINANCE LIMITED INE522D07594
MANAPPURAM FINANCE LIMITED INE522D07719
MAHINDRA LIFESPACE DEVELOPERS LTD
8% SECURED REDEEMEABLE NON-CONVERTIBLE DEBENTURES.SERIES III. LETTER OF ALLOTMENT.DATE OF MATURITY 04/04/2018
MAHINDRA VEHICLE MANUFACTURERS LIMITED
8% + (redemption on premium of 2.20%) Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/03/2015
MAHINDRA VEHICLE MANUFACTURERS LIMITED
8% + (redemption on premium of 2.20%) Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/03/2016
MAHINDRA VEHICLE MANUFACTURERS LIMITED
8% + (redemption on premium of 2.20%) Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/03/2017
MAHINDRA WORLD CITY (JAIPUR) LIMITED
10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 13/07/2015.
MAHINDRA WORLD CITY (JAIPUR) LIMITED
10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 13/07/2016.
MAHINDRA WORLD CITY (JAIPUR) LIMITED
10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 13/07/2017.
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY 04/03/2015
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 04/05/2015
SECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES I. DATE OF MATURITY 10/05/201511.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES II. DATE OF MATURITY 28/01/2016
12% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES III. DATE OF MATURITY 28/01/2016
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES IV. DATE OF MATURITY 28/01/2016
SECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES IV. DATE OF MATURITY 05/04/2016
MANAPPURAM FINANCE LIMITED INE522D07693
MANAPPURAM FINANCE LIMITED INE522D07701
MANAPPURAM FINANCE LIMITED INE522D07602
MANAPPURAM FINANCE LIMITED INE522D07610
MANAPPURAM FINANCE LIMITED INE522D07628
MANAPPURAM FINANCE LIMITED INE522D07743
MANAPPURAM FINANCE LIMITED INE522D07727
MANAPPURAM FINANCE LIMITED INE522D07735
MANAPPURAM FINANCE LIMITED INE522D07438
MANAPPURAM FINANCE LIMITED INE522D07479
MANAPPURAM FINANCE LIMITED INE522D07636
MANAPPURAM FINANCE LIMITED INE522D07644
MANAPPURAM FINANCE LIMITED INE522D07651
MANAPPURAM FINANCE LIMITED INE522D07776
11.50% SECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES II. DATE OF MATURITY 05/04/201612% SECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES III. DATE OF MATURITY 05/04/201612.25% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES V. DATE OF MATURITY 28/01/2017
12.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES VI. DATE OF MATURITY 28/01/2017
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES VII. DATE OF MATURITY 28/01/2017
SECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES VII. DATE OF MATURITY 05/04/201712.25% SECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES V. DATE OF MATURITY 05/04/201712.50% SECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES VI. DATE OF MATURITY 05/04/201712.55% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 31/12/2017
12.55% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 01/02/2018
11.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES VIII. DATE OF MATURITY 28/01/2019
12% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES IX. DATE OF MATURITY 28/01/2019
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES X. DATE OF MATURITY 28/01/2019
SECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES X. DATE OF MATURITY 05/04/2019
MANAPPURAM FINANCE LIMITED INE522D07750
MANAPPURAM FINANCE LIMITED INE522D07768
MANAPPURAM FINANCE LIMITED INE522D07669
MANAPPURAM FINANCE LIMITED INE522D07784
INE522D07164
INE522D07198
INE522D07271
INE522D07172
INE522D07206
INE522D07289
INE522D07081
INE522D07123
INE522D07099
INE522D07131
11.50% SECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES VIII. DATE OF MATURITY 05/04/201912% SECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES IX. DATE OF MATURITY 05/04/2019SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES XI. DATE OF MATURITY 28/11/2019
SECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES XI. DATE OF MATURITY 05/02/2020
MANAPPURAM GENERAL FINANCE & LEASING LIMITED
12.25% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs, Series- B VIII. Date of Maturity 27/05/2015
MANAPPURAM GENERAL FINANCE & LEASING LIMITED
12.50% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs, Series- B XI. Date of Maturity 27/05/2015
MANAPPURAM GENERAL FINANCE & LEASING LIMITED
12.50% Secured Non-Convertible Debenture inthe form of STRPPs Series B-XIV Letter of Allotment.Date of Maturity 17/06/2015
MANAPPURAM GENERAL FINANCE & LEASING LIMITED
12.25% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs, Series- B IX. Date of Maturity 27/05/2016
MANAPPURAM GENERAL FINANCE & LEASING LIMITED
12.50% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs, Series- B XII. Date of Maturity 27/05/2016
MANAPPURAM GENERAL FINANCE & LEASING LIMITED
12.50% Secured Non-Convertible Debenture inthe form of STRPPs Series B-XV Letter of Allotment.Date of Maturity 17/06/2016
MANAPPURAM GENERAL FINANCE AND LEASING LIMITE
12.25% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs- Series- B -II. Date of Maturity 28/03/2015
MANAPPURAM GENERAL FINANCE AND LEASING LIMITE
12.25% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs Series- B-V. Date of Maturity 31/03/2015
MANAPPURAM GENERAL FINANCE AND LEASING LIMITE
12.25% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs- Series- B- III. Date of Maturity 28/03/2016
MANAPPURAM GENERAL FINANCE AND LEASING LIMITE
12.25% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs Series- B-VI. Date of Maturity 31/03/2016
INE689L07016
INE689L07024
INE689L07032
INE689L07040
MANDHANA INDUSTRIES LIMITED INE087J07041
MANDHANA INDUSTRIES LIMITED INE087J07017
MANDHANA INDUSTRIES LIMITED INE087J07025
MANDHANA INDUSTRIES LIMITED INE087J07033
INE893P08013
INE058O07026
INE290L07070
INE290L07088
INE290L07096
INE302O07010
MANDAVA HOLDINGS PRIVATE LIMITED
5.64% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 24/11/2014
MANDAVA HOLDINGS PRIVATE LIMITED
10.6% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 21/01/2015
MANDAVA HOLDINGS PRIVATE LIMITED
10.6% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 26/03/2015
MANDAVA HOLDINGS PRIVATE LIMITED
12% SECURED NON CUMULATIVE TAXABLE NON CONVERTIBLE DEBENTURES IN THE NATURE OF BONDS. LETTER OF ALLOTMENT. DATE OF MATURITY 28/02/2019 12.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCE II. LETTER OF ALLOTMENT. DATE OF MATURITY 03/10/201812.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCE I. LETTER OF ALLOTMENT. DATE OF MATURITY 15/03/201812.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCE II. LETTER OF ALLOTMENT. DATE OF MATURITY 28/03/201812.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCE III. LETTER OF ALLOTMENT. DATE OF MATURITY 28/03/2018
MANGALORE ENERGIES PRIVATE LIMITED
18% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF CONVERSION 15/11/2033
MANTRI GARDENVIEW HOMES PRIVATE LIMITED
18% SECURED NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 29/01/2015
MAPEX INFRASTRUCTURE PRIVATE LIMITED
8.80% Secured Redeemable Non Convertible Debenture.Date of Maturity: 17/07/2014
MAPEX INFRASTRUCTURE PRIVATE LIMITED
8.80% Secured Redeemable Non Convertible Debenture.Date of Maturity: 17/01/2015
MAPEX INFRASTRUCTURE PRIVATE LIMITED
8.80% Secured Redeemable Non Convertible Debenture.Date of Maturity: 17/07/2015
MARATHON REALTY PRIVATE LIMITED
17.5% SECURED NON CONVERTIBLE DEBENTURES. FINAL DATE OF MATURITY: 20/05/2015
INE302O07036
MARICO LIMITED INE196A08021
INE922N08031
INE589O07020
INE273O07013
INE167N07019
INE355P07015
INE348L08017
INE151P07018
INE109J08017
INE804L08019
INE048M08011
INE760I08019
INE760I08027
MARATHON REALTY PRIVATE LIMITED
17.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 25/09/2015
ZERO COUPON UNSECURED NON-CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT. DATE OF MATURITY 22/02/2016
MARIS POWER SUPPLY COMPANY PRIVATE LIMITED
2% UNSECURED FULLY CONVERTIBLE DEBENTURES. DATE OF MATURITY 18/04/2028
MARVEL DWELLINGS PRIVATE LIMITED
24% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF MATURITY 04/04/2017
MARVEL OMEGA BUILDERS PRIVATE LIMITED
18% Secured redeemable Non Convertible Debentures.Date of Maturity: 14/12/2015
MARVEL PROMOTERS & DEVELOPERS (PUNE) PRIVATE LIMITED
24% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF MATURITY 04/04/2017
MARVEL ULTRA REALTORS AND DEVELOPERS (PUNE) PRIVATE LIMITED
24% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF MATURITY 04/04/2017
MAS FINANCIAL SERVICES LIMITED
RESET RATE UNSECURED COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 27/07/2031.
MASTERWAY CONSULTANTS LIMITED
ZERO COUPON SECURED NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 20/06/2016
MAX FLEX & IMAGING SYSTEMS LIMITED
UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF CONVERSION 14/08/2015
MEDPLUS HEALTH SERVICES PRIVATE LIMITED
0.01% UNSECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 30/07/2019
MEENAKSHI ENERGY PRIVATE LIMITED
ZERO COUPON UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 15/12/2023
MEGHALAYA STATE ELECTRICITY BOARD
9.90% Unsecured Redeemable Non Convertible Bonds .Series : 1/2007, Option I. Letter of Allotment. Date of Maturity : 17/10/2017.
MEGHALAYA STATE ELECTRICITY BOARD
9.95% Unsecured Redeemable Non Convertible Bonds .Series : 1/2007, Option II. Letter of Allotment. Date of Maturity : 17/10/2017.
INE760I08035
MEGHMANI ORGANICS LIMITED INE974H07010
MEGHMANI ORGANICS LIMITED INE974H07028
INE627P07025
INE627P07017
MERCATOR LINES LIMITED INE934B07231
MERCATOR LINES LIMITED INE934B07264
MERCATOR LINES LIMITED INE934B07272
MERCATOR LINES LIMITED INE934B07207
INE575M07015
INE575M07023
MIDLAND MICROFIN LIMITED INE884Q07012
MIDLAND MICROFIN LIMITED INE884Q07046
MIDLAND MICROFIN LIMITED INE884Q07020
MEGHALAYA STATE ELECTRICITY BOARD
11.40% Unsecured Redeemable Non Convertible Bonds .Series : 1/2008 Letter of Allotment. Date of Maturity : 18/11/2018.
10.40% Secured Non-Convertible Debenture. Letter of Allotment. Series- I. Date of Maturity 12/10/2014
10.40% Secured Non-Convertible Debenture. Letter of Allotment. Series- II. Date of Maturity 12/10/2015
MEHTA & MEHTA REAL ESTATE PRIVATE LIMITED
12% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 28/09/2015
MEHTA & MEHTA REAL ESTATE PRIVATE LIMITED
11% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 30/09/2015
9.50 % Secured Redeemable non convertible debentures . Series X - C. Letter of allotment. Date of Maturity : 09/10/2014
9.50 % Secured Redeemable non convertible debentures . Series X - Part C1. Letter of allotment. Date of Maturity : 09/10/2014
9.50 % Secured Redeemable non convertible debentures . Series XI. Letter of allotment. Date of Maturity : 17/11/2014
11.90 % Secured Redeemable non convertible debentures . Series IX - A. Letter of allotment. Final Date of Redemption: 04/11/2018
METROPOLITAN INFRAHOUSING PRIVATE LIMITED
13.65% Secured Non Convertible Debentures.Letter of Allotment.Date of Maturity: 12/11/2014
METROPOLITAN INFRAHOUSING PRIVATE LIMITED
13.65% Secured Non Convertible Debentures.Letter of Allotment.Date of Maturity: 30/03/2015
11% SECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. OPTION 1. DATE OF MATURITY 04/07/201811% SECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. OPTION 2. DATE OF MATURITY 04/07/201811.5% SECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. OPTION 3. DATE OF MATURITY 04/10/2020
MIDLAND MICROFIN LIMITED INE884Q07053
MIDLAND MICROFIN LIMITED INE884Q07038
MIDLAND MICROFIN LIMITED INE884Q07061
INE875L07060
INE875L07029
INE875L07052
INE263K08010
INE262K08012
INE826O08016
INE820O08019
INE849O07010
INE228P07014
MODERN DAIRIES LIMITED INE617B08016
INE743C07119
11.50% SECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. OPTION 4. DATE OF MATURITY 12% SECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. OPTION 5. DATE OF MATURITY 04/01/202412% SECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. OPTION 6. DATE OF MATURITY 04/01/2024
MIGHTY CONSTRUCTIONS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV. LETTER OF ALLOTMENT. DATE OF MATURITY 31/08/2015
MIGHTY CONSTRUCTIONS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1. LETTER OF ALLOTMENT. DATE OF MATURITY 30/09/2015
MIGHTY CONSTRUCTIONS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2. LETTER OF ALLOTMENT. DATE OF MATURITY 30/09/2015
MILLENNIA INFRASTRUCTURE PRIVATE LIMITED
10.00% (Compounded annually) Unsecured Fully Convertible Debenture.Date of Conversion : 22/02/2028
MILLENNIA PROPERTIES PRIVATE LIMITED
10.00% (Compounded annually) Unsecured Fully Convertible Debenture.Date of Conversion : 22/02/2028
MINDBLOWING PROPERTIES PRIVATE LIMITED
7% UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF MATURITY 12/11/2022
MINDBLOWING REAL ESTATES PRIVATE LIMITED
7% UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF MATURITY 10/11/2022
MISSION HOLDINGS PRIVATE LIMITED
SECURED OPTIONALLY CONVERTIBLE DEBENTURES (MULTI OPTION EXCHANGEABLE). DATE OF CONVERSION 14/04/2025
MOD AGE INVESTMENT PRIVATE LIMITED
10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT.DATE OF MATURITY 30/10/2018
0.001% UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 01/10/2018
MONNET ISPAT AND ENERGY LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY: 31/03/2019
INE743C07069
INE743C07077
INE743C07051
INE743C07085
INE743C07093
INE743C07101
INE743C07010
INE743C07028
INE743C07036
INE743C07044
INE175K07521
INE175K07380
INE175K07547
INE175K07497
MONNET ISPAT AND ENERGY LIMITED
11.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES I. LETTER OF ALLOTMENT.DATE OF MATURITY : 20/02/2018
MONNET ISPAT AND ENERGY LIMITED
11.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II. LETTER OF ALLOTMENT. DATE OF MATURITY: 28/03/2018
MONNET ISPAT AND ENERGY LIMITED
11.00% Secured Redeemable Non Convertible Debenture.Letter of allotment.Date of Maturity : 18/01/2023
MONNET ISPAT AND ENERGY LIMITED
11.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY: 28/03/2023
MONNET ISPAT AND ENERGY LIMITED (FORMERLY KNOWN AS MONNET ISPAT LTD.)
11.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III. LETTER OF ALLOTMENT. DATE OF MATURITY: 30/05/2018
MONNET ISPAT AND ENERGY LIMITED (FORMERLY KNOWN AS MONNET ISPAT LTD.)
11.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV. LETTER OF ALLOTMENT. DATE OF MATURITY: 28/06/2018
MONNET ISPAT AND ENERGY LIMITED (FORMERLY KNOWN AS MONNET ISPAT LTD.)
12.50% Secured Redeemable Non Convertible Debenture.Letter of allotment.Date of Maturity : 04/11/2018
MONNET ISPAT AND ENERGY LIMITED (FORMERLY KNOWN AS MONNET ISPAT LTD.)
Reset rate Secured Redeemable Non Convertible Debenture.Letter of allotment.Date of Maturity : 24/12/2019
MONNET ISPAT AND ENERGY LIMITED (FORMERLY KNOWN AS MONNET ISPAT LTD.)
10.50% Secured Redeemable Non Convertible Debenture.Letter of allotment.Date of Maturity : 30/01/2020
MONNET ISPAT AND ENERGY LIMITED (FORMERLY KNOWN AS MONNET ISPAT LTD.)
Reset rate Secured Redeemable Non Convertible Debenture.Letter of allotment.Date of Maturity : 30/01/2020
MORGAN STANLEY INDIA CAPITAL PRIVATE LIMITED
S&P CNX Nifty Index Secured Non-Convertible Debenture. Letter of Allotment. Series- 54. Date of Maturity 21/07/2014
MORGAN STANLEY INDIA CAPITAL PRIVATE LIMITED
Nifty index Linked Secured Non-Convertible Debenture. Letter of Allotment. Series- 41. Date of Maturity 06/09/2014
MORGAN STANLEY INDIA CAPITAL PRIVATE LIMITED
S&P CNX Nifty Index Secured Redeemable Non-Convertible Debentures. Letter of Allotment. Series- 56. Date of Maturity 17/10/2014
MORGAN STANLEY INDIA CAPITAL PRIVATE LIMITED
NIfty Index linked Secured Non-Convertible Debenture. Letter of Allotment. Series- 51. Date of Maturity 27/11/2014
INE175K07539
MRF LIMITED INE883A07133
MRF LIMITED INE883A07141
MRF LIMITED INE883A07158
MRF LIMITED INE883A07166
MRF LIMITED INE883A07174
MTNL INE153A08022
MTNL INE153A08030
MURUGAPPA HOLDINGS LIMITED INE187C08026
MUTHOOT FINANCE LIMITED INE414G07076
MUTHOOT FINANCE LIMITED INE414G07084
MUTHOOT FINANCE LIMITED INE414G07316
MUTHOOT FINANCE LIMITED INE414G07217
MUTHOOT FINANCE LIMITED INE414G07126
MORGAN STANLEY INDIA CAPITAL PRIVATE LIMITED
S&P CNX Nifty Index Secured Redeemable Non-Convertible Debentures. Letter of Allotment. Series- 55. Date of Maturity 31/08/20159.07% Secured Non-Convertible Debenture. Letter of Allotment. Option- II . Date of Maturity 18/01/2015
9.07% Secured Non-Convertible Debenture. Letter of Allotment. Option- III . Date of Maturity 18/01/2016
10.09% Secured Non-Convertible Debenture. Letter of Allotment. Series- I. Date of Maturity 27/05/2019
10.09% Secured Non-Convertible Debenture. Letter of Allotment. Series- II. Date of Maturity 27/05/2020
10.09% Secured Non-Convertible Debenture. Letter of Allotment. Series- III. Date of Maturity 27/05/2021
9.38% UNSECURED GOVERMENT OF INDIA GURANTEED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES 2A. LETTER 9.39% UNSECURED GOVERMENT OF INDIA GURANTEED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES 3A/2014. 10.05% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 17/10/201412.00% Secured Non-Convertible Debenture.Date of Maturity 13/09/2014
12.25% Secured Non-Convertible Debenture.Date of Maturity 13/09/2014
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION VII. DATE OF MATURITY 30/10/2014
11.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION II. DATE OF MATURITY 01/11/2015
13.25% Secured Non-Convertible Debenture.Date of Maturity 18/01/2015
MUTHOOT FINANCE LIMITED INE414G07514
MUTHOOT FINANCE LIMITED INE414G07357
MUTHOOT FINANCE LIMITED INE414G07381
MUTHOOT FINANCE LIMITED INE414G07423
MUTHOOT FINANCE LIMITED INE414G07175
MUTHOOT FINANCE LIMITED INE414G07613
MUTHOOT FINANCE LIMITED INE414G07415
MUTHOOT FINANCE LIMITED INE414G07258
MUTHOOT FINANCE LIMITED INE414G07282
MUTHOOT FINANCE LIMITED INE414G07324
MUTHOOT FINANCE LIMITED INE414G07712
MUTHOOT FINANCE LIMITED INE414G07456
MUTHOOT FINANCE LIMITED INE414G07480
MUTHOOT FINANCE LIMITED INE414G07522
SECURED NON CONVERTIBLE DEBENTURES. OPTION VII. DATE OF MATURITY 11/03/2015
10.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VI OPTION I. DATE OF MATURITY 04/12/2015
11.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES NCD VI OPTION IV. DATE OF MATURITY 04/12/2015SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES NCD VI OPTION VIII. DATE OF MATURITY 04/12/201513.25% Secured Non-Convertible Debenture. Date of Maturity 18/04/2015
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VIII OPTION VII. DATE OF MATURITY 07/05/2015SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES NCD VI OPTION VII. DATE OF MATURITY 08/01/201511.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION I. DATE OF MATURITY 25/09/2015
12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION IV. DATE OF MATURITY 25/09/2015
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION VIII. DATE OF MATURITY 25/09/2015
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD IX OPTION VII. DATE OF MATURITY 11/8/2015
10.75% SECURED NON CONVERTIBLE DEBENTURES. OPTION I. DATE OF MATURITY 04/02/2016
11.25% SECURED NON CONVERTIBLE DEBENTURES. OPTION IV. DATE OF MATURITY 04/02/2016
SECURED NON CONVERTIBLE DEBENTURES. OPTION VIII. DATE OF MATURITY 04/02/2016
MUTHOOT FINANCE LIMITED INE414G07555
MUTHOOT FINANCE LIMITED INE414G07589
MUTHOOT FINANCE LIMITED INE414G07621
MUTHOOT FINANCE LIMITED INE414G07365
MUTHOOT FINANCE LIMITED INE414G07399
MUTHOOT FINANCE LIMITED INE414G07431
MUTHOOT FINANCE LIMITED INE414G07688
MUTHOOT FINANCE LIMITED INE414G07654
MUTHOOT FINANCE LIMITED INE414G07720
MUTHOOT FINANCE LIMITED INE414G07092
MUTHOOT FINANCE LIMITED INE414G07100
MUTHOOT FINANCE LIMITED INE414G07266
MUTHOOT FINANCE LIMITED INE414G07290
MUTHOOT FINANCE LIMITED INE414G07332
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VIII OPTION I. DATE OF MATURITY 02/04/2016
10.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VIII OPTION IV. DATE OF MATURITY 02/04/2016
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VIII OPTION VIII. DATE OF MATURITY 02/04/201611.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES NCD VI OPTION II. DATE OF MATURITY 04/12/201611.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES NCD VI OPTION V. DATE OF MATURITY 04/12/2016SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VI OPTION IX. DATE OF MATURITY 04/12/2016
10.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD IX OPTION IV. DATE OF MATURITY 07/07/2016
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD IX OPTION I. DATE OF MATURITY 07/07/2016
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD IX OPTION VIII. DATE OF MATURITY 7/7/2016
12.00% Secured Non-Convertible Debenture.Date of Maturity 13/09/2016
12.25% Secured Non-Convertible Debenture.Date of Maturity 13/09/2016
12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION II. DATE OF MATURITY 25/09/2016
12.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION V. DATE OF MATURITY 25/09/2016
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION IX. DATE OF MATURITY 25/09/2016
MUTHOOT FINANCE LIMITED INE414G07225
MUTHOOT FINANCE LIMITED INE414G07233
MUTHOOT FINANCE LIMITED INE414G07134
MUTHOOT FINANCE LIMITED INE414G07464
MUTHOOT FINANCE LIMITED INE414G07498
MUTHOOT FINANCE LIMITED INE414G07530
MUTHOOT FINANCE LIMITED INE414G07563
MUTHOOT FINANCE LIMITED INE414G07597
MUTHOOT FINANCE LIMITED INE414G07639
MUTHOOT FINANCE LIMITED INE414G07183
MUTHOOT FINANCE LIMITED INE414G07696
MUTHOOT FINANCE LIMITED INE414G07662
MUTHOOT FINANCE LIMITED INE414G07738
MUTHOOT FINANCE LIMITED INE414G07142
11.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION III. DATE OF MATURITY 01/11/2017
12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION IV. DATE OF MATURITY 01/11/2017
13.25% Secured Non-Convertible Debenture.Date of Maturity 18/01/2017
11.25% SECURED NON CONVERTIBLE DEBENTURES. OPTION II. DATE OF MATURITY 04/02/2017
11.50% SECURED NON CONVERTIBLE DEBENTURES. OPTION V. DATE OF MATURITY 04/02/2017
SECURED NON CONVERTIBLE DEBENTURES. OPTION IX. DATE OF MATURITY 04/02/2017
10.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VIII OPTION II. DATE OF MATURITY 02/04/2017
11.00% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VIII OPTION V. DATE OF MATURITY 02/04/2017
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VIII OPTION IX. DATE OF MATURITY 02/04/2017
13.25% Secured Non-Convertible Debenture. Date of Maturity 18/04/2017
11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD IX OPTION V. DATE OF MATURITY 07/07/2017
10.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD IX OPTION II. DATE OF MATURITY 07/07/2017
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD IX OPTION IX. DATE OF MATURITY 7/7/2017
Zero Coupon Secured Non-Convertible Debenture.Date of Maturity 18/07/2017
MUTHOOT FINANCE LIMITED INE414G07191
MUTHOOT FINANCE LIMITED INE414G07159
MUTHOOT FINANCE LIMITED INE414G07241
MUTHOOT FINANCE LIMITED INE414G07373
MUTHOOT FINANCE LIMITED INE414G07407
MUTHOOT FINANCE LIMITED INE414G07449
MUTHOOT FINANCE LIMITED INE414G07274
MUTHOOT FINANCE LIMITED INE414G07308
MUTHOOT FINANCE LIMITED INE414G07340
MUTHOOT FINANCE LIMITED INE414G07472
MUTHOOT FINANCE LIMITED INE414G07506
MUTHOOT FINANCE LIMITED INE414G07548
MUTHOOT FINANCE LIMITED INE414G07571
MUTHOOT FINANCE LIMITED INE414G07605
Zero Coupon Secured Non-Convertible Debenture. Date of Maturity 18/10/2017
13.00% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 12/01/2017
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION V. DATE OF MATURITY 01/11/2018
10.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES NCD VI OPTION III. DATE OF MATURITY 04/12/201811.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES NCD VI OPTION VI. DATE OF MATURITY 04/12/2018SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VI OPTION X. DATE OF MATURITY 04/12/2018
11.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION III. DATE OF MATURITY 25/09/2018
12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION VI. DATE OF MATURITY 25/09/2018
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION X. DATE OF MATURITY 25/09/2018
10.75% SECURED NON CONVERTIBLE DEBENTURES. OPTION III. DATE OF MATURITY 04/02/2019
11.25% SECURED NON CONVERTIBLE DEBENTURES. OPTION VI. DATE OF MATURITY 04/02/2019
SECURED NON CONVERTIBLE DEBENTURES. OPTION X. DATE OF MATURITY 04/02/2019
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VIII OPTION III. DATE OF MATURITY 02/04/2019
10.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VIII OPTION VI. DATE OF MATURITY 02/04/2019
MUTHOOT FINANCE LIMITED INE414G07647
MUTHOOT FINANCE LIMITED INE414G08223
MUTHOOT FINANCE LIMITED INE414G07704
MUTHOOT FINANCE LIMITED INE414G07670
MUTHOOT FINANCE LIMITED INE414G07746
MUTHOOT FINANCE LIMITED INE414G08215
MUTHOOT FINANCE LIMITED INE414G08231
MUTHOOT FINANCE LIMITED INE414G08249
MUTHOOT FINANCE LIMITED INE414G08256
MUTHOOT FINANCE LIMITED INE414G09015
MUTHOOT FINCORP LIMITED INE549K07055
MUTHOOT FINCORP LIMITED INE549K07071
MUTHOOT FINCORP LIMITED INE549K08012
INE101Q07011
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VIII OPTION X. DATE OF MATURITY 02/04/2019
USECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VI OPTION XI. DATE OF MATURITY 04/12/2019
10.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD IX OPTION VI. DATE OF MATURITY 07/07/2019
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD IX OPTION III. DATE OF MATURITY 07/07/2019
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD IX OPTION X. DATE OF MATURITY 7/7/2019
UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . OPTION XI. DATE OF MATURITY 25/09/2019
UNSECURED NON CONVERTIBLE DEBENTURES. OPTION XI. DATE OF MATURITY 04/02/2020
UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD VIII OPTION XI. DATE OF MATURITY 02/07/2020
UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD IX OPTION XI. DATE OF MATURITY 7/10/2020
12.35% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN THE FORM OF PROMISSORY NOTE/DEBENTURE. DATE OF 13% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 17/01/2015
13.25% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 17/04/2015
12.30% Unsecured Non-Convertiblle Debenture in the nature of subordinated debt.Letter of Allotment.Date of Maturity 29/06/2016
MUTHOOTTU MINI FINANCIERS LTD
12% SECURED NON-CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY 02/05/2015
INE101Q07029
INE101Q07094
INE101Q07102
INE101Q07037
INE101Q07045
INE101Q07052
INE101Q07060
INE101Q07078
INE101Q07110
INE101Q07128
INE101Q07136
INE101Q07086
INE101Q08019
MYTRAH ENERGY (INDIA) LIMITED INE195M07012
MUTHOOTTU MINI FINANCIERS LTD
12.50% SECURED NON-CONVERTIBLE DEBENTURES. SERIES II. DATE OF MATURITY 02/05/2015
MUTHOOTTU MINI FINANCIERS LTD
12% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY 30/12/2015
MUTHOOTTU MINI FINANCIERS LTD
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES II. DATE OF MATURITY 30/12/2015
MUTHOOTTU MINI FINANCIERS LTD
12.25% SECURED NON-CONVERTIBLE DEBENTURES. SERIES III. DATE OF MATURITY 26/03/2016
MUTHOOTTU MINI FINANCIERS LTD
12.50% SECURED NON-CONVERTIBLE DEBENTURES. SERIES IV. DATE OF MATURITY 26/03/2016
MUTHOOTTU MINI FINANCIERS LTD
12.50% SECURED NON-CONVERTIBLE DEBENTURES. SERIES V. DATE OF MATURITY 27/03/2017
MUTHOOTTU MINI FINANCIERS LTD
13% SECURED NON-CONVERTIBLE DEBENTURES. SERIES VI. DATE OF MATURITY 27/03/2017
MUTHOOTTU MINI FINANCIERS LTD
13.50% SECURED NON-CONVERTIBLE DEBENTURES. SERIES VII. DATE OF MATURITY 27/03/2017
MUTHOOTTU MINI FINANCIERS LTD
12.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES III. DATE OF MATURITY 15/08/2017
MUTHOOTTU MINI FINANCIERS LTD
13% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES IV. DATE OF MATURITY 15/08/2017
MUTHOOTTU MINI FINANCIERS LTD
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES V. DATE OF MATURITY 12/11/2017
MUTHOOTTU MINI FINANCIERS LTD
13.43% SECURED NON-CONVERTIBLE DEBENTURES. SERIES VIII. DATE OF MATURITY 27/09/2019
MUTHOOTTU MINI FINANCIERS LTD
UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES VI. DATE OF MATURITY 07/02/2020
14.73% Secured Compulsorily Convertible Debentures.Letter of Allotment.Date of Conversion: 12/08/2015
MYTRAH ENERGY (INDIA) LIMITED INE195M07020
INE868B07041
INE868B09039
INE868B09047
INE580A07028
INE954K08014
INE261F09GJ0
INE261F09GN2
INE261F09GQ5
INE261F09GR3
INE261F09GT9
INE261F09HB5
INE261F09HD1
INE261F09HH2
12% SECURED COMPULSORY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 23/08/2016.
NAGARJUNA CONSTRUCTION COMPANY LIMITED
10.50% Secured Non Convertible Debenture in the form of Separately Transferable Redeemable Principal Parts (STRPPs) - Series - I (5). Letter of
NAGARJUNA CONSTRUCTION COMPANY LIMITED
9.50% Unsecured Non-Convertible Bond. Date of Maturity 11/08/2014
NAGARJUNA CONSTRUCTION COMPANY LIMITED
9.50% Unsecured Non-Convertible Bond. Date of Maturity 11/08/2015
NAGARJUNA FERTILIZERS AND CHEMICALS LIMITED
10.5% Secured Non Convertible Debentures. Date of final redemption: 31/03/2016. Letter Of Allotment.
NATIONAL AVIATION COMPANY OF INDIA LIMITED
9.13% Unsecured Redeemable Non Convertible Debenture. Letter of Allotment. Date of Maturity : 26/03/2020
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.50% Unsecured Non-Convertible Bond. Series- XII- G. Date of Maturity 11/07/2014
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.32% Unsecured Non-Convertible Bond in the form of promissory note. Series- XII-K. Date of Maturity 16/08/2014
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.38% Unsecured Non-Convertible Bond in the form of promissory note. Series- XII-N. Date of Maturity 15/09/2014
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.48% Unsecured Non-Convertible Bond in the form of promissory note. Series- XII-O. Date of Maturity 22/09/2014
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.655% Unsecured Non-Convertible Bond. Series- XII - Q. Date of Maturity 18/10/2014
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.38% Unsecured Non-Convertible Bond. Series- XII Y. Date of Maturity 16/01/2015
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.48% Unsecured Non-Convertible Bond. Series- XII AA. Date of Maturity 30/01/2015
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.32% Unsecured Non-Convertible Bond. Series- XII AF. Date of Maturity 23/02/2015
INE261F09HL4
INE261F09HP5
INE261F09HS9
INE261F09HT7
INE261F09HU5
INE261F09HF6
INE261F09HV3
INE261F09HA7
INE261F09HQ3
INE261F09HX9
INE261F09BD4
INE261F09IB3
INE261F09IH0
INE261F09BK9
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.50% UNSECURED NON-CONVERTIBLE BOND. SERIES- XIII C. DATE OF MATURITY 04/06/2015
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.35% UNSECURED NON-CONVERTIBLE BOND. SERIES- XIII G. DATE OF MATURITY 29/06/2015
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.41% UNSECURED NON CONVERTIBLE BONDS SERIES XIII-J. DATE OF MATURITY 16/07/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.23% UNSECURED NON CONVERTIBLE BONDS SERIES XIII K. DATE OF MATURITY 23/07/2015.
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.2% UNSECURED NON CONVERTIBLE BONDS SERIES XIII L. DATE OF MATURITY 27/07/2015.
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.40% Unsecured Non-Convertible Bond. Series- XII AC. Date of Maturity 31/07/2015
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9% UNSECURED NON CONVERTIBLE BONDS SERIES XIII M. DATE OF MATURITY 13/08/2015.
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.38% Unsecured Non-Convertible Bond. Series- XII X. Date of Maturity 09/01/2015
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.45% UNSECURED NON CONVERTIBLE BONDS SERIES XIII-H. DATE OF MATURITY 09/07/2015.
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
8.88% UNSECURED NON CONVERTIBLE BONDS SERIES XIII O. DATE OF MATURITY 25/09/2015.
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
7.50% Unsecured Non Convertible Bonds in nature of promissory notes. NPSB 2015 Series VII D. Date of Maturity: 12/12/2015
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
8.88% Unsecured Non-Convertible Bond 2015. Series- XIII S, Date of Maturity 01/01/2016
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.10% UNSECURED NON-CONVERTIBLE BONDS 2016. SERIES - XIII Y. DATE OF MATURITY 01/03/2016
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
7.60% Unsecured Non Convertible Bond in nature of Promissory notes. NPSB 2016 VII E . Date of Maturity: 14/01/2016
INE261F09HG4
INE261F09BZ7
INE261F09GG6
INE261F09CE0
INE261F09II8
INE261F09GL6
INE261F09GO0
INE261F09GP7
INE261F09CM3
INE261F09CY8
INE261F09CW2
INE261F09DB4
INE261F09DD0
INE261F09HK6
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.35% Unsecured Non-Convertible Bond. Series- XII AD. Date of Maturity 29/01/2016
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
8.45 % Unsecured Non Convertible Bond in the form of promissory notes.Series NPSB VIII A . Date of Maturity: 18/05/2016
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.70% Unsecured Non-Convertible Bond In the Form of Promissory Note. Series- XII D. Date of Maturity 06/06/2016
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
8.60 % Unsecured Non Convertible Bond in the form of promissory notes.Series NPSB VIII D . Date of Maturity: 07/06/2016
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
8.95% UNSECURED NON-CONVERTIBLE BONDS 2016. SERIES - XIII Z. DATE OF MATURITY 07/03/2016
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.40% Unsecured Non-Convertible Bond in the form of Promissory Note. Series- XII - I.Date of Maturity 19/07/2016
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.40% Unsecured Non-Convertible Bond in the form of promissory note. Series- XII-L. Date of Maturity 13/09/2016
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.40% Unsecured Non-Convertible Bond in the form of promissory note. Series- XII-M. Date of Maturity 14/09/2016
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.20 % Unsecured Non Convertible Bond in the form of promissory notes.Series NPSB 2017 VIII - L. Date of Maturity: 12/02/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 March 2017 IA. Date of Maturity: 01/03/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.90% Unsecured Non Convertible Bond in the form of promissory notes.Series NPSB 2017 VIII - V. Date of Maturity: 30/03/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 April 2017 IB. Date of Maturity: 01/04/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 May 2017 2A. Date of Maturity: 01/05/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.40% UNSECURED BOND IN FORM OF PROMISSORY NOTE. SERIES 2015 SR - XIII B.DATE OF MATURITY 24.05.2017
INE261F09DE8
INE261F09DH1
INE261F09DI9
INE261F09HE9
INE261F09DL3
INE261F09DM1
INE261F09DO7
INE261F09DP4
INE261F09DR0
INE261F09DS8
INE261F09DU4
INE261F09DV2
INE261F09HR1
INE261F09DW0
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 June 2017 2B. Date of Maturity: 01/06/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 July 2017 2C. Date of Maturity: 01/07/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 July 2017 2C. Date of Maturity: 01/07/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.18% Unsecured Non-Convertible Bond. Series- XII AB. Date of Maturity 07/02/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 August 2017 2D. Date of Maturity: 01/08/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 August 2017 2D. Date of Maturity: 01/08/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 September 2017 2E. Date of Maturity: 01/09/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 September 2017 2E. Date of Maturity: 01/09/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Oct 2017 2F. Date of Maturity: 01/10/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Oct 2017 2F. Date of Maturity: 01/10/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Nov 2017 2G. Date of Maturity: 01/11/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Nov 2017 2G. Date of Maturity: 01/11/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.28% UNSECURED NON CONVERTIBLE BONDS SERIES XIII-I. DATE OF MATURITY 11/07/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Dec 2017 2H. Date of Maturity: 01/12/2017
INE261F09DX8
INE261F09HM2
INE261F09DY6
INE261F09DZ3
INE261F09EA4
INE261F09EB2
INE261F09EC0
INE261F09ED8
INE261F09ID9
INE261F09EE6
INE261F09EF3
INE261F09EH9
INE261F09EI7
INE261F09EK3
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Dec 2017 2H. Date of Maturity: 01/12/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
9.33% UNSECURED NON-CONVERTIBLE BOND. SERIES- XIII D. DATE OF MATURITY 12/06/2017
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Jan 2018 2I. Date of Maturity: 01/01/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Jan 2018 2I. Date of Maturity: 01/01/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Feb 2018 2I. Date of Maturity: 01/02/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Feb 2018 2I. Date of Maturity: 01/02/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Feb 2018 2I. Date of Maturity: 01/02/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 Feb 2018 2I. Date of Maturity: 01/02/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
8.79% UNSECURED NON-CONVERTIBLE BONDS 2018. SERIES - XIII V. DATE OF MATURITY 19/02/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 March 2018 2K. Date of Maturity: 01/03/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB 01 March 2018 2K. Date of Maturity: 01/03/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB APR2018 . Date of Maturity: 01/04/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB APR2018 . Date of Maturity: 01/04/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB MAY2018 . Date of Maturity: 01/05/2018 (Issue Price : Rs. 8450
INE261F09EL1
INE261F09EN7
INE261F09EO5
INE261F09EP2
INE261F09EQ0
INE261F09ES6
INE261F09ET4
INE261F09EU2
INE261F09EV0
INE261F09EW8
INE261F09EX6
INE261F09EY4
INE261F09EZ1
INE261F09FF0
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB MAY2018 . Date of Maturity: 01/05/2018 (Issue Price : Rs. 8500
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB JUN2018. Date of Maturity: 01/06/2018 (Issue Price : Rs. 8450
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB JUN2018. Date of Maturity: 01/06/2018 (Issue Price : Rs. 8500
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB JULY2018. Date of Maturity: 01/07/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB AUG2018. Date of Maturity: 01/08/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB SEP2018. Date of Maturity: 01/09/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB OCT2018. Date of Maturity: 01/10/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB NOV 2018. Date of Maturity: 01/11/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB DEC 2018. Date of Maturity: 01/12/2018
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB JAN 2019. Date of Maturity: 01/01/2019
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB FEB 2019. Date of Maturity: 01/02/2019
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB MAR 2019. Date of Maturity: 01/03/2019
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.Series BNB MAR 2019. Date of Maturity: 31/03/2019
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non-Convertible Bhavishya Nirman Bond. Date of Maturity 01/06/2020
INE261F09FN4
INE261F09FC7
INE261F09FG8
INE261F09FJ2
INE261F09FK0
INE261F09FL8
INE261F09GC5
INE261F09FO2
INE261F09FP9
INE261F09FT1
INE261F09FQ7
INE261F09FS3
INE261F09FX3
INE261F09GA9
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non-Convertible Bond. BNB NOV 2020. Date of Maturity 01/11/2020
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.BNB APR 2020. Date of Maturity: 01/04/2020.
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non Convertible Bond in the form of promissory notes.BNB JULY 2020. Date of Maturity: 01/07/2020.
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non-Convertible BNB bond. Date of Maturity 01/08/2020
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero coupon Unsecured Non-Convertible BNB Bond. Date of Maturity 01/09/2020
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non-Convertible Bond. BNB OCT 2020. Date of Maturity 01/10/2020
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Zero Coupon Unsecured Non-Convertible Bond in the form of Promissory Note.Date of Maturity 31/03/2021
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN
8.95% Unsecured Non-Convertible Bond. Series- XI H, Date of Maturity 28/12/2015
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN
8.95% Unsecured Non-Convertible Bond Series- XI- I. Date of Maturity 04/01/2016
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN
9.12% Unsecured Non-Convertible Bond Series- XI- K. Date of Maturity:10/02/2016
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN
Zero Coupon Unsecured Non-Convertible Bond. BNB DEC 2020. Date of Maturity 01/12/2020
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN
Zero Coupon Unsecured Non-Convertible Bond. BNB JAN 2021. Date of Maturity 01/01/2021
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN
Zero Coupon Unsecured Non-Convertible Bond in the form of Promissory Note.BNB FEBRUARY 2021. Date of Maturity 01/02/2021
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN
Zero Coupon Unsecured Non-Convertible Bond BNB MARCH 2021.Date of Maturity 01/03/2021
INE525E09054
INE525E09062
INE525E09070
INE525E09088
NATIONAL FERTILIZERS LIMITED INE870D07035
INE906B07BR7
INE906B07BS5
INE906B07BT3
INE906B07BU1
INE906B07BV9
INE906B07BW7
INE906B07BX5
INE906B07BY3
INE906B07BZ0
NATIONAL CAPITAL REGION PLANNING BOARD
8.98% NCRPB Taxable Bonds (2018) Unsecured Non Convertible Bonds in the form of Promissory Notes. Date of Maturity:14/02/2018
NATIONAL CAPITAL REGION PLANNING BOARD
9.15% NCRPB Bonds Series - I (2019) Unsecured Non Convertible Bonds in the form of Promissory Notes. Date of Maturity:18/02/2019
NATIONAL CAPITAL REGION PLANNING BOARD
8.68% NCRPB Bonds Series - II (2019) Unsecured Non Convertible Bonds in the form of Promissory Notes. Date of Maturity:18/08/2019
NATIONAL CAPITAL REGION PLANNING BOARD
8.68% Secured Non-Convertible Bond. Series - I. Date of Maturity 04/08/2020
9.42% Secured Redeemable Non Convertible Taxable bonds in the nature of Debentures.Letter of Allotment.Date of Maturity:15/09/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6.00% Secured Non Convertible 54 EC Bonds Tr.-XII. Date of Maturity:31/07/2014
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6.00% Secured Non Convertible 54 EC Bonds Tr.-XII. Date of Maturity:31/08/2014
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6.00% Secured Non Convertible 54 EC Bonds Tr.-XII. Date of Maturity:30/09/2014
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6.00% Secured Non Convertible 54 EC Bonds Tr.-XII. Date of Maturity:31/10/2014
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6.00% Secured Non Convertible 54 EC Bonds Tr.-XII. Date of Maturity:30/11/2014
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6.00% Secured Non Convertible 54 EC Bonds Tr.-XII. Date of Maturity:31/12/2014
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6.00% Secured Non Convertible 54 EC Bonds Tr.-XII. Date of Maturity:31/01/2015
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6.00% Secured Non Convertible 54 EC Bonds Tr.-XII. Date of Maturity:28/02/2015
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6.00% Secured Non Convertible 54 EC Bonds Tr.-XII. Date of Maturity:31/03/2015
INE906B07CC7
INE906B07CD5
INE906B07CE3
INE906B07CF0
INE906B07CG8
INE906B07CH6
INE906B07CI4
INE906B07CJ2
INE906B07CK0
INE906B07CL8
INE906B07CM6
INE906B07CN4
INE906B07CO2
INE906B07CP9
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 30/04/2015.
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 31/05/2015.
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 30/06/2015.
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 31/07/2015.
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 31/08/2015
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 30/09/2015
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 31/10/2015
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 30/11/2015
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 31/12/2015
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 31/01/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 28/02/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2012-13. TRANCHE - XIII. DATE OF MATURITY 31/03/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 30/04/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 31/05/2016
INE906B07CQ7
INE906B07CR5
INE906B07CS3
INE906B07CT1
INE906B07CU9
INE906B07CV7
INE906B07CW5
INE906B07CX3
INE906B07CY1
INE906B07CZ8
INE906B07DG6
INE906B07DH4
INE906B07CA1
INE906B07DA9
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 30/06/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 31/07/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 31/08/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 30/09/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 31/10/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 30/11/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 31/12/2016
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 31/01/2017
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 28/02/2017
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI 54 EC BONDS 2013-14. TRANCHE - XIV. DATE OF MATURITY 31/03/2017
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI TAX FREE 54EC BONDS. SERIES XV. DATE OF MATURITY 30/04/2017
NATIONAL HIGHWAYS AUTHORITY OF INDIA
6% SECURED NON CONVERTIBLE NHAI TAX FREE 54EC BONDS. SERIES XV. DATE OF MATURITY 31/05/2017
NATIONAL HIGHWAYS AUTHORITY OF INDIA
8.2% Tax free Secured Redeemable Non Convertible Bonds .Date of Maturity:25/01/2022
NATIONAL HIGHWAYS AUTHORITY OF INDIA
8.35% SECURED NON CONVERTIBLE NHAI TAX FREE BONDS 2023. DATE OF MATURITY 22/11/2023
INE906B07DC5
INE906B07DD3
INE906B07CB9
INE906B07DB7
INE906B07DE1
INE906B07DF8
NATIONAL HOUSING BANK INE557F08ED1
NATIONAL HOUSING BANK INE557F08EK6
NATIONAL HOUSING BANK INE557F08EB5
NATIONAL HOUSING BANK INE557F08DR3
NATIONAL HOUSING BANK INE557F08EO8
NATIONAL HOUSING BANK INE557F08EP5
NATIONAL HOUSING BANK INE557F08EQ3
NATIONAL HOUSING BANK INE557F08ER1
NATIONAL HIGHWAYS AUTHORITY OF INDIA
8.27% (FOR CATEGORY I, II & III) SECURED NON CONVERTIBLE TRANCHE I SERIES 1A BONDS. DATE OF MATURITY 15/02/2024
NATIONAL HIGHWAYS AUTHORITY OF INDIA
8.52% (FOR CATEGORY IV) SECURED NON CONVERTIBLE TRANCHE I SERIES IB BONDS. DATE OF MATURITY 15/02/2024
NATIONAL HIGHWAYS AUTHORITY OF INDIA
8.3% Tax free Secured Redeemable Non Convertible Bonds .Date of Maturity:25/01/2027
NATIONAL HIGHWAYS AUTHORITY OF INDIA
8.48% SECURED NON CONVERTIBLE NHAI TAX FREE BONDS 2028. DATE OF MATURITY 22/11/2028
NATIONAL HIGHWAYS AUTHORITY OF INDIA
8.50% (FOR CATEGORY I, II & III) SECURED NON CONVERTIBLE TRANCHE I SERIES IIA BONDS. DATE OF MATURITY 15/02/2029
NATIONAL HIGHWAYS AUTHORITY OF INDIA
8.75% (FOR CATEGORY IV) SECURED NON CONVERTIBLE TRANCEH I SERIES IIB BONDS. DATE OF MATURITY 15/02/2029
9.37% Unsecured Non-Convertible Bond. Date of Maturity 20/01/2015
9.05% UNSECURED NON-CONVERTIBLE BONDS 2015. DATE OF MATURITY 24.08.2015
9.40% Unsecured Non-Convertible Bond. Date of Maturity 10/01/2015
9.18% Unsecured Non-Convertible Bond. Date of Maturity 21/02/2016
8.59% UNSECURED NON-CONVERTIBLE NHB BONDS 2016. LETTER OF ALLOTMENT. DATE OF MATURITY 10/04/2016
8.45% UNSECURED NON-CONVERTIBLE NHB BONDS 2016. LETTER OF ALLOTMENT. DATE OF MATURITY 25/04/2016
8.25% UNSECURED NON-CONVERTIBLE NHB BONDS 2016. LETTER OF ALLOTMENT. DATE OF MATURITY 08/05/2016
8.12% UNSECURED NON-CONVERTIBLE NHB BONDS 2016. LETTER OF ALLOTMENT. DATE OF MATURITY 20/06/2016
NATIONAL HOUSING BANK INE557F08ET7
NATIONAL HOUSING BANK INE557F08ES9
NATIONAL HOUSING BANK INE557F09310
NATIONAL HOUSING BANK INE557F09336
NATIONAL HOUSING BANK INE557F09146
NATIONAL HOUSING BANK INE557F09179
NATIONAL HOUSING BANK INE557F09203
NATIONAL HOUSING BANK INE557F07017
NATIONAL HOUSING BANK INE557F07025
NATIONAL HOUSING BANK INE557F07058
NATIONAL HOUSING BANK INE557F07041
NATIONAL HOUSING BANK INE557F07033
NATIONAL HOUSING BANK INE557F07066
NATIONAL HOUSING BANK INE557F07116
10.14% UNSECURED NON-CONVERTIBLE NHB BONDS 2016. LETTER OF ALLOTMENT. DATE OF MATURITY 23/09/2016
10.24% UNSECURED NON-CONVERTIBLE NHB BONDS 2016. LETTER OF ALLOTMENT. DATE OF MATURITY 11/09/2016
Zero Coupon Unsecured Non Convertible Taxable Bonds in the form of Promissory note. Date of Maturity: 24/12/2018
Zero Coupon Unsecured Non Convertible Bonds in the form of Promissory note. Date of Maturity: 31/03/2019
12.00 % NHB Special Series Priority Sector Bonds 1997-98in the form of Promissory notes. Date of Maturity: 10-06-2022
12.50% NHB Special Series Priority Sector Bonds 1998-99in the form of Promissory notes. Date of Maturity: 10-06-2022
12.10% NHB Special Series Priority Sector Bonds 1999-2000in the form of Promissory notes. Date of Maturity: 10-06-2022
7.19% NHB TAX FREE BONDS 2022.SERIES I. DATE OF MATURITY 14/12/2022.
7.17% NHB TAX FREE BONDS 2023.SERIES II. DATE OF MATURITY 01/01/2023.
6.89% NHB TAX FREE BONDS 2023. SERIES IV. DATE OF MATURITY 22/03/2023
6.82% NHB TAX FREE BONDS 2012-13. LETTER OF ALLOTMENT. DATE OF MATURITY 26/03/2023
6.87% NHB TAX FREE BONDS 2023.SERIES III. DATE OF MATURITY 06/02/2023
8.01% NHB TAX FREE BONDS 2023. SERIES V. LETTER OF ALLOTMENT. DATE OF MATURITY 30/08/2023
8.51% TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES . TRANCHE -I SERIES 1B. LETTER OF
NATIONAL HOUSING BANK INE557F07082
NATIONAL HOUSING BANK INE557F07173
NATIONAL HOUSING BANK INE557F07140
NATIONAL HOUSING BANK INE557F09278
NATIONAL HOUSING BANK INE557F09286
NATIONAL HOUSING BANK INE557F07074
NATIONAL HOUSING BANK INE557F07124
NATIONAL HOUSING BANK INE557F07090
NATIONAL HOUSING BANK INE557F07181
NATIONAL HOUSING BANK INE557F07157
NATIONAL HOUSING BANK INE557F07108
NATIONAL HOUSING BANK INE557F07132
NATIONAL HOUSING BANK INE557F07165
NATIONAL HOUSING BANK INE557F07199
8.26% TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES . TRANCHE -I SERIES 1A. LETTER OF 8.50% (FOR CATEGORY IV i.e. RII- IF ON RECORD DATE BONDS HELD BY RII ELSE 8.25% p.a.) TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-8.25% (FOR CATEGORY I, II AND III i.e. NON-RIIs) TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES . TRANCHE -II 9.75% NHB Special Series Priority Sector Bonds 2001-2002in the form of Promissory notes. Date of Maturity: 10-09-2025
9.75% NHB Special Series Priority Sector Bonds 2001-2002 in the form of Promissory notes. Date of Maturity: 10/09/2025
8.46% NHB TAX FREE BONDS 2028. SERIES V. LETTER OF ALLOTMENT. DATE OF MATURITY 30/08/2028
8.88% TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES . TRANCHE -I SERIES 2B. LETTER OF 8.63% TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES . TRANCHE -I SERIES 2A. LETTER OF 8.93% (FOR CATEGORY IV i.e. RII- IF ON RECORD DATE BONDS HELD BY RII ELSE 8.68% p.a.) TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-8.68% (FOR CATEGORY I, II AND III i.e. NON-RIIs) TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES . TRANCHE -I 8.76% TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES . TRANCHE -I SERIES 3A. LETTER OF 9.01% TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES . TRANCHE -I SERIES 3B. LETTER OF 8.65% (FOR CATEGORY I, II AND III i.e. NON-RIIs) TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES . TRANCHE -I 8.90% (FOR CATEGORY IV i.e. RII- IF ON RECORD DATE BONDS HELD BY RII ELSE 8.65% p.a.) TAX FREE BONDS IN THE NATURE OF SECURED REDEEMABLE NON-
INE848E08094
INE848E08102
INE848E08110
INE848E08128
INE733E07355
INE733E07363
INE733E07082
INE733E07371
INE733E07389
INE733E07090
INE733E07397
INE733E07405
INE733E07165
INE733E07108
NATIONAL HYDROELECTRIC POWER CORPORATION LTD
7.70% Secured Redeemable Non-Convertible Taxable Bonds. Series-O (STRPP-G).
NATIONAL HYDROELECTRIC POWER CORPORATION LTD
7.70% Secured Redeemable Non-Convertible Taxable Bonds. Series-O (STRPP-H).
NATIONAL HYDROELECTRIC POWER CORPORATION LTD
7.70% Secured Redeemable Non-Convertible Taxable Bonds. Series-O (STRPP-I).
NATIONAL HYDROELECTRIC POWER CORPORATION LTD
7.70% Secured Redeemable Non-Convertible Taxable Bonds. Series-O (STRPP-J).
NATIONAL THERMAL POWER CORPORATION LIMITED
7.552% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XX. STRPP K. Date of Maturity: 23.09.2014
NATIONAL THERMAL POWER CORPORATION LIMITED
7.552% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture.Series XX. STRPP L. Date of Maturity: 23.03.2015
NATIONAL THERMAL POWER CORPORATION LIMITED
9.55% Secured Non-cumulative Non-convertible Redeemable Taxable Bonds in the nature of Debentures. Series XIII-B. Date of Maturity: 30/04/2015.
NATIONAL THERMAL POWER CORPORATION LIMITED
7.552% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XX. STRPP M. Date of Maturity: 23.09.2015
NATIONAL THERMAL POWER CORPORATION LIMITED
7.552% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XX. STRPP N. Date of Maturity: 23.03.2016
NATIONAL THERMAL POWER CORPORATION LIMITED
9.55% Secured Non-cumulative Non-convertible Redeemable Taxable Bonds in the nature of Debentures. Series XIII-B. Date of Maturity: 30/04/2016.
NATIONAL THERMAL POWER CORPORATION LIMITED
7.552% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XX. STRPP O. Date of Maturity: 23.09.2016
NATIONAL THERMAL POWER CORPORATION LIMITED
7.552% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XX. STRPP P. Date of Maturity: 23.03.2017
NATIONAL THERMAL POWER CORPORATION LIMITED
9.55% Secured Non-cumulative Non-convertible Redeemable Taxable Bonds in the nature of Debentures. Series XIII-A. Date of final redemption: 18/04/2017.
NATIONAL THERMAL POWER CORPORATION LIMITED
9.55% Secured Non-cumulative Non-convertible Redeemable Taxable Bonds in the nature of Debentures. Series XIII-B. Date of Maturity: 30/04/2017.
INE733E07413
INE733E07421
INE733E07439
INE733E08122
INE733E07447
INE733E08130
INE733E07249
INE089N07015
INE089N07023
INE590O07010
NEELACHAL ISPAT NIGAM LIMITED INE514F08016
NEELACHAL ISPAT NIGAM LIMITED INE514F07075
NEELACHAL ISPAT NIGAM LIMITED INE514F07083
INE309Q07010
NATIONAL THERMAL POWER CORPORATION LIMITED
7.552% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XX. STRPP Q. Date of Maturity: 23.09.2017
NATIONAL THERMAL POWER CORPORATION LIMITED
7.552% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XX. STRPP R. Date of Maturity: 23.03.2018
NATIONAL THERMAL POWER CORPORATION LIMITED
7.552% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XX. STRPP S. Date of Maturity: 23.09.2018
NATIONAL THERMAL POWER CORPORATION LIMITED
8.00% Secured Redeemable Non-Convertible Non-Cumulative Taxable Bonds Series XVI. Letter of Allotment.
NATIONAL THERMAL POWER CORPORATION LIMITED
7.552% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XX. STRPP T. Date of Maturity: 23.03.2019
NATIONAL THERMAL POWER CORPORATION LIMITED
8.48% Secured Redeemable Non-Convertible Non-Cumulative Taxable Bonds Series XVII. Letter of Allotment.
NATIONAL THERMAL POWER CORPORATION LTD.
7.50% Secured Redeemable Non-Convertible Non-Cumulative Taxable Bonds Series XIX. Letter of Allotment.
NAVAYUGA ROAD PROJECTS PRIVATE LIMITED
20.75% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY 31/03/2018
NAVAYUGA ROAD PROJECTS PRIVATE LIMITED
20.75% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. SERIES II. DATE OF MATURITY 31/03/2018
NAVJYOTI OVERSEAS PRIVATE LIMITED
22% SECURED NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 31/12/2015
Zero Coupon Unsecured Redeemable Non Convertible bonds . Final date of Redemption : 01.03.2019
10.45% Secured Redeemable Non Convertible bonds . Final date of Redemption : 19/02/2021
11.90% SECURED REDEEMABLE NON CONVERTIBLE BONDS. DATE OF MATURITY 27/03/2024
NEELKANTH MANSIONS AND INFRASTRUCTURE PVT LTD
17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY 07/03/2017
INE711N07014
INE833M07018
NEESA LEISURE LIMITED INE724H07019
INE053I07029
INE317K07016
INE317K08014
INE589A07029
NHPC LIMITED INE848E07542
NHPC LIMITED INE848E07518
NHPC LIMITED INE848E07559
NHPC LIMITED INE848E07526
NHPC LIMITED INE848E07567
NHPC LIMITED INE848E07534
NHPC LIMITED INE848E07179
NEELKANTH URBAN DEVELOPERS PRIVATE LIMITED
17.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 30/10/2014.
NEEPA REAL ESTATES PRIVATE LIMITED
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 17/02/2020
14.5% Secured Redeemable Non Convertible Debentures. Date of Maturity. 01.07.2015
NEPTUNE DEVELOPERS LIMITED (FORMERLY NEPTUNE DEVELOPERS PRIVATE LIMITED)
20.00% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 20/10/2014
NEPTUNE REALTORS PRIVATE LIMITED
12.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 25/03/2016
NEPTUNE REALTORS PRIVATE LIMITED
14% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 30/03/2016
NEYVELI LIGNITE CORPORATION LIMITED
8.83% Secured Redeemeable Non Convertible Taxable Bonds in the nature of Debenture .Letter of allotment.Date of Maturity: 23/01/20198.43% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. SERIES 1B. LETTER OF ALLOTMENT. DATE OF MATURITY 02/11/20238.18% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. SERIES 1A. LETTER OF ALLOTMENT. DATE OF MATURITY 02/11/20238.79% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. SERIES 2B. LETTER OF ALLOTMENT. DATE OF MATURITY 02/11/20288.54% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. SERIES 2A. LETTER OF ALLOTMENT. DATE OF MATURITY 02/11/20288.92% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. SERIES 3B. LETTER OF ALLOTMENT. DATE OF MATURITY 02/11/20338.67% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. SERIES 3A. LETTER OF ALLOTMENT. DATE OF MATURITY 02/11/20338.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- A. Date of Maturity 11/02/2015
NHPC LIMITED INE848E07187
NHPC LIMITED INE848E07278
NHPC LIMITED INE848E07054
NHPC LIMITED INE848E07195
NHPC LIMITED INE848E07286
NHPC LIMITED INE848E07062
NHPC LIMITED INE848E07203
NHPC LIMITED INE848E07294
NHPC LIMITED INE848E07070
NHPC LIMITED INE848E07211
NHPC LIMITED INE848E07393
NHPC LIMITED INE848E07302
NHPC LIMITED INE848E07088
NHPC LIMITED INE848E07229
8.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- B. Date of Maturity 11/02/2016
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- A. Date of Maturity 11/02/2016
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- A. Date of Maturity 12/03/2016
8.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- C. Date of Maturity 11/02/2017
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- B. Date of Maturity 11/02/2017
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- B. Date of Maturity 12/03/2017
8.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- D. Date of Maturity 11/02/2018
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- C. Date of Maturity 11/02/2018
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- C. Date of Maturity 12/03/2018
8.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- E. Date of Maturity 11/02/2019
8.78% Secured Non-Convertible Bond.Letter of Allotment. Series- R-3 PART- A. Date of Maturity 11/02/2019
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- D. Date of Maturity 11/02/2019
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- D. Date of Maturity 12/03/2019
8.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- F. Date of Maturity 11/02/2020
NHPC LIMITED INE848E07401
NHPC LIMITED INE848E07310
NHPC LIMITED INE848E07096
NHPC LIMITED INE848E07237
NHPC LIMITED INE848E07419
NHPC LIMITED INE848E07328
NHPC LIMITED INE848E07104
NHPC LIMITED INE848E07245
NHPC LIMITED INE848E07427
NHPC LIMITED INE848E07336
NHPC LIMITED INE848E07112
NHPC LIMITED INE848E07252
NHPC LIMITED INE848E07435
NHPC LIMITED INE848E07344
8.78% Secured Non-Convertible Bond.Letter of Allotment. Series- R-3 PART- B. Date of Maturity 11/02/2020
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- E. Date of Maturity 11/02/2020
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- E. Date of Maturity 12/03/2020
8.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- G. Date of Maturity 11/02/2021
8.78% Secured Non-Convertible Bond.Letter of Allotment. Series- R-3 PART- C. Date of Maturity 11/02/2021
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- F. Date of Maturity 11/02/2021
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- F. Date of Maturity 12/03/2021
8.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- H. Date of Maturity 11/02/2022
8.78% Secured Non-Convertible Bond.Letter of Allotment. Series- R-3 PART- D. Date of Maturity 11/02/2022
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- G. Date of Maturity 11/02/2022
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- G. Date of Maturity 12/03/2022
8.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- I. Date of Maturity 11/02/2023
8.78% Secured Non-Convertible Bond.Letter of Allotment. Series- R-3 PART- E. Date of Maturity 11/02/2023
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- H. Date of Maturity 11/02/2023
NHPC LIMITED INE848E07120
NHPC LIMITED INE848E07260
NHPC LIMITED INE848E07443
NHPC LIMITED INE848E07351
NHPC LIMITED INE848E07138
NHPC LIMITED INE848E07492
NHPC LIMITED INE848E07450
NHPC LIMITED INE848E07369
NHPC LIMITED INE848E07146
NHPC LIMITED INE848E07377
NHPC LIMITED INE848E07500
NHPC LIMITED INE848E07468
NHPC LIMITED INE848E07153
NHPC LIMITED INE848E07385
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- H. Date of Maturity 12/03/2023
8.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- J. Date of Maturity 11/02/2024
8.78% Secured Non-Convertible Bond.Letter of Allotment. Series- R-3 PART- F. Date of Maturity 11/02/2024
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- I. Date of Maturity 11/02/2024
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- I. Date of Maturity 12/03/2024
8.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- K. Date of Maturity 11/02/2025
8.78% Secured Non-Convertible Bond.Letter of Allotment. Series- R-3 PART- G. Date of Maturity 11/02/2025
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- J. Date of Maturity 11/02/2025
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- J. Date of Maturity 12/03/2025
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- K. Date of Maturity 11/02/2026
8.70% Secured Non-Convertible Bond.Letter of Allotment. Series- R-1 PART- L. Date of Maturity 11/02/2026
8.78% Secured Non-Convertible Bond.Letter of Allotment. Series- R-3 PART- H. Date of Maturity 11/02/2026
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- K. Date of Maturity 12/03/2026
8.85% Secured Non-Convertible Bond.Letter of Allotment. Series- R-2 PART- L. Date of Maturity 11/02/2027
NHPC LIMITED INE848E07476
NHPC LIMITED INE848E07161
NHPC LIMITED INE848E07484
INE848E07047
NIIT LIMITED INE161A07019
NIRMA LIMITED INE091A07109
NIRMA LIMITED INE091A07117
NIRMA LIMITED INE091A07125
NIRMA LIMITED INE091A07133
NIRMA LIMITED INE091A07141
NIRMAL BOT LTD INE784J07019
NIRMAL LIFESTYLE LIMITED INE023O07038
NIRMAL LIFESTYLE LIMITED INE023O07053
NIRMAL LIFESTYLE LIMITED INE023O07046
8.78% Secured Non-Convertible Bond.Letter of Allotment. Series- R-3 PART- I. Date of Maturity 11/02/2027
9.25% Secured Non-Convertible Bond.Letter of Allotment. Series- Q PART- L. Date of Maturity 12/03/2027
8.78% Secured Non-Convertible Bond.Letter of Allotment. Series- R-3 PART- J. Date of Maturity 11/02/2028
NHPC LIMITED (NATIONAL HYDROELECTRIC POWER CORPORATION LTD)
9.00% Secured Redeemable Non-Convertible Bonds. (P Series). Letter of Allotment. Final Date of maturity -01.02.2025
12.00% Secured Non Convertible Debentures.Date of Maturity:20/10/2015
8.75% SECURED REDEEMABLE NON-CONVERTIBLE TAXABLE DEBENTURES. DATE OF REDEMPTION 27.05.2015
8.85% SECURED REDEEMABLE NON-CONVERTIBLE TAXABLE DEBENTURES. DATE OF REDEMPTION 27.05.2016
8.90% SECURED REDEEMABLE NON-CONVERTIBLE TAXABLE DEBENTURES. DATE OF REDEMPTION 27.05.2017
8.92% SECURED REDEEMABLE NON-CONVERTIBLE TAXABLE DEBENTURES. DATE OF REDEMPTION 27.05.2018
8.95% SECURED REDEEMABLE NON-CONVERTIBLE TAXABLE DEBENTURES. DATE OF REDEMPTION 27.05.2019
9.38% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 18/05/2026
17.3% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES I. DATE OF MATURITY 21/03/201717.3% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES I (B). DATE OF MATURITY 29/12/201717.6% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES II. DATE OF MATURITY 31/12/2017
NIRMAL LIFESTYLE LIMITED INE023O07061
NITESH ESTATES LIMITED INE639K07021
INE793Q08013
INE781B11022
INE781B11014 Deep Discount Bond
INE357L07341
INE357L07069
INE357L07077
INE357L07085
INE357L07101
INE357L07127
INE357L07150
INE357L07358
INE357L07176
5.10% PER QUARTER SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 09/06/201918.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES ONE. DATE OF MATURITY 15/03/2018
NOBILITY ESTATES PRIVATE LIMITED
10% UNSECURED NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 14/08/2017
NOIDA TOLL BRIDGE COMPANY LIMITED
Deep Discount Bond. Date of Maturity: 03/11/2015
Noida Toll Bridge Company Limited
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture.Series- NCE041. Date of Maturity 17/07/2014
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture. Series- NCE 006. Date of Maturity 19/08/2014
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture. Series- NCE007. Date of Maturity 21/08/2014
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture.Series- NCE 008. Date of Maturity 05/09/2014
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked secured Non-Convertible Debenture.Series- NCE010. Date of Maturity 09/09/2014
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture. Series- NCE012. Date of Maturity 23/09/2014
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture. Series- NCE015. Date of Maturity 30/09/2014
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture.Series- NCE042. Date of Maturity 10/11/2014
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture.Series- NCE022. Date of Maturity 28-10-2014
INE357L07184
INE357L07200
INE357L07259
INE357L07275
INE357L07291
INE357L07309
INE357L07382
INE357L07333
INE357L07317
INE357L07390
INE357L07408
INE357L07424
INE357L07416
INE333Q08018
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture.Series- NCE021. Date of Maturity 30-10-2014
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture. Series- NCE 024. Date of Maturity 13/11/2014
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture. Series- NCE027. Date of Maturity 06/01/2015
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture. Series- NCE032. Date of Maturity 27/01/2015
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture.Series- NCE036. Date of Maturity 29/01/2015
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture.Series- NCE037. Date of Maturity 05/02/2015
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
EQUITY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE.SERIES- NCE047. DATE OF MATURITY 06/05/2015
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture. Series- NCE040. Date of Maturity 30/07/2015
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture. Series- NCE030.Date of Maturity 10/02/2015
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
Equity Linked Secured Non-Convertible Debenture.Series- NCE046. Date of Maturity 13/04/2016.
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
EQUITY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE.SERIES- NCE048. DATE OF MATURITY 09/11/2016
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
NSE CNX NIFTY INDEX LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE.SERIES- NCE049. LETTER OF ALLOTMENT. DATE OF
NOMURA CAPITAL (INDIA) PRIVATE LIMITED
NSE CNX NIFTY INDEX LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE.SERIES- NCE050. LETTER OF ALLOTMENT. DATE OF
NORTH BIHAR POWER DISTRIBUTION COMPANY LIMITED
10.20% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES 2013-14. DATE OF MATURITY 14/03/2019
INE636F07159
INE636F07167
INE636F07175
INE898G07088
INE898G07096
INE898G07104
INE898G07112
INE898G07120
INE898G07138
INE898G07146
INE898G07153
INE898G07161
INE898G07179
INE898G07187
NORTH EASTERN ELECTRIC POWER CORPORATION LIMITED
10.20% Secured Non-Convertible Taxable Bonds in the nature of Debenture. Letter of Allotment. Series- XI. Date of Maturity 15/12/2021
NORTH EASTERN ELECTRIC POWER CORPORATION LIMITED
9.25% Secured Non-Convertible Taxable Bonds in the nature of Debenture. Letter of Allotment. Series- XII. Date of Maturity 27/06/2022
NORTH EASTERN ELECTRIC POWER CORPORATION LIMITED
9.00% SECURED REDEEMABLE NON-CONVERTIBLE TAXABLE BONDS IN THE NATURE OF DEBENTURE. LETTER OF ALLOTMENT. SERIES- XIII. DATE
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 15/07/2014
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 15/01/2015
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 15/07/2015
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 15/01/2016
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 15/07/2016
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 16/01/2017
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 15/07/2017
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 15/01/2018
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 16/07/2018
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 15/01/2019
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 15/07/2019
INE898G07195
INE081Q08013
INE081Q08021
INE081Q08039
INE779L08013
NTPC LIMITED INE733E07EQ5
NTPC LIMITED INE733E07ER3
NTPC LIMITED INE733E07ES1
NTPC LIMITED INE733E07ET9
NTPC LIMITED INE733E07EP7
NTPC LIMITED INE733E07EU7
NTPC LIMITED INE733E07EV5
NTPC LIMITED INE733E07EW3
NTPC LIMITED INE733E07JH3
NORTH KARNATAKA EXPRESSWAY LIMITED
Zero coupon Secured Rated, Listed,Taxable Non-Convertible Debenture. Date of Maturity 15/01/2020
NORTHERN POWER DISTRIBUTION COMPANY OF ANDHRA PRADESH LIMITED
9.95% UNSECURED NON-CONVERTIBLE BONDS. SERIES I/2014. LETTER OF ALLOTMENT. DATE OF MATURITY 03/02/2029
NORTHERN POWER DISTRIBUTION COMPANY OF ANDHRA PRADESH LIMITED
10.09% UNSECURED NON-CONVERTIBLE BONDS. SERIES 2/2014. LETTER OF ALLOTMENT. DATE OF MATURITY 26/03/2029
NORTHERN POWER DISTRIBUTION COMPANY OF ANDHRA PRADESH LIMITED
10% UNSECURED NON-CONVERTIBLE BONDS. SERIES 3/2014. LETTER OF ALLOTMENT. DATE OF MATURITY 30/05/2029
NSL RENEWABLE POWER PRIVATE LIMITED
RESET RATE UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES B. DATE OF CONVERSION 11/08/2032
9.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP A. Date of Maturity 22/03/20179.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP B. Date of Maturity 22/03/20189.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP C. Date of Maturity 22/03/20199.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP D. Date of Maturity 22/03/20208.93% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond. Letter of Allotment. Series- XXXVII. Date of Maturity 19/01/20219.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP E. Date of Maturity 22/03/20219.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP F. Date of Maturity 22/03/20229.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP G. Date of Maturity 22/03/20238.66% SECURED NON-CONVERTIBLE REDEEMABLE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES 1B. DATE OF MATURITY 16/12/2023
NTPC LIMITED INE733E07JE0
NTPC LIMITED INE733E07EX1
NTPC LIMITED INE733E07JK7
NTPC LIMITED INE733E07EY9
NTPC LIMITED INE733E07EZ6
NTPC LIMITED INE733E07FA6
NTPC LIMITED INE733E07FB4
NTPC LIMITED INE733E07JI1
NTPC LIMITED INE733E07JF7
NTPC LIMITED INE733E07FC2
NTPC LIMITED INE733E07JL5
NTPC LIMITED INE733E07FD0
NTPC LIMITED INE733E07FE8
NTPC LIMITED INE733E07JG5
8.41% SECURED NON-CONVERTIBLE REDEEMABLE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES 1A. DATE OF MATURITY 16/12/20239.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP H. Date of Maturity 22/03/20248.19% SECURED NON-CONVERTIBLE REDEEMABLE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES LI A. LETTER OF ALLOTMENT. DATE OF 9.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP I. Date of Maturity 22/03/20259.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP J. Date of Maturity 22/03/20269.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP K. Date of Maturity 22/03/20279.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP L. Date of Maturity 22/03/20288.73% SECURED NON-CONVERTIBLE REDEEMABLE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES 2B. DATE OF MATURITY 16/12/20288.48% SECURED NON-CONVERTIBLE REDEEMABLE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES 2A. DATE OF MATURITY 16/12/20289.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP M. Date of Maturity 22/03/20298.63% SECURED NON-CONVERTIBLE REDEEMABLE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES LI B. LETTER OF ALLOTMENT. DATE OF 9.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP N. Date of Maturity 22/03/20309.17% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXVIII- STRPP O. Date of Maturity 22/03/20318.66% SECURED NON-CONVERTIBLE REDEEMABLE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES 3A. DATE OF MATURITY 16/12/2033
NTPC LIMITED INE733E07JJ9
NTPC LIMITED INE733E07JM3
NTPC LIMITED INE733E07IM5
NTPC LIMITED INE733E07IN3
NTPC LIMITED INE733E07IO1
NTPC LIMITED INE733E07IP8
NTPC LIMITED INE733E07JB6
NTPC LIMITED INE733E07IQ6
NTPC LIMITED INE733E07JD2
NTPC LIMITED INE733E07JC4
NTPC LIMITED INE733E07IR4
NTPC LIMITED INE733E07IS2
NTPC LIMITED INE733E07IT0
NTPC LIMITED INE733E07IU8
8.91% SECURED NON-CONVERTIBLE REDEEMABLE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES 3B. DATE OF MATURITY 16/12/20338.61% SECURED NON-CONVERTIBLE REDEEMABLE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES LI C. LETTER OF ALLOTMENT. DATE OF 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-A. 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-B. 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-C. 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-D. 8.84% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVII. Date of Maturity 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-E. 8.8% SECURED NON-CUMULATIVE, NON-CONVERTIBLE REDEEMABLE TAXABLE BONDS IN THE NATURE OF DEBENTURES. LETTER OF ALLOTMENT. SERIES-8.73% SECURED NON-CUMULATIVE, NON-CONVERTIBLE REDEEMABLE TAXABLE BONDS IN THE NATURE OF DEBENTURES. LETTER OF ALLOTMENT. SERIES-9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-F. 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-G. 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-H. 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-I.
NTPC LIMITED INE733E07IV6
NTPC LIMITED INE733E07IW4
NTPC LIMITED INE733E07IX2
NTPC LIMITED INE733E07IY0
NTPC LIMITED INE733E07IZ7
NTPC LIMITED INE733E07JA8
INE733E07918
INE733E07AL4
INE733E07BE7
INE733E07BS7
INE733E07728
INE733E07546
INE733E07926
INE733E07553
9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-J. 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-K. 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-L. 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-M. 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-N. 9.3473% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLVI -STRPP-O.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP G. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP G. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.37% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXV. Letter of Allotment.STRPP- F . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.06% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXVI. Letter of Allotment.STRPP- F . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP H. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.7125% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XXI. STRPP J. Letter of Allotment. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP H. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.7125% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XXI. STRPP K. Letter of Allotment. Date of
INE733E07AM2
INE733E07BF4
INE733E07BT5
INE733E07736
INE733E07934
INE733E07AN0
INE733E07BG2
INE733E07BU3
INE733E07744
INE733E07561
INE733E07942
INE733E07579
INE733E07AO8
INE733E07CG0
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP H. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.37% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXV. Letter of Allotment.STRPP- G .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.06% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXVI. Letter of Allotment.STRPP- G . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP I. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP I. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP I. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.37% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXV. Letter of Allotment.STRPP-H . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.06% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXVI. Letter of Allotment.STRPP- H . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP J. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.7125% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XXI. STRPP L. Letter of Allotment. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP J. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.7125% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XXI. STRPP M. Letter of Allotment. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP J. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- A . Date of
INE733E07BH0
INE733E07BV1
INE733E07751
INE733E07959
INE733E07AP5
INE733E07DL8
INE733E07CW7
INE733E07BI8
INE733E07BW9
INE733E07EA9
INE733E07769
INE733E07587
INE733E07967
INE733E07595
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.37% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXV. Letter of Allotment.STRPP- I . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.06% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXVI. Letter of Allotment.STRPP- I . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP K. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP K. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP K. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - A. Date of Maturity 15/09/2016
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- A . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.37% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXV. Letter of Allotment.STRPP- J . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.06% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXVI. Letter of Allotment.STRPP- J . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - A. Date of Maturity 15/12/2016.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP L. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.7125% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XXI. STRPP N. Letter of Allotment. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP L. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.7125% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XXI. STRPP O. Letter of Allotment. Date of
INE733E07AQ3
INE733E07CH8
INE733E07BJ6
INE733E07BX7
INE733E07FF5
INE733E07777
INE733E07FU4
INE733E07975
INE733E07AR1
INE733E07DM6
INE733E07CX5
INE733E07BK4
INE733E07BY5
INE733E07EB7
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP L. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- B. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.37% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXV. Letter of Allotment.STRPP- K. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.06% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXVI. Letter of Allotment.STRPP- K . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP A. Date of Maturity 09/06/2017
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP M. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP A. Date of Maturity 29/07/2017
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP M. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP M. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - B. Date of Maturity 15/09/2017
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- B . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.37% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXV. Letter of Allotment.STRPP- L. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.06% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXVI. Letter of Allotment.STRPP- L . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - B. Date of Maturity 15/12/2017.
INE733E07GJ5
INE733E07785
INE733E07603
INE733E07HD6
INE733E07983
INE733E07611
INE733E07AS9
INE733E07CI6
INE733E07HX4
INE733E07BL2
INE733E07BZ2
INE733E07FG3
INE733E07793
INE733E07FV2
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP A. Date of Maturity 23/12/2017
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP N. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.7125% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XXI. STRPP P. Letter of Allotment. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP A.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP N. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.7125% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XXI. STRPP Q. Letter of Allotment. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP N. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- C . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-A.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.37% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXV. Letter of Allotment.STRPP- M . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.06% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXVI. Letter of Allotment.STRPP- M . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP B. Date of Maturity 09/06/2018
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP O. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP B. Date of Maturity 29/07/2018
INE733E07991
INE733E07AT7
INE733E07DN4
INE733E07CY3
INE733E07CC9
INE733E07BM0
INE733E07CA3
INE733E07EC5
INE733E07GK3
INE733E07801
INE733E07629
INE733E07HE4
INE733E07CD7
INE733E07AA7
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP O. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP O. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - C. Date of Maturity 15/09/2018
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- C . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
11.00% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture. Letter of Allotment. Date of Maturity: 21/11/2018
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.37% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXV. Letter of Allotment.STRPP- N . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.06% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXVI. Letter of Allotment.STRPP- N . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - C. Date of Maturity 15/12/2018.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP B. Date of Maturity 23/12/2018
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP- P. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.7125% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XXI. STRPP R. Letter of Allotment. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures . Letter of Allotment. Series-XLIII - STRPP B.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.65% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture. Letter of Allotment. Date of Maturity: 04/02/2019
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP P. Letter of Allotment .Date of
INE733E07637
INE733E07AU5
INE733E07CJ4
INE733E07CE5
INE733E07HY2
INE733E07FH1
INE733E07819
INE733E07FW0
INE733E07AB5
INE733E07AV3
INE733E07DO2
INE733E07CZ0
INE733E07ED3
INE733E07GL1
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.7125% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XXI. STRPP S. Letter of Allotment. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP P. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- D. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.89% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture. Series-XXX .Letter of Allotment. Date of Maturity:
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-B.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP C. Date of Maturity 09/06/2019
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP Q. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP C. Date of Maturity 29/07/2019
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP Q. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP Q. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - D. Date of Maturity 15/09/2019
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- D . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - D. Date of Maturity 15/12/2019.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP C. Date of Maturity 23/12/2019
INE733E07827
INE733E07645
INE733E07HF1
INE733E07AC3
INE733E07AW1
INE733E07CF2
INE733E07CK2
INE733E07CV9
INE733E07HZ9
INE733E07FI9
INE733E07835
INE733E07FX8
INE733E07AD1
INE733E07AX9
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP R. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
7.7125% Secured Non cumulative non convertible Redeemable Taxable Bonds in nature of debenture Series XXI. STRPP T. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP C.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP R. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP R. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.78% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXI. Letter of Allotment .Date of Maturity:
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- E . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.73% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIII. Letter of Allotment .Date of Maturity:
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-C.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP D. Date of Maturity 09/06/2020
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP S. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP D. Date of Maturity 29/07/2020
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP S. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP S. Letter of Allotment .Date of
INE733E07DP9
INE733E07DA1
INE733E07EE1
INE733E07GM9
INE733E07843
INE733E07HG9
INE733E07AE9
INE733E07AY7
INE733E07CL0
INE733E07IA0
INE733E07FJ7
INE733E07FY6
INE733E07DQ7
INE733E07DB9
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - E. Date of Maturity 15/09/2020
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- E . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - E. Date of Maturity 15/12/2020.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP D. Date of Maturity 23/12/2020
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.1771% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXII. STRPP T. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP D.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.3796% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIII. STRPP T. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.6077% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXIV. STRPP T. Letter of Allotment .Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- F. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-D.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP E. Date of Maturity 09/06/2021
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP E. Date of Maturity 29/07/2021
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - F. Date of Maturity 15/09/2021
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- F . Date of
INE733E07EF8
INE733E07GN7
INE733E07HH7
INE733E07CM8
INE733E07IB8
INE733E07FK5
INE733E07FZ3
INE733E07DR5
INE733E07DC7
INE733E07EG6
INE733E07GO5
INE733E07GY4
INE733E07HI5
INE733E07CN6
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - F. Date of Maturity 15/12/2021.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP E. Date of Maturity 23/12/2021
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP E.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- G . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-E.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP F. Date of Maturity 09/06/2022
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP F. Date of Maturity 29/07/2022
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - G. Date of Maturity 15/09/2022
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- G . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - G. Date of Maturity 15/12/2022.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP F. Date of Maturity 23/12/2022
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.00% Secured Non Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLII, STRPP A. Date of Maturity 25/01/2023
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP F.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- H . Date of
INE733E07HS4
INE733E07IC6
INE733E07FL3
INE733E07GA4
INE733E07DS3
INE733E07DD5
INE733E07CB1
INE733E07EH4
INE733E07GP2
INE733E07GZ1
INE733E07HJ3
INE733E07JN1
INE733E07CO4
INE733E07HT2
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.25% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIV - STRPP A. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-F.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP G. Date of Maturity 09/06/2023
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP G. Date of Maturity 29/07/2023
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - H. Date of Maturity 15/09/2023
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- H . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
11.25% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture. Letter of Allotment. Final Date of Redemption:
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - H. Date of Maturity 15/12/2023.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP G. Date of Maturity 23/12/2023
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.00% Secured Non Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLII, STRPP B. Date of Maturity 25/01/2024
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP G.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.34% SECURED NON-CONVERTIBLE REDEEMABLE BONDS IN THE NATURE OF DEBENTURES. SERIES L II. LETTER OF ALLOTMENT. DATE OF
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- I . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.25% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIV - STRPP B. Date of
INE733E07ID4
INE733E07FM1
INE733E07GB2
INE733E07DT1
INE733E07DE3
INE733E07EI2
INE733E07GQ0
INE733E07HA2
INE733E07HK1
INE733E07CP1
INE733E07HU0
INE733E07IE2
INE733E07FN9
INE733E07GC0
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-G.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP H. Date of Maturity 09/06/2024
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP H. Date of Maturity 29/07/2024
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - I. Date of Maturity 15/09/2024.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- I . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - I. Date of Maturity 15/12/2024.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP H. Date of Maturity 23/12/2024
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.00% Secured Non Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLII, STRPP C. Date of Maturity 25/01/2025
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP H.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- J . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.25% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIV -STRPP-C. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-H.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP I. Date of Maturity 09/06/2025
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP I. Date of Maturity 29/07/2025
INE733E07DU9
INE733E07DF0
INE733E07EJ0
INE733E07GR8
INE733E07HB0
INE733E07HL9
INE733E07CQ9
INE733E07HV8
INE733E07IF9
INE733E07FO7
INE733E07GD8
INE733E07DV7
INE733E07DG8
INE733E07EK8
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - J. Date of Maturity 15/09/2025.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- J . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - J. Date of Maturity 15/12/2025.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP I. Date of Maturity 23/12/2025
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.00% Secured Non Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLII, STRPP D. Date of Maturity 25/01/2026
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP I.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- K . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.25% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIV -STRPP-D. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-I.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP J. Date of Maturity 09/06/2026
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP J. Date of Maturity 29/07/2026
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - K. Date of Maturity 15/09/2026.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- K . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - K. Date of Maturity 15/12/2026.
INE733E07GS6
INE733E07HC8
INE733E07HM7
INE733E07CR7
INE733E07HW6
INE733E07IG7
INE733E07FP4
INE733E07GE6
INE733E07DW5
INE733E07DH6
INE733E07EL6
INE733E07GT4
INE733E07HN5
INE733E07CS5
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP J. Date of Maturity 23/12/2026
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.00% Secured Non Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLII, STRPP E. Date of Maturity 25/01/2027
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP J.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- L . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.25% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIV -STRPP-E. Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-J.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP K. Date of Maturity 09/06/2027
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP K. Date of Maturity 29/07/2027
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - L. Date of Maturity 15/09/2027
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- L . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - L. Date of Maturity 15/12/2027.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP K. Date of Maturity 23/12/2027
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP K.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- M . Date of
INE733E07IH5
INE733E07FQ2
INE733E07GF3
INE733E07DX3
INE733E07DI4
INE733E07EM4
INE733E07GU2
INE733E07HO3
INE733E07CT3
INE733E07II3
INE733E07FR0
INE733E07GG1
INE733E07DY1
INE733E07DJ2
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-K.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP L. Date of Maturity 09/06/2028
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP L. Date of Maturity 29/07/2028
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - M. Date of Maturity 15/09/2028
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- M . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - M. Date of Maturity 15/12/2028.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP L. Date of Maturity 23/12/2028
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP L.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- N . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-L.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP M. Date of Maturity 09/06/2029
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP M. Date of Maturity 29/07/2029
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - N. Date of Maturity 15/09/2029
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- N . Date of
INE733E07EN2
INE733E07GV0
INE733E07HP0
INE733E07CU1
INE733E07IJ1
INE733E07FS8
INE733E07GH9
INE733E07DZ8
INE733E07DK0
INE733E07EO0
INE733E07GW8
INE733E07HQ8
INE733E07IK9
INE733E07FT6
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - N. Date of Maturity 15/12/2029.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP M. Date of Maturity 23/12/2029
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP M.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8493% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXII. Letter of Allotment.STRPP- O . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-M.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP N. Date of Maturity 09/06/2030
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP N. Date of Maturity 29/07/2030
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.785% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. Series - XXXV - O. Date of Maturity 15/09/2030.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.7100% Secured Non cumulative non convertible Redeemable Taxable Bonds in the nature of debenture Series XXXIV. Letter of Allotment.STRPP- O . Date of
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
8.8086% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bond. (in the nature of Debentures) Series - XXXVI - O. Date of Maturity 15/12/2030.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP N. Date of Maturity 23/12/2030
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP N.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-N.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.3896% Secured Non-Cumulative,Non-Convertible Taxable Bond. Letter of Allotment. Series- XXXIX- STRPP O. Date of Maturity 09/06/2031
INE733E07GI7
INE733E07GX6
INE733E07HR6
INE733E07IL7
INE206D08113
INE206D08121
INE206D08147
INE206D08154
INE206D08139
INE206D08170
INE206D08188
INE206D08196
INE206D08204
INE206D08162
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.558% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XL- STRPP O. Date of Maturity 29/07/2031
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.6713% Secured Non- Cumulative, Non-Convertible Taxable Bond. Letter of Allotment. Series- XLI- STRPP O. Date of Maturity 23/12/2031
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.2573% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bond in the nature of Debentures. Letter of Allotment. Series-XLIII - STRPP O.
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
9.4376% Secured Non-Cumulative, Non-Convertible Redeemable Taxable Bonds in the nature of Debentures. Letter of Allotment. Series-XLV -STRPP-O.
NUCLEAR POWER CORPORATION OF INDIA LIMITED
8.50% Unsecured Non Convertible Bond. Letter of allotment. Date of Maturity : 16/11/2019
NUCLEAR POWER CORPORATION OF INDIA LIMITED
1year INBMK + 189bps (7.06% for 1st year) Unsecured Non Convertible Bond. Letter of allotment. Date of Maturity : 16/11/2019
NUCLEAR POWER CORPORATION OF INDIA LIMITED
8.54% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES XXVII (TRANCHE B). DATE OF MATURITY 15/03/2023
NUCLEAR POWER CORPORATION OF INDIA LIMITED
8.56% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES XXVII (TRANCHE C). DATE OF MATURITY 15/03/2023
NUCLEAR POWER CORPORATION OF INDIA LIMITED
8.56% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES XXVII (TRANCHE A). DATE OF MATURITY 18/03/2023
NUCLEAR POWER CORPORATION OF INDIA LIMITED
9.18% UNSECURED NON-CONVERTIBLE DEBENTURES. SERIES XXVIII TRANCHE A. DATE OF MATURITY 23/01/2025
NUCLEAR POWER CORPORATION OF INDIA LIMITED
9.18% UNSECURED NON-CONVERTIBLE DEBENTURES. SERIES XXVIII TRANCHE B. DATE OF MATURITY 23/01/2026
NUCLEAR POWER CORPORATION OF INDIA LIMITED
9.18% UNSECURED NON-CONVERTIBLE DEBENTURES. SERIES XXVIII TRANCHE C. DATE OF MATURITY 23/01/2027
NUCLEAR POWER CORPORATION OF INDIA LIMITED
9.18% UNSECURED NON-CONVERTIBLE DEBENTURES. SERIES XXVIII TRANCHE D. DATE OF MATURITY 23/01/2028
NUCLEAR POWER CORPORATION OF INDIA LIMITED
9.18% UNSECURED NON-CONVERTIBLE DEBENTURES. SERIES XXVIII TRANCHE E. DATE OF MATURITY 23/01/2029
INE206D09160
INE206D09178
INE206D09186
INE206D09194
INE206D09202
INE206D07115
INE534O08040
INE534O08057
INE534O08065
INE534O08073
OB INFRASTRUCTURE LIMITED INE129L07021
OB INFRASTRUCTURE LIMITED INE129L07013
OB INFRASTRUCTURE LIMITED INE129L07039
INE635O09019
NUCLEAR POWER CORPORATION OF INDIA LTD.
6.15% Taxable Secured Non-Convertible Bonds in the form of Promissory Notes, Series XX (STRPP). Letter of Allotment
NUCLEAR POWER CORPORATION OF INDIA LTD.
6.15% Taxable Secured Non-Convertible Bonds in the form of Promissory Notes, Series XX (STRPP). Letter of Allotment
NUCLEAR POWER CORPORATION OF INDIA LTD.
6.15% Taxable Secured Non-Convertible Bonds in the form of Promissory Notes, Series XX (STRPP). Letter of Allotment
NUCLEAR POWER CORPORATION OF INDIA LTD.
6.15% Taxable Secured Non-Convertible Bonds in the form of Promissory Notes, Series XX (STRPP). Letter of Allotment
NUCLEAR POWER CORPORATION OF INDIA LTD.
6.15% Taxable Secured Non-Convertible Bonds in the form of Promissory Notes, Series XX (STRPP). Letter of Allotment
NUCLEAR POWER CORPORATION OF INDIA LTD.
4.75% Taxable Redeemable Non-Convertible Bonds. Letter Of Allotment. Series 24
NUNLET PROJECTS PRIVATE LIMITED
SERIES B UNSECURED COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 19/03/2018
NUNLET PROJECTS PRIVATE LIMITED
SERIES B UNSECURED COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 01/09/2018
NUNLET PROJECTS PRIVATE LIMITED
SERIES B UNSECURED COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 26/03/2019
NUNLET PROJECTS PRIVATE LIMITED
SERIES B UNSECURED COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 21/11/2020
11.60% SECURED NON-CONVERTIBLE DEBENTURES. SERIES B. LETTER OF ALLOTMENT. DATE OF MATURITY 15/12/2019
11.60% SECURED NON-CONVERTIBLE DEBENTURES. SERIES A. LETTER OF ALLOTMENT. DATE OF MATURITY 15/12/2021
11.60% SECURED NON-CONVERTIBLE DEBENURES. SERIES C. LETTER OF ALLOTMENT. DTE OF MATURITY 15/06/2022
OCEANUS DWELLINGS PRIVATE LIMITED
18% SECURED NON-CONVERTIBEL DEBENTURES. DATE OF MATURITY 29/02/2016
OCL INDIA LIMITED INE290B07055
INE536N07031
INE536N07015
INE536N07023
ONGC VIDESH LIMITED INE064K08012
ONGC VIDESH LIMITED INE064K08020
ORB ENERGY PRIVATE LIMITED INE988P07013
ORBIT CORPORATION LIMITED INE628H07038
ORBIT CORPORATION LIMITED INE628H07046
ORIENTAL BANK OF COMMERCE INE141A09058
ORIENTAL BANK OF COMMERCE INE141A09082
ORIENTAL BANK OF COMMERCE INE141A09066
ORIENTAL BANK OF COMMERCE INE141A09132
ORIENTAL BANK OF COMMERCE INE141A09090
10.80% Secured Non Convertible Debenture Letter of Allotment Final Date of Redemption : 06/02/2017
OMKAR REALTORS & DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT.DATE OF MATURITY 21/12/2015
OMKAR REALTORS & DEVELOPERS PRIVATE LIMITED
21% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 30/03/2016
OMKAR REALTORS & DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 31/01/2017
8.40% Unsecured Redeemable Non Convertible Bonds in the nature of Debentures ( Series I) Date of Maturity : 23/12/2014
8.54% Unsecured Redeemable Non Convertible Bonds in the nature of Debentures ( Series - II) Date of Maturity : 06/01/2020
15.40% SECURED NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 05/11/2018.
14.00% Secured Non-Convertible Debenture Letter of Allotment Date of Maturity: 30/09/2015.
13.32% SECURED NON-CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT DATE OF MATURITY: 01/07/2017
8.50 % Unsecured Redeemable Non Convertible Bonds in the nature of Promissory Notes Tier II . Date of Maturity: 20/04/2016.
9.95% Unsecured Non Convertible Lower Tier -II bonds 2007 in form of promissory notes Date of maturity: 23/04/2017
9.25 % Unsecured Redeemable Non Convertible Bonds in the nature of Promissory Notes Upper Tier II . Date of Maturity: 21/07/2021.8.93% Unsecured Redeemable Non Convertible Lower Tier -II Bonds in the nature of debentures Date of maturity: 30/11/2022.
Reset rate Unsecured Non Convertible Upper Tier -II bonds 2008-09 in form of promissory notes Date of maturity: 12/02/2024
ORIENTAL BANK OF COMMERCE INE141A09124
ORIENTAL BANK OF COMMERCE INE141A09108
ORIENTAL BANK OF COMMERCE INE141A09116
ORIENTAL BANK OF COMMERCE INE141A09074
ORIENTAL HOTELS LIMITED INE750A07019
INE920L07072
INE920L07080
INE920L07098
INE920L07106
INE920L07114
INE920L07122
INE920L07130
INE920L07148
INE920L07064
Reset Rate Unsecured Non-Convertible Subordinated Upper Tier - II Bonds in the form of promissory note.. Letter of Allotment. Date of Maturity : Reset rate Unsecured Non Convertible Subordinated Perpetual Tier -I bonds in form of promissory notes.
Reset Rate Unsecured Non-Convertible Subordinated Perpetual Tier - I Bonds in the form of promissory note.. Letter of Allotment.9.40% Unsecured Non Convertible Perpetual Tier -I bonds 2006B in form of promissory notes.
10.40% Secured Non Convertible Debentures. Date of Maturity: 10/01/2015
ORRIS INFRASTRUCTURE PRIVATE LIMITED
19.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY 01/08/2015
ORRIS INFRASTRUCTURE PRIVATE LIMITED
19.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES II. DATE OF MATURITY 01/11/2015
ORRIS INFRASTRUCTURE PRIVATE LIMITED
19.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES III. DATE OF MATURITY 01/02/2016
ORRIS INFRASTRUCTURE PRIVATE LIMITED
19.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES IV. DATE OF MATURITY 01/05/2016
ORRIS INFRASTRUCTURE PRIVATE LIMITED
19.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES V. DATE OF MATURITY 01/08/2016
ORRIS INFRASTRUCTURE PRIVATE LIMITED
19.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES VI. DATE OF MATURITY 01/11/2016
ORRIS INFRASTRUCTURE PRIVATE LIMITED
19.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES VII. DATE OF MATURITY 01/02/2017
ORRIS INFRASTRUCTURE PRIVATE LIMITED
19.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES VIII. DATE OF MATURITY 01/05/2017
ORRIS INFRASTRUCTURE PRIVATE LIMITED
20% SECURED NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 22/10/2017
INE634Q07011
OZONE HOMES PRIVATE LIMITED INE632N07012
OZONE HOMES PRIVATE LIMITED INE632N07020
INE636I07013
INE514Q07015
PANATONE FINVEST LIMITED INE116F08085
INE623B07032
INE623B07065
INE623B07073
INE647O08016
INE647O08024
INE883N08019
INE883N08027
INE883N08035
OZONE DEVELOPERS BANGALORE PRIVATE LIMITED
19.25% SECURED NON CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY 10/03/2018
19% SECURED NON CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY 31/12/2016
19% SECURED NON CONVERTIBLE DEBENTURES. SERIES II. DATE OF MATURITY 31/12/2016
OZONE PROJECTS PRIVATE LIMITED
12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY 20/05/2021
PAHAL FINANCIAL SERVICES PRIVATE LIMITED
13.9% XIRR SECURED NON CONVERTIBLE DEDEBENTURES. DATE OF MATURITY 15/04/2016
RESET RATE UNSECURED NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 31/03/2016
PANTALOON RETAIL (INDIA) LIMITED
11.50% Secured Redeemable Non convertible debentures .Letter of Allotment. Date of Maturity : 31/07/2014
PANTALOON RETAIL (INDIA) LIMITED
12.10% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 30/08/2017
PANTALOON RETAIL (INDIA) LIMITED
11.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT. DATE OF MATURITY 20/03/2019
PANTALOONS FASHION & RETAIL LIMITED
9.25% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 07/05/2016
PANTALOONS FASHION & RETAIL LIMITED
9.20% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 22/05/2018
PARAG MILK FOODS PRIVATE LIMITED
ZERO COUPON COMPULSORILY CONVERTIBLE DEBENTURE. DATE OF MATURITY 15.05.2018
PARAG MILK FOODS PRIVATE LIMITED
ZERO COUPON COMPULSORILY CONVERTIBLE DEBENTURE. DATE OF MATURITY 05.02.2019
PARAG MILK FOODS PRIVATE LIMITED
ZERO COUPON COMPULSORILY CONVERTIBLE DEBENTURE. DATE OF MATURITY 22.11.2019
INE883N08043
PAREKH ALUMINEX LIMITED INE620C07028
PAREKH ALUMINEX LIMITED INE620C07077
PAREKH ALUMINEX LIMITED INE620C07093
PAREKH ALUMINEX LIMITED INE620C07036
PAREKH ALUMINEX LIMITED INE620C07044
PAREKH ALUMINEX LIMITED INE620C07101
PAREKH ALUMINEX LIMITED INE620C07119
PAREKH ALUMINEX LIMITED INE620C07127
PAREKH ALUMINEX LIMITED INE620C07135
INE939P07016
INE939P07024
INE561H07148
INE561H07155
PARAG MILK FOODS PRIVATE LIMITED
ZERO COUPON COMPULSORILY CONVERTIBLE DEBENTURE. DATE OF MATURITY 16.09.2022
9.75% Secured Redeemable Non Convertible Debenture in the form of Separately Transferable Redeemable Principal Parts (STRPPs) Series -II. Letter of 10.20% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs Series- VII. Date of Maturity 01/12/2015.
11.00% Secured Non-Convertible Debenture. Letter of Allotment. Series- STRPPs- IX. Date of Maturity 13/01/2015.
9.75% Secured Redeemable Non Convertible Debenture in the form of Separately Transferable Redeemable Principal Parts (STRPPs) Series -III. Letter of 9.75% Secured Redeemable Non Convertible Debenture in the form of Separately Transferable Redeemable Principal Parts (STRPPs) Series -IV. Letter of 11.00% Secured Non-Convertible Debenture. Letter of Allotment. Series- STRPPs- X. Date of Maturity 13/01/2016.
6% SECURED REDEEMABLE TAXABLE NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 31/03/20166% SECURED REDEEMABLE TAXABLE NON-CONVERTIBLE DEBENTURES. SERIES B. LETTER OF ALLOTMENT. DATE OF MATURITY 31/03/20166% SECURED REDEEMABLE TAXABLE NON-CONVERTIBLE DEBENTURES. SERIES A. LETTER OF ALLOTMENT. DATE OF MATURITY 31/03/2016
PARINEE REALTY PRIVATE LIMITED
20.50% SECURED NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 31/12/2016
PARINEE REALTY PRIVATE LIMITED
24% SECURED NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 23/11/2017
PARSVNATH DEVELOPERS LIMITED
18% SECURED NON-CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT. SERIES- XII. DATE OF MATURITY 31/12/2015
PARSVNATH DEVELOPERS LIMITED
18% SECURED NON-CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT. SERIES- XIII. DATE OF MATURITY 31/12/2015
INE244P07011
INE244P08019
INE244P08043
INE244P08027
INE244P08035
INE712L08014
INE335O08018
INE335O08026
INE187O07031
INE187O07049
PATEL ENGINEERING LIMITED INE244B07110
PATEL ENGINEERING LIMITED INE244B07094
PATEL ENGINEERING LIMITED INE244B07078
PATEL ENGINEERING LIMITED INE244B07128
PARSVNATH ESTATE DEVELOPERS PRIVATE LIMITED
21% SECURED NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 01/08/2017
PARSVNATH ESTATE DEVELOPERS PRIVATE LIMITED
15.50% UNSECURED FULLY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 20/10/2020
PARSVNATH ESTATE DEVELOPERS PRIVATE LIMITED
15.50% UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 20/10/2020
PARSVNATH ESTATE DEVELOPERS PRIVATE LIMITED
17.25% UNSECURED FULLY CONVERTIBLE DEBENTURES. SERIES B. DATE OF CONVERSION 13/10/2021
PARSVNATH ESTATE DEVELOPERS PRIVATE LIMITED
17.75% UNSECURED FULLY CONVERTIBLE DEBENTURES. SERIES C.DATE OF CONVERSION 01/01/2022
PARSVNATH LANDMARK DEVELOPERS PVT. LIMITED
15.25% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 12/06/2024
PARSVNATH PROMOTERS AND DEVELOPERS PRIVATE LIMITED
16% UNSECURED FULLY CONVERTIBLE DEBENTURES. SERIES I. DATE OF CONVERSION 30/03/2019
PARSVNATH PROMOTERS AND DEVELOPERS PRIVATE LIMITED
16% UNSECURED FULLY CONVERTIBLE DEBENTURES. SERIES II. DATE OF CONVERSION 30/03/2019
PARSVNATH RAIL LAND PROJECT PRIVATE LIMITED
15% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 18/12/2022
PARSVNATH RAIL LAND PROJECT PRIVATE LIMITED
15% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES NCD B. DATE OF MATURITY 20/08/202311.40% Secured Non-Convertible Debenture in the form of STRPPs.Series-I Letter of Allotment. Date ofMaturity 11/07/201410.75% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs,Series- II, Date ofMaturity 03/03/2015
9.55% Secured Non convertible debentures. in the form of Separately Tranferable Redeemable Principal Parts - Series - III Letter of allotment. 11.40% Secured Non-Convertible Debenture in the form of STRPPs.Series-II Letter of Allotment. Date ofMaturity 11/07/2015
PATEL ENGINEERING LIMITED INE244B07102
PATEL ENGINEERING LIMITED INE244B07136
PATEL ENGINEERING LIMITED INE244B07045
PATEL ENGINEERING LIMITED INE244B07144
INE555J07021
INE555J07039
INE555J07047
INE555J07054
INE555J07013
INE555J07062
INE057L07016
PCR INVESTMENTS LIMITED INE488N07076
PCR INVESTMENTS LIMITED INE488N07084
PCR INVESTMENTS LIMITED INE488N07050
10.75% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs,Series- III, Date ofMaturity 03/03/2016
11.40% Secured Non-Convertible Debenture in the form of STRPPs.Series-III Letter of Allotment. Date ofMaturity 11/07/20169.80 % Secured Non convertible debentures. Letter of allotment. Date of Maturity: 20.07.2016
11.3% Secured Non-Convertible Debenture. Letter of Allotment. Date ofMaturity 17/09/2022
PATEL KNR HEAVY INFRASTRUCTURES PRIVATE LIMITED
9.5% SECURED NON-CONVERTIBEL DEBENTURES. LETTER OF ALLOTMENT. SERIES B. DATE OF MATURITY 31.03.2016
PATEL KNR HEAVY INFRASTRUCTURES PRIVATE LIMITED
9.75% SECURED NON-CONVERTIBEL DEBENTURES. LETTER OF ALLOTMENT. SERIES C. DATE OF MATURITY 31/03/2018
PATEL KNR HEAVY INFRASTRUCTURES PRIVATE LIMITED
9.75% SECURED NON-CONVERTIBEL DEBENTURES. LETTER OF ALLOTMENT. SERIES D. DATE OF MATURITY 31/03/2020
PATEL KNR HEAVY INFRASTRUCTURES PRIVATE LIMITED
10% SECURED NON-CONVERTIBEL DEBENTURES. LETTER OF ALLOTMENT. SERIES E. DATE OF MATURITY 31/03/2023
PATEL KNR HEAVY INFRASTRUCTURES PRIVATE LIMITED
10.04% SECURED NON-CONVERTIBEL DEBENTURES. LETTER OF ALLOTMENT. SERIES A. DATE OF MATURITY 30/09/2025
PATEL KNR HEAVY INFRASTRUCTURES PRIVATE LIMITED
10.35% SECURED NON-CONVERTIBEL DEBENTURES. LETTER OF ALLOTMENT. SERIES F. DATE OF MATURITY 31/03/2027
PATEL KNR INFRASTRUCTURES LIMITED
9.57% Secured Redeemable Non Convertible Debenture.Letter of Allotment. Date of Maturity : 14/04/2027
ZERO COUPON SECURED MARKET LINKED PRINCIPAL PROTECTED NON CONVERTIBLE DEBENTURES 2018. TRANCHE II SERIES I. DATE OF MATURITY 29/12/2018ZERO COUPON SECURED MARKET LINKED PRINCIPAL PROTECTED NON CONVERTIBLE DEBENTURES 2018. TRANCHE II SERIES II. DATE OF MATURITY 29/12/2018ZERO COUPON SECURED MARKET LINKED PRINCIPAL PROTECTED NON CONVERTIBLE DEBENTURES 2018. TRANCHE I SERIES I. DATE OF MATURITY 10/01/2019
PCR INVESTMENTS LIMITED INE488N07068
INE984N09013
PENINSULA LAND LIMITED INE138A07322
PENINSULA LAND LIMITED INE138A07330
PENINSULA LAND LIMITED INE138A07355
PENINSULA LAND LIMITED INE138A07306
PENINSULA LAND LIMITED INE138A07314
PENINSULA LAND LIMITED INE138A07066
PENINSULA LAND LIMITED INE138A07199
PENINSULA LAND LIMITED INE138A07207
PENINSULA LAND LIMITED INE138A07074
PENINSULA LAND LIMITED INE138A07173
PENINSULA LAND LIMITED INE138A07181
PENINSULA LAND LIMITED INE138A07223
ZERO COUPON SECURED MARKET LINKED PRINCIPAL PROTECTED NON CONVERTIBLE DEBENTURES 2018. TRANCHE I SERIES II. DATE OF MATURITY 10/01/2019
PEBBLE BAY DEVELOPERS PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES LETTER OF ALLOTMENT. DATE OF MATURITY: 31/12/2016
13.00% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE XV. LETTER OF ALLOTMENT. DATE OF MATURITY 06/11/2016ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE XVI. LETTER OF ALLOTMENT. DATE OF MATURITY 06/11/2016ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE XVIII. LETTER OF ALLOTMENT. DATE OF MATURITY 22/11/201612.41% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE XIII. LETTER OF ALLOTMENT. DATE OF MATURITY 06/11/201813.00% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE XIV. LETTER OF ALLOTMENT. DATE OF MATURITY 06/11/201813.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 31/07/2014.
12.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.TRANCHE IX. LETTER OF ALLOTMENT. DATE OF MATURITY 12/12/2014.13% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.TRANCHE IX. LETTER OF ALLOTMENT. DATE OF MATURITY 12/12/2014.13.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 31/07/2015.
13.31% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.TRANCHE VII. LETTER OF ALLOTMENT. DATE OF MATURITY 30/11/2015.13.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.TRANCHE VIII. LETTER OF ALLOTMENT. DATE OF MATURITY 30/11/2015.13.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.TRANCHE IX. LETTER OF ALLOTMENT. DATE OF MATURITY 12/12/2015.
PENINSULA LAND LIMITED INE138A07215
PENINSULA LAND LIMITED INE138A07165
PENINSULA LAND LIMITED INE138A07082
PENINSULA LAND LIMITED INE138A07231
PENINSULA LAND LIMITED INE138A07249
PENINSULA LAND LIMITED INE138A07256
PENINSULA LAND LIMITED INE138A07264
PENINSULA LAND LIMITED INE138A07272
PENINSULA LAND LIMITED INE138A07280
PENINSULA LAND LIMITED INE138A07348
INE138A07298
INE138A07033
INE138A07041
INE138A07058
13% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.TRANCHE IX. LETTER OF ALLOTMENT. DATE OF MATURITY 12/12/2015.13% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 05/11/2017.
13.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 31/07/2017.
13.09% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.TRANCHE IX. LETTER OF ALLOTMENT. DATE OF MATURITY 12/12/2017.13% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE X (SERIES 1). LETTER OF ALLOTMENT. DATE OF MATURITY 25/02/201813% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE X (SERIES 2). LETTER OF ALLOTMENT. DATE OF MATURITY 25/02/201813% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE X (SERIES 3). LETTER OF ALLOTMENT. DATE OF MATURITY 26/02/201813% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE X (SERIES 4). LETTER OF ALLOTMENT. DATE OF MATURITY 26/02/201813% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE X (SERIES 5). LETTER OF ALLOTMENT. DATE OF MATURITY 26/02/201813% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE XVII. LETTER OF ALLOTMENT. DATE OF MATURITY 22/11/2018
PENINSULA LAND LIMITED (FORMERLY MORARJEE REALTIES LIMITED)
13.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE XII. LETTER OF ALLOTMENT. DATE OF MATURITY 17/12/2014
PENINSULA LAND LIMITED (FORMERLY MORARJEE REALTIES LIMITED)
13.75% Secured Non Convertible Debentures. Letter of Allotment. Date of Maturity 28/06/2015
PENINSULA LAND LIMITED (FORMERLY MORARJEE REALTIES LIMITED)
13% Secured Non Convertible Debentures. Letter of Allotment. Date of Maturity 28/06/2017
PENINSULA LAND LIMITED (FORMERLY MORARJEE REALTIES LIMITED)
13.75% Secured Non Convertible Debentures. Letter of Allotment. Date of Maturity 28/06/2017
INE138A07363
INE862I07015
INE543P08014
PETRONET LNG LIMITED INE347G08019
PETRONET MHB LIMITED INE464I07010
PETRONET MHB LIMITED INE464I07028
PHL FINANCE PRIVATE LIMITED INE641O08019
PHL FINANCE PRIVATE LIMITED INE641O08027
INE146P07018
INE698K15038
INE698K15046
PIRAMAL ENTERPRISES LIMITED INE140A08RZ2
PLUS BKSP TOLL LIMITED INE596L08011
PNB HOUSING FINANCE LIMITED INE572E09122
PENINSULA LAND LIMITED (FORMERLY MORARJEE REALTIES LIMITED)
13% SECURED NON CONVERTIBLE DEBENTURES. TRANCHE XIX. LETTER OF ALLOTMENT. DATE OF MATURITY 13/12/2018
PENNA CEMENT INDUSTRIES LIMITED
12.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I. LETTER OF ALLOTMENT. DATE OF MATURITY 14/06/2019
PERIDOT PROPERTIES PRIVATE LIMITED
12% UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 07/12/2023
8.35% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY 14/06/2018
Zero coupon Secured conditionally convertible debentures.Date of maturity : 30/06/2015.
Zero coupon Secured conditionally convertible debentures.Date of maturity : 30/06/2015.
10.65% UNSECURED REDEEMABLE TAXABLE NON-CONVERTIBLE DEBENTURES. SERIES 1. DATE OF MATURITY 12/03/201510.65% UNSECURED REDEEMABLE TAXABLE NON-CONVERTIBLE DEBENTURES. SERIES 2. DATE OF MATURITY 12/03/2016
PHOENIX LIVING SPACES PRIVATE LIMITED
12% SECURED REDEEMBALE NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 31/05/2016
PIIL LOAN PARTICIPATION TRUST SERIES 77
Pass through certificates. Series - 2A. (Trustee: IDBI Trusteeship Services Ltd. Receivables: Loan Receivable of ICICI Bank Ltd)
PIIL LOAN PARTICIPATION TRUST SERIES 77
Pass through certificates. Series - 2B. (Trustee: IDBI Trusteeship Services Ltd. Receivables: Loan Receivable of ICICI Bank Ltd)
9.66% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 08/02/2018
12.60% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 09/10/2017.
8.55% Secured Redeemable Non Convertible Bonds in the nature of promissory note. Series : IX-A. Letter of Allotment.Date of Maturity: 09/11/2014
PNB HOUSING FINANCE LIMITED INE572E09015
PNB HOUSING FINANCE LIMITED INE572E09023
PNB HOUSING FINANCE LIMITED INE572E09031
PNB HOUSING FINANCE LIMITED INE572E09213
PNB HOUSING FINANCE LIMITED INE572E09064
PNB HOUSING FINANCE LIMITED INE572E09221
PNB HOUSING FINANCE LIMITED INE572E09130
PNB HOUSING FINANCE LIMITED INE572E09072
PNB HOUSING FINANCE LIMITED INE572E09080
PNB HOUSING FINANCE LIMITED INE572E09148
PNB HOUSING FINANCE LIMITED INE572E09155
PNB HOUSING FINANCE LIMITED INE572E09098
PNB HOUSING FINANCE LIMITED INE572E09163
PNB HOUSING FINANCE LIMITED INE572E09171
9.25% Unsecured Redeemable Non Convertible Bonds in the nature of promissory note. Date of Maturity: 06/03/2016
8.70% Secured Redeemable Non Convertible Bonds in the nature of promissory note. Date of Maturity: 09/08/2016
9.25% Secured Redeemable Non Convertible Bonds in the nature of promissory note. Date of Maturity: 30/03/2017
9.59% SECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF PROMISSORY NOTE. SERIES XVI.LETTER OF ALLOTMENT. DATE OF MATURITY 9.20% Secured Redeemable Non Convertible Bonds in the nature of promissory note. Series : VIIA. Letter of Allotment.Date of Maturity: 16/01/20199.53% SECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF PROMISSORY NOTE. SERIES XVII.A. LETTER OF ALLOTMENT.DATE OF MATURITY 8.85% Secured Redeemable Non Convertible Bonds in the nature of promissory note. Series : IX-B. Letter of Allotment.Date of Maturity: 09/11/20199.20% Secured Redeemable Non Convertible Bonds in the nature of promissory note. Series : VIIB. Letter of Allotment.Date of Maturity: 16/01/20209.20% Secured Redeemable Non Convertible Bonds in the nature of promissory note. Series : VIIC. Letter of Allotment.Date of Maturity: 16/01/20219.50% Secured Redeemable Non Convertible Bonds in the nature of promissory note. Series : X. Letter of Allotment.Date of Maturity: 26/07/20219.55% Secured Redeemable Non Convertible Bonds in the nature of promissory note. Series : XI. Letter of Allotment.Date of Maturity: 12/09/20219.20% Secured Redeemable Non Convertible Bonds in the nature of promissory note. Series : VIID. Letter of Allotment.Date of Maturity: 16/01/20229.25% Secured Redeemable Non Convertible Bonds in the nature of Promissory Note. Series : XII. Letter of Allotment.Date of Maturity: 29/06/20229.15% Secured Redeemable Non Convertible Bonds in the nature of Promissory Note. Series : XIII. Letter of Allotment.Date of Maturity: 14/09/2022
PNB HOUSING FINANCE LIMITED INE572E09189
PNB HOUSING FINANCE LIMITED INE572E09197
PNB HOUSING FINANCE LIMITED INE572E09106
PNB HOUSING FINANCE LIMITED INE572E09205
PNB HOUSING FINANCE LIMITED INE572E09239
INE107N07015
INE134E08BN7
INE134E08BR8
INE134E08BS6
INE134E08EY8
INE134E08FA5
INE134E08CL9
INE134E08DY0
INE134E08EC4
9% Secured Redeemable Non Convertible Bonds in the nature of Promissory Note. Series XIV. Letter of Allotment. Date of Maturity 21/12/20229.10% Unsecured Redeemable Non Convertible Subordinated Tier II Bonds in the nature of Promissory Note. Series II. Letter of Allotment. Date of Maturity 9.20% Secured Redeemable Non Convertible Bonds in the nature of promissory note. Series : VIIE. Letter of Allotment.Date of Maturity: 16/01/20238.58% SECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF PROMISSORY NOTE. SERIES XV.DATE OF MATURITY 16/05/20239.48% SECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF PROMISSORY NOTE. SERIES XVII.B. LETTER OF ALLOTMENT.DATE OF MATURITY
POCHAMPALLY HANDLOOM PARK LIMITED
11.5% Secured Optionally Convertible Debenture. Date of Maturity 01/01/2025
POWER FINANCE CORPORATION LIMITED
8.60% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 57 B I .Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.45% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 58-B .Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.45% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 59-A .Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.85% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS. SERIES 93-A. LETTER OF ALLOTMENT. DATE OF MATURITY
POWER FINANCE CORPORATION LIMITED
8.90% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS. SERIES 96. LETTER OF ALLOTMENT. DATE OF MATURITY
POWER FINANCE CORPORATION LIMITED
8.50% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 61.I. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
9.63% Unsecured Non-Convertible, Non-Cumulative Taxable Bond in the nature of Debenture. Letter of Allotment. Series- 82-A. Date of Maturity
POWER FINANCE CORPORATION LIMITED
9.55% Unsecured Non-Convertible, Non Cumulative Taxable Bond in the nature of Debentures. Letter of Allotment. Series- 83. Date of Maturity
INE134E08EQ4
INE134E08CQ8
INE134E08CT2
INE134E08EE0
INE134E07471
INE134E08CW6
INE134E08FU3
INE134E08DD4
INE134E08BB2
INE134E08BG1
INE134E08883
INE134E08891
INE134E08909
INE134E08FR9
POWER FINANCE CORPORATION LIMITED
9.46% Unsecured Redeemable, Non-Convertible,Non-Cumulative, Taxable Bonds in the nature of Debentures. Letter of Allotment. Series- 89 B. Date of Maturity
POWER FINANCE CORPORATION LIMITED
8.90% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 63.I. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.95% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 64.I. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
9.51% Unsecured Non-Convertible, Non-Cumulative, Taxable Bond in the nature of Debenture. Letter of Allotment. Series- 85-A. Date of Maturity
POWER FINANCE CORPORATION LIMITED
9.58% SECURED TAXABLE NON CONVERTIBLE BONDS. SERIES 110 LETTER OF ALLOTMENT. DATE OF MATURITY 05/12/2015
POWER FINANCE CORPORATION LIMITED
8.70% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 65.I. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.29% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 106-A. LETTER OF
POWER FINANCE CORPORATION LIMITED
8.25% Unsecured Non-Convertible, Non Cumulative, Taxable Bond in the nature of Debenture. Letter of Allotment. Series - 68 A, Date of Maturity
POWER FINANCE CORPORATION LIMITED
10.70% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 50-C .Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
11.30% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 52-B .Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
7.60% Unsecured Redeemable Non Convertible Non Cumulative taxable bonds in nature of debentures. Series (2015) XXV. Letter of allotment. Date of
POWER FINANCE CORPORATION LIMITED
7.95% Unsecured Redeemable Non Convertible Non Cumulative taxable bond in nature of debentures. (2016-XXVI). Letter of allotment. Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.20% Unsecured Redeemable Non Convertible Non Cumulative Taxable Bonds in the Nature of Debentures. Series XXVII-A. Letter of Allotment. Date of Maturity
POWER FINANCE CORPORATION LIMITED
8.35% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 104-A. LETTER OF
INE134E08FV1
INE134E08DP8
INE134E08DT0
INE134E08933
INE134E07398
INE134E08966
INE134E08DZ7
INE134E08ER2
INE134E08EP6
INE134E08ED2
INE134E08EJ9
INE134E08EK7
INE134E08AA6
INE134E08AB4
POWER FINANCE CORPORATION LIMITED
8.27% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 106-B. LETTER OF
POWER FINANCE CORPORATION LIMITED
9.62% Unsecured Non-Convertible Non- Cumulative,Taxable Bond. Letter of Allotment.Series- 75-B. Date of Maturity 29/06/2016
POWER FINANCE CORPORATION LIMITED
9.41% Unsecured Non-Convertible, Non-Cumulative Taxable Bond in the nature of debenture. Letter of Allotment. Series- 77- A. Date of Maturity
POWER FINANCE CORPORATION LIMITED
8.80% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures (2016) Series XXIX-A. Date of Maturity: 07/09/2016
POWER FINANCE CORPORATION LIMITED
9.80% SECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN NATURE OF DEBENTURES. SERIES 108. LETTER OF ALLOTMENT.
POWER FINANCE CORPORATION LIMITED
8.78% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures (2016) Series XXXI-A.Letter of Allotment Date of
POWER FINANCE CORPORATION LIMITED
9.64% Unsecured Non-Convertible, Non-Cumulative Taxable Bond in the nature of Debenture. Letter of Allotment. Series- 82-B. Date of Maturity
POWER FINANCE CORPORATION LIMITED
9.61% UNSECURED NONCONVERTIBLE BONDS SERIES 90-A.LETTER OF ALLOTMENT.DATE OF MATURITY 01/06/2017
POWER FINANCE CORPORATION LIMITED
9.52% Unsecured Redeemable, Non-Convertible,Non-Cumulative, Taxable Bonds in the nature of Debentures. Letter of Allotment. Series- 89 A. Date of Maturity
POWER FINANCE CORPORATION LIMITED
9.33% Unsecured Non-Convertible, Non-Cumulative Taxable Bond in the nature of Debenture. Letter of Allotment. Series- 84. Date of Maturity
POWER FINANCE CORPORATION LIMITED
9.72% Unsecured Redeemable, Non-Convertible,Non-Cumulative, Taxable Bond. Letter of Allotment. Series- 87 B. Date of Maturity 20/03/2017
POWER FINANCE CORPORATION LIMITED
9.59% Unsecured Redeemable, Non-Convertible,Non-Cumulative, Taxable Bond. Letter of Allotment. Series- 87 C. Date of Maturity 20/03/2017
POWER FINANCE CORPORATION LIMITED
9.90% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures (2017) Series XXXIII B. Letter of Allotment Date of
POWER FINANCE CORPORATION LIMITED
9.90% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures (2017) Series XXXIV. Letter of Allotment Date of
INE134E08EN1
INE134E08AC2
INE134E08ET8
INE134E08FY5
INE134E08FC1
INE134E08EV4
INE134E08EW2
INE134E08EZ5
INE134E08AI9
INE134E08FB3
INE134E08FF4
INE134E08FM0
INE134E08FS7
INE134E08AT6
POWER FINANCE CORPORATION LIMITED
9.66% Unsecured Redeemable, Non-Convertible,Non-Cumulative, Taxable Bond. Letter of Allotment. Series- 88 B. Date of Maturity 15/04/2017
POWER FINANCE CORPORATION LIMITED
9.96% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures (2017) Series XXXV. Letter of Allotment Date of
POWER FINANCE CORPORATION LIMITED
9.4% Unsecured Redeemable, Non-Convertible,Non-Cumulative, Taxable Bonds in the nature of Debentures. Letter of Allotment. Series- 91 A. Date of Maturity
POWER FINANCE CORPORATION LIMITED
9.11% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF DEBENTURES.SERIES 115 I. LETTER OF ALLOTMENT. DATE OF
POWER FINANCE CORPORATION LIMITED
8.72% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 98-I. LETTER OF
POWER FINANCE CORPORATION LIMITED
9.01% Unsecured Redeemable, Non-Convertible, Non-Cumulative, Taxable Bonds. Series- 92-A. Letter of Allotment. Date of Maturity 21/08/2017
POWER FINANCE CORPORATION LIMITED
9.27% Unsecured Redeemable, Non-Convertible, Non-Cumulative, Taxable Bonds. Series- 92-B. Letter of Allotment. Date of Maturity 21/08/2017
POWER FINANCE CORPORATION LIMITED
8.91% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS. SERIES 93-B. LETTER OF ALLOTMENT. DATE OF MATURITY
POWER FINANCE CORPORATION LIMITED
9.28% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series XL-C.Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.75% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS. SERIES 97. LETTER OF ALLOTMENT. DATE OF MATURITY
POWER FINANCE CORPORATION LIMITED
8.77% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 99-A. LETTER OF
POWER FINANCE CORPORATION LIMITED
8.90% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 102-A (I) STRPP. LETTER
POWER FINANCE CORPORATION LIMITED
8.30% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 104-B. LETTER OF
POWER FINANCE CORPORATION LIMITED
9.68% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series XLVII-C .Letter of Allotment Date of Maturity:
INE134E07406
INE134E08AW0
INE134E08FD9
INE134E08AY6
INE134E08BE6
INE134E08FK4
INE134E08BH9
INE134E08EA8
INE134E08ES0
INE134E07489
INE134E07513
INE134E08FZ2
INE134E08FE7
INE134E08BO5
POWER FINANCE CORPORATION LIMITED
9.81% SECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN NATURE OF DEBENTURES. SERIES 109. LETTER OF ALLOTMENT.
POWER FINANCE CORPORATION LIMITED
10.55% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series XLVIII-C .Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.72% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 98-II. LETTER OF
POWER FINANCE CORPORATION LIMITED
10.85% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series XLIX-B .Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
11.00% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 51-C .Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.95% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 101-A. LETTER OF
POWER FINANCE CORPORATION LIMITED
11.25% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 52-C .Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
9.70% Unsecured Non-Convertible, Non-Cumulative Taxable Bond in the nature of Debenture. Letter of Allotment. Series- 82-C. Date of Maturity
POWER FINANCE CORPORATION LIMITED
9.41% UNSECURED NON CONVERTIBLE BONDS SERIES 90-B.LETTER OF ALLOTMENT.DATE OF MATURITY 01/06/2019
POWER FINANCE CORPORATION LIMITED
9.70% SECURED STRPP TAXABLE NON CONVERTIBLE BONDS. SERIES 112-A LETTER OF ALLOTMENT. DATE OF MATURITY 31/01/2019
POWER FINANCE CORPORATION LIMITED
9.69% SECURED NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS. SERIES 113 LETTER OF ALLOTMENT. DATE OF MATURITY 02/03/2019
POWER FINANCE CORPORATION LIMITED
9.15% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF DEBENTURES.SERIES 115 II. LETTER OF ALLOTMENT. DATE OF
POWER FINANCE CORPORATION LIMITED
8.72% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 98-III. LETTER OF
POWER FINANCE CORPORATION LIMITED
8.60% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 57 B II .Letter of Allotment Date of Maturity:
INE134E08BT4
INE134E08CK1
INE134E08CM7
INE134E08CO3
INE134E07497
INE134E08FG2
INE134E08CR6
INE134E08EL5
INE134E08CU0
INE134E08EG5
INE134E08CX4
INE134E08CZ9
INE134E08DE2
INE134E08DG7
POWER FINANCE CORPORATION LIMITED
8.80% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 59-B .Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
IY INCMT(BMK) +179bps Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 60-B .Letter of
POWER FINANCE CORPORATION LIMITED
8.50% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 61.II. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.70% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 62.A. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
9.70% SECURED STRPP TAXABLE NON CONVERTIBLE BONDS. SERIES 112-B LETTER OF ALLOTMENT. DATE OF MATURITY 31/01/2020
POWER FINANCE CORPORATION LIMITED
8.82% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 99-B. LETTER OF
POWER FINANCE CORPORATION LIMITED
8.90% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 63.II. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
9.42% Unsecured Redeemable, Non-Convertible,Non-Cumulative, Taxable Bond. Letter of Allotment. Series- 87 D. Date of Maturity 20/03/2020
POWER FINANCE CORPORATION LIMITED
8.95% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 64.II. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
9.30% Unsecured Non-Convertible, Non-Cumulative, Taxable Bond in the nature of Debenture. Letter of Allotment. Series- 85-C. Date of Maturity
POWER FINANCE CORPORATION LIMITED
8.70% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 65.II. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.65% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 66-A. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.70% Unsecured Non-Convertible, Non Cumulative, Taxable Bond in the nature of Debenture. Letter of Allotment. Series - 68 B, Date of Maturity
POWER FINANCE CORPORATION LIMITED
8.78% Unsecured Non-Convertible, Non-Cumulative, Taxable Bond in the nature of Debentures. Letter of Allotment. Series- 70, Date of Maturity
INE134E08DH5
INE134E07505
INE134E08DM5
INE134E08925
INE134E08DN3
INE134E08DQ6
INE134E08GA3
INE134E08DR4
INE134E08DW4
INE134E07117
INE134E07166
INE134E07158
INE134E07216
INE134E07224
POWER FINANCE CORPORATION LIMITED
9.05% Unsecured Non-Convertible, Non-Cumulative, Taxable Bond in the nature of Debentures. Letter of Allotment. Series- 71.I, Date of Maturity
POWER FINANCE CORPORATION LIMITED
9.70% SECURED STRPP TAXABLE NON CONVERTIBLE BONDS. SERIES 112-C LETTER OF ALLOTMENT. DATE OF MATURITY 31/01/2021
POWER FINANCE CORPORATION LIMITED
9.18% Unsecured Non-Convertible.Non-Cumulative,Taxable Bond in the nature of Debenture.Letter of Allotment.Series- 73.Date of
POWER FINANCE CORPORATION LIMITED
8.85% Unsecured Redeemable Non Convertible Non Cumulative Taxable Bonds in the Nature of Debentures. Series XXVIII. Letter of Allotment. Date of Maturity
POWER FINANCE CORPORATION LIMITED
9.70% Unsecured Non-Convertible Cumulative,Taxable Bond. Letter of Allotment. Series- 74.Date of Maturity 09/06/2021
POWER FINANCE CORPORATION LIMITED
9.61% Unsecured Non-Convertible Non- Cumulative,Taxable Bond. Letter of Allotment.Series- 75-C. Date of Maturity 29/06/2021
POWER FINANCE CORPORATION LIMITED
9.20% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF DEBENTURES.SERIES 115 III. LETTER OF ALLOTMENT. DATE OF
POWER FINANCE CORPORATION LIMITED
9.36% Unsecured Non-Convertible Non-Cumulative,Taxable Bond. Letter of Allotment. Series- 76 A. Date of Maturity 01/08/2021
POWER FINANCE CORPORATION LIMITED
9.44% Unsecured Non-Convertible, Non-Cumulative Taxable Bond in the nature of Debenture. Letter of Allotment. Series- 78 B. Date of Maturity
POWER FINANCE CORPORATION LIMITED
7.51% Secured Redeemable , Non convertible , Non Cumulative Tax free bonds in the nature of debentures Letter of Allotment. Series-79 A. Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.50% Secured Non-Convertible Long term infrastructure Bond. Letter of Allotment. Tranche-I u/s 80CCF of IT 2011-12.Series- II. Date of Maturity 21/11/2021
POWER FINANCE CORPORATION LIMITED
8.50% Secured Non-Convertible Long term infrastructure Bond. Letter of Allotment. Tranche-I u/s 80CCF of IT 2011-12.Series- I. Date of Maturity 21/11/2021
POWER FINANCE CORPORATION LIMITED
8.43% Secured Non-Convertible PFC Long term infrastructure Bond. Letter of Allotment. Series- 86 A. Date of Maturity 30/03/2022
POWER FINANCE CORPORATION LIMITED
8.43% Secured Non-Convertible PFC Long term infrastructure Bond. Letter of Allotment. Series- 86 B. Date of Maturity 30/03/2022
INE134E08EO9
INE134E08EU6
INE134E08EX0
INE134E08FN8
INE134E08FP3
INE134E07356
INE134E07331
INE134E08EH3
INE134E08FT5
INE134E07372
INE134E07414
INE134E07422
INE134E08FW9
INE134E08FX7
POWER FINANCE CORPORATION LIMITED
9.48% Unsecured Redeemable, Non-Convertible,Non-Cumulative, Taxable Bond. Letter of Allotment. Series- 88 C. Date of Maturity 15/04/2022
POWER FINANCE CORPORATION LIMITED
9.39% Unsecured Redeemable, Non-Convertible, Non-Cumulative, Taxable Bonds in the nature of Debentures. Letter of Allotment. Series- 91 B. Date of Maturity
POWER FINANCE CORPORATION LIMITED
9.29% Unsecured Redeemable, Non-Convertible, Non-Cumulative, Taxable Bonds. Series- 92-C. Letter of Allotment. Date of Maturity 21/08/2022
POWER FINANCE CORPORATION LIMITED
8.90% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 102-A (II) STRPP. LETTER
POWER FINANCE CORPORATION LIMITED
8.87% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 102-B STRPP. LETTER OF
POWER FINANCE CORPORATION LIMITED
6.88% FOR CATEGORY I, II, III AND IV (COMPANY SHALL PAY AN ADDITIONAL INTEREST AT THE RATE OF 0.50% p.a. TO ORIGINAL ALLOTTEES UNDER CATEGORY IV
POWER FINANCE CORPORATION LIMITED
7.19% FOR CATEGORY I, II, III AND IV (COMPANY SHALL PAY AN ADDITIONAL INTEREST AT THE RATE OF 0.50% p.a. TO ORIGINAL ALLOTTEES UNDER CATEGORY IV
POWER FINANCE CORPORATION LIMITED
9.26% Unsecured Non-Convertible, Non-Cumulative Taxable Bond in the nature of Debenture. Letter of Allotment. Series- 85- D. Date of Maturity
POWER FINANCE CORPORATION LIMITED
8.19% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 105. LETTER OF
POWER FINANCE CORPORATION LIMITED
8.01% SECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAX FREE BONDS IN NATURE OF DEBENTURES. SERIES 107-A. LETTER OF ALLOTMENT.
POWER FINANCE CORPORATION LIMITED
8.18% SECURED TAX FREE REDEEMEBLE NON CONVERTIBLE BONDS. SERIES 1A. LETTER OF ALLOTMENT. DATE OF MATURITY: 16/11/2023
POWER FINANCE CORPORATION LIMITED
8.43% SECURED TAX FREE REDEEMEBLE NON CONVERTIBLE BONDS. SERIES 1B. LETTER OF ALLOTMENT. DATE OF MATURITY: 16/11/2023
POWER FINANCE CORPORATION LIMITED
9.65% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE SUBORNIDATED TIER II TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES
POWER FINANCE CORPORATION LIMITED
9.70% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE SUBORNIDATED TIER II TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES
INE134E08BP2
INE134E08CN5
INE134E08CP0
INE134E08CS4
INE134E08CV8
INE134E08CY2
INE134E08DA0
INE134E08DI3
INE134E08DS2
INE134E08DU8
INE134E07125
INE134E07174
INE134E07182
INE134E07232
POWER FINANCE CORPORATION LIMITED
8.60% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 57 B III .Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.50% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 61.III. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.80% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 62.B. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.90% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 63.III. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.95% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 64.III. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.70% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 65.III. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.75% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 66-B. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
9.05% Unsecured Non-Convertible, Non-Cumulative, Taxable Bond in the nature of Debentures. Letter of Allotment. Series- 71.II, Date of Maturity
POWER FINANCE CORPORATION LIMITED
9.46% Unsecured Non-Convertible, Non-Cumulative Taxable Bond. Letter of Allotment. Series- 76 B. Date of Maturity 01/08/2026
POWER FINANCE CORPORATION LIMITED
9.45% Unsecured Non-Convertible, Non-Cumulative Taxable Bond in the nature of debenture.Letter of Allotment. Series- 77- B. Date of Maturity
POWER FINANCE CORPORATION LIMITED
7.75% Secured Redeemable , Non convertible , Non Cumulative Tax free bonds in the nature of debentures Letter of Allotment. Series-79 B. Date of Maturity:
POWER FINANCE CORPORATION LIMITED
8.75% Secured Non-Convertible Long term infrastructure Bond. Letter of Allotment. Tranche-I u/s 80CCF of IT 2011-12.Series- III. Date of Maturity 21/11/2026
POWER FINANCE CORPORATION LIMITED
8.75% Secured Non-Convertible Long term infrastructure Bond. Letter of Allotment. Tranche-I u/s 80CCF of IT 2011-12.Series- IV. Date of Maturity 21/11/2026
POWER FINANCE CORPORATION LIMITED
8.72% Secured Non-Convertible PFC Long term infrastructure Bond. Letter of Allotment. Series- 86 C. Date of Maturity 30/03/2027
INE134E07240
INE134E08FO6
INE134E08FQ1
INE134E07364
INE134E07349
INE134E07380
INE134E08FL2
INE134E07430
INE134E07448
INE134E08DB8
INE134E08DJ1
INE134E07455
INE134E07463
INE134E08651
POWER FINANCE CORPORATION LIMITED
8.72% Secured Non-Convertible PFC Long term infrastructure Bond. Letter of Allotment. Series- 86 D. Date of Maturity 30/03/2027
POWER FINANCE CORPORATION LIMITED
8.90% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 102-A (III) STRPP. LETTER
POWER FINANCE CORPORATION LIMITED
8.94% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 103. LETTER OF
POWER FINANCE CORPORATION LIMITED
7.04% FOR CATEGORY I, II, III AND IV (COMPANY SHALL PAY AN ADDITIONAL INTEREST AT THE RATE OF 0.50% p.a. TO ORIGINAL ALLOTTEES UNDER CATEGORY IV
POWER FINANCE CORPORATION LIMITED
7.36% FOR CATEGORY I, II, III AND IV (COMPANY SHALL PAY AN ADDITIONAL INTEREST AT THE RATE OF 0.50% p.a. TO ORIGINAL ALLOTTEES UNDER CATEGORY IV
POWER FINANCE CORPORATION LIMITED
8.46% SECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAX FREE BONDS IN NATURE OF DEBENTURES. SERIES 107-B. LETTER OF ALLOTMENT.
POWER FINANCE CORPORATION LIMITED
9.00% UNSECURED REDEEMABLE NON CONVERTIBLE NON CUMULATIVE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES 101-B. LETTER OF
POWER FINANCE CORPORATION LIMITED
8.54% SECURED TAX FREE REDEEMEBLE NON CONVERTIBLE BONDS. SERIES 2A. LETTER OF ALLOTMENT. DATE OF MATURITY: 16/11/2028
POWER FINANCE CORPORATION LIMITED
8.79% SECURED TAX FREE REDEEMEBLE NON CONVERTIBLE BONDS. SERIES 2B. LETTER OF ALLOTMENT. DATE OF MATURITY: 16/11/2028
POWER FINANCE CORPORATION LIMITED
8.85% Unsecured Redeemable , Non convertible , Non Cumulative Taxable bonds in the nature of debentures Series 66-C. Letter of Allotment Date of Maturity:
POWER FINANCE CORPORATION LIMITED
9.05% Unsecured Non-Convertible, Non-Cumulative, Taxable Bond in the nature of Debentures. Letter of Allotment. Series- 71.III, Date of Maturity
POWER FINANCE CORPORATION LIMITED
8.67% SECURED TAX FREE REDEEMEBLE NON CONVERTIBLE BONDS. SERIES 3A. LETTER OF ALLOTMENT. DATE OF MATURITY: 16/11/2033
POWER FINANCE CORPORATION LIMITED
8.92% SECURED TAX FREE REDEEMEBLE NON CONVERTIBLE BONDS. SERIES 3B. LETTER OF ALLOTMENT. DATE OF MATURITY: 16/11/2033
POWER FINANCE CORPORATION LIMITED
7.87 % Unsecured Non Convertible Transferable Taxable Bonds in the form of Debentures.(2017) XVIII.STRPP G. Date of Maturity:13-11-2014
INE134E08560
INE134E08669
INE134E08578
INE134E08677
INE134E08586
INE134E08727
INE134E08735
INE134E08685
INE134E08693
INE134E08DK9
INE134E08DL7
INE134E07075
INE134E07083
INE134E07091
POWER FINANCE CORPORATION LIMITED
8.21% Unsecured Taxable PFC Bonds (2017).with Seperately Transferable Principal Parts (STRPP)-H, (Maturity Date : 03/10/2015). Series- XVII. Letter
POWER FINANCE CORPORATION LIMITED
7.87 % Unsecured Non Convertible Transferable Taxable Bonds in the form of Debentures.(2017) XVIII.STRPP H. Date of Maturity:13-11-2015
POWER FINANCE CORPORATION LIMITED
8.21% Unsecured Taxable PFC Bonds (2017).with Seperately Transferable Principal Parts (STRPP)-I, (Maturity Date : 03/10/2016). Series- XVII. Letter
POWER FINANCE CORPORATION LIMITED
7.87 % Unsecured Non Convertible Transferable Taxable Bonds in the form of Debentures.(2017) XVIII.STRPP I. Date of Maturity:13-11-2016
POWER FINANCE CORPORATION LIMITED
8.21% Unsecured Taxable PFC Bonds (2017).with Seperately Transferable Principal Parts (STRPP)-J, (Maturity Date : 03/10/2017). Series- XVII. Letter
POWER FINANCE CORPORATION LIMITED
Taxable Unsecured Non-Convertible Bonds (2017), XIII th Series,
POWER FINANCE CORPORATION LIMITED
Taxable Unsecured Non-Convertible Bonds (2017), XIII th Series, . 2nd Tranche. Date of Maturity: 24/5/2017
POWER FINANCE CORPORATION LIMITED
7.87 % Unsecured Non Convertible Transferable Taxable Bonds in the form of Debentures.(2017) XVIII.STRPP J. Date of Maturity:13-11-2017
POWER FINANCE CORPORATION LIMITED
Zero Coupon Unsecured Non-Convertible taxable Bonds in the form of Debentures Series (2022)-XIX Letter of Allotment. Date of Maturity: 30/12/2022
POWER FINANCE CORPORATION LTD.
8.97% Unsecured Non-Convertible, Non Cumulative Taxable Bond in the nature of Debentures. Letter of Allotment. Series- 72-A. Date of Maturity
POWER FINANCE CORPORATION LTD.
8.99% Unsecured Non-Convertible, Non Cumulative Taxable Bond in the nature of Debentures. Letter of Allotment. Series- 72-B. Date of Maturity
POWER FINANCE CORPORATION LTD.
8.30% Secured Non-Convertible Long Term Infrastructure Bond u/s 80CCF of IT act. Series- I. Date of Maturity 31/03/2021
POWER FINANCE CORPORATION LTD.
8.30% (Compounded annually) Secured Non-Convertible Long Term Infrastructure Bond u/s 80CCF of IT act. Series- II. Date of Maturity 31/03/2021
POWER FINANCE CORPORATION LTD.
8.50% Secured Non-Convertible Long Term Infrastructure Bond u/s 80CCF of IT act. Series- III. Date of Maturity 31/03/2026
INE134E07109
INE752E07215
INE752E07702
INE752E07AU5
INE752E07389
INE752E07HC8
INE752E07BH0
INE752E07991
INE752E07FT6
INE752E07BS7
INE752E07HO3
INE752E07CE5
INE752E07EW3
INE752E07CQ9
POWER FINANCE CORPORATION LTD.
8.50% (compounded annually) Secured Non-Convertible Long Term Infrastructure Bond u/s 80CCF of IT act. Series- IV. Date of Maturity 31/03/2026
POWER GRID CORPORATION OF INDIA LIMITED
9.80% Taxable bonds XI-Issue 2001-02. . STRPP-J ,Date Of Maturity: 07/12/2014
POWER GRID CORPORATION OF INDIA LIMITED
6.10% Secured Redeemable Non-Convertible Taxable bonds XIV-Issue 2003-04. STRPP-K. Letter of Allotment.
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XIX- Issue 2006-07. Letter of allotment. STRPP-E. Date of Maturity : 24/07/2014
POWER GRID CORPORATION OF INDIA LIMITED
8.63% Taxable bonds XIII-Issue 2002-03.Option-I STRPP-I ,Date Of Maturity: 31/07/2014
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue 2010-11. Letter of Allotment. STRPP -A.
POWER GRID CORPORATION OF INDIA LIMITED
8.93% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XX- Issue 2006-07. Letter of allotment. STRPP- E. Date of Maturity : 07/09/2014
POWER GRID CORPORATION OF INDIA LIMITED
7.39% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVII- Issue 2005-06. Letter of allotment. STRPP-F. Date of Maturity: 22.09.2014
POWER GRID CORPORATION OF INDIA LIMITED
8.80% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXX- Issue 2009-10. Letter of allotment. STRPP-B. Date of Maturity : 29/09/2014
POWER GRID CORPORATION OF INDIA LIMITED
8.73% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXI- Issue 2006-07. Letter of allotment. STRPP-E. Date of Maturity : 11/10/2014
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue 2010-11. Letter of Allotment. STRPP -A.
POWER GRID CORPORATION OF INDIA LIMITED
8.68% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXII- Issue 2006-07. Letter of allotment. STRPP-E. Date of Maturity : 07/12/2014
POWER GRID CORPORATION OF INDIA LIMITED
9.33% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVIII- Issue 2008-09. Letter of allotment. STRPP-C. Date of Maturity :
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIII- Issue 2006-07. Letter of allotment. STRPP-E. Date of Maturity : 09/02/2015
INE752E07900
INE752E07793
INE752E07GF3
INE752E07DZ8
INE752E07FI9
INE752E07DC7
INE752E07579
INE752E07GR8
INE752E07EL6
INE752E07IA0
INE752E07DO2
INE752E07116
INE752E07223
INE752E07710
POWER GRID CORPORATION OF INDIA LIMITED
7.10 % Secured Redeemable non convertible non cumulativeTaxable Bonds XVI-Issue 2004-05 . Letter of allotment. STRPP-G. Date of
POWER GRID CORPORATION OF INDIA LIMITED
6.68% Secured Redeemable Non-Convertible Taxable bonds XV-Issue 2003-04. STRPP-H. Letter of Allotment.
POWER GRID CORPORATION OF INDIA LIMITED
8.90% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXI- Issue 2009-10. Letter of allotment. STRPP-B. Date of Maturity : 25/02/2015
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVI- Issue 2007-08. Letter of allotment. STRPP-D. Date of Maturity : 07/03/2015
POWER GRID CORPORATION OF INDIA LIMITED
9.20% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIX- Issue 2008-09. Letter of allotment. STRPP-C. Date of Maturity : 12/03/2015
POWER GRID CORPORATION OF INDIA LIMITED
9.95% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIV- Issue 2006-07. Letter of allotment. STRPP-E. Date of Maturity : 26/03/2015
POWER GRID CORPORATION OF INDIA LIMITED
9.70% Taxable bonds XII-Issue 2001-02. 07. STRPP-J ,Date Of Maturity: 28/03/2015
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXII- Issue 2009-10. Letter of allotment. STRPP-B. Date of Maturity : 29/03/2015
POWER GRID CORPORATION OF INDIA LIMITED
9.47% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVII- Issue 2007-08. Letter of allotment. STRPP-D. Date of Maturity : 31/03/2015
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -A.
POWER GRID CORPORATION OF INDIA LIMITED
10.10% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXV- Issue 2007-08. Letter of allotment. STRPP-E. Date of Maturity : 12/06/2015
POWER GRID CORPORATION OF INDIA LIMITED
10.90% Powerrid Corporation of India Ltd. Taxable bonds X-Issue 2001-2002.
POWER GRID CORPORATION OF INDIA LIMITED
9.80% Taxable bonds XI-Issue 2001-02. . STRPP-K ,Date Of Maturity: 07/12/2015
POWER GRID CORPORATION OF INDIA LIMITED
6.10% Secured Redeemable Non-Convertible Taxable bonds XIV-Issue 2003-04. STRPP-L. Letter of Allotment.
INE752E07AV3
INE752E07397
INE752E07HD6
INE752E07AJ8
INE752E07BI8
INE752E07AA7
INE752E07FU4
INE752E07BT5
INE752E07HP0
INE752E07CF2
INE752E07EX1
INE752E07JB6
INE752E07CR7
INE752E07918
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XIX- Issue 2006-07. Letter of allotment. STRPP-F. Date of Maturity : 24/07/2015
POWER GRID CORPORATION OF INDIA LIMITED
8.63% Taxable bonds XIII-Issue 2002-03.Option-I STRPP-J ,Date Of Maturity: 31/07/2015
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue 2010-11. Letter of Allotment. STRPP -B.
POWER GRID CORPORATION OF INDIA LIMITED
8.15% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVIII- Issue 2005-06. Letter of allotment. STRPP-F Date of Maturity: 09.03.2015
POWER GRID CORPORATION OF INDIA LIMITED
8.93% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XX- Issue 2006-07. Letter of allotment. STRPP- F. Date of Maturity : 07/09/2015
POWER GRID CORPORATION OF INDIA LIMITED
7.39 % Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVII- Issue 2005-06. Letter of allotment. STRPP-G. Date of Maturity: 22.09.2015
POWER GRID CORPORATION OF INDIA LIMITED
8.80% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXX- Issue 2009-10. Letter of allotment. STRPP-C. Date of Maturity : 29/09/2015
POWER GRID CORPORATION OF INDIA LIMITED
8.73% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXI- Issue 2006-07. Letter of allotment. STRPP-F. Date of Maturity : 11/10/2015
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue 2010-11. Letter of Allotment. STRPP -B.
POWER GRID CORPORATION OF INDIA LIMITED
8.68% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXII- Issue 2006-07. Letter of allotment. STRPP-F. Date of Maturity : 07/12/2015
POWER GRID CORPORATION OF INDIA LIMITED
9.33% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVIII- Issue 2008-09. Letter of allotment. STRPP-D. Date of Maturity :
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - A. Date of Maturity 26/12/2015
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIII- Issue 2006-07. Letter of allotment. STRPP-F. Date of Maturity : 09/02/2016
POWER GRID CORPORATION OF INDIA LIMITED
7.10 % Secured Redeemable non convertible non cumulative Taxable Bonds XVI-Issue 2004-05 . Letter of allotment. STRPP-H. Date of Maturity 18.02.2016
INE752E07801
INE752E07GG1
INE752E07EA9
INE752E07FJ7
INE752E07DD5
INE752E07587
INE752E07GS6
INE752E07EM4
INE752E07IB8
INE752E07DP9
INE752E07JP6
INE752E07231
INE752E07AW1
INE752E07405
POWER GRID CORPORATION OF INDIA LIMITED
6.68% Secured Redeemable Non-Convertible Taxable bonds XV-Issue 2003-04. STRPP-I. Letter of Allotment.
POWER GRID CORPORATION OF INDIA LIMITED
8.90% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXI- Issue 2009-10. Letter of allotment. STRPP-C. Date of Maturity : 25/02/2016
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVI- Issue 2007-08. Letter of allotment. STRPP-E. Date of Maturity : 07/03/2016
POWER GRID CORPORATION OF INDIA LIMITED
9.20% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIX- Issue 2008-09. Letter of allotment. STRPP-D. Date of Maturity : 12/03/2016
POWER GRID CORPORATION OF INDIA LIMITED
9.95% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIV- Issue 2006-07. Letter of allotment. STRPP-F. Date of Maturity : 26/03/2016
POWER GRID CORPORATION OF INDIA LIMITED
9.70% Taxable bonds XII-Issue 2001-02. 07. STRPP-K ,Date Of Maturity: 28/03/2016
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXII- Issue 2009-10. Letter of allotment. STRPP-C. Date of Maturity : 29/03/2016
POWER GRID CORPORATION OF INDIA LIMITED
9.47% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVII- Issue 2007-08. Letter of allotment. STRPP-E. Date of Maturity : 31/03/2016
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -B.
POWER GRID CORPORATION OF INDIA LIMITED
10.10% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXV- Issue 2007-08. Letter of allotment. STRPP-F. Date of Maturity : 12/06/2016
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- A. Date of Maturity 28/06/2016
POWER GRID CORPORATION OF INDIA LIMITED
9.80% Taxable bonds XI-Issue 2001-02. . STRPP-L ,Date Of Maturity: 07/12/2016
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XIX- Issue 2006-07. Letter of allotment. STRPP-G. Date of Maturity : 24/07/2016
POWER GRID CORPORATION OF INDIA LIMITED
8.63% Taxable bonds XIII-Issue 2002-03.Option-I STRPP-K ,Date Of Maturity: 31/07/2016
INE752E07HE4
INE752E07IM5
INE752E07AK6
INE752E07BJ6
INE752E07AB5
INE752E07FV2
INE752E07BU3
INE752E07KB4
INE752E07HQ8
INE752E07CG0
INE752E07EY9
INE752E07JC4
INE752E07CS5
INE752E07926
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue 2010-11. Letter of Allotment. STRPP -C.
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -A.
POWER GRID CORPORATION OF INDIA LIMITED
8.15% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVIII- Issue 2005-06. Letter of allotment. STRPP-G Date of Maturity: 09.03.2016
POWER GRID CORPORATION OF INDIA LIMITED
8.93% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XX- Issue 2006-07. Letter of allotment. STRPP- G. Date of Maturity : 07/09/2016
POWER GRID CORPORATION OF INDIA LIMITED
7.39% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVII- Issue 2005-06. Letter of allotment. STRPP-H. Date of Maturity: 22.09.2016
POWER GRID CORPORATION OF INDIA LIMITED
8.80% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXX- Issue 2009-10. Letter of allotment. STRPP-D. Date of Maturity : 29/09/2016
POWER GRID CORPORATION OF INDIA LIMITED
8.73% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXI- Issue 2006-07. Letter of allotment. STRPP-G. Date of Maturity : 11/10/2016
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-A
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue 2010-11. Letter of Allotment. STRPP -C.
POWER GRID CORPORATION OF INDIA LIMITED
8.68% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXII- Issue 2006-07. Letter of allotment. STRPP-G. Date of Maturity : 07/12/2016
POWER GRID CORPORATION OF INDIA LIMITED
9.33% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVIII- Issue 2008-09. Letter of allotment. STRPP-E. Date of Maturity :
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - B. Date of Maturity 26/12/2016
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIII- Issue 2006-07. Letter of allotment. STRPP-G. Date of Maturity : 09/02/2017
POWER GRID CORPORATION OF INDIA LIMITED
7.10 % Secured Redeemable non convertible non cumulative Taxable Bonds XVI-Issue 2004-05 . Letter of allotment. STRPP-I. Date of Maturity 18.02.2017
INE752E07819
INE752E07GH9
INE752E07EB7
INE752E07FK5
INE752E07DE3
INE752E07595
INE752E07GT4
INE752E07EN2
INE752E07KO7
INE752E07IC6
INE752E07DQ7
INE752E07JQ4
INE752E07AX9
INE752E07413
POWER GRID CORPORATION OF INDIA LIMITED
6.68% Secured Redeemable Non-Convertible Taxable bonds XV-Issue 2003-04. STRPP-J. Letter of Allotment.
POWER GRID CORPORATION OF INDIA LIMITED
8.90% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXI- Issue 2009-10. Letter of allotment. STRPP-D. Date of Maturity : 25/02/2017
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVI- Issue 2007-08. Letter of allotment. STRPP- F. Date of Maturity : 07/03/2017
POWER GRID CORPORATION OF INDIA LIMITED
9.20% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIX- Issue 2008-09. Letter of allotment. STRPP-E. Date of Maturity : 12/03/2017
POWER GRID CORPORATION OF INDIA LIMITED
9.95% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIV- Issue 2006-07. Letter of allotment. STRPP-G. Date of Maturity : 26/03/2017
POWER GRID CORPORATION OF INDIA LIMITED
9.70% Taxable bonds XII-Issue 2001-02. 07. STRPP-L ,Date Of Maturity: 28/03/2017
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXII- Issue 2009-10. Letter of allotment. STRPP-D. Date of Maturity : 29/03/2017
POWER GRID CORPORATION OF INDIA LIMITED
9.47% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVII- Issue 2007-08. Letter of allotment. STRPP-F. Date of Maturity : 31/03/2017
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-A. LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -C.
POWER GRID CORPORATION OF INDIA LIMITED
10.10% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXV- Issue 2007-08. Letter of allotment. STRPP-G. Date of Maturity : 12/06/2017
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- B. Date of Maturity 28/06/2017
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XIX- Issue 2006-07. Letter of allotment. STRPP-H. Date of Maturity : 24/07/2017
POWER GRID CORPORATION OF INDIA LIMITED
8.63% Taxable bonds XIII-Issue 2002-03.Option-I STRPP-L ,Date Of Maturity: 31/07/2017
INE752E07HF1
INE752E07IN3
INE752E07AL4
INE752E07BK4
INE752E07AC3
INE752E07FW0
INE752E07BV1
INE752E07KC2
INE752E07HR6
INE752E07CH8
INE752E07EZ6
INE752E07JD2
INE752E07CT3
INE752E07934
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue 2010-11. Letter of Allotment. STRPP -D.
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -B.
POWER GRID CORPORATION OF INDIA LIMITED
8.15% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVIII- Issue 2005-06. Letter of allotment. STRPP-H Date of Maturity: 09.03.2017
POWER GRID CORPORATION OF INDIA LIMITED
8.93% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XX- Issue 2006-07. Letter of allotment. STRPP- H. Date of Maturity : 07/09/2017
POWER GRID CORPORATION OF INDIA LIMITED
7.39% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVII- Issue 2005-06. Letter of allotment. STRPP-I. Date of Maturity: 22.09.2017
POWER GRID CORPORATION OF INDIA LIMITED
8.80% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXX- Issue 2009-10. Letter of allotment. STRPP-E. Date of Maturity : 29/09/2017
POWER GRID CORPORATION OF INDIA LIMITED
8.73% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXI- Issue 2006-07. Letter of allotment. STRPP-H. Date of Maturity : 11/10/2017
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-B
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue 2010-11. Letter of Allotment. STRPP -D.
POWER GRID CORPORATION OF INDIA LIMITED
8.68% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXII- Issue 2006-07. Letter of allotment. STRPP-H. Date of Maturity : 07/12/2017
POWER GRID CORPORATION OF INDIA LIMITED
9.33% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVIII- Issue 2008-09. Letter of allotment. STRPP-F. Date of Maturity :
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - C. Date of Maturity 26/12/2017
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIII- Issue 2006-07. Letter of allotment. STRPP-H. Date of Maturity : 09/02/2018
POWER GRID CORPORATION OF INDIA LIMITED
7.10 % Secured Redeemable non convertible non cumulative Taxable Bonds XVI-Issue 2004-05 . Letter of allotment. STRPP-J. Date of Maturity 18.02.2018
INE752E07827
INE752E07GI7
INE752E07LD8
INE752E07EC5
INE752E07FL3
INE752E07DF0
INE752E07GU2
INE752E07EO0
INE752E07KP4
INE752E07ID4
INE752E07DR5
INE752E07JR2
INE752E07LA4
INE752E07AY7
POWER GRID CORPORATION OF INDIA LIMITED
6.68% Secured Redeemable Non-Convertible Taxable bonds XV-Issue 2003-04. STRPP-K. Letter of Allotment.
POWER GRID CORPORATION OF INDIA LIMITED
8.90% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXI- Issue 2009-10. Letter of allotment. STRPP-E. Date of Maturity : 25/02/2018
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-A LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVI- Issue 2007-08. Letter of allotment. STRPP- G. Date of Maturity : 07/03/2018
POWER GRID CORPORATION OF INDIA LIMITED
9.20% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIX- Issue 2008-09. Letter of allotment. STRPP-F. Date of Maturity : 12/03/2018
POWER GRID CORPORATION OF INDIA LIMITED
9.95% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIV- Issue 2006-07. Letter of allotment. STRPP-H. Date of Maturity : 26/03/2018
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXII- Issue 2009-10. Letter of allotment. STRPP-E. Date of Maturity : 29/03/2018
POWER GRID CORPORATION OF INDIA LIMITED
9.47% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVII- Issue 2007-08. Letter of allotment. STRPP-G. Date of Maturity : 31/03/2018
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-B. LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -D.
POWER GRID CORPORATION OF INDIA LIMITED
10.10% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXV- Issue 2007-08. Letter of allotment. STRPP-H. Date of Maturity : 12/06/2018
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- C. Date of Maturity 28/06/2018
POWER GRID CORPORATION OF INDIA LIMITED
8.7% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIV-ISSUE 2013-14. STRPP-A LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XIX- Issue 2006-07. Letter of allotment. STRPP- I. Date of Maturity : 24/07/2018
INE752E07HG9
INE752E07IO1
INE752E07AM2
INE752E07BL2
INE752E07AD1
INE752E07FX8
INE752E07BW9
INE752E07KD0
INE752E07HS4
INE752E07CI6
INE752E07FA6
INE752E07JE0
INE752E07CU1
INE752E07835
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue 2010-11. Letter of Allotment. STRPP -E.
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -C.
POWER GRID CORPORATION OF INDIA LIMITED
8.15% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVIII- Issue 2005-06. Letter of allotment. STRPP-I Date of Maturity: 09.03.2018
POWER GRID CORPORATION OF INDIA LIMITED
8.93% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XX- Issue 2006-07. Letter of allotment. STRPP- I. Date of Maturity : 07/09/2018
POWER GRID CORPORATION OF INDIA LIMITED
7.39% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVII- Issue 2005-06. Letter of allotment. STRPP-J. Date of Maturity: 22.09.2018
POWER GRID CORPORATION OF INDIA LIMITED
8.80% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXX- Issue 2009-10. Letter of allotment. STRPP-F. Date of Maturity : 29/09/2018
POWER GRID CORPORATION OF INDIA LIMITED
8.73% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXI- Issue 2006-07. Letter of allotment. STRPP-I. Date of Maturity : 11/10/2018
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-C
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue 2010-11. Letter of Allotment. STRPP -E.
POWER GRID CORPORATION OF INDIA LIMITED
8.68% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXII- Issue 2006-07. Letter of allotment. STRPP-I. Date of Maturity : 07/12/2018
POWER GRID CORPORATION OF INDIA LIMITED
9.33% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVIII- Issue 2008-09. Letter of allotment. STRPP-G. Date of Maturity :
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - D. Date of Maturity 26/12/2018
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIII- Issue 2006-07. Letter of allotment. STRPP-I. Date of Maturity : 09/02/2019
POWER GRID CORPORATION OF INDIA LIMITED
6.68% Secured Redeemable Non-Convertible Taxable bonds XV-Issue 2003-04. STRPP-L. Letter of Allotment.
INE752E07GJ5
INE752E07LE6
INE752E07ED3
INE752E07FM1
INE752E07DG8
INE752E07GV0
INE752E07EP7
INE752E07KQ2
INE752E07IE2
INE752E07DS3
INE752E07JS0
INE752E07AZ4
INE752E07HH7
INE752E07IP8
POWER GRID CORPORATION OF INDIA LIMITED
8.90% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXI- Issue 2009-10. Letter of allotment. STRPP-F. Date of Maturity : 25/02/2019
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-B LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVI- Issue 2007-08. Letter of allotment. STRPP- H. Date of Maturity : 07/03/2019
POWER GRID CORPORATION OF INDIA LIMITED
9.20% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIX- Issue 2008-09. Letter of allotment. STRPP-G. Date of Maturity : 12/03/2019
POWER GRID CORPORATION OF INDIA LIMITED
9.95% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIV- Issue 2006-07. Letter of allotment. STRPP-I. Date of Maturity : 26/03/2019
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXII- Issue 2009-10. Letter of allotment. STRPP-F. Date of Maturity : 29/03/2019
POWER GRID CORPORATION OF INDIA LIMITED
9.47% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVII- Issue 2007-08. Letter of allotment. STRPP-H. Date of Maturity : 31/03/2019
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-C. LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -E.
POWER GRID CORPORATION OF INDIA LIMITED
10.10% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXV- Issue 2007-08. Letter of allotment. STRPP-I. Date of Maturity : 12/06/2019
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- D. Date of Maturity 28/06/2019
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XIX- Issue 2006-07. Letter of allotment. STRPP- J. Date of Maturity : 24/07/2019
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue 2010-11. Letter of Allotment. STRPP -F.
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -D.
INE752E07AN0
INE752E07BM0
INE752E07FY6
INE752E07BX7
INE752E07KE8
INE752E07HT2
INE752E07CJ4
INE752E07FB4
INE752E07JF7
INE752E07CV9
INE752E07GK3
INE752E07LF3
INE752E07EE1
INE752E07FN9
POWER GRID CORPORATION OF INDIA LIMITED
8.15% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVIII- Issue 2005-06. Letter of allotment. STRPP-J Date of Maturity: 09.03.2019
POWER GRID CORPORATION OF INDIA LIMITED
8.93% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XX- Issue 2006-07. Letter of allotment. STRPP- J. Date of Maturity : 07/09/2019
POWER GRID CORPORATION OF INDIA LIMITED
8.80% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXX- Issue 2009-10. Letter of allotment. STRPP-G. Date of Maturity : 29/09/2019
POWER GRID CORPORATION OF INDIA LIMITED
8.73% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXI- Issue 2006-07. Letter of allotment. STRPP-J. Date of Maturity : 11/10/2019
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-D
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue 2010-11. Letter of Allotment. STRPP -F.
POWER GRID CORPORATION OF INDIA LIMITED
8.68% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXII- Issue 2006-07. Letter of allotment. STRPP-J. Date of Maturity : 07/12/2019
POWER GRID CORPORATION OF INDIA LIMITED
9.33% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVIII- Issue 2008-09. Letter of allotment. STRPP-H. Date of Maturity :
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - E. Date of Maturity 26/12/2019
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIII- Issue 2006-07. Letter of allotment. STRPP-J. Date of Maturity : 09/02/2020
POWER GRID CORPORATION OF INDIA LIMITED
8.90% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXI- Issue 2009-10. Letter of allotment. STRPP-G. Date of Maturity : 25/02/2020
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-C LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVI- Issue 2007-08. Letter of allotment. STRPP- I. Date of Maturity : 07/03/2020
POWER GRID CORPORATION OF INDIA LIMITED
9.20% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIX- Issue 2008-09. Letter of allotment. STRPP-H. Date of Maturity : 12/03/2020
INE752E07DH6
INE752E07GW8
INE752E07EQ5
INE752E07KR0
INE752E07IF9
INE752E07DT1
INE752E07JT8
INE752E07BA5
INE752E07HI5
INE752E07IQ6
INE752E07AO8
INE752E07BN8
INE752E07FZ3
INE752E07BY5
POWER GRID CORPORATION OF INDIA LIMITED
9.95% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIV- Issue 2006-07. Letter of allotment. STRPP-J. Date of Maturity : 26/03/2020
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXII- Issue 2009-10. Letter of allotment. STRPP-G. Date of Maturity : 29/03/2020
POWER GRID CORPORATION OF INDIA LIMITED
9.47% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVII- Issue 2007-08. Letter of allotment. STRPP-I. Date of Maturity : 31/03/2020
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-D. LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -F.
POWER GRID CORPORATION OF INDIA LIMITED
10.10% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXV- Issue 2007-08. Letter of allotment. STRPP-J. Date of Maturity : 12/06/2020
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- E. Date of Maturity 28/06/2020
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XIX- Issue 2006-07. Letter of allotment. STRPP- K. Date of Maturity : 24/07/2020
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue 2010-11. Letter of Allotment. STRPP -G.
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -E.
POWER GRID CORPORATION OF INDIA LIMITED
8.15% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVIII- Issue 2005-06. Letter of allotment. STRPP-K Date of Maturity: 09.03.2020
POWER GRID CORPORATION OF INDIA LIMITED
8.93% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XX- Issue 2006-07. Letter of allotment. STRPP- K. Date of Maturity : 07/09/2020
POWER GRID CORPORATION OF INDIA LIMITED
8.80% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXX- Issue 2009-10. Letter of allotment. STRPP-H. Date of Maturity : 29/09/2020
POWER GRID CORPORATION OF INDIA LIMITED
8.73% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXI- Issue 2006-07. Letter of allotment. STRPP-K. Date of Maturity : 11/10/2020
INE752E07KF5
INE752E07HU0
INE752E07CK2
INE752E07FC2
INE752E07JG5
INE752E07CW7
INE752E07GL1
INE752E07LG1
INE752E07EF8
INE752E07FO7
INE752E07DI4
INE752E07GX6
INE752E07ER3
INE752E07KS8
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-E
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue 2010-11. Letter of Allotment. STRPP -G.
POWER GRID CORPORATION OF INDIA LIMITED
8.68% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXII- Issue 2006-07. Letter of allotment. STRPP-K. Date of Maturity : 07/12/2020
POWER GRID CORPORATION OF INDIA LIMITED
9.33% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVIII- Issue 2008-09. Letter of allotment. STRPP-I. Date of Maturity :
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - F. Date of Maturity 26/12/2020
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIII- Issue 2006-07. Letter of allotment. STRPP-K. Date of Maturity : 09/02/2021
POWER GRID CORPORATION OF INDIA LIMITED
8.90% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXI- Issue 2009-10. Letter of allotment. STRPP-H. Date of Maturity : 25/02/2021
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-D LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVI- Issue 2007-08. Letter of allotment. STRPP-J. Date of Maturity : 07/03/2021
POWER GRID CORPORATION OF INDIA LIMITED
9.20% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIX- Issue 2008-09. Letter of allotment. STRPP-I. Date of Maturity : 12/03/2021
POWER GRID CORPORATION OF INDIA LIMITED
9.95% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIV- Issue 2006-07. Letter of allotment. STRPP-K. Date of Maturity : 26/03/2021
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXII- Issue 2009-10. Letter of allotment. STRPP-H. Date of Maturity : 29/03/2021
POWER GRID CORPORATION OF INDIA LIMITED
9.47% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVII- Issue 2007-08. Letter of allotment. STRPP-J. Date of Maturity : 31/03/2021
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-E. LETTER OF
INE752E07IG7
INE752E07DU9
INE752E07JU6
INE752E07BB3
INE752E07HJ3
INE752E07IR4
INE752E07AP5
INE752E07BC1
INE752E07GA4
INE752E07BZ2
INE752E07KG3
INE752E07HV8
INE752E07CL0
INE752E07FD0
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -G.
POWER GRID CORPORATION OF INDIA LIMITED
10.10% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXV- Issue 2007-08. Letter of allotment. STRPP-K. Date of Maturity : 12/06/2021
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- F. Date of Maturity 28/06/2021
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XIX- Issue 2006-07. Letter of allotment. STRPP- L. Date of Maturity : 24/07/2021
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue 2010-11. Letter of Allotment. STRPP -H.
POWER GRID CORPORATION OF INDIA LIMITED
9.35%Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -F.
POWER GRID CORPORATION OF INDIA LIMITED
8.15% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XVIII- Issue 2005-06. Letter of allotment. STRPP-L Date of Maturity: 09.03.2021
POWER GRID CORPORATION OF INDIA LIMITED
8.93% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XX- Issue 2006-07. Letter of allotment. STRPP- L. Date of Maturity : 07/09/2021
POWER GRID CORPORATION OF INDIA LIMITED
8.80% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXX- Issue 2009-10. Letter of allotment. STRPP-I. Date of Maturity : 29/09/2021
POWER GRID CORPORATION OF INDIA LIMITED
8.73% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXI- Issue 2006-07. Letter of allotment. STRPP-L. Date of Maturity : 11/10/2021
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-F
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue2010-11. Letter of Allotment. STRPP -H.
POWER GRID CORPORATION OF INDIA LIMITED
8.68% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXII- Issue 2006-07. Letter of allotment. STRPP-L. Date of Maturity : 07/12/2021
POWER GRID CORPORATION OF INDIA LIMITED
9.33% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVIII- Issue 2008-09. Letter of allotment. STRPP-J. Date of Maturity :
INE752E07JH3
INE752E07CX5
INE752E07GM9
INE752E07LH9
INE752E07EG6
INE752E07FP4
INE752E07DJ2
INE752E07GY4
INE752E07ES1
INE752E07KT6
INE752E07IH5
INE752E07DV7
INE752E07JV4
INE752E07HK1
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - G. Date of Maturity 26/12/2021
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIII- Issue 2006-07. Letter of allotment. STRPP-L. Date of Maturity : 09/02/2022
POWER GRID CORPORATION OF INDIA LIMITED
8.90% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXI- Issue 2009-10. Letter of allotment. STRPP-I. Date of Maturity : 25/02/2022
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-E LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVI- Issue 2007-08. Letter of allotment. STRPP- K. Date of Maturity : 07/03/2022
POWER GRID CORPORATION OF INDIA LIMITED
9.20% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIX- Issue 2008-09. Letter of allotment. STRPP-J. Date of Maturity : 12/03/2022
POWER GRID CORPORATION OF INDIA LIMITED
9.95% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIV- Issue 2006-07. Letter of allotment. STRPP-L. Date of Maturity : 26/03/2022
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXII- Issue 2009-10. Letter of allotment. STRPP-I. Date of Maturity : 29/03/2022
POWER GRID CORPORATION OF INDIA LIMITED
9.47% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVII- Issue 2007-08. Letter of allotment. STRPP-K. Date of Maturity : 31/03/2022
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-F. LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -H.
POWER GRID CORPORATION OF INDIA LIMITED
10.10% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXV- Issue 2007-08. Letter of allotment. STRPP-L. Date of Maturity : 12/06/2022
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- G. Date of Maturity 28/06/2022
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue 2010-11. Letter of Allotment. STRPP -I.
INE752E07IS2
INE752E07GB2
INE752E07KH1
INE752E07HW6
INE752E07FE8
INE752E07JI1
INE752E07GN7
INE752E07LI7
INE752E07EH4
INE752E07FQ2
INE752E07KN9
INE752E07GZ1
INE752E07ET9
INE752E07KU4
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -G.
POWER GRID CORPORATION OF INDIA LIMITED
8.80% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXX- Issue 2009-10. Letter of allotment. STRPP-J. Date of Maturity : 29/09/2022
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-G
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue 2010-11. Letter of Allotment. STRPP -I.
POWER GRID CORPORATION OF INDIA LIMITED
9.33% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVIII- Issue 2008-09. Letter of allotment. STRPP-K. Date of Maturity :
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - H. Date of Maturity 26/12/2022
POWER GRID CORPORATION OF INDIA LIMITED
8.90% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXI- Issue 2009-10. Letter of allotment. STRPP-J. Date of Maturity : 25/02/2023
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-F LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVI- Issue 2007-08. Letter of allotment. STRPP- L. Date of Maturity : 07/03/2023
POWER GRID CORPORATION OF INDIA LIMITED
9.20% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIX- Issue 2008-09. Letter of allotment. STRPP-K. Date of Maturity : 12/03/2023
POWER GRID CORPORATION OF INDIA LIMITED
8.80% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLII-ISSUE 2012-13. LETTER OF ALLOTMENT.DATE OF
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXII- Issue 2009-10. Letter of allotment. STRPP-J. Date of Maturity : 29/03/2023
POWER GRID CORPORATION OF INDIA LIMITED
9.47% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVII- Issue 2007-08. Letter of allotment. STRPP-L. Date of Maturity : 31/03/2023
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-G. LETTER OF
INE752E07II3
INE752E07JW2
INE752E07LB2
INE752E07HL9
INE752E07IT0
INE752E07GC0
INE752E07KI9
INE752E07HX4
INE752E07FF5
INE752E07JJ9
INE752E07GO5
INE752E07LJ5
INE752E07FR0
INE752E07HA2
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -I.
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- H. Date of Maturity 28/06/2023
POWER GRID CORPORATION OF INDIA LIMITED
8.7% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIV-ISSUE 2013-14. STRPP-B LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue 2010-11. Letter of Allotment. STRPP J.
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -H.
POWER GRID CORPORATION OF INDIA LIMITED
8.80% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXX- Issue 2009-10. Letter of allotment. STRPP-K. Date of Maturity : 29/09/2023
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-H
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue2010-11. Letter of Allotment. STRPP -J.
POWER GRID CORPORATION OF INDIA LIMITED
9.33% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXVIII- Issue 2008-09. Letter of allotment. STRPP-L. Date of Maturity :
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - I. Date of Maturity 26/12/2023
POWER GRID CORPORATION OF INDIA LIMITED
8.90% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXI- Issue 2009-10. Letter of allotment. STRPP-K. Date of Maturity : 25/02/2024
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-G LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.20% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXIX- Issue 2008-09. Letter of allotment. STRPP-L. Date of Maturity : 12/03/2024
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXII- Issue 2009-10. Letter of allotment. STRPP-K. Date of Maturity : 29/03/2024
INE752E07KV2
INE752E07IJ1
INE752E07JX0
INE752E07HM7
INE752E07IU8
INE752E07GD8
INE752E07KJ7
INE752E07HY2
INE752E07JK7
INE752E07GP2
INE752E07LK3
INE752E07HB0
INE752E07KW0
INE752E07IK9
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-H. LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -J.
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- I. Date of Maturity 28/06/2024
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue 2010-11. Letter of Allotment. STRPP -K.
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -I.
POWER GRID CORPORATION OF INDIA LIMITED
8.80% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXX- Issue 2009-10. Letter of allotment. STRPP-L. Date of Maturity : 29/09/2024
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-I
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue 2010-11. Letter of Allotment. STRPP -K.
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - J. Date of Maturity 26/12/2024
POWER GRID CORPORATION OF INDIA LIMITED
8.90% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXI- Issue 2009-10. Letter of allotment. STRPP-L. Date of Maturity : 25/02/2025
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-H LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non Convertible Non Cumulative Redeemable, Taxable bonds XXXII- Issue 2009-10. Letter of allotment. STRPP-L. Date of Maturity : 29/03/2025
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-I. LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -K.
INE752E07JY8
INE752E07HN5
INE752E07IV6
INE752E07KK5
INE752E07HZ9
INE752E07JL5
INE752E07LL1
INE752E07KX8
INE752E07IL7
INE752E07JZ5
INE752E07IW4
INE752E07KL3
INE752E07JM3
INE752E07LM9
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- J. Date of Maturity 28/06/2025
POWER GRID CORPORATION OF INDIA LIMITED
8.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIII- Issue2010-11. Letter of Allotment. STRPP -L.
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -J.
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-J
POWER GRID CORPORATION OF INDIA LIMITED
8.84% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXIV- Issue 2010-11. Letter of Allotment. STRPP -L.
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - K. Date of Maturity 26/12/2025
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-I LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-J. LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.64% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid bond. Series XXXV- Issue 2011-12. Letter of Allotment. STRPP -L.
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- K. Date of Maturity 28/06/2026
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -K.
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-K
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Redeemable, Taxable Bond. Letter of Allotment. Series- XXXVII, STRPP - L. Date of Maturity 26/12/2026
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-J LETTER OF
INE752E07JO9
INE752E07KY6
INE752E07KA6
INE752E07IX2
INE752E07JN1
INE752E07KM1
INE752E07LN7
INE752E07KZ3
INE752E07LC0
INE752E07IY0
INE752E07LO5
INE752E07IZ7
INE752E07JA8
INE685O07018
POWER GRID CORPORATION OF INDIA LIMITED
9.40% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bond. Letter of Allotment. Series- XXXIX. Date of Maturity 29/03/2027
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-K. LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.30% Secured Non-Convertible, Non-Cumulative Redeemable , Taxable Bonds. Letter of Allotment. XL Issue. STRPP Series- L. Date of Maturity 28/06/2027
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -L.
POWER GRID CORPORATION OF INDIA LIMITED
9.25% Secured Non-Convertible, Non-Cumulative, Taxable Bond XXXVIII 2011-12. Letter of Allotment. Date of Maturity 09/03/2027
POWER GRID CORPORATION OF INDIA LIMITED
8.85% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLI-ISSUE 2012-13. LETTER OF ALLOTMENT. STRPP-L
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-K LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
7.93% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIII-ISSUE 2013-14. STRPP-L LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
8.7% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLIV-ISSUE 2013-14. STRPP-C LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -M.
POWER GRID CORPORATION OF INDIA LIMITED
9.65% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE POWER GRID BONDS XLV-ISSUE 2013-14. STRPP-L LETTER OF
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -N.
POWER GRID CORPORATION OF INDIA LIMITED
9.35% Secured Non-Convertible ,Non-Cumulative, Redeemable , Taxable Powergrid Bond. Series XXXVI- Issue 2011-12. Letter of Allotment. STRPP -O.
PRATEEK INFRAPROJECTS INDIA PRIVATE LIMITED
20.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 30/09/2015
PRATIBHA IMPEX PRIVATE LIMITED INE500P07016
INE280O08016
INE280O08024
INE280O08032
INE280O08040
INE282O08012
INE282O08020
PRIME FOCUS LIMITED INE367G08017
PRIME FOCUS LIMITED INE367G08025
INE097Q07011
INE097Q07029
INE097Q07037
INE413O07098
INE413O07080
18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 30/06/2015
PRESTIGE MANGALORE RETAIL VENTURES PRIVATE LIMITED
COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 09/11/2015.
PRESTIGE MANGALORE RETAIL VENTURES PRIVATE LIMITED
COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 26/01/2016.
PRESTIGE MANGALORE RETAIL VENTURES PRIVATE LIMITED
COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 15/09/2016
PRESTIGE MANGALORE RETAIL VENTURES PRIVATE LIMITED
COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 13/06/2017
PRESTIGE MYSORE RETAIL VENTURES PRIVATE LIMITED
COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 15/09/2016.
PRESTIGE MYSORE RETAIL VENTURES PRIVATE LIMITED
COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 11/06/2017.
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A. DATE OF MATURITY 06/11/2017
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B. DATE OF MATURITY 06/11/2018
PRIME FOCUS TECHNOLOGIES PRIVATE LIMITED
14% SECURED REDEEMABLE OPTIONALLY CONVERTIBLE DEBENTURES. SERIES I. DATE OF CONVERSION 14/06/2016
PRIME FOCUS TECHNOLOGIES PRIVATE LIMITED
14% SECURED REDEEMABLE OPTIONALLY CONVERTIBLE DEBENTURES. SERIES II. DATE OF CONVERSION 14/06/2016
PRIME FOCUS TECHNOLOGIES PRIVATE LIMITED
14% SECURED REDEEMABLE OPTIONALLY CONVERTIBLE DEBENTURES. SERIES III. DATE OF CONVERSION 14/06/2016
PRIME PUBLISHING PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES PRIME-II. DATE OF MATURITY 31/01/2016
PRIME PUBLISHING PRIVATE LIMITED
13.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PRIME-HD2. LETTER OF ALLOTMENT. DATE OF MATURITY 25/03/2016
INE413O07072
INE413O07106
PRINCE FOUNDATIONS LIMITED INE963I07037
PRINCE FOUNDATIONS LIMITED INE963I07045
PRINCE FOUNDATIONS LIMITED INE963I07052
PRINCE FOUNDATIONS LIMITED INE963I07060
PRINCE FOUNDATIONS LIMITED INE963I07078
PRISM CEMENT LIMITED INE010A07075
PRISM CEMENT LIMITED INE010A08024
PRISM CEMENT LIMITED INE010A07083
PRISM CEMENT LIMITED INE010A07034
PRISM CEMENT LIMITED INE010A08032
INE132Q08014
INE132Q08022
PRIME PUBLISHING PRIVATE LIMITED
13.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PRIME-HD1. LETTER OF ALLOTMENT. DATE OF MATURITY 17/03/2017
PRIME PUBLISHING PRIVATE LIMITED
13.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES PRIME-HD3. LETTER OF ALLOTMENT. DATE OF MATURITY 21/04/201716.50% FULLY SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 30/09/2015.
17.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A. LETTER OF ALLOTMENT. DATE OF MATURITY 31/03/2017
17.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B. LETTER OF ALLOTMENT. DATE OF MATURITY 31/03/2017
17.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C. LETTER OF ALLOTMENT. DATE OF MATURITY 31/03/2017
17.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D. LETTER OF ALLOTMENT. DATE OF MATURITY 31/03/201711.60% Secured Non-Convertible Debenture.Series- II. Date of Maturity 15/07/2014
10.00% Unsecured Redeemable Non Convertible Debentures.Date of Maturity: 17/09/2014
11.80% Secured Non-Convertible Debenture.Series- III. Date of Maturity 15/07/2015
9.30% Secured Non-Convertible Debenture. Date of Maturity 18/08/2015
10.42% Unsecured Redeemable Non Convertible Debentures.Date of Maturity: 17/09/2015
PRIUS REAL ESTATE PRIVATE LIMITED
ZERO COUPON UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 31/08/2014
PRIUS REAL ESTATE PRIVATE LIMITED
ZERO COUPON UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 31/10/2014
INE126O07021
INE126O07039
INE126O07047
INE931Q08019
INE560K07011
INE560K07078
INE560K07052
INE560K07060
INE560K07045
INE560K07094
INE560K07086
INE560K07037
INE560K07102
INE560K07110
PROFICIENT BUILDWELL PRIVATE LIMITED
12% SECURED NON-CONVERTIBLE DEBENTURES. NCD II. DATE OF MATURITY 30/04/2018
PROFICIENT BUILDWELL PRIVATE LIMITED
12% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. NCD III. DATE OF MATURITY 30/04/2018
PROFICIENT BUILDWELL PRIVATE LIMITED
12% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. NCD IV. DATE OF MATURITY 30/04/2018
PROMONT HILLSIDE PRIVATE LIMITED
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 28/12/2015
PTC INDIA FINANCIAL SERVICES LIMITED
10.60% Secured Non Convertible Debenture. Date of Maturity : 30/09/2014
PTC INDIA FINANCIAL SERVICES LIMITED
8.30% (compounded annually) Long Term Infrastructure Non-Convertible bonds series I option IV. Date of Maturity 31/03/2021
PTC INDIA FINANCIAL SERVICES LIMITED
8.25% (compounded annually) Long Term Infrastructure Non-Convertible bonds series I option II. Date of Maturity 31/03/2021
PTC INDIA FINANCIAL SERVICES LIMITED
8.30% Long Term Infrastructure Non-Convertible bonds series I option III. Date of Maturity 31/03/2021
PTC INDIA FINANCIAL SERVICES LIMITED
8.25% Long Term Infrastructure Non-Convertible bonds series I option I. Date of Maturity 31/03/2021
PTC INDIA FINANCIAL SERVICES LIMITED
8.93% Secured Non-Convertible Long term Infrastructure Bond. Series- 2, Option-II. Date of Maturity 30/03/2022
PTC INDIA FINANCIAL SERVICES LIMITED
8.93% Secured Non-Convertible Long term Infrastructure Bond. Series- 2, Option-I. Date of Maturity 30/03/2022
PTC INDIA FINANCIAL SERVICES LIMITED
10.50% Secured Non-Convertible Debenture. Date of Maturity 26/01/2023
PTC INDIA FINANCIAL SERVICES LIMITED
9.15% Secured Non-Convertible Long term Infrastructure Bond. Series- 2, Option-III. Date of Maturity 30/03/2027
PTC INDIA FINANCIAL SERVICES LIMITED
9.15% Secured Non-Convertible Long term Infrastructure Bond. Series- 2, Option-IV. Date of Maturity 30/03/2027
INE179P07027
INE179P07019
PUNE INFOPORT PRIVATE LIMITED INE642Q08012
INE766N07018
INE766N07026
INE766N07034
PUNJ LLOYD LIMITED INE701B07069
PUNJ LLOYD LIMITED INE701B07077
PUNJ LLOYD LIMITED INE701B07010
PUNJAB & SIND BANK INE608A09072
PUNJAB & SIND BANK INE608A09080
PUNJAB & SIND BANK INE608A09098
PUNJAB & SIND BANK INE608A09114
PUNJAB & SIND BANK INE608A09122
PUDHUAARU FINANCIAL SERVICES PRIVATE LIMITED
15.5% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 27/02/2015
PUDHUAARU FINANCIAL SERVICES PRIVATE LIMITED
14.58% SECURED NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 05/05/2018
ZERO COUPON UNSECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 06/11/2015
PUNE-DYNASTY PROJECTS PRIVATE LIMITED
18% SECURED NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 10/04/2017
PUNE-DYNASTY PROJECTS PRIVATE LIMITED
18% SECURED NON CONVERTIBLE DEBENTURES. SERIES A.DATE OF MATURITY 23/04/2033
PUNE-DYNASTY PROJECTS PRIVATE LIMITED
18% SECURED NON CONVERTIBLE DEBENTURES. SERIES B.DATE OF MATURITY 23/04/2033
10.00% Secured Redeemable Non Convertible Debenture.Letter of Allotment.Date of Maturity : 10/03/2014
10.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 15/10/2015
12.00% Secured Redeemable Non Convertible Debenture.Letter of Allotment.Date of Maturity : 02/01/2019
9.25 % Unsecured non convertible bond in nature of promissory note. Series VIII. Letter of allotment. Date of maturity: 30.04.20169.10% Unsecured non convertible bond in nature of promissory note. Tier - II Series IX. Letter of allotment. Date of maturity: 15.05.201811.05% Unsecured non convertible bond in nature of promissory note. Tier - II Series X. Letter of allotment. Date of maturity: 22.04.20198.70% Unsecured non convertible bond in nature of promissory note. . Letter of allotment. Date of maturity: 26.04.2019
8.70% Unsecured non convertible bond in nature of promissory note. . Letter of allotment. Date of maturity: 11.04.2020
PUNJAB & SIND BANK INE608A09130
PUNJAB & SIND BANK INE608A09106
PUNJAB FINANCIAL CORPORATION INE669H09012
PUNJAB FINANCIAL CORPORATION INE669H09020
PUNJAB FINANCIAL CORPORATION INE669H09038
PUNJAB FINANCIAL CORPORATION INE669H09129
PUNJAB FINANCIAL CORPORATION INE669H09137
PUNJAB FINANCIAL CORPORATION INE669H09145
PUNJAB FINANCIAL CORPORATION INE669H09152
PUNJAB FINANCIAL CORPORATION INE669H09160
PUNJAB FINANCIAL CORPORATION INE669H09178
INE091D08010
INE091D11014
INE091D11022
9.73% Unsecured Non-Convertible Subordinated Tier II Bonds.Letter of Allotment. Series- XIII. Date of Maturity 24/10/2021
Reset rate Unsecured non convertible perpetual bond in nature of promissory note.
7.85% Unsecured Non Convertible Bond in the form of Promissory Note.Letter of Allotment. Series - 1. Final Date of Redemption: 01/06/20168.50% Unsecured Non Convertible Bond in the form of Promissory Note.Letter of Allotment. Series - II. Final Date of Redemption: 30/09/20169.32% Unsecured Non Convertible Bond in the form of Promissory Note.Letter of Allotment. Series - III.Issue 2006 Final Date of Redemption: 01/12/20169.05% Unsecured Non Convertible PFC Bond in the form of Promissory Note. Letter of Allotment.Series - IV .Issue 2009 Date of Maturity: 01/09/20199.23% Unsecured Non Convertible PFC Bond in the form of Promissory Note. Letter of Allotment.Series - V .Issue 2011 Date of Maturity: 01/08/20219.95% Unsecured Non Convertible PFC Bond in the form of Promissory Note. Letter of Allotment.Series - VI .Issue 2011 Date of Maturity: 01/09/20219.8% Unsecured Non Convertible PFC Bond in the form of Promissory Note. Letter of Allotment.Series - VII .Issue 2012 Date of Maturity 16.08.20229.80% UNSECURED GOVT. GUARANTEED PFC BOND ISSUE 2012. SERIES VIII. LETTER OF ALLOTMENT. DATE OF MATURITY 16/11/2022.9.70% UNSECURED GOVT. GUARANTEED PFC BOND ISSUE 2012. SERIES IX. LETTER OF ALLOTMENT. DATE OF MATURITY 01/05/2023
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
10.07% Unsecured Non Convertible Redeemable Bonds (2007 Series - I) Letter of Alootment. Final Date of Dedemption : 06/08/2017
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
Zero coupon Unsecured Non Convertible Deep Discount Bonds (2007 Series-II) in the nature of Debentures. Letter of allotment ,STRPP-A.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
Zero coupon Unsecured Non Convertible Deep Discount Bonds (2007 Series-II) in the nature of Debentures. Letter of allotment ,STRPP-B.Date of
INE091D11030
INE091D11048
INE091D11055
INE091D11063
INE091D08028
INE091D08036
INE091D08044
INE091D11113
INE091D11071
INE091D11121
INE091D11089
INE091D11139
INE091D11097
INE091D11147
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
Zero coupon Unsecured Non Convertible Deep Discount Bonds (2007 Series-II) in the nature of Debentures. Letter of allotment ,STRPP-C.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
Zero coupon Unsecured Non Convertible Deep Discount Bonds (2007 Series-II) in the nature of Debentures. Letter of allotment ,STRPP-D.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
Zero coupon Unsecured Non Convertible Deep Discount Bonds (2007 Series-II) in the nature of Debentures. Letter of allotment ,STRPP-E.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
Zero coupon Unsecured Non Convertible Deep Discount Bonds (2007 Series-II) in the nature of Debentures. Letter of allotment ,STRPP-F.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
11.45% Unsecured Non Convertible Redeemable Regular Return Bonds (2008 Series - IV-A) Letter of Allotment. Final Date of Dedemption : 31/12/2023
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
11.45% Unsecured Non Convertible Redeemable Regular Return Bonds (2008 Series - IV-B) Letter of Allotment. Final Date of Redemption : 19/01/2024
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
11.45% Unsecured Non Convertible Redeemable Regular Return Bonds (2008 Series - IV-C) Letter of Allotment. Final Date of Redemption : 16/02/2024
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
0.40% Unsecured Non Convertible Deep Discount Bonds (2008 Series-III) in the nature of Debentures. Letter of allotment ,STRPP-A.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
Zero coupon Unsecured Non Convertible Deep Discount Bonds (2007 Series-II) in the nature of Debentures. Letter of allotment ,STRPP-G.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
0.40% Unsecured Non Convertible Deep Discount Bonds (2008 Series-III) in the nature of Debentures. Letter of allotment ,STRPP-B.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
Zero coupon Unsecured Non Convertible Deep Discount Bonds (2007 Series-II) in the nature of Debentures. Letter of allotment ,STRPP-H.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
0.40% Unsecured Non Convertible Deep Discount Bonds (2008 Series-III) in the nature of Debentures. Letter of allotment ,STRPP-C.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
Zero coupon Unsecured Non Convertible Deep Discount Bonds (2007 Series-II) in the nature of Debentures. Letter of allotment ,STRPP-I.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
0.40% Unsecured Non Convertible Deep Discount Bonds (2008 Series-III) in the nature of Debentures. Letter of allotment ,STRPP-D.Date of
INE091D11105
INE091D11154
INE091D11162
INE091D11170
INE091D11188
INE091D11196
INE091D11204
PUNJAB NATIONAL BANK INE160A09140
PUNJAB NATIONAL BANK INE160A09124
PUNJAB NATIONAL BANK INE160A09132
PUNJAB NATIONAL BANK INE160A09157
PUNJAB NATIONAL BANK INE160A09173
PUNJAB NATIONAL BANK INE160A09207
PUNJAB NATIONAL BANK INE160A09215
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
Zero coupon Unsecured Non Convertible Deep Discount Bonds (2007 Series-II) in the nature of Debentures. Letter of allotment ,STRPP-J.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
0.40% Unsecured Non Convertible Deep Discount Bonds (2008 Series-III) in the nature of Debentures. Letter of allotment ,STRPP-E.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
0.40% Unsecured Non Convertible Deep Discount Bonds (2008 Series-III) in the nature of Debentures. Letter of allotment ,STRPP-F.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
0.40% Unsecured Non Convertible Deep Discount Bonds (2008 Series-III) in the nature of Debentures. Letter of allotment ,STRPP-G.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
0.40% Unsecured Non Convertible Deep Discount Bonds (2008 Series-III) in the nature of Debentures. Letter of allotment ,STRPP-H.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
0.40% Unsecured Non Convertible Deep Discount Bonds (2008 Series-III) in the nature of Debentures. Letter of allotment ,STRPP-I.Date of
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
0.40% Unsecured Non Convertible Deep Discount Bonds (2008 Series-III) in the nature of Debentures. Letter of allotment ,STRPP-J.Date of 8.95% Unsecured Non Convertible Bonds in the form of Promissory Notes-Series XIII. Letter of Allotment.Date of Maturity 08/04/20168.45% Unsecured Redeemable Bonds in the form of Promissory Notes-Series XI. Letter of Allotment.Date of Maturity 16/04/20169.15% Unsecured Redeemable Bonds in the form of Promissory Notes-Series XII. Letter of Allotment.Date of Maturity 16/04/20168.80% Unsecured Non Convertible Upper Tier II Bonds in the form of Promissory Notes-Series I . Letter of Allotment.Date of Maturity 08/12/20219.35% Unsecured Non Convertible Upper Tier II Bonds in the form of Promissory Notes-Series II . Letter of Allotment.Date of Maturity :12/12/20229.35% Unsecured Non Convertible Upper Tier II Bonds in the form of Promissory Notes-Series III . Letter of Allotment.Date of 9.45% Unsecured Non Convertible Upper Tier II Bonds in the form of Promissory Notes-Series IV . Letter of Allotment.Date of
PUNJAB NATIONAL BANK INE160A09223
PUNJAB NATIONAL BANK INE160A09231
PUNJAB NATIONAL BANK INE160A09256
PUNJAB NATIONAL BANK INE160A08019
PUNJAB NATIONAL BANK INE160A08035
PUNJAB NATIONAL BANK INE160A08027
PUNJAB NATIONAL BANK INE160A09264
PUNJAB NATIONAL BANK INE160A09272
PUNJAB NATIONAL BANK INE160A09298
PUNJAB NATIONAL BANK INE160A09306
PUNJAB NATIONAL BANK INE160A09322
PUNJAB NATIONAL BANK INE160A09199
PUNJAB NATIONAL BANK INE160A09181
PUNJAB NATIONAL BANK INE160A09249
10.85% Unsecured Non Convertible Upper Tier II Bonds in the form of Promissory Notes-Series V . Letter of Allotment.Date of Maturity :29/09/20238.95% Unsecured Non Convertible Upper Tier II Bonds in the form of Promissory Notes-Series VI . Letter of Allotment.Date of Reset rate Unsecured Non Convertible Upper Tier II Bonds in the form of Promissory Notes-Series VII . Letter of Allotment.Date of 9.65% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS FOR INCLUSION IN TIER 2 CAPITAL IN THE NATURE OF DEBENTURE. 9.68% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS FOR INCLUSION IN TIER 2 CAPITAL IN THE NATURE OF DEBENTURE. 9.68 UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS FOR INCLUSION IN TIER 2 CAPITAL IN THE NATURE OF DEBENTURE. Reset rate Unsecured Non Convertible Upper Tier II Bonds in the form of Promissory Notes-Series VIII . Letter of Allotment.Date of Reset rate Unsecured Non Convertible Upper Tier II Bonds in the form of Promissory Notes-Series IX . Letter of Allotment.Date of Reset rate Unsecured Non Convertible Tier -II Bonds in form of promissory notes. Letter of Allotment.Series - X
Reset rate Unsecured Non Convertible Upper Tier -II Bonds in form of promissory notes. Letter of Allotment.Series - XI. Date of Maturity : 27/11/2024Reset rate Unsecured Non Convertible Tier -II Bonds in form of promissory notes. Letter of Allotment.Series - XII. Date of Maturity : 24/05/20259.45% Unsecured Non Convertible Tier -I Perpetual Bonds in form of promissory notes. Letter of Allotment.Series - III
9.75% Unsecured Non Convertible Tier -I Perpetual Bonds in form of promissory notes. Letter of Allotment.Series - II
8.90% Unsecured Non Convertible Tier -I Perpetual Bonds in form of promissory notes. Letter of Allotment.Series - IV
PUNJAB NATIONAL BANK INE160A09165
PUNJAB NATIONAL BANK INE160A09280
PUNJAB NATIONAL BANK INE160A09314
INE078G08010
INE078G08028
INE078G08036
INE973F09038
INE973F09053
INE973F09061
INE973F09079
INE973F09087
INE973F09129
INE973F09137
INE973F09145
10.40% Unsecured Non Convertible Tier -I Perpetual Bonds in form of promissory notes. Letter of Allotment.Series - IReset rate Unsecured Non Convertible Tier -I Perpetual Bonds in form of promissory notes. Letter of Allotment.Series - VReset rate Unsecured Non Convertible Tier -I Perpetual Bonds in form of promissory notes. Letter of Allotment.Series - VI
PUNJAB STATE ELECTRICITY BOARD
9.40% Unsecured Redeemable Non Convertible Non SLR PSEB Bonds (2008-09) Series - I Date of Maturity : 08/07/2018
PUNJAB STATE ELECTRICITY BOARD
10.15% Unsecured Redeemable Non Convertible Non SLR PSEB Bonds (2008-09) Series - II.Date of Maturity : 29/01/2019
PUNJAB STATE ELECTRICITY BOARD
9.01% Unsecured Redeemable Non Convertible Non SLR PSEB Bonds (2009-10) Series - I .Date of Maturity : 07/09/2019
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP. LTD
7.80% Unsecured Non Convertible bond in form of Promissory notes. Letter of allotment. PSIDC 2005-I series. Final Date of redemption :
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP. LTD
9.32% Unsecured Non Convertible bond in form of Promissory notes. Letter of allotment. PSIDC 2006- I series. Final Date of redemption :
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP. LTD
9.32% Unsecured Non Convertible bond in form of Promissory notes. Letter of allotment. PSIDC 2006- II series. Final Date of redemption :
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP. LTD
9.32% Unsecured Non Convertible bond in form of Promissory notes. Letter of allotment. PSIDC Bonds - 2009- (1st series). Final Date of
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP. LTD
9.43% Unsecured Non Convertible bond in form of Promissory notes. Letter of allotment. PSIDC Bonds - 2009- (2nd series). Final Date of
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP. LTD
9.70% UNSECURED NON CONVERTIBLE BONDS. SERIES PSIDC BONDS 2012 - 1ST SERIES. LETTER OF ALLOTMENT. DATE OF MATURITY 26/08/2022.
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP. LTD
9.90% UNSECURED NON CONVERTIBLE BONDS. SERIES PSIDC BONDS 2012 - 2ND SERIES. LETTER OF ALLOTMENT. DATE OF MATURITY 21/02/2023
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP. LTD
9.90% UNSECURED NON-CONVERTIBLE PSIDC BONDS-2013. 1ST SERIES . LETTER OF ALLOTMENT. DATE OF MATURITY 27/03/2023
INE973F09103
INE973F09111
INE842O07015
INE842O07023
INE842O07031
INE842O07049
PVR LIMITED INE191H07011
PVR LIMITED INE191H07029
PVR LIMITED INE191H07037
PVR LIMITED INE191H07060
PVR LIMITED INE191H07078
PVR LIMITED INE191H07045
INE527B07035
INE867O08010
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP.LTD
8.70% Unsecured Non-Convertible Bond. Letter of Allotment. Series- 1st. Date of Maturity 09/12/2020
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP.LTD
9.05% Unsecured Non-Convertible Bond 2010 (2nd series). Letter of Allotment.Date of Maturity16/02/2021
PURANIK BUILDERS PRIVATE LIMITED
17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A. LETTER OF ALLOTMENT. DATE OF MATURITY 26/08/2016
PURANIK BUILDERS PRIVATE LIMITED
17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B. LETTER OF ALLOTMENT. DATE OF MATURITY 26/09/2016
PURANIK BUILDERS PRIVATE LIMITED
17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C. LETTER OF ALLOTMENT. DATE OF MATURITY 26/09/2016
PURANIK BUILDERS PRIVATE LIMITED
17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D. LETTER OF ALLOTMENT. DATE OF MATURITY 26/09/201611.40% Secured Redeemable Non Convertible Debenture in the form of Separately Transferable Redeemable Principal Parts (STRPPs) - I. Letter of 11.40% Secured Redeemable Non Convertible Debenture in the form of Separately Transferable Redeemable Principal Parts (STRPPs) - II. Letter of 11.40% Secured Redeemable Non Convertible Debenture in the form of Separately Transferable Redeemable Principal Parts (STRPPs) - III. Letter of RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 25/02/2019
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 10/06/2019
11.40% Secured Redeemable Non Convertible Debenture in the form of Separately Transferable Redeemable Principal Parts (STRPPs) - IV. Letter of
QUADRANT TELEVENTURES LIMITED
SECURED NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 31/03/2023.
RACE AHEAD REAL ESTATES PRIVATE LIMITED
7% UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF MATURITY 12/11/2022
INE447N07015
RAHEJA DEVELOPERS LIMITED INE050Q07010
INE103G08024
INE103G08032
INE572F11216
INE572F11224
INE572F11232
INE572F11240
INE572F08014
INE572F08022
INE572F11257
INE572F08030
INE572F08048
INE572F08055
RADHESH REALTORS PRIVATE LIMITED
17% Secured Non Convertible Debentures . Date of Maturity : 15/03/2015
18.75% SECURED NON CONVERTIBLE DEBENTURES. SERIES C. DATE OF MATURITY 01/08/2017
RAJASTHAN FINANCIAL CORPORATION
9.45% UNSECURED NON SLR BONDS 2012-13 SERIES II. DATE OF MATURITY 04/12/2022.
RAJASTHAN FINANCIAL CORPORATION
9.24% UNSECURED NON SLR BONDS 2012-13 SERIES III. DATE OF MATURITY 22/01/2023
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
Zero Coupon Unsecured Non-Convertible redeemable Deep Discount Bond, Letter of Allotment.STRPPs -A. Date of Maturity 31/01/2021
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
Zero Coupon Unsecured Non-Convertible redeemable Deep Discount Bond Letter of Allotment.STRPPs- B. Date of Maturity 31/01/2022
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
Zero Coupon Unsecured Non-Convertible redeemable Deep Discount Bond, Letter of Allotment.STRPPs- C. Date of Maturity 31/01/2023
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
Zero Coupon Unsecured Non-Convertible redeemable Deep Discount Bond . Letter of Allotment.STRPPs- D. Date of Maturity 31/01/2024
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
9.74% Unsecured Non Convertible Redeemable bonds. Date of Maturity - 28/06/2024
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
9.51% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF DEBENTURES. DATE OF MATURITY 26/09/2024
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
Zero Coupon Unsecured Non-Convertible redeemable Deep Discount Bond. Letter of Allotment.STRPPs- E. Date of Maturity 31/01/2025
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
9.30% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF DEBENTURES. DATE OF MATURITY 15/02/2025
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
9.40% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS. DATE OF MATURITY 22/03/2025
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
9.07% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. DATE OF MATURITY 06/09/2025
INE572F08063
INE572F11265
INE572F08071
INE572F11273
INE572F11281
INE572F11299
INE572F11307
INE572F11018
INE572F11117
INE572F11026
INE572F11125
INE572F11034
INE572F11133
INE572F11042
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
10.25% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. DATE OF MATURITY 17/01/2026
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
Zero Coupon Unsecured Non-Convertible redeemable Deep Discount Bond . Letter of Allotment.STRPPs- F. Date of Maturity 31/01/2026
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
10.15% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. DATE OF MATURITY 28/03/2026
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
Zero Coupon Unsecured Non-Convertible redeemable Deep Discount Bond. Letter of Allotment.STRPPs- G. Date of Maturity 31/01/2027
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
Zero Coupon Unsecured Non-Convertible redeemable Deep Discount Bond. Letter of Allotment.STRPPs- H. Date of Maturity 31/01/2028
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
Zero Coupon Unsecured Non-Convertible redeemable Deep Discount Bond. Letter of Allotment.STRPPs- I. Date of Maturity 31/01/2029
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED
Zero Coupon Unsecured Non-Convertible redeemable Deep Discount Bond. Letter of Allotment.STRPPs- J. Date of Maturity 31/01/2030
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non Convertible Redeemable Deep Discount Bonds. Letter of Allotment. STRPP-A. Date of Maturity: 31/12/2019.
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non-Convertible Deep Discount Bond. Letter of Allotment. STRPP A. Date of Maturity 14/01/2020
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non Convertible Redeemable Deep Discount Bonds. Letter of Allotment. STRPP-B. Date of Maturity: 31/12/2020
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non-Convertible Deep Discount Bond. Letter of Allotment. STRPP- B. Date of Maturity 14/01/2021
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non Convertible Redeemable Deep Discount Bonds. Letter of Allotment. STRPP-C. Date of Maturity: 31/12/2021
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non-Convertible Deep Discount Bond. Letter of Allotment. STRPP- C. Date of Maturity 14/01/2022
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non Convertible Redeemable Deep Discount Bonds. Letter of Allotment. STRPP-D. Date of Maturity: 31/12/2022
INE572F11141
INE572F11059
INE572F11158
INE572F11067
INE572F11166
INE572F11075
INE572F11174
INE572F11083
INE572F11182
INE572F11091
INE572F11190
INE572F11109
INE572F11208
INE700N09021
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non-Convertible Deep Discount Bond. Letter of Allotment. Series- STRPPs D. Date of Maturity 14/01/2023
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non Convertible Redeemable Deep Discount Bonds. Letter of Allotment. STRPP-E. Date of Maturity: 31/12/2023
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non-Convertible Deep Discount Bond. Letter of Allotment. Series- STRPPs E. Date of Maturity 14/01/2024
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non Convertible Redeemable Deep Discount Bonds. Letter of Allotment. STRPP-F. Date of Maturity: 31/12/2024
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non-Convertible Deep Discount Bond. Letter of Allotment. Series- STRPPs F. Date of Maturity 14/01/2025
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non Convertible Redeemable Deep Discount Bonds. Letter of Allotment. STRPP-G. Date of Maturity: 31/12/2025
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non-Convertible Deep Discount Bond. Letter of Allotment. Series- STRPPs G. Date of Maturity 14/01/2026
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non Convertible Redeemable Deep Discount Bonds. Letter of Allotment. STRPP-H. Date of Maturity: 31/12/2026
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non-Convertible Deep Discount Bond. Letter of Allotment. Series- STRPPs H. Date of Maturity 14/01/2027
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non Convertible Redeemable Deep Discount Bonds. Letter of Allotment. STRPP-I. Date of Maturity: 31/12/2027
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non-Convertible Deep Discount Bond. Letter of Allotment. Series- STRPPs I. Date of Maturity 14/01/2028
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non Convertible Redeemable Deep Discount Bonds. Letter of Allotment. STRPP-J. Date of Maturity: 31/12/2028
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD.
Unsecured Non-Convertible Deep Discount Bond. Letter of Allotment. Series- STRPPs J. Date of Maturity 14/01/2029
RAJASTHAN STATE ROAD TRANSPORT CORPORATION
9.70% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE IN NATURE OF BONDS. DATE OF MATURITY 01/11/2022.
INE700N09013
INE700N08015
INE331M07039
INE950P07013
INE564O08013
INE564O08021
INE564O08039
INE564O08047
INE564O08054
INE564O08062
INE564O08070
INE564O08088
INE062N07012
RAYMOND LIMITED INE301A08340
RAJASTHAN STATE ROAD TRANSPORT CORPORATION
9.7% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF PROMISSORY NOTES. LETTER OF ALLOTMENT. DATE OF MATURITY 17/07/2022
RAJASTHAN STATE ROAD TRANSPORT CORPORATION
10.25% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS. SERIES I (RSRTC BONDS 2013-14). LETTER OF ALLOTMENT. DATE OF
RAJESH ESTATES AND NIRMAN PRIVATE LIMITED
12% SECURED NON CONVERTIBLE DEBENTURES. SERIES ONE. LETTER OF ALLOTMENT. DATE OF MATURITY 30/04/2018
RAJESH REAL ESTATE DEVELOPERS PVT LTD
17.50% SECURED NON-CONVERTIBLE DEBENTURES. SERIES-ONE. DATE OF MATURITY 03.07.2017
RAMPRASTHA SARE REALTY PRIVATE LIMITED
13.5% UNSECURED FULLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF CONVERSION 31/03.2022
RAMPRASTHA SARE REALTY PRIVATE LIMITED
13.5% UNSECURED FULLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF CONVERSION 31/03.2022
RAMPRASTHA SARE REALTY PRIVATE LIMITED
13.5% UNSECURED FULLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF CONVERSION 31/03.2022
RAMPRASTHA SARE REALTY PRIVATE LIMITED
13.5% UNSECURED FULLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF CONVERSION 31/03.2022
RAMPRASTHA SARE REALTY PRIVATE LIMITED
13.5% UNSECURED FULLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF CONVERSION 31/03.2022
RAMPRASTHA SARE REALTY PRIVATE LIMITED
13.5% UNSECURED FULLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF CONVERSION 31/03.2022
RAMPRASTHA SARE REALTY PRIVATE LIMITED
13.5% UNSECURED FULLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF CONVERSION 31/03.2022
RAMPRASTHA SARE REALTY PRIVATE LIMITED
13.5% UNSECURED FULLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF CONVERSION 31/03.2022
RATIONAL BUILDCON PRIVATE LIMITED
19% Secured Non-Convertible Debenture. Date of Maturity 31/01/2016
10.5% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 24/12/2014.
RAYMOND LIMITED INE301A08365
RAYMOND LIMITED INE301A08332
RAYMOND LIMITED INE301A08357
RAYMOND LIMITED INE301A08373
RAYMOND LIMITED INE301A08381
INE930Q08011
RB MEDIASOFT PVT. LTD. INE968Q08011
INE521E07CB0
INE521E07CG9
INE521E07CD6
INE521E07CE4
INE521E07CH7
INE521E07CJ3
INE254Q07018
11.25% UNSECURED NON-CONVERTIBLE DEBENTURES. SERIES D. DATE OF MATURITY 27/11/2015
10.6% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 12/10/2015.
10.55% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 28/06/2016
ZERO COUPON UNSECURED NON-CONVERTIBLE DEBENTURES. SERIES E. DATE OF MATURITY 14/11/2016
ZERO COUPON UNSECURED NON-CONVERTIBLE DEBENTURES. SERIES F. DATE OF MATURITY 24/04/2017
RB MEDIA HOLDINGS PRIVATE LIMITED
ZERO COUPON UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 29/10/2022
ZERO COUPON UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 29/10/2022
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD
Nifty Index Linked Principal Protected Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 17/07/2014
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD
Nifty Index Linked Secured Non-Convertible Debenture. Letter of Allotment. Series- H 01. Date of Maturity 18/07/2014
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD
Nifty Index Linked Secured Non-Convertible Debenture.Letter of Allotment. Series- G 27. Date of Maturity 25/07/2014
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD
Nifty Index Linked Secured Non-Convertible Debenture.Letter of Allotment. Series- G 28. Date of Maturity 30/07/2014
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD
Nifty Index Linked Secured Non-Convertible Debenture. Letter of Allotment. Series- H 02. Date of Maturity 19/08/2014
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD
Nifty Index Linked Secured Non-Convertible Debenture. Letter of Allotment. Series- H 04. Date of Maturity 26/09/2014
REDDY HOUSING PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 10/03/2018
INE660P07018
INE151N07013
INE854M07014
REI AGRO LIMITED INE385B07061
REI AGRO LIMITED INE385B07079
REI AGRO LIMITED INE385B07046
REI AGRO LIMITED INE385B07137
REI AGRO LIMITED INE385B07160
REI AGRO LIMITED INE385B07095
REI AGRO LIMITED INE385B07087
REI AGRO LIMITED INE385B07103
REI AGRO LIMITED INE385B07145
REI AGRO LIMITED INE385B07178
REI AGRO LIMITED INE385B07111
REDDY STRUCTURES PRIVATE LIMITED
19% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF MATURITY 15/02/2016
REDKITE CAPITAL PRIVATE LIMITED
10% Secured Non Convertible Debenture Date of Maturity: 20/02/2017
REGEN POWERTECH PRIVATE LIMITED
16.65% Secured Compulsorily Convertible Debentures. Date of Conversion: 29/09/2015
11.75% Secured Non Convertible Debentures in the form of Separately Transferable Redeemable Principal Parts. STRPPs - Series - II Letter of 11.75% Secured Non Convertible Debentures in the form of Separately Transferable Redeemable Principal Parts. STRPPs - Series - III Letter of 11.75% Secured Non Convertible Debentures..STRPPs - Series - IV Letter of Allotment.Date of Maturity: 20/12/2014.
12% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs Series- I. Date of Maturity 15/03/2015
12% Secured Non-Convertible Debenture. Letter of Allotment. Series- I. Date of Maturity 15/03/2015 FVRS10LAC
13.00% Secured Non-Convertible Debenture in the form of STRPP. Letter of Allotment. Series- I. Date of Maturity 29/03/2015
11.75% Secured Non Convertible Debentures in the form of Separately Transferable Redeemable Principal Parts. STRPPs - Series - IV Letter of 13.00% Secured Non-Convertible Debenture in the form of STRPP. Letter of Allotment. Series- I. Date of Maturity 29/09/2015
12% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs Series- II. Date of Maturity 15/03/2016
12% Secured Non-Convertible Debenture. Letter of Allotment. Series- II. Date of Maturity 15/03/2016 FVRS10LAC
13.00% Secured Non-Convertible Debenture in form of STRPP. Letter of Allotment. Series- I. Date of Maturity 29/03/2016
REI AGRO LIMITED INE385B07129
REI AGRO LIMITED INE385B07152
REI AGRO LIMITED INE385B07186
INE445K08013
RELIANCE CAPITAL LIMITED INE013A07OE5
RELIANCE CAPITAL LIMITED INE013A07NA5
RELIANCE CAPITAL LIMITED INE013A07NB3
RELIANCE CAPITAL LIMITED INE013A07OV9
RELIANCE CAPITAL LIMITED INE013A07UG7
RELIANCE CAPITAL LIMITED INE013A07UH5
RELIANCE CAPITAL LIMITED INE013A07NE7
RELIANCE CAPITAL LIMITED INE013A07UQ6
RELIANCE CAPITAL LIMITED INE013A07NG2
RELIANCE CAPITAL LIMITED INE013A07NH0
13.00% Secured Non-Convertible Debenture in form of STRPP. Letter of Allotment. Series- I. Date of Maturity 29/09/2016
12% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs Series- III. Date of Maturity 15/03/2017
12% Secured Non-Convertible Debenture. Letter of Allotment. Series- III. Date of Maturity 15/03/2017 FVRS10LAC
RELIANCE BROADCAST NETWORK LIMITED
ZERO COUPON UNSECURED NON CONVERTIBLE DEBENTURE. DATE OF MATURITY 08/08/2015
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 07/05/2014
10.65% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 08/07/2014
10.65% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/07/2014
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/07/2014
ZERO COUPON SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-282. LETTER OF ALLOTMENT. DATE OF MATURITY 14/07/2014NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/97. LETTER OF ALLOTMENT. DATE OF MATURITY 26/07/201410.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 08/08/2014
NIFTY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES B/106.LETTER OF ALLOTMENT.DATE OF MATURITY 10.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 11/08/2014
10.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 12/08/2014
RELIANCE CAPITAL LIMITED INE013A07NI8
RELIANCE CAPITAL LIMITED INE013A07JP1
RELIANCE CAPITAL LIMITED INE013A07OW7
RELIANCE CAPITAL LIMITED INE013A07RP4
RELIANCE CAPITAL LIMITED INE013A07NO6
RELIANCE CAPITAL LIMITED INE013A07VH3
RELIANCE CAPITAL LIMITED INE013A07PY0
RELIANCE CAPITAL LIMITED INE013A07RI9
RELIANCE CAPITAL LIMITED INE013A07RL3
RELIANCE CAPITAL LIMITED INE013A07QB6
RELIANCE CAPITAL LIMITED INE013A07QF7
RELIANCE CAPITAL LIMITED INE013A07WZ3
RELIANCE CAPITAL LIMITED INE013A07OJ4
RELIANCE CAPITAL LIMITED INE013A07QW2
10.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 18/08/2014
9.75% Secured Non convertible debentures. Letter of allotment. Date of Maturity : 10/09/2014
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/09/2014
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/50. LETTER OF ALLOTMENT. DATE OF MATURITY 22/09/2014.Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 25/09/2014
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/123. LETTER OF ALLOTMENT. DATE OF MATURITY 03/10/2014NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 10/10/2014NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/46. LETTER OF ALLOTMENT. DATE OF MATURITY 10/12/2014.NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/55. LETTER OF ALLOTMENT. DATE OF MATURITY 10/12/2014.NIFTY LINKED SECURED REDEEMABLE EQUITY LINKED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 22/10/2014NIFTY LINKED SECURED REDEEMABLE EQUITY LINKED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 27/10/2014RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/175. TYPE III. DATE OF MATURITY 30/10/2014Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 11/06/2014
NIFTY LINKED SECURED EQUITY LINKED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 13/11/2014
RELIANCE CAPITAL LIMITED INE013A07WS8
RELIANCE CAPITAL LIMITED INE013A07RG3
RELIANCE CAPITAL LIMITED INE013A07TB0
RELIANCE CAPITAL LIMITED INE013A07OC9
RELIANCE CAPITAL LIMITED INE013A07XN7
RELIANCE CAPITAL LIMITED INE013A07YH7
RELIANCE CAPITAL LIMITED INE013A07NQ1
RELIANCE CAPITAL LIMITED INE013A07UF9
RELIANCE CAPITAL LIMITED INE013A07XS6
RELIANCE CAPITAL LIMITED INE013A07RY6
RELIANCE CAPITAL LIMITED INE013A07XR8
RELIANCE CAPITAL LIMITED INE013A07QG5
RELIANCE CAPITAL LIMITED INE013A07XI7
RELIANCE CAPITAL LIMITED INE013A07WC2
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/169 TYPE II. DATE OF MATURITY 14/11/2014
10.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES LT-256. LETTER OF ALLOTMENT. DATE OF MATURITY 12/09/2014.NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/79. LETTER OF ALLOTMENT. DATE OF MATURITY 14/12/2014Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 01/06/2015
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/188 TYPE II. DATE OF MATURITY 13/01/2015
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/191 TYPE IV. DATE OF MATURITY 13/01/2015Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 19/01/2015
ZERO COUPON SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-283. LETTER OF ALLOTMENT. DATE OF MATURITY 20/01/2015NIFTY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES B/188 TYPE V. DATE OF MATURITY 27/01/2015
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTUTRES.SERIES B-52. LETTER OF ALLOTMENT. DATE OF MATURITY 02/01/2015NIFTY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES B/188 TYPE III. DATE OF MATURITY 02/02/2015 10.70% SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT - 240. LETTER OF ALLOTMENT. DATE OF MATURITY 02/03/2015.NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES B/176. TYPE II. DATE OF MATURITY 02/11/2015
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/140. LETTER OF ALLOTMENT. DATE OF MATURITY 16/02/2015
RELIANCE CAPITAL LIMITED INE013A07NR9
RELIANCE CAPITAL LIMITED INE013A07XX6
RELIANCE CAPITAL LIMITED INE013A07OX5
RELIANCE CAPITAL LIMITED INE013A07YY2
RELIANCE CAPITAL LIMITED INE013A07QI1
RELIANCE CAPITAL LIMITED INE013A07OM8
RELIANCE CAPITAL LIMITED INE013A07NN8
RELIANCE CAPITAL LIMITED INE013A07ZU7
RELIANCE CAPITAL LIMITED INE013A07XL1
RELIANCE CAPITAL LIMITED INE013A07NZ2
RELIANCE CAPITAL LIMITED INE013A07ZP7
RELIANCE CAPITAL LIMITED INE013A07ZB7
RELIANCE CAPITAL LIMITED INE013A07PK9
RELIANCE CAPITAL LIMITED INE013A07OF2
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 21/02/2015
CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURES. SERIES B/192 TYPE II. DATE OF MATURITY 27/02/2015
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 03/09/2015
CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURE. SERIES B/212. DATE OF MATURITY 18/03/2015
10.70% SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT - 242. LETTER OF ALLOTMENT. DATE OF MATURITY 20/03/2015.10.25% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 30/03/2015
NIfty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 04/01/2015
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/243 TYPE III. DATE OF MATURITY 04/05/2015NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/185. DATE OF MATURITY 04/11/2015
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 13/04/2015
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/240 TYPE I. DATE OF MATURITY 27/04/2015
CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURE. SERIES B/227 TYPE I. DATE OF MATURITY 30/04/2015
10.40% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 05/06/2015
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/05/2015
RELIANCE CAPITAL LIMITED INE013A07OY3
RELIANCE CAPITAL LIMITED INE013A07UC6
RELIANCE CAPITAL LIMITED INE013A07YR6
RELIANCE CAPITAL LIMITED INE013A07TP0
RELIANCE CAPITAL LIMITED INE013A07ZL6
RELIANCE CAPITAL LIMITED INE013A07YL9
RELIANCE CAPITAL LIMITED INE013A07UU8
RELIANCE CAPITAL LIMITED INE013A07VB6
RELIANCE CAPITAL LIMITED INE013A07LB7
RELIANCE CAPITAL LIMITED INE013A07SC0
RELIANCE CAPITAL LIMITED INE013A07VI1
RELIANCE CAPITAL LIMITED INE013A07QP6
RELIANCE CAPITAL LIMITED INE013A07VL5
RELIANCE CAPITAL LIMITED INE013A07PI3
10.40% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/05/2015
NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES B/90. DATE OF MATURITY 18/05/2015CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/209- TYPE I. DATE OF MATURITY 18/05/2015
NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES B/78. DATE OF MATURITY 19/05/2015CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/238 TYPE I. DATE OF MATURITY 20/05//2015
ZERO COUPON SECURED NON CONVERTIBLE DEBENTURES.SERIES FB-NCD-297. DATE OF MATURITY 05/06/2015NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/107. LETTER OF ALLOTMENT. DATE OF MATURITY 14/06/2015NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/110. LETTER OF ALLOTMENT. DATE OF MATURITY 23/06/20158.40% Secured Non convertible debentures. Letter of allotment. Date of Maturity : 26/06/2015
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTUTRES.SERIES B-58. LETTER OF ALLOTMENT. DATE OF MATURITY 07/01/2015RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/113. LETTER OF ALLOTMENT. DATE OF MATURITY 10.3% SECURED NON CONVERTIBLE DEBENTURES. SERIES LT - 249. LETTER OF ALLOTMENT. DATE OF MATURITY 07/08/2015NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/120. LETTER OF ALLOTMENT. DATE OF MATURITY 08/07/2015NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 07/09/2015
RELIANCE CAPITAL LIMITED INE013A07PX2
RELIANCE CAPITAL LIMITED INE013A07PZ7
RELIANCE CAPITAL LIMITED INE013A07ON6
RELIANCE CAPITAL LIMITED INE013A07QD2
RELIANCE CAPITAL LIMITED INE013A07VR2
RELIANCE CAPITAL LIMITED INE013A07ZH4
RELIANCE CAPITAL LIMITED INE013A07WV2
RELIANCE CAPITAL LIMITED INE013A07YT2
RELIANCE CAPITAL LIMITED INE013A07SL1
RELIANCE CAPITAL LIMITED INE013A07TL9
RELIANCE CAPITAL LIMITED INE013A07UO1
RELIANCE CAPITAL LIMITED INE013A07WJ7
RELIANCE CAPITAL LIMITED INE013A07QM3
RELIANCE CAPITAL LIMITED INE013A07WN9
NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 07/11/2015
NIFTY LINKED SECURED EQUITY LINKED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 07/12/2015Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 20/07/2015
10.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. RCAP LT - 236. LETTER OF ALLOTMENT. DATE OF MATURITY 20/07/2015.RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/132. LETTER OF ALLOTMENT. DATE OF MATURITY CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/236. DATE OF MATURITY 08/07/2015
ZERO COUPON SECURED NON-CONVERTIBLE DEBENTURE. SERIES RCAP LT- F - 293. DATE OF MATURITY 21/08/2015
CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURE. SERIES B/211. DATE OF MATURITY 21/08/2015
NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES B/67. DATE OF MATURITY 09/02/2015NIFTY LINKED SECURED CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. B/80.DATE OF MATURITY 09/04/2015NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/96.LETTER OF ALLOTMENT.DATE OF MATURITY NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES B/145. DATE OF MATURITY 07/09/2015NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 09/12/2015.
RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES B/152. DATE OF MATURITY
RELIANCE CAPITAL LIMITED INE013A07PC6
RELIANCE CAPITAL LIMITED INE013A07ZN2
RELIANCE CAPITAL LIMITED INE013A07VZ5
RELIANCE CAPITAL LIMITED INE013A07WA6
RELIANCE CAPITAL LIMITED INE013A07WO7
RELIANCE CAPITAL LIMITED INE013A07QH3
RELIANCE CAPITAL LIMITED INE013A07UP8
RELIANCE CAPITAL LIMITED INE013A07UR4
RELIANCE CAPITAL LIMITED INE013A07PF9
RELIANCE CAPITAL LIMITED INE013A07SE6
RELIANCE CAPITAL LIMITED INE013A07WK5
RELIANCE CAPITAL LIMITED INE013A07PT0
RELIANCE CAPITAL LIMITED INE013A07SD8
RELIANCE CAPITAL LIMITED INE013A07RK5
NIFTY LINK SECURED NON CONVERTIBLE DEBENTURES.SERIES A-06. LETTER OF ALLOTMENT. DATE OF MATURITY 18/09/2015EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/239 A. DATE OF MATURITY 22/09/2015
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/127. LETTER OF ALLOTMENT. DATE OF MATURITY 24/09/2015NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/128. LETTER OF ALLOTMENT. DATE OF MATURITY 25/09/2015RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES B/160. DATE OF MATURITY 10.70% SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT - 241. LETTER OF ALLOTMENT. DATE OF MATURITY 10/03/2015.NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES B/99. LETTER OF ALLOTMENT. DATE OF MATURITY 10/06/2015NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES B/100. LETTER OF ALLOTMENT. DATE OF MATURITY 10/06/2015NIFTY LINKED SECURED NON CONVERTIBLE REDEEMABLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 16/10/2015NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/54. LETTER OF ALLOTMENT. DATE OF MATURITY 19/10/2015.NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES B/146. DATE OF MATURITY 27/10/2015Nifty Linked Secured Non Convertible Debentures. Letter of allotment. Date of Maturity : 30/10/2015
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTUTRES.SERIES B-60. LETTER OF ALLOTMENT. DATE OF MATURITY 11/02/2015NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/51. LETTER OF ALLOTMENT. DATE OF MATURITY 11/03/2015.
RELIANCE CAPITAL LIMITED INE013A07UB8
RELIANCE CAPITAL LIMITED INE013A07WQ2
RELIANCE CAPITAL LIMITED INE013A07WP4
RELIANCE CAPITAL LIMITED INE013A07QC4
RELIANCE CAPITAL LIMITED INE013A07PV6
RELIANCE CAPITAL LIMITED INE013A07UA0
RELIANCE CAPITAL LIMITED INE013A07TY2
RELIANCE CAPITAL LIMITED INE013A07WD0
RELIANCE CAPITAL LIMITED INE013A07ZC5
RELIANCE CAPITAL LIMITED INE013A07PE2
RELIANCE CAPITAL LIMITED INE013A07PW4
RELIANCE CAPITAL LIMITED INE013A07RM1
RELIANCE CAPITAL LIMITED INE013A07WX8
RELIANCE CAPITAL LIMITED INE013A07XD8
10.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. RCAP LT-281. LETTER OF ALLOTMENT. DATE OF MATURITY 11/03/2015HINDUSTAN UNILEVER LTD STOCK LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/167 TYPE IV. DATE OF MATURITY 09/11/2015HINDUSTAN UNILEVER LTD STOCK LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/167 TYPE V. DATE OF MATURITY 10/11/2015NIFTY LINKED SECURED REDEEMABLE EQUITY LINKED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 20/11/2015NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 26/11/201510.70% SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-280. LETTER OF ALLOTMENT. DATE OF MATURITY 12/01/2015NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/89.LETTER OF ALLOTMENT. DATE OF MATURITY 12/05/2015ZERO COUPON SECURED NON-CONVERTIBLE DEBENTURE. SERIES RCAP LT-F 291.LETTER OF ALLOTMENT. DATE OF MATURITY 12/05/2015CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/222. DATE OF MATURITY 07/12/2015
NIFTY LINKED SECURED NON CONVERTIBLE REDEEMABLE DEBENTURES. SERIES A04-LETTER OF ALLOTMENT. DATE OF MATURITY 12/10/2015NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 12/11/2015.
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/53. LETTER OF ALLOTMENT. DATE OF MATURITY 15/12/2015.NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/174. DATE OF MATURITY 18/12/2015
ITC LTD STOCK LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/182. DATE OF MATURITY 22/12/2015
RELIANCE CAPITAL LIMITED INE013A07LL6
RELIANCE CAPITAL LIMITED INE013A07QZ5
RELIANCE CAPITAL LIMITED INE013A07YM7
RELIANCE CAPITAL LIMITED INE013A07ZW3
RELIANCE CAPITAL LIMITED INE013A07VF7
RELIANCE CAPITAL LIMITED INE013A07LM4
RELIANCE CAPITAL LIMITED INE013A07LN2
RELIANCE CAPITAL LIMITED INE013A07RQ2
RELIANCE CAPITAL LIMITED INE013A07TG9
RELIANCE CAPITAL LIMITED INE013A07XO5
RELIANCE CAPITAL LIMITED INE013A07XQ0
RELIANCE CAPITAL LIMITED INE013A07YV8
RELIANCE CAPITAL LIMITED INE013A07SG1
RELIANCE CAPITAL LIMITED INE013A07SF3
9.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 31/12/2015.
NIFTY LINKED SECURED REDEEMABLE EQUITY LINKED NON CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT. DATE OF MATURITY 31-12-2015CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/208. DATE OF MATURITY 05/01/2016
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/231 TYPE I. DATE OF MATURITY 06/01/2016
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/112. LETTER OF ALLOTMENT. DATE OF MATURITY 01/08/20169.60% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/01/2016
9.60% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 17/01/2016
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A/16. LETTER OF ALLOTMENT. DATE OF MATURITY 19/01/2016.NIFTY LINIKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 02/05/2016
NIFTY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES B/186 TYPE I. DATE OF MATURITY 08/02/2016
NIFTY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES B/188 TYPE I. DATE OF MATURITY 08/02/2016
CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURE. SERIES B/217. DATE OF MATURITY 15/02/2016
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/63. LETTER OF ALLOTMENT. DATE OF MATURITY 19/02/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A/24. LETTER OF ALLOTMENT. DATE OF MATURITY 22/02/2016
RELIANCE CAPITAL LIMITED INE013A07SH9
RELIANCE CAPITAL LIMITED INE013A07UK9
RELIANCE CAPITAL LIMITED INE013A07YE4
RELIANCE CAPITAL LIMITED INE013A07YC8
RELIANCE CAPITAL LIMITED INE013A07UX2
RELIANCE CAPITAL LIMITED INE013A07TE4
RELIANCE CAPITAL LIMITED INE013A07RB4
RELIANCE CAPITAL LIMITED INE013A07RE8
RELIANCE CAPITAL LIMITED INE013A07SQ0
RELIANCE CAPITAL LIMITED INE013A07VG5
RELIANCE CAPITAL LIMITED INE013A07SZ1
RELIANCE CAPITAL LIMITED INE013A07YO3
RELIANCE CAPITAL LIMITED INE013A07YS4
RELIANCE CAPITAL LIMITED INE013A07XH9
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/65. LETTER OF ALLOTMENT. DATE OF MATURITY 22/02/20169.75% SECURED NON CONVERTIBLE DEBENTURES.SERIES RCAP LT-284. LETTER OF ALLOTMENT. DATE OF MATURITY 25/02/2016CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/195. DATE OF MATURITY 13/03/2016
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/194. DATE OF MATURITY 14/03/2016.
9.75% SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-287. LETTER OF ALLOTMENT. DATE OF MATURITY 18/03/2016NIFTY LINKED SECURED NON CONVERTIBLE PRINCIPAL PROTECTED MARKET LINKED DEBENTURES. B/81,LETTER OF ALLOTMENT. DATE OF MATURITY Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series- A-15.Date of Maturity 04/01/2016.
Nifty Link Secured Non-Convertible Debenture. Letter of Allotment.Series-A-19 Date of Maturity 04/01/2016.
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/69. LETTER OF ALLOTMENT. DATE OF MATURITY 04/04/2016RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/105. LETTER OF ALLOTMENT. DATE OF MATURITY NIFTY LINKED SECURED NON-CONVERTIBLE DEBENTURE.SERIES A/33. LETTER OF ALLOTMENT. DATE OF MATURITY 18/04/2016.CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/209- TYPE II. DATE OF MATURITY 25/04/2016
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/216. DATE OF MATURITY 26/04/216
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/176.TYPE I. DATE OF MATURITY 05/02/2016
RELIANCE CAPITAL LIMITED INE013A07TX4
RELIANCE CAPITAL LIMITED INE013A07MQ3
RELIANCE CAPITAL LIMITED INE013A07TM7
RELIANCE CAPITAL LIMITED INE013A07TK1
RELIANCE CAPITAL LIMITED INE013A07YZ9
RELIANCE CAPITAL LIMITED INE013A07MU5
RELIANCE CAPITAL LIMITED INE013A07SB2
RELIANCE CAPITAL LIMITED INE013A07XJ5
RELIANCE CAPITAL LIMITED INE013A07ZK8
RELIANCE CAPITAL LIMITED INE013A07UD4
RELIANCE CAPITAL LIMITED INE013A07ZM4
RELIANCE CAPITAL LIMITED INE013A07UE2
RELIANCE CAPITAL LIMITED INE013A07UI3
RELIANCE CAPITAL LIMITED INE013A07UJ1
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A/41. LETTER OF ALLOTMENT. DATE OF MATURITY 05/06/201611.00% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 12/05/2016
NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. A/37.DATE OF MATURITY 16/05/2016NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. B/77 DATE OF MATURITY 17/05/2016
10.2112% SECURED NON CONVERTIBLE DEBENTURES. SERIES FB-NCD-298. DATE OF MATURITY 17/05/2016
10.40% Secured Non-Convertible Debenture.Letter of Allotment. Date of Maturity 26/05/2016
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTUTRES.SERIES B-57. LETTER OF ALLOTMENT. DATE OF MATURITY 06/02/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTUTRES.SERIES B/177. DATE OF MATURITY 06/02/2016
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/221. DATE OF MATURITY 14/06/2016
NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/98. LETTER OF ALLOTMENT. DATE OF MATURITY 20/06/2016CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/238 TYPE II. DATE OF MATURITY 20/06/2016
NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/88. LETTER OF ALLOTMENT. DATE OF MATURITY 22/06/2016NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/93. LETTER OF ALLOTMENT. DATE OF MATURITY 23/06/2016NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES A/46. LETTER OF ALLOTMENT. DATE OF MATURITY 23/06/2016
RELIANCE CAPITAL LIMITED INE013A07ZO0
RELIANCE CAPITAL LIMITED INE013A07ZQ5
RELIANCE CAPITAL LIMITED INE013A07ZV5
RELIANCE CAPITAL LIMITED INE013A07VE0
RELIANCE CAPITAL LIMITED INE013A07ZT9
RELIANCE CAPITAL LIMITED INE013A07ZS1
RELIANCE CAPITAL LIMITED INE013A07UN3
RELIANCE CAPITAL LIMITED INE013A07RH1
RELIANCE CAPITAL LIMITED INE013A07A41
RELIANCE CAPITAL LIMITED INE013A07TI5
RELIANCE CAPITAL LIMITED INE013A07TQ8
RELIANCE CAPITAL LIMITED INE013A07NC1
RELIANCE CAPITAL LIMITED INE013A07ND9
RELIANCE CAPITAL LIMITED INE013A07VC4
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/240 TYPE II. DATE OF MATURITY 23/06/2016
EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/226. DATE OF MATURITY 24/06/2016
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/233 TYPE II. DATE OF MATURITY 28/06/2016
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/125. LETTER OF ALLOTMENT. DATE OF MATURITY 29/06/2016CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/243 TYPE II. DATE OF MATURITY 29/06/2016
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/243 TYPE I. DATE OF MATURITY 29/06/2016
NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/103. LETTER OF ALLOTMENT. DATE OF MATURITY 30/06/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A/18. LETTER OF ALLOTMENT. DATE OF MATURITY 07/01/2016.CNX NIFTY INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/228. DATE OF MATURITY 04/07/2016NIFTY LINKED SECURED NON-CONVERTIBLE DEBENTURE.SERIES A/30. LETTER OF ALLOTMENT. DATE OF MATURITY 07/05/2016.NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES A/40. DATE OF MATURITY 18/07/201610.40% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 19/07/2016
10.40% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 26/07/2016
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A/47. LETTER OF ALLOTMENT. DATE OF MATURITY 28/07/2016
RELIANCE CAPITAL LIMITED INE013A07VD2
RELIANCE CAPITAL LIMITED INE013A07TH7
RELIANCE CAPITAL LIMITED INE013A07XK3
RELIANCE CAPITAL LIMITED INE013A07SM9
RELIANCE CAPITAL LIMITED INE013A07SU2
RELIANCE CAPITAL LIMITED INE013A07YJ3
RELIANCE CAPITAL LIMITED INE013A07VT8
RELIANCE CAPITAL LIMITED INE013A07VJ9
RELIANCE CAPITAL LIMITED INE013A07VK7
RELIANCE CAPITAL LIMITED INE013A07VM3
RELIANCE CAPITAL LIMITED INE013A07VN1
RELIANCE CAPITAL LIMITED INE013A07VQ4
RELIANCE CAPITAL LIMITED INE013A07VS0
RELIANCE CAPITAL LIMITED INE013A07VW2
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/117. LETTER OF ALLOTMENT. DATE OF MATURITY 29/07/20169.85% SECURED NON CONVERTIBLE DEBENTURES. SERIES 274. LETTER OF ALLOTMENT. DATE OF MATURITY 08/01/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/178. DATE OF MATURITY 08/01/2016
NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES A/25. DATE OF MATURITY 08/03/2016NIFTY LINKED SECURED NON-CONVERTIBLE DEBENTURE.SERIES A/26.LETTER OF ALLOTMENT. DATE OF MATURITY 08/04/2016. CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURE.SERIES B/206 TYPE II. DATE OF MATURITY 08/04/2016.
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A/50. LETTER OF ALLOTMENT. DATE OF MATURITY 05/08/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/121. LETTER OF ALLOTMENT. DATE OF MATURITY 08/08/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/124. LETTER OF ALLOTMENT. DATE OF MATURITY 09/08/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A/48. LETTER OF ALLOTMENT. DATE OF MATURITY 10/08/2016RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/118. LETTER OF ALLOTMENT. DATE OF MATURITY RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/131. LETTER OF ALLOTMENT. DATE OF MATURITY NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/129. LETTER OF ALLOTMENT. DATE OF MATURITY 01/09/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/142. LETTER OF ALLOTMENT. DATE OF MATURITY 01/09/2016
RELIANCE CAPITAL LIMITED INE013A07VV4
RELIANCE CAPITAL LIMITED INE013A07VX0
RELIANCE CAPITAL LIMITED INE013A07TJ3
RELIANCE CAPITAL LIMITED INE013A07NV1
RELIANCE CAPITAL LIMITED INE013A07NJ6
RELIANCE CAPITAL LIMITED INE013A07WF5
RELIANCE CAPITAL LIMITED INE013A07WE8
RELIANCE CAPITAL LIMITED INE013A07WH1
RELIANCE CAPITAL LIMITED INE013A07UZ7
RELIANCE CAPITAL LIMITED INE013A07WI9
RELIANCE CAPITAL LIMITED INE013A07WL3
RELIANCE CAPITAL LIMITED INE013A07NP3
RELIANCE CAPITAL LIMITED INE013A07WM1
RELIANCE CAPITAL LIMITED INE013A07NT5
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/138. LETTER OF ALLOTMENT. DATE OF MATURITY 01/09/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A/52. LETTER OF ALLOTMENT. DATE OF MATURITY 02/09/2016NIFTY LINKED SECURED NON-CONVERTIBLE DEBENTURE.SERIES A/31. LETTER OF ALLOTMENT. DATE OF MATURITY 09/05/2016.10.40% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 09/12/2016
10.40% Secured Non-Convertible Debenture.Letter of Allotment Date of Maturity 13/09/2016
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/130. LETTER OF ALLOTMENT. DATE OF MATURITY 18/09/2016RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/144. LETTER OF ALLOTMENT. DATE OF MATURITY NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/147. LETTER OF ALLOTMENT. DATE OF MATURITY 25/09/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/104. LETTER OF ALLOTMENT. DATE OF MATURITY 27/09/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/154. LETTER OF ALLOTMENT. DATE OF MATURITY 07.10.2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES B/150. DATE OF MATURITY 13/10/201610.40% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 18/10/2016
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES B/149. DATE OF MATURITY 19/10/201610.40% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 31/10/2016
RELIANCE CAPITAL LIMITED INE013A07RZ3
RELIANCE CAPITAL LIMITED INE013A07SA4
RELIANCE CAPITAL LIMITED INE013A07VY8
RELIANCE CAPITAL LIMITED INE013A07SV0
RELIANCE CAPITAL LIMITED INE013A07TZ9
RELIANCE CAPITAL LIMITED INE013A07UT0
RELIANCE CAPITAL LIMITED INE013A07NX7
RELIANCE CAPITAL LIMITED INE013A07YK1
RELIANCE CAPITAL LIMITED INE013A07WR0
RELIANCE CAPITAL LIMITED INE013A07WW0
RELIANCE CAPITAL LIMITED INE013A07PH5
RELIANCE CAPITAL LIMITED INE013A07OA3
RELIANCE CAPITAL LIMITED INE013A07XB2
RELIANCE CAPITAL LIMITED INE013A07XA4
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTUTRES.SERIES B-61. LETTER OF ALLOTMENT. DATE OF MATURITY 11/01/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTUTRES.SERIES A-20. LETTER OF ALLOTMENT. DATE OF MATURITY 11/02/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/126. LETTER OF ALLOTMENT. DATE OF MATURITY 07/11/2016NIFTY LINKED SECURED NON-CONVERTIBLE DEBENTURE.SERIES A/29.LETTER OF ALLOTMENT. DATE OF MATURITY 12/04/2016. NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES A/38. DATE OF MATURITY 12/06/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A/45.LETTER OF ALLOTMENT. DATE OF MATURITY 12/07/201610.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 19/12/2016
10.25% SECURED NON CONVERTIBLE DEBENTURES.SERIES FB-NCD-296. DATE OF MATURITY 20/12/2016NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/169 TYPE I. DATE OF MATURITY 21/12/2016
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/170 DATE OF MATURITY 02/01/2017
10.30% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 01/06/2017
10.40% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 16/01/2017
RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/175. TYPE IV. DATE OF MATURITY 20/01/2017RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/175. TYPE I. DATE OF MATURITY 20/01/2017
RELIANCE CAPITAL LIMITED INE013A07XE6
RELIANCE CAPITAL LIMITED INE013A07XV0
RELIANCE CAPITAL LIMITED INE013A07XY4
RELIANCE CAPITAL LIMITED INE013A07ZA9
RELIANCE CAPITAL LIMITED INE013A07XM9
RELIANCE CAPITAL LIMITED INE013A07XF3
RELIANCE CAPITAL LIMITED INE013A07XZ1
RELIANCE CAPITAL LIMITED INE013A07XP2
RELIANCE CAPITAL LIMITED INE013A07XU2
RELIANCE CAPITAL LIMITED INE013A07SJ5
RELIANCE CAPITAL LIMITED INE013A07ZR3
RELIANCE CAPITAL LIMITED INE013A07OK2
RELIANCE CAPITAL LIMITED INE013A07YI5
RELIANCE CAPITAL LIMITED INE013A07XC0
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/180. TYPE I. DATE OF MATURITY 31/01/2017
NIFTY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES B/189 TYPE I. DATE OF MATURITY 02/02/2017
CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURES. SERIES B/197. DATE OF MATURITY 02/03/2017
CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURE. SERIES B/227 TYPE III. DATE OF MATURITY 02/05/2017NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/187A. DATE OF MATURITY 13/02/2017
RELIANCE 24 KARAT INDEX LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/180. TYPE II. DATE OF MATURITY 03/02/2017CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURES. SERIES B/193. DATE OF MATURITY 03/04/2017
NIFTY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES B/186 TYPE II. DATE OF MATURITY 06/03/2017
NIFTY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES B/188 TYPE VIII. DATE OF MATURITY 10/03/2017 10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-263. LETTER OF ALLOTMENT. DATE OF MATURITY 03/11/201710.2566% SECURED NON CONVERTIBLE DEBENTURES. SERIES FB-NCD 299. DATE OF MATURITY 13/03/2017
10.40% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 16/03/2017
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/206 TYPE I. DATE OF MATURITY 20/03/2017
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/175. TYPE II. DATE OF MATURITY 22/03/2017
RELIANCE CAPITAL LIMITED INE013A07OL0
RELIANCE CAPITAL LIMITED INE013A07XW8
RELIANCE CAPITAL LIMITED INE013A07ZE1
RELIANCE CAPITAL LIMITED INE013A07YD6
RELIANCE CAPITAL LIMITED INE013A07OQ9
RELIANCE CAPITAL LIMITED INE013A07XT4
RELIANCE CAPITAL LIMITED INE013A07RD0
RELIANCE CAPITAL LIMITED INE013A07YW6
RELIANCE CAPITAL LIMITED INE013A07PJ1
RELIANCE CAPITAL LIMITED INE013A07RF5
RELIANCE CAPITAL LIMITED INE013A07RW0
RELIANCE CAPITAL LIMITED INE013A07RX8
RELIANCE CAPITAL LIMITED INE013A07ZI2
RELIANCE CAPITAL LIMITED INE013A07YX4
10% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 27/03/2017
NIFTY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES B/192 TYPE I. DATE OF MATURITY 31/03/2017
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/229. DATE OF MATURITY 10/04/2017
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/190 TYPE I. DATE OF MATURITY 13/04/2017
10.30% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 18/04/2017
NIFTY LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES B/188 TYPE VII. DATE OF MATURITY 05/05/2017 10.15% Secured Non-Convertible Debenture.Series LT-255. Letter of Allotment. Date of Maturity 05/09/2017.
CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURE. SERIES B/213. DATE OF MATURITY 13/05/2017
10.30% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 06/06/2017
10.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-255.LETTER OF ALLOTMENT. DATE OF MATURITY 06/09/2017.10.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-261. LETTER OF ALLOTMENT. DATE OF MATURITY 06/10/201710.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-262. LETTER OF ALLOTMENT. DATE OF MATURITY 06/10/2017CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/219. DATE OF MATURITY 12/06/2017
CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURE. SERIES B/215. DATE OF MATURITY 20/06/2017
RELIANCE CAPITAL LIMITED INE013A07XG1
RELIANCE CAPITAL LIMITED INE013A07YB0
RELIANCE CAPITAL LIMITED INE013A07YP0
RELIANCE CAPITAL LIMITED INE013A07YQ8
RELIANCE CAPITAL LIMITED INE013A07OU1
RELIANCE CAPITAL LIMITED INE013A07A09
RELIANCE CAPITAL LIMITED INE013A07ZZ6
RELIANCE CAPITAL LIMITED INE013A07ZD3
RELIANCE CAPITAL LIMITED INE013A07QN1
RELIANCE CAPITAL LIMITED INE013A07ZF8
RELIANCE CAPITAL LIMITED INE013A07QE0
RELIANCE CAPITAL LIMITED INE013A07ZY9
RELIANCE CAPITAL LIMITED INE013A07YN5
RELIANCE CAPITAL LIMITED INE013A07A17
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/180. TYPE III. DATE OF MATURITY 07/04/2017CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURES. SERIES B/191.TYPE II. DATE OF MATURITY 07/04/2017
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/205. DATE OF MATURITY 07/04/2017
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/207. DATE OF MATURITY 07/04/2017
10.35% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 07/05/2017
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/234 A TYPE I. DATE OF MATURITY 05/07/2017CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/232. DATE OF MATURITY 05/07/2017
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/225 TYPE I. DATE OF MATURITY 07/07/2017
10.25% SECURED NON CONVERTIBLE DEBENTURES. SERIES LT - 246.LETTER OF ALLOTMENT. DATE OF MATURITY 07/08/2017CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/220. DATE OF MATURITY 08/07/2017
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. RCAP LT - 237 -239. LETTER OF ALLOTMENT. DATE OF MATURITY 24/07/2017.CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/242 TYPE IV. DATE OF MATURITY 04/08/2017CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/204. DATE OF MATURITY 08/05/2017
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/242 TYPE I. DATE OF MATURITY 07/08/2017
RELIANCE CAPITAL LIMITED INE013A07A25
RELIANCE CAPITAL LIMITED INE013A07ZG6
RELIANCE CAPITAL LIMITED INE013A07ZJ0
RELIANCE CAPITAL LIMITED INE013A07YA2
RELIANCE CAPITAL LIMITED INE013A07YU0
RELIANCE CAPITAL LIMITED INE013A07QR2
RELIANCE CAPITAL LIMITED INE013A07RN9
RELIANCE CAPITAL LIMITED INE013A07WY6
RELIANCE CAPITAL LIMITED INE013A07ZX1
RELIANCE CAPITAL LIMITED INE013A07YG9
RELIANCE CAPITAL LIMITED INE013A07TC8
RELIANCE CAPITAL LIMITED INE013A07TD6
RELIANCE CAPITAL LIMITED INE013A07TF1
RELIANCE CAPITAL LIMITED INE013A07TO3
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/235. DATE OF MATURITY 07/08/2017
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/224A- TYPE II. DATE OF MATURITY 09/08/2017CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/237 A. DATE OF MATURITY 17/08/2017
CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURES. SERIES B/198. TYPE I.DATE OF MATURITY 09/04/2017
CNX NIFTY INDEX LINKED SECURED NON-CONVERTIBLE DEBENTURE. SERIES B/214. DATE OF MATURITY 09/06/2017
10% Secured Non-Convertible Debenture. Series LT- 251.Letter of Allotment. Date of Maturity 09/08/2017.
10.15% Secured Non-Convertible Debenture.Series LT-257. Letter of Allotment. Date of Maturity 21/09/2017.
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/168. DATE OF MATURITY 10/03/2017
CNX NIFTY INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES B/234 A TYPE II. DATE OF MATURITY 03/10/2017RELIANCE 24 KARAT INDEX LINKED SECURED NON CONVERTIBLE DEBENTURES.SERIES B/191 TYPE I. DATE OF MATURITY 12/04/201710% SECURED NON-CONVERTIBLE DEBENTURE. SERIES RCAP LT - 271. LETTER OF ALLOTMENT. DATE OF MATURITY 15/12/2017.10% SECURED NON-CONVERTIBLE DEBENTURE. SERIES RCAP LT-272. LETTER OF ALLOTMENT. DATE OF MATURITY 20/12/2017.10% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 28/12/2017
9.85% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. LT -276.DATE OF MATURITY 24/01/2018
RELIANCE CAPITAL LIMITED INE013A07NF4
RELIANCE CAPITAL LIMITED INE013A07UW4
RELIANCE CAPITAL LIMITED INE013A07VO9
RELIANCE CAPITAL LIMITED INE013A07OS5
RELIANCE CAPITAL LIMITED INE013A07VP6
RELIANCE CAPITAL LIMITED INE013A08093
RELIANCE CAPITAL LIMITED INE013A07WG3
RELIANCE CAPITAL LIMITED INE013A08127
RELIANCE CAPITAL LIMITED INE013A07WT6
RELIANCE CAPITAL LIMITED INE013A07YF1
RELIANCE CAPITAL LIMITED INE013A07NY5
RELIANCE CAPITAL LIMITED INE013A07NU3
RELIANCE CAPITAL LIMITED INE013A07OO4
RELIANCE CAPITAL LIMITED INE013A07PR4
10.33% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 12/02/2018
9.75% SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-286. LETTER OF ALLOTMENT. DATE OF MATURITY 18/03/20189.45% SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-288. LETTER OF ALLOTMENT. DATE OF MATURITY 17/04/201810.10% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 23/04/2018
9.45% SECURED NON-CONVERTIBLE DEBENTURE. SERIES RCAP LT-289.LETTER OF ALLOTMENT. DATE OF MATURITY 23/04/201810.50% Unsecured Non convertible debentures. Date of Maturity : 21/05/2018
9.30% SECURED NON-CONVERTIBLE DEBENTURE. SERIES RCAP LT- F - 292.LETTER OF ALLOTMENT. DATE OF MATURITY 27/05/201810.65% Unsecured Non-Convertible Debenture.Letter of Allotment Date of Maturity 12/08/2018
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B/169 TYPE IV. DATE OF MATURITY 14/11/201810.3% SECURED NON CONVERTIBLE DEBENTURES.SERIES FB-NCD-295. DATE OF MATURITY 20/12/201810.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 21/12/2018
10.28% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 30/11/2019
10.2426% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 12/04/2019
10.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT DATE OF MATURITY: 19/06/2020
RELIANCE CAPITAL LIMITED INE013A07WU4
RELIANCE CAPITAL LIMITED INE013A08119
RELIANCE CAPITAL LIMITED INE013A08135
RELIANCE CAPITAL LIMITED INE013A08143
RELIANCE CAPITAL LIMITED INE013A08150
RELIANCE CAPITAL LIMITED INE013A08168
RELIANCE CAPITAL LIMITED INE013A08176
RELIANCE CAPITAL LIMITED INE013A08184
RELIANCE CAPITAL LIMITED INE013A07SK3
RELIANCE CAPITAL LIMITED INE013A08192
RELIANCE CAPITAL LIMITED INE013A08218
RELIANCE CAPITAL LIMITED INE013A08226
RELIANCE CAPITAL LIMITED INE013A08200
RELIANCE CAPITAL LIMITED INE013A08234
10.35% SECURED NON-CONVERTIBLE DEBENTURE. SERIES RCAP LT- F - 294. DATE OF MATURITY 21/08/2020
10.50% Unsecured Non-Convertible Debenture.Date of Maturity 14/07/2021
10.75% Unsecured Non-Convertible Debenture.Letter of Allotment Date of Maturity 12/08/2021
10.75% Unsecured Non-Convertible Debenture.Letter of Allotment Date of Maturity 30/09/2021
10.75% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 24/10/2021
10.60% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 26/12/2021
10.75% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 28/12/2021
10.60% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 02/01/2022
9.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-265. LETTER OF ALLOTMENT. DATE OF MATURITY 02/11/202210.75% Unsecured Non-Convertible Debenture. Tier- II. Letter of Allotment. Date of Maturity 28/02/2022
10.60% Unsecured Non-Convertible Debenture Tier II. Letter of Allotment. Date of Maturity 21/03/2022
10.60% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 20/04/2022
10.60% Unsecured Non-Convertible Debenture. Tier- II. Letter of Allotment. Date of Maturity 05/03/2022
10.60% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES TIER II. LETTER OF ALLOTMENT. DATE OF MATURITY25/05/2022
RELIANCE CAPITAL LIMITED INE013A07PP8
RELIANCE CAPITAL LIMITED INE013A08259
RELIANCE CAPITAL LIMITED INE013A07QJ9
RELIANCE CAPITAL LIMITED INE013A07QQ4
RELIANCE CAPITAL LIMITED INE013A07QY8
RELIANCE CAPITAL LIMITED INE013A07QX0
RELIANCE CAPITAL LIMITED INE013A07RA6
RELIANCE CAPITAL LIMITED INE013A07TA2
RELIANCE CAPITAL LIMITED INE013A07TN5
RELIANCE CAPITAL LIMITED INE013A08275
RELIANCE CAPITAL LIMITED INE013A08283
RELIANCE CAPITAL LIMITED INE013A08291
RELIANCE CAPITAL LIMITED INE013A08101
RELIANCE CAPITAL LIMITED INE013A07WB4
10.35% Secured Non Convertible Debenture. Series LT-231. Letter of Allotment. Date of Maturity - 20/06/2022
10.40% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES TIER-II. LETTER OF ALLOTMENT. DATE OF MATURITY 29/06/202210.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES RCAP LT - 243. DATE OF MATURITY 31/07/2022.10.2% SECURED NON CONVERTIBLE DEBENTURES. SERIES LT - 250. LETTER OF ALLOTMENT. DATE OF MATURITY 08/08/202210.2% SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT - 252. LETTER OF ALLOTMENT. DATE OF MATURITY 17/08/20229.9% SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT - 235. LETTER OF ALLOTMENT. DATE OF MATURITY 21/08/202210.25% SECURED NON CONVERTIBLE DEBENTURES. SERIES RCAP LT-253. LETTER OF ALLOTMENT. DATE OF MATURITY 31/10/2022.10.05% SECURED NON-CONVERTIBLE DEBENTURE. SERIES RCAP LT - 270. LETTER OF ALLOTMENT. DATE OF MATURITY 13/12/20229.90% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. LT -275.DATE OF MATURITY 24/01/20239.95% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES TIER-II T-45. LETTER OF ALLOTMENT. DATE OF MATURITY 17/03/20239.85% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES TIER-II T-46. LETTER OF ALLOTMENT. DATE OF MATURITY 28/03/20239.5% UNSECURED SUBORDINATED REDEEMABLE NON CONVERTIBLE DEBENTURES TIER-II T-47. LETTER OF ALLOTMENT. DATE OF MATURITY 10.50% Unsecured Non convertible debentures. Date of Maturity : 20/05/2023
9.40% SECURED NON-CONVERTIBLE DEBENTURE. SERIES RCAP LT-290.LETTER OF ALLOTMENT. DATE OF MATURITY 24/05/2023
RELIANCE CAPITAL LIMITED INE013A08309
RELIANCE CAPITAL LIMITED INE013A08317
RELIANCE CAPITAL LIMITED INE013A08358
RELIANCE CAPITAL LIMITED INE013A08333
RELIANCE CAPITAL LIMITED INE013A07A33
RELIANCE CAPITAL LIMITED INE013A08341
RELIANCE CAPITAL LIMITED INE013A08325
INE330H07056
INE330H07064
INE330H07015
INE426K08013
INE426K08021
INE657I07027
INE657I08017
9.25% UNSECURED SUBORDINATED REDEEMABLE NON CONVERTIBLE DEBENTURES TIER-II T-48. LETTER OF ALLOTMENT. DATE OF MATURITY 10.19% UNSECURED NON-CONVERTIBLE DEBENTURES. RCAP F SERIES T NCD 49. LETTER OF ALLOTMENT. DATE OF MATURITY 25/11/202310.19% UNSECURED NON-CONVERTIBLE DEBENTURES. RCL F SERIES (TIER-II) T NCD 53. LETTER OF ALLOTMENT. DATE OF MATURITY 13/01/202410.19% UNSECURED NON-CONVERTIBLE DEBENTURES. RCL F SERIES (TIER-II) T NCD 51. LETTER OF ALLOTMENT. DATE OF MATURITY 02/01/202410.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES FB-NCD-300. DATE OF MATURITY 09/04/2014
10.19% UNSECURED NON-CONVERTIBLE DEBENTURES. RCL F SERIES (TIER-II) T NCD 52. LETTER OF ALLOTMENT. DATE OF MATURITY 07/01/202410.15% UNSECURED NON-CONVERTIBLE DEBENTURES. RCAP F SERIES T NCD 50. LETTER OF ALLOTMENT. DATE OF MATURITY 09/12/2025
RELIANCE COMMUNICATIONS LTD 11.60% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2. Date of Maturity 07/02/2017
RELIANCE COMMUNICATIONS LTD 11.25% Secured Non-Convertible Debenture. Letter of Allotment. Series-1. Date of Maturity 07/02/2019
RELIANCE COMMUNICATIONS LTD (FORMERLYRELIANCE COMMUNICATION VENTURES LTD)
11.20% Secured Non convertible debentures. Letter of allotment. Date of Maturity : 25/02/2019
RELIANCE ENTERPRISES AND VENTURES PRIVATE LIMITED
Zero coupon Unsecured fully & Compulsorily Convertible Debentures. Letter of Allotment.Date of Conversion: 11/06/2029
RELIANCE ENTERPRISES AND VENTURES PRIVATE LIMITED
Zero coupon Unsecured fully & Compulsorily Convertible Debentures. Letter of Allotment.Date of Conversion: 26/06/2029
RELIANCE GAS TRANSPORTATION INFRASTRUCTURE LIMITED
10.95% Secured Redeemable Non Convertible Debenture.Letter of Allotment.Date of Maturity : 06/01/2019
RELIANCE GAS TRANSPORTATION INFRASTRUCTURE LIMITED
10.25%Unsecured Non-ConvertibleDebenture. Letter of Allotment. Series- PPD3. Date of Maturity 22/08/2021
INE217K07091
INE217K07018
INE217K07083
INE217K07067
INE217K07224
INE217K07232
INE217K07042
INE217K07125
INE217K07133
INE217K07141
INE217K07158
INE217K07166
INE217K07174
INE217K07182
RELIANCE HOME FINANCE LIMITED
9.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT RHFL F SERIES B NCD-10 DATE OF MATURITY: 04/04/2015
RELIANCE HOME FINANCE LIMITED
10.15% SECURED NON CONVERTIBLE REDEEMABLE DEBENTURES RHFL F SERIES B. LETTER OF ALLOTMENT. DATE OF MATURITY 05/11/2015
RELIANCE HOME FINANCE LIMITED
9.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT RHFL F SERIES B NCD-09 DATE OF MATURITY: 04/04/2016
RELIANCE HOME FINANCE LIMITED
10% SECURED NON CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT RHFL F SERIES B NCD-07 DATE OF MATURITY: 06/02/2016
RELIANCE HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD 24. LETTER OF ALLOTMENT. DATE OF MATURITY 22/08/2016
RELIANCE HOME FINANCE LIMITED
9.9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD 25. LETTER OF ALLOTMENT. DATE OF MATURITY 31/01/2017
RELIANCE HOME FINANCE LIMITED
10% Secured Non Convertible Debenture. letter of allotment RHFL F SERIES B NCD-05 Date of Maturity: 03/01/2018
RELIANCE HOME FINANCE LIMITED
9.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD-13. LETTER OF ALLOTMENT. DATE OF MATURITY 29/04/2018
RELIANCE HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD-14. LETTER OF ALLOTMENT. DATE OF MATURITY 04/05/2018
RELIANCE HOME FINANCE LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD-15. LETTER OF ALLOTMENT. DATE OF MATURITY 03/06/2018
RELIANCE HOME FINANCE LIMITED
9.09% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD-16. LETTER OF ALLOTMENT. DATE OF MATURITY 04/06/2018
RELIANCE HOME FINANCE LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD-17. LETTER OF ALLOTMENT. DATE OF MATURITY 07/06/2018
RELIANCE HOME FINANCE LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD-18. LETTER OF ALLOTMENT. DATE OF MATURITY 10/06/2018
RELIANCE HOME FINANCE LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD-19. LETTER OF ALLOTMENT. DATE OF MATURITY 13/06/2018
INE217K07190
INE217K07059
INE217K08115
INE217K07273
INE217K07265
INE217K08016
INE217K08040
INE217K08024
INE217K08032
INE217K08065
INE217K08073
INE217K07034
INE217K08123
INE217K08107
RELIANCE HOME FINANCE LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD-20. LETTER OF ALLOTMENT. DATE OF MATURITY 19/06/2018
RELIANCE HOME FINANCE LIMITED
10% Secured Non Convertible Debenture. letter of allotment RHFL F SERIES B NCD-06 Date of Maturity: 08/01/2018
RELIANCE HOME FINANCE LIMITED
9.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.TIER II SERIES RHFL F SERIES T.LETTER OF ALLOTMENT. DATE OF MATURITY
RELIANCE HOME FINANCE LIMITED
9.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD 29. LETTER OF ALLOTMENT. DATE OF MATURITY 19/06/2019
RELIANCE HOME FINANCE LIMITED
9.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD 29 A. LETTER OF ALLOTMENT. DATE OF MATURITY 27/06/2019
RELIANCE HOME FINANCE LIMITED
10.6% UNSECURED TIER II SUBORDINATED NON CONVERTIBLE DEBENTURES (RHFL F SERIES T). LETTER OF ALLOTMENT. DATE OF MATURITY
RELIANCE HOME FINANCE LIMITED
10.6% UNSECURED TIER II SUBORDINATED NON CONVERTIBLE DEBENTURES (RHFL F SERIES T) NCD 06. LETTER OF ALLOTMENT. DATE OF
RELIANCE HOME FINANCE LIMITED
10.4% UNSECURED TIER II SUBORDINATED NON CONVERTIBLE DEBENTURES (RHFL F SERIES T NCD-03). LETTER OF ALLOTMENT. DATE OF
RELIANCE HOME FINANCE LIMITED
10.40% UNSECURED NON CONVERTIBLE DEBENTURES. SERIES T (NCD 04). LETTER OF ALLOTMENT. DATE OF MATURITY 24/09/2022.
RELIANCE HOME FINANCE LIMITED
10.33% UNSECURED TIER II SUBORDINATED NON CONVERTIBLE DEBENTURES (RHFL F SERIES T) NCD 08. LETTER OF ALLOTMENT. DATE OF
RELIANCE HOME FINANCE LIMITED
10.33% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 18/10/2022.
RELIANCE HOME FINANCE LIMITED
10% SECURED NON CONVERTIBLE REDEEMABLE DEBENTURES RHFL F SERIES B NCD 04. LETTER OF ALLOTMENT. DATE OF MATURITY 11/12/2022
RELIANCE HOME FINANCE LIMITED
9.50% UNSECURED SUBORDINATED REDEEMABLE NON CONVERTIBLE DEBENTURES.TIER II SERIES RHFL F SERIES T.LETTER OF
RELIANCE HOME FINANCE LIMITED
10% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.TIER II SERIES RHFL F SERIES T.LETTER OF ALLOTMENT. DATE OF MATURITY
INE217K07208
INE217K07216
INE217K07240
INE217K07257
INE217K07117
RELIANCE INDUSTRIES LIMITED INE002A07726
RELIANCE INDUSTRIES LIMITED INE002A07775
RELIANCE INDUSTRIES LTD. INE002A07692
INE036A07260
INE036A07369
INE036A07377
INE036A07419
INE036A07310
INE036A07328
RELIANCE HOME FINANCE LIMITED
9.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD. LETTER OF ALLOTMENT. DATE OF MATURITY 05/07/2023
RELIANCE HOME FINANCE LIMITED
9.52% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD. LETTER OF ALLOTMENT. DATE OF MATURITY 26/07/2023
RELIANCE HOME FINANCE LIMITED
9.9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD 26. LETTER OF ALLOTMENT. DATE OF MATURITY 28/03/2024
RELIANCE HOME FINANCE LIMITED
9.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD 27. LETTER OF ALLOTMENT. DATE OF MATURITY 15/05/2024
RELIANCE HOME FINANCE LIMITED
9.48% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. RHFL F SERIES B NCD-12. LETTER OF ALLOTMENT. DATE OF MATURITY 27/04/202510.75% Secured Non-Convertible Debenture (PPD 179 Tranche 3) Letter of Allotment. Date of Maturity : 25/11/2013
8.75% Secured Non-Convertible Debenture.Letter of Allotment. (PPD 180 Tranche 1) . Date of Maturity : 07/05/2020
6.25% Secured Non-Convertible Debenture - PPD 177. Letter Of Allotment
RELIANCE INFRASTRUCTURE LIMITED
11.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 15. LETTER OF ALLOTMENT. DATE OF MATURITY 27/03/2015
RELIANCE INFRASTRUCTURE LIMITED
RESET RATE SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 22 A. DATE OF MATURITY 25/04/2015
RELIANCE INFRASTRUCTURE LIMITED
RESET RATE SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 23 A. DATE OF MATURITY 25/04/2015
RELIANCE INFRASTRUCTURE LIMITED
RESET RATE SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 21 A. DATE OF MATURITY 25/04/2015
RELIANCE INFRASTRUCTURE LIMITED
ZERO COUPON SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 20 A. DATE OF MATURITY 24/06/2015
RELIANCE INFRASTRUCTURE LIMITED
ZERO COUPON SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 20 B. DATE OF MATURITY 24/03/2016
INE036A07385
INE036A07427
INE036A07336
INE036A07393
INE036A07344
INE036A07401
INE036A07351
INE036A07278
INE036A07286
INE036A07294
INE036A07302
INE036A07252
INE036A07120
INE036A07138
RELIANCE INFRASTRUCTURE LIMITED
RESET RATE SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 23 B. DATE OF MATURITY 25/03/2016
RELIANCE INFRASTRUCTURE LIMITED
RESET RATE SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 21 B DATE OF MATURITY 25/03/2016
RELIANCE INFRASTRUCTURE LIMITED
ZERO COUPON SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 20 C. DATE OF MATURITY 24/03/2017
RELIANCE INFRASTRUCTURE LIMITED
RESET RATE SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 21 C. DATE OF MATURITY 25/03/2017
RELIANCE INFRASTRUCTURE LIMITED
ZERO COUPON SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 20 D. DATE OF MATURITY 24/03/2018
RELIANCE INFRASTRUCTURE LIMITED
RESET RATE SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 21 D. DATE OF MATURITY 24/03/2018
RELIANCE INFRASTRUCTURE LIMITED
ZERO COUPON SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 20 E. DATE OF MATURITY 24/03/2019
RELIANCE INFRASTRUCTURE LIMITED
10.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 16. LETTER OF ALLOTMENT. DATE OF MATURITY 31/10/2020
RELIANCE INFRASTRUCTURE LIMITED
10.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 17. LETTER OF ALLOTMENT. DATE OF MATURITY 12/11/2020
RELIANCE INFRASTRUCTURE LIMITED
11.50% SECURED NON CONVERTIBLE DEBENTURES. SERIES 18. LETTER OF ALLOTMENT. DATE OF MATURITY 21/01/2022
RELIANCE INFRASTRUCTURE LIMITED
10.25% SECURED NON CONVERTIBLE DEBENTURES. SERIES 19. LETTER OF ALLOTMENT. DATE OF MATURITY 21/01/2024
RELIANCE INFRASTRUCTURE LIMITED
10.00% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 14. LETTER OF ALLOTMENT. DATE OF MATURITY 06/08/2020
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
11.15% Secured Non-Convertible Debenture. Letter of Allotment. Series- 8. Date of Maturity 30/03/2016
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
11.15% Secured Non-Convertible Debenture. Letter of Allotment. Series- 9. Date of Maturity 30/03/2017
INE036A07112
INE036A07146
INE036A07161
INE036A07187
INE036A07203
INE036A07211
INE036A07237
INE036A07104
INE036A07096
INE036A07153
INE036A07179
INE036A07195
INE036A07229
INE036A07245
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
10.25% Secured Non-Convertible Debenture. Letter of Allotment. Series- 6. Date of Maturity 27/01/2018
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
11.15% Secured Non-Convertible Debenture. Letter of Allotment. Series- 10. Date of Maturity 30/03/2018
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
9.8% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 11B. LETTER OF ALLOTMENT. DATE OF MATURITY 15/06/2018
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
9.8% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 12B. LETTER OF ALLOTMENT. DATE OF MATURITY 15/06/2018
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
9.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 11D. LETTER OF ALLOTMENT. DATE OF MATURITY 29/06/2018
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
9.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 12C. LETTER OF ALLOTMENT. DATE OF MATURITY 29/06/2018
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
9.8% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 13A. LETTER OF ALLOTMENT. DATE OF MATURITY 26/07/2018
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
10.50% Secured Non-Convertible Debenture. Letter of Allotment. Series- 5. Date of Maturity 27/07/2018
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
11.55% Secured Redeemable Non-Convertible Debentures. Letter of Allotment.Date of Maturity : 26/01/2019
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 11A. LETTER OF ALLOTMENT. DATE OF MATURITY 15/06/2020
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 12A. LETTER OF ALLOTMENT. DATE OF MATURITY 15/06/2020
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
10.00% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 11C. LETTER OF ALLOTMENT. DATE OF MATURITY 29/06/2020
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
10.00% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 12D. LETTER OF ALLOTMENT. DATE OF MATURITY 29/06/2020
RELIANCE INFRASTRUCTURE LIMITED (RELIANCE ENERGY LTD, & BSES LTD)
10.00% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 13B. LETTER OF ALLOTMENT. DATE OF MATURITY 26/07/2020
RELIANCE JIO INFOCOMM LIMITED INE110L08037
INE540B07020
INE540B07038
INE941D07141
INE941D07125
INE941D07133
INE936D08032
INE936D07067
RELIGARE ENTERPRISES LIMITED INE621H07017
RELIGARE ENTERPRISES LIMITED INE621H07025
RELIGARE ENTERPRISES LIMITED INE621H07041
RELIGARE ENTERPRISES LIMITED INE621H07033
RELIGARE FINVEST LIMITED INE958G07940
RELIGARE FINVEST LIMITED INE958G07924
9.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD3. LETTER OF ALLOTMENT. DATE OF MATURITY 16/06/2024
RELIANCE MEDIAWORKS LIMITED (FORMERLY ADLABS FILMS LIMITED)
11% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2. Date of Maturity 01/03/2015
RELIANCE MEDIAWORKS LIMITED (FORMERLY ADLABS FILMS LIMITED)
11% Secured Non-Convertible Debenture. Letter of Allotment. Series- 3. Date of Maturity 01/03/2016
RELIANCE PORTS AND TERMINALS LIMITED
9.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE -PPD 3. DATE OF MATURITY 27/02/2020
RELIANCE PORTS AND TERMINALS LIMITED
10.40% secured Redeemable Non Convertible Debenture -PPD 4. Letter of Allotment. Date of Maturity: 18/07/2021
RELIANCE PORTS AND TERMINALS LIMITED
8.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE -PPD 5. LETTER OF ALLOTMENT. DATE OF MATURITY 12/06/2023
RELIANCE UTILITIES AND POWER PRIVATE LIMITED
9.20% Unsecured Non Convertible Debenture - PPD2. Letter of Allotment.Date of Maturity : 27/02/2015
RELIANCE UTILITIES AND POWER PRIVATE LIMITED
8.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES PPD 3. LETTER OF ALLOTMENT. DATE OF MATURITY 26/04/2023
14% SECURED NON-CONVERTIBLE DEBENTURES. DATE OF ALLOTMENT 30/06/2017
ZERO COUPON SECURED NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 28/03/2018
ZERO COUPON SECURED NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 09/08/2019
10.50% SECURED NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 09/08/2019
11.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES XLII OPTION C. DATE OF MATURITY 18/12/2015
11.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES XLII OPTION A. DATE OF MATURITY 26/04/2016
RELIGARE FINVEST LIMITED INE958G08856
RELIGARE FINVEST LIMITED INE958G07932
RELIGARE FINVEST LIMITED INE958G07718
RELIGARE FINVEST LIMITED INE958G07726
RELIGARE FINVEST LIMITED INE958G07767
RELIGARE FINVEST LIMITED INE958G07601
RELIGARE FINVEST LIMITED INE958G07700
RELIGARE FINVEST LIMITED INE958G07734
RELIGARE FINVEST LIMITED INE958G07783
RELIGARE FINVEST LIMITED INE958G07791
RELIGARE FINVEST LIMITED INE958G07759
RELIGARE FINVEST LIMITED INE958G08948
RELIGARE FINVEST LIMITED INE958G07619
RELIGARE FINVEST LIMITED INE958G07817
12.50% Unsecured Non-Convertible Debenture.Letter of Allotment. Date of Maturity 31/08/2016
11.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES XLII OPTION B. DATE OF MATURITY 26/04/2017
INDEX LINKED SECURED NON CONVERTIBLE DEBENTURE.SERIES XXV - OPTION C. LETTER OF ALLOTMENT. DATE OF MATURITY 08/09/2014INDEX LINKED SECURED NON CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT.SERIES XXV - OPTION A. DATE OF MATURITY 08/09/2014INDEX LINKED SECURED NON CONVERTIBLE DEBENTURE. SERIES XXIX OPTION A. LETTER OF ALLOTMENT. DATE OF MATURITY 10/10/201412.25% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 08/02/2015
12.75% SECURED NON CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT. DATE OF MATURITY 08/08/2015
INDEX LINKED SECURED NON CONVERTIBLE DEBENTURE.SERIES XXV OPTION B. LETTER OF ALLOTMENT. DATE OF MATURITY 25/09/201512.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY 10/10/2015
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II. DATE OF MATURITY 10/10/2015
INDEX LINKED SECURED NON CONVERTIBLE DEBENTURE. SERIES XXIX OPTION B. LETTER OF ALLOTMENT. DATE OF MATURITY 29/10/201513.05% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 03/05/2017
12.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 08/02/2017
12.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III CATAGORY IV. DATE OF MATURITY 09/10/2017
RELIGARE FINVEST LIMITED INE958G07825
RELIGARE FINVEST LIMITED INE958G07833
RELIGARE FINVEST LIMITED INE958G07809
RELIGARE FINVEST LIMITED INE958G07858
RELIGARE FINVEST LIMITED INE958G07841
RELIGARE FINVEST LIMITED INE958G08955
RELIGARE FINVEST LIMITED INE958G08963
RELIGARE FINVEST LIMITED INE958G08989
RELIGARE FINVEST LIMITED INE958G08997
INE958G07551
INE958G07569
INE958G07577
INE958G07379
INE958G07387
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV CATAGORY I/II/III. DATE OF MATURITY 09/10/2017
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV CATAGORY IV. DATE OF MATURITY 09/10/2017
12.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III CATEGORY I/II/III. DATE OF MATURITY 09/10/2017
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES V CATAGORY IV. DATE OF MATURITY 09/08/2018
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES V CATAGORY I/II/III. DATE OF MATURITY 09/10/2018
12.20% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 12/10/2022.12.20% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 21/01/202312% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 25/02/2023
12.05% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES XXXVI.LETTER OF ALLOTMENT. DATE OF MATURITY 28/03/2023
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
12.00% Secured Non-Convertible Debenture. Opt-II Cat-I Date of Maturity 23/09/2014
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
12.25% Secured Non-Convertible Debenture. Opt-II Cat-III Date of Maturity 23/09/2014
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
12.15% Secured Non-Convertible Debenture. Opt-II Cat-II Date of Maturity 23/09/2014
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
10.50% Secured Rated Listed Non-Convertible Debenture in the form of Separately Transferable Redeemable Principal Part. Letter of Allotment. Series - A. Date of
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
10.50% Secured Rated Listed Non-Convertible Debenture in the form of Separately Transferable Redeemable Principal Part. Letter of Allotment. Series - B. Date of
INE958G07775
INE958G07395
INE958G07882
INE958G07502
INE958G07536
INE958G07544
INE958G07528
INE958G08872
INE958G08880
INE958G08898
INE958G08906
INE958G08922
INE958G08930
INE958G08914
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
INDEX LINKED SECURED NON CONVERTIBLE DEBENTURE. SERIES XXIX OPTION C. LETTER OF ALLOTMENT. DATE OF MATURITY 04/11/2015
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
10.50% Secured Rated Listed Non-Convertible Debenture in the form of Separately Transferable Redeemable Principal Part. Letter of Allotment. Series - C. Date of
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
11.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 14/05/2016
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
11.00% Secured Fully Compulsory Convertible Debenture. Letter of Allotment. Date of Maturity 30/05/2016
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
12.50% Secured Non-Convertible Debenture. Opt-I Cat-III Date of Maturity 23/09/2016
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
12.25% Secured Non-Convertible Debenture. Opt-I Cat-II Date of Maturity 23/09/2016
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
12.10% Secured Non-Convertible Debenture. Opt-I Cat-I Date of Maturity 23/09/2016
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
12.75% Unsecured Non-Convertible Debenture.Letter of Allotment. Date of Maturity 30/03/2017
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
12.75%Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 26/04/2017
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
12.75% Unsecured Non-Convertible Debenture. Letter of Allotment.Date of Maturity 02/05/2017
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
12.75% Unsecured Non-Convertible Debenture. Letter of Allotment.Date of Maturity 30/05/2017
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
13% Unsecured Non-Convertible Debenture.Letter of Allotment. Date of Maturity 30/05/2017
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
13.05% Unsecured Non-Convertible Debenture.Letter of Allotment. Date of Maturity 22/06/2017
RELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
12.75% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 25/07/2017
RESPONSIVE SUTIP LIMITED INE398O07018
RESPONSIVE SUTIP LIMITED INE398O07026
RESPONSIVE SUTIP LIMITED INE398O07034
RESPONSIVE SUTIP LIMITED INE398O07042
RESPONSIVE SUTIP LIMITED INE398O07059
RESPONSIVE SUTIP LIMITED INE398O07067
RESPONSIVE SUTIP LIMITED INE398O07075
RESPONSIVE SUTIP LIMITED INE398O07083
RESPONSIVE SUTIP LIMITED INE398O07091
RESPONSIVE SUTIP LIMITED INE398O07109
RHC HOLDING PRIVATE LIMITED INE657K07189
RHC HOLDING PRIVATE LIMITED INE657K07197
RHC HOLDING PRIVATE LIMITED INE657K07205
RHC HOLDING PRIVATE LIMITED INE657K07239
12% Secured Optionally Convertible Cumulative Debentures. Date of Maturity: 30/12/2017
12% Secured Optionally Convertible Cumulative Debentures. Date of Maturity: 30/12/2017
12% Secured Optionally Convertible Cumulative Debentures. Date of Maturity: 30/12/2017
12% Secured Optionally Convertible Cumulative Debentures. Date of Maturity: 30/12/2017
12% Secured Optionally Convertible Cumulative Debentures. Date of Maturity: 30/12/2017
12% Secured Optionally Convertible Cumulative Debentures. Date of Maturity: 30/12/2017
12% Secured Optionally Convertible Cumulative Debentures. Date of Maturity: 30/12/2017
12% Secured Optionally Convertible Cumulative Debentures. Date of Maturity: 30/12/2017
12% Secured Optionally Convertible Cumulative Debentures. Date of Maturity: 30/12/2017
12% Secured Optionally Convertible Cumulative Debentures. Date of Maturity: 30/12/2017
9.75% SECURED NON CONVERTIBLE DEBENTURE. DATE OF MATURITY 22/08/2014
12.00% SECURED NON CONVERTIBLE DEBENTURE. DATE OF MATURITY 15/09/2014
14.00% SECURED NON CONVERTIBLE DEBENTURE. DATE OF MATURITY 18/12/2014
13.75% SECURED NON CONVERTIBLE DEBENTURE. DATE OF MATURITY 24/03/2015
RHC HOLDING PRIVATE LIMITED INE657K07247
RHC HOLDING PRIVATE LIMITED INE657K07221
RHC HOLDING PRIVATE LIMITED INE657K07213
INE732O07034
INE732O07026
INE732O07059
RKN RETAIL PRIVATE LIMITED INE270O08017
INE264K08026
INE264K08034
INE264K08018
INE264K08042
RMZ INFOTECH PRIVATE LIMITED INE485H07017
INE759L07025
RRB MEDIASOFT PRIVATE LIMITED INE934Q08013
12.50% SECURED NON CONVERTIBLE DEBENTURE. DATE OF MATURITY 27/03/2015
13.75% SECURED NON CONVERTIBLE DEBENTURE. DATE OF MATURITY 30/03/2017
RESET RATE SECURED NON CONVERTIBLE DEBENTURE. DATE OF MATURITY 27/12/2018
RICHA REALTORS PRIVATE LIMITED
18% SECURED NON-CONVERTIBLE DEBENTURES. SERIES II.DATE OF MATURITY 03/12/2015
RICHA REALTORS PRIVATE LIMITED
19.12% SECURED NON-CONVERTIBLE DEBENTURES. SERIES I.DATE OF MATURITY 16/11/2015
RICHA REALTORS PRIVATE LIMITED
18% SECURED NON-CONVERTIBLE DEBENTURES. SERIES III.DATE OF MATURITY 08/02/2016
7% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.DATE OF MATURITY 11/03/2018
RMZ GALLERIA (INDIA) PRIVATE LIMITED
10.00% (Compounded annually) Unsecured Fully Convertible Debenture.Date of Conversion : 22/02/2028
RMZ GALLERIA (INDIA) PRIVATE LIMITED
10.00% (Compounded annually) Unsecured Fully Convertible Debenture.Date of Conversion : 03/06/2028
RMZ GALLERIA (INDIA) PRIVATE LIMITED
10.00% (Compounded annually) Unsecured Fully Convertible Debenture.Date of Conversion : 12/12/2028
RMZ GALLERIA (INDIA) PRIVATE LIMITED
10.00% (Compounded annually) Unsecured Fully Convertible Debenture.Date of Conversion : 07/01/2029
12% SECURED NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 28/10/2020
ROHAN BUILDER & DEVELOPERS PRIVATE LIMITED
Reset rate Secured Non-Convertibe Debenture. Date of Maturity 26/08/2014
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF REDEMPTION 06/11/2022
INE430Q07014
INE020B07FX6
INE020B07EO8
INE020B07AX7
INE020B08575
INE020B07FY4
INE020B07EQ3
INE020B07BP1
INE020B07FZ1
INE020B08781
INE020B07GA2
INE020B07GB0
INE020B08419
INE020B07FF3
RUCHI-PRIYA DEVELOPERS PVT LTD
23% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 25/01/2018
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 31/07/2014
RURAL ELECTRIFICATION CORPORATION LIMITED
8.00% Secured Redeemable Non convertible Non Cumulative taxable bonds-2014 . Letter of Allotment.Series 90A - II. Date of maturity: 05/08/2014
RURAL ELECTRIFICATION CORPORATION LIMITED
6.90 % REC Secured Redeemable Non Convertible Taxable Non Priority Sector bonds - 2014 ( 73rd Series).
RURAL ELECTRIFICATION CORPORATION LIMITED
9.43%Unsecured Non-Convertible Non Cumulative Taxable Bond. Series- 101, option- I. Date of Maturity 10/08/2014
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 31/08/2014
RURAL ELECTRIFICATION CORPORATION LIMITED
8.35% Secured Redeemable Non Convertible Taxable Bonds - 2014 (90B - I Series) .Letter of allotment. Date of maturity: 04/09/2014
RURAL ELECTRIFICATION CORPORATION LIMITED
7.20 % Secured Redeemable Non convertible taxable non priority Sector bonds Series 75- I. Letter of allotment. Date of maturity: 17.09.2014
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 30/09/2014
RURAL ELECTRIFICATION CORPORATION LIMITED
8.84% UNSECURED REDEEMABLE NON CONVERTIBLE BOND. SERIES 110.DATE OF MATURITY 16/10/2014
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 31/10/2014
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 30/11/2014
RURAL ELECTRIFICATION CORPORATION LIMITED
7.22% Unsecured Non Convertible Bonds in the form of Debentures (Series 74). Letter of Allotment .Date of Redemption : 31/12/2014
RURAL ELECTRIFICATION CORPORATION LIMITED
8.45% Secured Non Convertible Redeemable Taxable Bonds.- 2020 (93 Series) Letter of allotment. Date of maturity: 19/02/2015
INE020B07BG0
INE020B07GI5
INE020B07GJ3
INE020B07BX5
INE020B07GK1
INE020B07GL9
INE020B07GM7
INE020B07GN5
INE020B07GP0
INE020B07GQ8
INE020B07CK0
INE020B07GR6
INE020B07GS4
INE020B07CL8
RURAL ELECTRIFICATION CORPORATION LIMITED
7.20 % Secured Redeemable Non convertible taxable non priority Sector bonds Series 75- J. Date of maturity: 17.03.2015
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 30/04/2015
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 31/05/2015
RURAL ELECTRIFICATION CORPORATION LIMITED
7.30% Secured Redeemable Non convertible taxable bonds 2011. Series 77- E. Date of maturity: 30.06.2015
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 30/06/2015
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 31/07/2015
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 31/08/2015
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 30/09/2015
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 30/11/2015
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 31/12/2015
RURAL ELECTRIFICATION CORPORATION LIMITED
7.65% Secured Redeemable Non convertible Non-cumulative taxable non priority Sector bonds. Letter of Allotment.Series 78. Date of maturity: 31.01.2016
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 31/01/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 29/02/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
7.85% Secured Redeemable Non convertible Non-cumulative taxable non priority Sector bonds. Letter of Allotment.Series 79. Date of maturity: 14.03.2016
INE020B07CM6
INE020B07GT2
INE020B07HA0
INE020B07HB8
INE020B07HC6
INE020B07HD4
INE020B08583
INE020B07HE2
INE020B08609
INE020B07HF9
INE020B07HW4
INE020B08617
INE020B07HG7
INE020B07HH5
RURAL ELECTRIFICATION CORPORATION LIMITED
8.20% Secured Redeemable Non convertible Non-cumulative taxable non priority Sector bonds. Letter of Allotment.Series 80. Date of maturity: 20.03.2016
RURAL ELECTRIFICATION CORPORATION LIMITED
6.00% Secured Non-Convertible 54 EC Capital gain Tax exemption Bond. Date of Maturity 31/03/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 30/04/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 31/05/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 30/06/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 31/07/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
9.45%Unsecured Non-Convertible Non Cumulative Taxable Bond. Series- 101, option- II. Date of Maturity 10/08/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 31/08/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
9.38% Unsecured Non-Convertible Non-Cumulative Taxable Bond. Series- 102. Date of Maturity 06/09/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 30/09/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
9.05% SECURED REDEEMABLE NON-CONVERTIBLE NON-CUMULATIVE TAXABLE BONDS. SERIES 116TH OPTION I. DATE OF MATURITY 17/10/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
9.35% Unsecured Non-Convertible Non-Cumulative Redeemable Taxable Bond. Series- 103.Option-I Date of Maturity 19/10/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 31/10/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 30/11/2016
INE020B07HI3
INE020B07CQ7
INE020B07HJ1
INE020B08658
INE020B07HK9
INE020B07IB6
INE020B07II1
INE020B07HL7
INE020B07IJ9
INE020B07IK7
INE020B07IL5
INE020B08757
INE020B08773
INE020B07CU9
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 31/12/2016
RURAL ELECTRIFICATION CORPORATION LIMITED
8.85% Secured Redeemable Non convertible taxable non priority Sector bonds. Letter of Allotment.Series 81. Date of maturity: 20.01.2017
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 31/01/2017
RURAL ELECTRIFICATION CORPORATION LIMITED
9.28% Unsecured Non-Convertible, Non-Cumulative Taxable Bond. Series- 106. Date of Maturity 15/02/2017
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 28/02/2017
RURAL ELECTRIFICATION CORPORATION LIMITED
9.67% SECURED REDEEMABLE NON-CONVERTIBLE NON-CUMULATIVE TAXABLE BONDS. SERIES 120TH . DATE OF MATURITY 10/03/2017
RURAL ELECTRIFICATION CORPORATION LIMITED
9.52% SECURED REDEEMABLE NON-CONVERTIBLE NON-CUMULATIVE TAXABLE BONDS. SERIES 121ST . DATE OF MATURITY 25/03/2017
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS TAX EXEMPTION NON CONVERTIBLE BONDS. DATE OF MATURITY 31/03/2017
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS NON CONVERTIBLE BONDS. SERIES IX. DATE OF MATURITY 30/04/2017
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS NON CONVERTIBLE BONDS. SERIES IX. DATE OF MATURITY 31/05/2017
RURAL ELECTRIFICATION CORPORATION LIMITED
6% SECURED REC 54 EC CAPITAL GAINS NON CONVERTIBLE BONDS. SERIES IX. DATE OF MATURITY 30/06/2017
RURAL ELECTRIFICATION CORPORATION LIMITED
9.4% Unsecured Non-Convertible, Non-Cumulative Redeemable Taxable Bonds-2017. Series-108 (Option I). Date of Maturity 20/07/2017
RURAL ELECTRIFICATION CORPORATION LIMITED
9.25% Unsecured Non-Convertible, Non-Cumulative Redeemable Taxable Bonds-2017. Series-109. Date of Maturity 27/08/2017
RURAL ELECTRIFICATION CORPORATION LIMITED
9.85% Secured Redeemable Non convertible taxable non priority Sector bonds. Letter of Allotment.Series 82. Date of maturity: 28.09.2017
INE020B07DE1
INE020B07DG6
INE020B07DT9
INE020B07DW3
INE020B07DY9
INE020B07HX2
INE020B07EB5
INE020B07HY0
INE020B07HZ7
INE020B07EG4
INE020B07IA8
INE020B07IV4
INE020B08435
INE020B08765
RURAL ELECTRIFICATION CORPORATION LIMITED
9.07% Secured Redeemable Non convertible taxable non priority Sector bonds. Letter of Allotment.Series 83. Date of maturity: 28.02.2018
RURAL ELECTRIFICATION CORPORATION LIMITED
9.68% Secured Redeemable Non convertible taxable bonds-2018 . Letter of Allotment.Series 85. Date of maturity: 13.06.2018
RURAL ELECTRIFICATION CORPORATION LIMITED
10.70% Secured Redeemable Non convertible taxable bonds-2018 . Letter of Allotment.Series 86A. Date of maturity: 29.07.2018
RURAL ELECTRIFICATION CORPORATION LIMITED
10.85% Secured Redeemable Non convertible taxable bonds-2018 . Letter of Allotment.Series 86B-III. Date of maturity: 14.08.2018
RURAL ELECTRIFICATION CORPORATION LIMITED
10.85% Secured Redeemable Non convertible taxable bonds-2018 . Letter of Allotment.Series 87-II. Date of maturity: 30.09.2018
RURAL ELECTRIFICATION CORPORATION LIMITED
9.24% SECURED REDEEMABLE NON-CONVERTIBLE NON-CUMULATIVE TAXABLE BONDS. SERIES 116TH OPTION II. DATE OF MATURITY 17/10/2018
RURAL ELECTRIFICATION CORPORATION LIMITED
11.15% Secured Redeemable Non convertible taxable bonds-2018 . Letter of Allotment.Series 87A-III. Date of maturity: 24.10.2018
RURAL ELECTRIFICATION CORPORATION LIMITED
9.38% SECURED REDEEMABLE NON-CONVERTIBLE NON-CUMULATIVE TAXABLE BONDS. SERIES 117TH . DATE OF MATURITY 06/11/2018
RURAL ELECTRIFICATION CORPORATION LIMITED
9.61% SECURED REDEEMABLE NON-CONVERTIBLE NON-CUMULATIVE TAXABLE BONDS. SERIES 118TH . DATE OF MATURITY 03/01/2019
RURAL ELECTRIFICATION CORPORATION LIMITED
8.65% Secured Redeemable Non convertible taxable bonds-2019 . Letter of Allotment.Series 88. Date of maturity: 15/01/2019
RURAL ELECTRIFICATION CORPORATION LIMITED
9.63% SECURED REDEEMABLE NON-CONVERTIBLE NON-CUMULATIVE TAXABLE BONDS. SERIES 119TH . DATE OF MATURITY 05/02/2019
RURAL ELECTRIFICATION CORPORATION LIMITED
9.02% SECURED REDEEMABLE NON CONVERTIBLE BONDS. SERIES 122nd. DATE OF MATURITY 18/06/2019
RURAL ELECTRIFICATION CORPORATION LIMITED
8.70% Unsecured Non-Convertible Redeemable Taxable Bonds- 2019 Series- 95, Date of Maturity 12/07/2019
RURAL ELECTRIFICATION CORPORATION LIMITED
9.39% Unsecured Non-Convertible, Non-Cumulative Redeemable Taxable Bonds-2019. Series-108 (Option II). Date of Maturity 20/07/2019
INE020B07EP5
INE020B07ER1
INE020B07EV3
INE020B07EY7
INE020B07FC0
INE020B08823
INE020B08450
INE020B08468
INE020B08476
INE020B08484
INE020B08492
INE020B08567
INE020B08591
INE020B08641
RURAL ELECTRIFICATION CORPORATION LIMITED
8.80% Secured Redeemable Non convertible Non Cumulative taxable bonds-2019 . Letter of Allotment.Series 90. Date of maturity: 03/08/2019
RURAL ELECTRIFICATION CORPORATION LIMITED
8.72% Secured Redeemable Non Convertible Taxable Bonds - 2019 (90B - II Series) .Letter of allotment. Date of maturity: 04/09/2019
RURAL ELECTRIFICATION CORPORATION LIMITED
8.80% Secured Redeemable Non Convertible Taxable Bonds - 2019 (90C - II Series) .Letter of allotment. Date of maturity: 06/10/2019
RURAL ELECTRIFICATION CORPORATION LIMITED
8.80% Secured Non Convertible Redeemable Taxable Bonds.- 2019 (91-II Series) Letter of allotment. Date of maturity: 17/11/2019
RURAL ELECTRIFICATION CORPORATION LIMITED
8.65% Secured Non Convertible Redeemable Taxable Bonds.- 2020 (92-II Series) Letter of allotment. Date of maturity: 22/01/2020
RURAL ELECTRIFICATION CORPORATION LIMITED
8.87% UNSECURED 7 YEAR NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE BONDS - 2020 (113TH SERIES). DATE OF MATURITY 08/03/2020
RURAL ELECTRIFICATION CORPORATION LIMITED
8.80% Unsecured Non-Convertible, Non-Cumulative Bond. Series-96. Date of Maturity 25/10/2010
RURAL ELECTRIFICATION CORPORATION LIMITED
8.80% Unsecured Non-Convertible, Non-Cumulative Redeemable Taxable Bond. Series- 97. Date of Maturity 29/11/2020
RURAL ELECTRIFICATION CORPORATION LIMITED
Zero Coupon Unsecured Non-Convertible Bond. Date of Maturity 15/12/2020
RURAL ELECTRIFICATION CORPORATION LIMITED
Zero Coupon Unsecured Non-Convertible Bond. Series- II. Date of Maturity 03/02/2021
RURAL ELECTRIFICATION CORPORATION LIMITED
9.18% Unsecured Non-Convertible,Non-Cumulative Taxable Bond - 2021. Series- 98. Date of Maturity 15/03/2021
RURAL ELECTRIFICATION CORPORATION LIMITED
9.63% Unsecured Non-Convertible Non-Cumulative Redeemable Taxable Bond. Series- 100. Date of Maturity 15/07/2021
RURAL ELECTRIFICATION CORPORATION LIMITED
9.48%Unsecured Non-Convertible Non Cumulative Taxable Bond. Series- 101, option- III. Date of Maturity 10/08/2021
RURAL ELECTRIFICATION CORPORATION LIMITED
9.75% Unsecured Non-Convertible, Non-Cumulative Taxable Bond. Series- 105. Date of Maturity 11/11/2021
INE020B08674
INE020B08708
INE020B08716
INE020B08666
INE020B07GG9
INE020B07GW6
INE020B07GY2
INE020B08831
INE020B08849
INE020B07HM5
INE020B07HO1
INE020B07HR4
INE020B07HU8
INE020B07IF7
RURAL ELECTRIFICATION CORPORATION LIMITED
8.95% Unsecured Non-Convertible Long term Infrastructure Bond. Option II. Date of Maturity 15/02/2022
RURAL ELECTRIFICATION CORPORATION LIMITED
8.95% Unsecured Non-Convertible Long term Infrastructure Bond. Option V. Date of Maturity 15/02/2022
RURAL ELECTRIFICATION CORPORATION LIMITED
8.95% Unsecured Non-Convertible Long term Infrastructure Bond. Option VI. Date of Maturity 15/02/2022
RURAL ELECTRIFICATION CORPORATION LIMITED
8.95% Unsecured Non-Convertible Long term Infrastructure Bond. Option I. Date of Maturity 15/02/2022
RURAL ELECTRIFICATION CORPORATION LIMITED
7.93% -for categories I & II and 8.13% for categories III Tax Free Secured Redeemable Non Convertible Bonds Series-I Date of Maturity :27/03/2022
RURAL ELECTRIFICATION CORPORATION LIMITED
7.22% SECURED TAX FREE REDEEMABLE NON CONVERTIBLE BONDS. TRANCHE 1 SERIES 1. DATE OF MATURITY 19/12/2022
RURAL ELECTRIFICATION CORPORATION LIMITED
6.88% (ADDITIONAL 0.50% TO RIs) SECURED TAX FREE REDEEMABLE NON CONVERTIBLE BONDS. TRANCHE 2 SERIES 1. DATE OF MATURITY 25/03/2023
RURAL ELECTRIFICATION CORPORATION LIMITED
8.82% UNSECURED 10 YEAR NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE BONDS - 2023 (114TH SERIES). DATE OF MATURITY 12/04/2023
RURAL ELECTRIFICATION CORPORATION LIMITED
8.06% UNSECURED 10 YEAR REDEEMABLE NON CONVERTIBLE NON CUMULATIVE SUBORDINATED TIER II BONDS IN THE NATURE OF DEBENTURES -
RURAL ELECTRIFICATION CORPORATION LIMITED
8.01% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS I THE NATURE OF DEBENTURES. SERIES 3A. DATE OF MATURITY 29/08/2023
RURAL ELECTRIFICATION CORPORATION LIMITED
8.01% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. TRANCHE 1. SERIES 1A. DATE OF MATURITY 24/09/2023
RURAL ELECTRIFICATION CORPORATION LIMITED
8.26% (IF ON RECORD DATE BONDS HELD BY RII ELSE 8.01%) SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. TRANCHE 1. SERIES 1B. DATE OF
RURAL ELECTRIFICATION CORPORATION LIMITED
8.18% SECURED REDEEMABLE NON-CONVERTIBLE NON-CUMULATIVE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES 4A. DATE OF MATURITY
RURAL ELECTRIFICATION CORPORATION LIMITED
8.44% (FOR CATEGORY IV i.e. RII- IF ON RECORD DATE BONDS HELD BY RII ELSE 8.19%) SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS.
INE020B07IC4
INE020B08443
INE020B08427
INE020B08682
INE020B08690
INE020B08724
INE020B08732
INE020B07GH7
INE020B07GX4
INE020B07GZ9
INE020B07HN3
INE020B07HS2
INE020B07HP8
INE020B07HV6
RURAL ELECTRIFICATION CORPORATION LIMITED
8.19% (FOR CATEGORY I, II & III i.e. NON-RIIs) SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. TRANCHE 2. SERIES 1A. DATE OF MATURITY
RURAL ELECTRIFICATION CORPORATION LIMITED
8.75% Unsecured Non-Convertible Redeemable Taxable Bonds - 2025 Series- 95, Date of Maturity 12/07/2025
RURAL ELECTRIFICATION CORPORATION LIMITED
8.75% Unsecured Non Convertible Redeemable Taxable Bonds.- 2025 (94 Series) . Date of maturity: 08/06/2025
RURAL ELECTRIFICATION CORPORATION LIMITED
9.15% Unsecured Non-Convertible Long term Infrastructure Bond. Option III. Date of Maturity 15/02/2027
RURAL ELECTRIFICATION CORPORATION LIMITED
9.15% Unsecured Non-Convertible Long term Infrastructure Bond. Option IV. Date of Maturity 15/02/2027
RURAL ELECTRIFICATION CORPORATION LIMITED
9.15% Unsecured Non-Convertible Long term Infrastructure Bond. Option VII. Date of Maturity 15/02/2027
RURAL ELECTRIFICATION CORPORATION LIMITED
9.15% Unsecured Non-Convertible Long term Infrastructure Bond. Option VIII. Date of Maturity 15/02/2027
RURAL ELECTRIFICATION CORPORATION LIMITED
8.12% -for categories I & II and 8.32% for categories III Tax Free Secured Redeemable Non Convertible Bonds Series-2 Date of Maturity :27/03/2027
RURAL ELECTRIFICATION CORPORATION LIMITED
7.38% SECURED TAX FREE REDEEMABLE NON CONVERTIBLE BONDS. TRANCHE 1 SERIES 2. DATE OF MATURITY 19/12/2027
RURAL ELECTRIFICATION CORPORATION LIMITED
7.04% (ADDITIONAL 0.50% TO RIs) SECURED TAX FREE REDEEMABLE NON CONVERTIBLE BONDS. TRANCHE 2 SERIES 2. DATE OF MATURITY 25/03/2028
RURAL ELECTRIFICATION CORPORATION LIMITED
8.46% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES 3B. DATE OF MATURITY 29/08/2028
RURAL ELECTRIFICATION CORPORATION LIMITED
8.71% (IF ON RECORD DATE BONDS HELD BY RII ELSE 8.46%) SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. TRANCHE 1. SERIES 2B. DATE OF
RURAL ELECTRIFICATION CORPORATION LIMITED
8.46% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. TRANCHE 1. SERIES 2A. DATE OF MATURITY 24/09/2028
RURAL ELECTRIFICATION CORPORATION LIMITED
8.54% SECURED REDEEMABLE NON-CONVERTIBLE NON-CUMULATIVE TAX FREE BONDS IN THE NATURE OF DEBENTURES. SERIES 4B. DATE OF MATURITY
INE020B07IG5
INE020B07ID2
INE020B07HT0
INE020B07HQ6
INE020B07IE0
INE020B07IH3
INE262M07036
INE262M07044
RURAL ELECTRIFICATION CORPORATION LIMITED
8.88% (FOR CATEGORY IV i.e. RII- IF ON RECORD DATE BONDS HELD BY RII ELSE 8.63%) SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS.
RURAL ELECTRIFICATION CORPORATION LIMITED
8.63% (FOR CATEGORY I, II & III i.e. NON-RIIs) SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. TRANCHE 2. SERIES 2A. DATE OF MATURITY
RURAL ELECTRIFICATION CORPORATION LIMITED
8.62% (IF ON RECORD DATE BONDS HELD BY RII ELSE 8.37%) SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. TRANCHE 1. SERIES 3B. DATE OF
RURAL ELECTRIFICATION CORPORATION LIMITED
8.37% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. TRANCHE 1. SERIES 3A. DATE OF MATURITY 24/09/2033
RURAL ELECTRIFICATION CORPORATION LIMITED
8.61% (FOR CATEGORY I, II & III i.e. NON-RIIs) SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS. TRANCHE 2. SERIES 3A. DATE OF MATURITY
RURAL ELECTRIFICATION CORPORATION LIMITED
8.86% (FOR CATEGORY IV i.e. RII- IF ON RECORD DATE BONDS HELD BY RII ELSE 8.61%) SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS.
RUSTOMJEE CONSTRUCTIONS PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE.SERIES A DATE OF MATURITY 07/04/2016
RUSTOMJEE CONSTRUCTIONS PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE.SERIES B DATE OF MATURITY 25/04/2016
Description In NSDL Issue price (per security) Face Value (per security)
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100000.000 100000
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100000.000 100000
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100000.000 100000
100000 100000
100000 100000
100000 100000
MAANAVEEYA DEVELOPMENT & FINANCE PVT LTD 10 LOA 12JU18 FVRS10LAC
MAANAVEEYA DEVELOPMENT & FINANCE PVT LTD 10 LOA 30OT18 FVRS10LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 120 8.5892 NCD 28AG14 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 21 BR LOA 29SP14 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR- MQ27 BR LOA 03OT14 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR- MQ 20 BR LOA 07OT14 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 128 BR NCD 08OT14 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR- MQ59 BR NCD 13OT14 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ-61 BR NCD 17OT14 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED MQ-90 BR NCD 20OT14 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR- MQ-33 BR LOA 26NV14 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 110 BR NCD 12JN15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ-72 BR NCD 02JL15 FVRS1LAC
100000 100000
100000 100000
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MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ-76 BR NCD 02JL15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 113 BR NCD 09MR15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 127 BR NCD 23MR15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 121 BR NCD 22AP15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ71 BR NCD 22MY15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 126 BR NCD 01JU15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED MQ-87 BR NCD 06NV15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 129 BR NCD 22JU15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 137 9.2 NCD 03JL15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 117 BR NCD 08AP15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ-79 BR NCD 13AG15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ-80 BR NCD 17AG15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED MQ-84 BR NCD 23SP15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED MQ-86 BR NCD 23OT15 FVRS1LAC
100000.000 100000
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97500.000 100000
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98100 100000
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MACQUARIE FINANCE (INDIA) PRIVATE LIMITED MQ-93 BR NCD 19NV15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED MQ-94 BR NCD 24NV15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED MQ-95 BR NCD 26NV15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED MQ-92 BR NCD 12NV15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 135 BR NCD 28DC15 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED MQ-98 BR NCD 02FB16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 100 BR NCD 31MR16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 105 BR NCD 13MY16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 106 BR NCD 20MY16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 107 BR NCD 27MY16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 124 BR NCD 27JU16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 119 BR NCD 29AG16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 109 BR NCD 05OT16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 112 BR NCD 10OT16 FVRS1LAC
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MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 114 BR NCD 17OT16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 123 BR NCD 24OT16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 122 BR NCD 24OT16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 118 BR NCD 21NV16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED MQ-97 BR NCD 12FB16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED MQ-96 BR NCD 12FB16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 116 BR NCD 06DC16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 133 BR NCD 12DC16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 134 BR NCD 19DC16 FVRS1LAC
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED SR-MQ 136 BR NCD 25JL17 FVRS1LAC
MADHUCON INFRA LIMITED 12 LOA 01AG18 FVRS10
MADHYA PRADESH FINANCIAL CORPORATION9.15 LOA 30JU20 FVRS1LAC
MADHYA PRADESH FINANCIAL CORPORATION SR-I 10.2 LOA 01MR21 FVRS1LAC
MADHYA PRADESH FINANCIAL CORPORATION SR- I 8.89 LOA 01JU21 FVRS1LAC
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MAGICRETE BUILDING SOLUTIONS PRIVATE LIMITED CCD 14MR23 FVRS10
MAGMA FINCORP LIMITED RR PERETUAL BD FVRS10LAC
MAGMA FINCORP LIMITED 10.7 NCD 21OT16 FVRS10LAC
MAGMA FINCORP LIMITED SR-VV 10.0066 NCD 07AP15 FVRS10LAC
MAGMA FINCORP LIMITED SR-UU 10.4073 NCD 04SP15 FVRS10LAC
MAGMA FINCORP LIMITED SR-YY 10.2508 NCD 03JU16 FVRS10LAC
MAGMA FINCORP LIMITED SR-WW 10.4946 NCD 26AP16 FVRS10LAC
MAGMA FINCORP LIMITED SR-XX 10.2605 NCD 17JU16 FVRS10LAC
MAGMA FINCORP LIMITED SR-ZZ 10.25 NCD 23JU16 FVRS10LAC
MAGMA FINCORP LIMITED SR-BBB 10.25 NCD 23JU17 FVRS10LAC
MAGMA FINCORP LIMITED SR-AAA 10.2221 NCD 08NV17 FVRS10LAC
MAGMA FINCORP LIMITED 11 NCD 28AP21 FVRS10LAC
MAGMA FINCORP LIMITED 10.9 NCD 26SP23 FVRS10LAC
MAGMA FINCORP LIMITED RR BD PERPETUAL FVRS5LAC
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MAGMA FINCORP LIMITED 10.1 NCD 14SP14 FVRS10LAC
MAGMA FINCORP LIMITED 10.4 NCD 17OT14 FVRS10LAC
MAGMA FINCORP LIMITED 11 NCD 16DC14 FVRS10LAC
MAGMA FINCORP LIMITED 11 NCD 16JU15 FVRS10LAC
MAGMA FINCORP LIMITED 10.2 NCD 06AG15 FVRS10LAC
MAGMA FINCORP LIMITED 10.6 NCD 16OT15 FVRS10LAC
MAGMA FINCORP LIMITED 10.4 NCD 11DC15 FVRS10LAC
MAGMA FINCORP LIMITED RR NCD 05AP16 FVRS10LAC
MAGMA FINCORP LIMITED 11.5 LOA 26JU16 FVRS10LAC
MAGMA FINCORP LIMITED SR-Z 11.5 NCD 01FB17 FVRS10LAC
MAGMA FINCORP LIMITED 11.5 NCD 06JU18 FVRS10LAC
MAGMA FINCORP LIMITED 11 NCD 17JN20 FVRS10LAC
MAGMA FINCORP LIMITED 11 NCD 19MR20 FVRS10LAC
MAGMA FINCORP LIMITED 11 NCD 11MR20 FVRS10LAC
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MAGMA FINCORP LIMITED 11.2 NCD 02AP15 FVRS10LAC
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MAGMA FINCORP LIMITED 11.5 NCD 14DC16 FVRS10LAC
MAGMA FINCORP LIMITED 11.75 LOA 05JU17 FVRS1LAC
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MAGMA FINCORP LIMITED 10.7 BD 21AP23 FVRS10LAC
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MAGMA FINCORP LIMITEDRR PERPETUAL BD FVRS10LAC
MAGMA FINCORP LIMITED RR BD PERPETUAL FVRS5LAC
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MKVDC 2003/A 11.5 LOA 03MY15 FV RS 1 LAC
MAHARASHTRA PATBANDHARE VITIYA CO. SR-1/C 11.50LOA19OT15 FVRS 1LAC
MAHARASHTRA PATBANDHARE VITIYA CO. SR-2C 11.5 LOA15DC15 FVRS1LAC
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MSRDC SR17 OP-311.5 LOA 18NV14 FV RS 1 LAC
MSRDC SR-5A13.5 BD 01JL15 FV RS 1 LAC
MSRDC SR-3A13.5 BD 02MY15 FV RS 1 LAC
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MSRDC SR-1213.5 LOA 14AG16 FV RS 1 LAC
MSRDC SR-1213.5 LOA 31AG16 FV RS 1 LAC
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MAHARASHTRA STATE ROAD DEVELOPMENT CORP. SR-21 10 LOA15JN19 FVRS 10LAC
MAHARASHTRA STATE ROAD DEVELOPMENT CORP. SR-20 BR LOA12JN19 FVRS 10LAC
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MAHARASHTRA STATE ROAD DEVELOPMENT CORP.23-OP2 LOA 04AP20 FVRS10LAC
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MAHAVIR (THALTEJ) COMPLEX PRIVATE LIMITED 15 NCD 15FB16 FVRS10000
M AND M11.95 LOA 12DC15 FVRS10LAC
MAHINDRA AND MAHINDRA LIMITED 9.55 LOA 04JL63 FVRS10LAC
MAHINDRA & MAHINDRA FINANCIAL SERVICES LTD 10.2 LOA 08JL14 FVRS10LAC
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M & M FIN SERV13 LOA 27OT14 FVRS10LAC
MAHINDRA & MAHINDRA FINANCIAL SERVICES LTD SR-BJ LOA 14NV14 FVRS10LAC
MAHINDRA & MAHINDRA FINANCIAL SERVICES LTD SR- BH LOA 25NV14 FVRS10LAC
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MAHINDRA & MAHINDRA FINANCIAL SERVICES LTD LOA 24AP15 FVRS10LAC
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M & M FIN SERV12 LOA 11MY17 FVRS10LAC
M & M FIN SERV11 LOA 13JU07 FVRS10LAC
M & M FIN SERV10.5 LOA 26JL17 FVRS10LAC
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MAHINDRA & MAHINDRA FINANCIAL SERVICES LTD 9.25 LOA 07FB18 FVRS10LAC
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MANAPPURAM FINANCE LIMITED SR-IV BD 05AP16 FVRS1000
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MANAPPURAM FINANCE LIMITED 12.55 LOA 31DC17 FVRS10LAC
MANAPPURAM FINANCE LIMITED 12.55 LOA 01FB18 FVRS10LAC
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MANAPPURAM GENERAL FINANCE AND LEASING LIMITE 12.25 LOA 27MY16 FVRS1LAC
MANAPPURAM GENERAL FINANCE AND LEASING LIMITE 12.5 LOA 27MY16 FVRS1LAC
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MANDHANA INDUSTRIES LIMITED 12.75 LOA 15MR18 FVRS10LAC
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MAS FINANCIAL SERVICES LIMITED RR CCD 27JL31 FVRS1LAC
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MAX FLEX & IMAGING SYSTEMS LIMITED LOA 14AG15 FVRS1CR
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MERCATOR LINESSR-X/C1 9.5 LOA 09OT14 FVRS10LAC
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MERCATOR LINES11.9 LOA 04NV18 FVRS10LAC
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METROPOLITAN INFRAHOUSING PRIVATE LIMITED 13.65 LOA 30MR15 FVRS1CR
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MIDLAND MICROFIN LIMITED OPT 6 12 NCD 04JN24 FVRS10000
MIGHTY CONSTRUCTIONS PRIVATE LIMITED SR-IV 18 LOA 31AG15 FVRS100
MIGHTY CONSTRUCTIONS PRIVATE LIMITED SR-1 18 LOA 30SP15 FVRS100
MIGHTY CONSTRUCTIONS PRIVATE LIMITED SR-2 18 LOA 30SP15 FVRS100
MILLENNIA INFRASTRUCTURE PRIVATE LTD10 FCD 22FB28 FVRS100
MILLENNIA PROPERTIES PRIVATE LIMITED10 FCD 22FB28 FVRS100
MINDBLOWING PROPERTIES PRIVATE LIMITED 7 OCD 12NV22 FVRe1
MINDBLOWING REAL ESTATES PRIVATE LIMITED 7 OCD 10NV22 FVRe1
MISSION HOLDINGS PRIVATE LIMITED OCD 14AP25 FVRS1LAC
MOD AGE INVESTMENT PRIVATE LIMITED 10 LOA 30OT18 FVRS10LAC
MODERN DAIRIES LIMITED 0.001 LOA 01OT18 FVRE1
MONNET ISPAT AND ENERGY LIMITED RR LOA 31MR19 FVRS10LAC
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
985000.000 1000000
1000000 1000000
MONNET ISPAT AND ENERGY LIMITED SR-I 11.25 LOA 20FB18 FVRS10LAC
MONNET ISPAT AND ENERGY LIMITED SR-II 11.25 LOA 28MR18 FVRS10LAC
MONNET ISPAT AND ENERGY LIMITED 11 LOA 18JN23 FVRS10LAC
MONNET ISPAT AND ENERGY LIMITED 11.5 LOA 28MR23 FVRS10LAC
MONNET ISPAT AND ENERGY LIMITED SR-III 11.25 LOA 30MY18 FVRS10LAC
MONNET ISPAT AND ENERGY LIMITED SR-IV 11.25 LOA 28JU18 FVRS10LAC
MONNET ISPAT AND ENERGY LIMITED12.5 LOA 04NV18 FVRS10LAC
MONNET ISPAT AND ENERGY LIMITEDRR LOA 24DC19 FVRS10LAC
MONNET ISPAT AND ENERGY LIMITED10.5 LOA 30JN20 FVRS10LAC
MONNET ISPAT AND ENERGY LIMITEDRR LOA 30JN20 FVRS10LAC
MORGAN STANLEY INDIA CAPITAL PVT LT SR-54 BR LOA 21JL14 FVRS10LAC
MORGAN STANLEY INDIA CAPITAL PVT LT BR LOA 06SP14 FVRS10LAC
MORGAN STANLEY INDIA CAPITAL PVT LT SR-56 BR LOA 17OT14 FVRS10LAC
MORGAN STANLEY INDIA CAPITAL PVT LT SR-51 BR LOA 27NV14 FVRS10LAC
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
MORGAN STANLEY INDIA CAPITAL PVT LT SR-55 BR LOA 31AG15 FVRS10LAC
MRF LIMITED 9.07 LOA 18JN15 FVRS10LAC
MRF LIMITED 9.07 LOA 18JN16 FVRS10LAC
MRF LIMITED 10.09 LOA 27MY19 FVRS10LAC
MRF LIMITED 10.09 LOA 27MY20 FVRS10LAC
MRF LIMITED 10.09 LOA 27MY21 FVRS10LAC
MAHANAGAR TELEPHONE NIGAM LIMITED. SR-2A 9.38 LOA 05DC23 FVRS10LAC
MAHANAGAR TELEPHONE NIGAM LIMITED. SR-3A 9.39 LOA 26MR24 FVRS10LAC
MURUGAPPA HOLDINGS LIMITED 10.05 LOA 17OT14 FVRS10LAC
MUTHOOT FINANCE LIMITED 12 NCD 13SP14 FVRS1000
MUTHOOT FINANCE LIMITED 12.25 NCD 13SP14 FVRS1000
MUTHOOT FINANCE LIMITED OPT-VII NCD 30OT14 FVRS1000
MUTHOOT FINANCE LIMITED OPT-II 11.75 NCD 01NV15 FVRS1000
MUTHOOT FINANCE LIMITED 13.25 NCD 18JN15 FVRS1000
1000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000 1000
1000 1000
1000.000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
MUTHOOT FINANCE LIMITED OPT-VII NCD 11MR15 FVRS1000
MUTHOOT FINANCE LIMITED OPT-I 10.75 NCD 04DC15 FVRS1000
MUTHOOT FINANCE LIMITED OPT-IV 11.25 NCD 04DC15 FVRS1000
MUTHOOT FINANCE LIMITED OPT-VIII NCD 04DC15 FVRS1000
MUTHOOT FINANCE LIMITED 13.25 NCD 18AP15 FVRS1000
MUTHOOT FINANCE LIMITED SR-VIII OPT-VII NCD 07MY15 FVRS1000
MUTHOOT FINANCE LIMITED OPT-VII NCD 08JN15 FVRS1000
MUTHOOT FINANCE LIMITED OPT-I 11.5 NCD 25SP15 FVRS1000
MUTHOOT FINANCE LIMITED OPT-IV 12 NCD 25SP15 FVRS1000
MUTHOOT FINANCE LIMITED OPT-VIII NCD 25SP15 FVRS1000
MUTHOOT FINANCE LIMITED SR-IX OPT-VII NCD 11AG15 FVRS1000
MUTHOOT FINANCE LIMITED OPT- I 10.75 NCD 04FB16 FVRS1000
MUTHOOT FINANCE LIMITED OPT- IV 11.25 NCD 04FB16 FVRS1000
MUTHOOT FINANCE LIMITED OPT- VIII NCD 04FB16 FVRS1000
1000 1000
1000 1000
1000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
MUTHOOT FINANCE LIMITED SR-VIII OPT-I 10.25 NCD 02AP16 FVRS1000
MUTHOOT FINANCE LIMITED SR-VIII OPT-IV 10.75 NCD 02AP16 FVRS1000
MUTHOOT FINANCE LIMITED SR-VIII OPT-VIII NCD 02AP16 FVRS1000
MUTHOOT FINANCE LIMITED OPT-II 11.25 NCD 04DC16 FVRS1000
MUTHOOT FINANCE LIMITED OPT-V 11.5 NCD 04DC16 FVRS1000
MUTHOOT FINANCE LIMITED OPT-IX NCD 04DC16 FVRS1000
MUTHOOT FINANCE LIMITED SR-IX OPT-IV 10.75 NCD 07JL16 FVRS1000
MUTHOOT FINANCE LIMITED SR-IX OPT-I 10.25 NCD 07JL16 FVRS1000
MUTHOOT FINANCE LIMITED SR-IX OPT-VIII NCD 07JL16 FVRS1000
MUTHOOT FINANCE LIMITED 12 NCD 13SP16 FVRS1000
MUTHOOT FINANCE LIMITED 12.25 NCD 13SP16 FVRS1000
MUTHOOT FINANCE LIMITED OPT-II 12 NCD 25SP16 FVRS1000
MUTHOOT FINANCE LIMITED OPT-V 12.25 NCD 25SP16 FVRS1000
MUTHOOT FINANCE LIMITED OPT-IX NCD 25SP16 FVRS1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
MUTHOOT FINANCE LIMITED OPT-III 11.75 NCD 01NV17 FVRS1000
MUTHOOT FINANCE LIMITED OPT-IV 12 NCD 01NV17 FVRS1000
MUTHOOT FINANCE LIMITED 13.25 NCD 18JN17 FVRS1000
MUTHOOT FINANCE LIMITED OPT- II 11.25 NCD 04FB17 FVRS1000
MUTHOOT FINANCE LIMITED OPT- V 11.5 NCD 04FB17 FVRS1000
MUTHOOT FINANCE LIMITED OPT- IX NCD 04FB17 FVRS1000
MUTHOOT FINANCE LIMITED SR-VIII OPT-II 10.75 NCD 02AP17 FVRS1000
MUTHOOT FINANCE LIMITED SR-VIII OPT-V 11 NCD 02AP17 FVRS1000
MUTHOOT FINANCE LIMITED SR-VIII OPT-IX NCD 02AP17 FVRS1000
MUTHOOT FINANCE LIMITED 13.25 NCD 18AP17 FVRS1000
MUTHOOT FINANCE LIMITED SR-IX OPT-V 11 NCD 07JL17 FVRS1000
MUTHOOT FINANCE LIMITED SR-IX OPT-II 10.75 NCD 07JL17 FVRS1000
MUTHOOT FINANCE LIMITED SR-IX OPT-IX NCD 07JL17 FVRS1000
MUTHOOT FINANCE LIMITED NCD 18JL17 FVRS1000
1000 1000
1000000 1000000
1000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
MUTHOOT FINANCE LIMITED NCD 18OT17 FVRS1000
MUTHOOT FINANCE LIMITED 13 LOA 12JN17 FVRS10LAC
MUTHOOT FINANCE LIMITED OPT-V NCD 01NV18 FVRS1000
MUTHOOT FINANCE LIMITED OPT-III 10.75 NCD 04DC18 FVRS1000
MUTHOOT FINANCE LIMITED OPT-VI 11.25 NCD 04DC18 FVRS1000
MUTHOOT FINANCE LIMITED OPT-X NCD 04DC18 FVRS1000
MUTHOOT FINANCE LIMITED OPT-III 11.5 NCD 25SP18 FVRS1000
MUTHOOT FINANCE LIMITED OPT-VI 12 NCD 25SP18 FVRS1000
MUTHOOT FINANCE LIMITED OPT-X NCD 25SP18 FVRS1000
MUTHOOT FINANCE LIMITED OPT- III 10.75 NCD 04FB19 FVRS1000
MUTHOOT FINANCE LIMITED OPT- VI 11.25 NCD 04FB19 FVRS1000
MUTHOOT FINANCE LIMITED OPT- X NCD 04FB19 FVRS1000
MUTHOOT FINANCE LIMITED SR-VIII OPT-III 10.25 NCD 02AP19 FVRS1000
MUTHOOT FINANCE LIMITED SR-VIII OPT-VI 10.75 NCD 02AP19 FVRS1000
1000 1000
1000.000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000000.000 1000000
100000 100000
10000 10000
1000000 1000000
1000 1000
MUTHOOT FINANCE LIMITED SR-VIII OPT-X NCD 02AP19 FVRS1000
MUTHOOT FINANCE LIMITED OPT-XI NCD 04DC19 FVRS1000
MUTHOOT FINANCE LIMITED SR-IX OPT-VI 10.75 NCD 07JL19 FVRS1000
MUTHOOT FINANCE LIMITED SR-IX OPT-III 10.25 NCD 07JL19 FVRS1000
MUTHOOT FINANCE LIMITED SR-IX OPT-X NCD 07JL19 FVRS1000
MUTHOOT FINANCE LIMITED OPT-XI NCD 25SP19 FVRS1000
MUTHOOT FINANCE LIMITED SR-XI NCD 04FB20 FVRS1000
MUTHOOT FINANCE LIMITED SR-VIII OPT-XI NCD 02JL20 FVRS1000
MUTHOOT FINANCE LIMITED SR-IX OPT-XI NCD 07OT20 FVRS1000
MUTHOOT FINANCE LIMITED 12.35 NCD 26MR23 FVRS10LAC
MUTHOOT FINCORP LIMITED 13 LOA 17JN15 FVRS1LAC
MUTHOOT FINCORP LIMITED 13.25 LOA 17AP15 FVRS10000
MUTHOOT FINCORP LIMITED 12.3 LOA 29JU16 FVRS10LAC
MUTHOOTTU MINI FINANCIERS LTD SR I 12 NCD 02MY15 FVRS1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
300 300
MUTHOOTTU MINI FINANCIERS LTD SR II 12.5 NCD 02MY15 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR I 12 NCD 30DC15 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR II NCD 30DC15 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR III 12.25 NCD 26MR16 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR IV 12.5 NCD 26MR16 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR V 12.5 NCD 27MR17 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR VI 13 NCD 27MR17 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR VII 13.5 NCD 27MR17 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR III 12.5 NCD 15AG17 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR IV 13 NCD 15AG17 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR V NCD 12NV17 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR VIII 13.43 NCD 27SP19 FVRS1000
MUTHOOTTU MINI FINANCIERS LTD SR VI NCD 07FB20 FVRS1000
MYTRAH ENERGY (INDIA) LIMITED 14.73 LOA 12AG15 FVRS300
300.000 300
100000 100000
1000000 1000000
1000000 1000000
100.00 100.00
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
MYTRAH ENERGY (INDIA) LIMITED 12 LOA 23AG16 FVRS300
NAGARJUNA CONST10.5 LOA 24JL14 FVRS1LAC
NAGARJUNA CONST9.5 BD 11AG14 FVRS10LAC
NAGARJUNA CONST9.5 BD 11AG15 FVRS10LAC
NAGARJUNA FERT 10.5 LOA 31MR16 FV RS 100
NATIONAL AVIATION CO OF INDIA LTD9.13 LOA 26MR20 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XII G 9.5 BD 11JL14 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XII K 9.32 BD 16AG14 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XII N 9.38 BD 15SP14 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XII O 9.48 BD 22SP14 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XII Q 9.655 BD 18OT14 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XII Y 9.38 BD 16JN15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN 9.48 BD 30JN15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN 9.32 BD 23FB15 FVRS10LAC
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000 1000000
1000000.000 1000000
1000000 1000000
1000000.000 1000000
1000000.000 1000000
1000000 1000000
1000000.000 1000000
1000000.000 1000000
1000000 1000000
NATIONAL BANK FOR AGRICULTURE & RURAL DEVELOPMENT SR-XIII C 9.5 BD 04JU15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE & RURAL DEVELOPMENT SR-XIII G 9.35 BD 29JU15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XIII J 9.41 BD 16JL15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XIII K 9.23 BD 23JL15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XIII L 9.2 BD 27JL15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN 9.4 BD 31JL15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XIII M 9 BD 13AG15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN 9.38 BD 09JN15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPMENT SR-XIII H 9.45 BD 09JL15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XIII O 8.88 BD 25SP15 FVRS10LAC
NABARDSR-7D 7.5 BD 12DC15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN 8.88 BD 01JN16 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XIII Y 9.1 BD 01MR16 FVRS10LAC
NABARDSR-7E 7.6 BD 14JN16 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
9750 20000
1000000 1000000
9000 20000
9000 20000
1000000.000 1000000
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR- XII AD 9.35 BD 29JN16 FVRS10LAC
NABARDNPSB-8A 8.45 BD 18MY16 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR- XII D 9.7 BD 06JU16 FVRS10LAC
NABARDNPSB-8D 8.6 BD 07JU16 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XIII Z 8.95 BD 07MR16 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR- XII- I 9.4 BD 19JL16 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN 9.4 BD 13SP16 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN 9.4 BD 14SP16 FVRS10LAC
NABARD9.2 BD 12FB17 FVRS10LAC
NABARDBD 01MR17 FVRS20000
NABARD9.9 BD 30MR17 FVRS10LAC
NABARDBD 01AP17 FVRS20000
NABARDBD 01MY17 FVRS20000
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XIII B 9.40 BD 24MY17 FVRS10LAC
9000 20000
8250 20000
8200 20000
1000000 1000000
8250 20000
8200 20000
8250 20000
8200 20000
8250 20000
8200 20000
8250 20000
8200 20000
1000000.000 1000000
8250 20000
NABARDBD 01JU17 FVRS20000
NABARDBD 01JL17 FVRS20000
NABARDBD 01JL17 FVRS20000
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XII AB 9.18 BD 07FB17 FVRS10LAC
NABARDBD 01AG17 FVRS20000
NABARDBD 01AG17 FVRS20000
NABARDBD 01SP17 FVRS20000
NABARDBD 01SP17 FVRS20000
NABARDBD 01OT17 FVRS20000
NABARDBD 01OT17 FVRS20000
NABARDBD 01NV17 FVRS20000
NABARDBD 01NV17 FVRS20000
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN SR-XIII I 9.28 BD 11JL17 FVRS10LAC
NABARDBD 01DC17 FVRS20000
8200 20000
1000000.000 1000000
8200 20000
8250 20000
8200 20000
8250 20000
8450 20000
8500 20000
1000000.000 1000000
8450 20000
8500 20000
8450 20000
8500 20000
8450 20000
NABARDBD 01DC17 FVRS20000
NATIONAL BANK FOR AGRICULTURE & RURAL DEVELOPMENT SR-XIII D 9.33 BD 12JU17 FVRS10LAC
NABARDBD 01JN18 FVRS20000
NABARDBD 01JN18 FVRS20000
NABARDBD 01FB18 FVRS20000
NABARDBD 01FB18 FVRS20000
NABARDBD 01FB18 FVRS20000
NABARDBD 01FB18 FVRS20000
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN 8.79 BD 19FB18 FVRS10LAC
NABARDBD 01MR18 FVRS20000
NABARDBD 01MR18 FVRS20000
NABARDBD 01AP18 FVRS20000
NABARDBD 01AP18 FVRS20000
NABARDBD 01MY18 FVRS20000
8500 20000
8450 20000
8500 20000
8450 20000
8500 20000
8450 20000
8450 20000
8450 20000
8450 20000
8450 20000
8500 20000
8750 20000
8750 20000
9475 20000
NABARDBD 01MY18 FVRS20000
NABARDBD 01JU18 FVRS20000
NABARDBD 01JU18 FVRS20000
NABARDBD 01JL18 FVRS20000
NABARDBD 01AG18 FVRS20000
NABARDBD 01SP18 FVRS20000
NABARDBD 01OT18 FVRS20000
NABARDBD 01NV18 FVRS20000
NABARDBD 01DC18 FVRS20000
NABARDBD 01JN19 FVRS20000
NABARDBD 01FB19 FVRS20000
NABARDBD 01MR19 FVRS20000
NABARDBD 31MR19 FVRS20000
NABARDBD 01JU20 FVRS20000
9250 20000
9750 20000
9480 20000
9480 & 9500 20000
9480 20000
9450 20000
20000
1000000 1000000
1000000 1000000
1000000 1000000
20000
20000
9300 20000
9300 20000
NABARDBD 01NV20 FVRS20000
NABARDBD 01AP20 FVRS20000
NABARDBD 01JL20 FVRS20000
NABARDBD 01AG20 FVRS20000
NABARDBD 01SP20 FVRS20000
NABARDBD 01OT20 FVRS20000
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN BD 31MR21 FVRS20000
9300.000,9250.000
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN 8.95 BD 28DC15 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN 8.95 BD 04JN16 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN 9.12 BD 10FB16 FVRS10LAC
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN BD 01DC20 FVRS20000
9300.000,9250.000
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN BD 01JN21 FVRS20000
9300,9250
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN BD 01FB21 FVRS20000
NATIONAL BANK FOR AGRICULTURE&RURAL DEVELOPEN BD 01MR21 FVRS20000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
10000 10000
10000 10000
10000 10000
10000 10000
10000 10000
10000 10000
10000 10000
10000 10000
10000 10000
NATIONAL CAPITAL REGION PLANNING BOARD8.98 BD 14FB18 FVRS10LAC
NATIONAL CAPITAL REGION PLANNING BOARD9.15 BD 18FB19 FVRS10LAC
NATIONAL CAPITAL REGION PLANNING BOARD8.68 BD 18AG19 FVRS10LAC
NATIONAL CAPITAL REGION PLANNING BOARD8.68 BD 04AG20 FVRS10LAC
NATIONAL FERTILIZERS LIMITED 9.42 LOA 15SP16 FVRS10LAC
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31JL14 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31AG14 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 30SP14 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31OT14 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 30NV14 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31DC14 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31JN15 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 28FB15 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31MR15 FVRS10000
10000.000 10000
10000.000 10000
10000.000 10000
10000.000 10000
10000.000 10000
10000.000 10000
10000.000 10000
10000.000 10000
10000.000 10000
10000.000 10000
10000 10000
10000 10000
10000.000 10000
10000.000 10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 30AP15 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31MY15 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 30JU15 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31JL15 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31AG15 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 30SP15 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31OT15 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 30NV15 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31DC15 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31JN16 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 28FB16 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31MR16 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 30AP16 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31MY16 FVRS10000
10000.000 10000
10000.000 10000
10000 10000
10000 10000
10000.000 10000
10000 10000
10000 10000
10000 10000
10000 10000
10000 10000
10000 10000
10000 10000
1000 1000
1000000.000 1000000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 30JU16 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31JL16 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31AG16 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 30SP16 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31OT16 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 30NV16 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31DC16 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31JN17 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 28FB17 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 6 BD 31MR17 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA TR-XV 6 BD 30AP17 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA TR-XV 6 BD 31MY17 FVRS10000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 8.2 BD 25JN22 FVRS1000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 8.35 BD 22NV23 FVRS10LAC
1000 1000
1000 1000
1000 1000
1000000.000 1000000
1000 1000
1000 1000
1000000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000.000 1000000
NATIONAL HIGHWAYS AUTHORITY OF INDIA SR 1A 8.27 BD 15FB24 FVRS1000
NATIONAL HIGHWAYS AUTHORITY OF INDIA SR IB 8.52 BD 15FB24 FVRS1000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 8.3 BD 25JN27 FVRS1000
NATIONAL HIGHWAYS AUTHORITY OF INDIA 8.48 BD 22NV28 FVRS10LAC
NATIONAL HIGHWAYS AUTHORITY OF INDIA SR IIA 8.5 BD 15FB29 FVRS1000
NATIONAL HIGHWAYS AUTHORITY OF INDIA SR IIB 8.75 BD 15FB29 FVRS1000
NATIONAL HOUSING BANK 9.37 BD 20JN15 FVRS10LAC
NATIONAL HOUSING BANK 9.05 BD 24AG15 FVRS10LAC
NATIONAL HOUSING BANK 9.4 BD 10JN15 FVRS10LAC
NATIONAL HOUSING BANK 9.18 BD 21FB16 FVRS10LAC
NATIONAL HOUSING BANK 8.59 LOA 10AP16 FVRS10LAC
NATIONAL HOUSING BANK 8.45 LOA 25AP16 FVRS10LAC
NATIONAL HOUSING BANK 8.25 LOA 08MY16 FVRS10LAC
NATIONAL HOUSING BANK 8.12 LOA 20JU16 FVRS10LAC
1000000 1000000
1000000 1000000
4360.19 10000
4222.11 10000
10,00,000 10,00,000
10,00,000 10,00,000
10,00,000 10,00,000
1000000 1000000
1000000.000 1000000
1000100.000 1000000
10000.000 10000
1000100.000 1000000
1000000 1000000
5000 5000
NATIONAL HOUSING BANK 10.14 LOA 23SP16 FVRS10LAC
NATIONAL HOUSING BANK 10.24 LOA 11SP16 FVRS10LAC
NHBBD 24DC18 FVRS10000
NHBBD 31MR19 FVRS10000
NHB PS-SPL SR12 BD 10JU22 FV RS 10 LAC
NHB PS-SPL SR 12.5 BD 10JU22 FV RS 10 LAC
NHB PS-SPL SR 12.1 BD 10JU22 FV RS 10 LAC
NATIONAL HOUSING BANK 7.19 BD 14DC22 FVRS10LAC
NATIONAL HOUSING BANK 7.17 BD 01JN23 FVRS10LAC
NATIONAL HOUSING BANK SR-IV 6.89 NCD 22MR23 FVRS10LAC
NATIONAL HOUSING BANK 6.82 LOA 26MR23 FVRS10000
NATIONAL HOUSING BANK 6.87 BD 06FB23 FVRS10LAC
NATIONAL HOUSING BANK SR-V 8.01 LOA 30AG23 FVRS10LAC
NATIONAL HOUSING BANK TRCH-I SR-1B 8.51 LOA 13JN24 FVRS5000
5000 5000
5000 5000
5000 5000
10,00,000 10,00,000
10,00,000 10,00,000
1000000 1000000
5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
NATIONAL HOUSING BANK TRCH-I SR-1A 8.26 LOA 13JN24 FVRS5000
NATIONAL HOUSING BANK TRCH-II SR-1B 8.5 LOA 24MR24 FVRS5000
NATIONAL HOUSING BANK TRCH-II SR-1A 8.25 LOA 24MR24 FVRS5000
NHB TXPS SPLSR9.75 BD 10SP25 FV RS 10 LAC
NHB PS SPL SR 9.75 BD 10SP25 FV RS 10 LAC
NATIONAL HOUSING BANK SR-V 8.46 LOA 30AG28 FVRS10LAC
NATIONAL HOUSING BANK TRCH-I SR-2B 8.88 LOA 13JN29 FVRS5000
NATIONAL HOUSING BANK TRCH-I SR-2A 8.63 LOA 13JN29 FVRS5000
NATIONAL HOUSING BANK TRCH-II SR-2B 8.93 LOA 24MR29 FVRS5000
NATIONAL HOUSING BANK TRCH-II SR-2A 8.68 LOA 24MR29 FVRS5000
NATIONAL HOUSING BANK TRCH-I SR-3A 8.76 LOA 13JN34 FVRS5000
NATIONAL HOUSING BANK TRCH-I SR-3B 9.01 LOA 13JN34 FVRS5000
NATIONAL HOUSING BANK TRCH-II SR-3A 8.65 LOA 24MR34 FVRS5000
NATIONAL HOUSING BANK TRCH-II SR-3B 8.9 LOA 24MR34 FVRS5000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
100000 100000
100000 100000
1,00,000 1,00,000
100000 100000
100000 100000
1,00,000 1,00,000
100000 100000
100000 100000
10,00,000 10,00,000
1,00,000 1,00,000
NHPC STRPP-O/G7.7 BD 31MR15LOA Upto 05JU03 FV RS 1 CR
NHPC STRPP-O/H7.7 BD 31MR16LOA Upto 05JU03 FV RS 1 CR
NHPC STRPP-O/I7.7 BD 31MR17LOA Upto 05JU03 FV RS 1 CR
NHPC STRPP-O/J7.7 BD 31MR18LOA Upto 05JU03 FV RS 1 CR
NATIONAL THERMAL POWER CORPORATIONXX-K 7.552 LOA 23SP14 FVRS1LAC
NATIONAL THERMAL POWER CORPORATIONXX- L 7.552 LOA 23MR15 FVRS1LAC
NTPC STRPP-13B89.55 BD 30AP15 FV RS 1 LAC
NATIONAL THERMAL POWER CORPORATIONXX-M 7.552 LOA 23SP15 FVRS1LAC
NATIONAL THERMAL POWER CORPORATIONXX-N 7.552 LOA 23MR16 FVRS1LAC
NTPC STRPP-13B99.55 BD 30AP16 FV RS 1 LAC
NATIONAL THERMAL POWER CORPORATIONXX-O 7.552 LOA 23SP16 FVRS1LAC
NATIONAL THERMAL POWER CORPORATIONXX-P 7.552 LOA23MR17 FVRS1LAC
NTPC TX-XIII A 9.55 BD 18AP17 FV RS 10 LAC
NTPC STRP-13B109.55 BD 30AP17 FV RS 1 LAC
100000 100000
100000 100000
100000 100000
1,000,000.00 1,000,000.00
100000 100000
1,000,000.00 1,000,000.00
1000000 1000000
1000000.000 1000000
1000000.000 1000000
10000000.000 10000000
10 10
1000000 1000000
1000000 1000000
100000 100000
NATIONAL THERMAL POWER CORPORATIONXX-Q 7.552 LOA 23SP17 FVRS1LAC
NATIONAL THERMAL POWER CORPORATIONXX- R 7.552 LOA 23MR18 FVRS1LAC
NATIONAL THERMAL POWER CORPORATIONXX-S 7.552 LOA 23SP18 FVRS1LAC
NTPC TX-168 LOA 10AP18 FV RS 10 LAC
NATIONAL THERMAL POWER CORPORATIONXX-T 7.552 LOA 23MR19 FVRS1LAC
NTPC TX-178.48 LOA 01MY23 FV RS 10 LAC
NATIONAL THERMAL POWER CORPORATION SR-19 7.5 LOA12JN19 FVRS10LAC
NAVAYUGA ROAD PROJECTS PRIVATE LIMITED SR-I 20.75 OCD 31MR18 FVRS10LAC
NAVAYUGA ROAD PROJECTS PRIVATE LIMITED SR-II 20.75 OCD 31MR18 FVRS10LAC
NAVJYOTI OVERSEAS PRIVATE LIMITED 22 LOA 31DC15 FVRS1CR
NEELCAHAL ISPATBD 01MR19 FVRS10
NEELCAHAL ISPAT10.45 BD 19FB21 FVRS10LAC
NEELACHAL ISPAT NIGAM LIMITED 11.9 BD 27MR24 FVRS10LAC
NEELKANTH MANSIONS AND INFRASTRUCTURE PVT LTD SR-I 17 LOA 07MR17 FVRS1LAC
10000000.000 10000000
8790700 10000000
1000000 1000000
100000 100000
1000000 1000000
10 10
1000000 1000000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
100000.000 100000
NEELKANTH URBAN DEVELOPERS PRIVATE LIMITED 17.5 NCD 30OT14 FVRS1CRORE
NEEPA REAL ESTATES PRIVATE LIMITED LOA 17FB20 FVRS1CR
NEESA LEISURE LIMITED14.5 NCD 01JL15 FVRS10LAC
NEPTUNE DEVELOPERS LIMITED 20 LOA 20OT14 FVRS1LAC
NEPTUNE REALTORS PRIVATE LIMITED 12.25 LOA 25MR16 FVRS10LAC
NEPTUNE REALTORS PRIVATE LIMITED14 LOA 31MR16 FVRS10
NEYVELI LIGNITE8.83 LOA 23JN19 FVRS10LAC
NHPC LIMITED SR-1B 8.43 LOA 02NV23 FVRS1000
NHPC LIMITED SR-1A 8.18 LOA 02NV23 FVRS1000
NHPC LIMITED SR-2B 8.79 LOA 02NV28 FVRS1000
NHPC LIMITED SR-2A 8.54 LOA 02NV28 FVRS1000
NHPC LIMITED SR-3B 8.92 LOA 02NV33 FVRS1000
NHPC LIMITED SR-3A 8.67 LOA 02NV33 FVRS1000
NHPC LIMITED SR-R1 PART-A 8.7 LOA 11FB15 FVRS1LAC
100000.000 100000
100000.000 100000
100000 100000
100000.000 100000
100000.000 100000
100000 100000
100000.000 100000
100000.000 100000
100000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000 100000
100000.000 100000
NHPC LIMITED SR-R1 PART-B 8.7 LOA 11FB16 FVRS1LAC
NHPC LIMITED SR-R2 PART-A 8.85 LOA 11FB16 FVRS1LAC
NHPC LIMITED SR-Q PART-A 9.25 LOA 12MR16 FVRS1LAC
NHPC LIMITED SR-R1 PART-C 8.7 LOA 11FB17 FVRS1LAC
NHPC LIMITED SR-R2 PART-B 8.85 LOA 11FB17 FVRS1LAC
NHPC LIMITED SR-Q PART-B 9.25 LOA 12MR17 FVRS1LAC
NHPC LIMITED SR-R1 PART-D 8.7 LOA 11FB18 FVRS1LAC
NHPC LIMITED SR-R2 PART-C 8.85 LOA 11FB18 FVRS1LAC
NHPC LIMITED SR-Q PART-C 9.25 LOA 12MR18 FVRS1LAC
NHPC LIMITED SR-R1 PART-E 8.7 LOA 11FB19 FVRS1LAC
NHPC LIMITED SR-R3 PART-A 8.78 LOA 11FB19 FVRS1LAC
NHPC LIMITED SR-R2 PART-D 8.85 LOA 11FB19 FVRS1LAC
NHPC LIMITED SR-Q PART-D 9.25 LOA 12MR19 FVRS1LAC
NHPC LIMITED SR-R1 PART-F 8.7 LOA 11FB20 FVRS1LAC
100000.000 100000
100000.000 100000
100000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000 100000
100000.000 100000
100000.000 100000
100000.000 100000
NHPC LIMITED SR-R3 PART-B 8.78 LOA 11FB20 FVRS1LAC
NHPC LIMITED SR-R2 PART-E 8.85 LOA 11FB20 FVRS1LAC
NHPC LIMITED SR-Q PART-E 9.25 LOA 12MR20 FVRS1LAC
NHPC LIMITED SR-R1 PART-G 8.7 LOA 11FB21 FVRS1LAC
NHPC LIMITED SR-R3 PART-C 8.78 LOA 11FB21 FVRS1LAC
NHPC LIMITED SR-R2 PART-F 8.85 LOA 11FB21 FVRS1LAC
NHPC LIMITED SR-Q PART-F 9.25 LOA 12MR21 FVRS1LAC
NHPC LIMITED SR-R1 PART-H 8.7 LOA 11FB22 FVRS1LAC
NHPC LIMITED SR-R3 PART-D 8.78 LOA 11FB22 FVRS1LAC
NHPC LIMITED SR-R2 PART-G 8.85 LOA 11FB22 FVRS1LAC
NHPC LIMITED SR-Q PART-G 9.25 LOA 12MR22 FVRS1LAC
NHPC LIMITED SR-R1 PART-I 8.7 LOA 11FB23 FVRS1LAC
NHPC LIMITED SR-R3 PART-E 8.78 LOA 11FB23 FVRS1LAC
NHPC LIMITED SR-R2 PART-H 8.85 LOA 11FB23 FVRS1LAC
100000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000 100000
100000.000 100000
NHPC LIMITED SR-Q PART-H 9.25 LOA 12MR23 FVRS1LAC
NHPC LIMITED SR-R1 PART-J 8.7 LOA 11FB24 FVRS1LAC
NHPC LIMITED SR-R3 PART-F 8.78 LOA 11FB24 FVRS1LAC
NHPC LIMITED SR-R2 PART-I 8.85 LOA 11FB24 FVRS1LAC
NHPC LIMITED SR-Q PART-I 9.25 LOA 12MR24 FVRS1LAC
NHPC LIMITED SR-R1 PART-K 8.7 LOA 11FB25 FVRS1LAC
NHPC LIMITED SR-R3 PART-G 8.78 LOA 11FB25 FVRS1LAC
NHPC LIMITED SR-R2 PART-J 8.85 LOA 11FB25 FVRS1LAC
NHPC LIMITED SR-Q PART-J 9.25 LOA 12MR25 FVRS1LAC
NHPC LIMITED SR-R2 PART-K 8.85 LOA 11FB26 FVRS1LAC
NHPC LIMITED SR-R1 PART-L 8.7 LOA 11FB26 FVRS1LAC
NHPC LIMITED SR-R3 PART-H 8.78 LOA 11FB26 FVRS1LAC
NHPC LIMITED SR-Q PART-K 9.25 LOA 12MR26 FVRS1LAC
NHPC LIMITED SR-R2 PART-L 8.85 LOA 11FB27 FVRS1LAC
100000.000 100000
100000 100000
100000.000 100000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
NHPC LIMITED SR-R3 PART-I 8.78 LOA 11FB27 FVRS1LAC
NHPC LIMITED SR-Q PART-L 9.25 LOA 12MR27 FVRS1LAC
NHPC LIMITED SR-R3 PART-J 8.78 LOA 11FB28 FVRS1LAC
NHPC LIMITED9 LOA 01FB25 FVRS10LAC
NIIT12 NCD 20OT15 FVRS10LAC
NIRMA LIMITED 8.75 NCD 27MY15 FVRS10LAC
NIRMA LIMITED 8.85 NCD 27MY16 FVRS10LAC
NIRMA LIMITED 8.9 NCD 27MY17 FVRS10LAC
NIRMA LIMITED 8.92 NCD 27MY18 FVRS10LAC
NIRMA LIMITED 8.95 NCD 27MY19 FVRS10LAC
NIRMAL BOT LTD9.38 LOA 18MY26 FVRS10LAC
NIRMAL LIFESTYLE LIMITED SR I 17.3 LOA 29MR17 FVRS10LAC
NIRMAL LIFESTYLE LIMITED SR I-B 17.3 LOA 29DC17 FVRS10LAC
NIRMAL LIFESTYLE LIMITED SR II 17.6 LOA 31DC17 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
5000 20715
45000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000.000 100000
100000 100000
NIRMAL LIFESTYLE LIMITED 5.1 NCD 09JU19 FVRS10LAC
NITESH ESTATES LIMITED 18.5 NCD 15MR18 FVRS10LAC
NOBILITY ESTATES PRIVATE LIMITED 10 NCD 14AG17 FVRS10LAC
NOIDA TOLLDDB 03NV15 FVRS20715
NOIDA TOLL DDB 03NV15 FV RS 45000 5,000
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE041 BR NCD 17JL14 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. BR NCD 19AG14 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. BR NCD 21AG14 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE008 BR NCD 05SP14 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE010 BR NCD 09SP14 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE012 BR NCD 23SP14 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR- NCE 015 BR NCD 30SP14 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE042 BR NCD 10NV14 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR- NCE022 BR NCD 28OT14 FVRS1LAC
100000 100000
100000 100000
99500 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
98700 100000
1000000.000 1000000
500000.000 500000
485000 500000
500000 500000
100000 100000
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE 021 BR NCD 30OT14 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE024 BR NCD 13NV14 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE027 BR NCD 06JN15 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE032 BR NCD 27JN15 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE036 BR NCD 29JN15 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE037 BR NCD 05FB15 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE047 BR NCD 06MY15 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE040 BR NCD 30JL15 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE030 BR NCD 10FB15 FVRS1LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE046 BR NCD 13AP16 FVRS10LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE048 BR NCD 09NV16 FVRS5LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE049 BR LOA 05JU17 FVRS5LAC
NOMURA CAPITAL (INDIA) PVT. LTD. SR-NCE050 BR LOA 28JU17 FVRS5LAC
NORTH BIHAR POWER DISTRIBUTION COMPANY LIMITE SR-2013-14 10.2 BD 14MR19 FVRS1LAC
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NORTH EASTERN ELECTRIC POWER CORPORATION LIMI 10.2 LOA 15DC21 FVRS10LAC
NORTH EASTERN ELECTRIC POWER CORPORATION LIMITED 9.25 LOA 27JU22 FVRS10LAC
NORTH EASTERN ELECTRIC POWER CORPORATION LIMI SR-XIII 9 LOA 15MR23 FVRS10LAC
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 15JL14 FVRS10LAC
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 15JN15 FVRS10LAC
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 15JL15 FVRS10LAC
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 15JN16 FVRS10LAC
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 15JL16 FVRS10LAC
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 16JN17 FVRS10LAC
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 15JL17 FVRS10LAC
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 15JN18 FVRS10LAC
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 16JL18 FVRS10LAC
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 15JN19 FVRS10LAC
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 15JL19 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
1000000 1000000
100000 100000
100000 100000
100000 100000
1000 1000
NORTH KARNATAKA EXPRESSWAY LIMITEDNCD 15JN20 FVRS10LAC
NORTHERN POWER DISTRITN CO OF ANDHRA PRADESH SR- I 9.95 LOA 03FB29 FVRS10LAC
NORTHERN POWER DISTRITN CO OF ANDHRA PRADESH SR-2 10.09 LOA 26MR29 FVRS10LAC
NORTHERN POWER DISTRITN CO OF ANDHRA PRADESH SR-3 10 LOA 30MY29 FVRS1LAC
NSL RENEWABLE POWER PRIVATE LIMITED SR-B CCD RR 11AG32 FVRS1LAC
NTPC LIMITED SR-XXXVIII-STRPP A 9.17 LOA 22MR17 FVRS1LAC
NTPC LIMITED SR-XXXVIII-STRPP B 9.17 LOA 22MR18 FVRS1LAC
NTPC LIMITED SR-XXXVIII-STRPP C 9.17 LOA 22MR19 FVRS1LAC
NTPC LIMITED SR-XXXVIII STRPP D 9.17 LOA 22MR20 FVRS1LAC
NTPC LIMITED 8.93 LOA 19JN21 FVRS10LAC
NTPC LIMITED SR-XXXVIII STRPP E 9.17 LOA 22MR21 FVRS1LAC
NTPC LIMITED SR-XXXVIII STRPP F 9.17 LOA 22MR22 FVRS1LAC
NTPC LIMITED SR-XXXVIII STRPP G 9.17 LOA 22MR23 FVRS1LAC
NTPC LIMITED SR-1B 8.66 BD 16DC23 FVRS1000
1000 1000
100000 100000
1000000 1000000
100000 100000
100000 100000
100000 100000
100000 100000
1000 1000
1000 1000
100000 100000
1000000 1000000
100000 100000
100000 100000
1000 1000
NTPC LIMITED SR-1A 8.41 BD 16DC23 FVRS1000
NTPC LIMITED SR-XXXVIII STRPP H 9.17 LOA 22MR24 FVRS1LAC
NTPC LIMITED SR-LI A 8.19 LOA 04MR24 FVRS10LAC
NTPC LIMITED SR-XXXVIII STRPP I 9.17 LOA 22MR25 FVRS1LAC
NTPC LIMITED SR-XXXVIII STRPP J 9.17 LOA 22MR26 FVRS1LAC
NTPC LIMITED SR-XXXVIII STRPP K 9.17 LOA 22MR27 FVRS1LAC
NTPC LIMITED SR-XXXVIII STRPP L 9.17 LOA 22MR28 FVRS1LAC
NTPC LIMITED SR-2B 8.73 BD 16DC28 FVRS1000
NTPC LIMITED SR-2A 8.48 BD 16DC28 FVRS1000
NTPC LIMITED SR-XXXVIII STRPP M 9.17 LOA 22MR29 FVRS1LAC
NTPC LIMITED SR-LI B 8.63 LOA 04MR29 FVRS10LAC
NTPC LIMITED SR-XXXVIII STRPP N 9.17 LOA 22MR30 FVRS1LAC
NTPC LIMITED SR-XXXVIII STRPP O 9.17 LOA 22MR31 FVRS1LAC
NTPC LIMITED SR-3A 8.66 BD 16DC33 FVRS1000
1000 1000
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100000.000 100000
100000.000 100000
100000.000 100000
100000.000 100000
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100000.000 100000
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100000.000 100000
100000.000 100000
100000.000 100000
100000.000 100000
NTPC LIMITED SR-3B 8.91 BD 16DC33 FVRS1000
NTPC LIMITED SR-LI C 8.61 LOA 04MR34 FVRS10LAC
NTPC LIMITED SR-XLVI-STRPP A 9.3473 LOA 20JL18 FVRS1LAC
NTPC LIMITED SR-XLVI-STRPP B 9.3473 LOA 20JL19 FVRS1LAC
NTPC LIMITED SR-XLVI-STRPP C 9.3473 LOA 20JL20 FVRS1LAC
NTPC LIMITED SR-XLVI-STRPP D 9.3473 LOA 20JL21 FVRS1LAC
NTPC LIMITED SR-XLVII 8.84 LOA 04OT22 FVRS10LAC
NTPC LIMITED SR-XLVI-STRPP E 9.3473 LOA 20JL22 FVRS1LAC
NTPC LIMITED SR-XL IX 8.8 LOA 04AP23 FVRS10LAC
NTPC LIMITED SR-XL VIII 8.73 LOA 07MR23 FVRS10LAC
NTPC LIMITED SR-XLVI-STRPP F 9.3473 LOA 20JL23 FVRS1LAC
NTPC LIMITED SR-XLVI-STRPP G 9.3473 LOA 20JL24 FVRS1LAC
NTPC LIMITED SR-XLVI-STRPP H 9.3473 LOA 20JL25 FVRS1LAC
NTPC LIMITED SR-XLVI-STRPP I 9.3473 LOA 20JL26 FVRS1LAC
100000.000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000 100000
100000 100000
500000 500000
500000 500000
100000 100000
100000 100000
100000 100000
100000 100000
NTPC LIMITED SR-XLVI-STRPP J 9.3473 LOA 20JL27 FVRS1LAC
NTPC LIMITED SR-XLVI-STRPP K 9.3473 LOA 20JL28 FVRS1LAC
NTPC LIMITED SR-XLVI-STRPP L 9.3473 LOA 20JL29 FVRS1LAC
NTPC LIMITED SR-XLVI-STRPP M 9.3473 LOA 20JL30 FVRS1LAC
NTPC LIMITED SR-XLVI-STRPP N 9.3473 LOA 20JL31 FVRS1LAC
NTPC LIMITED SR-XLVI-STRPP O 9.3473 LOA 20JL32 FVRS1LAC
NTPC LIMITEDSTRPP-G 8.3796 LOA 05AG14 FVRS1LAC
NTPC LIMITEDSTRPP-G 8.6077 LOA 09SP14 FVRS1LAC
NTPC LIMITEDSTRPP-F 9.37 LOA 04DC14 FVRS5LAC
NTPC LIMITEDSTRPP- F 9.06 LOA 04DC14 FVRS5LAC
NTPC LIMITEDSTRPP-H 8.1771 LOA 02JN15 FVRS1LAC
NTPC LIMITEDJ 7.7125 LOA 02FB15 FVRS1LAC
NTPC LIMITEDSTRPP-H 8.3796 LOA 05FB15 FVRS1LAC
NTPC LIMITEDK 7.7125 LOA 02AG15 FVRS1LAC
100000 100000
500000 500000
500000 500000
100000 100000
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500000 500000
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NTPC LIMITEDSTRPP-H 8.6077 LOA 09MR15 FVRS1LAC
NTPC LIMITEDSTRPP-G 9.37 LOA 04JU15 FVRS5LAC
NTPC LIMITEDSTRPP- G 9.06 LOA 04JU15 FVRS5LAC
NTPC LIMITEDSTRPP-I 8.1771 LOA 02JL15 FVRS1LAC
NTPC LIMITEDSTRPP-I 8.3796 LOA 05AG15 FVRS1LAC
NTPC LIMITEDSTRPP-I 8.6077 LOA 09SP15 FVRS1LAC
NTPC LIMITEDSTRPP-H 9.37 LOA 04DC15 FVRS5LAC
NTPC LIMITEDSTRPP- H 9.06 LOA 04DC15 FVRS5LAC
NTPC LIMITEDSTRPP-J 8.1771 LOA 02JN16 FVRS1LAC
NTPC LIMITEDL 7.7125 LOA 02FB16 FVRS1LAC
NTPC LIMITEDSTRPP-J 8.3796 LOA 05FB16 FVRS1LAC
NTPC LIMITEDM 7.7125 LOA 02AG16 FVRS1LAC
NTPC LIMITEDSTRPP-J 8.6077 LOA 09MR16 FVRS1LAC
NTPC LIMITEDSTRPP- A 8.8493 LOA 25MR16 FVRS1LAC
500000 500000
500000 500000
100000 100000
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500000 500000
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NTPC LIMITEDSTRPP-I 9.37 LOA 04JU16 FVRS5LAC
NTPC LIMITEDSTRPP- I 9.06 LOA 04JU16 FVRS5LAC
NTPC LIMITEDSTRPP-K 8.1771 LOA 02JL16 FVRS1LAC
NTPC LIMITEDSTRPP-K 8.3796 LOA 05AG16 FVRS1LAC
NTPC LIMITEDSTRPP-K 8.6077 LOA 09SP16 FVRS1LAC
NTPC LIMITED8.785 BD 15SP16 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU16 FVRS1LAC
NTPC LIMITEDSTRPP-J 9.37 LOA 04DC16 FVRS5LAC
NTPC LIMITEDSTRPP- J 9.06 LOA 04DC16 FVRS5LAC
NTPC LIMITEDSR-XXXVI-A 8.8086 BD 15DC16 FVRS1LAC
NTPC LIMITEDSTRPP-L 8.1771 LOA 02JN17 FVRS1LAC
NTPC LIMITEDN 7.7125 LOA 02FB17 FVRS1LAC
NTPC LIMITEDSTRPP-L 8.3796 LOA 05FB17 FVRS1LAC
NTPC LIMITEDO 7.7125 LOA 02AG17 FVRS1LAC
100000 100000
100000 100000
500000 500000
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500000 500000
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NTPC LIMITEDSTRPP-L 8.6077 LOA 09MR17 FVRS1LAC
NTPC LIMITEDSTRPP- B 8.8493 LOA 25MR17 FVRS1LAC
NTPC LIMITEDSTRPP-K 9.37 LOA 04JU17 FVRS5LAC
NTPC LIMITEDSTRPP- K 9.06 LOA 04JU17 FVRS5LAC
NTPC LIMITED SR- XXXIX STRPP A 9.3896 LOA 09JU17 FVRS1LAC
NTPC LIMITEDSTRPP-M 8.1771 LOA 02JL17 FVRS1LAC
NTPC LIMITED STRPP-A 9.558 LOA 29JL17 FVRS1LAC
NTPC LIMITEDSTRPP-M 8.3796 LOA 05AG17 FVRS1LAC
NTPC LIMITEDSTRPP-M 8.6077 LOA 09SP17 FVRS1LAC
NTPC LIMITED8.785 BD 15SP17 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU17 FVRS1LAC
NTPC LIMITEDSTRPP-L 9.37 LOA 04DC17 FVRS5LAC
NTPC LIMITEDSTRPP- L 9.06 LOA 04DC17 FVRS5LAC
NTPC LIMITEDSR-XXXVI-B 8.8086 BD 15DC17 FVRS1LAC
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
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100000 100000
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500000 500000
500000 500000
100000 100000
100000 100000
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NTPC LIMITED 9.6713 LOA 23DC17 FVRS1LAC
NTPC LIMITEDSTRPP-N 8.1771 LOA 02JN18 FVRS1LAC
NTPC LIMITEDP 7.7125 LOA 02FB18 FVRS1LAC
NTPC LIMITED SR-XLIII-STRPP A 9.2573 LOA 02MR18 FVRS1LAC
NTPC LIMITEDSTRPP-N 8.3796 LOA 05FB18 FVRS1LAC
NTPC LIMITEDQ 7.7125 LOA 02AG18 FVRS1LAC
NTPC LIMITEDSTRPP-N 8.6077 LOA 09MR18 FVRS1LAC
NTPC LIMITEDSTRPP- C 8.8493 LOA 25MR18 FVRS1LAC
NTPC LIMITED SR-XLV-STRPP A 9.4376 LOA 16MY18 FVRS1LAC
NTPC LIMITEDSTRPP-M 9.37 LOA 04JU18 FVRS5LAC
NTPC LIMITEDSTRPP- M 9.06 LOA 04JU18 FVRS5LAC
NTPC LIMITED SR- XXXIX STRPP B 9.3896 LOA 09JU18 FVRS1LAC
NTPC LIMITEDSTRPP-O 8.1771 LOA 02JL18 FVRS1LAC
NTPC LIMITED STRPP-B 9.558 LOA 29JL18 FVRS1LAC
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NTPC LIMITEDSTRPP-O 8.3796 LOA 05AG18 FVRS1LAC
NTPC LIMITEDSTRPP-O 8.6077 LOA 09SP18 FVRS1LAC
NTPC LIMITED8.785 BD 15SP18 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU18 FVRS1LAC
NTPC LIMITED11 LOA 21NV18 FVRS10LAC
NTPC LIMITEDSTRPP-N 9.37 LOA 04DC18 FVRS5LAC
NTPC LIMITEDSTRPP- N 9.06 LOA 04DC18 FVRS5LAC
NTPC LIMITEDSR-XXXVI-C 8.8086 BD 15DC18 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC18 FVRS1LAC
NTPC LIMITEDSTRPP-P 8.1771 LOA 02JN19 FVRS1LAC
NTPC LIMITEDR 7.7125 LOA 02FB19 FVRS1LAC
NTPC LIMITED SR-XLIII-STRPP B 9.2573 LOA 02MR19 FVRS1LAC
NTPC LIMITED8.65 LOA 04FB19 FVRS10LAC
NTPC LIMITEDSTRPP-P 8.3796 LOA 05FB19 FVRS1LAC
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NTPC LIMITEDS 7.7125 LOA 02AG19 FVRS1LAC
NTPC LIMITEDSTRPP-P 8.6077 LOA 09MR19 FVRS1LAC
NTPC LIMITEDSTRPP- D 8.8493 LOA 25MR19 FVRS1LAC
NTPC LIMITED7.89 LOA 05MY19 FVRS10LAC
NTPC LIMITED SR-XLV-STRPP B 9.4376 LOA 16MY19 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP C 9.3896 LOA 09JU19 FVRS1LAC
NTPC LIMITEDSTRPP-Q 8.1771 LOA 02JL19 FVRS1LAC
NTPC LIMITED STRPP-C 9.558 LOA 29JL19 FVRS1LAC
NTPC LIMITEDSTRPP-Q 8.3796 LOA 05AG19 FVRS1LAC
NTPC LIMITEDSTRPP-Q 8.6077 LOA 09SP19 FVRS1LAC
NTPC LIMITED8.785 BD 15SP19 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU19 FVRS1LAC
NTPC LIMITEDSR-XXXVI-D 8.8086 BD 15DC19 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC19 FVRS1LAC
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NTPC LIMITEDSTRPP-R 8.1771 LOA 02JN20 FVRS1LAC
NTPC LIMITEDT 7.7125 LOA 02FB20 FVRS1LAC
NTPC LIMITED SR-XLIII-STRPP C 9.2573 LOA 02MR20 FVRS1LAC
NTPC LIMITEDSTRPP-R 8.3796 LOA 05FB20 FVRS1LAC
NTPC LIMITEDSTRPP-R 8.6077 LOA 09MR20 FVRS1LAC
NTPC LIMITED8.78 LOA 09MR20 FVRS10LAC
NTPC LIMITEDSTRPP- E 8.8493 LOA 25MR20 FVRS1LAC
NTPC LIMITED8.73 LOA 31MR20 FVRS10LAC
NTPC LIMITED SR-XLV-STRPP C 9.4376 LOA 16MY20 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP D 9.3896 LOA 09JU20 FVRS1LAC
NTPC LIMITEDSTRPP-S 8.1771 LOA 02JL20 FVRS1LAC
NTPC LIMITED STRPP-D 9.558 LOA 29JL20 FVRS1LAC
NTPC LIMITEDSTRPP-S 8.3796 LOA 05AG20 FVRS1LAC
NTPC LIMITEDSTRPP-S 8.6077 LOA 09SP20 FVRS1LAC
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NTPC LIMITED8.785 BD 15SP20 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU20 FVRS1LAC
NTPC LIMITEDSR-XXXVI-E 8.8086 BD 15DC20 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC20 FVRS1LAC
NTPC LIMITEDSTRPP-T 8.1771 LOA 02JN21 FVRS1LAC
NTPC LIMITED SR-XLIII-STRPP D 9.2573 LOA 02MR21 FVRS1LAC
NTPC LIMITEDSTRPP-T 8.3796 LOA 05FB21 FVRS1LAC
NTPC LIMITEDSTRPP-T 8.6077 LOA 09MR21 FVRS1LAC
NTPC LIMITEDSTRPP- F 8.8493 LOA 25MR21 FVRS1LAC
NTPC LIMITED SR-XLV-STRPP D 9.4376 LOA 16MY21 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP E 9.3896 LOA 09JU21 FVRS1LAC
NTPC LIMITED STRPP-E 9.558 LOA 29JL21 FVRS1LAC
NTPC LIMITED8.785 BD 15SP21 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU21 FVRS1LAC
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NTPC LIMITEDSR-XXXVI-F 8.8086 BD 15DC21 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC21 FVRS1LAC
NTPC LIMITED SR-XLIII-STRPP E 9.2573 LOA 02MR22 FVRS1LAC
NTPC LIMITEDSTRPP- G 8.8493 LOA 25MR22 FVRS1LAC
NTPC LIMITED SR-XLV-STRPP E 9.4376 LOA 16MY22 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP F 9.3896 LOA 09JU22 FVRS1LAC
NTPC LIMITED STRPP-F 9.558 LOA 29JL22 FVRS1LAC
NTPC LIMITED8.785 BD 15SP22 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU22 FVRS1LAC
NTPC LIMITEDSR-XXXVI-G 8.8086 BD 15DC22 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC22 FVRS1LAC
NTPC LIMITED 9 LOA 25JN23 FVRS2LAC
NTPC LIMITED SR-XLIII-STRPP F 9.2573 LOA 02MR23 FVRS1LAC
NTPC LIMITEDSTRPP- H 8.8493 LOA 25MR23 FVRS1LAC
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NTPC LIMITED SR-XLIV-STRPP A 9.25 LOA 04MY23 FVRS2LAC
NTPC LIMITED SR-XLV-STRPP F 9.4376 LOA 16MY23 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP G 9.3896 LOA 09JU23 FVRS1LAC
NTPC LIMITED STRPP-G 9.558 LOA 29JL23 FVRS1LAC
NTPC LIMITED8.785 BD 15SP23 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU23 FVRS1LAC
NTPC LIMITED11.25 LOA 06NV23 FVRS10LAC
NTPC LIMITEDSR-XXXVI-H 8.8086 BD 15DC23 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC23 FVRS1LAC
NTPC LIMITED 9 LOA 25JN24 FVRS2LAC
NTPC LIMITED SR-XLIII-STRPP G 9.2573 LOA 02MR24 FVRS1LAC
NTPC LIMITED SR-LII 9.34 LOA 24MR24 FVRS10LAC
NTPC LIMITEDSTRPP- I 8.8493 LOA 25MR24 FVRS1LAC
NTPC LIMITED SR-XLIV-STRPP B 9.25 LOA 04MY24 FVRS2LAC
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NTPC LIMITED SR-XLV-STRPP G 9.4376 LOA 16MY24 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP H 9.3896 LOA 09JU24 FVRS1LAC
NTPC LIMITED STRPP-H 9.558 LOA 29JL24 FVRS1LAC
NTPC LIMITED8.785 BD 15SP24 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU24 FVRS1LAC
NTPC LIMITEDSR-XXXVI-I 8.8086 BD 15DC24 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC24 FVRS1LAC
NTPC LIMITED 9 LOA 25JN25 FVRS2LAC
NTPC LIMITED SR-XLIII-STRPP H 9.2573 LOA 02MR25 FVRS1LAC
NTPC LIMITEDSTRPP- J 8.8493 LOA 25MR25 FVRS1LAC
NTPC LIMITED SR-XLIV-STRPP C 9.25 LOA 04MY25 FVRS2LAC
NTPC LIMITED SR-XLV-STRPP H 9.4376 LOA 16MY25 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP I 9.3896 LOA 09JU25 FVRS1LAC
NTPC LIMITED STRPP-I 9.558 LOA 29JL25 FVRS1LAC
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NTPC LIMITED8.785 BD 15SP25 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU25 FVRS1LAC
NTPC LIMITEDSR-XXXVI-J 8.8086 BD 15DC25 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC25 FVRS1LAC
NTPC LIMITED 9 LOA 25JN26 FVRS2LAC
NTPC LIMITED SR-XLIII-STRPP I 9.2573 LOA 02MR26 FVRS1LAC
NTPC LIMITEDSTRPP- K 8.8493 LOA 25MR26 FVRS1LAC
NTPC LIMITED SR-XLIV-STRPP D 9.25 LOA 04MY26 FVRS2LAC
NTPC LIMITED SR-XLV-STRPP I 9.4376 LOA 16MY26 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP J 9.3896 LOA 09JU26 FVRS1LAC
NTPC LIMITED STRPP-J 9.558 LOA 29JL26 FVRS1LAC
NTPC LIMITED8.785 BD 15SP26 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU26 FVRS1LAC
NTPC LIMITEDSR-XXXVI-K 8.8086 BD 15DC26 FVRS1LAC
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NTPC LIMITED 9.6713 LOA 23DC26 FVRS1LAC
NTPC LIMITED 9 LOA 25JN27 FVRS2LAC
NTPC LIMITED SR-XLIII-STRPP J 9.2573 LOA 02MR27 FVRS1LAC
NTPC LIMITEDSTRPP- L 8.8493 LOA 25MR27 FVRS1LAC
NTPC LIMITED SR-XLIV-STRPP E 9.25 LOA 04MY27 FVRS2LAC
NTPC LIMITED SR-XLV-STRPP J 9.4376 LOA 16MY27 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP K 9.3896 LOA 09JU27 FVRS1LAC
NTPC LIMITED STRPP-K 9.558 LOA 29JL27 FVRS1LAC
NTPC LIMITED8.785 BD 15SP27 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU27 FVRS1LAC
NTPC LIMITEDSR-XXXVI-L 8.8086 BD 15DC27 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC27 FVRS1LAC
NTPC LIMITED SR-XLIII-STRPP K 9.2573 LOA 02MR28 FVRS1LAC
NTPC LIMITEDSTRPP- M 8.8493 LOA 25MR28 FVRS1LAC
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NTPC LIMITED SR-XLV-STRPP K 9.4376 LOA 16MY28 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP L 9.3896 LOA 09JU28 FVRS1LAC
NTPC LIMITED STRPP-L 9.558 LOA 29JL28 FVRS1LAC
NTPC LIMITED8.785 BD 15SP28 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU28 FVRS1LAC
NTPC LIMITEDSR-XXXVI-M 8.8086 BD 15DC28 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC28 FVRS1LAC
NTPC LIMITED SR-XLIII-STRPP L 9.2573 LOA 02MR29 FVRS1LAC
NTPC LIMITEDSTRPP- N 8.8493 LOA 25MR29 FVRS1LAC
NTPC LIMITED SR-XLV-STRPP L 9.4376 LOA 16MY29 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP M 9.3896 LOA 09JU29 FVRS1LAC
NTPC LIMITED STRPP-M 9.558 LOA 29JL29 FVRS1LAC
NTPC LIMITED8.785 BD 15SP29 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU29 FVRS1LAC
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NTPC LIMITEDSR-XXXVI-N 8.8086 BD 15DC29 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC29 FVRS1LAC
NTPC LIMITED SR-XLIII-STRPP M 9.2573 LOA 02MR30 FVRS1LAC
NTPC LIMITEDSTRPP- O 8.8493 LOA 25MR30 FVRS1LAC
NTPC LIMITED SR-XLV-STRPP M 9.4376 LOA 16MY30 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP N 9.3896 LOA 09JU30 FVRS1LAC
NTPC LIMITED STRPP-N 9.558 LOA 29JL30 FVRS1LAC
NTPC LIMITED8.785 BD 15SP30 FVRS1LAC
NTPC LIMITED8.71 LOA 10JU30 FVRS1LAC
NTPC LIMITEDSR-XXXVI-O 8.8086 BD 15DC30 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC30 FVRS1LAC
NTPC LIMITED SR-XLIII-STRPP N 9.2573 LOA 02MR31 FVRS1LAC
NTPC LIMITED SR-XLV-STRPP N 9.4376 LOA 16MY31 FVRS1LAC
NTPC LIMITED SR- XXXIX STRPP O 9.3896 LOA 09JU31 FVRS1LAC
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NTPC LIMITED STRPP-O 9.558 LOA 29JL31 FVRS1LAC
NTPC LIMITED 9.6713 LOA 23DC31 FVRS1LAC
NTPC LIMITED SR-XLIII-STRPP O 9.2573 LOA 02MR32 FVRS1LAC
NTPC LIMITED SR-XLV-STRPP O 9.4376 LOA 16MY32 FVRS1LAC
NUCLEAR POWER CORPORATION OF INDIA LIMITED8.5 NCD 16NV19 FVRS10LAC
NUCLEAR POWER CORPORATION OF INDIA LIMITEDRR NCD 16NV19 FVRS10LAC
NUCLEAR POWER CORPORATION OF INDIA LIMITED 8.54 NCD 15MR23 FVRS10LAC
NUCLEAR POWER CORPORATION OF INDIA LIMITED 8.56 NCD 15MR23 FVRS10LAC
NUCLEAR POWER CORPORATION OF INDIA LIMITED 8.56 NCD 18MR23 FVRS10LAC
NUCLEAR POWER CORPORATION OF INDIA LIMITED SR-XXVIII TRCH-A 9.18 BD 23JN25 FVRS10LAC
NUCLEAR POWER CORPORATION OF INDIA LIMITED SR-XXVIII TRCH-B 9.18 BD 23JN26 FVRS10LAC
NUCLEAR POWER CORPORATION OF INDIA LIMITED SR-XXVIII TRCH-C 9.18 BD 23JN27 FVRS10LAC
NUCLEAR POWER CORPORATION OF INDIA LIMITED SR-XXVIII TRCH-D 9.18 BD 23JN28 FVRS10LAC
NUCLEAR POWER CORPORATION OF INDIA LIMITED SR-XXVIII TRCH-E 9.18 BD 23JN29 FVRS10LAC
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10,000.00 10,000.00
10,000.00 10,000.00
10,000.00 10,000.00
10,000.00 10,000.00
1,000,000.00 1,000,000.00
100 100
100 100
100 100
100 100
100000 100000
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100.000 100
NPCIL TX-20 6.15 LOA 14AG14 FV RS 10000
NPCIL TX-20 6.15 LOA 14AG15 FV RS 10000
NPCIL TX-20 6.15 LOA 14AG16 FV RS 10000
NPCIL TX-20 6.15 LOA 14AG17 FV RS 10000
NPCIL TX-20 6.15 LOA 14AG18 FV RS 10000
NUCLEAR POWER CORPORATION OF INDIA LIMITED 4.75 LOA 26MR19 FV RS 10 LAC
NUNLET PROJECTS PRIVATE LIMITED SR-B CCD 19MR18 FVRS100
NUNLET PROJECTS PRIVATE LIMITED SR-B CCD 01SP18 FVRS100
NUNLET PROJECTS PRIVATE LIMITED SR-B CCD 26MR19 FVRS100
NUNLET PROJECTS PRIVATE LIMITED SR-B CCD 21NV20 FVRS100
OB INFRASTRUCTURE LIMITED SR-B 11.6 LOA 15DC19 FVRS1LAC
OB INFRASTRUCTURE LIMITED SR-A 11.6 LOA 15DC21 FVRS1LAC
OB INFRASTRUCTURE LIMITED SR-C 11.6 LOA 15JU22 FVRS1LAC
OCEANUS DWELLINGS PRIVATE LIMITED 18 NCD 29FB16 FVRS100
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100.000 100
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5000 5000
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OCL INDIA10.8 LOA 06FB17 FVRS1CR
OMKAR REALTORS & DEVELOPERS PRIVATE LIMITED 18 LOA 21DC15 FVRS100
OMKAR REALTORS & DEVELOPERS PRIVATE LIMITED 21 NCD 30MR16 FVRS1LAC
OMKAR REALTORS & DEVELOPERS PRIVATE LIMITED 18 NCD 31JN17 FVRS1LAC
ONGC VIDESH LTD8.4 BD 23DC14 FVRS10LAC
ONGC VIDESH LTD8.54 BD 06JN20 FVRS10LAC
ORB ENERGY PRIVATE LIMITED 15.4 LOA 05NV18 FVRS5000
ORBIT CORPORATION LIMITED 14 LOA 30SP15 FVRS1CR
ORBIT CORPORATION LIMITED 13.32 LOA 01JL17 FVRS10LAC
ORIENTAL BANK8.5 BD 20AP16 FVRS10LAC
ORIENTAL BANK9.95 BD 23AP17 FVRS10LAC
ORIENTAL BANK9.25 BD 21JL21 FVRS 10LAC
ORIENTAL BANK OF COMMERCE 8.93 BD 30NV22 FVRS10LAC
ORIENTAL BANKRR BD 12FB24 FVRS10LAC
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ORIENTAL BANKRR PERPETUAL BD FVRS10LAC
ORIENTAL BANKRR LOA PERPETUAL FVRS10LAC
ORIENTAL BANK9.4 PERPETUAL BD FVRS10LAC
ORIENTAL HOTELS LIMITED 10.4 NCD 10JN15 FVRS10LAC
ORRIS INFRASTRUCTURE PRIVATE LIMITED SR-I 19.1 NCD 01AG15 FVRS10LAC
ORRIS INFRASTRUCTURE PRIVATE LIMITED SR-II 19.1 NCD 01NV15 FVRS10LAC
ORRIS INFRASTRUCTURE PRIVATE LIMITED SR-III 19.1 NCD 01FB16 FVRS10LAC
ORRIS INFRASTRUCTURE PRIVATE LIMITED SR-IV 19.1 NCD 01MY16 FVRS10LAC
ORRIS INFRASTRUCTURE PRIVATE LIMITED SR-V 19.1 NCD 01AG16 FVRS10LAC
ORRIS INFRASTRUCTURE PRIVATE LIMITED SR-VI 19.1 NCD 01NV16 FVRS10LAC
ORRIS INFRASTRUCTURE PRIVATE LIMITED SR-VII 19.1 NCD 01FB17 FVRS10LAC
ORRIS INFRASTRUCTURE PRIVATE LIMITED SR-VIII 19.1 NCD 01MY17 FVRS10LAC
ORRIS INFRASTRUCTURE PRIVATE LIMITED 20 NCD 22OT17 FVRS1CR
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10.000 10
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OZONE DEVELOPERS BANGALORE PRIVATE LIMITED SR-I 19.25 NCD 10MR18 FVRS1LAC
OZONE HOMES PRIVATE LIMITED SR I 19 NCD 31DC16 FVRS1LAC
OZONE HOMES PRIVATE LIMITED SR II 19 NCD 31DC16 FVRS1LAC
OZONE PROJECTS PRIVATE LIMITED SR-I 12 NCD 20MY21 FVRS10LAC
PAHAL FINANCIAL SERVICES PRIVATE LIMITED 13.9 NCD 15AP16 FVRS5LAC
PANATONE FINVEST LIMITED RR NCD 31MR16 FVRS10LAC
PANTALOON RETA.11.5 LOA 31JL14 FVRS1LAC
PANTALOON RETAIL (INDIA) LIMITED 12.1 LOA 30AG17 FVRS10LAC
PANTALOON RETAIL (INDIA) LIMITED 11.5 LOA 20MR19 FVRS10LAC
PANTALOONS FASHION & RETAIL LIMITED 9.25 LOA 07MY16 FVRS10LAC
PANTALOONS FASHION & RETAIL LIMITED 9.2 LOA 22MY18 FVRS10LAC
PARAG MILK FOODS PRIVATE LIMITED CCD 15MY18 FVRS10
PARAG MILK FOODS PRIVATE LIMITED CCD 05FB19 FVRS10
PARAG MILK FOODS PRIVATE LIMITED CCD 22NV19 FVRS10
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100000.000 100000
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PARAG MILK FOODS PRIVATE LIMITED CCD 16SP22 FVRS10
PAREKH ALUMINEX9.75 LOA 01SP14 FVRS1LAC
PAREKH ALUMINEX10.2 LOA 01DC15 FVRS1LAC
PAREKH ALUMINEX LIMITED 11 LOA 13JN15 FVRS1LAC
PAREKH ALUMINEX9.75 LOA 01MR15 FVRS1LAC
PAREKH ALUMINEX9.75 LOA 01SP15 FVRS1LAC
PAREKH ALUMINEX LIMITED 11 LOA 13JN16 FVRS1LAC
PAREKH ALUMINEX LIMITED 6 LOA 31MR16 FVRS1LAC
PAREKH ALUMINEX LIMITED SR B 6 LOA 31MR16 FVRS1LAC
PAREKH ALUMINEX LIMITED SR A 6 LOA 31MR16 FVRS1LAC
PARINEE REALTY PRIVATE LIMITED 20.5 NCD 31DC16 FVRS1CR
PARINEE REALTY PRIVATE LIMITED 24 NCD 23NV17 FVRS1LAC
PARSVNATH DEVELOPERS LIMITED SR-XII 18 LOA 31DC15 FVRS1LAC
PARSVNATH DEVELOPERS LIMITED SR-XIII 18 LOA 31DC15 FVRS1LAC
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100 100
10 10
100 100
100 100
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10 10
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10000000 10000000
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PARSVNATH ESTATE DEVELOPERS PRIVATE LIMITED 21 NCD 01AG17 FVRS1CR
PARSVNATH ESTATE DEVELOPERS PRIVATE LIMITED 15.5 FCD 20OT20 FVRS100
PARSVNATH ESTATE DEVELOPERS PRIVATE LIMITED 15.5 OCD 20OT20 FVRS10
PARSVNATH ESTATE DEVELOPERS PRIVATE LIMITED SR-B 17.25 FCD 13OT21 FVRS100
PARSVNATH ESTATE DEVELOPERS PRIVATE LIMITED SR-C 17.75 FCD 01JN22 FVRS100
PARSVNATH LANDMARK DEVELOPERS PVT. LTD 15.25 CCD 12JU24 FVRS100
PARSVNATH PROMOTERS AND DEVELOPERS PVT LTD SR-I 16 FCD 30MR19 FVRS10
PARSVNATH PROMOTERS AND DEVELOPERS PVT LTD SR-II 16 FCD 30MR19 FVRS10
PARSVNATH RAIL LAND PROJECT PRIVATE LIMITED 15 NCD 18DC22 FVRS1CR
PARSVNATH RAIL LAND PROJECT PRIVATE LIMITED 15 NCD 20AG23 FVRS1LAC
PATEL ENGINEERING LIMITED 11.4 LOA 11JL14 FVRS1LAC
PATEL ENGINEERING LIMITED 10.75 LOA 03MR15 FVRS1LAC
PATEL ENGINE.9.55 LOA 26AP15 FVRS1LAC
PATEL ENGINEERING LIMITED 11.4 LOA 11JL15 FVRS1LAC
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PATEL ENGINEERING LIMITED 11.4 LOA 11JL16 FVRS1LAC
PATEL ENGINE.9.8 LOA 20JL16 FVRS10LAC
PATEL ENGINEERING LIMITED 11.3 LOA 17SP22 FVRS10LAC
PATEL KNR HEAVY INFRASTR PVT LTD SR-B 9.5 LOA 31MR16 FVRS1LAC
PATEL KNR HEAVY INFRASTR PVT LTD SR-C 9.75 LOA 31MR18 FVRS1LAC
PATEL KNR HEAVY INFRASTR PVT LTD SR-D 9.75 LOA 31MR20 FVRS1LAC
PATEL KNR HEAVY INFRASTR PVT LTD SR-E 10 LOA 31MR23 FVRS1LAC
PATEL KNR HEAVY INFRASTR PVT LTD SR-A 10.04 LOA 30SP25 FVRS1LAC
PATEL KNR HEAVY INFRASTR PVT LTD SR-F 10.35 LOA 31MR27 FVRS1LAC
PATEL KNR INFRASTRUCTURES LTD9.57 LOA 14AP27 FVRS10LAC
PCR INVESTMENTS LIMITED TR-II SR-I NCD 29DC18 FVRS10LAC
PCR INVESTMENTS LIMITED TR-II SR-II NCD 29DC18 FVRS10LAC
PCR INVESTMENTS LIMITED TR-I SR-I NCD 10JN19 FVRS10LAC
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PNB HSG.FINANCE9.25 BD 22MR16 FVRS10LAC
PNB HSG.FINANCE8.7 BD 09AG16 FVRS10LAC
PNB HSG.FINANCE9.25 BD 30MR17 FVRS10LAC
PNB HOUSING FINANCE LTD SR-XVI 9.59 LOA 20JL17 FVRS10LAC
PNB HSG.FINANCE9.2 LOA 16JN19 FVRS10LAC
PNB HOUSING FINANCE LTD SR-XVII-A 9.53 LOA 31JN19 FVRS10LAC
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PNB HOUSING FINANCE LTD SR-X 9.5 LOA 26JL21 FVRS10LAC
PNB HOUSING FINANCE LTD 9.55 LOA 12SP21 FVRS10LAC
PNB HSG.FINANCE9.2 LOA 16JN22 FVRS10LAC
PNB HOUSING FINANCE LTD SR-XII 9.25 LOA 29JU22 FVRS10LAC
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PNB HOUSING FINANCE LTD SR-XIV 9 LOA 21DC22 FVRS10LAC
PNB HOUSING FINANCE LTD SR-II 9.1 LOA 21DC22 FVRS10LAC
PNB HSG.FINANCE9.2 LOA 16JN23 FVRS10LAC
PNB HOUSING FINANCE LTD SR-XV 8.58 NCD 16MY23 FVRS10LAC
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POWER FINANCE CORPORATION LTD. SR-93 A 8.85 LOA 15OT14 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-96 8.9 LOA 14DC14 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.5 LOA 15DC14 FVRS10LAC
POWER FINANCE CORPORATION LTD. 9.63 LOA 15DC14 FVRS10LAC
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POWER FINANCE CORPORATION LTD. SR-89 B 9.46 LOA 02MY15 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.9 LOA 15MR15 FVRS10LAC
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POWER FINANCE CORPORATION LTD. SR-85-A 9.51 LOA 15AP15 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-110 9.58 LOA 05DC15 FVRS10LAC
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PFCSR-25 7.6 LOA 30DC15 FVRS10LAC
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POWER FINANCE CORPORATION LTD. SR-104-A 8.35 LOA 15MY16 FVRS10LAC
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POWER FINANCE CORPORATION LTD. SR-106-B 8.27 LOA 25JU16 FVRS10LAC
POWER FINANCE CORPORATION LTD. 9.62 LOA 29JU16 FVRS10LAC
POWER FINANCE CORPORATION LTD. 9.41 LOA 01SP16 FVRS10LAC
POWER FINANCE CORPORATION LIMITED29A 8.8 LOA 07SP16 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-108 9.8 LOA 27SP16 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.78 LOA 11DC16 FVRS10LAC
POWER FINANCE CORPORATION LTD. 9.64 LOA 15DC16 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-90 A 9.61 LOA 01JU17 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-89 A 9.52 LOA 02MY17 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-84 9.33 LOA 17FB17 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-87 B 9.72 LOA 20MR17 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-87 C 9.59 LOA 20MR17 FVRS10LAC
POWER FINANCE CORPORATION LIMITED9.9 LOA 22MR17 FVRS10LAC
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POWER FINANCE CORPORATION LTD. SR-88 B 9.66 LOA 15AP17 FVRS10LAC
POWER FINANCE CORPORATION LIMITED9.96 LOA 18MY17 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-91 A 9.40 LOA 29JU17 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-115 I 9.11 LOA 07JL17 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-98-I 8.72 LOA 08FB17 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-92 A 9.01 LOA 21AG17 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-92 B 9.27 LOA 21AG17 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-93 B 8.91 LOA 15OT17 FVRS10LAC
POWER FINANCE CORPORATION LIMITED9.28 LOA 28DC17 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-97 8.75 LOA 15JN18 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-99-A 8.77 LOA 20FB18 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-102-A (I) 8.9 LOA 18MR18 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-104-B 8.3 LOA 15MY18 FVRS10LAC
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POWER FINANCE CORPORATION LTD. SR-109 9.81 LOA 07OT18 FVRS10LAC
POWER FINANCE CORPORATION LIMITED10.55 LOA 15JL18 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-98-II 8.72 LOA 08FB18 FVRS10LAC
POWER FINANCE CORPORATION LIMITED10.85 LOA 11AG18 FVRS10LAC
POWER FINANCE CORPORATION LIMITED11 LOA 25AG18 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-101-A 8.95 LOA 11MR18 FVRS10LAC
POWER FINANCE CORPORATION LIMITED11.25 LOA 28NV18 FVRS10LAC
POWER FINANCE CORPORATION LTD. 9.7 LOA 15DC18 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-90 B 9.41 LOA 01JU19 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-112/A 9.7 LOA 31JN19 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-113 9.69 LOA 02MR19 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-115 II 9.15 LOA 07JL19 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-98-III 8.72 LOA 08FB19 FVRS10LAC
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POWER FINANCE CORPORATION LIMITED8.8 LOA 15OT19 FVRS10LAC
POWER FINANCE CORPORATION LIMITEDBR LOA 20NV19 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.5 LOA 15DC19 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.7 LOA 15JN20 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-112/B 9.7 LOA 31JN20 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-99-B 8.82 LOA 20FB20 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.9 LOA 15MR20 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-87 D 9.42 LOA 20MR20 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.95 LOA 30MR20 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-85-C 9.3 LOA 15AP20 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.7 LOA 14MY20 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.65 LOA 15JU20 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.7 LOA 15JL20 FVRS10LAC
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5000 5000
5000 5000
5000.000 5000
5000.000 5000
POWER FINANCE CORPORATION LIMITED9.05 LOA 15DC20 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-112/C 9.7 LOA 31JN21 FVRS10LAC
POWER FINANCE CORPORATION LTD. 9.18 LOA 15AP21 FVRS10LAC
POWER FINANCE CORPORATION LIMITEDSR-28 8.85 LOA 31MY21 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-74 9.7 LOA 09JU21 FVRS10LAC
POWER FINANCE CORPORATION LTD. 9.61 LOA 29JU21 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-115 III 9.2 LOA 07JL21 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR- 76 A 9.36 LOA 01AG21 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-78-B 9.44 LOA 23SP21 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-79A 7.51 LOA 15OT21 FVRS1LAC
POWER FINANCE CORPORATION LTD. SR-II 8.5 LOA 21NV21 FVRS5000
POWER FINANCE CORPORATION LTD. SR-I 8.5 LOA 21NV21 FVRS5000
POWER FINANCE CORPORATION LTD. SR-86A 8.43 LOA 30MR22 FVRS5000
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POWER FINANCE CORPORATION LTD. SR-88 C 9.48 LOA 15AP22 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-91 B 9.39 LOA 29JU22 FVRS10LAC
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POWER FINANCE CORPORATION LTD. SR-102-A (II) 8.9 LOA 18MR23 FVRS10LAC
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POWER FINANCE CORPORATION LTD. 6.88/7.38 LOA 28MR23 FVRS1000
POWER FINANCE CORPORATION LTD. 7.19 BD 04JN23 FVRS1000
POWER FINANCE CORPORATION LTD. SR-85-D 9.26 LOA 15AP23 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-105 8.19 LOA 14JU23 FVRS10LAC
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POWER FINANCE CORPORATION LTD. SR-1A 8.18 LOA 16NV23 FVRS1000
POWER FINANCE CORPORATION LTD. SR-1B 8.43 LOA 16NV23 FVRS1000
POWER FINANCE CORPORATION LTD. SR-111 9.65 LOA 13JN24 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-114 9.7 LOA 21FB24 FVRS10LAC
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5000.000 5000
POWER FINANCE CORPORATION LIMITED8.6 LOA 07AG24 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.5 LOA 15DC24 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.8 LOA 15JN25 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.9 LOA 15MR25 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.95 LOA 30MR25 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.7 LOA 14MY25 FVRS10LAC
POWER FINANCE CORPORATION LIMITED8.75 LOA 15JU25 FVRS10LAC
POWER FINANCE CORPORATION LIMITED9.05 LOA 15DC25 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR- 76 B 9.46 LOA 01AG26 FVRS10LAC
POWER FINANCE CORPORATION LTD. 9.45 LOA 01SP26 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-79B 7.75 LOA 15OT26 FVRS1LAC
POWER FINANCE CORPORATION LTD. SR-III 8.75 LOA 21NV26 FVRS5000
POWER FINANCE CORPORATION LTD. SR-IV 8.75 LOA 21NV26 FVRS5000
POWER FINANCE CORPORATION LTD. SR-86C 8.72 LOA 30MR27 FVRS5000
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1000.000 1000
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POWER FINANCE CORPORATION LTD. SR-86D 8.72 LOA 30MR27 FVRS5000
POWER FINANCE CORPORATION LTD. SR-102-A (III) 8.9 LOA 18MR28 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-103 8.94 LOA 25MR28 FVRS10LAC
POWER FINANCE CORPORATION LTD. 7.04/7.54 LOA 28MR28 FVRS1000
POWER FINANCE CORPORATION LTD. 7.36 BD 04JN28 FVRS1000
POWER FINANCE CORPORATION LTD. SR 107-B 8.46 LOA 30AG28 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-101-B 9 LOA 11MR28 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-2A 8.54 LOA 16NV28 FVRS1000
POWER FINANCE CORPORATION LTD. SR-2B 8.79 LOA 16NV28 FVRS1000
POWER FINANCE CORPORATION LIMITED8.85 LOA 15JU30 FVRS10LAC
POWER FINANCE CORPORATION LIMITED9.05 LOA 15DC30 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-3A 8.67 LOA 16NV33 FVRS1000
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PFC-18 STRPP-G7.87 LOA 13NV14 FV RS 10 LAC
10,00,000 10,00,000
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10,00,000 10,00,000
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10,00,000 10,00,000
1,00,000 1,00,000
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21061 1,00,000
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5000 5000
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PFC-17 STRPP-H8.21 LOA 03OT15 FV RS 10 LAC
PFC-18 STRPP-H7.87 LOA 13NV15 FV RS 10 LAC
PFC-17 STRPP-I8.21 LOA 03OT16 FV RS 10 LAC
PFC-18 STRPP-I7.87 LOA 13NV16 FV RS 10 LAC
PFC-17 STRPP-J8.21 LOA 03OT17 FV RS 10 LAC
PFC TX SR-13 9.6 BD 16MY17 FV RS 1 LAC
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PFC-18 STRPP-J7.87 LOA 13NV17 FV RS 10 LAC
PFC TX SR-19 LOA 30DC22 FV RS 1 LAC
POWER FINANCE CORPORATION LTD. 8.97 LOA 15JN18 FVRS10LAC
POWER FINANCE CORPORATION LTD. 8.99 LOA 15JN21 FVRS10LAC
POWER FINANCE CORPORATION LTD. SR-I 8.3 BD 31MR21 FVRS5000
POWER FINANCE CORPORATION LTD. SR-II 8.3 BD 31MR21 FVRS5000
POWER FINANCE CORPORATION LTD. SR-III 8.5 BD 31MR26 FVRS5000
5000 5000
25,00,000 25,00,000
1,250,000.00 1,250,000.00
1250000 1250000
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1250000 1250000
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1250000 1250000
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POWER FINANCE CORPORATION LTD. SR-IV 8.5 BD 31MR26 FVRS5000
POWERGRID SR11J9.8 BD 07DC14 FV RS 25 LAC
POWERGRID SR14K 6.1 LOA 17JL14 FV RS 1250000
POWER GRID CORPORATION OF INDIA LTD19E 9.25 LOA 24JL14 FVRS12.5LAC
POWERGRID SR13I 8.63 BD 31JL14 FV RS 1250000POWER GRID CORPORATION OF INDIA LTD8.64 LOA 08JL14 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTDSTRPP-E 8.93 LOA 07SP14 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTDSR-17F 7.39 LOA 22SP14 FVRS10LAC
POWER GRID CORPORATION OF INDIA LTD8.8 LOA 29SP14 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTDSTRPP-E 8.73 LOA 11OT14 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTD8.84 LOA 21OT14 FVRS1250000
POWER GRID CORPORATION OF INDIA LTDSTRPP-E 8.68 LOA 07DC14 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTD9.33 LOA 15DC14 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTDSTRPP-E 9.25 LOA 09FB15 FVRS12.5LAC
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12,50,000 12,50,000
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1250000 1250000
1250000 1250000
1250000 1250000
12,00,000 12,00,000
25,00,000 25,00,000
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POWER GRID CORPORATION OF INDIA LTD16/G 7.1 LOA 18FB15 FVRS10LAC
POWER GRID CORPORATION OF INDIA LTD 15/H 6.68 LOA 23FB15 FVRS 12.5LAC
POWER GRID CORPORATION OF INDIA LTD8.9 LOA 25FB15 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTD9.3 LOA 07MR15 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTD9.2 LOA 12MR15 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTD9.95 LOA 26MR15 FVRS12.5LAC
POWERGRID SR12J9.7 BD 28MR15 FV RS 1250000
POWER GRID CORPORATION OF INDIA LTD8.84 LOA 29MR15 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTD9.47 LOA 31MR15 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LIMITED STRPP-A 9.64 LOA 31MY15 FVRS1250000
POWER GRID CORPORATION OF INDIA LTD10.1 LOA 12JU15 FVRS12.5LAC
POWERGRID SR-1010.9 BD 21JU15 FV RS 12 LACPOWERGRID SR11K9.8 BD 07DC15 FV RS 25 LAC
POWERGRID SR14L 6.1 LOA 17JL15 FV RS 1250000
1250000 1250000
12,50,000 12,50,000
1250000 1250000
1250000 1250000
1250000 1250000
1000000 1000000
1250000 1250000
1250000 1250000
1250000 1250000
1250000 1250000
1250000 1250000
1250000 1250000
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POWER GRID CORPORATION OF INDIA LTD19F 9.25 LOA 24JL15 FVRS12.5LAC
POWERGRID SR13J 8.63 BD 31JL15 FV RS 1250000POWER GRID CORPORATION OF INDIA LTD8.64 LOA 08JL15 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTDSR-18F 8.15 LOA 09MR15 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTDSTRPP- F 8.93 LOA 07SP15 FVRS12.5 LAC
POWER GRID CORPORATION OF INDIA LTDSR-17G 7.39 LOA 22SP15 FVRS10LAC
POWER GRID CORPORATION OF INDIA LTD8.8 LOA 29SP15 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LTDSTRPP-F 8.73 LOA 11OT15 FVRS12.5LAC
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POWER GRID CORPORATION OF INDIA LIMITED STRPP-L 9.35 LOA 29AG27 FVRS10LAC
POWER GRID CORPORATION OF INDIA LIMITED SR-XXXVIII 9.25 LOA 09MR27 FVRS10LAC
POWER GRID CORPORATION OF INDIA LIMITED STRPP-L 8.85 LOA 19OT27 FVRS12.5LAC
POWER GRID CORPORATION OF INDIA LIMITED SR-K 9.65 LOA 28FB28 FVRS10LAC
POWER GRID CORPORATION OF INDIA LIMITED STRPP-L 7.93 LOA 20MY28 FVRS10LAC
POWER GRID CORPORATION OF INDIA LIMITED STRPP-C 8.7 LOA 15JL28 FVRS10LAC
POWER GRID CORPORATION OF INDIA LIMITED STRPP-M 9.35 LOA 29AG28 FVRS10LAC
POWER GRID CORPORATION OF INDIA LIMITED SR-L 9.65 LOA 28FB29 FVRS10LAC
POWER GRID CORPORATION OF INDIA LIMITED STRPP-N 9.35 LOA 29AG29 FVRS10LAC
POWER GRID CORPORATION OF INDIA LIMITED STRPP-O 9.35 LOA 29AG30 FVRS10LAC
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PRESTIGE MANGALORE RETAIL VENTURES PVT LTD CCD 09NV15 FVRS10
PRESTIGE MANGALORE RETAIL VENTURES PVT LTD CCD 26JN16 FVRS10
PRESTIGE MANGALORE RETAIL VENTURES PVT LTD CCD 15SP16 FVRS10
PRESTIGE MANGALORE RETAIL VENTURES PVT LTD CCD 13JU17 FVRS10
PRESTIGE MYSORE RETAIL VENTURES PRIVATE LTD CCD 15SP16 FVRS10
PRESTIGE MYSORE RETAIL VENTURES PRIVATE LTD CCD 11JU17 FVRS10
PRIME FOCUS LIMITED SR-A NCD 06NV17 FVRS10LAC
PRIME FOCUS LIMITED SR-B NCD 06NV18 FVRS10LAC
PRIME FOCUS TECHNOLOGIES PRIVATE LIMITED SR-I 14 OCD 14JU16 FVRS1LAC
PRIME FOCUS TECHNOLOGIES PRIVATE LIMITED SR-II 14 OCD 14JU16 FVRS1LAC
PRIME FOCUS TECHNOLOGIES PRIVATE LIMITED SR-III 14 OCD 14JU16 FVRS1LAC
PRIME PUBLISHING PRIVATE LIMITED SR-II RR NCD 31JN16 FVRS1CR
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PRINCE FOUNDATIONS LIMITED SR-A 17.5 LOA 31MR17 FVRS1LAC
PRINCE FOUNDATIONS LIMITED SR-B 17.5 LOA 31MR17 FVRS1LAC
PRINCE FOUNDATIONS LIMITED SR-C 17.5 LOA 31MR17 FVRS1LAC
PRINCE FOUNDATIONS LIMITED SR-D 17.5 LOA 31MR17 FVRS1LAC
PRISM CEMENT LIMITED SR- II 11.6 NCD 15JL14 FVRS10LAC
PRISM CEMENT10 NCD 17SP14 FVRS10LAC
PRISM CEMENT LIMITED SR- III 11.8 NCD 15JL15 FVRS10LAC
PRISM CEMENT9.3 NCD 18AG15 FVRS1CR
PRISM CEMENT10.42 NCD 17SP15 FVRS10LAC
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PROFICIENT BUILDWELL PRIVATE LIMITED SR-NCD II 12 NCD 30AP18 FVRS5CR
PROFICIENT BUILDWELL PRIVATE LIMITED SR-NCD III 12 NCD 30AP18 FVRS5CR
PROFICIENT BUILDWELL PRIVATE LIMITED SR-NCD IV 12 NCD 30AP18 FVRS5CR
PROMONT HILLSIDE PRIVATE LIMITED NCD 28DC15 FVRS10LAC
PTC INDIA FINANCIAL SERVICES LTD10.6 NCD 30SP14 FVRS10LAC
PTC INDIA FINANCIAL SERVICES LIMITED SR 1 OPT-IV 8.3 BD 31MR21 FVRS5000
PTC INDIA FINANCIAL SERVICES LIMITED SR-1 OPT-II 8.25 BD 31MR21 FVRS5000
PTC INDIA FINANCIAL SERVICES LIMITED SR-1 OPT-III 8.3 BD 31MR21 FVRS5000
PTC INDIA FINANCIAL SERVICES LIMITED SR-1 OPT I 8.25 BD 31MR21 FVRS5000
PTC INDIA FINANCIAL SERVICES LIMITED SR-2 OP-II 8.93 BD 30MR22 FVRS5000
PTC INDIA FINANCIAL SERVICES LIMITED SR-2 OP-I 8.93 BD 30MR22 FVRS5000
PTC INDIA FINANCIAL SERVICES LIMITED 10.5 NCD 26JN23 FVRS10LAC
PTC INDIA FINANCIAL SERVICES LIMITED SR-2 OP-III 9.15 BD 30MR27 FVRS5000
PTC INDIA FINANCIAL SERVICES LIMITED SR-2 OP IV 9.15 BD 30MR27 FVRS5000
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PUDHUAARU FINANCIAL SERVICES PRIVATE LIMITED 15.5 NCD 27FB15 FVRS50000
PUDHUAARU FINANCIAL SERVICES PRIVATE LIMITED 14.58 NCD 05MY18 FVRS10000
PUNE INFOPORT PRIVATE LIMITED LOA 06NV15 FVRS10LAC
PUNE-DYNASTY PROJECTS PRIVATE LIMITED 18 NCD 10AP17 FVRS10LAC
PUNE-DYNASTY PROJECTS PRIVATE LIMITED SR-A 18 NCD 23AP33 FVRS1CR
PUNE-DYNASTY PROJECTS PRIVATE LIMITED SR-B 18 NCD 23AP33 FVRS1CR
PUNJ LLOYD LIMITED10 LOA 10SP14 FVRS1LAC
PUNJ LLOYD LIMITED10.5 LOA 15OT15 FVRS10LAC
PUNJ LLOYD LIMITED12 LOA 02JN19 FVRS10LAC
PUNJAB AND SIND BANKSR8 9.25 LOA 30AP16 FVRS10LAC
PUNJAB AND SIND BANK9.1 LOA 15MY18 FVRS10LAC
PUNJAB AND SIND BANK11.05 LOA 22AP19 FVRS10LAC
PUNJAB & SIND BANK8.7 LOA 26AP19 FVRS10LAC
PUNJAB & SIND BANK8.7 LOA 11AP20 FVRS10LAC
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PUNJAB & SIND BANKRR PERPETUAL BD FVRS10LAC
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PUNJAB FINANCIAL CORPORATION8.5 LOA 30SP16 FVRS1LAC
PUNJAB FINANCIAL CORPORATION9.32 LOA 01DC16 FVRS1LAC
PUNJAB FINANCIAL CORPORATION9.05 LOA 01SP19 FVRS100000
PUNJAB FINANCIAL CORPORATION SR-V 9.23 LOA 01AG21 FVRS1LAC
PUNJAB FINANCIAL CORPORATION SR- VI 9.95 LOA 01SP21 FVRS1LAC
PUNJAB FINANCIAL CORPORATION SR-VII 9.8 LOA 16AG22 FVRS1LAC
PUNJAB FINANCIAL CORPORATION SR-VIII 9.8 LOA 16NV22 FVRS1LAC
PUNJAB FINANCIAL CORPORATION SR-IX 9.7 LOA 01MY23 FVRS1LAC
PUNJAB INFR DEV10.07 LOA 06AG17 FVRS10LAC
PUNJAB INFR DEVLOA 27DC18 FVRS10LAC
PUNJAB INFR DEVLOA 27DC19 FVRS10LAC
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PUNJAB INFR DEVLOA 27DC21 FVRS10LAC
PUNJAB INFR DEVLOA 27DC22 FVRS10LAC
PUNJAB INFR DEVLOA 27DC23 FVRS10LAC
PUNJAB INFR DEV11.45 LOA 31DC23 FVRS10LAC
PUNJAB INFR DEV11.45 LOA 19JN24 FVRS10LAC
PUNJAB INFR DEV11.45 LOA 16FB24 FVRS10LAC
PUNJAB INFR DEV0.4 LOA 15OT24 FVRS10LAC
PUNJAB INFR DEVLOA 27DC24 FVRS10LAC
PUNJAB INFR DEV0.4 LOA 15OT25 FVRS10LAC
PUNJAB INFR DEVLOA 27DC25 FVRS10LAC
PUNJAB INFR DEV0.4 LOA 15OT26 FVRS10LAC
PUNJAB INFR DEVLOA 27DC26 FVRS10LAC
PUNJAB INFR DEV0.4 LOA 15OT27 FVRS10LAC
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PUNJAB INFR DEVLOA 27DC27 FVRS10LAC
PUNJAB INFR DEV0.4 LOA 15OT28 FVRS10LAC
PUNJAB INFR DEV0.4 LOA 15OT29 FVRS10LAC
PUNJAB INFR DEV0.4 LOA 15OT30 FVRS10LAC
PUNJAB INFR DEV0.4 LOA 15OT31 FVRS10LAC
PUNJAB INFR DEV0.4 LOA 15OT32 FVRS10LAC
PUNJAB INFR DEV0.4 LOA 15OT33 FVRS10LAC
PUNJAB NAT BANKSR-13 8.95 LOA 08AP16 FVRS10LAC
PUNJAB NAT BANKSR-11 8.45 LOA 16AP16 FVRS10LAC
PUNJAB NAT BANK9.15 LOA 16AP16 FVRS 1000000
PUNJAB NAT BANK8.8 LOA 08DC21 FVRS10LAC
PUNJAB NAT BANK9.35 LOA 12DC22 FVRS10LAC
PUNJAB NAT BANK9.35 LOA 05MR23 FVRS10LAC
PUNJAB NAT BANK9.45 LOA 27MR23 FVRS10LAC
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PUNJAB NAT BANK10.85 LOA 29SP23 FVRS10LAC
PUNJAB NAT BANK8.95 LOA 22DC23 FVRS10LAC
PUNJAB NAT BANKRR LOA 18FB24 FVRS10LAC
PUNJAB NATIONAL BANK SR-XIV 9.65 LOA 24FB24 FVRS10LAC
PUNJAB NATIONAL BANK SR-XVI 9.68 LOA 03AP24 FVRS10LAC
PUNJAB NATIONAL BANK SR-XV 9.68 LOA 28MR24 FVRS10LAC
PUNJAB NAT BANKRR LOA 21AP24 FVRS10LAC
PUNJAB NAT BANKRR LOA 04JU24 FVRS10LAC
PUNJAB NAT BANK8.6 LOA 09SP24 FVRS10LAC
PUNJAB NAT BANKRR LOA 27NV24 FVRS10LAC
PUNJAB NAT BANKRR LOA 24MY25 FVRS10LAC
PUNJAB NAT BANK9.45 LOA PERPETUAL FVRS10LAC
PUNJAB NAT BANK9.75 LOA PERPETUAL FVRS10LAC
PUNJAB NAT BANK8.9 LOA PERPETUAL FVRS10LAC
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PUNJAB NAT BANK10.4 LOA PERPETUAL FVRS10LAC
PUNJAB NAT BANKRR LOA PERPETUAL FVRS10LAC
PUNJAB NAT BANKRR LOA PERPETUAL FVRS10LAC
PUNJAB STATE ELECTRICITY BOARD9.4 BD 08JL18 FVRS10LAC
PUNJAB STATE ELECTRICITY BOARD10.15 BD 29JN19 FVRS10LAC
PUNJAB STATE ELECTRICITY BOARD2009-10 SR-1 9.01% BD 17SP19 FVRS10LAC
PUNJAB STATE INDS DEVPT CORPSR-I 7.8 LOA 26JN16 FVRS1LAC
PUNJAB STATE INDS DEVPT CORP9.32 LOA 29NV16 FVRS1LAC
PUNJAB STATE INDS DEVPT CORP9.32 LOA 07FB17 FVRS1LAC
PUNJAB STATE INDS DEVPT CORP9.32 LOA 23AP19 FVRS1LAC
PUNJAB STATE INDS DEVPT CORP9.43 LOA 09JL19 FVRS1LAC
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP.LTD 9.7 LOA 26AG22 FVRS1LAC
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP.LTD 9.9 LOA 21FB23 FVRS1LAC
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP.LTD 9.9 LOA 27MR23 FVRS1LAC
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100.000 100
1.000 1
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP.LTD 8.7 LOA 09DC20 FVRS1LAC
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP.LTD 9.05 LOA 16FB21 FVRS1LAC
PURANIK BUILDERS PRIVATE LIMITED SR-A 17 LOA 26AG16 FVRS1LAC
PURANIK BUILDERS PRIVATE LIMITED SR-B 17 LOA 26SP16 FVRS1LAC
PURANIK BUILDERS PRIVATE LIMITED SR-C 17 LOA 26SP16 FVRS1LAC
PURANIK BUILDERS PRIVATE LIMITED SR-D 17 LOA 26SP16 FVRS1LAC
PVR LIMITED11.4 LOA 01JN17 FVRS1LAC
PVR LIMITED11.4 LOA 01JN18 FVRS1LAC
PVR LIMITED11.4 LOA 01JN19 FVRS1LAC
PVR LIMITED RR NCD 25FB19 FVRS10LAC
PVR LIMITED RR NCD 10JU19 FVRS10LAC
PVR LIMITED11.4 LOA 01JN20 FVRS1LAC
QUADRANT TELEVENTURES LIMITED RR NCD 31MR23 FVRS100
RACE AHEAD REAL ESTATES PRIVATE LIMITED 7 OCD 12NV22 FVRe1
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162585 500000
146812 500000
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RADHESH REALTORS PRIVATE LIMITED 17 NCD 15MR15 FVRS10000
RAHEJA DEVELOPERS LIMITED SR-C 18.75 NCD 01AG17 FVRS10LAC
RAJASTHAN FINANCIAL CORPORATION SR-II 9.45 BD 04DC22 FVRS10LAC
RAJASTHAN FINANCIAL CORPORATION SR-III 9.24 BD 22JN23 FVRS10LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- A LOA 31JN21 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- B LOA 31JN22 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP-C LOA 31JN23 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- D LOA 31JN24 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. 9.74 BD 28JU24 FVRS50LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. 9.51 BD 26SP24 FVRS50LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP-E LOA 31JN25 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. 9.3 BD 15FB25 FVRS10LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. 9.4 BD 22MR25 FVRS10LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. 9.07 BD 06SP25 FVRS10LAC
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108063 500000
97579 500000
88088 500000
79542 500000
214350.000 500000.000
214350 500000
195059.000 500000.000
195059 500000
177549.000 500000.000
177549 500000
161611.000 500000.000
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. 10.25 BD 17JN26 FVRS10LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRRP- F LOA 31JN26 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. 10.15 BD 28MR26 FVRS10LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP-G LOA 31JN27 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP H LOA 31JN28 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- I LOA 31JN29 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPPJ LOA 31JN30 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP-A LOA 31DC19 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP-A LOA 14JN20 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- B LOA 31DC20 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP-B LOA 14JN21 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- C LOA 31DC21 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- C LOA 14JN22 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- D LOA 31DC22 FVRS5LAC
161611 500000
147104.000 500000.000
147104 500000
133865.000 500000.000
133865 500000
121848.000 500000.000
121848 500000
110910.000 500000.000
110910 500000
100955.000 500000.000
100955 500000
91869.000 500000.000
91869 500000
1000000.000 1000000
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- D LOA 14JN23 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- E LOA 31DC23 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- E LOA 14JN24 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- F LOA 31DC24 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- F LOA 14JN25 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- G LOA 31DC25 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- G LOA 14JN26 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- H LOA 31DC26 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- H LOA 14JN27 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- I LOA 31DC27 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- I LOA 14JN28 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- J LOA 31DC28 FVRS5LAC
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LTD. STRPP- J LOA 14JN29 FVRS5LAC
RAJASTHAN STATE ROAD TRANSPORT CORPORATION 9.7 BD 01NV22 FVRS10LAC
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10 10
10 10
10 10
10 10
10 10
10 10
10 10
500000 500000
1000000.000 1000000
RAJASTHAN STATE ROAD TRANSPORT CORPORATION 9.7 LOA 17JL22 FVRS10LAC
RAJASTHAN STATE ROAD TRANSPORT CORPORATION SR-I 10.25 LOA 20FB24 FVRS10LAC
RAJESH ESTATES AND NIRMAN PRIVATE LIMITED SR-ONE 12 LOA 30AP18 FVRS50LAC
RAJESH REAL ESTATE DEVELOPERS PVT LTD 17.5 NCD 03JL17 FVRS1CR
RAMPRASTHA SARE REALTY PRIVATE LIMITED 13.5 LOA 31MR22 FVRS10
RAMPRASTHA SARE REALTY PRIVATE LIMITED 13.5 LOA 31MR22 FVRS10
RAMPRASTHA SARE REALTY PRIVATE LIMITED 13.5 LOA 31MR22 FVRS10
RAMPRASTHA SARE REALTY PRIVATE LIMITED 13.5 LOA 31MR22 FVRS10
RAMPRASTHA SARE REALTY PRIVATE LIMITED 13.5 LOA 31MR22 FVRS10
RAMPRASTHA SARE REALTY PRIVATE LIMITED 13.5 LOA 31MR22 FVRS10
RAMPRASTHA SARE REALTY PRIVATE LIMITED 13.5 LOA 31MR22 FVRS10
RAMPRASTHA SARE REALTY PRIVATE LIMITED 13.5 LOA 31MR22 FVRS10
RATIONAL BUILDCON PRIVATE LIMITED 19 NCD 31JN16 FVRS5LAC
RAYMOND LIMITED 10.5 NCD 24DC14 FVRS10LAC
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100 100
100 100
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
1000000 1000000
RAYMOND LIMITED SR-D 11.25 NCD 27NV15 FVRS10LAC
RAYMOND LIMITED 10.6 NCD 12OT15 FVRS10LAC
RAYMOND LIMITED 10.55 NCD 28JU16 FVRS10LAC
RAYMOND LIMITED SR-E NCD 14NV16 FVRS10LAC
RAYMOND LIMITED SR-F NCD 24AP17 FVRS10LAC
RB MEDIA HOLDINGS PRIVATE LIMITED OCD 29OT22 FVRS100
RB MEDIASOFT PVT. LTD. OCD 29OT22 FVRS100
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD BR LOA 17JL14 FVRS1LAC
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD SR- H -01 BR LOA 18JL14 FVRS1LAC
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD SR-G-27 BR LOA 25JL14 FVRS1LAC
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD SR-G-28 BR LOA 30JL14 FVRS1LAC
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD SR-H -02 BR LOA 19AG14 FVRS1LAC
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD SR-H-04 BR LOA 26SP14 FVRS1LAC
REDDY HOUSING PRIVATE LIMITED 16 NCD 10MR18 FVRS10LAC
100 100
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100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
1000000.000 1000000
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100000 100000
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1000000.000 1000000
100000 100000
REDDY STRUCTURES PRIVATE LIMITED 19 OCD 15FB16 FVRS100
REDKITE CAPITAL PRIVATE LIMITED SR- I 10 NCD 20FB17 FVRS10LAC
REGEN POWERTECH PRIVATE LIMITED 16.65 CCD 29SP15 FVRS1LAC
REI AGRO11.75 LOA 07JU14 FVRS1LAC
REI AGRO11.75 LOA 07DC14 FVRS1LAC
REI AGRO11.75 LOA 20DC14 FVRS1LAC
REI AGRO LIMITED 12 LOA 15MR15 FVRS1LAC
REI AGRO LIMITED SR-I 12 LOA 15MR15 FVRS10LAC
REI AGRO LIMITED 13 LOA 29MR15 FVRS1LAC
REI AGRO11.75 LOA 07JU15 FVRS1LAC
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RURAL ELECTRIFICATION CORPORATION LIMITED SR-117 9.38 BD 06NV18 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-118 9.61 BD 03JN19 FVRS10LAC
RURAL ELECTRIFICATION CORP8.65 LOA 15JN19 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-119 9.63 BD 05FB19 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-122 9.02 BD 18JU19 FVRS10LAC
RURAL ELECTRIFICATION CORP8.7 BD 12JL19 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-108 OPT-II 9.39 BD 20JL19 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
13578 30000
12967 30000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
RURAL ELECTRIFICATION CORP8.8 LOA 03AG19 FVRS10LAC
RURAL ELECTRIFICATION CORP8.72 LOA 04SP19 FVRS10LAC
RURAL ELECTRIFICATION CORP8.8 LOA 06OT19 FVRS10LAC
RURAL ELECTRIFICATION CORP8.8 LOA 17NV19 FVRS10LAC
RURAL ELECTRIFICATION CORP8.65 LOA 22JN20 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-113 8.87 BD 08MR20 FVRS10LAC
RURAL ELECTRIFICATION CORP8.8 BD 25OT20 FVRS10LAC
RURAL ELECTRIFICATION CORP8.8 BD 29NV20 FVRS10LAC
RURAL ELECTRIFICATION CORPNCD 15DC20 FVRS30000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-II BD 03FB21 FVRS30000
RURAL ELECTRIFICATION CORPORATION LIMITED 9.18 BD 15MR21 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-100 9.63 BD 15JL21 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-101 OP-III 9.48 BD 10AG21 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-105 9.75 BD 11NV21 FVRS10LAC
5000 5000
5000 5000
5000 5000
5000 5000
1000 1000
1000.000 1000
1000.000 1000
1000000 1000000
1000000 1000000
1000000 1000000
1000 1000
1000 1000
1000000 1000000
1000 1000
RURAL ELECTRIFICATION CORPORATION LIMITED OP-II 8.95 BD 15FB22 FVRS5000
RURAL ELECTRIFICATION CORPORATION LIMITED OP-V 8.95 BD 15FB22 FVRS5000
RURAL ELECTRIFICATION CORPORATION LIMITED OP-VI 8.95 BD 15FB22 FVRS5000
RURAL ELECTRIFICATION CORPORATION LIMITED 8.95 BD 15FB22 FVRS5000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-I 7.93/8.13 BD 27MR22 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED 7.22 BD 19DC22 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-1 6.88/7.38 BD 25MR23 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-114 8.82 BD 12AP23 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-115 8.06 BD 31MY23 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-3A 8.01 BD 29AG23 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-1A 8.01 BD 24SP23 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-1B 8.26 BD 24SP23 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-4A 8.18 BD 11OT23 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED TR 2 SR 1B 8.44 BD 24MR24 FVRS1000
1000 1000
1000000 1000000
1000000 1000000
5000 5000
5000 5000
5000 5000
5000 5000
1000 1000
1000.000 1000
1000.000 1000
1000000 1000000
1000 1000
1000 1000
1000000 1000000
RURAL ELECTRIFICATION CORPORATION LIMITED TR 2 SR 1A 8.19 BD 24MR24 FVRS1000
RURAL ELECTRIFICATION CORP8.75 BD 12JL25 FVRS10LAC
RURAL ELECTRIFICATION CORP8.75 BD 08JU25 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED OP-III 9.15 BD 15FB27 FVRS5000
RURAL ELECTRIFICATION CORPORATION LIMITED OP-IV 9.15 BD 15FB27 FVRS5000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-VII 9.15 BD 15FB27 FVRS5000
RURAL ELECTRIFICATION CORPORATION LIMITED OP-VIII 9.15 BD 15FB27 FVRS5000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-2 8.12/8.32 BD 27MR27 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED 7.38 BD 19DC27 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-2 7.04/7.54 BD 25MR28 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-3B 8.46 BD 29AG28 FVRS10LAC
RURAL ELECTRIFICATION CORPORATION LIMITED SR-2B 8.71 BD 24SP28 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-2A 8.46 BD 24SP28 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-4B 8.54 BD 11OT28 FVRS10LAC
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
100000000 100000000
100000000 100000000
RURAL ELECTRIFICATION CORPORATION LIMITED TR 2 SR 2B 8.88 BD 24MR29 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED TR 2 SR 2A 8.63 BD 24MR29 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-3B 8.62 BD 24SP33 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED SR-3A 8.37 BD 24SP33 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED TR 2 SR 3A 8.61 BD 24MR34 FVRS1000
RURAL ELECTRIFICATION CORPORATION LIMITED TR 2 SR 3B 8.86 BD 24MR34 FVRS1000
RUSTOMJEE CONSTRUCTIONS PRIVATE LIMITED SR- A 16 NCD 07AP16 FVRS10CR
RUSTOMJEE CONSTRUCTIONS PRIVATE LIMITED SR-B 16 NCD 25AP16 FVRS10CR
Issue Date/Date of Allotment Redemption Coupon Rate
6/12/2013 6/12/2018 10%
10/30/2013 10/30/2018 10%
5/31/2013 8/28/2014 8.5892%
2/6/2011 9/29/2014 NIFTY INDEX LINKED
11/7/2011 10/3/2014 NIFTY INDEX LINKED
6/13/2011 10/7/2014 NIFTY INDEX LINKED
8/14/2013 10/8/2014 CNX NIFTY INDEX LINKED
10/19/2011 10/13/2014 NIFTY INDEX LINKED
10/24/2011 10/17/2014 NIFTY LINKED
7/25/2012 10/20/2014 NIFTY LINKED
1/8/2011 11/26/2014 S&P CNX NIFTY INDEX LINKED
4/16/2013 1/12/2015 CNX NIFTY LINKED
7/3/2012 2/7/2015 S&P CNX NIFTY INDEX LINKED
9/3/2012 2/7/2015 S&P CNX NIFTY INDEX LINKED
5/13/13 3/9/2015 CNX NIFTY INDEX LINKED
7/25/2013 3/23/2015 EQUITY LINKED
6/12/2013 4/22/2015 CNX NIFTY INDEX LINKED
1/30/2012 5/22/2015 S&P CNX NIFTY INDEX LINKED
7/22/2013 6/1/2015 CNX NIFTY INDEX LINKED
11/7/2012 6/11/2015 NIFTY LINKED
8/13/2013 6/22/2015 CNX NIFTY INDEX LINKED
7/2/2014 7/3/2015 9.2%
5/27/2013 8/4/2015 CNX NIFTY INDEX LINKED
4/18/2012 8/13/2015 S&P CNX NIFTY INDEX LINKED
4/23/2012 8/17/2015 S&P CNX NIFTY LINKED
5/30/2012 9/23/2015 S&P CNX NIFTY LINKED
6/27/2012 10/23/2015 NIFTY LINKED
7/24/2012 11/19/2015 NIFTY LINKED
7/27/2012 11/24/2015 NIFTY LINKED
7/31/2012 11/26/2015 NIFTY LINKED
7/17/2012 12/11/2015 NIFTY LINKED
3/28/2014 12/28/2015 CNX NIFTY INDEX LINKED
6/11/2012 2/2/2016 EQUITY LINKED
12/31/2012 3/31/2016 EQUITY LINKED
2/18/2013 5/13/2016 CNX BANK INDEX LINKED
2/25/2013 5/20/2016 EQUITY LINKED
4/3/2013 5/27/2016 CNX NIFTY LINKED
9/4/2013 6/27/2016 CNX NIFTY INDEX LINKED
5/30/2013 8/29/2016 EQUITY LINKED
4/10/2013 10/5/2016 CNX NIFTY LINKED
4/15/2013 10/10/2016 CNX NIFTY INDEX LINKED
4/23/2013 10/17/2016 CNX NIFTY INDEX
7/25/2013 10/24/2016 EQUITY LINKED
7/29/2013 10/24/2016 EQUITY LINKED
5/24/2013 11/21/2016 CNX NIFTY INDEX LINKED
10/17/2012 12/2/2016 NIFTY LINKED
10/17/2012 12/2/2016 NIFTY LINKED
6/11/2013 12/6/2016 CNX NIFTY LINKED
9/16/2013 12/12/2016 EQUITY LINKED
9/24/2013 12/19/2016 EQUITY LINKED
3/28/2014 7/25/2017 CNX NIFTY INDEX LINKED
8/28/2013 1/8/2018 12%
6/30/2010 6/30/2020 9.15%
5/3/2012 1/3/2021 10.20%
1/6/2011 6/1/2021 8.89%
3/14/13 3/14/2023 ZERO COUPON
7/1/2011 PERPETUAL Resat Rate( Refer Remark)
10/22/2013 10/21/2016 10.7%
3/28/2014 4/7/2015 10.0066%
3/24/2014 4/9/2015
6/23/2014 3/6/2016 10.2508%
3/28/2014 4/26/2016 10.4946%
6/23/2014 6/17/2016 10.2605%
6/23/2014 6/23/2016 10.25%
6/23/2014 6/23/2017 10.25%
6/23/2014 8/11/2017 10.2221%
3/28/2014 4/28/2021 11%
9/26/2013 9/26/2023
9/26/2013 RESET RATE (REFER REMARKS)
10.4073% (COMPOUNDED ANNUALLY)
10.9% p.a. PAYABLE ANNUALLY & ON MATURITY
4/5/2013 9/14/2014 10.10%
10/17/2012 10/17/2014 10.4%
6/18/2012 12/16/2014 11%
6/18/2012 6/16/2015 11%
4/5/2013 8/6/2015 10.20%
10/17/2012 10/16/2015 10.6%
12/12/2012 11/12/2015 10.4%
4/5/2013 4/5/2016 RESET RATE (REFER REMARKS)
3/26/2011 6/26/2016 11.50%
1/2/2012 1/2/2017 11.50%
6/9/2012 6/6/2018 11.5%
1/17/2013 1/17/2020 11%
3/19/2013 3/19/2020 11%
11/3/2013 11/3/2020 11%
6/9/2012 6/9/2022 11.5%
1/17/2013 1/17/2023 11%
7/8/2012 7/8/2014 10.75%
7/9/2011 9/7/2014 10.45%
10/17/2011 10/17/2014 10.60%
11/16/2011 11/14/2014 11.25%
11/25/2011 11/25/2014 11%
6/7/2013 12/5/2014 9.34%
2/17/2012 2/4/2015 11.20%
3/2/2010 6/2/2015 11.50%
3/22/2010 6/22/2015 11.50%
3/29/2010 6/29/2015 11.50%
3/31/2010 6/30/2015 11.50%
7/8/2012 7/8/2015 11%
5/7/2010 8/7/2015 11.50%
9/30/2010 12/30/2015 11.50%
10/19/2010 1/19/2016 11.50%
5/20/2013 5/20/2016 9.5%
12/12/2013 12/4/2016 10.2537%
12/14/2011 12/14/2016 11.50%
5/12/2011 5/6/2017 11.75%
12/14/2011 6/14/2017 11.75%
6/28/2012 6/27/2017 10.8%
12/28/2011 6/28/2017 11.75%
7/3/2012 7/9/2017 11.75%
3/27/2012 9/27/2017 12%
9/12/2011 9/12/2018 11.20%
3/30/2012 3/30/2019 11.75%
6/30/2014 6/30/2021 11.45%
4/23/2013 4/21/2023 10.7%
3/24/2010 12/31/2099 Reset Rate (Refer remark)
3/29/2010 12/31/2099 Reset Rate (Refer remark)
9/12/2010 12/31/2099 Reset Rate (Refer remark)
5/20/2013 PERPETUAL RESET RATE (REFER REMARKS)
3/28/2013 3/28/2023 8.57%
6/4/2010 6/4/2022 3.00% (YTM:10.50%)
7/20/2004 7/20/2016 9.50%
4/20/2005 4/20/2017 8.00%
2/27/2003 3/5/2015 11.50%
10/19/2003 10/19/2015 11.50%
12/15/2003 12/15/2015 11.50%
4/16/2004 4/16/2016 9.50%
4/28/2005 4/28/2020 8.00%
4/28/2005 4/28/2022 8.25%
11/18/2002 11/18/2014 11.50%
1/7/2000 1/7/2015 13.50%
2/5/2000 2/5/2015 13.50%
3/5/2000 3/5/2015 13.50%
9/22/2000 9/22/2015 13.50%
10/24/2000 10/24/2015 13.50%
7/24/2001 7/24/2016 13.50%
7/27/2001 7/27/2016 13.50%
8/14/2001 8/14/2016 13.50%
8/31/2001 8/31/2016 13.50%
10/9/2001 10/9/2016 13.50%
10/19/2001 10/19/2016 13.50%
10/23/2001 10/23/2016 13.50%
2/13/2002 2/13/2017 13.00%
3/20/2002 3/20/2017 13.00%
8/31/2002 8/31/2017 11.72%
11/18/2002 11/18/2017 11.72%
7/1/2003 7/1/2018 11.72%
12/31/2003 12/31/2018 Zero Coupon
1/15/2004 1/15/2019 10.00%
12/1/2004 12/1/2019 10.00%
3/3/2010 3/3/2020 YTM 10.25% (Refer Remark)
4/4/2005 4/4/2020 8.75 % (YTM)
4/6/2005 4/6/2020 8.75% pa (YTM)
7/4/2005 7/4/2020 8.75% (YTM)
3/26/2004 3/26/2019 Zero Coupon
2/14/2003 7/15/2015 11.5%
9/3/2013 2/15/2016 15%
12/12/2008 12/12/2015 11.95%
7/4/2013 7/4/2063 9.55%
7/18/2011 7/8/2014 10.20%
7/25/2011 7/25/2014 9.90%
5/2/13 8/4/2014 9.04%
9/8/2012 8/8/2014 9.9%
8/17/2012 8/14/2014 9.8980465%
9/9/2011 8/22/2014 10.10%
9/9/2011 9/9/2014 10.10%
9/9/2011 9/11/2014 10.10%
9/9/2011 9/19/2014 10.10%
12/10/2012 10/13/2014 9.55%
10/16/2012 10/16/2014 9.55%
10/16/2012 10/16/2014 9.6%
3/11/2011 10/23/2014 10.20%
10/23/2012 10/23/2014 9.48%
10/27/2008 10/27/2014 13.00%
11/25/2011 11/14/2014 ZERO COUPON
11/25/2011 11/25/2014 ZERO COUPON
5/12/2011 11/25/2014 ZERO COUPON
9/12/2011 12/15/2014 10.20%
3/9/2012 3/3/2015 9.85%
3/7/2012 3/7/2015 9.95%
4/2/2013 4/2/2015 9.25%
4/30/2012 4/5/2015 ZERO COUPON
6/9/2012 4/9/2015 9.85%
4/20/2012 4/16/2015 ZERO COUPON
4/22/2013 4/22/2015 9.2%
4/25/2013 4/24/2015 9.20%
4/25/2013 4/24/2015 ZERO COUPON
1/21/2014 4/29/2015 9.7455%
6/3/2012 6/3/2015 9.75%
10/8/2012 7/1/2015 ZERO COUPON
4/25/2013 7/5/2015 ZERO COUPON
8/17/2012 8/17/2015 9.9%
10/17/2012 10/19/2015 9.5%
12/10/2012 12/10/2015 9.5%
12/28/2012 12/28/2015 9.50 %
1/15/2013 1/15/2016 9.35%
1/31/2014 1/29/2016 9.7%
4/10/2013 4/10/2016 10.2%
6/26/2013 6/27/2016
8/3/2013 10/5/2016 ZERO COUPON
10/18/2013 10/18/2016 9.7%
1/21/2014 1/20/2017 9.9%
1/24/2014 1/24/2017 9.8%
2/3/2012 2/3/2017 9.95%
4/17/2007 4/17/2017 12.00%
11/5/2007 5/11/2017 12.00%
6/13/2007 6/13/2017 11.00%
7/26/2007 7/26/2017 10.50% Yield
3/1/2013 12/20/2017 9.45%
1/15/2013 1/15/2018 9.4%
2/27/2013 2/27/2018 9.4%
KOTAK MAHINDRA BANK BASE RATE + SPREAD
4/22/2013 4/20/2018 9.25%
4/25/2013 4/25/2018 9.25%
7/2/2013 7/2/2018 9.25%
8/10/2013 8/10/2018 10.25%
11/1/2013 10/4/2018 9.3395489%
10/17/2008 10/17/2018 11.75%
1/15/2014 1/15/2019 9.95%
1/16/2014 1/16/2019 9.95%
1/17/2014 1/17/2019 9.90%
10/19/2012 10/21/2019 10.02%
11/10/2009 11/11/2019 9.85%
11/20/2009 11/20/2019 9.85%
4/23/2013 4/23/2020 9.7%
5/24/2013 5/25/2020 9.5%
11/26/2010 1/25/2021 9.80%
7/12/2011 7/12/2021 10.05%
12/12/2011 12/13/2021 10.50%
6/19/2012 6/20/2022 10.15%
6/26/2012 6/27/2022 10.15%
10/19/2012 10/19/2022 10.02%
1/17/2013 1/17/2023 9.8%
4/23/2013 4/24/2023 9.7%
5/24/2013 5/24/2023 9.5%
11/3/2013 11/6/2014 11.6%
11/3/2013 11/9/2014 11.6%
11/3/2013 11/3/2015 11.6%
4/4/2013 4/4/2016 ZERO COUPON (REFER REMARKS)
4/4/2013 4/4/2017 8% (REFER REMARKS)
4/4/2013 4/4/2018 8% (REFER REMARKS)
3/14/2012 3/14/2015
3/14/2012 3/14/2016
3/14/2012 3/14/2017
7/13/2012 7/13/2015 10%
7/13/2012 7/13/2016 10%
7/13/2012 7/13/2017 10%
1/28/2014 3/4/2015 NA
18-Feb-14 5/4/2015 ZERO COUPON
4/5/2014 5/10/2015 NA
1/28/2014 1/28/2016 11.5%
1/28/2014 1/28/2016 12%
1/28/2014 1/28/2016 NA
4/5/2014 4/5/2016 NA
8% + (redemption on premium of 2.20%)
8% + (redemption on premium of 2.20%)
8% + (redemption on premium of 2.20%)
4/5/2014 4/5/2016 11.5%
4/5/2014 4/5/2016 12%
1/28/2014 1/28/2017 12.25%
1/28/2014 1/28/2017 12.5%
1/28/2014 1/28/2017 NA
4/5/2014 4/5/2017 NA
4/5/2014 4/5/2017 12.25%
4/5/2014 4/5/2017 12.5%
12/31/2012 12/31/2017 12.55%
1/2/2013 1/2/2018 12.55%
1/28/2014 1/28/2019 11.5%
1/28/2014 1/28/2019 12%
1/28/2014 1/28/2019 NA
4/5/2014 4/5/2019 NA
4/5/2014 4/5/2019 11.5%
4/5/2014 4/5/2019 12%
1/28/2014 11/28/2019 NA
4/5/2014 2/5/2020 NA
5/27/2011 5/27/2015 12.25%
5/27/2011 5/27/2015 12.50%
6/17/2011 6/17/2015 12.50%
5/27/2011 5/27/2016 12.25%
5/27/2011 5/27/2016 12.50%
6/17/2011 6/17/2016 12.50%
3/28/2011 3/28/2015 12.25%
3/31/2011 3/31/2015 12.25%
3/28/2011 3/28/2016 12.25%
3/31/2011 3/31/2016 12..25%
11/24/2010 11/24/2014 5.64%
1/21/2013 1/21/2015 10.6%
3/26/2013 3/26/2015 10.60%
3/31/2014 2/28/2019 12%
3/10/2013 3/10/2018 12.75%
3/15/2013 3/15/2018 12.75%
3/28/2013 3/28/2018 12.75%
3/28/2013 3/28/2018 12.25%
11/16/2013 11/15/2033 18%
7/29/2013 1/29/2015 18%
7/17/2010 7/17/2014 8.80%
7/17/2010 1/17/2015 8.80%
7/17/2010 7/17/2015 8.80%
11/21/2012 5/20/2015 17.5%
3/26/2013 9/25/2015 17.75%
2/22/2013 2/22/2016 ZERO COUPON
4/19/2013 4/18/2028 2%
4/4/2013 4/4/2017 24%
12/14/2012 12/14/2015 18 %
4/4/2013 4/4/2017 24%
5/16/2013 4/4/2017 24%
7/30/2012 7/27/2031 RESET RATE (REFER REMARKS)
6/21/2013 6/20/2016 ZERO COUPON (YIELD OF 14%)
11/10/2013 8/14/2015 NA
30-Jul-14 7/30/2019
12/16/2013 12/15/2023 ZERO COUPON
10/17/2007 10/17/2017 9.90%
10/17/2007 10/17/2017 9.95%
0.01% (INCLUSIVE OF 24% INTEREST)
11/18/2008 11/18/2018 11.40%
10/12/2010 10/12/2014 10.40%
10/12/2010 10/12/2015 10.40%
9/28/2013 9/28/2015 12%
9/30/2013 9/30/2015 11%
10/9/2009 10/9/2014 9.50%
10/22/2009 10/9/2014 9.50%
11/17/2009 11/17/2014 9.50%
4/11/2008 11/4/2018 11.90% (Refer remark)
9/13/2011 12/11/2014 13.65%
1/30/2012 3/30/2015 13.65%
4/7/2014 7/4/2018 11%
4/7/2014 7/4/2018 11%
4/7/2014 10/4/2020 11.5%
4/7/2014 10/4/2020 11.5%
4/7/2014 1/4/2024 12%
4/7/2014 1/4/2024 12%
4/10/2013 8/31/2015 18%
4/3/2013 9/30/2015 18%
4/3/2013 9/30/2015 18%
2/22/2008 2/22/2028 10.00%
2/22/2008 2/22/2028 10.00%
12/11/2012 12/11/2022 7%
10/11/2012 10/11/2022 7%
4/12/13 4/14/2025 NA
10/30/2013 10/30/2018 10% (YTM 14%)
4/3/2013 10/1/2018 0.001%
3/31/2014 3/31/2019 14.5% (REFER REMARKS)
2/20/2013 2/20/2018 11.25%
3/28/2013 3/28/2018 11.25%
1/18/2013 1/18/2023 11%
3/28/2013 3/28/2023 11.50%
5/30/2013 5/30/2018 11.25%
6/28/2013 6/28/2018 11.25%
4/11/2008 11/4/2018 12.50%
12/24/2009 12/24/2019 Reset Rate (Refer remark)
1/30/2010 1/30/2020
1/30/2010 1/30/2020 Reset Rate (Refer remark)
4/20/2012 7/21/2014 S&P CNX NIFTY INDEX
5/5/2011 9/6/2014 NIFTY INDEX LINKED
7/17/2012 10/17/2014 S&P CNX NIFTY INDEX
7/27/2011 11/27/2014 NIFTY LINKED
10.50% p.a.p.q. (Annualised - 10.92%)
5/31/2012 8/31/2015 S&P CNX NIFTY INDEX
1/18/2011 1/18/2015 9.07%
1/18/2011 1/18/2016 9.07%
5/27/2011 5/27/2019 10.09%
5/27/2011 5/27/2020 10.09%
5/27/2011 5/27/2021 10.09%
5/12/2013 5/12/2023 9.38%
3/26/2014 3/26/2024 9.39%
10/17/2012 10/17/2014 10.05%
9/14/2011 9/13/2014 12.00%
9/14/2011 9/13/2014 12.25%
9/25/2013 10/30/2014 NA
1/11/2012 1/11/2015 11.75%
1/18/2012 1/18/2015 13.25%
2/4/2014 3/11/2015 NA
4/12/2013 4/12/2015 10.75%
4/12/2013 4/12/2015 11.25%
4/12/2013 4/12/2015 NA
4/18/2012 4/18/2015 13.25%
4/2/2014 5/7/2015 NA
4/12/2013 8/1/2015 NA
9/25/2013 9/25/2015 11.5%
9/25/2013 9/25/2015 12%
9/25/2013 9/25/2015 NA
7/7/2014 11/8/2015 NA
2/4/2014 2/4/2016 10.75%
2/4/2014 2/4/2016 11.25%
2/4/2014 2/4/2016 NA
4/2/2014 4/2/2016 10.25%
4/2/2014 4/2/2016 10.75%
4/2/2014 4/2/2016 NA
4/12/2013 4/12/2016 11.25%
4/12/2013 4/12/2016 11.5%
4/12/2013 4/12/2016 NA
7/7/2014 7/7/2016 10.75%
7/7/2014 7/7/2016 10.25%
7/7/2014 7/7/2016 NA
9/14/2011 9/13/2016 12.00%
9/14/2011 9/13/2016 12.25%
9/25/2013 9/25/2016 12%
9/25/2013 9/25/2016 12.25%
9/25/2013 9/25/2016 NA
1/11/2012 1/11/2017 11.75%
1/11/2012 1/11/2017 12%
1/18/2012 1/18/2017 13.25%
2/4/2014 2/4/2017 11.25%
2/4/2014 2/4/2017 11.5%
2/4/2014 2/4/2017 NA
4/2/2014 4/2/2017 10.75%
4/2/2014 4/2/2017 11%
4/2/2014 4/2/2017 NA
4/18/2012 4/18/2017 13.25%
7/7/2014 7/7/2017 11%
7/7/2014 7/7/2017 10.75%
7/7/2014 7/7/2017 NA
1/18/2012 7/18/2017 ZERO COUPON
4/18/2012 10/18/2017 ZERO COUPON
12/1/2012 12/1/2017 13%
1/11/2012 1/11/2018 NA
4/12/2013 4/12/2018 10.75%
4/12/2013 4/12/2018 11.25%
4/12/2013 4/12/2018 NA
9/25/2013 9/25/2018 11.5%
9/25/2013 9/25/2018 12%
9/25/2013 9/25/2018 NA
2/4/2014 2/4/2019 10.75%
2/4/2014 2/4/2019 11.25%
2/4/2014 2/4/2019 NA
4/2/2014 4/2/2019 10.25%
4/2/2014 4/2/2019 10.75%
4/2/2014 4/2/2019 NA
4/12/2013 4/12/2019 NA
7/7/2014 7/7/2019 10.75%
7/7/2014 7/7/2019 10.25%
7/7/2014 7/7/2019 NA
9/25/2013 9/25/2019 NA
2/4/2014 2/4/2020 NA
4/2/2014 7/2/2020 NA
7/7/2014 7/10/2020 NA
3/26/2013 3/26/2023 12.35%
1/17/2012 1/17/2015 13%
4/17/2012 4/17/2015 13.25%
3/29/2011 6/29/2016 12.30%
3/28/2014 2/5/2015 12%
3/28/2014 2/5/2015 12.5%
8/18/2014 12/30/2015 12%
8/18/2014 12/30/2015 NA
3/28/2014 3/26/2016 12.5%
3/28/2014 3/26/2016 12.5%
3/28/2014 3/27/2017 12.5%
3/28/2014 3/27/2017 13%
3/28/2014 3/27/2017 13.5%
8/18/2014 8/15/2017 12.5%
8/18/2014 8/15/2017 13%
8/18/2014 11/12/2017 NA
3/28/2014 9/27/2019 13.43%
8/18/2014 2/7/2020 NA
10/9/2011 12/8/2015 14.73%, In case of default in payment of the interest, the defaulted amount thereof shall also carry further interest at the rate of 1% p.a.over above the
7/23/2012 8/23/2016 12%
7/24/2009 7/24/2014 10.50%
8/11/2010 8/11/2014 9.50%
8/11/2010 8/11/2015 9.50%
10/1/1998 3/31/2016 10.50%
3/26/2010 3/26/2020 9.13%
11/7/2011 7/11/2014 9.50%
8/16/2011 8/16/2014 9.32%
9/15/2011 9/15/2014 9.38%
9/22/2011 9/22/2014 9.48%
10/18/2011 10/18/2014 9.655%
1/16/2012 1/16/2015 9.38%
1/30/2012 1/30/2015 9.48%
2/21/2012 2/23/2015 9.32%
4/6/2012 4/6/2015 9.5%
6/28/2012 6/29/2015 9.35%
7/16/2012 7/16/2015 9.41%
7/23/2012 7/23/2015 9.23%
7/26/2012 7/27/2015 9.2%
2/13/2012 7/31/2015 9.40%
8/13/2012 8/13/2015 9%
9/1/2012 9/1/2015 9.38%
9/7/2012 9/7/2015 9.45%
9/25/2012 9/25/2015 8.88%
12/12/2005 12/12/2015 7.50%
1/1/2013 1/1/2016 8.88%
1/3/2013 1/3/2016 9.10%
1/14/2006 1/14/2016 7.60% pa
2/15/2012 1/29/2016 9.35%
5/18/2006 5/18/2016 8.45%
6/6/2011 6/6/2016 9.70%
7/6/2006 6/7/2016 8.60%
7/3/2013 7/3/2016 8.95%
7/19/2011 7/19/2016 9.40%
9/13/2011 9/13/2016 9.40%
9/14/2011 9/14/2016 9.40%
12/2/2007 2/12/2017 9.20%
1/3/2007 3/1/2017 Zero Coupon
3/30/2007 3/30/2017 9.90%
1/4/2007 4/1/2017 Zero Coupon
1/5/2007 5/1/2017 Zero Coupon
5/24/2012 5/24/2017 9.40%
1/6/2007 6/1/2017 Zero Coupon
1/7/2007 7/1/2017 Zero Coupon
1/7/2007 7/1/2017 Zero Coupon
7/2/2012 7/2/2017 9.18%
1/8/2007 8/1/2017 Zero Coupon
1/8/2007 8/1/2017 Zero Coupon
1/9/2007 9/1/2017 Zero Coupon
1/9/2007 9/1/2017 Zero Coupon
1/10/2007 10/1/2017 Zero Coupon
1/10/2007 10/1/2017 Zero Coupon
1/11/2007 11/1/2017 Zero Coupon
1/11/2007 11/1/2017 Zero Coupon
11/7/2012 11/7/2017 9.28%
1/12/2007 12/1/2017 Zero Coupon
1/12/2007 12/1/2017 Zero Coupon
12/6/2012 12/6/2017 9.33%
1/1/2008 1/1/2018 Zero Coupon
1/1/2008 1/1/2018 Zero Coupon
1/2/2008 2/1/2018 Zero Coupon
1/2/2008 2/1/2018 Zero Coupon
1/2/2008 2/1/2018 Zero Coupon
1/2/2008 2/1/2018 Zero Coupon
2/18/2013 2/19/2018 8.79%
1/3/2008 3/1/2018 Zero Coupon
1/3/2008 3/1/2018 Zero Coupon
1/4/2008 4/1/2018 Zero Coupon
1/4/2008 4/1/2018 Zero Coupon
1/5/2008 5/1/2018 Zero Coupon
1/5/2008 5/1/2018 Zero Coupon
1/6/2008 6/1/2018 Zero Coupon
1/6/2008 6/1/2018 Zero Coupon
1/7/2008 7/1/2018 Zero Coupon
1/8/2008 8/1/2018 Zero Coupon
1/9/2008 9/1/2018 Zero Coupon
1/10/2008 10/1/2018 Zero Coupon
1/11/2008 11/1/2018 Zero Coupon
1/12/2008 12/1/2018 Zero Coupon
1/1/2009 1/1/2019 Zero Coupon
1/2/2009 2/1/2019 Zero Coupon
3/1/2009 3/1/2019 Zero Coupon
3/31/2009 3/31/2019 Zero Coupon
1/6/2010 1/6/2020 Zero Coupon
1/11/2010 1/11/2020 ZERO COUPON
4/1/2010 4/1/2020 Zero Coupon
7/1/2010 7/1/2020 ZERO COUPON
8/1/2010 8/1/2020 Zero Coupon
9/1/2010 9/1/2020 ZERO COUPON
10/1/2010 10/1/2020 ZERO COUPON
3/31/2011 3/31/2021 ZERO COUPON
12/28/2010 12/28/2015 8.95%
1/4/2011 1/4/2016 8.95%
10/2/2011 10/2/2016
12/1/2010 12/1/2020 ZERO COUPON
1/1/2011 1/1/2021 ZERO COUPON
2/1/2011 2/1/2021 ZERO COUPON
1/3/2011 3/1/2021 ZERO COUPON
9.12% (No compounding frequency.)
2/14/2008 2/14/2018 8.98%
2/18/2009 2/18/2019 9.15%
8/18/2009 8/18/2019 8.68%
8/4/2010 8/4/2020 8.68%
9/15/2011 9/15/2016 9.42%
7/31/2011 7/31/2014 6%
8/31/2011 8/31/2014 6%
9/30/2011 9/30/2014 6%
10/31/2011 10/31/2014 6%
11/30/2011 11/30/2014 6%
12/31/2011 12/31/2014 6%
1/31/2012 1/31/2015 6%
2/29/2012 2/28/2015 6%
3/31/2012 3/31/2015 6%
4/30/2012 4/30/2015 6%
5/31/2012 5/31/2015 6%
6/30/2012 6/30/2015 6%
7/31/2012 7/31/2015 6%
8/31/2012 8/31/2015 6%
9/30/2012 9/30/2015 6%
10/31/2012 10/31/2015 6%
11/30/2012 11/30/2015 6%
12/31/2012 12/31/2015 6%
1/31/2013 1/31/2016 6%
2/28/2013 2/28/2016 6%
3/31/13 3/31/2016 6%
4/30/2013 4/30/2016 6%
5/31/2013 5/31/2016 6%
6/30/2013 6/30/2016 6%
7/31/2013 7/31/2016 6%
8/31/2013 8/31/2016 6%
9/30/2013 9/30/2016 6%
10/31/2013 10/31/2016 6%
11/30/2013 11/30/2016 6%
12/31/2013 12/31/2016 6%
1/31/2014 1/31/2017 6%
2/28/2014 2/28/2017 6%
3/31/2014 3/31/2017 6%
4/30/2014 4/30/2017 6%
5/31/2014 5/31/2017 6%
1/25/2012 1/25/2022 8.2%
11/22/2013 11/22/2023 8.35%
2/15/2014 2/15/2024 8.27%
2/15/2014 2/15/2024 8.52%
1/25/2012 1/25/2027 8.3%
11/22/2013 11/22/2028 8.48%
2/15/2014 2/15/2029 8.5%
2/15/2014 2/15/2029 8.75%
1/20/2012 1/20/2015 9.37%
8/24/2012 8/24/2015 9.05%
10/1/2012 10/1/2015 9.40%
2/21/2011 2/21/2016 9.18%
4/10/2013 4/10/2016 8.59%
4/25/2013 4/25/2016 8.45%
5/8/13 5/8/2016 8.25%
6/20/2013 6/20/2016 8.12%
9/23/2013 9/23/2016 10.14%
11/9/2013 11/9/2016 10.24%
12/24/2008 12/24/2018 Zero Coupon
3/31/2009 3/31/2019 Zero Coupon
3/31/1998 10/6/2022 12.00%
10/2/1999 10/6/2022 12.50%
12/16/1999 10/6/2022 12.10%
12/14/2012 12/14/2022 7.19%
1/1/2013 1/1/2023 7.17%
3/22/2013 3/22/2023 6.89%
3/26/2013 3/26/2023 6.82%
6/2/2013 6/2/2023 6.87%
8/30/2013 8/30/2023 8.01%
1/13/2014 1/13/2024 8.51%
1/13/2014 1/13/2024 8.26%
3/24/2014 3/24/2024 8.5%(REFER REMARKS)
3/24/2014 3/24/2024 8.25%
3/28/2002 10/9/2025 9.75%
6/26/2002 10/9/2025 9.75%
8/30/2013 8/30/2028 8.46%
1/13/2014 1/13/2029 8.88%
1/13/2014 1/13/2029 8.63%
3/24/2014 3/24/2029 8.93%(REFER REMARKS)
3/24/2014 3/24/2029 8.68%
1/13/2014 1/13/2034 8.76%
1/13/2014 1/13/2034 9.01%
3/24/2014 3/24/2034 8.65%
3/24/2014 3/24/2034 8.9% (REFER REMARKS)
3/31/2003 3/31/2015 7.70%
3/31/2003 3/31/2016 7.70%
3/31/2003 3/31/2017 7.70%
3/31/2003 3/31/2018 7.70%
3/23/2005 9/23/2014 7.55%
3/23/2005 3/23/2015 7.55%
4/30/2002 4/30/2015 9.55%
3/23/2005 9/23/2015 7.55%
3/23/2005 3/23/2016 7.55%
4/30/2002 4/30/2016 9.55%
3/23/2005 9/23/2016 7.55%
3/23/2005 3/23/2017 7.55%
4/18/2002 4/18/2017 9.55%
4/30/2002 4/30/2017 9.55%
3/23/2005 9/23/2017 7.55%
3/23/2005 3/23/2018 7.55%
3/23/2005 9/23/2018 7.55%
10/4/2003 10/4/2018 8.00%
3/23/2005 3/23/2019 7.55%
1/5/2003 1/5/2023 8.48%
12/1/2004 12/1/2019 7.50%
3/26/2013 3/31/2018 20.75%
3/28/2013 3/31/2018 20.75%
7/2/2012 12/31/2015 22%
7/27/2006 3/1/2019 Zero Coupon
2/19/2009 2/19/2021 10.45%
3/27/2014 3/27/2024 11.9%
7/3/2014 7/3/2017 17%
4/30/2012 10/30/2014 17.5%
2/17/2012 2/17/2020 ZERO COUPON
3/11/2008 7/1/2015 14.50%
10/21/2011 10/20/2014 20%
3/27/2014 3/25/2016 12.25%
4/27/2007 3/31/2016 14.00%
1/23/2009 1/23/2019 8.83%
2/11/2013 2/11/2023 8.43%
2/11/2013 2/11/2023 8.18%
2/11/2013 2/11/2028 8.79%
2/11/2013 2/11/2028 8.54%
2/11/2013 2/11/2033 8.92%
2/11/2013 2/11/2033 8.67%
11/2/2013 11/2/2015 8.7%
11/2/2013 11/2/2016 8.7%
11/2/2013 11/2/2016 8.85%
12/3/2012 12/3/2016 9.25%
11/2/2013 11/2/2017 8.7%
11/2/2013 11/2/2017 8.85%
12/3/2012 12/3/2017 9.25%
11/2/2013 11/2/2018 8.7%
11/2/2013 11/2/2018 8.85%
12/3/2012 12/3/2018 9.25%
11/2/2013 11/2/2019 8.7%
11/2/2013 11/2/2019 8.78%
11/2/2013 11/2/2019 8.85%
12/3/2012 12/3/2019 9.25%
11/2/2013 11/2/2020 8.7%
11/2/2013 11/2/2020 8.78%
11/2/2013 11/2/2020 8.85%
12/3/2012 12/3/2020 9.25%
11/2/2013 11/2/2021 8.7%
11/2/2013 11/2/2021 8.78%
11/2/2013 11/2/2021 8.85%
12/3/2012 12/3/2021 9.25%
11/2/2013 11/2/2022 8.7%
11/2/2013 11/2/2022 8.78%
11/2/2013 11/2/2022 8.85%
12/3/2012 12/3/2022 9.25%
11/2/2013 11/2/2023 8.7%
11/2/2013 11/2/2023 8.78%
11/2/2013 11/2/2023 8.85%
12/3/2012 12/3/2023 9.25%
11/2/2013 11/2/2024 8.7%
11/2/2013 11/2/2024 8.78%
11/2/2013 11/2/2024 8.85%
12/3/2012 12/3/2024 9.25%
11/2/2013 11/2/2025 8.7%
11/2/2013 11/2/2025 8.78%
11/2/2013 11/2/2025 8.85%
12/3/2012 12/3/2025 9.25%
11/2/2013 11/2/2026 8.85%
11/2/2013 11/2/2026 8.7%
11/2/2013 11/2/2026 8.78%
12/3/2012 12/3/2026 9.25%
11/2/2013 11/2/2027 8.85%
11/2/2013 11/2/2027 8.78%
12/3/2012 12/3/2027 9.25%
11/2/2013 11/2/2028 8.78%
2/1/2010 2/1/2025 9.00%
10/21/2008 10/20/2015 12.00%
5/27/2013 5/27/2015 8.75%
5/27/2013 5/27/2016 8.85%
5/27/2013 5/27/2017 8.90%
5/27/2013 5/27/2018 8.92%
5/27/2013 5/27/2019 8.95%
10/1/2010 5/18/2026 9.38%
3/29/2014 3/29/2017 17.3%
3/29/2014 12/29/2017 17.3%
4/17/2014 12/31/2017 17.6%
06-Oct-14 6/9/2019 5.10% PER QUARTER
6/20/2014 3/15/2018 18.5%
7/15/2014 8/14/2017 10%
3/11/1999 3/11/2015 NA
N.A.
4/17/2012 7/17/2014 EQUITY LINKED
4/19/2011 8/19/2014 EQUITY LINKED
4/21/2011 8/21/2014 EQUITY LINKED
5/5/2011 9/5/2014 EQUITY LINKED
9/5/2011 9/9/2014 EQUITY LINKED
5/23/2011 9/23/2014 EQUITY LINKED
5/31/2011 9/30/2014 EQUITY LINKED
10/8/2012 10/11/2014 EQUITY LINKED
6/28/2011 10/28/2014 EQUITY LINKED
6/30/2011 10/30/2014 EQUITY LINKED
7/13/2011 11/13/2014 EQUITY LINKED
7/9/2011 1/6/2015 EQUITY LINKED
9/26/2011 1/27/2015 EQUITY LINKED
9/29/2011 1/29/2015 EQUITY LINKED
5/10/2011 5/2/2015 EQUITY LINKED
5/6/13 5/6/2015 EQUITY LINKED
3/30/2012 7/30/2015 EQUITY LINKED
10/10/2011 10/2/2015 EQUITY LINKED
12/13/2012 4/13/2016 EQUITY LINKED
7/10/2013 11/9/2016 EQUITY LINKED
3/5/2014 6/5/2017 NSE CNX NIFTY INDEX LINKED
2/28/2014 6/28/2017 NSE CNX NIFTY INDEX LINKED
3/14/2014 3/14/2019 10.2%
12/15/2011 12/15/2021 10.20%
6/27/2012 6/27/2022 9.25%
3/15/2013 3/15/2023 9%
9/12/2010 7/15/2014 Zero coupon (Refer Remark)
9/12/2010 1/15/2015 Zero coupon (Refer Remark)
9/12/2010 7/15/2015 Zero coupon (Refer Remark)
9/12/2010 1/15/2016 Zero coupon (Refer Remark)
9/12/2010 7/15/2016 Zero coupon (Refer Remark)
9/12/2010 1/16/2017 Zero coupon (Refer Remark)
9/12/2010 7/15/2017 Zero coupon (Refer Remark)
9/12/2010 1/15/2018 Zero coupon (Refer Remark)
9/12/2010 7/16/2018 Zero coupon (Refer Remark)
9/12/2010 1/15/2019 Zero coupon (Refer Remark)
9/12/2010 7/15/2019 Zero coupon (Refer Remark)
9/12/2010 1/15/2020 Zero coupon (Refer Remark)
3/2/2014 2/3/2029 9.95%
3/26/2014 3/26/2029 10.09%
5/30/2014 5/30/2029 10%
3/30/2013 11/8/2032 RESET RATE (REFER REMARKS)
3/22/2011 3/22/2017 9.17%
3/22/2011 3/22/2018 9.17%
3/22/2011 3/22/2019 9.17%
3/22/2011 3/22/2020 9.17%
1/19/2011 1/19/2021 8.93%
3/22/2011 3/22/2021 9.17%
3/22/2011 3/22/2022 9.17%
3/22/2011 3/22/2023 9.17%
12/16/2013 12/16/2023 8.66%
12/16/2013 12/16/2023 8.41%
3/22/2011 3/22/2024 9.17%
4/3/2014 4/3/2024 8.19%
3/22/2011 3/22/2025 9.17%
3/22/2011 3/22/2026 9.17%
3/22/2011 3/22/2027 9.17%
3/22/2011 3/22/2028 9.17%
12/16/2013 12/16/2028 8.73%
12/16/2013 12/16/2028 8.48%
3/22/2011 3/22/2029 9.17%
4/3/2014 4/3/2029 8.63%
3/22/2011 3/22/2030 9.17%
3/22/2030 3/22/2031 9.17%
12/16/2013 12/16/2033 8.66%
12/16/2013 12/16/2033 8.91%
4/3/2014 4/3/2034 8.61%
7/20/2012 7/20/2018 9.3473%
7/20/2012 7/20/2019 9.3473%
7/20/2012 7/20/2020 9.3473%
7/20/2012 7/20/2021 9.3473%
4/10/2012 4/10/2022 8.84%
7/20/2012 7/20/2022 9.3473%
4/4/2013 4/4/2023 8.80%
7/3/2013 7/3/2023 8.73%
7/20/2012 7/20/2023 9.3473%
7/20/2012 7/20/2024 9.3473%
7/20/2012 7/20/2025 9.3473%
7/20/2012 7/20/2026 9.3473%
7/20/2012 7/20/2027 9.3473%
7/20/2012 7/20/2028 9.3473%
7/20/2012 7/20/2029 9.3473%
7/20/2012 7/20/2030 9.3473%
7/20/2012 7/20/2031 9.3473%
7/20/2012 7/20/2032 9.3473%
5/2/2007 8/5/2014 8.38%
9/3/2007 9/9/2014 8.61%
12/28/2007 12/4/2014 9.37%
1/31/2008 12/4/2014 9.06%
2/1/2007 1/2/2015 8.18%
2/2/2006 2/2/2015 7.71%
5/2/2007 2/5/2015 8.38%
2/2/2006 2/8/2015 7.71%
9/3/2007 3/9/2015 8.61%
12/28/2007 6/4/2015 9.37%
1/31/2008 6/4/2015 9.06%
2/1/2007 7/2/2015 8.18%
5/2/2007 8/5/2015 8.38%
9/3/2007 9/9/2015 8.61%
12/28/2007 12/4/2015 9.37%
1/31/2008 12/4/2015 9.06%
2/1/2007 1/2/2016 8.18%
2/2/2006 2/2/2016 7.71%
5/2/2007 2/5/2016 8.38%
2/2/2006 2/8/2016 7.71%
9/3/2007 3/9/2016 8.61%
3/25/2010 3/25/2016 8.85%
12/28/2007 6/4/2016 9.37%
1/31/2008 6/4/2016 9.06%
2/1/2007 7/2/2016 8.18%
5/2/2007 8/5/2016 8.38%
9/3/2007 9/9/2016 8.61%
9/15/2010 9/15/2016 8.79%
10/6/2010 10/6/2016 8.71%
12/28/2007 12/4/2016 9.37%
1/31/2008 12/4/2016 9.06%
12/15/2010 12/15/2016 8.81%
2/1/2007 1/2/2017 8.18%
2/2/2006 2/2/2017 7.71%
5/2/2007 2/5/2017 8.38%
2/2/2006 2/8/2017 7.71%
9/3/2007 3/9/2017 8.61%
3/25/2010 3/25/2017 8.85%
12/28/2007 6/4/2017 9.37%
1/31/2008 6/4/2017 9.06%
9/6/2011 6/9/2017 9.3896%
2/1/2007 7/2/2017 8.18%
7/29/2011 7/29/2017 9.558%
5/2/2007 8/5/2017 8.38%
9/3/2007 9/9/2017 8.61%
9/15/2010 9/15/2017 8.79%
10/6/2010 10/6/2017 8.71%
12/28/2007 12/4/2017 9.37%
1/31/2008 12/4/2017 9.06%
12/15/2010 12/15/2017 8.81%
12/23/2011 12/23/2017 9.6713%
2/1/2007 1/2/2018 8.18%
2/2/2006 2/2/2018 7.71%
2/3/2012 2/3/2018 9.2573%
5/2/2007 2/5/2018 8.38%
2/2/2006 2/8/2018 7.71%
9/3/2007 3/9/2018 8.61%
3/25/2010 3/25/2018 8.85%
5/16/2012 5/16/2018 9.4376%
12/28/2007 6/4/2018 9.37%
1/31/2008 6/4/2018 9.06%
9/6/2011 6/9/2018 9.3896%
2/1/2007 7/2/2018 8.18%
7/29/2011 7/29/2018 9.558%
5/2/2007 8/5/2018 8.38%
9/3/2007 9/9/2018 8.61%
9/15/2010 9/15/2018 8.79%
10/6/2010 10/6/2018 8.71%
11/21/2008 11/21/2018 11.00%
12/28/2007 12/4/2018 9.37%
1/31/2008 12/4/2018 9.06%
12/15/2010 12/15/2018 8.81%
12/23/2011 12/23/2018 9.6713%
2/1/2007 1/2/2019 8.18%
2/2/2006 2/2/2019 7.71%
2/3/2012 2/3/2019 9.2573%
4/2/2009 2/4/2019 8.65%
5/2/2007 2/5/2019 8.38%
2/2/2006 2/8/2019 7.71%
9/3/2007 3/9/2019 8.61%
3/25/2010 3/25/2019 8.85%
5/5/2009 5/5/2019 7.89%
5/16/2012 5/16/2019 9.4376%
9/6/2011 6/9/2019 9.3896%
2/1/2007 7/2/2019 8.18%
7/29/2011 7/29/2019 9.558%
5/2/2007 8/5/2019 8.38%
9/3/2007 9/9/2019 8.61%
9/15/2010 9/15/2019 8.79%
10/6/2010 10/6/2019 8.71%
12/15/2010 12/15/2019 8.81%
12/23/2011 12/23/2019 9.6713%
2/1/2007 1/2/2020 8.18%
2/2/2006 2/2/2020 7.71%
2/3/2012 2/3/2020 9.2573%
5/2/2007 2/5/2020 8.38%
9/3/2007 3/9/2020 8.61%
3/9/2010 3/9/2020 8.78%
3/25/2010 3/25/2020 8.85%
3/31/2010 3/31/2020 8.73%
5/16/2012 5/16/2020 9.4376%
9/6/2011 6/9/2020 9.3896%
2/1/2007 7/2/2020 8.18%
7/29/2011 7/29/2020 9.558%
5/2/2007 8/5/2020 8.38%
9/3/2007 9/9/2020 8.61%
9/15/2010 9/15/2020 8.79%
10/6/2010 10/6/2020 8.71%
12/15/2010 12/15/2020 8.81%
12/23/2011 12/23/2020 9.6713%
2/1/2007 1/2/2021 8.18%
2/3/2012 2/3/2021 9.2573%
5/2/2007 2/5/2021 8.38%
9/3/2007 3/9/2021 8.61%
3/25/2010 3/25/2021 8.85%
5/16/2012 5/16/2021 9.4376%
9/6/2011 6/9/2021 9.3896%
7/29/2011 7/29/2021 9.558%
9/15/2010 9/15/2021 8.79%
10/6/2010 10/6/2021 8.71%
12/15/2010 12/15/2021 8.81%
12/23/2011 12/23/2021 9.6713%
2/3/2012 2/3/2022 9.2573%
3/25/2010 3/25/2022 8.85%
5/16/2012 5/16/2022 9.4376%
9/6/2011 6/9/2022 9.3896%
7/29/2011 7/29/2022 9.558%
9/15/2010 9/15/2022 8.79%
10/6/2010 10/6/2022 8.71%
12/15/2010 12/15/2022 8.81%
12/23/2011 12/23/2022 9.6713%
1/25/2012 1/25/2023 9%
2/3/2012 2/3/2023 9.2573%
3/25/2010 3/25/2023 8.85%
4/5/2012 4/5/2023 9.25%
5/16/2012 5/16/2023 9.4376%
9/6/2011 6/9/2023 9.3896%
7/29/2011 7/29/2023 9.558%
9/15/2010 9/15/2023 8.79%
10/6/2010 10/6/2023 8.71%
6/11/2008 11/6/2023 11.25%
12/15/2010 12/15/2023 8.81%
12/23/2011 12/23/2023 9.6713%
1/25/2012 1/25/2024 9%
2/3/2012 2/3/2024 9.2573%
3/24/2014 3/24/2024 9.34%
3/25/2010 3/25/2024 8.85%
4/5/2012 4/5/2024 9.25%
5/16/2012 5/16/2024 9.4376%
9/6/2011 6/9/2024 9.3896%
7/29/2011 7/29/2024 9.558%
9/15/2010 9/15/2024 8.79%
10/6/2010 10/6/2024 8.71%
12/15/2010 12/15/2024 8.81%
12/23/2011 12/23/2024 9.6713%
1/25/2012 1/25/2025 9%
2/3/2012 2/3/2025 9.2573%
3/25/2010 3/25/2025 8.85%
4/5/2012 4/5/2025 9.25%
5/16/2012 5/16/2025 9.4376%
9/6/2011 6/9/2025 9.3896%
7/29/2011 7/29/2025 9.558%
9/15/2010 9/15/2025 8.79%
10/6/2010 10/6/2025 8.71%
12/15/2010 12/15/2025 8.81%
12/23/2011 12/23/2025 9.6713%
1/25/2012 1/25/2026 9%
2/3/2012 2/3/2026 9.2573%
3/25/2010 3/25/2026 8.85%
4/5/2012 4/5/2026 9.25%
5/16/2012 5/16/2026 9.4376%
9/6/2011 6/9/2026 9.3896%
7/29/2011 7/29/2026 9.558%
9/15/2010 9/15/2026 8.79%
10/6/2010 10/6/2026 8.71%
12/15/2010 12/15/2026 8.81%
12/23/2011 12/23/2026 9.6713%
1/25/2012 1/25/2027 9%
2/3/2012 2/3/2027 9.2573%
3/25/2010 3/25/2027 8.85%
4/5/2012 4/5/2027 9.25%
5/16/2012 5/16/2027 9.4376%
9/6/2011 6/9/2027 9.3896%
7/29/2011 7/29/2027 9.558%
9/15/2010 9/15/2027 8.79%
10/6/2010 10/6/2027 8.71%
12/15/2010 12/15/2027 8.81%
12/23/2011 12/23/2027 9.6713%
2/3/2012 2/3/2028 9.2573%
3/25/2010 3/25/2028 8.85%
5/16/2012 5/16/2028 9.4376%
9/6/2011 6/9/2028 9.3896%
7/29/2011 7/29/2028 9.558%
9/15/2010 9/15/2028 8.79%
10/6/2010 10/6/2028 8.71%
12/15/2010 12/15/2028 8.81%
12/23/2011 12/23/2028 9.6713%
2/3/2012 2/3/2029 9.2573%
3/25/2010 3/25/2029 8.85%
5/16/2012 5/16/2029 9.4376%
9/6/2011 6/9/2029 9.3896%
7/29/2011 7/29/2029 9.558%
9/15/2010 9/15/2029 8.79%
10/6/2010 10/6/2029 8.71%
12/15/2010 12/15/2029 8.81%
12/23/2011 12/23/2029 9.6713%
2/3/2012 2/3/2030 9.2573%
3/25/2010 3/25/2030 8.85%
5/16/2012 5/16/2030 9.4376%
9/6/2011 6/9/2030 9.3896%
7/29/2011 7/29/2030 9.558%
9/15/2010 9/15/2030 8.79%
10/6/2010 10/6/2030 8.71%
12/15/2010 12/15/2030 8.81%
12/23/2011 12/23/2030 9.6713%
2/3/2012 2/3/2031 9.2573%
5/16/2012 5/16/2031 9.4376%
9/6/2011 6/9/2031 9.3896%
7/29/2011 7/29/2031 9.558%
12/23/2011 12/23/2031 9.6713%
2/3/2012 2/3/2032 9.2573%
5/16/2012 5/16/2032 9.4376%
11/16/2009 11/16/2019 8.50%
11/16/2009 11/16/2019 Reset Rate (Refer remark)
3/15/2013 3/15/2023 8.54%
3/15/2013 3/15/2023 8.56%
3/18/2013 3/18/2023 8.56%
1/23/2014 1/23/2025 9.18%
1/23/2014 1/23/2026 9.18%
1/23/2014 1/23/2027 9.18%
1/23/2014 1/23/2028 9.18%
1/23/2014 1/23/2029 9.18%
8/14/2003 8/14/2014 6.15%
8/14/2003 8/14/2015 6.15%
8/14/2003 8/14/2016 6.15%
8/14/2003 8/14/2017 6.15%
8/14/2003 8/14/2018 6.15%
3/26/2004 3/26/2019 4.75%
3/20/2008 3/19/2018 NA
9/2/2008 9/1/2018 NA
3/27/2009 3/26/2019 NA
11/22/2010 11/21/2020 NA
11/15/2013 12/15/2019 11.6%
11/15/2013 12/15/2021 11.6%
11/15/2013 6/15/2022 11.6%
3/15/2013 2/29/2016 18%
6/2/2008 2/6/2017 10.80%
6/3/2013 12/21/2015 18%
5/24/2012 3/30/2016 21%
7/2/2013 1/31/2017 18%
12/23/2009 12/23/2014 8.40%
1/6/2010 1/6/2020 8.54%
1/16/2014 5/11/2018 15.4%
12/31/2012 9/30/2015 14%
8/11/2007 1/7/2017 13.32%
4/20/2006 4/20/2016 8. 50 %
4/23/2007 4/23/2017 9.95%
7/21/2006 7/21/2021 9.25% (Refer Remark)
11/30/2012 11/30/2022 8.93%
12/2/2009 2/12/2024 Reset Rate (Refer remark)
9/20/2010 9/20/2025 RESET RATE ( Refer Remark)
12/17/2009 12/31/2099 Reset Rate (Refer remark)
9/17/2010 12/31/2099 RESET RATE ( Refer Remark )
7/12/2006 12/31/2100 9.40%( Refer Remark )
11/1/2012 10/1/2015 10.40%
5/26/2014 8/1/2015 19.10%
5/26/2014 11/1/2015 19.10%
5/26/2014 2/1/2016 19.10%
5/26/2014 5/1/2016 19.10%
5/26/2014 8/1/2016 19.10%
5/26/2014 11/1/2016 19.10%
5/26/2014 2/1/2017 19.10%
5/26/2014 5/1/2017 19.10%
10/23/2013 10/22/2017 20%
11/3/2014 10/3/2018 19.25%
31-Jan-14 12/31/2016 19%
23-May-14 12/31/2016 19%
5/21/2014 5/20/2021 12%
7/4/2014 4/15/2016 13.9% XIRRR
3/31/2010 3/31/2016 RESET RATE (REFER REMARKS)
7/31/2009 7/31/2014 11.50%
8/30/2011 8/30/2017 12.10%
3/20/2013 3/20/2019 11.5%
5/7/13 5/7/2016 9.25%
5/22/2013 5/22/2018 9.2%
5/16/2008 5/15/2018 ZERO COUPON
6/2/2009 5/2/2019 ZERO COUPON
11/23/2009 11/22/2019 ZERO COUPON
9/17/2012 9/16/2022 ZERO COUPON
9/1/2010 9/1/2014 9.75%
1/12/2010 1/12/2015 10.20%
1/13/2011 1/13/2015 11.00%
9/1/2010 3/1/2015 9.75%
9/1/2010 9/1/2015 9.75%
1/13/2011 1/13/2016 11.00%
7/1/2014 3/31/2016 6%
1/16/2014 3/31/2016 6%
4/2/2014 3/31/2016 6%
1/1/2014 12/31/2016 20.5%
5/23/2014 11/23/2017 24%
7/2/2013 12/31/2015 18%
7/2/2013 12/31/2015 18%
2/4/2014 8/1/2017 21%
10/21/2010 10/20/2020 15.5%
10/21/2010 10/20/2020 15.5%
10/14/2011 10/13/2021 17.25%
2/1/2012 1/1/2022 17.75%
6/14/2009 6/12/2024 15.25%
3/31/2011 3/30/2019 16%
3/31/2011 3/30/2019 16%
12/20/2012 12/18/2022 15%
8/21/2013 8/20/2023 15%
11/7/2011 7/11/2014 11.40%
3/3/2011 3/3/2015 10.75%
4/26/2010 4/26/2015 9.55%
11/7/2011 7/11/2015 11.40%
3/3/2011 3/3/2016 10.75%
11/7/2011 7/11/2016 11.40%
7/20/2009 7/20/2016 9.80%
9/17/2012 9/17/2022 11.3%
3/9/2013 3/31/2016 9.50%
3/9/2013 3/31/2018 9.75%
3/9/2013 3/31/2020 9.75%
3/9/2013 3/31/2023 10%
3/9/2013 9/30/2025 10.04%
3/9/2013 3/31/2027 10.35%
4/23/2010 4/14/2027 9.57%
11/30/2013 12/29/2018 ZERO COUPON
11/30/2013 12/29/2018 ZERO COUPON
11/12/2013 10/1/2019 ZERO COUPON
11/12/2013 10/1/2019 ZERO COUPON
6/20/2013 12/31/2016 16%
11/6/2013 11/6/2016 13%
11/6/2013 11/6/2016 ZERO COPUPON(YTM 13% p.a)
11/22/2013 11/22/2016
11/6/2013 11/6/2018 12.41%
11/6/2013 11/6/2018 13%
7/31/2012 7/31/2014 13.25%
12/12/2012 12/12/2014 12.6%
12/12/2012 12/12/2014 13%
7/31/2012 7/31/2015 13.75%
11/30/2012 11/30/2015 13.31%
11/30/2012 11/30/2015 13.75%
12/12/2012 12/12/2015 13.5%
ZERO COUPON(YEILD TO MATURITY 13% p.a)
12/12/2012 12/12/2015 13%
5/11/2012 5/11/2017 13%
7/31/2012 7/31/2017 13.75%
12/12/2012 12/12/2017 13.09%
2/25/2013 2/25/2018 13%
2/25/2013 2/25/2018 13%
2/26/2013 2/26/2018 13%
2/26/2013 2/26/2018 13%
2/26/2013 2/26/2018 13%
11/22/2013 11/22/2018 13%
6/17/2013 12/17/2014 13.25%
6/28/2012 6/28/2015 13.75%
6/28/2012 6/28/2017 13%
6/28/2012 6/28/2017 13.75%
12/13/2013 12/13/2018 13%
6/14/2014 6/14/2019 12.25%
7/12/2013 7/12/2023 12%
6/14/2013 6/14/2018 8.35%
9/16/2007 6/30/2015 Zero Coupon
9/16/2007 6/30/2015 Zero Coupon
12/3/2013 12/3/2015 10.65%
12/3/2013 12/3/2016 10.65%
7/29/2013 5/31/2016 12%
11/27/2009 10/16/2014 9.74%
11/27/2009 10/16/2014 9.74%
8/2/2013 8/2/2018 9.66%
4/10/2012 9/10/2017 12.6%
11/9/2009 11/9/2014 8.55%
6/7/2006 3/22/2016 9.25%
9/12/2006 8/9/2016 8.70%
7/30/2007 3/30/2017 9.25%
1/20/2014 7/20/2017 9.59%
1/16/2008 1/16/2019 9.20%
1/31/2014 1/31/2019 9.53%
11/9/2009 11/9/2019 8.85%
1/16/2008 1/16/2020 9.20%
1/16/2008 1/16/2021 9.20%
7/26/2011 7/26/2021 9.50%
12/9/2011 9/12/2021 9.55%
1/16/2008 1/16/2022 9.20%
6/29/2012 6/29/2022 9.25%
9/14/2012 9/14/2022 9.15%
12/21/2012 12/21/2022 9%
12/21/2012 12/21/2022 9.10%
1/16/2008 1/16/2023 9.20%
5/16/2013 5/16/2023 8.58%
1/31/2014 1/31/2024 9.48%
6/1/2012 1/1/2025 11.50%
8/7/2009 8/7/2014 8.60%
9/17/2009 9/17/2014 8.45%
10/15/2009 10/15/2014 8.45%
10/15/2012 10/15/2014 8.85%
12/14/2012 12/14/2014 8.9%
12/15/2009 12/15/2014 8.50%
12/15/2011 12/15/2014 9.63%
1/13/2012 1/13/2015 9.55%
2/5/2012 2/5/2015 9.46%
3/15/2010 3/15/2015 8.90%
3/30/2010 3/30/2015 8.95%
6/3/2012 4/15/2015 9.51%
5/12/2013 5/12/2015 9.58%
5/14/2010 5/14/2015 8.70%
6/25/2013 6/25/2015 8.29%
8/4/2010 7/15/2015 8.25%
8/25/2008 8/25/2015 10.70%
11/28/2008 11/28/2015 11.30%
12/30/2005 12/30/2015 7.60%
2/24/2006 2/24/2016 7.95%
3/17/2006 3/17/2016 8.20%
5/15/13 5/15/2016 8.35%
6/25/2013 6/25/2016 8.27%
6/29/2011 6/29/2016 9.62%
1/9/2011 9/1/2016 9.41%
7/9/2006 9/7/2016 8.80%
9/27/2013 9/27/2016 9.8%
11/12/2006 12/11/2016 8.78%
12/15/2011 12/15/2016 9.64%
1/6/2012 1/6/2017 9.61%
2/5/2012 2/5/2017 9.52%
2/17/2012 2/17/2017 9.33%
3/20/2012 3/20/2017 9.72%
3/20/2012 3/20/2017 9.59%
3/22/2007 3/22/2017 9.90%
3/30/2007 3/30/2017 9.90%
3/28/2012 4/15/2017 9.66%
5/18/2007 5/18/2017 9.96%
6/29/2012 6/29/2017 9.40%
7/7/2014 7/7/2017 9.11%
8/2/2013 8/2/2017 8.72%
8/21/2012 8/21/2017 9.01%
8/21/2012 8/21/2017 9.27%
10/15/2012 10/15/2017 8.91%
12/28/2007 12/28/2017 9.28%
1/15/2013 1/15/2018 8.75%
2/20/2013 2/20/2018 8.77%
3/18/2013 3/18/2018 8.90%
5/15/13 5/15/2018 8.3%
9/6/2008 6/9/2018 9.68%
7/10/2013 7/10/2018 9.81%
7/15/2008 7/15/2018 10.55%
8/2/2013 8/2/2018 8.72%
11/8/2008 8/11/2018 10.85%
9/15/2008 8/25/2018 11.00%
11/3/2013 11/3/2018 8.95%
11/28/2008 11/28/2018 11.25%
12/15/2011 12/15/2018 9.70%
1/6/2012 1/6/2019 9.41%
1/31/2014 1/31/2019 9.70%
3/3/2014 2/3/2019 9.69%
7/7/2014 7/7/2019 9.15%
8/2/2013 8/2/2019 8.72%
8/7/2009 8/7/2019 8.60%
10/15/2009 10/15/2019 8.80%
11/20/2009 11/20/2019 IY INCMT(BMK) +179bps
12/15/2009 12/15/2019 8.50%
1/15/2010 1/15/2020 8.70%
1/31/2014 1/31/2020 9.70%
2/20/2013 2/20/2020 8.82%
3/15/2010 3/15/2020 8.90%
3/20/2012 3/20/2020 9.42%
3/30/2010 3/30/2020 8.95%
6/3/2012 4/15/2020 9.30%
5/14/2010 5/14/2020 8.70%
6/15/2010 6/15/2020 8.65%
8/4/2010 7/15/2020 8.70%
11/15/2010 11/15/2020 8.78%
12/15/2010 12/15/2020 9.05%
1/31/2014 1/31/2021 9.70%
4/15/2011 4/15/2021 9.18%
5/31/2006 5/31/2021 8.85%
9/6/2011 6/9/2021 9.70%
6/29/2011 6/29/2021 9.61%
7/7/2014 7/7/2021 9.2%
1/8/2011 8/1/2021 9.36%
9/23/2011 9/23/2021 9.44%
10/15/2011 10/15/2021 7.51%
11/21/2011 11/21/2021 8.50%
11/21/2011 11/21/2021 8.50%
3/30/2022 3/30/2022 8.43%
3/30/2022 3/30/2022 8.43%
3/28/2012 4/15/2022 9.48%
6/29/2012 6/29/2022 9.39%
8/21/2012 8/21/2022 9.29%
3/18/2013 3/18/2023 8.90%
3/18/2013 3/18/2023 8.87%
3/28/2013 3/28/2023 (6.88/7.38)%
4/1/2013 4/1/2023 7.19 %
6/3/2012 4/15/2023 9.26%
6/14/2013 6/14/2023 8.19%
8/30/2013 8/30/2023 8.01%
11/16/2013 11/16/2023 8.18%
11/16/2013 11/16/2023 8.43%
1/13/2014 1/13/2024 9.65%
21-Feb-14 2/21/2024 9.7%
8/7/2009 8/7/2024 8.60%
12/15/2009 12/15/2024 8.50%
1/15/2010 1/15/2025 8.80%
3/15/2010 3/15/2025 8.90%
3/30/2010 3/30/2025 8.95%
5/14/2010 5/14/2025 8.70%
6/15/2010 6/15/2025 8.75%
12/15/2010 12/15/2025 9.05%
1/8/2011 8/1/2026 9.46%
1/9/2011 9/1/2026 9.45%
10/15/2011 10/15/2026 7.75%
11/21/2011 11/21/2026 8.75%
11/21/2011 11/21/2026 8.75%
3/30/2012 3/30/2027 8.72%
3/30/2012 3/30/2027 8.72%
3/18/2013 3/18/2028 8.90%
3/25/2013 3/25/2028 8.94%
3/28/2013 3/28/2028 (7.04/7.54)%
4/1/2013 4/1/2028 7.36%
8/30/2013 8/30/2028 8.46%
11/3/2013 11/3/2028 9%
11/16/2013 11/16/2028 8.54%
11/16/2013 11/16/2028 8.79%
6/15/2010 6/15/2030 8.85%
12/15/2010 12/15/2030 9.05%
11/16/2013 11/16/2033 8.67%
11/16/2013 11/16/2033 8.92%
11/13/2002 11/13/2014 7.87%
3/10/2002 3/10/2015 8.21%
11/13/2002 11/13/2015 7.87%
3/10/2002 3/10/2016 8.21%
11/13/2002 11/13/2016 7.87%
3/10/2002 3/10/2017 8.21%
5/16/2002 5/16/2017 9.60%
5/24/2002 5/24/2017 9.60%
11/13/2002 11/13/2017 7.87%
12/30/2002 12/30/2022 Zero Coupon
1/14/2011 1/15/2018 8.97%
1/14/2014 1/15/2021 8.99%
3/31/2011 3/31/2021 8.30%
3/31/2011 3/31/2021 8.30% (Compounded Annually)
3/31/2011 3/31/2026 8.50%
3/31/2011 3/31/2026 8.50% (Compounded annually)
7/12/2001 7/12/2014 9.80%
7/17/2003 7/17/2014 6.10%
7/24/2006 7/24/2014 9.25%
7/31/2002 7/31/2014 8.63%
8/7/2010 8/7/2014 8.64%
7/9/2006 9/7/2014 8.93%
9/22/2005 9/22/2014 7.39%
9/29/2009 9/29/2014 8.80%
11/10/2006 10/11/2014 8.73%
10/21/2010 10/21/2014 8.84%
7/12/2006 12/7/2014 8.68%
12/15/2008 12/15/2014 9.33%
9/2/2007 2/9/2015 9.25%
2/18/2005 2/18/2015 7.10%
2/23/2004 2/23/2015 6.68%
2/25/2010 2/25/2015 8.90%
7/3/2008 3/7/2015 9.30%
12/3/2009 3/12/2015 9.20%
3/26/2007 3/26/2015 9.95%
3/28/2002 3/28/2015 9.70%
3/29/2010 3/29/2015 8.84%
3/31/2008 3/31/2015 9.47%
5/31/2011 5/31/2015 9.64%
12/6/2007 6/12/2015 10.10%
6/21/2001 6/21/2015 10.90%
7/12/2001 7/12/2015 9.80%
7/17/2003 7/17/2015 6.10%
7/24/2006 7/24/2015 9.25%
7/31/2002 7/31/2015 8.63%
8/7/2010 8/7/2015 8.64%
9/3/2006 9/3/2015 8.15% pa
7/9/2006 9/7/2015 8.93%
9/22/2005 9/22/2015 7.39%
9/29/2009 9/29/2015 8.80%
11/10/2006 10/11/2015 8.73%
10/21/2010 10/21/2015 8.84%
7/12/2006 12/7/2015 8.68%
12/15/2008 12/15/2015 9.33%
12/26/2011 12/26/2015 9.25%
9/2/2007 2/9/2016 9.25%
2/18/2005 2/18/2016 7.10%
2/23/2004 2/23/2016 6.68%
2/25/2010 2/25/2016 8.90%
7/3/2008 3/7/2016 9.30%
12/3/2009 3/12/2016 9.20%
3/26/2007 3/26/2016 9.95%
3/28/2002 3/28/2016 9.70%
3/29/2010 3/29/2016 8.84%
3/31/2008 3/31/2016 9.47%
5/31/2011 5/31/2016 9.64%
12/6/2007 6/12/2016 10.10%
6/28/2012 6/28/2016 9.3%
7/12/2001 7/12/2016 9.80%
7/24/2006 7/24/2016 9.25%
7/31/2002 7/31/2016 8.63%
8/7/2010 8/7/2016 8.64%
8/29/2011 8/29/2016 9.35%
9/3/2006 9/3/2016 8.15% pa
7/9/2006 9/7/2016 8.93%
9/22/2005 9/22/2016 7.39%
9/29/2009 9/29/2016 8.80%
11/10/2006 10/11/2016 8.73%
10/19/2012 10/19/2016 8.85%
10/21/2010 10/21/2016 8.84%
7/12/2006 12/7/2016 8.68%
12/15/2008 12/15/2016 9.33%
12/26/2011 12/26/2016 9.25%
9/2/2007 2/9/2017 9.25%
2/18/2005 2/18/2017 7.10%
2/23/2004 2/23/2017 6.68%
2/25/2010 2/25/2017 8.90%
7/3/2008 3/7/2017 9.30%
12/3/2009 3/12/2017 9.20%
3/26/2007 3/26/2017 9.95%
3/28/2002 3/28/2017 9.70%
3/29/2010 3/29/2017 8.84%
3/31/2008 3/31/2017 9.47%
5/20/2013 5/20/2017 7.93%
5/31/2011 5/31/2017 9.64%
12/6/2007 6/12/2017 10.10%
6/28/2012 6/28/2017 9.3%
7/24/2006 7/24/2017 9.25%
7/31/2002 7/31/2017 8.63%
8/7/2010 8/7/2017 8.64%
8/29/2011 8/29/2017 9.35%
9/3/2006 9/3/2017 8.15% pa
7/9/2006 9/7/2017 8.93%
9/22/2005 9/22/2017 7.39%
9/29/2009 9/29/2017 8.80%
11/10/2006 10/11/2017 8.73%
10/19/2012 10/19/2017 8.85%
10/21/2010 10/21/2017 8.84%
7/12/2006 12/7/2017 8.68%
12/15/2008 12/15/2017 9.33%
12/26/2011 12/26/2017 9.25%
9/2/2007 2/9/2018 9.25%
2/18/2005 2/18/2018 7.10%
2/23/2004 2/23/2018 6.68%
2/25/2010 2/25/2018 8.90%
2/28/2014 2/28/2018 9.65%
7/3/2008 3/7/2018 9.30%
12/3/2009 3/12/2018 9.20%
3/26/2007 3/26/2018 9.95%
3/29/2010 3/29/2018 8.84%
3/31/2008 3/31/2018 9.47%
5/20/2013 5/20/2018 7.93%
5/31/2011 5/31/2018 9.64%
12/6/2007 6/12/2018 10.10%
6/28/2012 6/28/2018 9.3%
7/15/2013 7/15/2018 8.7%
7/24/2006 7/24/2018 9.25%
8/7/2010 8/7/2018 8.64%
8/29/2011 8/29/2018 9.35%
9/3/2006 9/3/2018 8.15% pa
7/9/2006 9/7/2018 8.93%
9/22/2005 9/22/2018 7.39%
9/29/2009 9/29/2018 8.80%
11/10/2006 10/11/2018 8.73%
10/19/2012 10/19/2018 8.85%
10/21/2010 10/21/2018 8.84%
7/12/2006 12/7/2018 8.68%
12/15/2008 12/15/2018 9.33%
12/26/2011 12/26/2018 9.25%
9/2/2007 2/9/2019 9.25%
2/23/2004 2/23/2019 6.68%
2/25/2010 2/25/2019 8.90%
2/28/2014 2/28/2019 9.65%
7/3/2008 3/7/2019 9.30%
12/3/2009 3/12/2019 9.20%
3/26/2007 3/26/2019 9.95%
3/29/2010 3/29/2019 8.84%
3/31/2008 3/31/2019 9.47%
5/20/2013 5/20/2019 7.93%
5/31/2011 5/31/2019 9.64%
12/6/2007 6/12/2019 10.10%
6/28/2012 6/28/2019 9.3%
7/24/2006 7/24/2019 9.25%
8/7/2010 8/7/2019 8.64%
8/29/2011 8/29/2019 9.35%
9/3/2006 9/3/2019 8.15% pa
7/9/2006 9/7/2019 8.93%
9/29/2009 9/29/2019 8.80%
11/10/2006 10/11/2019 8.73%
10/19/2012 10/19/2019 8.85%
10/21/2010 10/21/2019 8.84%
7/12/2006 12/7/2019 8.68%
12/15/2008 12/15/2019 9.33%
12/26/2011 12/26/2019 9.25%
9/2/2007 2/9/2020 9.25%
2/25/2010 2/25/2020 8.90%
2/28/2014 2/28/2020 9.65%
7/3/2008 3/7/2020 9.30%
12/3/2009 3/12/2020 9.20%
3/26/2007 3/26/2020 9.95%
3/29/2010 3/29/2020 8.84%
3/31/2008 3/31/2020 9.47%
5/20/2013 5/20/2020 7.93%
5/31/2011 5/31/2020 9.64%
12/6/2007 6/12/2020 10.10%
6/28/2012 6/28/2020 9.3%
7/24/2006 7/24/2020 9.25%
8/7/2010 8/7/2020 8.64%
8/29/2011 8/29/2020 9.35%
9/3/2006 9/3/2020 8.15% pa
7/9/2006 9/7/2020 8.93%
9/29/2009 9/29/2020 8.80%
11/10/2006 10/11/2020 8.73%
10/19/2012 10/19/2020 8.85%
10/21/2010 10/21/2020 8.84%
7/12/2006 12/7/2020 8.68%
12/15/2008 12/15/2020 9.33%
12/26/2011 12/26/2020 9.25%
9/2/2007 2/9/2021 9.25%
2/25/2010 2/25/2021 8.90%
2/28/2014 2/28/2021 9.65%
7/3/2008 3/7/2021 9.30%
12/3/2009 3/12/2021 9.20%
3/26/2007 3/26/2021 9.95%
3/29/2010 3/29/2021 8.84%
3/31/2008 3/31/2021 9.47%
5/20/2013 5/20/2021 7.93%
5/31/2011 5/31/2021 9.64%
12/6/2007 6/12/2021 10.10%
6/28/2012 6/28/2021 9.3%
7/24/2006 7/24/2021 9.25%
8/7/2010 8/7/2021 8.64%
8/29/2011 8/29/2021 9.35%
9/3/2006 9/3/2021 8.15% pa
7/9/2006 9/7/2021 8.93%
9/29/2009 9/29/2021 8.80%
11/10/2006 10/11/2021 8.73%
10/19/2012 10/19/2021 8.85%
10/21/2010 10/21/2021 8.84%
7/12/2006 12/7/2021 8.68%
12/15/2008 12/15/2021 9.33%
12/26/2011 12/26/2021 9.25%
9/2/2007 2/9/2022 9.25%
2/25/2010 2/25/2022 8.90%
2/28/2014 2/28/2022 9.65%
7/3/2008 3/7/2022 9.30%
12/3/2009 3/12/2022 9.20%
3/26/2007 3/26/2022 9.95%
3/29/2010 3/29/2022 8.84%
3/31/2008 3/31/2022 9.47%
5/20/2013 5/20/2022 7.93%
5/31/2011 5/31/2022 9.64%
12/6/2007 6/12/2022 10.10%
6/28/2012 6/28/2022 9.3%
8/7/2010 8/7/2022 8.64%
8/29/2011 8/29/2022 9.35%
9/29/2009 9/29/2022 8.80%
10/19/2012 10/19/2022 8.85%
10/21/2010 10/21/2022 8.84%
12/15/2008 12/15/2022 9.33%
12/26/2011 12/26/2022 9.25%
2/25/2010 2/25/2023 8.90%
2/28/2014 2/28/2023 9.65%
7/3/2008 3/7/2023 9.30%
12/3/2009 3/12/2023 9.20%
3/13/2013 3/13/2023 8.80%
3/29/2010 3/29/2023 8.84%
3/31/2008 3/31/2023 9.47%
5/20/2013 5/20/2023 7.93%
5/31/2011 5/31/2023 9.64%
6/28/2012 6/28/2023 9.3%
7/15/2013 7/15/2023 8.7%
8/7/2010 8/7/2023 8.64%
8/29/2011 8/29/2023 9.35%
9/29/2009 9/29/2023 8.80%
10/19/2012 10/19/2023 8.85%
10/21/2010 10/21/2023 8.84%
12/15/2008 12/15/2023 9.33%
12/26/2011 12/26/2023 9.25%
2/25/2010 2/25/2024 8.90%
2/28/2014 2/28/2024 9.65%
12/3/2009 3/12/2024 9.20%
3/29/2010 3/29/2024 8.84%
5/20/2013 5/20/2024 7.93%
5/31/2011 5/31/2024 9.64%
6/28/2012 6/28/2024 9.3%
8/7/2010 8/7/2024 8.64%
8/29/2011 8/29/2024 9.35%
9/29/2009 9/29/2024 8.80%
10/19/2012 10/19/2024 8.85%
10/21/2010 10/21/2024 8.84%
12/26/2011 12/26/2024 9.25%
2/25/2010 2/25/2025 8.90%
2/28/2014 2/28/2025 9.65%
3/29/2010 3/29/2025 8.84%
5/20/2013 5/20/2025 7.93%
5/31/2011 5/31/2025 9.64%
6/28/2012 6/28/2025 9.3%
8/7/2010 8/7/2025 8.64%
8/29/2011 8/29/2025 9.35%
10/19/2012 10/19/2025 8.85%
10/21/2010 10/21/2025 8.84%
12/26/2011 12/26/2025 9.25%
2/28/2014 2/28/2026 9.65%
5/20/2013 5/20/2026 7.93%
5/31/2011 5/31/2026 9.64%
6/28/2012 6/28/2026 9.3%
8/29/2011 8/29/2026 9.35%
10/19/2012 10/19/2026 8.85%
12/26/2011 12/26/2026 9.25%
2/28/2014 2/28/2027 9.65%
3/29/2012 3/29/2027 9.40%
5/20/2013 5/20/2027 7.93%
6/28/2012 6/28/2027 9.3%
8/29/2011 8/29/2027 9.35%
9/3/2012 9/3/2027 9.25%
10/19/2012 10/19/2027 8.85%
2/28/2014 2/28/2028 9.65%
5/20/2013 5/20/2028 7.93%
7/15/2013 7/15/2028 8.7%
8/29/2011 8/29/2028 9.35%
2/28/2014 2/28/2029 9.65%
8/29/2011 8/29/2029 9.35%
8/29/2011 8/29/2030 9.35%
1/1/2013 9/30/2015 20.50%
2/8/2013 6/30/2015 18%
11/10/2010 11/9/2015 NA
1/27/2011 1/26/2016 NA
9/16/11 9/15/2016 NA
6/13/12 6/13/2017 NA
9/16/2011 9/15/2016 NA
6/12/2012 6/11/2017 NA
6/11/2012 6/11/2017 ZERO COUPON
6/11/2012 6/11/2018 ZERO COUPON
3/15/2014 6/14/2016 14%
4/15/2014 6/14/2016 14%
4/16/2014 6/14/2016 14%
1/31/2013 1/31/2016 RESET RATE (REFER REMARKS)
3/25/2014 3/25/2016 13.45%
3/18/2014 3/17/2017 13.45%
4/22/2014 4/21/2017 13.45%
9/26/2012 9/30/2015 16.5%
3/10/2013 3/31/2017 17.5%
4/10/2013 3/31/2017 17.5%
11/20/2013 3/31/2017 17.5%
12/27/2013 3/31/2017 17.5%
7/15/2011 7/15/2014 11.60%
9/17/2010 9/17/2014 10.00%
7/15/2011 7/15/2015 11.80%
8/18/2010 8/18/2015 9.30%
9/17/2010 9/17/2015 10.42%
8/31/2011 8/31/2014 ZERO COUPON
31-Oct-11 10/31/2014 ZERO COUPON
1/30/2014 4/30/2018 12%
2/20/2014 4/30/2018 12%
3/18/2014 4/30/2018 12%
6/26/2014 12/28/2015 ZERO COUPON
10/1/2009 9/30/2014 10.60%
3/31/2011 3/31/2021
3/31/2011 3/31/2021
3/31/2011 3/31/2021 8.30%
3/31/2011 3/31/2021 8.25%
3/30/2012 3/30/2022 8.93%
3/30/2012 3/30/2022 8.93%
1/27/2011 1/26/2023 10.50%
3/30/2012 3/30/2027 9.15%
3/30/2012 3/30/2027 9.15%
8.30% (To be Compounded annually, refer remark)
8.25% (to be compounded annually, refer remark)
8/30/2013 2/27/2015 15.5%
6/28/2013 5/5/2018 14.58%
5/6/2014 6/11/2015 ZERO COUPON
4/10/2013 4/10/2017 18%
4/23/2013 4/23/2033 18%
4/23/2013 4/23/2033 18%
9/10/2009 9/10/2014 10.00%
10/15/2010 10/15/2015 10.50%
2/1/2009 1/2/2019 12.00%
7/31/2006 4/30/2016 9.25%
2/15/2008 5/15/2018 9.10%
9/22/2008 4/22/2019 11.05%
6/26/2009 4/26/2019 8.70%
1/11/2010 4/11/2020 8.70%
6/24/2011 10/24/2021 9.73%
12/22/2008 12/31/2099 Reset Rate (Refer remark)
1/18/2006 6/1/2016 7.85%
9/30/2006 9/30/2016 8.50%
1/12/2006 12/1/2016 9.32%
8/3/2009 9/1/2019 9.05%
1/8/2011 8/1/2021 9.23%
1/9/2011 9/1/2021 9.95%
8/16/2012 8/16/2022 9.8%
11/16/2012 11/16/2022 9.8%
1/5/2013 1/5/2023 9.70%
6/8/2007 8/6/2017 10.07%
12/27/2007 12/27/2018 Zero Coupon
12/27/2007 12/27/2019 Zero Coupon
12/27/2007 12/27/2020 Zero Coupon
12/27/2007 12/27/2021 Zero Coupon
12/27/2007 12/27/2022 Zero Coupon
12/27/2007 12/27/2023 Zero Coupon
12/31/2008 12/31/2023 11.45%
1/19/2009 1/19/2024 11.45%
2/16/2009 2/16/2024 11.45%
10/15/2008 10/15/2024 0.40%
12/27/2007 12/27/2024 Zero Coupon
10/15/2008 10/15/2025 0.40%
12/27/2007 12/27/2025 Zero Coupon
10/15/2008 10/15/2026 0.40%
12/27/2007 12/27/2026 Zero Coupon
10/15/2008 10/15/2027 0.40%
12/27/2007 12/27/2027 Zero Coupon
10/15/2008 10/15/2028 0.40%
10/15/2008 10/15/2029 0.40%
10/15/2008 10/15/2030 0.40%
10/15/2008 10/15/2031 0.40%
10/15/2008 10/15/2032 0.40%
10/15/2008 10/15/2033 0.40%
8/9/2006 4/8/2016 8.95%
6/16/2006 4/16/2016 8.45%
8/16/2006 4/16/2016 9.15%
8/12/2006 12/8/2021 8.80% (Refer remark)
12/12/2007 12/12/2022 9.35% (Refer remark)
5/3/2008 3/5/2023 9.35% (Refer remark)
3/27/2008 3/27/2023 9.45% (Refer remark)
9/29/2008 9/29/2023 10.85% (Refer remark)
12/22/2008 12/22/2023 8.95% (Refer remark)
2/18/2009 2/18/2024 Reset Rate (Refer remark)
2/24/2014 2/24/2024 9.65%
4/3/2014 3/4/2024 9.68%
3/28/2014 3/28/2024 9.68%
4/21/2009 4/21/2024 Reset Rate (Refer remark)
6/4/2009 6/4/2024 8.37%
9/9/2009 9/9/2024 8.60%
11/27/2009 11/27/2024
5/24/2010 5/24/2025 Reset Rate (Refer remark)
1/18/2008 12/29/2099 9.45% (Refer remark)
11/12/2007 12/30/2099 9.75% (Refer remark)
1/19/2009 12/30/2099 8.90% (Refer remark)
7/20/2007 12/31/2099 10.40% (Refer remark)
8/28/2009 12/31/2099 Reset Rate (Refer remark)
11/27/2009 12/31/2099
4/24/2008 7/8/2018 9.40%
1/29/2009 1/29/2019 10.15%
6/7/2009 9/7/2019 9.01%
1/27/2006 1/26/2016 7.80%
11/30/2006 11/29/2016 9.32%
8/2/2007 2/7/2017 9.32%
4/24/2009 4/23/2019 9.32%
7/10/2009 7/9/2019 9.43%
8/27/2012 8/26/2022 9.7%
2/22/2013 2/21/2023 9.90%
3/28/2013 3/27/2023 9.90%
10/12/2010 9/12/2020 8.70%
2/17/2011 2/16/2021 9.05%
3/26/2013 8/26/2016 17%
6/13/2013 9/26/2016 17%
6/19/2014 9/26/2016 17%
6/19/2014 9/26/2016 17%
1/1/2010 1/1/2017 11.40%
1/1/2010 1/1/2018 11.40%
1/1/2010 1/1/2019 11.40%
2/25/2014 2/25/2019
10/6/2014 10/6/2019
1/1/2010 1/1/2020 11.40%
1/21/2013 3/31/2023 RESET RATE
11/12/2012 11/12/2022 7%
RESET RATE-10.95% (REFER REMARKS)
RESET RARE (10.75% REFER REMARK)
5/15/2012 3/15/2015 17%
1/24/2014 8/1/2017 18.75%
4/12/2012 4/12/2022 9.45%
1/22/2013 1/22/2023 9.24%
1/31/2012 1/31/2021 ZERO COUPON
1/31/2012 1/31/2022 ZERO COUPON
1/31/2012 1/31/2023 ZERO COUPON
1/31/2012 1/31/2024 ZERO COUPON
6/28/2012 6/28/2024 9.74%
9/26/2012 9/26/2024 9.51%
1/31/2012 1/31/2025 ZERO COUPON
2/15/2013 2/15/2025 9.30%
3/22/2013 3/22/2025 9.40%
6/9/2013 6/9/2025 9.07%
1/17/2014 1/17/2026 10.25%
1/31/2012 1/31/2026 ZERO COUPON
3/28/2014 3/28/2026 10.15%
1/31/2012 1/31/2027 ZERO COUPON
1/31/2012 1/31/2028 ZERO COUPON
1/31/2012 1/31/2029 ZERO COUPON
1/31/2012 1/31/2030 ZERO COUPON
12/31/2010 12/31/2019 ZERO COUPON
1/14/2011 1/14/2020 ZERO INTREST
12/31/2010 12/31/2020 ZERO COUPON
1/14/2011 1/14/2021 ZERO COUPON
12/31/2010 12/31/2021 ZERO COUPON
1/14/2011 1/14/2022 ZERO COUPON
12/31/2010 12/31/2022 ZERO COUPON
1/14/2011 1/14/2023 ZERO COUPON
12/31/2010 12/31/2023 ZERO COUPON
1/14/2011 1/14/2024 ZERO COUPON
12/31/2010 12/31/2024 ZERO COUPON
1/14/2011 1/14/2025 ZERO COUPON
12/31/2010 12/31/2025 ZERO COUPON
1/14/2011 1/14/2026 ZERO COUPON
12/31/2010 12/31/2026 ZERO COUPON
1/14/2011 1/14/2027 ZERO COUPON
12/31/2010 12/31/2027 ZERO COUPON
1/14/2011 1/14/2028 ZERO COUPON
12/31/2010 12/31/2028 ZERO COUPON
1/14/2011 1/14/2029 ZERO COUPON
1/11/2012 1/11/2022 9.7%
7/17/2012 7/17/2022 9.7%
2/20/2014 2/20/2024 10.25%
5/2/2014 4/30/2018 12%
3/1/2014 3/7/2017 17.50%
12/29/2006 3/31/2022 13.5%
1/22/2007 3/31/2022 13.5%
1/2/2008 3/31/2022 13.5%
10/16/2008 3/31/2022 13.5%
2/9/2009 3/31/2022 13.5%
2/17/2010 3/31/2022 13.5%
5/28/2010 3/31/2022 13.5%
5/8/2012 3/31/2022 13.5%
11/2/2012 1/31/2016 19%
12/24/2012 12/24/2014 10.5%
3/12/2013 11/27/2015 11.25%
12/10/2012 12/10/2015 10.6%
6/28/2013 6/28/2016 10.55%
12/16/2013 11/14/2016 ZERO COUPON
3/27/2014 4/24/2017 ZERO COUPON
10/30/2012 10/29/2022 ZERO COUPON
10/30/2012 10/29/2022 ZERO COUPON
3/17/2011 7/17/2014 NIFTY INDEX LINKED
4/18/2011 7/18/2014 NIFTY INDEX LINKED
3/25/2011 7/25/2014 NIFTY LINKED
3/30/2011 7/30/2014 NIFTY INDEX LINKED
4/19/2011 8/19/2014 NIFTY INDEX LINKED
5/26/2011 9/26/2014 NIFTY INDEX LINKED
11/3/2014 10/3/2018 16%
8/14/2013 2/15/2016 19%
2/21/2012 2/20/2017 10%
9/29/2011 9/29/2015 16.65%
6/8/2010 7/6/2014 11.75%
8/6/2010 7/12/2014 11.75%
12/21/2009 12/20/2014 11.75%
3/15/2012 3/15/2015 12%
3/15/2012 3/15/2015 12%
9/29/2011 3/29/2015 13.00%
8/6/2010 7/6/2015 11.75%
9/29/2011 9/29/2015 13.00%
3/15/2012 3/15/2016 12%
3/15/2012 3/15/2016 12%
9/29/2011 3/29/2016 13.00%
9/29/2011 9/29/2016 13.00%
3/15/2012 3/15/2017 12%
3/15/2012 3/15/2017 12%
9/8/2012 8/8/2015 ZERO COUPON
7/2/2012 7/5/2014 NIFTY LINKED
8/7/2011 7/8/2014 10.65%
7/13/2011 7/14/2014 10.65%
4/13/2012 7/14/2014 NIFTY LINKED
2/20/2013 7/14/2014 ZERO COUPON
2/26/2013 7/26/2014 NIFTY LINKED
8/8/2011 8/8/2014 10.50%
11/3/2013 8/8/2014 NIFTY LINKED
11/8/2011 8/11/2014 10.50%
12/8/2011 8/12/2014 10.50%
8/18/2011 8/18/2014 10.50%
9/10/2009 9/10/2014 9.75%
10/5/2012 9/14/2014 NIFTY LINK
9/20/2012 9/22/2014 NIFTY LINKED
10/17/2011 9/25/2014 NIFTY LINKED
4/8/2013 10/3/2014 NIFTY LINKED
9/7/2012 10/10/2014 NIFTY LINKED
7/9/2012 10/12/2014 NIFTY LINKED
7/9/2012 10/12/2014 NIFTY LINKED
7/20/2012 10/22/2014 NIFTY LINKED
7/23/2012 10/27/2014 NIFTY LINKED
9/18/2013 10/30/2014
9/3/2012 11/6/2014 NIFTY LINKED
8/13/2012 11/13/2014 NIFTY LINKED
RELIANCE 24 KARAT INDEX LINKED
8/19/2013 11/14/2014 NIFTY LINKED
12/9/2012 12/9/2014 10.7%
12/19/2012 12/14/2014 NIFTY LINKED
1/2/2012 1/6/2015 NIFTY LINKED
7/11/2013 1/13/2015 NIFTY LINKED
11/12/2013 1/13/2015 CNX NIFTY INDEX LINKED
10/19/2011 1/19/2015 NIFTY LINKED
2/22/2013 1/20/2015 ZERO COUPON
11/7/2013 1/27/2015 NIFTY LINKED
1/10/2012 2/1/2015 NIFTY LINKED
11/7/2013 2/2/2015 NIFTY LINKED
7/30/2012 2/3/2015 10.7%
8/10/2013 2/11/2015 NIFTY LINKED
5/20/2013 2/16/2015 NIFTY LINKED
10/21/2011 2/21/2015 NIFTY LINKED
11/27/2013 2/27/2015 CNX NIFTY LINKED
10/5/2012 3/9/2015 NIFTY LINKED
2/14/2014 3/18/2015 CNX NIFTY INDEX LINKED
7/30/2012 3/20/2015 10.7%
3/29/2012 3/30/2015 10.25%
4/10/2011 4/1/2015 NIFTY LINKED
3/27/2014 4/5/2015 CNX NIFTY INDEX LINKED
9/10/2013 4/11/2015 NIFTY LINKED
12/1/2012 4/13/2015 NIFTY LINKED
3/21/2014 4/27/2015 CNX NIFTY INDEX LINKED
2/28/2014 4/30/2015 CNX NIFTY INDEX LINKED
6/6/2012 5/6/2015 10.4%
2/14/2012 5/14/2015 NIFTY LINKED
5/14/2012 5/14/2015 10.40%
2/19/2013 5/18/2015 NIFTY LINKED
3/1/2014 5/18/2015 CNX NIFTY INDEX LINKED
1/17/2013 5/19/2015 NIFTY LINKED
3/18/2014 5/20/2015 CNX NIFTY INDEX LINKED
12/26/2013 6/5/2015 ZERO COUPON
3/15/2013 6/14/2015 NIFTY LINKED
3/26/2013 6/23/2015 NIFTY LINKED
6/28/2010 6/26/2015 8.40%
5/10/2012 7/1/2015 NIFTY LINKED
4/10/2013 7/7/2015
8/8/2012 7/8/2015 10.3%
4/9/2013 7/8/2015 NIFTY LINKED
5/6/2012 7/9/2015 NIFTY LINKED
RELIANCE 24 KARAT INDEX LINKED
4/7/2012 7/11/2015 NIFTY LINKED
12/7/2012 7/12/2015 NIFTY LINKED
3/26/2012 7/20/2015 NIFTY LINKED
7/20/2012 7/20/2015 10.35%
5/2/2013 7/30/2015
11/3/2014 8/7/2015 CNX NIFTY INDEX LINKED
8/21/2013 8/21/2015 ZERO COUPON
5/2/2014 8/21/2015 CNX NIFTY INDEX LINKED
6/11/2012 9/2/2015 NIFTY LINKED
11/1/2013 9/4/2015 NIFTY LINKED
8/3/2013 9/7/2015 NIFTY LINKED
6/7/2013 9/7/2015 NIFTY LINKED
2/8/2012 9/12/2015 NIFTY LINKED
6/19/2013 9/14/2015 RELIANCE 24 KARAT INDEX LINK
RELIANCE 24 KARAT INDEX LINKED
5/25/2012 9/18/2015 NIFTY LINKED
3/20/2014 9/22/2015
5/10/13 9/24/2015 NIFTY LINKED
5/13/13 9/25/2015 NIFTY LINKED
6/26/2013 9/28/2015 RELIANCE 24 KARAT INDEX LINK
7/30/2012 10/3/2015 10.7%
12/3/2013 10/6/2015 NIFTY LINKED
3/13/2013 10/6/2015 NIFTY LINKED
5/31/2012 10/16/2015 NIFTY LINKED
12/10/2012 10/19/2015 NIFTY LINKED
6/12/2013 10/27/2015 NIFTY LINKED
6/27/2012 10/30/2015 NIFTY LINKED
10/10/2012 11/2/2015 NIFTY LINKED
6/9/2012 11/3/2015 NIFTY LINKED
EQUITY LINKED TO ITC, RELIANCE, SUNPHARMA, M AND M , INFY
2/15/2013 11/3/2015 10.7%
8/13/2013 11/9/2015
8/13/2013 11/10/2015
7/20/2012 11/20/2015 NIFTY LINKED
2/7/2012 11/26/2015 NIFTY LINKED
11/2/2013 12/1/2015 10.7%
12/2/2013 12/5/2015 NIFTY LINKED
5/17/2013 12/5/2015 ZERO COUPON
3/5/2014 12/7/2015 CNX NIFTY INDEX LINKED
5/25/2012 12/10/2015 NIFTY LINKED
4/7/2012 12/11/2015 NIFTY LINKED
11/9/2012 12/15/2015 NIFTY LINKED
9/4/2013 12/18/2015 NIFTY LINKED
9/24/2013 12/22/2015 ITC LTD STOCK LINKED
HINDUSTAN UNILEVER LTD STOCK LINKED
HINDUSTAN UNILEVER LTD STOCK LINKED
12/31/2010 12/31/2015 9.50%
8/29/2012 12/31/2015 NIFTY LINKED
1/2/2014 1/5/2016 CNX NIFTY INDEX LINKED
4/4/2014 1/6/2016 CNX NIFTY INDEX LINKED
3/4/2013 1/8/2016 NIFTY LINKED
1/14/2011 1/14/2016 9.60%
1/17/2011 1/17/2016 9.60%
9/14/2012 1/19/2016 NIFTY LINKED
3/1/2013 2/5/2016 NIFTY LINKED
11/7/2013 2/8/2016 NIFTY LINKED
11/7/2013 2/8/2016 NIFTY LINKED
12/2/2014 2/15/2016 CNX NIFTY INDEX LINKED
10/19/2012 2/19/2016 NIFTY LINKED
10/17/2012 2/22/2016 NIFTY LINKED
10/19/2012 2/22/2016 NIFTY LINKED
2/25/2013 2/25/2016 9.75%
11/12/2013 3/13/2016 CNX NIFTY INDEX LINKED
11/12/2013 3/14/2016 CNX NIFTY INDEX LINKED
3/19/2013 3/18/2016 9.75%
12/28/2012 3/29/2016 NIFTY LINKED
8/31/2012 4/1/2016 NIFTY LINKED
8/31/2012 4/1/2016 NIFTY LINKED
11/30/2012 4/4/2016 NIFTY LINKED
3/4/2013 4/8/2016 24 KARAT INDEX LINKED
12/17/2012 4/18/2016 NIFTY LINKED
3/1/2014 4/25/2016 CNX NIFTY INDEX LINKED
1/28/2014 4/26/2016 CNX NIFTY INDEX LINKED
8/10/2013 5/2/2016 NIFTY LINKED
7/2/2013 5/6/2016 NIFTY LINKED
12/5/2011 5/12/2016 11.00%
1/15/2013 5/16/2016 NIFTY LINKED
1/14/2013 5/17/2016 NIFTY LINKED
2/24/2014 5/17/2016
5/26/2011 5/26/2016 10.40%
5/10/2012 6/2/2016 NIFTY LINKED
8/10/2013 6/2/2016 NIFTY LINKED
3/14/2014 6/14/2016 CNX NIFTY INDEX LINKED
2/21/2013 6/20/2016 NIFTY LINKED
3/18/2014 6/20/2016 CNX NIFTY INDEX LINKED
2/21/2013 6/22/2016 NIFTY LINKED
2/26/2013 6/23/2016 NIFTY LINKED
2/26/2013 6/23/2016 NIFTY LINKED
10.2112% (COMPOUNDED ANNUALLY AND PAYABLE AT AT MATURITY)
3/21/2014 6/23/2016 CNX NIFTY INDEX LINKED
3/24/2014 6/24/2016 INFY LINKED
3/28/2014 6/28/2016 CNX NIFTY INDEX LINKED
3/4/2013 6/29/2016 NIFTY LINKED
3/27/2014 6/29/2016 CNX NIFTY INDEX LINKED
3/27/2014 6/29/2016 CNX NIFTY INDEX LINKED
5/3/2013 6/30/2016 NIFTY LINKED
7/9/2012 7/1/2016 NIFTY LINKED
2/4/2014 7/4/2016 CNX NIFTY INDEX LINKED
10/1/2013 7/5/2016 NIFTY LINKED
1/22/2013 7/18/2016 NIFTY LINKED
7/19/2011 7/19/2016 10.40%
7/26/2011 7/26/2016 10.40%
3/28/2013 7/28/2016 NIFTY LINKED
3/4/2013 7/29/2016 NIFTY LINKED
8/1/2013 8/1/2016 9.85%
9/10/2013 8/1/2016 NIFTY LINKED
6/11/2012 8/3/2016 NIFTY LINKED
6/12/2012 8/4/2016 NIFTY LINKED
12/17/2013 8/4/2016 CNX NIFTY INDEX LINKED
5/6/13 8/5/2016 NIFTY LINKED
4/10/2013 8/8/2016 NIFTY LINKED
4/10/2013 8/9/2016 NIFTY LINKED
4/10/2013 8/10/2016 NIFTY LINKED
4/17/2013 8/16/2016
4/23/2013 8/22/2016
5/2/2013 9/1/2016 NIFTY LINKED
5/6/13 9/1/2016 NIFTY LINKED
RELIANCE 24 KARAT INDEX LINKED
RELIANCE 24 KARAT INDEX LINKED
5/6/13 9/1/2016 NIFTY LINKED
5/3/13 9/2/2016 NIFTY LINKED
9/1/2013 9/5/2016 NIFTY LINKED
9/12/2011 9/12/2016 10.40%
9/13/2011 9/13/2016 10.40%
5/22/2013 9/18/2016 NIFTY LINKED
5/21/2013 9/20/2016
5/29/2013 9/25/2016 NIFTY LINKED
3/25/2013 9/27/2016 NIFTY LINKED
6/4/2013 10/7/2016 NIFTY LINKED
6/13/2013 10/13/2016 NIFTY LINKED
10/18/2011 10/18/2016 10.40%
6/19/2013 10/19/2016 NIFTY LINKED
10/31/2011 10/31/2016 10.40%
RELIANCE 24 KARAT INDEX LINKED
8/10/2012 11/1/2016 NIFTY LINKED
8/10/2012 11/2/2016 NIFTY LINKED
5/8/13 11/7/2016 NIFTY LINKED
5/12/2012 12/4/2016 NIFTY LINKED
2/13/2013 12/6/2016 NIFTY LINKED
3/15/2013 12/7/2016 NIFTY LINKED
12/19/2011 12/19/2016 10.50%
12/20/2013 12/20/2016 10.25%
8/19/2013 12/21/2016 NIFTY LINKED
9/4/2013 1/2/2017 NIFTY LINKED
1/6/2012 1/6/2017 10.30%
1/16/2012 1/16/2017 10.40%
9/18/2013 1/20/2017
9/18/2013 1/20/2017
RELIANCE 24 KARAT INDEX LINKED
RELIANCE 24 KARAT INDEX LINKED
4/10/2013 1/31/2017 NIFTY LINKED
11/7/2013 2/2/2017 NIFTY LINKED
11/29/2013 2/3/2017 CNX NIFTY INDEX LINKED
2/28/2014 2/5/2017 CNX NIFTY LINKED
10/14/2013 2/13/2017 NIFTY LINKED
4/10/2013 3/2/2017
4/12/2013 3/4/2017 CNX NIFTY INDEX LINKED
11/7/2013 3/6/2017 NIFTY LINKED
11/7/2013 3/10/2017 NIFTY LINKED
5/11/2012 3/11/2017 10%
3/20/2014 3/13/2017 10.2566%
3/16/2012 3/16/2017 10.40%
12/17/2013 3/20/2017 CNX NIFTY INDEX LINKED
9/18/2013 3/22/2017 NIFTY LINKED
RELIANCE 24 KARAT INDEX LINKED
3/27/2012 3/27/2017 10%
11/27/2013 3/31/2017 NIFTY LINKED
3/5/2014 4/10/2017 CNX NIFTY INDEX LINKED
10/12/2013 4/13/2017 CNX NIFTY INDEX LINKED
4/18/2012 4/18/2017 10.30%
11/7/2013 5/5/2017 NIFTY LINKED
5/9/2012 5/9/2017 10.15%
10/2/2014 5/13/2017 CNX NIFTY INDEX LINKED
6/6/2012 6/6/2017 10.3%
6/9/2012 6/9/2017 10.15%
8/10/2012 6/10/2017 10.15%
9/10/2012 6/10/2017 10.15%
3/12/2014 6/12/2017 CNX NIFTY INDEX LINKED
2/14/2014 6/20/2017 CNX NIFTY INDEX LINKED
4/10/2013 7/4/2017 NIFTY LINKED
11/12/2013 7/4/2017 CNX NIFTY INDEX LINKED
6/1/2014 7/4/2017 CNX NIFTY INDEX LINKED
6/1/2014 7/4/2017 CNX NIFTY INDEX LINKED
7/5/2012 7/5/2017 10.35%
4/4/2014 7/5/2017 CNX NIFTY INDEX LINKED
4/4/2014 7/5/2017 CNX NIFTY INDEX LINKED
3/5/2014 7/7/2017 CNX NIFTY INDEX LINKED
7/8/2012 7/8/2017 10.25%
3/6/2014 7/8/2017 CNX NIFTY INDEX LINKED
7/24/2012 7/24/2017 10.25%
4/4/2014 8/4/2017 CNX NIFTY INDEX LINKED
6/1/2014 8/5/2017 CNX NIFTY INDEX LINKED
4/4/2014 8/7/2017 CNX NIFTY INDEX LINKED
4/4/2014 8/7/2017 CNX NIFTY INDEX LINKED
3/4/2014 8/9/2017 CNX NIFTY INDEX LINKED
3/14/2014 8/17/2017 CNX NIFTY INDEX LINKED
6/12/2013 9/4/2017 CNX NIFTY INDEX LINKED
5/2/2014 9/6/2017 CNX NIFTY INDEX LINKED
9/8/2012 9/8/2017 10%
9/21/2012 9/21/2017 10.15%
6/9/2013 10/3/2017 NIFTY LINKED
4/4/2014 10/3/2017 CNX NIFTY INDEX LINKED
11/12/2013 12/4/2017
12/17/2012 12/15/2017 10%
12/20/2012 12/20/2017 10%
12/28/2012 12/28/2017 10 %
1/24/2013 1/24/2018 9.85%
RELIANCE 24 KARAT INDEX LINKED
12/8/2011 2/12/2018 10.33%
3/18/2013 3/18/2018 9.75%
4/17/2013 4/17/2018 9.45%
4/23/2012 4/23/2018 10.10%
4/23/2013 4/23/2018 9.45%
5/20/2011 5/21/2018 10.50%
5/27/2013 5/27/2018 9.3%
12/8/2011 8/12/2018 10.65%
8/19/2013 11/14/2018 NIFTY LINKED
12/20/2013 12/20/2018 10.3%
12/21/2011 12/21/2018 10.50%
11/30/2011 11/30/2019 10.28%
12/4/2012 12/4/2019 10.2426%
6/21/2012 6/19/2020 10.35%
8/21/2013 8/21/2020 10.35%
7/14/2011 7/14/2021 10.50%
12/8/2011 8/12/2021 10.75%
9/30/2011 9/30/2021 10.75%
10/24/2011 10/24/2021 10.75%
12/26/2011 12/26/2021 10.60%
12/28/2011 12/28/2021 10.75%
2/1/2012 2/1/2022 10.60%
2/11/2012 2/11/2022 9.95%
2/28/2012 2/28/2022 10.75%
3/21/2012 3/21/2022 10.60%
4/20/2012 4/20/2022 10.60%
5/3/2012 5/3/2022 10.60%
5/25/2012 5/25/2022 10.6%
6/20/2012 6/20/2022 10.35%
6/29/2012 6/29/2022 10.4%
7/31/2012 7/31/2022 10.20%
8/8/2012 8/8/2022 10.2%
8/17/2012 8/17/2022 10.20%
8/21/2012 8/21/2022 9.90%
8/31/2012 10/31/2022 10.25%
12/13/2012 12/13/2022 10.05%
1/24/2013 1/24/2023 9.9%
3/19/2013 3/17/2023 9.95%
3/28/2013 3/28/2023 9.85%
4/17/2013 4/17/2023 9.5%
5/20/2011 5/20/2023 10.50%
5/24/2013 5/24/2023 9.40%
6/25/2013 6/25/2023 9.25%
11/25/2013 11/25/2023 10.19%
1/13/2014 1/13/2024 10.19%
2/1/2014 2/1/2024 10.19%
9/4/2014 4/9/2024 10.1%
7/1/2014 7/1/2024 10.19%
9/12/2013 9/12/2025 10.15%
7/2/2012 7/2/2017 11.60%
7/2/2012 7/2/2019 11.25%
2/26/2009 2/25/2019 11.20%
6/12/2009 6/11/2029 Zero Coupon
6/27/2009 6/26/2029 Zero Coupon
6/1/2009 1/6/2019 10.95%
8/22/2011 8/22/2021 10.25%
4/5/2013 4/4/2015 9.75%
5/11/2012 5/11/2015 10.15%
4/4/2013 4/4/2016 9.75%
6/2/2013 6/2/2016 10%
2/9/2013 8/22/2016 ZERO COUPON
1/31/2014 1/31/2017 9.9%
3/1/2013 3/1/2018 10.00%
4/29/2013 4/29/2018 9.70%
5/7/13 5/4/2018 ZERO COUPON
6/3/2013 6/3/2018 9.25%
6/4/2013 6/4/2018 9.09%
6/7/2013 6/7/2018 9.25%
6/10/2013 6/10/2018 9.25%
6/13/2013 6/13/2018 9.25%
6/19/2013 6/19/2018 9.25%
8/1/2013 8/1/2018 10%
5/14/13 11/12/2018 9.5%
6/19/2014 6/19/2019 9.8%
6/27/2014 6/27/2019 9.8%
9/18/2012 9/18/2022 10.60%
9/27/2012 9/18/2022 10.60%
9/21/2012 9/21/2022 10.4%
9/24/2012 9/24/2022 10.4%
10/10/2012 10/10/2022 10.33%
10/18/2012 10/18/2022 10.33%
11/12/2012 11/12/2022 10%
5/29/2013 5/29/2023 9.50%
7/2/2013 7/2/2023 10%
7/5/2013 7/5/2023 9.35%
7/26/2013 7/26/2023 9.52%
3/28/2014 3/28/2024 9.90%
5/15/2014 5/15/2024 9.80%
4/27/2013 4/27/2025 9.48%
8/12/2008 12/8/2018 10.75%
5/7/2010 5/7/2020 8.75%
11/24/2003 11/24/2018 6.25%
9/27/2013 3/27/2015 11.3
3/26/2014 4/25/2015
3/27/2014 4/25/2015
3/27/2014 4/25/2015
3/24/2014 6/24/2015 ZERO COUPON
3/24/2014 3/24/2016 ZERO COUPON
11% RESET RATE (REFER REMARKS)
11.55% RESET RATE (REFER REMARKS)
11.6% RESET RATE (REFER REMARKS)
3/27/2014 3/25/2016
3/27/2014 3/25/2016
3/24/2014 3/24/2017 ZERO COUPON
3/27/2014 3/25/2017
3/24/2014 3/24/2018 ZERO COUPON
3/27/2014 3/24/2018
3/24/2014 3/24/2019 ZERO COUPON
10/31/2013 10/31/2020 10.20%
12/11/2013 12/11/2020 10.20%
1/21/2014 1/21/2022 11.5%
1/21/2014 1/21/2024 10.25%
8/6/2013 8/6/2020 10%
3/30/2012 3/30/2016 11.15%
3/30/2012 3/30/2017 11.15%
11.55% RESET RATE (REFER REMARKS)
11.6% RESET RATE (REFER REMARKS)
11.6% RESET RATE (REFER REMARKS)
11.6% RESET RATE (REFER REMARKS)
1/27/2012 1/27/2018 10.25%
3/30/2012 3/30/2018 11.15%
6/15/2013 6/15/2018 9.8%
6/15/2013 6/15/2018 9.8%
6/29/2013 6/29/2018 9.8%
6/29/2013 6/29/2018 9.8%
7/26/2013 7/26/2018 9.8%
1/27/2012 7/27/2018 10.50%
1/27/2009 1/26/2019 11.55%
6/15/2013 6/15/2020 10%
6/15/2013 6/15/2020 10%
6/29/2013 6/29/2020 10%
6/29/2013 6/29/2020 10%
7/26/2013 7/26/2020 10%
16-Jun-14 6/16/2024 9.25%
6/3/2012 1/3/2015 11%
3/26/2012 1/3/2016 11%
4/27/2010 2/27/2020 9.3%
7/18/2011 7/18/2021 10.40%
6/12/2013 6/12/2023 8.45%
4/27/2010 2/27/2015 9.20%
4/26/2013 4/26/2023 8.95%
3/28/2013 6/30/2017 14%
3/28/2013 3/28/2018 ZERO COUPON
9/30/2013 8/9/2019 ZERO COUPON
9/30/2013 8/9/2019 10.5%
6/23/2014 12/18/2015 11.3%
6/23/2014 4/26/2016 11.3%
3/31/2011 8/31/2016 12.50%
6/23/2014 4/26/2017 11.35%
8/8/2012 8/9/2014 INDEX LINKED
8/8/2012 8/9/2014 INDEX LINKED
11/9/2012 10/10/2014 INDEX LINKED
8/2/2012 8/2/2015 12.25%
8/8/2012 8/8/2015 12.75%
8/8/2012 9/25/2015 INDEX LINKED
9/10/2012 10/10/2015 12.25%
9/10/2012 10/10/2015 NA
11/9/2012 10/29/2015 INDEX LINKED
3/2/2012 3/5/2017 13.05%
8/2/2012 8/2/2017 12.50%
9/10/2012 9/10/2017 12.5%
9/10/2012 9/10/2017 NA
9/10/2012 9/10/2017 NA
9/10/2012 9/10/2017 12.25%
9/10/2012 9/8/2018 NA
9/10/2012 9/10/2018 NA
12/10/2012 12/10/2022 12.2%
1/21/2013 1/21/2023 12.2%
2/25/2013 2/25/2023 12%
3/28/2013 3/28/2023 12.05%
9/23/2011 9/23/2014 12.00%
9/23/2011 9/23/2014 12.25%
9/23/2011 9/23/2014 12.15%
9/30/2010 9/30/2014 10.50%
9/30/2010 3/30/2015 10.50%
9/17/2012 4/11/2015 INDEX LINKED
9/30/2010 9/30/2015 10.50%
5/14/13 5/14/2016 11.4%
5/30/2011 5/30/2016 11.00%
9/23/2011 9/23/2016 12.50%
9/23/2011 9/23/2016 12.25%
9/23/2011 9/23/2016 12.10%
6/30/2011 3/30/2017 12.75%
7/26/2011 4/26/2017 12.75%
2/8/2011 5/2/2017 12.75%
8/30/2011 5/30/2017 12.75%
11/30/2011 5/30/2017 13%
12/22/2011 6/22/2017 13.05%
10/25/2011 7/25/2017 12.75%
3/11/2010 12/30/2017 12%
4/27/2011 12/30/2017 12%
5/5/2011 12/30/2017 12%
5/18/2011 12/30/2017 12%
8/23/2011 12/30/2017 12%
9/27/2011 12/30/2017 12.00%
7/10/2011 12/30/2017 12%
11/30/2011 12/30/2017 12%
3/1/2012 12/30/2017 12%
9/2/2012 12/30/2017 12%
8/23/2013 8/22/2014 9.75%
9/16/2013 9/15/2014 12%
12/19/2013 12/18/2014 14%
3/25/2014 3/24/2015 13.75%
3/28/2014 3/27/2015 12.5%
3/3/2014 3/30/2017 13.75%
12/27/2013 12/27/2018 LIBOR LINKED
3/6/2013 3/12/2015 18%
5/16/13 11/16/2015 19.12%
8/8/2013 2/8/2016 18%
12/3/2013 11/3/2018 7%
2/22/2008 2/22/2028 10.00%
6/3/2008 6/3/2028 10.00%
12/12/2008 12/12/2028 10.00%
1/7/2009 1/7/2029 10.00%
10/28/2013 10/28/2020 12%
8/26/2011 8/26/2014 Reset Rate ( Refer Remark )
7/11/2012 11/6/2022 ZERO COUPON
1/25/2014 1/25/2018 23%
7/31/2011 7/31/2014 6%
8/5/2009 8/5/2014 8.00%
8/10/2004 8/10/2014 6.90%
10/8/2011 8/10/2014 9.43%
8/31/2011 8/31/2014 6%
9/4/2009 9/4/2014 8.35%
3/17/2005 9/17/2014 7.20%
9/30/2011 9/30/2014 6%
10/16/2012 10/16/2014 8.84%
10/31/2011 10/31/2014 6%
11/30/2011 11/30/2014 6%
12/31/2004 12/31/2014 7.22%
2/19/2010 2/19/2015 8.45%
3/17/2005 3/17/2015 7.20% payable annually
4/30/2012 4/30/2015 6%
5/31/2012 5/31/2015 6%
6/30/2005 6/30/2015 7.30%
6/30/2012 6/30/2015 6%
7/31/2012 7/31/2015 6%
8/31/2012 8/31/2015 6%
9/30/2012 9/30/2015 6%
11/30/2012 11/30/2015 6%
12/31/2012 12/31/2015 6%
1/31/2006 1/31/2016 7.65% pa
1/31/2013 1/31/2016 6%
2/28/2013 2/29/2016 6%
3/14/2006 3/14/2016 7.85%
3/20/2006 3/20/2016 8.20%
3/31/2013 3/31/2016 6%
4/30/13 4/30/2016 6%
5/31/2013 5/31/2016 6%
6/30/2013 6/30/2016 6%
7/31/2013 7/31/2016 6%
10/8/2011 8/10/2016 9.45%
8/31/2013 8/31/2016 6%
6/9/2011 9/6/2016 9.38%
9/30/2013 9/30/2016 6%
10/17/2013 10/17/2016 9.05%
10/19/2011 10/19/2016 9.35%
10/31/2013 10/31/2016 6%
11/30/2013 11/30/2016 6%
12/31/2013 12/31/2016 6%
1/20/2007 1/20/2017 8.85%
1/31/2014 1/31/2017 6%
2/15/2012 2/15/2017 9.28%
2/28/2014 2/28/2017 6%
3/10/2014 3/10/2017 9.67%
3/26/2014 3/25/2017 9.52%
3/31/2014 3/31/2017 6%
4/30/2014 4/30/2017 6%
5/31/2014 5/31/2017 6%
6/30/2014 6/30/2017 6%
7/20/2012 7/20/2017 9.4%
8/27/2012 8/27/2017 9.25%
9/28/2007 9/28/2017 9.85%
2/28/2008 2/28/2018 9.07%
6/13/2008 6/13/2018 9.68%
7/29/2008 7/29/2018 10.70%
8/14/2008 8/14/2018 10.85%
9/30/2008 9/30/2018 10.85%
10/17/2013 10/17/2018 9.24%
10/24/2008 10/24/2018 11.15%
11/6/2013 11/6/2018 9.38% p.a. PAYABLE ANNUALLY
1/3/2014 1/3/2019 9.61%
1/15/2009 1/15/2019 8.65%
5/2/2014 2/5/2019 9.63%
6/18/2014 6/18/2019 9.02%
7/12/2010 7/12/2019 8.70%
7/20/2012 7/20/2019 9.39%
8/3/2009 8/3/2019 8.80%
9/4/2009 9/4/2019 8.72%
10/6/2009 10/6/2019 8.80%
11/17/2009 11/17/2019 8.80%
1/22/2010 1/22/2020 8.65%
8/3/2013 8/3/2020 8.87%
10/25/2010 10/25/2020 8.80%
11/29/2010 11/29/2020 8.80%
12/15/2010 12/15/2020 ZERO COUPON
3/2/2011 3/2/2021 ZERO COUPON
3/15/2011 3/15/2021 9.18%
7/15/2011 7/15/2021 9.63%
10/8/2011 8/10/2021 9.48%
11/11/2011 11/11/2021 9.75%
2/15/2012 2/15/2022 8.95%
2/15/2012 2/15/2022 8.95%
2/15/2012 2/15/2022 8.95%
2/15/2012 2/15/2022 8.95%
3/27/2012 3/27/2022
12/19/2012 12/19/2022 7.22%
3/25/2013 3/25/2023
4/12/2013 4/12/2023 8.82%
5/31/2013 5/31/2023 8.06%
8/29/2013 8/29/2023 8.01%
9/24/2013 9/24/2023 8.01%
9/24/2013 9/24/2023 8.26%
11/10/2013 11/10/2023 8.18%
3/24/2014 3/24/2024 8.44%(REFER REMARKS)
Category -I & II-7.93%,Category-III-8.13%
6.88% (ADDITIONAL 0.50% TO RIs)
3/24/2014 3/24/2024 8.19%
7/12/2010 7/12/2025 8.75%
8/6/2010 8/6/2025 8.75%
2/15/2012 2/15/2027 9.15%
2/15/2012 2/15/2027 9.15%
2/15/2012 2/15/2027 9.15%
2/15/2012 2/15/2027 9.15%
3/27/2012 3/27/2027
12/19/2012 12/19/2027 7.38%
3/25/2013 3/25/2028
8/29/2013 8/29/2028 8.46%
9/24/2013 9/24/2028 8.71%
9/24/2013 9/24/2028 8.46%
11/10/2013 11/10/2028 8.54%
Category I & II-8.12% Category-III-8.32%
7.04% (ADDITIONAL 0.50% TO RIs)
3/24/2014 3/24/2029 8.88% (REFER REMARKS)
3/24/2014 3/24/2029 8.63%
9/24/2013 9/24/2033 8.62%
9/24/2013 9/24/2033 8.37%
3/24/2014 3/24/2034 8.61%
3/24/2014 3/24/2034 8.86% (REFER REMARKS)
4/8/2013 4/7/2016 16%
4/26/2013 4/25/2016 16%
001-500
001-500
NA
ON MATURITY NA
ON MATURITY NA
ON MATURITY NA
NA
ON MATURITY NA
ON MATURITY NA
NA
ON MATURITY NA
NA
ON MATURITY NA
Frequency of the Interest Payment with specified dates
Put/Call Option with specified dates
Certificate Nos/(Dist/ NO) from-To
HALF YEARLY 30TH SEPTEMBER AND 31ST MARCH EACH YEAR
Put: NACall: NA
HALF YEARLY 31ST DECEMBER AND 30TH JUNE EACH YEAR
Put:FULLY/PARTIALLY AT ANY TIME AFTER 2 YEARS WITH 30 DAYS NOTICE TO THE ISSUERCall: NA
AT THE TIME OF REDEMPTION i.e. 28/08/2014
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 08/10/2014
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 20.10.2014
Put: NACall: NA
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 12/01/2015
Put: NACall: NA
Put: NACall: NA
ON MATURITY NA
NA
NA
NA
ON MATURITY NA
NA
NA
ON MATURITY i.e 03/07/15 NA
NA
ON MATURITY NA
NA
NA
NA
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 09/03/2015
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 23/03/2015
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 22/04/2015
Put: NACall: NA
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 01/06/2015
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 06.11.2015
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 22/06/2015
Put: NACall: NA
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 08.04.2015
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
AT THE TIME OF REDEMPTION ie 23/09/2015
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 23.10.2015
Put: NACall: NA
NA
NA
NA
NA
ON MATURITY i.e 28/12/15 NA
NA
NA
NA
NA
NA
NA
NA
AT THE TIME OF REDEMPTION i.e. 19.11.2015
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 24.11.2015
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 26.11.2015
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 06.12.2015
Put: NACall: NA
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 02.02.2016
Put: NACall: NA
AT THE TIME OF REDEMPTION I.E. 31/03/16
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 13/05/2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 20/05/2016
Put: NACall: NA
AT THE TIME OF REDEMTPION i.e. MAY 27, 2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 27/06/2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 29.08.2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 05/10/2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 10/10/2016
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ON MATURITY i.e 25/07/17 NA
01/(N0000000001-N0220000000)
NA
1 TO 2650
1 to 3636
AT THE TIME OF REDEMPTION i.e. 17/10/2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 24/10/2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 24/10/2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 21/11/2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 12/02/2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 12/02/2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 06/12/2016
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e. 12/12/2016
Put: NACall: NA
AT THE TIME OF REDEMPTION 19/12/2016
Put: NACall: NA
Put: NACall: NA
1ST OF FEB, MAY, AUG AND NOV EVERY YEAR STARTING 01/11/13 TILL01/08/18
Put: NACall: NA
Semi annually on 1st June & 1st December
Put:At par at the end of 5th year i.e.on 30/06/2015Call:At par at the end of 5th year i.e.on 30/06/2015
SEMI-ANNUALLY ON 01ST MAY & 01 NOVEMBER
Put:01/03/2017Call:01/03/2017
Semi-Annaully on 1st March & 1st September
Put:at par at the end of 5th year, e.g. on 01/06/2016Call:at par at the end of 5th year, e.g. on 01/06/2016
NA 1-17500000
7th January & 7th July every year NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Put: NACall: NA
Put: NACall:The bond shall have the call option only after the bonds have run for a minimum period of 10 years from the date of issue
ANNUALLY AND ON MATURITY i.e. 22/10/14, 22/10/15 AND 21/10/16
Put: NACall: NA
COMPOUNDED ANNUALLY ON 28TH MARCH AND PAYABLE ON MATURITY i.e. 07/04/2015
Put: NACall: NA
COMPOUNDED ANNUALLY ON 24TH MARCH AND PAYABLE ON MATURITY i.e 04/09/15
Put: NACall: NA
COMPOUNDED ANNUALLY AND PAYABLE ON MATURITY i.e. 03/06/16
Put: NACall: NA
COMPOUNDED ANNUALLY ON 28TH MARCH AND PAYABLE ON MATURITY i.e. 26/04/2016
Put: NACall: NA
COMPOUNDED ANNUALLY AND PAYABLE ON MATURITY i.e. 17/06/16
Put: NACall: NA
ANNUALLY ON 23RD JUNE i.e 23/06/15 AND 23/06/16
Put: NACall: NA
ANNUALLY ON 23RD JUNE STARTING 23/06/15 TILL 23/06/17
Put: NACall: NA
COMPOUNDED ANNUALLY AND PAYABLE ON MATURITY i.e. 08/11/17
Put: NACall: NA
ANNUAL 28 APRIL EVERY YEAR AND ON MATURITY i.e 28/04/21
Put: NACall: NA
ON 26TH SEPTEMBER EVERY YEAR STARTING FROM 26/09/14 TILL 26/09/23
Put: NACall: NA
PAYABLE ANNUALLY 26TH SEPT EVERY YEAR. COUPON RATE SHALL BE STEPPED UP BY 100 BPS i.e. 13% p.a. FOR SUBSEQUENT YEARS, IF CALL
Put: NACall:THE BOND SHALL HAVE A CALL OPTION ONLY AFTER THE BOND HAVE RUN A MINIMUM OERIOD OF 10 YEARS FROM THE
05/04/2014 AND 14/09/2014 NA
17/10/2013, 17/10/2014 NA
NA
NA
NA
NA
NA
NA
NA
ANNUALLY ON 01ST FEBRUARY NA
NA
NA
NA
NA
Put: NACall: NA
Put: NACall: NA
18/06/2013, 18/06/2014 AND ON 16/12/2014
Put: NACall: NA
18/06/2013, 18/06/2014 AND ON 16/06/2015
Put: NACall: NA
05/04/2014, 05/04/2015 AND 06/08/2015
Put: NACall: NA
17/10/2013, 17/10/2014 AND 16/10/2015
Put: NACall: NA
12/12/2013, 12/12/2014, 11/12/2015
Put: NACall: NA
ON MONTHLY BASIS i.e. 05.05.2013, 05.06.2013 AND SO ON TILL 05.04.2016
Put: NACall: NA
Annually on 26th March & on Maturity
Put: NACall: NA
Put:WHICH CAN BE EXERCISED ON AT THE END OF 3RD YEAR FROM THE DATE OF ALLOTMENT. I.E. 01/02/2015 AND AT THE END OF 4TH YEAR FROM THE DATE OF
06/09/2013, 06/09/2014, 06/09/2015, 06/09/2016, 06/09/2017, 06/09/2018
Put: NACall: NA
17TH JANUARY EVERY YEAR STARTING FROM 17/01/2014 TILL 17/01/2020
Put: NACall: NA
19TH MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
11TH MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
NA
NA
07/08/2013 AND 07/08/2014 NA
Annually on 7th September NA
Annually on 17th October NA
Annually on 15th November NA
Annually on 25th November NA
NA
NA
NA
NA
NA
NA
NA
06/09/13, 06/09/14, 06/09/15, 06/09/16, 06/09/17, 06/09/18, 06/09/19, 06/09/20, 06/09/21, 06/09/22
Put: NACall: NA
17TH JANUARY EVERY YEAR STARTING FROM 17/01/2014 TILL 17/01/2023
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY AND ON MATURITY i.e. 7TH JUNE 2014 AND 5TH DECEMBER 2014 RESPECTIVELY
Put: NACall: NA
ANUALLY ON 15/02/2013, 17/02/2014, 17/02/2015, 02/04/2015
Put: NACall: NA
Annually on 2nd March & on maturity
Put: N.A.Call: N.A.
Annually on 22nd March & on maturity
Put: N.A.Call: N.A.
Annually on 29th March & on maturity
Put: N.A.Call: N.A.
Annually on 31st March & on maturity
Put: N.A.Call: N.A.
07/08/2013, 07/08/2014 AND 07/08/2015
Put: NACall: NA
NA
NA
NA
NA
ANNUALLY ON 14TH DECEMBER NA
NA
NA
NA
ANNUALLY ON 28TH DECEMBER NA
NA
ANNUALLY ON 27TH MARCH NA
NA
ANNUALLY ON 30TH MARCH NA
Annually on 7th May & on maturity
Put: N.A.Call: N.A.
Annually on 30th September & on maturity
Put: N.A.Call: N.A.
Annually on 19th October & on Maturity
Put: N.A.Call: N.A.
ANNUALLY AND ON MATURITY i.e. 20/05/2014, 20/05/2015, 20/05/2016
Put: NACall: NA
COMPOUNDED ANNUALLY ON 12TH DEC EVERY YEAR AND PAYABLE ON MATURITY i.e 12/04/16
Put: NACall: NA
Put:WHICH CAN BE EXERCISED ON AT THE END OF 3RD YEAR FROM THE DATE OF ALLOTMENT.i.e. 14/12/2014 AND AT THE END OF 4TH YEAR FROM
Annually on 5th December & on maturity
Put: NACall: NA
ANNUALLY ON 14TH DECEMBER & ON MATURITY
Put: NACall: NA
28/06/2013, 28/06/2014, 28/06/2015, 28/06/2016, 27/06/2017
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 07TH MARCH & ON MATURITY
Put: NACall: NA
Put: NACall: NA
Semi annually on 9th June & 9th December
Put: NACall: NA
Put: NACall: NA
NA
NA
NA
NA
NA
NA
201300001-201330000
001-3000
Annually, 20th July 442 to 1793, 7095 to 20110
Annually on 20th April na
Annually, 3rd May Put & Call:3rd May, 2013 24574, 4924004 to 4924143
Annually 15th May NA
Annually, 15th July N.A.
Annually, 15th July N.A.
HALF YEARLY ON 30TH JUNE AND 30TH DEC EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY 23RD APRIL EVERY YEAR AND ON MATURITY i.e. 21.04.2023
Put: NACall: NA
Semi annually on 24th September & 24th March
Put: N.A.Call:Only after the bond have run for a minimum period of ten years from the date of issue (subject to prior approval of RBI
Semi annually on 29th September & 29th March
Put: N.A.Call:Only after the bond have run for a minimum period of ten years from the date of issue (subject to prior approval of RBI
Semi Annually on 9th June & 9th December
Put: N.A.Call:The bond shall have the call option only after the bonds have run for a minimum period of 10 years from the date of issue
PAYABLE ANNUALLY ON 20TH MAY EVERY YEAR
Put: NACall:THE BOND SHALL HAVE A CALL OPTION ONLY AFTER THE BOND HAVE RUN A MINIMUM OERIOD OF 10 YEARS FROM THE
28TH MARCH AND 28TH SEPTEMBER EVERY YEAR TILL THE DATE OF MATURITY
Put: NACall: NA
Semi annually on 1st October & 1st April.
Put: N.A.Call: N.A.
Put:20th July, 2014Call:20th July, 2014
Put:20-4-2015Call:20-4-2015
Put & Call:10 years from the deemed date of allotment hence 19th October 2013
Put & Call:10 years from the deemed date of allotment ie. 15th December, 2013
Put & Call:10 Years from the date of allotment ie. 16th April, 2014
Annually on 15th July NA
Annually, 15th July NA
Annaully, 18th November 329797 to 334381
Annually- 01st July N.A.
N.A. 212082 - 216181
N.A. 216182 - 217581
N.A. 231578 - 231945
Annually - 01st October N.A. 232296 - 232315
Annually - 24th July N.A. 292555 - 293554
Annually - 27th July N.A. 293555 - 295054
Annually - 1st Sept N.A. (295055 - 296054)
Annually - 1st Sept N.A. (296055 - 297054)
Annually - 1st Sept N.A. (297055 - 298654)
Annually - 19th Oct N.A. (298655 - 299654)
Put:At the end of 10years from the date of allotment I.e.28.04.2015Call:At the end of 10years from the date of allotment I.e.28.04.2015Put:At the end of 12years from the date of allotment i.e. 28.04.2017Call:At the end of 12years from the date of allotment i.e. 28.04.2017Put & call-At the end of 10 years, 18th November, 2012
218082 - 227069228940 -229439
Annually-02nd May
Annually-03rd May
Annually-01st October
Annually - 19th Oct N.A. (299655 - 302554)
Annually - 1st March N.A. (306955 to 308954)
N.A Dist Nos : 308955 to 310054
N.A. Dist Nos : 321648 to 323797
Annually, 18th November N.A. 334382 to 335328
Annually, 7th January N.A. 338245 to 339518
N.A. 355454 to 362629
Annually, 15th January Put & Call: 15/01/2014 363330 to 363879
Annually, 12th January Put & Call:12th January, 2014 362630 to 363329
Dist. No. from 380110 to 390954
368698-371697
377098-380109
Annually 371698-377097
N.A. 363880 to 367400
Annually1st Mar
Annually - 1st Sept
Put: N.A. Call:Call : 31st December, 2013
Annually on 3rd March & on maturity
Put: N.A.Call: N.A.
Regular Annual return of Rs. 6000 Payable on 4th April Every year
Put:12 Years ; 04.04.2017Call:12 Years ; 04.04.2017
Regular annual return of Rs. 6000 payable on 4th June every year and on redemption
Put:on 04/6/2017Call:On 04/6/2017
Put:12 Years 07-4-2017Call:12 Years 07-4-2017
Put :N.A. Call:26th March, 2014 at Rs. 615307/-
Anually 16th July Put & Call:15th July 2013 16-23,9583-9598
NA
Annually on 12th December NA
1-5000
Annually on 18th July AE2011/MULTIINV/1 - 1050
Annually on 25th July AG2011/SCB/1-1000
ON MATURITY i.e. 04/08/2014 NA
NA
ON MATURITY 14/08/2014 NA
NA
NA
NA
NA
NA
MONTHLY ON 15TH OF EVERY MONTH
Put: NACall:ENTITLING THE ISSUER TO REDEEM THE DEBENTURE IN FULL OR PART AFTER ISSUING PRESCRIBED NOTICE TO THE Put: N.A.Call: N.A.
YEARLY ON 15 MAR & ON MATURITY DATE 04.07.2063
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 09/08/2013, 08/08/2014
Put: NACall: NA
Put: NACall: NA
Annually on 10/09/2012,09/09/2013 & 22/08/2014
Put: NACall: NA
Annually on 10/09/2012,09/09/2013 & 09/09/2014
Put: NACall: NA
Annually on 10/09/2012,09/09/2013 & 11/09/2014
Put: NACall: NA
Annually on 10/09/2012,09/09/2013 & 19/09/2014
Put: NACall: NA
ANNUALLY 14/10/2013, 13/10/2014
Put: NACall: NA
NA
NA
NA
NA
YP2008/LIC/1-2000
NA NA
NA NA
NA NA
NA
NA
ANNUALLY N.A.
NA
NA N.A.
NA
ANNUALLY 16/10/2013, 16/10/2014
Put: NACall: NA
ANNUALLY 16/10/2013, 16/10/2014
Put: NACall: NA
Annually on 05/11/2012, 04/11/2013, 23/10/2014
Put: NACall: NA
ANNUALLY 23/10/2013, 23/10/2014
Put: NACall: NA
Annually on 27/10/2009;27/10/2010;27/10/2011;29/10/2012;28/10/2013 & 27/10/2014
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 15/12/2011,17/12/2012,16/12/2013 & 15/12/2014
Put: NACall: NA
ANNUALLY 03/09/2013, 03/09/2014, 03/09/2015
Put: NACall: NA
Put: NACall: NA
ANNUAL - 04/02/2014, 04/02/2015
Put: NACall: NA
Put: NACall: NA
ANNUALLY 06/09/2013, 08/09/2014, 04/09/2015
Put: NACall: NA
NA NA
ON MATURITY 22/04/2015 NA
NA
NA NA
ON MATURITY i.e 29.04.15 NA
ANNUALLY ON 06TH MARCH NA
NA NA
NA NA
NA
NA
NA
NA
NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY 25/04/2014, 24/04/2015
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY 19/08/2013, 18/08/2014, 17/08/2015
Put: NACall: NA
ANNUALLY 17/10/2013, 17/10/2014, 19/10/2015
Put: NACall: NA
ANNUALLY 14/10/2013, 13/10/2014, 12/10/2015
Put: NACall: NA
ANNUALLY 30/12/13, 29/12/14, 28/12/15
Put: NACall: NA
15/01/2014,. 15/01/2015 & 15/01/2016
Put: NACall: NA
ANNUALLY 02.02.2015 AND ON MATURITY i.e. 29.01.2016
Put:UPTO 7 DAYS PRIOR TO PUT OPTION DATE BY FAX TO ISSUER (FAX NO 022-24953608). PUT OPTION DATE-24.06.2014, 24.12.2014 OR 24.06.2015 PUT
06/10/14, 05/10/15 AND 04/10/16 NA
NA
NA NA
20/10/14, 19/10/15 AND 18/10/16 NA
NA
NA
NA
Annually on 17th April III/M&ML/1-40
Annually on 11th/12th May HHH/KMCL/1-250
JJJ/AKCAPITAL/1-250
Annually on 26/27/28th July KKK/TIAPL/1-250
NA
NA
NA
Put: NACall: NA
QUARTERLY 26/09/13, 26/12/13, 26/03/14, 26/06/14, 26/09/14, 26/12/14, 26/03/15, 26/06/15, 28/09/15, 28/12/15, 28/03/16, 27/06/16
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL ON21/01/15, 21/01/16 AND ON MATURITY i.e 20/01/17
Put: NACall: NA
ANNUALLY 26/01/15, 25/01/16 AND ON MATURITY i.e 24/01/17
Put:UPTO 15 DAYS PRIOR TO PUT OPTION DATE BY FAX TO ISSUER (FAX NO 022-24953608). PUT OPTION DATE-23.01.2015, PUT NOTICE DEADLINE DATE-
ANNUALLY ON 04/03/2013, 03/03/2014, 02/03/2015, 02/03/2016, 02/03/2017
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually 13th June except 15/06/2009,14/06/2010 & 15/06/2015
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY ON 03/01/2014,05/01/2015,04/01/2016,03/01/2017 & 20/12/2017
Put: NACall: NA
ANNUALLY 15/01/2014, 15/01/2015, 15/01/2016, 15/01/2017, 15/01/2018
Put: NACall: NA
ANNUALLY ON 27/02/14, 27/02/15, 29/02/16, 27/02/17, 27/02/18
Put: NACall: NA
NA
NA
NA
NA
ON MATURITY 10/04/2018 NA
PPP/KMBL/1-98
NA
NA
NA
NA
QQQ/YESBANK/1-250
RRR/YESBANK/1-750
NA
NA
ANNUALLY 22/04/2014, 22/04/2015, 22/04/2016, 24/04/2017, 20/04/2018
Put: NACall: NA
ANNUALLY 25/04/2014, 27/04/2015, 25/04/2016, 25/04/2017, 25/04/2018
Put: NACall: NA
07/02/2014, 09/02/2015, 08/02/2016, 07/02/2017 & 07/02/2018
Put: NACall: NA
08/10/14, 08/10/15, 10/10/16, 09/10/17, 08/10/18
Put: NACall: NA
Put: NACall: NA
Annually on 19/10/09; 18/10/10;17/10/11;17/10/12;17/10/13;17/10/14;19/10/15;17/10/16;17/10/17;17/10/
Put: N.A.Call: N.A.
ANNUAL ON 15/01/15, 15/01/16, 16/01/17, 15/01/18, AND ON MATURITY i.e 15/01/19
Put: NACall: NA
ANNUAL ON 16/01/2015, 18/01/2016, 16/01/2017, 16/01/2018 AND ON MATURITY 16/01/2019
Put: NACall: NA
ANNUAL ON 19/01/2015, 18/01/2016, 17/01/2017, 17/01/2018 AND ON MATURITY 17/01/2019
Put: NACall: NA
ANNUALLY 21/10/13, 20/10/14, 19/10/15, 19/10/16, 19/10/17, 19/10/18, 21/10/19
Put: NACall: NA
Annually on 10/11/2010,10/11/2011,12/11/2012,11/11/2013,10/11/2014,10/11/2015,10/11/2016,10/11/2017,
Put: N.A.Call: N.A.
Annually on 22/11/2010,21/11/2011,20/11/2012,20/11/2013,20/11/2014,20/11/2015,21/11/2016,20/11/2017,
Put: N.A.Call: N.A.
ANNUALLY 23/04/14, 23/04/15, 25/04/16, 24/04/17, 23/04/18, 23/04/19, 23/04/20
Put: NACall: NA
ANNUAL 26/05/14,25/05/15,24/05/16,24/05/17,24/05/18,24/05/19,25/05/20
Put: NACall: NA
SSS/YESBANK/ 1- 2000
TTT/INDOFIL/1-5
UUU/YESBANK/1 - 1000
NA
NA
NA
NA
NA
NA
NA
NA
NA
04/04/2016 NA
NA
Annually on 28/11/2011,26/11/2012, 26/11/2013,26/11/2014, 26/11/2015, 28/11/2016,27/11/2017, 26/11/2
Put: N.A.Call: N.A.
Annually on 07/12/2012,09/12/2013,08/12/2014,07/12/2015,07/12/2016,07/12/2017,07/12/2018,09/12/2019,07/12/2020 & 07/12/2021
Put: NACall: NA
Annually on 12/12/2012,12/12/2013,12/12/2014,14/12/2015,12/12/2016,12/12/2017,12/12/2018,12/12/2019,14/12/2020 & 13/12/2021
Put: NACall: NA
ANNUALLY ON 19/06/2013, 19/06/2014, 19/06/2015, 20/06/2016, 19/06/2017, 19/06/2018, 19/06/2019, 19/06/20, 21/06/2021 and
Put: NACall: NA
ANNUALLY ON 26/06/13, 26/06/14, 26/06/15, 27/06/16, 26/06/17, 26/06/18, 26/06/19, 26/06/20,28/06/21,27/06/2022
Put: NACall: NA
ANNUALLY 21/10/13, 20/10/14, 19/10/15, 19/10/16, 19/10/17, 19/10/18, 21/10/19, 19/10/20, 19/10/21, 19/10/22
Put: NACall: NA
17/01/14, 19/01/15, 18/01/16, 17/01/17, 17/01/18, 17/01/19, 17/01/20, 18/01/21, 17/01/22, 17/01/23
Put: NACall: NA
ANNUAL 23/04/14,23/04/15,25/04/16,24/04/17,23/04/18, 23/04/19,23/04/20,23/04/21,25/04/22,24/04/23
Put: NACall: NA
ANNUAL 26/05/14,25/05/15,24/05/16,24/05/17,24/05/18,24/05/19,25/05/20,24/05/21,24/05/22,24/05/23
Put: NACall: NA
HALF YEARLY 11/09/2013, 11/03/2014, 11/06/2014
Put: NACall: NA
HALF YEARLY 11/09/2013, 11/03/2014, 11/09/2014
Put: NACall: NA
HALF YEARLY 11/09/2013, 11/03/2014, 11/09/2014, 11/03/2015
Put: NACall: NA
Put: NACall: NA
YEARLY 04/04/2014, 06/04/2015, 04/04/2016 AND 04/04/2017
Put: NACall: NA
NA
ANNUALLY ON 14TH MARCH NA
ANNUALLY ON 14TH MARCH NA
ANNUALLY ON 14TH MARCH NA
NA
NA NA
NA NA
NA NA
NA
NA
NA NA
NA NA
YEARLY 04/04/2014, 06/04/2015, 04/04/2016, 04/04/2017 AND 04/04/2018
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
YEARLY ON 13/07/2013, 13/07/2014, 13/07/2015
Put: NACall: NA
YEARLY ON 13/07/2013, 13/07/2014, 13/07/2015, 13/07/2016
Put: NACall: NA
YEARLY ON 13/07/2013, 13/07/2014, 13/07/2015, 13/07/2016, 13/07/2017
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
MONTHLY FIRST PAYMENT ON 01/03/14 AND SUBSEQUENT ON 1ST OF EVERY MONTH
Put: NACall: NA
ANNUALLY FIRST PAYMENT ON 28/01/15 AND SUBSEQUENT ON 28TH JAN OF EVERY YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA
NA
NA
NA
NA NA
NA NA
NA
NA
NA
NA
NA
NA
NA NA
NA NA
FIRST PAYMENT ON 01/06/14 AND SUSEQUENTLY ON 1ST DATE OF EVERY MONTH
Put: NACall: NA
FIRST INTEREST PAYMENT ON 05/04/15 AND SUBSEQUENTLY ON 05TH APR EVERY YEAR
Put: NACall: NA
MONTHLY FIRST PAYMENT ON 01/03/14 AND SUBSEQUENT ON 1ST OF EVERY MONTH
Put: NACall: NA
ANNUALLY FIRST PAYMENT ON 28/01/15 AND SUBSEQUENT ON 28TH JAN OF EVERY YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
FIRST PAYMENT ON 01/06/14 AND SUSEQUENTLY ON 1ST DATE OF EVERY MONTH
Put: NACall: NA
FIRST PAYMENT ON 05/04/15 AND SUSEQUENTLY ON 5TH APRIL OF EVERY YEAR
Put: NACall: NA
ANNUALLY ON 31ST DECEMBER & ON MATURITY
Put: NACall: NA
PAYABLE ANNUALLY ON FEB 1 EVERY YEAR & ON RDEMPTION
Put: NACall: NA
MONTHLY FIRST PAYMENT ON 01/03/14 AND SUBSEQUENT ON 1ST OF EVERY MONTH
Put: NACall: NA
ANNUALLY FIRST PAYMENT ON 28/01/15 AND SUBSEQUENT ON 28TH JAN OF EVERY YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA
NA
NA NA
NA NA
NA
NA
NA
NA
NA
NA
Annually on 28th March
Annually on 28th March
FIRST PAYMENT ON 01/06/14 AND SUSEQUENTLY ON 1ST DATE OF EVERY MONTH
Put: NACall: NA
FIRST PAYMENT ON 05/04/15 AND SUSEQUENTLY ON 5TH APRIL OF EVERY YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 27th May & on maturity
Put: NACall: NA
Semi annually on 27th November & 27th May
Put: NACall: NA
Semi-Annually on 17th December & 17th June
Put: NACall: NA
Annually on 27th May & on maturity
Put: NACall: NA
Semi annually on 27th November & 27th May
Put: NACall: NA
Semi-Annually on 17th December & 17th June
Put: NACall: NA
Put: NACall: NA
Annually on 31st March & on Maturity
Put: NACall: NA
Put: NACall: NA
Annually on 31st March & on Maturity
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
01-29000000
NA
07
08
09
NA
31st March, 30th June, 30th September, 31st December of every year
Put: N.A.Call: N.A.
Cert no- 1&2, Dist no- 1 to 12 & 13 to 40
QUARTERLY ON 21ST APRIL, 21ST JULY, 21ST OCTOBER, 21ST JANUARY OF EACH YEAR
Put: NACall:ISSUER HAS RIGHT TO CALL THE NCDS AT THE END OF 18 MONTHS FROM THE DATE OF ALLOTMENT
QUARTERLY ON 26 JUNE, 26 SEPTEMBER, 26 DECEMBER, 26 MARCH OF EVERY YEAR
Put: NACall:ISSUER HAS RIGHT TO CALL THE NCDs AT THE END OF 18 MONTHS FROM THE DATE OF ALLOTMENT
SEMI ANNUALLY FROM DEEMED DATE OF ALLOTMENT i.e ON 1ST SEPT AND 1ST MAR EVERY YEAR AFTER 01/03/14
Put:INTEREST PAYMENT FALLING 48 AND 54 MONTHS AFTER THE DEEMED DATE OF ALLOTMENT, EACH BON DHOLDER SHALL BE ENTITLED TO EXCERCISE THE PUT
ANNUALLY ON 3RD OCT EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 15TH MARCH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 28TH MARCH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
QUARTERLY IN ARREARS ON JUNE 28, SEPTEMBER 28, DECEMBER 28 & MARCH 28 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 30TH JUNE EVERY YEAR, AFTR COMPLETION OF ONE COMPLETED FINANCIAL YEAR AFTER COMMERCIAL OPERATION DATE.
Put: NACall: NA
EVERY 6 MONTHS ON 29/01/2014, 29/07/2014 AND 29/01/2015
Put: NACall:30/07/2014
Semi annualy on 17th January and 17th July
Put: N.A.Call:It is applicable in the event of termination of concession agrement by NHAI on certain contingencies.
Semi annualy on 17th January and 17th July
Put: N.A.Call:It is applicable in the event of termination of concession agrement by NHAI on certain contingencies.
Semi annualy on 17th January and 17th July
Put: N.A.Call:It is applicable in the event of termination of concession agrement by NHAI on certain contingencies.
21/02/2013, 21/05/2013, 21/08/2013, 21/11/2013, 21/02/2014, 21/05/2014, 21/08/2014, 21/11/2014, 21/02/2015 & 21/05/2015
Put: NACall:THE ISSUER COMPANY SHALL HAVE RIGHT TO REDEEM THE NCDS AFTER 12MONTHS FROM THE DATE OF ALLOTMENT BY
NA
NA NA
NA
NA
NA
NA
1/1-4000
NA 1-1000
NA 001-026
ON MATURITY i.e 30/07/19 1-42000000
NA 001/(000000001-105832432)
NA
NA
25/06/13,25/09/13,25/12/13,25/03/14,25/06/14,25/09/14,25/12/14,25/03/15,25/06/15,25/09/15
Put: NACall:AFTER 12 MONTHS FROM THE DEEMED DATE OF ALLOTMENT BY GIVING 15 DAYS NOTICE.
Put:20/02/2015Call:20/02/2015
31st MARCH EVERY YEAR(31/03/2014 TO 31/03/2028)
Put: NACall: NA
4/4/15,4/10/15,4/1/16,4/4/16 IF CALL OPT IS EXERCISED 4/4/15, 4/10/2016,5/1/2017,5/04/2017 IF PUT OPTN EXERCISED.
Put:04/10/2016, 05/01/2017, 05/04/2017Call:04/10/2015, 04/01/2016, 04/04/2016
EVERY MONTH ON 14 TILL REDEMPTION DATE STARTING FROM 14/01/13 TILL MATURITY DATE
Put: NACall: NA
4/4/15,4/10/15,4/1/16,4/4/16 IF CALL OPT IS EXERCISED 4/4/15 4/10/2016,5/1/2017,5/04/2017 IF PUT OPTN EXERCISED.
Put:04/10/2016, 05/01/2017, 05/04/2017Call:04/10/2015, 04/01/2016, 04/04/2016
4/4/15,4/10/15,4/1/16,4/4/16 IF CL OPT IS EXRCSD 4/4/15,4/10/16,5/1/17,5/4/17 IF PT OPT EXE.
Put:04/10/2016, 05/01/2017, 05/04/2017Call:04/10/2015, 04/01/2016, 04/04/2016
QUARTERLY 15/10/2012, 15/01/2013, 15/04/2013 ETC
Put: NACall: NA
Put:21.06.2014 & 20.06.2015Call:21.06.2014 & 20.06.2015
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Semi annually on 17th October & 17th April
Put:17/10/2014Call:17/10/2014
Semi annually on 17th October & 17th April
Put: N.A.Call: N.A.
NA
NA
NA
01-5500
2/(5501-18000)
NA
NA
NA
NA
1st day of every month 00001 - 01000
01ST DAY OF EVERY MONTH 001 - 075
ON MATURITY i.e. 04/07/18 NA
NA
ON MATURITY i.e. 04/10/20 NA
Semi annually on 18 May & 18th November
Put: N.A.Call: N.A.
Quarterly on 31st December,31st March,30th June & 30th September & on maturity
Put: N.A.Call: N.A.
Quarterly on 31st December,31st March,30th June & 30th September & on maturity
Put: N.A.Call: N.A.
QUARTERLY ON 31 DEC, 31 MAR, 30 JUNE & 30 SEPT EVERY YEAR FROM 31/12/13 TILL 30/06/15 & ON 28/09/15
Put: NACall: NA
QUARTERLY ON 31 DEC, 31 MAR, 30 JUNE AND 30 SEPT EVERY YEAR FROM 31/12/13 TILL 30/09/15
Put: NACall: NA
Semi annually on 9th April & 9th October
Put: N.A.Call: N.A.
Semi annually on 9th April & 9th October
Put: N.A.Call: N.A.
Quarterly on 17th February,17th May,17th August & 17th November
Put: N.A.Call: N.A.
Semi annually on 04th November & 04th June.
Put: N.A.Call:04/11/2012
Put: NACall: NA
Put:30/01/2014Call:30/01/2013
Put:AT THE END OF 2ND AND 3RD YEAR i.e. 04/07/2016 AND 04/07/2017Call: NA
QUARTERLY FROM 04/10/14 TILL 04/07/18
Put:AT THE END OF 2ND AND 3RD YEAR i.e. 04/07/2016 AND 04/07/2017Call: NA
Put:AT THE END OF 5TH YEAR i.e. 04/07/2019Call: NA
NA
ON MATURITY i.e. 04/01/24 NA
NA
NA
NA
NA
1-10010055
1-15684615
NA 001-5500
NCD/LIST/13/001-250/(001-250)
1-496530325
NA
QUARTERLY FROM 04/10/14 TILL 04/07/20
Put:AT THE END OF 5TH YEAR i.e. 04/07/2019Call: NA
Put:AT THE END OF 7TH AND 8TH YEAR i.e. 04/07/2021 AND 04/07/2022Call: NA
QUARTERLY FROM 04/10/14 TILL 04/01/24
Put:AT THE END OF 7TH AND 8TH YEAR i.e. 04/07/2021 AND 04/07/2022Call: NA
QUARTERLY 31 DEC, 31 MAR, 30 JUN, 30 SEP STARTING FROM 31/12/13 TILL 30/06/15 AND ON 31/08/15
Put: NACall: NA
QUARTERLY ON 30 JUNE, 30 SEPTEMBER, 31 DECEMBER, 31 MARCH EVERY YEAR STARTING FROM 30/06/2013
Put: NACall: NA
QUARTERLY ON 30 JUNE, 30 SEPTEMBER, 31 DECEMBER, 31 MARCH EVERY YEAR STARTING FROM 30/06/2013
Put: NACall: NA
Annually on 31st March Put: N.A.Call: N.A.
1,1-931601;2,931602-4676524;3,4676525-5541239;4,5541240-6405954
Annually on 31st March Put: N.A.Call: N.A.
1,1-5663347; 2,5663348-24835881
PAYABLE ON EVERY 6 MONTHS ON 30TH SEP AND 31 MAR EVERY YEAR
Put: NACall: NA
PAYABLE ON EVERY 6 MONTHS ON 30TH SEP AND 31 MAR EVERY YEAR
Put: NACall: NA
Put: NACall: NA
QUARTERLY ON 31 DEC, 31 MAR, 30 JUNE AND 30 SEPT EVERY YEAR TILL MATURITY
Put: NACall:REDEEM ANYTIME DURING TENOR OF NCD
PAYABLE ANNUALLY ON 1ST APRIL EVERY YEAR
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
N.A.
NA
ON MATURITY 1 TO 300
ON MATURITY 1 TO 200
ON MATURITY 1 TO 300
ON MATURITY 1 TO 150
QUARTERLY ON 01ST APRIL, 01ST JULY, 01ST OCTOBER AND 01ST JANUARY EVERY YEAR AND AT FINAL MATURITY
Put: NACall: NA
QUARTERLY ON 01ST APRIL, 01ST JULY, 01ST OCTOBER AND 01ST JANUARY EVERY YEAR AND AT FINAL MATURITY
Put: NACall: NA
QUARTERLY ON 31ST MARCH, 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER
Put: NACall: NA
QUARTERLY ON 01ST APRIL, 01ST JULY, 01ST OCTOBER AND 01ST JANUARY EVERY YEAR AND AT FINAL MATURITY
Put:28.03.2020 (i.e. AT PAR AT THE END OF 7TH YEAR FROM DEEMED DATE OF ALLOTMENT)Call:28.03.2020 (i.e. AT PAR AT THE END OF 7TH YEAR FROM DEEMED DATE OF ALLOTMENT)QUARTERLY ON 01ST JULY, 01ST
OCTOBER, 01ST JANUARY AND 1ST APRIL EVERY YEAR AND AT FINAL MATURITY
Put: NACall: NA
QUARTERLY ON 01ST JULY, 01ST OCTOBER, 01ST JANUARY AND 1ST APRIL EVERY YEAR AND AT FINAL MATURITY
Put: NACall: NA
Quarterly on 04th February;04th May;04th August & 04th November
Put: N.A.Call: N.A.
Quarterly on 24th March;24th June;24th September & 24th December
Put:24/12/2016Call:24/12/2016
Quarterly on 30th April; 30th July; 30th October & 30th January
Put:30/01/2017Call:30/01/2017
Quarterly on 30th April;30th July;30th October & 30th January
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ON MATURITY 1 TO 300
Annually on 18th January NA
Annually on 18th January NA
Annually on 27th may NA
Annually on 27th May NA
Annually on 27th May NA
1-19750
19751-27400
1 - 450
Annually on 13th September NA
Annually on 13th September NA
NA NA
NA
ANNUALLY ON 18TH JANUARY NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
SEMI ANNUAL 05/06/2014, 05/12/2014, 05/06/2015, 05/12/2015, 06/06/2016, 05/12/2016, 05/06/2017, 05/12/2017, 05/06/2018,
Put: NACall: NA
SEMI ANNUAL 26/09/2014, 26/03/2015, 26/09/2015, 26/03/2016, 26/09/2016, 27/03/2017, 26/09/2017, 26/03/2018, 26/09/2018,
Put: NACall: NA
PAYABLE ANNUALLY i.e. ON 17th OCTOBER EVERY YEAR TILL THE DATE OF FINAL REDEMPTION
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL i.e. 01/04/13, 01/04/14, 01/04/15, 01/11/15
Put: NACall: NA
Put: NACall: NA
NA NA
NA
NA
NA NA
NA
NA NA
NA NA
NA
25/09/2014 AND 25/09/2015 NA
NA NA
NA NA
NA
NA
NA NA
Put: NACall: NA
MONTHLY i.e. FIRST DAY OF EVERY MONTH AND LAST INTEREST ON 04/12/2015
Put: NACall: NA
ANNUAL i.e. 04/12/14 AND 04/12/15
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 18TH APRIL & ON MATURITY
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e. FIRST DAY OF EVERY MONTH AND LAST INTEREST ON 25.09.2015
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e FIRST DAY OF EVERY MONTH
Put: NACall: NA
MONTHLY i.e FIRST DAY OF EVERY MONTH
Put: NACall: NA
Put: NACall: NA
NA
NA
NA NA
NA
NA
NA NA
ANNUAL i.e. FOR eg 07/07/2015 NA
NA
NA NA
Annually on 13th September NA
Annually on 13th September NA
NA
25/09/14, 25/09/15, 25/09/16 NA
NA NA
MONTHLY i.e FIRST DAY OF EVERY MONTH FOR AND LAST INTEREST ON 02/04/16
Put: NACall: NA
ANNUALLY i.e 02/04/2015, 02/04/2016
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e. FIRST DAY OF EVERY MONTH AND LAST INTEREST ON 04/12/2016
Put: NACall: NA
ANNUAL i.e. 04/12/14, 04/12/15, 04/12/16
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e FIRST DAY OF EVERY MONTH FOR e.g. 01/09/2014
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e. FIRST DAY OF EVERY MONTH AND LAST INTEREST ON 25.09.2016
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA
NA
ANNUALLY ON 18TH JANUARY NA
NA
NA
NA NA
NA
NA
NA NA
NA
ANNUAL i.e. FOR eg 07/07/2015 NA
NA NA
NA NA
MONTHLY i.e. FIRST DAY OF EVERY MONTH AND LAST INTEREST ON 01/11/2017
Put: NACall: NA
ANNUAL i.e. 01/04/13, 01/04/14, 01/04/15, 01/04/16, 01/04/17, 01/11/17
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e FIRST DAY OF EVERY MONTH
Put: NACall: NA
MONTHLY i.e FIRST DAY OF EVERY MONTH
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e FIRST DAY OF EVERY MONTH FOR AND LAST INTEREST ON 02.04.17
Put: NACall: NA
ANNUALLY i.e 02/04/2015, 02/04/2016, 02/04/2017
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 18TH APRIL & ON MATURITY
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e. FIRST DAY OF EVERY MONTH FOR eg 01/09/2014
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA NA
ANNUALLY ON 12TH JANUARY NA
NA NA
NA
NA
NA NA
NA
NA
NA NA
NA
NA
NA NA
NA
NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e. FIRST DAY OF EVERY MONTH AND LAST INTEREST ON 04/12/2018
Put: NACall: NA
ANNUAL i.e. 04/12/14, 04/12/15, 04/12/16, 04/12/17, 04/12/18
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e. FIRST DAY OF EVERY MONTH AND LAST INTEREST ON 25.09.2018
Put: NACall: NA
ANNUALLY ON 25/09/14, 25/09/15, 25/09/16, 25/09/17, 25/09/18
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e FIRST DAY OF EVERY MONTH
Put: NACall: NA
MONTHLY i.e FIRST DAY OF EVERY MONTH
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e FIRST DAY OF EVERY MONTH FOR AND LAST INTEREST ON 02.04.19
Put: NACall: NA
ANNUALLY i.e 02/04/2015, 02/04/2016, 02/04/2017, 02/04/2018, 02/04/2019
Put: NACall: NA
NA NA
NA NA
ANNUAL i.e. FOR eg 07/07/2015 NA
NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA
NA
NA
Annually on 29th March
NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
MONTHLY i.e. FIRST DAY OF EVERY MONTH FOR eg 01/09/2014
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 26TH MARCH EVERY YEAR
Put: NACall: NA
ANNUALLY ON 17TH JANUARY & ON MATURITY
Put: NACall: NA
Annually on 17th of April & on Maturity
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING FROM 01/05/2014
Put: NACall: NA
ON MATURITY i.e 02/05/2015 NA
NA
NA NA
NA
ON MATURITY i.e 26/03/2016 NA
NA
NA
ON MATURITY i.e 27/03/2017 NA
NA
NA
NA NA
ON MATURITY i.e 27/09/19 NA
NA NA
01 ( 1 - 5000000 )
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING FROM 01/09/2014
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING FROM 01/05/2014
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING FROM 01/05/2014
Put: NACall: NA
YEARLY ON COMPLETION OF EACH YEAR 27/03/15, 26/03/16, 27/03/2017 RESPECTIVELY EACH YEAR
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING FROM 01/09/2014
Put: NACall: NA
AANNUAL ON 17/08/2015, 16/08/2016 AND 16/08/2017
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Quarterly on 15th January, 15th April, 15th July, 15th August
Put:12/08/2014, 12/02/2015, 12/08/2015Call:Call option exercised period means (a) any time after the expiry of eighteen (18) month from the date investment date.
01/ (1 - 3333333)
NA
NA
Put & Call: N.A.
1 to 7000
Annually on 11th July NA
Annually on 16th August NA
NA
NA
Annually on 18th October NA
ANNUALLY ON 16TH JANUARY NA
ANNUALLY ON 30TH JANUARY NA
NA
MARCH 15, JUNE 15, SEPTEMBER 15 AND DECEMBER 15 OF EACH YEAR
Put:1/3RD 23/12/2015 AND REMAINING BY 23/06/2016Call:a) WITHIN 30 DAYS OF THE END OF 42 MONTHS FROM THE INVESTMENT DATE ON 1/3RD OF THE OUTSTANDING DEBENTURES Quarterly on 30th September,
31st December,31st March & 30th June
Put: N.A.Call: N.A.
Semi-Annually on 11th February & 11th August.
Put: N.A.Call: N.A.
Semi-Annually on 11th February & 11th August.
Put: N.A.Call: N.A.
Quarterly, 31st March, 30th June, 30th Sept & 31st Dec
0000001-4500000,4500001-7500000,7500001-12500000,12500001-15500000,48830051-51830050,53130051-55630050
Semi annually on 30th September & 31st March & on maturity
Put: N.A.Call: N.A.
Put:11/07/2012Call:11/07/2012
Put: NACall: NA
Annually on 15th September & on Maturity
Put: NACall: NA
Annually on 22/09/2012, 23/09/2013, 22/09/2014
Put: 23/09/2013Call: 23/09/2013
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
21/02/2013 (IF FIRST PUT OPTION IS EXERCISED) 21/02/2014 ( IF FIRST PUT OPTION IS NOT EXERCISED BUT SECOND PUT OPTION IS EXERCISED)
Put:21/02/2013,21/02/2014
NA
NA
NA
NA
NA
NA
NA
ANNUALLY ON 09TH JANUARY NA
NA
NA
Annually 12th December NA
NA
NA
Annually January 14th na
ANNUALLY ON 04.06.2013, 04.06.2014 & 04.06.2015
Put: NACall: NA
28/06/2013, 28/06/2014, 29/06/2015
Put: NACall: NA
ANNUAL 16.07.2013, 16.07.2014 (IF PUT/CALL OPTION IS EXERCISED) , 16.07.2013, 16.07.2014, 16.07.2015 (IF PUT/CALL OPTION IS NOT
Put:16/07/2014Call:16/07/2014
ANNUAL 23/07/2013, 23/08/2013 (IF PUT OPTION IS EXERCISED) 23/07/2013, 23/07/2014, 23/07/2015 (IF PUT OPTION IS NOT EXERCISED)
Put:23/08/2013Call: NA
i) ON 26.07.13 (IF PUT OPTION IS EXCERCISED IN THE 1ST YEAR), ii) ON 28.07.14 (IF PUT OPTION IS EXERCISED IN THE 2ND YEAR, INTEREST WILL BE COMPOUNDED
Put:26/07/2013, 28/07/2014Call: NA
ANNUALLY ON 13TH FEBRUARY & ON MATURITY
Put: NACall: NA
ANNUALLY 14/08/2013, 13/08/2014, 13/08/2015
Put:14/08/2013Call:14/08/2013
Put: NACall: NA
ANNUALLY ON 09/07/13, 09/07/14 (IF PUT CALL OPTION IS EXCERCISED) AND 09/07/13, 09/07/14, 09/07/15 (IF PUT CALL OPTION IS NOT EXERCISED)
Put:09/07/2014Call:09/07/2014
ANNUAL 26/09/13 (IF PUT/CALL OPTION IS EXCERCISED), 26/09/13, 25/09/14, 25/09/15 (IF PUT/CALL OPTION is NOT EXERCISED)
Put:26/09/2013Call:26/09/2013
Put: N.A.Call: N.A.
ANNUALLY ON 01/01/2014,01/01/2015 & 01/01/2016
Put:01/01/2015Call:01/01/2015
ANNUALLY ON 02/06/2014 (IF PUT/CALL OPTION IS EXCERCISED), 02/06/2014, 02/03/2015, 01/03/2016 (IF PUT/CALL OPTION IS NOT
Put:DT-02.06.2014Call:DT-02.06.2014
Put: N.A.Call: N.A.
NA
Annually on 18th May NA
Annually on 06th June NA
Annually on 7th June NA
NA
Annually on 19th July NA
Annually on 13th September NA
Annually on 14th September
NA
NA NA
Annually on 30th March NA
NA NA
NA NA
NA
ANNUALLY ON 15TH FEBRUARY & ON MATURITY
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
ANNUAL 07/03/2014, 07/03/2015, 07/03/2016
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 12th February Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY 24/05/2013, 24/05/2014, 24/05/2015, 24/05/2016, 24/05/2017
Put: NACall: NA
NA NA
NA NA
NA NA
NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
11 JULY EVERY YEAR NA
NA NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY ON 07TH FEBRUARY & ON MATURITY
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
NA NA
NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA
NA NA
NA NA
NA NA
NA NA
NA NA
Put: N.A.Call: N.A.
ANNUALLY 12.06.2013, 12.06.2014, 12.06.2015, 12.06.2016 AND 12.06.2017
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY 18/02/14, 18/02/15, 18/02/16, 18/02/17 AND 19/02/18
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
NA NA
NA NA
NA NA
NA NA
NA NA
NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
N.A 276-452 & 453
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
NA Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
NA 1190 - 1322
NA 1 to 275
NA 454 - 689
NA 690 - 926
927 TO 1049
NA 1050 TO 1189
1882 - 1929
Annually on 28th December NA
Annually on 04th January NA
Annually on 10th February NA
NA 1323 - 1547
NA 1548 - 1745
NA 1746 - 1842
NA 1843-1881
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA
NA
NA
NA
NA
Annually on 1st April
Annually on 1st April
Annually on 01st April 40857257-41020426
Annually on 01st April 41020427-4117123
Annually on 1st April 41171234 to 41330087
Annually on 01st April
Annually on 01st April
Annually on 01st April
Annually on 01st April
Semi Annually on 31st July & 31st January
Put:14/02/2015Call:14/02/2015
Annually on 31st January & on maturity
Put:18/02/2016Call:18/02/2016
Annually on 31st January & on maturity
Put:18/08/2016Call:18/08/2016
Annually on 31st July & on Maturity
Put:04/08/2017Call:04/08/2017
Semi annually on 15th March & 15th September
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
50420648-50639298
50639979 - 50892058
50892059 - 51067192
51258278 - 51464876
............
51657784 - 51871175
51871177 - 52089085
52089086-52308318
52308319-52902068
60234899-60474185
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
1300001 TO 1301062 / 50000001 TO 50197773
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
13000063/50197774 TO 53000000
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
1400001-1401179/(60000001-60234898)
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
6047186-60667937
60667938-60945882
60945883-61136281
61136282-61340140
60000001-64000000
61540914-61727252
61727253-61929707
61929708-62144490
62144491-62380178
62380179-62942265
70000001-70219678
70219679-70448624
1-67169762
1-4520
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUAL ON 1ST APRIL EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 1ST APRIL EVERY YEAR AND FINAL INTEREST AT THE TIME OF MATURITY
Put: NACall: NA
ANNUALLY ON 1ST APRIL EVERY YEAR AND FINAL INTEREST AT THE TIME OF MATURITY
Put: NACall: NA
ANNUALLY ON 1ST OCTOBER & FINAL INTEREST ALONGWITH REDEMPTION
Put: NACall: NA
ANNUALLY ON 15TH MARCH 2014 ONWARDS AND FINAL INTEREST AT THE TIME OF MATURITY
Put: NACall: NA
-
-
200000001-232830238
1-8496
-
-
Annually on 20th January NA
NA
Annually on 10th January NA
Annually on 21st February NA
NA
NA
NA
NA
ANNUALLY ON 15TH MARCH EVERY YEAR AND FINAL INTEREST AT THE TIME OF MATURITY
Put: NACall: NA
ANNUALLY ON 15TH MARCH EVERY YEAR AND FINAL INTEREST AT THE TIME OF MATURITY
Put: NACall: NA
ANNUALLY ON 1ST OCTOBER & FINAL INTEREST ALONGWITH REDEMPTION
Put: NACall: NA
ANNUALLY ON 15TH MARCH 2014 ONWARDS AND FINAL INTEREST AT THE TIME OF MATURITY
Put: NACall: NA
ANNUALLY ON 15TH MARCH EVERY YEAR AND FINAL INTEREST AT THE TIME OF MATURITY
Put: NACall: NA
ANNUALLY ON 15TH MARCH EVERY YEAR AND FINAL INTEREST AT THE TIME OF MATURITY
Put: NACall: NA
Put: NACall: NA
25/08/2013, 24/08/2014, 24/08/2015
Put:PUT OPTION CAN BE EXCERCISED AT THE END OF 366 DAYS FROM THE DEEMED DATE OF ALLOTMENT i.e. 25/08/13, THE NOTICE FOR EXERCISING PUT Put: NACall: NA
Put: NACall: NA
10/05/2014, 10/04/2015, 10/04/2016
Put:CAN BE EXERCISED AT THE END OF 13 MONTHS FROM THE DEEMED DATE OF ALLOTMENT i.e. 10/05/14. THE NOTICE FOR EXRECISING PUT OPTION SHOULD
25/04/2014, 25/04/2015, 25/04/2016
Put:CAN BE EXERCISED AT THE END OF 19 MONTHS FROM THE DEEMED DATE OF ALLOTMENT i.e. 25/11/14. THE NOTICE FOR EXRECISING PUT OPTION SHOULD
09/05/2014, 08/05/2015, 08/05/2016
Put:CAN BE EXERCISED AT THE END OF 366 DAYS FROM THE DEEMED DATE OF ALLOTMENT i.e. 09/05/14. THE NOTICE FOR EXRECISING PUT OPTION SHOULD
20/06/2014, 20/06/2015, 20/06/2016
Put: NACall: NA
NA
12/09/14, 11/09/15 AND 11/06/16 NA
NA NA
NA NA
N.A.
N.A.
N.A.
NA
NA
NA
ANNUALLY TILL MATURITY 1-196233
NA
NA
23/09/2014, 23/09/2015, 23/06/2016
Put:CAN BE EXERCISED AT THE END OF12 MONTHS FROM THE DEEMED DATE OF ALLOTMENT i.e. SEPT 23RD 2014 THE NOTICE FOR EXERCISING PUT/CALL OPTION Put:CAN BE EXERCISED AT THE END OF366 DAYS FROM THE DEEMED DATE OF ALLOTMENT i.e. SEPT 12TH 2014 THE NOTICE FOR EXERCISING PUT OPTION SHOULD Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Half Yearly10th June & 10th Dec
Half Yearly10th June & 10th Dec
Half Yearly10th June & 10th Dec
ANNUAL ON 14TH DECEMBER OF EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 1ST JANUARY TILL MATURITY
Put: NACall: NA
ANNUAL ON 22ND MARCH OF EVERY YEAR TILL MATURITY
Put: NACall: NA
Put: NACall: NA
ANNUAL - 06THFEB EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUAL ON AUGUST 30TH EVERY YEAR TILL MATURITY i.e. 30.08.2023
Put: NACall: NA
ANNUAL 13TH JANUARY EACH YEAR TILL THE DATE OF MATURITY i.e. 13.01.2024
Put: NACall: NA
NA
-
-
N.A.
NA NA
NA
NA
NA
-
-
NA
NA
-
-
ANNUAL 13TH JANUARY EACH YEAR TILL THE DATE OF MATURITY i.e. 13.01.2024
Put: NACall: NA
ANNUAL 24TH MARCH EACH YEAR TILL THE DATE OF MATURITY i.e. 24.03.2024
Put: NACall: NA
ANNUAL 24TH MARCH EACH YEAR TILL THE DATE OF MATURITY i.e. 24.03.2024
Put: NACall: NA
Half Yearly10th March & 10th Sept
Half yearly. 10th March&10th Sept
ANNUAL ON 30TH AUGUST EVERY YEAR TILL MATURITY i.e. 30.08.2028
Put: NACall: NA
ANNUAL 13TH JANUARY EACH YEAR TILL THE DATE OF MATURITY i.e. 13.01.2029
Put: NACall: NA
ANNUAL 13TH JANUARY EACH YEAR TILL THE DATE OF MATURITY i.e. 13.01.2029
Put: NACall: NA
ANNUAL 24TH MARCH EACH YEAR TILL THE DATE OF MATURITY i.e. 24.03.2029
Put: NACall: NA
ANNUAL 24TH MARCH EACH YEAR TILL THE DATE OF MATURITY i.e. 24.03.2029
Put: NACall: NA
ANNUAL 13TH JANUARY EACH YEAR TILL THE DATE OF MATURITY i.e. 13.01.2034
Put: NACall: NA
ANNUAL 13TH JANUARY EACH YEAR TILL THE DATE OF MATURITY i.e. 13.01.2034
Put: NACall: NA
ANNUAL 24TH MARCH EACH YEAR TILL THE DATE OF MATURITY i.e. 24.03.2034
Put: NACall: NA
ANNUAL 24TH MARCH EACH YEAR TILL THE DATE OF MATURITY i.e. 24.03.2034
Put: NACall: NA
Annually, 30th June N.A. N.A.
Annually, 30th June N.A. N.A.
Annually, 30th June N.A. N.A.
Annually, 30th June N.A. N.A.
XXK1 TO XXK2500
XXL1 TO XXL2500
N.A.
XXM1 TO XX2500
XXN1 TO XX N2500
N.A.
XXO1 TO XXO2500
XXP1 TO XXP2500
N.A. N.A.
N.A.
Semi Annually, 30th June, 31st December
Put: N.A.Call:NTPC May Redeem the outstanding principal sum of the bonds in the full or in part without premature redemption premium
Semi Annually, 30th June, 31st December
Put: N.A.Call:NTPC May Redeem the outstanding principal sum of the bonds in the full or in part without premature redemption premium
Half Yearly31st May & 30th November
Dist Nos :VIII7501 to VIII15000
Semi Annually, 30th June, 31st December
Put: N.A.Call:NTPC May Redeem the outstanding principal sum of the bonds in the full or in part without premature redemption premium
Semi Annually, 30th June, 31st December
Put: N.A.Call:NTPC May Redeem the outstanding principal sum of the bonds in the full or in part without premature redemption premium
Half Yearly31st May & 30th November
Dist Nos :IX7501 to IX15000
Semi Annually, 30th June, 31st December
Put: N.A.Call:NTPC May Redeem the outstanding principal sum of the bonds in the full or in part without premature redemption premium
Semi Annually, 30th June, 31st December
Put: N.A.Call:NTPC May Redeem the outstanding principal sum of the bonds in the full or in part without premature redemption premium
Semi Annually-31st May & 30th November
Half Yearly31st May & 30th November
Dist Nos :X7501 to X15000
XXQ1 TO XXQ2500
XXR1 TO XXR2500
XXS1 TO XXS2500
Put & Call: N.A. XVII to XVI1000
XXT1 TO XXT2500
Put & Call: N.A. XVIII to XVII 500
Annually, 1st January Put & Call: N.A. XIX1 to XIX500
ON THE REDEMPTION DATE NA
ON THE REDEMPTION DATE NA
NA
NA 01-02/Form 01 to 6113040
01 to 2000
01-2000
1-70000
Semi Annually, 30th June and 31st December
Put: N.A.Call:NTPC May Redeem the outstanding principal sum of the bonds in the full or in part without premature redemption premium
Semi Annually, 30th June And 31st December
Put: N.A.Call:NTPC May Redeem the outstanding principal sum of the bonds in the full or in part without premature redemption premium
Semi Annually, 30th June And 31st December
Put: N.A.Call:NTPC May Redeem the outstanding principal sum of the bonds in the full or in part without premature redemption premium
Half Yearly, 30th April & 31st October
Semi Annually, 30th June And 31st December
Put: N.A.Call:NTPC May Redeem the outstanding principal sum of the bonds in the full or in part without premature redemption premium
Quarterly, 30th June, 30th Sept, 31st Dec & 31st March
Put:UPON THE OCCURRENCE OF AN EVENT OF DEFAULT, THE DEBENTURE HOLDERS SHALL FIRST EXCERCISE THE DEBENTURE HODER PUT OPTIONPut:UPON THE OCCURRENCE OF AN EVENT OF DEFAULT, THE DEBENTURE HOLDERS SHALL FIRST EXCERCISE THE DEBENTURE HODER PUT OPTION
QUARTERLY ON 30 SEPTEMBER, 31 DECEMBER, 31 MARCH & 30 JUNE EVERY YEAR TILL MATURITY
Put: NACall: NA
Put: N.A.Call: N.A.
Semi annually on 19th February & 19th August
Put: N.A.Call: N.A.
HALF YEARLY ON 27TH MAR AND 27TH SEPT EACH YEAR DURING TENOR OF THE BOND
Put: NACall: NA
MONTHLY AT THE END OF EVERY MONTH FROM THE DATE OF 31/03/14
Put: NACall: NA
NA
NA 1 TO 430
NA
1 - 5000
001-1000
00000001 - 40264000
Annually on 23rd January NA
1ST APRIL EVERY YEAR NA
1ST APRIL EVERY YEAR NA
1ST APRIL EVERY YEAR NA
1ST APRIL EVERY YEAR NA
1ST APRIL EVERY YEAR NA
1ST APRIL EVERY YEAR NA
NA
QUARTERLY ON 30/07/2012, 30/10/2012, 30/01/2013, 30/04/2013, 30/07/2013, 30/10/2013, 30/01/2014, 30/04/14, 30/07/2014 AND
Put: NACall:1. RIGHT TO REDEEM NCD POST 12 MONTHS FROM THE DATE OF ALLOTMENT (30.04.2012) BY GIVING 15 DAYS Put: NACall: NA
Monthly on last day of every month
Put: N.A.Call: N.A.
Quarterly on 31st March, 30th June, 30th September, 31st December
Put: NACall: NA
SEMI ANNUALLY ON 27/09/14, 27/03/15, 27/09/15 AND 27/03/16
Put: NACall: NA
Interest Provision is made as per agreement. it will be paid when company will earn profit
Put: N.A.Call:to be exercised after August 2014
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
NA
NA
ANNUALLY ON 12TH MARCH NA
NA
NA
ANNUALLY ON 12TH MARCH NA
NA
NA
ANNUALLY ON 12TH MARCH NA
NA
NA
NA
ANNUALLY ON 12TH MARCH NA
NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
NA
NA
ANNUALLY ON 12TH MARCH NA
NA
NA
NA
ANNUALLY ON 12TH MARCH NA
NA
NA
NA
ANNUALLY ON 12TH MARCH NA
NA
NA
NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
ANNUALLY ON 12TH MARCH NA
NA
NA
NA
ANNUALLY ON 12TH MARCH NA
NA
NA
NA
ANNUALLY ON 12TH MARCH NA
NA
NA
NA
ANNUALLY ON 12TH MARCH NA
NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
NA
ANNUALLY ON 12TH MARCH NA
NA
Annually on last day of february NA
NA
001-600
001-600
001-600
001-600
001-600
NA
NA
NA
NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 11TH FEBRUARY
Put: NACall: NA
Put: N.A.Call: N.A.
Quarterly on 20th January; 20th April; 20th July & 20th October
Put: N.A.Call: N.A.
ANNUALLY ON 27TH MAY EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 27TH MAY EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 27TH MAY EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 27TH MAY EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 27TH MAY EVERY YEAR TILL MATURITY
Put: NACall: NA
Semi - Annually on 18th May & 18th November
Put: N.A.Call: N.A.
MONTHLY ON LAST DATE OF EACH MONTH FIRST INTEREST WILL BE DUE ON 22/04/14
Put: NACall:ON OR AFTER 22/03/14. CALL NOTICE DEADLINE DATE- 30 DAYS PRIOR NOTICE
MONTHLY ON LAST DATE OF EACH MONTH, FIRST INTEREST WILL BE DUE ON 29.04.2014
Put: NACall:ON OR AFTER 29/06/14. CALL NOTICE DEADLINE DATE- 30 DAYS PRIOR NOTICE
MONTHLY ON LAST DATE OF EACH MONTH FIRST INTEREST WILL BE DUE ON 30/04/14
Put: NACall:ON OR AFTER 22/03/14, ISSUER HAS THE OPTION TO PREPAY PART OR FULL WITH PRIOR WRITTEN NOTICE OF 30
01-2970
1-1400
1-1270
NA NA
N.A. 207801 – 307800
ON MATURITY 0001 TO 1000
ON MATURITY NCE 006-0001 TO NCE 006-1200
ON MATURITY NCE007 - 001 TO NCE007 - 1000
ON MATURITY NCE008-0001 TO NCE008-2500
On Maturity NCE010-001 TO NCE010-500
NCE012-001 TO 012- 300
ON MATURITY NCE015-001 TO NCE015-1500
NCE042-0001 TO NCE042-2500
ON MATURITY 0001 TO 1000
QUARTERLY ON LAST DATE OF EACH QUARTER STARTING 30/06/15
Put: NACall:ISSUER HAS AN OPTION TO PREPAY PART OR FULL WITH PRIOR WRITTEN APPROVAL OF THE SECURITY HOLDER
MONTHLY ON 15TH STARTING 15/07/14 TILL 15/03/18
Put: NACall: NA
ANNUAL ON 29/07/15, 29/07/16, 29/07/17. INTEREST PAYMENT-CO SHALL PAY TO EACH DEBENTURE HOLDER OR SUBSCRIBER OF DEBENTURES, AS CASE MAY BE,
Put: NACall: NA
Put: N.A.Call:Call option at the option of the company
Put – Rs 9,500/- per DDB on 03rd November 2004 and Rs 16,500/- per DDB on 03rd November 2008
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Contingent early redemption payment date or final redemption date as determined by the calculation agent in its sole and absolute discretion
Put: NACall: NA
Put: NACall: NA
BULLET PAYMENT AT THE TIME OF REDEMPTION
Put: NACall: NA
Put: NACall: NA
ON MATURITY 0001 TO 1500
ON MATURITY NCE024 - 0001 TO NCE024 - 1000
ON MATURITY NCE027-0001 TO NCE027-1000
ON MATURITY 001 - 200
ON MATURITY NCE036-001 to NCE036-500
ON MATURITY NCE037-001 TO NCE037-1000
NCE047-0001 TO NCE047-0500
ON MATURITY
ON MATURITY 001 TO 1000
NCE046-0001 TO NCE046-0025
NCE048-0001 TO NCE048-0500
ON MATURITY i.e 05/06/17 NA
ON MATURITY i.e 28/06/17 NA
1-29373
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall:01/04/2013, 01/07/2013, 30/09/2013, 30/12/2013, 31/03/2014, 30/06/2014
Put: NACall: NA
BULLET PAYMENT AT THE TIME OF REDEMPTION
Put: NACall: NA
Put: NACall: NA
NCD040 - 0001 TO NCD040 - 1000
Put: NACall: NA
BULLET PAYMENT AT THE TIME OF REDEMPTION
Put: NACall: NA
BULLET PAYMENT AT THE TIME OF REDEMPTION
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
SEMI ANNUALLY ON 15/09/2014, 14/03/15, 14/09/15, 14/03/16, 14/09/16, 14/03/17, 14/09/17, 14/03/18, 14/09/18, 14/03/19
Put: NACall: NA
NA
N.A.
NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
Semi annually on 15th January & 15th July
Put:15/12/2018Call:15/12/2018
SEMI ANNUAL ON 15TH MAY & 15TH NOVEMBER
Put: NACall: NA
SEMI ANNUAL 15TH MARCH AND 15TH SEPTEMBER
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
NA NA
01-168260
01-100750
01-6142
Annually on 10th July XXXVIII-A 1 TO XXXVIII-A 500
Annually on 10th July XXXVIII-B 1 TO XXXVIII-B 500
Annually on 10th July XXXVIII C 1 TO XXXVIII-C 500
Annually on 10th July XXXVIII-D 1 TO XXXVIII-D 500
Annually on 10th August XXXVII - 1 TO XXXVII - 3000
Annually on 10th July XXXVIII-E 1TO XXXVIII-E 500
Annually on 10th July XXXVIII-F 1 TO XXXVIII-F 500
Annually on 10th July XXXVIII-G 1 TO XXXVIII-G 500
-
Put: N.A.Call: N.A.
HALF YEARLY STARTS FROM 1ST APRIL AND 1ST OCT EVERY YEAR TILL MATURITY
Put: NACall: NA
HALF YEARLY STARTS FROM 1ST APRIL AND 1ST OCT EVERY YEAR TILL MATURITY
Put: NACall: NA
HALF YEARLY STARTS FROM 1ST APRIL AND 1ST OCT EVERY YEAR TILL MATURITY
Put: NACall: NA
FIRST 2 YEARS- NIL, AT THE END OF 3RD YEAR- 4% FROM THE END OF 4TH YEAR- 5% INTEREST SHALL BE PAYABLE BY THE CO.TO THE CCD HOLDER IN ARREARS
Put: NACall: NA
2/(B01-B2732), 3/(B2733-B7574), 4/(B7575-B10598), 5/(B10599-B16898)
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 16TH DEC STARTING 16/12/14 TILL 16/12/23
Put: NACall: NA
-
Annually on 10th July XXXVIII-H 1 TO XXXVIII-H 500
1-750
Annually on 10th July XXXVIII-I 1 TO XXXVIII-I 500
Annually on 10th July XXXVIII-J 1 TO XXXVIII-J 500
Annually on 10th July XXXVIII-K 1 TO XXXVIII-K 500
Annually on 10th July XXXVIII-L 1 TO XXXVIII-L 500
-
-
Annually on 10th July XXXVIII-M 1 TO XXXVIII-M 500
1-1050
Annually on 10th July XXXVIII-N 1 TO XXXVIII-N 500
Annually on 10th July XXXVIII-O 1 TO XXXVIII-O 500
-
ANNUALLY ON 16TH DEC STARTING 16/12/14 TILL 16/12/23
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 04TH MARCH STARTING 04/03/15 TILL MATURITY i.e 04/03/24
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 16TH DEC STARTING 16/12/14 TILL 16/12/28
Put: NACall: NA
ANNUALLY ON 16TH DEC STARTING 16/12/14 TILL 16/12/28
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 04TH MARCH STARTING 04/03/15 TILL MATURITY i.e 04/03/29
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 16TH DEC STARTING 16/12/14 TILL 16/12/33
Put: NACall: NA
-
1-3200
XLVI-A 1 TO XLVI-A 500
XLVI-B 1 TO XLVI-B 500
XLVI-C 1 TO XLVI-C 500
XLVI-D 1 TO XLVI-D 500
XLVII-1 TO XLVII-3900
XLVI-E 1 TO XLVI-E 500
XL IX-1 TO XL IX 2000
XL VIII-1 TO XL VIII-3000
XLVI-F 1 TO XLVI-F 500
XLVI-G 1 TO XLVI-G 500
XLVI-H 1 TO XLVI-H 500
XLVI-I 1 TO XLVI-I 500
ANNUALLY ON 16TH DEC STARTING 16/12/14 TILL 16/12/33
Put: NACall: NA
ANNUAL ON 04TH MARCH STARTING 04/03/15 TILL MATURITY i.e 04/03/34
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 4TH OCTOBER EVERY YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 4TH APRIL EACH YEAR
Put: NACall: NA
ANNUALLY ON 7TH MARCH EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
XLVI-J 1 TO XLVI-J 500
XLVI-K 1 TO XLVI-K 500
XLVI-L 1 TO XLVI-L 500
XLVI-M 1 TO XLVI-M 500
XLVI-N 1 TO XLVI-N 500
XLVI-O 1 TO XLVI-O 500
XXIV G1 TO XXIV G 2500
XXI J1 TO XXI J5000
XXI K1 TO XXI K5000
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII G1 TO XXIII G 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXV F1 TO XXV F 715
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXVI F1 TO XXVI F 715
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII H1 TO XXII H 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with notice of 60 days
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII H1 TO XXIII H 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with notice of 60 days
XXIV H1 TO XXIV H 2500
XXIV I 1 TO XXIV I 2500
XXI L1 TO XXI L5000
XXI M1 TO XXI M5000
XXIV J1 TO XXIV J 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXV G1 TO XXV G 715
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXVI G1 TO XXVI G 715
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII I1 TO XXII I 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII I1 TO XXIII I 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXV H1 TO XXV H 715
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXVI H1 TO XXVI H 715
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII J1 TO XXII J 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with notice of 60 days
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII J1 TO XXIII J 2500
Semi Annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with notice of 60 days
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
Annually on 10th July Put: N.A.Call: N.A.
XXXII-A 1 to XXXII-A 700
XXIV K1 TO XXIV K 2500
Annually on 10th July XXXV - A 1 TO XXXV - A 800
XXXVI-A 1 TO XXXVI-A- 500
XXI N1 TO XXI N5000
XXI O1 TO XXI O5000
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXV I1 TO XXV I 715
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXVI I1 TO XXVI I 715
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII K1 TO XXII K 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII K1 TO XXIII K 2500
Semi Annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with Put: N.A.Call: N.A.
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - A1 to XXXIV-A1000
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXV J1 TO XXV J 715
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXVI J1 TO XXVI J 715
Annually on 10th July Put: N.A.Call: N.A.
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII L1 TO XXII L 2500
Semi annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with notice of 60 days
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII L1 TO XXIII L 2500
Semi annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with notice of 60 days
XXIV L1 TO XXIV L 2500
Annually on 10th July XXXIX-A 1 TO XXXIX-A 700
Annually on 10th July XL-A 1 TO XL-A 500
XXIV M1 TO XXIV M 2500
XXXV - B 1 TO XXXV - B 800
Semi Annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
Annually on 10th July Put: N.A.Call: N.A.
XXXII-B 1 to XXXII-B 700
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXV K1 TO XXV K 715
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXVI K1 TO XXVI K 715
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII M1 TO XXII M 2500
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII M1 TO XXIII M 2500
Semi Annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
Annually on 10th July Put: N.A.Call: N.A.
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - B1 to XXXIV-B1000
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXV L1 TO XXV L 715
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXVI L1 TO XXVI L 715
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-B 1 TO XXXVI-B- 500
ANNUALLY ON 10TH JULY XLI-A 1 TO XLI-A 500
XXI P1 TO XXI P5000
ANNUALLY ON 10TH JULY XLIII-A 1 TO XLIII-A 500
XXI Q1 TO XXI Q5000
XXIV N1 TO XXIV N 2500
XLV-A 1 TO XLV-A 500
Annually on 10th July XXXIX-B 1 TO XXXIX-B 700
Annually on 10th July XL-B 1 TO XL-B 500
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII N1 TO XXII N 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with notice of 60 days Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII N1 TO XXIII N 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with notice of 60 days
Semi Annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
Annually on 10th July Put: N.A.Call: N.A.
XXXII-C 1 to XXXII-C 700
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXV M1 TO XXV M 715
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXVI M1 TO XXVI M 715
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII O1 TO XXII O 2500
Put: NACall: NA
XXIV O1 TO XXIV O 2500
XXXV-C 1 TO XXXV-C 800
Annually on 31st December XXVIII - 1 to XXVIII - 10000
ANNUALLY ON 10TH JULY XLI-B 1 TO XLI-B 500
XXI R1 TO XXI R5000
ANNUALLY ON 10TH JULY XLIII-B 1 TO XLIII-B 500
Annually on 10th March XXIX - 1 to XXIX - 5500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII O1 TO XXIII O 2500
Semi Annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
Annually on 10th July Put: N.A.Call: N.A.
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - C1 to XXXIV-C1000
Put: N.A.Call: N.A.
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXV N1 TO XXV A 705
Semi Annually on 04th June and 04th December
Put: N.A.Call:No prepayment is permitted in full or in part on or before 04/06/2012.payment in full or part after this date would be accepted
XXVI N1 TO XXVI N 715
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-C 1 TO XXXVI-C- 500
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII P1 TO XXII P 2500
Semi annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with notice of 60 days Put: NACall: NA
Put: N.A.Call: N.A.
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII P1 TO XXIII P 2500
XXI S1 TO XXI S5000
XXIV P1 TO XXIV P 2500
Annually on 20th March XXX-1 to XXX-7000
XLV-B 1 TO XLV-B 500
Annually on 10th July XXXIX-C 1 TO XXXIX-C 700
Annually on 10th July XL-C 1 TO XL-C 500
XXIV Q1 TO XXIV Q 2500
XXXV- D 1 TO XXXV - D 800
ANNUALLY ON 10TH JULY XLI-C 1 TO XLI-C 500
Semi Annually , 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with notice of 60 days
Semi Annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
Annually on 10th July Put: N.A.Call: N.A.
XXXII-D 1 to XXXII-D 700
Put: N.A.Call: N.A.
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII Q1 TO XXII Q 2500
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII Q1 TO XXIII Q 2500
Semi Annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
Annually on 10th July Put: N.A.Call: N.A.
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - D1 to XXXIV-D1000
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-D 1 TO XXXVI-D- 500
Put: NACall: NA
XXI T1 TO XXI T5000
ANNUALLY ON 10TH JULY XLIII-C 1 TO XLIII-C 500
XXIV R1 TO XXIV R 2500
Annually on 15th July XXXI-1 to XXXI-7000
Annually on 15th May XXXIII - 1 to XXXIII-1950
XLV-C 1 TO XLV-C 500
Annually on 10th July XXXIX-D 1 TO XXXIX-D 700
Annually on 10th July XL-D 1 TO XL-D 500
XXIV S1 TO XXIV S 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII R1 TO XXII R 2500
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with notice of 60 days Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII R1 TO XXIII R 2500
Semi Annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with Put: N.A.Call: N.A.
Annually on 10th July Put: N.A.Call: N.A.
XXXII-E 1 to XXXII-E 700
Put: N.A.Call: N.A.
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII S1 TO XXII S 2500
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII S1 TO XXIII S 2500
Semi Annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXXV - E 1 TO XXXV- E 800
ANNUALLY ON 10TH JULY XLI-D 1 TO XLI-D 500
ANNUALLY ON 10TH JULY XLIII-D 1 TO XLIII-D 500
XXIV T1 TO XXIV T 2500
XLV-D 1 TO XLV-D 500
Annually on 10th July XXXIX-E1 TO XXXIX-E 700
Annually on 10th July XL-E 1 TO XL-E 500
Annually on 10th July Put: N.A.Call: N.A.
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - E1 to XXXIV-E1000
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-E 1 TO XXXVI-E- 500
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemp. premium- with irrevocable notice
XXII T1 TO XXII T 2500
Put: NACall: NA
Semi Annually, 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
XXIII T1 TO XXIII T 2500
Semi Annually 30th June and 31st December
Put: N.A.Call:Issuer may redeem the outstanding principal in full or in part without premature redemption premium- with
Annually on 10th July Put: N.A.Call: N.A.
XXXII-F 1 to XXXII-F 700
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXV - F 1 TO XXXV- F 800
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - F1 to XXXIV-F1000
ANNUALLY ON 10TH JULY XLI- E 1 TO XLI- E 500
ANNUALLY ON 10TH JULY XLIII-E 1 TO XLIII-E 500
XLV-E 1 TO XLV-E 500
Annually on 10th July XXXIX-F 1 TO XXXIX-F 700
Annually on 10th July XL-F 1 TO XL-F 500
ANNUALLY ON 10TH JULY XLI- F 1 TO XLI- F 500
ANNUALLY ON 25TH JANUARY XLII-A 1 TO XLII-A 5000
ANNUALLY ON 10TH JULY XLIII-F 1 TO XLIII-F 500
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-F 1 TO XXXVI-F- 500
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXII-G 1 to XXXII-G 700
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXV - G 1 TO XXXV- G 800
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - G1 to XXXIV-G1000
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-G 1 TO XXXVI-G- 500
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXII-H 1 to XXXII-H 700
XLIV-A 1 TO XLIV-A 5000
XLV-F 1 TO XLV-F 500
Annually on 10th July XXXIX-G 1 TO XXXIX-G 700
Annually on 10th July XL-G 1 TO XL-G 500
Annually on 15th October XXVII - 1 to XXVII - 3500
ANNUALLY ON 10TH JULY XLI- G 1 TO XLI- G 500
ANNUALLY ON 25TH JANUARY XLII-B 1 TO XLII-B 5000
ANNUALLY ON 10TH JULY XLIII-G 1 TO XLIII-G 500
1-7500
XLIV-B 1 TO XLIV-B 5000
ANNUALLY ON 4TH MAY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXV - H 1 TO XXXV- H 800
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - H1 to XXXIV-H1000
Put: N.A.Call: N.A.
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-H 1 TO XXXVI-H- 500
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
SEMI ANNUALLY ON 24TH SEPT AND 24TH MARCH EVERY YEAR
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXII-I 1 to XXXII-I 700
ANNUALLY ON 4TH MAY EACH YEAR
Put: NACall: NA
XLV-G 1 TO XLV-G 500
Annually on 10th July XXXIX-H 1 TO XXXIX-H 700
Annually on 10th July XL-H 1 TO XL-H 500
ANNUALLY ON 10TH JULY XLI- H 1 TO XLI- H 500
ANNUALLY ON 25TH JANUARY XLII-C 1 TO XLII-C 5000
ANNUALLY ON 10TH JULY XLIII-H 1 TO XLIII-H 500
XLIV-C 1 TO XLIV-C 5000
XLV-H 1 TO XLV-H 500
Annually on 10th July XXXIX-I 1 TO XXXIX-I 700
Annually on 10th July XL-I 1 TO XL-I 500
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXV - I 1 TO XXXV- I 800
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - I1 to XXXIV-I1000
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-I 1 TO XXXVI-I 500
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXII-J 1 to XXXII-J 700
ANNUALLY ON 4TH MAY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 10TH JULY XLI- I 1 TO XLI- I 500
ANNUALLY ON 25TH JANUARY XLII-D 1 TO XLII-D 5000
ANNUALLY ON 10TH JULY XLIII-I 1 TO XLIII-I 500
XLIV-D 1 TO XLIV-D 5000
XLV-I 1 TO XLV-I 500
Annually on 10th July XXXIX-J 1 TO XXXIX-J 700
Annually on 10th July XL-J 1 TO XL-J 500
Annually on 10th July Put: N.A.Call: N.A.
XXXV - J 1 TO XXXV- J 800
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - J1 to XXXIV-J1000
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-J 1 TO XXXVI-J- 500
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXII-K 1 to XXXII-K 700
ANNUALLY ON 4TH MAY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXV - K 1 TO XXXV- K 800
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - K1 to XXXIV-K1000
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-K 1 TO XXXVI-K- 500
ANNUALLY ON 10TH JULY XLI- J 1 TO XLI- J 500
ANNUALLY ON 25TH JANUARY XLII-E 1 TO XLII-E 5000
ANNUALLY ON 10TH JULY XLIII-J 1 TO XLIII-J 500
XLIV-E 1 TO XLIV-E 5000
XLV-J 1 TO XLV-J 500
Annually on 10th July XXXIX-K 1 TO XXXIX-K 700
Annually on 10th July XL-K 1 TO XL-K 500
ANNUALLY ON 10TH JULY XLI- K 1 TO XLI- K 500
ANNUALLY ON 10TH JULY XLIII-K 1 TO XLIII-K 500
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXII-L 1 to XXXII-L 700
ANNUALLY ON 4TH MAY EACH YEAR
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXV - L 1 TO XXXV- L 800
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - L1 to XXXIV-L1000
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-L 1 TO XXXVI-L- 500
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXII-M 1 to XXXII-M 700
XLV-K 1 TO XLV-K 500
Annually on 10th July XXXIX-L 1 TO XXXIX-L 700
Annually on 10th July XL-L 1 TO XL-L 500
ANNUALLY ON 10TH JULY XLI- L 1 TO XLI- L 500
ANNUALLY ON 10TH JULY XLIII-L 1 TO XLIII-L 500
XLV-L 1 TO XLV-L 500
Annually on 10th July XXXIX-M 1 TO XXXIX-M 700
Annually on 10th July XL-M 1 TO XL-M 500
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXV - M 1 TO XXXV- M 800
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - M1 to XXXIV-M1000
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-M 1 TO XXXVI-M- 500
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXII-N 1 to XXXII-N 700
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXV - N 1 TO XXXV- N 800
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - N1 to XXXIV-N1000
ANNUALLY ON 10TH JULY XLI- M 1 TO XLI- M 500
ANNUALLY ON 10TH JULY XLIII-M 1 TO XLIII-M 500
XLV-M 1 TO XLV-M 500
Annually on 10th July XXXIX-N 1 TO XXXIX-N 700
Annually on 10th July XL-N 1 TO XL-N 500
ANNUALLY ON 10TH JULY XLI- N 1 TO XLI- N 500
ANNUALLY ON 10TH JULY XLIII-N 1 TO XLIII-N 500
XLV-N 1 TO XLV-N 500
Annually on 10th July XXXIX-O 1 TO XXXIX-O 700
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-N 1 TO XXXVI-N- 500
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXII-O 1 to XXXII-O 700
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 10th July Put: N.A.Call: N.A.
XXXV - O 1 TO XXXV- O 800
Annually on 10th July Put: N.A.Call: N.A.
XXXIV - O1 to XXXIV-O1000
Annually on 10th July Put: N.A.Call: N.A.
XXXVI-O 1 TO XXXVI-O- 500
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Annually on 10th July XL-O 1 TO XL-O 500
ANNUALLY ON 10TH JULY XLI- O 1 TO XLI- O 500
ANNUALLY ON 10TH JULY XLIII-O 1 TO XLIII-O 500
XLV-O 1 TO XLV-O 500
0001 to 7000
0001 to 6500
NA
NA
NA
NA
NA
NA
NA
NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 10TH JULY EACH YEAR
Put: NACall: NA
Semi annually on 1st May & 1st November
Put: N.A.Call: N.A.
Semi annually on 1st May & 1st November
Put: N.A.Call: N.A.
SEMI ANNUALLY ON 15 MARCH AND 15 SEPTEMBER
Put: NACall: NA
SEMI ANNUALLY ON 15 MARCH AND 15 SEPTEMBER
Put: NACall: NA
SEMI ANNUALLY ON 15 MARCH AND 15 SEPTEMBER
Put: NACall: NA
SEMI ANNUALLY ON 23RD JULY AND JANUARY EVERY YEAR
Put: NACall: NA
SEMI ANNUALLY ON 23RD JULY AND JANUARY EVERY YEAR
Put: NACall: NA
SEMI ANNUALLY ON 23RD JULY AND JANUARY EVERY YEAR
Put: NACall: NA
SEMI ANNUALLY ON 23RD JULY AND JANUARY EVERY YEAR
Put: NACall: NA
SEMI ANNUALLY ON 23RD JULY AND JANUARY EVERY YEAR
Put: NACall: NA
Annually, 1st August Put & Call: N.A. N.A.
Annually, 1st August Put & Call: N.A. N.A.
Annually, 1st August Put & Call: N.A. N.A.
Annually, 1st August Put & Call: N.A. N.A.
Annually, 1st August Put & Call: N.A. N.A.
Annually, 1st April N.A.
NA 01/(1-1202951)
NA 02/(1202952-8188420)
NA 03/(8188421-9238420)
NA 04/(9238421-12638420)
NA
NA
30TH OF EVERY MONTH 1-5000000
Put & Call:At the end of 5 years from date of allotment ie. 26th March, 2009 & every year thereafter on Date of Allotment
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30/11/13
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30/11/13
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30/11/13
Put: NACall: NA
Put: NACall: NA
06 to 65
1 - 17000000
NA
00001-19000
Annually on 23rd December NA
Annually on 6th January NA
NA
30TH DAY OF EVERY MONTH NA
NA
Annually on 01st April NA
Annually on 23rd April NA
Annually on 1st April NA
NA
Annually on 12th February NA
Quarterly on 31st March ; 30th June ; 30th September & 31st December
Put: N.A.Call: N.A.
MONTHLY LAST DAY OF THE MONTH
Put: NACall: NA
LAST DAY OF EVERY CALENDAR MONTH (MONTHLY BASIS) (LAST DATE OF INTEREST 30/03/2016)
Put: NACall: NA
MONTHLY, LAST DATE OF EVERY MONTH
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
AT 6 MONTHS RESTS-5TH MAY & 5TH NOVEMBER EACH YEAR
Put: NACall:CALL OPTIN DATE-16.01.2017, CALL NOTICE DEADLINE DATE-01.01.2017, CALL NOTIFICATION TIME-15 Put: NACall: NA
QUARTERLY ON 31 DEC, 31 MAR, 30 JUN, 30 SEP EVERY YEAR FROM 31.12.13 TILL 30.06.17
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call:After 10 years i.e. on 21/07/2016
ANNUALLY ON 30TH NOVEMBER EACH YEAR TILL MATURITY OF BONDS ON NOVEMBER 30, 2022
Put: NACall: NA
Put: N.A.Call:On 12/02/2019 at par subject to RBI approval
Annually on 20th September NA
Annually on 17th December NA
Annually on 17th September NA
Annually on 07th December NA
NA
1-195
1-65
1-65
1-65
NA
1-65
1-65
1-65
NA
Put: N.A.Call:At par on 20/09/2020.(subject to prior approval from RBI)
Put: N.A.Call:On 17/12/2019 or thereafter (subject to prior approval of RBI)
Put: N.A.Call:At par on17.09.2020 or thereafter ( subject to prior approval from RBI )
Put: N.A.Call:After 10 years i.e. on 07/12/2016 thereafter at every annual interest payment date
Semi annually on 31st March & 30th September
Put: NACall: NA
QUARTERLY ON 1ST AUG, 1ST NOV, 1ST FEB AND 1ST MAY EVERY YEAR STARTING FROM 01/08/2014
Put: NACall: NA
QUARTERLY ON 1ST AUG, 1ST NOV, 1ST FEB AND 1ST MAY EVERY YEAR STARTING FROM 01/08/2014
Put: NACall: NA
QUARTERLY ON 1ST AUG, 1ST NOV, 1ST FEB AND 1ST MAY EVERY YEAR STARTING FROM 01/08/2014
Put: NACall: NA
QUARTERLY ON 1ST AUG, 1ST NOV, 1ST FEB AND 1ST MAY EVERY YEAR STARTING FROM 01/08/2014
Put: NACall: NA
QUARTERLY ON 1ST AUG, 1ST NOV, 1ST FEB AND 1ST MAY EVERY YEAR STARTING FROM 01/08/2014
Put: NACall: NA
QUARTERLY ON 1ST AUG, 1ST NOV, 1ST FEB AND 1ST MAY EVERY YEAR STARTING FROM 01/08/2014
Put: NACall: NA
QUARTERLY ON 1ST AUG, 1ST NOV, 1ST FEB AND 1ST MAY EVERY YEAR STARTING FROM 01/08/2014
Put: NACall: NA
QUARTERLY ON 1ST AUG, 1ST NOV, 1ST FEB AND 1ST MAY EVERY YEAR STARTING FROM 01/08/2014
Put: NACall: NA
MONTHLY ON LAST DAY OF EACH MONTH STARTING FROM 31.10.2013
Put:IN THE EVENT OF DEFAULT AS DEFINED IN THE DEBENTURE TRUST DEED THE DEBENTURE TRUSTEE CAN EXCERCISE A PUT OPTION ON PROMOTORS TO BUY
01-8000
01-3800
1-400
01-1730
NCD 00001- NCD 00200
NA
Annually on 31st July
Annually on 30th August NA
NA
NA
NA
NA 22750000 - 40000000
NA 40000001 - 50000000
NA 50000001 - 55000000
ON LAST DATE OF EVERY CALENDER MONTH STARTING 31/03/14
Put: NACall:12 MONTHS COMMENCING FROM FIRST ALLOTMENT DATE i.e 11/3/2014
INTEREST WILL BE PAID ON QUARTERLY BASIS. FIRST INTEREST PAYMENT TO BE DONE IN 31.03.2014, SUBSEQUENTLY INTEREST WILL BE PAID ON
Put: NACall: NA
INTEREST WILL BE PAID ON QUARTERLY BASIS. FIRST INTEREST PAYMENT TO BE DONE IN 30.06.2014, SUBSEQUENTLY INTEREST WILL BE PAID ON
Put: NACall: NA
THE FIRST INTEREST PAYMENT WILL BE DUE ON 29/06/14 SUBSEQUENTLY NEXT INTEREST WILL BE DUE ON 29/0/14, 30/12/14,
Put:THE PUT OPTION CAN BE EXCERCISED WITHIN 7 YEARS FROM THE DEEMED DATE OF ALLOTMENT IS 21/05/14 IF PROMOTER FAILS TO ISSUE A
MONTHLY ON 15TH STARTING 15/05/14 TILL 15/04/16
Put: NACall: NA
31ST MARCH EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall:At the end of 1st year from date of allotment i.e.30/08/2012
ANNUAL ON MARCH 20 EVERY YEAR UPTO MATURITY
Put: NACall:20/03/2015, 20/03/2016, 20/03/2017, 20/03/2018
ANNUALLY ON 7TH MAY EVERY YEAR TILL 07/05/2016
Put: NACall: NA
ANNUALLY ON 22ND MAY EVERY YEAR TILL 22/05/2018
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA 55000001 - 120000000
NA
NA
1-2193
1528-1815
ANNUAL 31.03.2015, 31.03.2016 1-1032
1-94
1-10000
1-300
1-5700
Put: NACall: NA
Semi annually on 1st March & 1st September
Put: N.A.Call: N.A.
Quarterly on 1st March, 1st June, 1st September & 1st December & on Maturity
Put: N.A.Call: N.A.
Quarterly on 31st March,30th June, 30th September, 31st December
Put: NACall: NA
Semi annually on 1st March & 1st September
Put: N.A.Call: N.A.
Semi annually on 1st March & 1st September
Put: N.A.Call: N.A.
Quarterly on 31th March,30th June, 30th September, 31st December
Put: NACall: NA
ANNUAL 31.03.2014, 31.03.2015, 31.03.2016
Put: NACall: NA
ANNUAL 31.03.2014, 31.03.2015, 31.03.2016
Put: NACall: NA
Put: NACall: NA
QUARTER ENDING IN 31 MAR, 30 JUN, 30 SEP AND 31 DEC (STARTING 31.03.14 TILL END DATE 31.12.16)
Put: NACall:PREPAYMENT OPTION AVAILABLE @ PREMIUM OF 3% AFTER 12 MONTHS FROM THE DATE OF DISBURSEMENT
QUARTER ENDING IN 31 MAR, 30 JUN, 30 SEP AND 31 DEC (STARTING 30.06.14 TILL END DATE 23.11.17)
Put: NACall:PREPAYMENT OPTION AVAILABLE @ PREMIUM OF 3% IF PREPAYMENT MADE WITHIN 12 MONTHS @ PREMIUM OF 2% IF
MONTHL STARTING FROM 31/07/2013 TILL MATURITY i.e. 31/12/2015
Put:30/06/2014, 30/09/2014, 31/12/2014, 31/03/2015, 30/06/2015, 30/09/2015, 31/12/2015Call:30/06/2014, 30/09/2014, 31/12/2014, 31/03/2015, 30/06/2015, 30/09/2015, 31/12/2015
MONTHLY STARTING FROM 31/07/2013 TILL MATURITY i.e. 31/12/2015
Put:30/06/2014, 30/09/2014, 31/12/2014, 31/03/2015, 30/06/2015, 30/09/2015, 31/12/2015Call:30/06/2014, 30/09/2014, 31/12/2014, 31/03/2015, 30/06/2015, 30/09/2015, 31/12/2015
1-210
OCD/03(1-16353500)
FCD/04(11177501-13677500)
FCD/05(13677501-15417500)
FCD/S-1/01
FCD/S-2/01
ANNUALLY EVERY ON MARCH 31 1-360
1-24500
1-5000
1501 - 3000
6001-10000
5001-10000
INTEREST WILL BE PAID QUARTERLY ON MARCH 31, 2014,JUNE 30, 2014,SEPTEMBER 30, 2014,DECEMBER 31, 2014,MARCH 31, 2015,JUNE 30,
Put: NACall: NA
ANNUAL 31ST MARCH EVERY YEAR
Put: NACall: NA
FCD/01(1-8377500),FCD/02(8377501-9177500),FCD/03(9177501-11177500)
ANNUAL 31ST MARCH EVERY YEAR
Put: NACall: NA
ANNUAL 31ST MARCH EVERY YEAR
Put: NACall: NA
ANNUAL 31ST MARCH EVERY YEAR
Put: NACall: NA
CONTACT ISSUER FOR INTEREST PAYMENT DETAILS
Put: NACall: NA
FCD-1 (1-6357035) FCD-2 (6357036-7578264)
ANNUAL 31ST MARCH EVERY YEAR
Put: NACall: NA
ANNUAL 31ST MARCH EVERY YEAR
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON OR AFTER EVERY 31ST MARCH AND ON AUGUST 20, 2023
Put: NACall: NA
Quarterly on 31st March,30th June,30th September & 31st December
Put: NACall: NA
Semi-Annually on 31st March & 30th September
Put: NACall: NA
Semi annually on 30th September & 31st March & on maturity
Put: N.A.Call: N.A.
Quarterly on 31st March,30th June,30th September & 31st December
Put: NACall: NA
3001 - 5000
10001-15000
Annually on 20th July 1051-2000
1 - 1500
18000-20319/(18001-20320)
20320-21239/(20321-21240)
21240-22869/(21241-22870)
22870-26059/(22871-26060)
1-17999/(1-18000)
26060-39999/(26061-40000)
1-4090
NA 1-1750
NA 1-1750
NA 1-1000
Semi-Annually on 31st March & 30th September
Put: NACall: NA
Quarterly on 31st March,30th June,30th September & 31st December
Put: NACall: NA
Put:20/07/2014Call:20/07/2014
QUARTERLY i.e. 17TH DECEMBER, 17TH MARCH, 17TH JUNE, 17TH SEPTEMBER
Put: NACall: NA
30TH SEPTEMBER AND 31ST MARCH EACH YEAR
Put: NACall: NA
30TH SEPTEMBER AND 31ST MARCH EACH YEAR
Put: NACall: NA
30TH SEPTEMBER AND 31ST MARCH EACH YEAR
Put: NACall: NA
30TH SEPTEMBER AND 31ST MARCH EACH YEAR
Put: NACall: NA
30TH SEPTEMBER AND 31ST MARCH EACH YEAR
Put: NACall: NA
30TH SEPTEMBER AND 31ST MARCH EACH YEAR
Put: NACall: NA
Semi annually on 14th October & 14th April
Put: N.A.Call: N.A.
Put: NACall:15/06/2017, 29/12/2018
Put: NACall:29/12/2018
Put: NACall:15/06/17 AND 29/12/18
NA 1-1000
NA
NA
NA NA
NA NA
NA
NA
N.A.
NA
NA
N.A.
NA
NA
NA
Put: NACall:29/12/2018
MONTHLY LAST DAY OF EACH MONTH
Put: NACall:ISSUER HAS AN OPTION TO PREPAY AT THE END OF 9TH MONTH (20/03/2014)
ANNUALLY ON NOVEMBER 6TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
QUARTERLY ON 6TH FEB, 6TH MAY, 6TH AUG AND 6TH NOV EVERY YEAR AND ON REDEMPTION.
Put: NACall: NA
ANNUALLY ON NOVEMBER 6TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 31ST JULY EVERY YEAR & ON REDEMPTION
Put: NACall: NA
PAYABLE QUARTERLY MARCH 12, JUNE 12, SEPTEMBER 12 AND DECEMBER 12 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 12th DECEMBER EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 31ST JULY EVERY YEAR & ON REDEMPTION
Put: NACall: NA
SEMI - ANNUAL - 30TH MAY & 30TH NOVEMBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 30th NOV EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 12th DECEMBER EVERY YEAR & ON REDEMPTION
Put: NACall: NA
NA
NA
N.A.
NA
NA
NA
NA
NA
NA
NA
NA
NA
N.A.
NA
PAYABLE QUARTERLY MARCH 12, JUNE 12, SEPTEMBER 12 AND DECEMBER 12 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 5TH NEVEMBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 31ST JULY EVERY YEAR & ON REDEMPTION
Put: NACall: NA
PAYABLE QUARTERLY MARCH 12, JUNE 12, SEPTEMBER 12 AND DECEMBER 12 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON FEBRUARY 25TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON FEBRUARY 25TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON FEBRUARY 26TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON FEBRUARY 26TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON FEBRUARY 26TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 22ND NOV EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON JUNE 17 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR & ON REDEMPTION
Put: NACall: NA
NA
NA
D1 - D11737855
14TH JUNE EVERY YEAR 1-3000
NA 001 to 15057
NA 0001 to 5752
ANNUAL 12/03/2014, 12/03/2015 1 - 500
1 - 500
1-240
185
185
NA
1 / (1 - 2200)
NA
ANNUALLY ON 13TH DEC EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 14TH JUNE EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
QUARTERLY ON 31.03.14, 30.06.14, 30.09.14, 31.12.14 EVERY YEAR AND 1ST INTEREST PAYMENT DUE ON 31.03.2014 FOR THE PERIOD 07.12.2013 TO
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
ANNUAL 12/03/2014, 12/03/2015, 12/03/2016
Put: NACall: NA
PAYABLE QUARTERLY FROM 30 SEPTEMBER, 31 DECEMBER, 31 MARCH, 30TH JUNE EVERY YEAR
Put: NACall: NA
As per payout schedule Put: N.A.Call: N.A.
As per payout schedule Put: N.A.Call: N.A.
ANNUAL - 08/02/2014, 08/02/2015, 08/02/2016, 08/02/2017, 08/02/2018
Put:08/02/2016Call:08/02/2016
SEMI ANNUAL ON 04TH APRIL AND 04TH OCTOBER EVERY YEAR TILL MATURITY STARTING FROM 04/04/2013
Put:EXCERCISABLE ON 04/10/2014Call:EXCERCISABLE ON 04/10/2014
Semi annually on 31st March & 30th September & on maturity
Put: N.A.Call: N.A.
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
Semi annually on 30th September & 31st March
Put:30/07/2014Call:30/07/2014
SEMI ANNUALLY ON 31/03/14, 30/09/14, 31/03/15, 30/09/15, 31/03/16, 30/09/16, 31/03/17 AND 20/07/17
Put: NACall: NA
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
SEMI ANNUALLY ON 31/03/14, 30/09/14, 31/03/15, 30/09/15, 31/03/16,30/09/16, 31/03/2017, 30/09/2017, 31/03/2018, 30/09/2018 AND 31/01/2019
Put: NACall: NA
Semi annually on 31st March & 30th September & on maturity
Put: N.A.Call: N.A.
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
Semi-Annually on 31st March & 30th September
Put: NACall: NA
Semi annually on 31st March and 30th September and on final maturity
Put: NACall: NA
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
SEMI ANNUALLY ON MARCH31 AND SEPTEMBER 30 OF EVERY YEAR AND ON FINAL MATURITY
Put: NACall: NA
SEMI ANNUALLY ON MARCH 31 AND SEPTEMBER 30 OF EVERY YEAR AND ON FINAL MATURITY
Put: NACall: NA
NA
NA
NA
NA
NA
1 TO 900
NA
NA
NA
NA
NA
Annually on 15th December NA
NA
NA
SEMI ANNUALLY ON MARCH 31 AND SEPTEMBER 30 OF EVERY YEAR AND ON FINAL MATURITY
Put: NACall: NA
SEMI ANNUALLY ON MARCH 31 AND SEPTEMBER 30 OF EVERY YEAR AND ON FINAL MATURITY
Put: NACall: NA
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
SEMI ANNUALLY ON MARCH 31 AND SEPTEMBER 30 OF EVERY YEAR AND ON FINAL MATURITY
Put: NACall: NA
SEMI ANNUALLY ON 31/03/14, 30/09/14, 31/03/15, 30/09/15, 31/03/16, 30/09/16, 31/03/17, 30/09/17,31/03/18, 30/09/18, 31/03/19, 30/09/19, 31/03/20,
Put: NACall: NA
QUARTERLY ON 1ST OCTOBER, 1ST JANUARY, 1ST APRIL & 1ST JULY
Put: NACall: NA
Annually on 7th August Put: N.A.Call: N.A.
Annually on 17th September till redemption
Put: N.A.Call: N.A.
Annually on 15th October till redemption
Put: N.A.Call: N.A.
FIRST INTEREST ON 15.10.2013 AND SUBSEQUENTLY ON 15TH OCTOBER EVERY YEAR TILL MATURITY
Put: NACall: NA
FIRST INTEREST ON 14.12.2013 AND SUBSEQUENTLY ON 14TH DECEMBER EVERY YEAR TILL MATURITY
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 15th December till redemption
Put: NACall: NA
ANNUALLY ON 13TH JANUARY EVERY YEAR TILL REDEMPTION
Put: NACall: NA
NA
NA
NA
ANNUALLY ON 15TH APRIL NA
00000001-00019900
NA
NA
Annualy on 15th July NA
NA
Annually on 28th November NA
Annually , on 30th December NA
Annually on February 24th
Annually on 17th March NA
NA
ANNUALLY ON 2ND MAY TILL MATURITY
Put: NACall: NA
Annually on 15th March till redemption
Put: N.A.Call: N.A.
Annually on 30th March till redemption
Put: N.A.Call: N.A.
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT ON 05.12.2014 & THEREAFTER ON MATURITY 05.12.2015
Put: NACall: NA
Annually on 14th May till redemption
Put: N.A.Call: N.A.
FIRST INTERST ON 25.06.2014 & SUBSEQUENTLY ON 25TH JUNE EVERY YEAR TILL MATURITY TILL MATURITY
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 25th August & on maturity
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
FIRST INTERST ON 15.05.2014 & SUBSEQUENTLY ON 15TH MAY EVERY YEAR TILL MATURITY
Put: NACall: NA
NA
Annually on 29th June NA
Annually on 1st September NA
NA
NA
NA
NA
NA
NA
NA
ANNUALLY ON 20TH MARCH NA
ANNUALLY ON 20TH MARCH NA
Annually on 22nd March NA
Annually on 30th March NA
FIRST INTERST ON 25.06.2014 & SUBSEQUENTLY ON 25TH JUNE EVERY YEAR TILL MATURITY TILL MATURITY
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Semi Annually on 7th March & 7th September till redemption
Put: N.A.Call: N.A.
FIRST INTEREST ON 27/09/14 AND SUBSEQUENTLY ON 27 SEPT EVERY YEAR TILL MATURITY
Put: NACall: NA
Annually on 15th December till redemption
Put: N.A.Call: N.A.
Annually on 15th December till redemption
Put: NACall: NA
FIRST INTEREST PAYMENT ON ANNUAL COMPOUNDING BASIS AFTER 2 YEARS FROM DATE OF ALLOTMENT i.e. 01.06.2014 & ANNUALLY THEREAFTER I.E. ON
Put:01/06/2014Call:01/06/2014
FIRST INTEREST PAYMENTS ON COMPOUNDING BASIS AFTER 2 YEARS FROM THE DATE OF ALLOTMENT i.e. ON 2ND MAY 2014 & ANNUALLY THEREAFTER
Put:02/05/2014Call:02/05/2014
ANNUALLY ON 17TH FEBRUARY TILL MATURITY
Put: NACall: NA
Put:20/03/2014Call:20/03/2014
Put:20/03/2015Call:20/03/2015
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY ON 15TH APRIL NA
Annually on 18th May NA
NA
00000001-00016500
08TH FEB EVERY YEAR NA
NA
NA
NA
Annually on 28th December NA
NA
NA
NA
NA
NA
Put:15/04/2015Call:15/04/2015
Put: N.A.Call: N.A.
ANNUALLY ON 29TH JUNE EACH YEAR
Put: NACall: NA
ANNUAL 07/07/15, 07/07/16 AND 07/07/17
Put: NACall: NA
Put: NACall: NA
FIRST INTEREST PAYMENT ON 21.02.2014 AND THEN ON 21 AUGUST AND 21 FEBRUARY EVERY YEAR TILL MATURITY
Put:21/02/2014Call:21/02/2014
FIRST INTEREST PAYMENT ON 21.08.2013 AND SEBSEQUENTLY ON 21 AUGUST EVERY YEAR TILL MATURITY
Put: NACall: NA
FIRST INTEREST ON 15.10.2013 AND SUBSEQUENTLY ON 15TH OCTOBER EVERY YEAR TILL MATURITY
Put: NACall: NA
Put: N.A.Call: N.A.
FIRST INTEREST ON 15.01.2015 AND SUBSEQUENTLY ON 15TH JANUARY EVERY YEAR TILL MATURITY
Put:15/01/2015Call:15/01/2015
FIRST INTEREST ON 20.02.2014 AND SUBSEQUENTLY ON 20TH FEBRUARY EVERY YEAR TILL MATURITY
Put: NACall: NA
FIRST INTEREST ON 18.03.2014 & SUBSEQUENTLY ON 18TH MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
FIRST INTERST ON 15.05.2015 & THEREAFTER ANNUALLY ON 15TH MAY EVERY YEAR TILL MATURITY TILL MATURITY
Put:15.05.2015Call:15.05.2015
Annually on 09th June & on maturity
Put: N.A.Call: N.A.
NA
NA
8THE FEBRUARY EVERY YEAR NA
NA
NA
NA
Annually on 28th November NA
NA
NA
00000001-00002700
00000001-00022400
00000001-00001000
08TH FEBRUARY EVERY YEAR NA
Annually on 7th August NA
FIRST INTEREST ON 07/10/14 AND SUBSEQUENTLY ON 7TH OCT EVERY YEAR TILL MATURITY
Put: NACall: NA
Annually on 15th July & on maturity
Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 11th August & on maturity
Put: N.A.Call: N.A.
Annually on 15th September & on maturity
Put: N.A.Call: N.A.
FIRST INTEREST ON 11.03.2014 AND SUBSEQUENTLY ON 11TH MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 15th December till redemption
Put: NACall: NA
FIRST INTEREST ON 01.06.2013 & SUBSEQUENTLY ON 1ST JUNE EVERY YEAR TILL MATURITY.
Put:01/06/2017Call:01/06/2017
ANNUAL 31.01.2015, 01.02.2016, 31.01.2017, 31.01.2018, 31.01.2019
Put: NACall: NA
IF PUT OPTION IS NOT EXERCISED ANNUAL 03.03.15, 03.03.16, 03.03.17, 03.03.18, 02.03.19. IF PUT OPTION IS EXERCISED 03.03.15 AND FOR 6 MONTHS ON
Put:PUT OPTION DATE-03/09/2015. PUT NOTIFICATION DEADLINE DATE-18.08.2015Call: NA
ANNUAL 07/07/15, 07/07/16, 07/07/17, 07/07/18 AND 06/07/19
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
NA
NA
NA
NA
00000001-00002700
NA
NA
ANNUALLY ON 20TH MARCH NA
NA
ANNUALLY ON 15TH APRIL NA
NA
NA
Annually on 15th July NA
Annually on 15th November NA
Annually on 15th October till redemption
Put: N.A.Call: N.A.
Annually on 20th November till maturity
Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
Annually on 15th January till redemption
Put: N.A.Call: N.A.
ANNUAL 31.01.2015, 01.02.2016, 31.01.2017, 31.01.2018, 31.01.2019, 31.01.2020
Put: NACall: NA
FIRST INTEREST ON 20.02.2014 AND SUBSEQUENTLY ON 20TH FEBRUARY EVERY YEAR TILL MATURITY
Put: NACall: NA
Annually on 15th March till redemption
Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 30th March till redemption
Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 14th May till redemption
Put: N.A.Call: N.A.
Annually on 15th June till redemption
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
NA
00000001-00002700
Annually on 15th April NA
Annually on 31st May NA
Annually on 09th June NA
Annually on 29th June NA
00000001-00007000
Annually on 01st August NA
Annually on 23rd September NA
NA
ON MATURITY 1-102302
Annually on 21st November 1-64875
ANNUALLY ON 30TH MARCH 1-18087
ON MATURITY 1-35621
Annually on 15th December Put: N.A.Call: N.A.
ANNUAL 31.01.2015, 01.02.2016, 31.01.2017, 31.01.2018, 31.01.2019, 31.01.2020 AND 30.01.2021
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
ANNUAL 07/07/15, 07/07/16, 07/07/17, 07/07/18, 08/07/19, 07/07/20 AND 07/07/21
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 15th October & on Maturity
Put: NACall: NA
Put:one date being the date falling five years and one day from the date of allotmentCall: NA
Put:one date being the date falling five years and one day from the date of allotmentCall: NA
Put:ONE DATE BEING THE DATE FALLING FIVE YEAR AND ONE DAY FROM THE DATE OF ALLOTMENTCall: NA
Put:ONE DATE BEING THE DATE FALLING FIVE YEAR AND ONE DAY FROM THE DATE OF ALLOTMENTCall: NA
ANNUALLY ON 15TH APRIL NA
29TH JUNE EACH YEAR N.A.
NA
NA
NA
ANNUALLY ON 28 MARCH 1-961594
ANNUALLY 1 - 3427490
ANNUALLY ON 15TH APRIL NA
NA
NA
1-3250762
1-3354678
00000001-00010000
00000001-00020000
Put: NACall: NA
Put:29/06/2019Call:29/06/2019
FIRST INTEREST PAYMENT ON 21.08.2013 AND SEBSEQUENTLY ON 21 AUGUST EVERY YEAR TILL MATURITY
Put:21/08/2020Call:21/08/2020
FIRST INTEREST ON 18.03.2014 & SUBSEQUENTLY ON 18TH MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
FIRST INTEREST ON 18.03.2014 & SUBSEQUENTLY ON 18TH MARCH EVERY YEAR TILL MATURITY
Put:DT-18.03.2020Call:DT-18.03.2020
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
FIRST INTERST ON 14.06.2014 & SUBSEQUENTLY ON 14TH JUNE EVERY YEAR TILL MATURITY TILL MATURITY
Put: NACall: NA
FIRST INTEREST ON 30.08.2014 & SUBSEQUENTLY ON 30TH AUGUST EVERY YEAR TILL MATURITY
Put: NACall: NA
FIRST INTEREST PAYMENT ON 16/11/14 THEN ANNUALLY
Put: NACall: NA
FIRST INTEREST PAYMENT ON 16/11/14 THEN ANNUALLY
Put: NACall: NA
ANNUAL 13/01/15, 13/01/16, 13/01/17, 13/01/18, 14/01/19, 13/01/20, 13/01/21, 13/01/22, 13/01/23, 13/01/24
Put: NACall: NA
ANNUAL 21/02/15, 22/02/16, 21/02/17, 21/02/18, 21/02/19, 21/02/20, 22/02/21, 21/02/22, 21/02/23, 21/02/24
Put: NACall: NA
Annually on 7th August NA
NA
NA
NA
NA
NA
NA
NA
Annually on 01st August NA
Annually on 1st September NA
NA
Annually on 21st November 1--6455
ON MATURITY 1-17652
ANNUALLY ON 30TH MARCH 1-1890
Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
Annually on 15th January till redemption
Put: N.A.Call: N.A.
Annually on 15th March till redemption
Put: N.A.Call: N.A.
Annually on 30th March till redemption
Put: N.A.Call: N.A.
Annually on 14th May till redemption
Put: N.A.Call: N.A.
Annually on 15th June till redemption
Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Annually on 15th October & on Maturity
Put: NACall: NA
Put:one date being the date falling seven years and one day from the date of allotmentCall: NA
Put:one date being the date falling seven years and one day from the date of allotmentCall: NA
Put:ONE DATE BEING THE DATE FALLING SIX YEAR AND ONE DAY FROM THE DATE OF ALLOTMENTCall: NA
ON MATURITY 1-5503
NA
NA
ANNUALLY ON 28 MARCH 200000001-200692086
ANNUALLY 200000001 - 203569978
NA
NA
1-9326984
1-3533164
NA
NA
1-10673804
1-8619608
N.A N.A.
Put:ONE DATE BEING THE DATE FALLING SIX YEAR AND ONE DAY FROM THE DATE OF ALLOTMENTCall: NA
FIRST INTEREST ON 18.03.2014 & SUBSEQUENTLY ON 18TH MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
FIRST INTERST ON 25.03.2014 & SUBSEQUENTLY ON 25TH MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
FIRST INTEREST ON 30.08.2014 & SUBSEQUENTLY ON 30TH AUGUST EVERY YEAR TILL MATURITY
Put: NACall: NA
FIRST INTEREST ON 11.03.2014 AND SUBSEQUENTLY ON 11TH MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
FIRST INTEREST PAYMENT ON 16/11/14 THEN ANNUALLY
Put: NACall: NA
FIRST INTEREST PAYMENT ON 16/11/14 THEN ANNUALLY
Put: NACall: NA
Annually on 15th June till redemption
Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
FIRST INTEREST PAYMENT ON 16/11/14 THEN ANNUALLY
Put: NACall: NA
FIRST INTEREST PAYMENT ON 16/11/14 THEN ANNUALLY
Put: NACall: NA
Annually13th November
N.A N.A.
N.A N.A.
N.A N.A.
N.A N.A.
N.A N.A.
Annually 30th Sept N.A N.A.
Annually 30th Sept N.A N.A.
N.A N.A.
N.A N.A N.A.
Annually on 15th January NA
Annually on 15th January NA
Annually on 31st March 1 to 10600000
At the time of redemption 1 to 10600000
Annually on 31st March 1 to 10600000
Annually 3rd October
Annually13th November
Annually 3rd October
Annually13th November
Annually 3rd October
Annually13th November
Put: NACall: NA
Put: NACall: NA
Put:One date,being the date falling five years and one day from the date of allotmentCall: NA
Put:One date,being the date falling five years and one day from the date of allotmentCall: NA
Put:One date,being the date falling seven years and one day from the date of allotmentCall: NA
At the time of redemption 1 to 10600000
Annually -07th December N.A. N.A.
Annually, 17th July Put & Call: N.A. N.A.
Annually-31st July N.A. N.A.
Annualy on 8th July
Annually on 7th September NA
Annually on 22nd September na
NA
Annually on 11th October NA
Annually on 21st October NA
NA
NA
Put:One date,being the date falling seven years and one day from the date of allotmentCall: NA
Annually on 24th July Put: N.A.Call: N.A.
NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 29th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 07th December Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
Annually on 9th February Put: N.A.Call: N.A.
NA
Annually on February 18 na
Annually, 23rd February Put & Call: N.A. N.A.
NA
NA
NA
Annually -28th March N.A. N.A.
NA
Annually on 31st May NA
NA
Annually-21st June N.A. N.A.
Annually -07th December N.A. N.A.
Annually, 17th July Put & Call: N.A. N.A.
Put: N.A.Call: N.A.
Annually on 25th February Put: N.A.Call: N.A.
Annually on 07th March Put: N.A.Call: N.A.
Annually on 12th March Put: N.A.Call: N.A.
Annually on 26th March Put: N.A.Call: N.A.
NA
Annually on 29th March Put: N.A.Call: N.A.
NA
Annually on 31st March Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 12th June Put: N.A.Call: N.A.
Annually-31st July N.A. N.A.
Annualy on 8th July NA
Annually on 09th March na
Annually on 7th September NA
Annually on 22nd September na
NA
Annually on 11th October NA
NA
NA
NA
NA
Annually on February 18 na
Annually on 24th July Put: N.A.Call: N.A.
NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 29th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 21st October Put: N.A.Call: N.A.
Annually on 07th December Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
Annually on 9th February Put: N.A.Call: N.A.
NA
Put: N.A.Call: N.A.
Annually, 23rd February Put & Call: N.A. N.A.
NA
NA
NA
Annually -28th March N.A. N.A.
NA
Annually on 31st May NA
NA
NA
Annually -07th December N.A. N.A.
Annually-31st July N.A. N.A.
Annually on 25th February Put: N.A.Call: N.A.
Annually on 07th March Put: N.A.Call: N.A.
Annually on 12th March Put: N.A.Call: N.A.
Annually on 26th March Put: N.A.Call: N.A.
NA
Annually on 29th March Put: N.A.Call: N.A.
NA
Annually on 31st March Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 12th June Put: N.A.Call: N.A.
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 24th July Put: N.A.Call: N.A.
NA
Annualy on 8th July NA
Annually on 29th August NA
Annually on 09th March na
Annually on 7th September NA
Annually on 22nd September na
NA
Annually on 11th October NA
NA
NA
NA
NA
NA
Annually on February 18 na
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 29th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 21st October Put: N.A.Call: N.A.
Annually on 07th December Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
Annually on 9th February Put: N.A.Call: N.A.
NA
Put: N.A.Call: N.A.
Annually, 23rd February Put & Call: N.A. N.A.
NA
NA
Annually -28th March N.A. N.A.
NA
NA
Annually on 31st May NA
NA
NA
Annually-31st July N.A. N.A.
Annually on 25th February Put: N.A.Call: N.A.
Annually on 07th March Put: N.A.Call: N.A.
Annually on 12th March Put: N.A.Call: N.A.
Annually on 26th March Put: N.A.Call: N.A.
NA
Annually on 29th March Put: N.A.Call: N.A.
NA
Annually on 31st March Put: N.A.Call: N.A.
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: NACall: NA
Annually on 12th June Put: N.A.Call: N.A.
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 24th July Put: N.A.Call: N.A.
NA
Annualy on 8th July NA
Annually on 29th August NA
Annually on 09th March na
Annually on 7th September NA
Annually on 22nd September na
NA
Annually on 11th October NA
NA
NA
NA
NA
NA
Annually on February 18, na
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 29th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 21st October Put: N.A.Call: N.A.
Annually on 07th December Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
Annually on 9th February Put: N.A.Call: N.A.
NA
Put: N.A.Call: N.A.
Annually, 23rd February Put & Call: N.A. N.A.
NA
ANNUAL ON 28TH FEB EACH YEAR NA
NA
NA
NA
NA
Annually on 31st May NA
NA
NA
NA
Annually on 25th February Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 07th March Put: N.A.Call: N.A.
Annually on 12th March Put: N.A.Call: N.A.
Annually on 26th March Put: N.A.Call: N.A.
NA
Annually on 29th March Put: N.A.Call: N.A.
NA
Annually on 31st March Put: N.A.Call: N.A.
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: NACall: NA
Annually on 12th June Put: N.A.Call: N.A.
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
ANNUALLY ON 15TH JULY, EVERY YEAR TILL THE DTAE OF REDEMPTION
Put: NACall: NA
Annually on 24th July Put: N.A.Call: N.A.
NA
Annualy on 8th July NA
Annually on 29th August NA
Annually on 09th March na
Annually on 7th September NA
Annually 22nd September na
NA
Annually on 11th October NA
NA
NA
NA
NA
NA
Annually, 23rd February Put & Call: N.A. N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 29th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 21st October Put: N.A.Call: N.A.
Annually on 07th December Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
Annually on 9th February Put: N.A.Call: N.A.
NA
NA
ANNUAL ON 28TH FEB EACH YEAR NA
NA
NA
NA
NA
Annually on 31st May NA
NA
NA
Annualy on 8th July
Annually on 29th August NA
Annually on 25th February Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 07th March Put: N.A.Call: N.A.
Annually on 12th March Put: N.A.Call: N.A.
Annually on 26th March Put: N.A.Call: N.A.
NA
Annually on 29th March Put: N.A.Call: N.A.
NA
Annually on 31st March Put: N.A.Call: N.A.
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: NACall: NA
Annually on 12th June Put: N.A.Call: N.A.
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 24th July Put: N.A.Call: N.A.
NA
Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 09th March na
Annually on 7th September
NA
Annually on 11th October NA
NA
NA
NA
NA
NA
NA
ANNUAL ON 28TH FEB EACH YEAR NA
NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 29th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 21st October Put: N.A.Call: N.A.
Annually on 07th December Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
Annually on 9th February Put: N.A.Call: N.A.
NA
Annually on 25th February Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 07th March Put: N.A.Call: N.A.
Annually on 12th March Put: N.A.Call: N.A.
NA
NA
Annually on 31st May NA
NA
NA
Annualy on 8th July NA
Annually on 29th August NA
Annually on 09th March na
Annually on 7th September
NA
Annually on 11th October NA
Annually on 26th March Put: N.A.Call: N.A.
NA
Annually on 29th March Put: N.A.Call: N.A.
NA
Annually on 31st March Put: N.A.Call: N.A.
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: NACall: NA
Annually on 12th June Put: N.A.Call: N.A.
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 24th July Put: N.A.Call: N.A.
NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 29th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
NA
NA
NA
NA
NA
NA
ANNUAL ON 28TH FEB EACH YEAR NA
NA
NA
NA
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 21st October Put: N.A.Call: N.A.
Annually on 07th December Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
Annually on 9th February Put: N.A.Call: N.A.
NA
Annually on 25th February Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 07th March Put: N.A.Call: N.A.
Annually on 12th March Put: N.A.Call: N.A.
Annually on 26th March Put: N.A.Call: N.A.
NA
Annually on 29th March Put: N.A.Call: N.A.
NA
Annually on 31st March Put: N.A.Call: N.A.
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 31st May NA
NA
NA
Annualy on 8th July NA
Annually on 29th August NA
Annually on 09th March na
Annually on 7th September
NA
Annually on 11th October NA
NA
NA
NA
NA
Put: NACall: NA
Annually on 12th June Put: N.A.Call: N.A.
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 24th July Put: N.A.Call: N.A.
NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 29th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 21st October Put: N.A.Call: N.A.
Annually on 07th December Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
NA
NA
ANNUAL ON 28TH FEB EACH YEAR NA
NA
NA
NA
NA
Annually on 31st May NA
NA
NA
Annualy on 8th July
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
Annually on 9th February Put: N.A.Call: N.A.
NA
Annually on 25th February Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 07th March Put: N.A.Call: N.A.
Annually on 12th March Put: N.A.Call: N.A.
Annually on 26th March Put: N.A.Call: N.A.
NA
Annually on 29th March Put: N.A.Call: N.A.
NA
Annually on 31st March Put: N.A.Call: N.A.
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: NACall: NA
Annually on 12th June Put: N.A.Call: N.A.
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 29th August NA
NA
NA
NA
NA
NA
NA
ANNUAL ON 28TH FEB EACH YEAR NA
NA
NA
NA
NA
NA
Put: NACall: NA
Annually on 29th September Put: N.A.Call: N.A.
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 21st October Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
Annually on 25th February Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 07th March Put: N.A.Call: N.A.
Annually on 12th March Put: N.A.Call: N.A.
ANNUALLY ON 13TH MARCH EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 29th March Put: N.A.Call: N.A.
NA
Annually on 31st March Put: N.A.Call: N.A.
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 31st May NA
NA
NA
Annualy on 8th July NA
Annually on 29th August NA
NA
NA
NA
NA
NA
NA
NA
NA
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
ANNUALLY ON 15TH JULY, EVERY YEAR TILL THE DTAE OF REDEMPTION
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 29th September Put: N.A.Call: N.A.
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 21st October Put: N.A.Call: N.A.
Annually on 15th December Put: N.A.Call: N.A.
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
Annually on 25th February Put: N.A.Call: N.A.
ANNUAL ON 28TH FEBRUARY EACH YEAR
Put: NACall: NA
Annually on 12th March Put: N.A.Call: N.A.
Annually on 29th March Put: N.A.Call: N.A.
NA
NA
Annually on 31st May NA
NA
Annualy on 8th July NA
Annually on 29th August NA
NA
NA
NA
NA
NA
NA
NA
Annually on 31st May NA
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 29th September Put: N.A.Call: N.A.
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 21st October Put: N.A.Call: N.A.
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
Annually on 25th February Put: N.A.Call: N.A.
ANNUAL ON 28TH FEBRUARY EACH YEAR
Put: NACall: NA
Annually on 29th March Put: N.A.Call: N.A.
NA
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: NACall: NA
NA
Annualy on 8th July NA
Annually on 29th August NA
NA
NA
NA
NA
NA
Annually on 31st May NA
NA
Annually on 29th August NA
NA
NA
NA
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Annually on 21st October Put: N.A.Call: N.A.
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
ANNUAL ON 28TH FEBRUARY EACH YEAR
Put: NACall: NA
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
ANNUALLY ON 26TH DECEMBER TILL THE DATE OF FINAL REDEMPTION OF BONDS
Put: NACall: NA
ANNUAL ON 28TH FEBRUARY EACH YEAR
Put: NACall: NA
ANNUALLY ON 29TH MARCH NA
NA
NA
Annually on 29th August NA
ANNUALLY ON 09TH MARCH NA
NA
NA
NA
NA
Annually on 29th August NA
NA
Annually on 29th August NA
Annually on 29th August NA
01-80
Put: NACall: NA
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 19TH OCTOBER EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
ANNUAL ON 28TH FEBRUARY EACH YEAR
Put: NACall: NA
ANNUALLY ON 20TH MAY EVERY YEAR TILL THE DATE OF REDEMPTION OF BONDS
Put: NACall: NA
ANNUALLY ON 15TH JULY, EVERY YEAR TILL THE DTAE OF REDEMPTION
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 28TH FEBRUARY EACH YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
MONTHLY ON LAST DAY OF EACH MONTH
Put: NACall: NA
NA
NA 1-5947852
NA 5947853-23273845
NA 33972536-53972535
NA 53972536-60342535
NA 1785001-3500000
NA 6692601-14737601
NA NA
NA NA
1-2500
NA
NA
ON MATURITY i.e 31.01.16 001-200
ON MATURITY i.e 25/03/16 01-50
30.09.13, 31.12.13, 31.03.14, 30.06.14 THEN MONTHLY ON LAST DAY OF MONTH FROM 31.07.14 TILL 30.06.15
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
QUARTERLY ON 14TH OF MAR, JUN, SEPT AND DEC EVERY YEAR STARTING 14/06/2014 TILL 14/06/2016
Put: NACall: NA
QUARTERLY ON 14TH OF MAR, JUN, SEPT AND DEC EVERY YEAR STARTING 14/06/2014 TILL 14/06/2016
Put: NACall: NA
QUARTERLY ON 14TH OF MAR, JUN, SEPT AND DEC EVERY YEAR STARTING 14/06/2014 TILL 14/06/2016
Put: NACall: NA
Put:FIRST PUT OPTION 31/01/14, SECOND PUT OPTION 31/01/15Call:FIRST CALL OPTION 31/01/14, SECOND CALL OPTION 31/01/15
Put: NACall: NA
ON MATURITY i.e 17/03/17 001-100
ON MATURITY i.e 21/04/2017 01-50
NA
1-8300
8301-10900
10901-11400
11401-12000
Annually on 31st March 1 ( 001 TO 500 )
1 ( 1 to 150 )
Annually on 31st March 1 ( 001 TO 300 )
1 TO 100
1 ( 1 to 150 )
NA 01-09
NA 10-20
Put: NACall: NA
Put: NACall: NA
26/12/12, 26/03/13, 26/06/13, 26/09/13, 26/12/13, 26/03/14, 26/06/14, 26/09/14, 26/12/14, 26/03/15,26/06/15, 26/09/15
Put: NACall:26/09/2013
LAST DAY OF EVERY MONTH STARTING FROM 31/10/13 TILL 31/03/17
Put: NACall:AT THE OPTION OF THE ISSUER BY PROVIDING 15 DAYS NOTICE
LAST DAY OF EVERY MONTH STARTING FROM 31/10/13 TILL 31/03/17
Put: NACall:AT THE OPTION OF THE ISSUER BY PROVIDING 15 DAYS NOTICE
MONTHLY ON LAST DAY OF EACH MONTH STARTING FROM 31.10.2013 TILL 31.03.2017
Put: NACall: NA
MONTHLY ON LAST DAY OF EACH MONTH STARTING FROM 31.10.2013 TILL 31.03.2017
Put: NACall: NA
Put: NACall: NA
Quarterly on 30th September, 31st December, 31st March, 31th June
Put: N.A.Call: N.A.
Put: NACall: NA
Quarterly on 30th September, 31st December, 31st March, 30th June
Put: N.A.Call: N.A.
Quarterly on 30th September, 31st December, 31st March, 30th June
Put: N.A.Call: N.A.
Put: NACall:THE CO. AT ITS OPTION MAY REDEEM THE OCDs BEFORE THE MATURITY DATE BY GIVING THE NOTICE OF 15 DAYS ALONG WITH Put: NACall:THE CO. AT ITS OPTION MAY REDEEM THE OCDs BEFORE THE MATURITY DATE BY GIVING THE NOTICE OF 15 DAYS ALONG WITH
1-20
1-4
NCD IV 1- NCD IV 26
NA 1-2000
NA
ON MATURITY 1 - 200000
ON MATURITY 1 - 200000
Annually on 31st March 1 - 200000
Annually on 31st March 1 - 200000
ON MATURITY 01 TO 300000
ANNUALLY ON 30TH MARCH 01 TO 300000
Annually on 26th January NA
ANNUALLY ON 30TH MARCH 01 TO 300000
ON MATURITY 01 TO 300000
QUARTERLY ON 30TH APRIL, 30TH JULY, 30TH OCTOBER AND 30TH JAN EVERY YEAR STARTING FROM 30/04/2014 TILL 30/04/2018
Put: NACall:THE COMPANY HAS RIGHT TO REDEEM DEBENTURES IN FULL BY GIVING 15 DAYS NOTICE. THIS RIGHT SHALL ACCURE AFTER THE
QUARTERLY ON 20TH OF MAY, AUG, NOV AND FEB EVERY YEAR STARTING 20/05/14 TILL 20/02/18 AND ON 30/04/18
Put: NACall:THE COMPANY HAS RIGHT TO REDEEM DEBENTURES IN FULL BY GIVING 15 DAYS NOTICE. THIS RIGHT SHALL ACCURE AFTER THE
QUARTERLY ON 30TH OF JAN, APR, JUL AND OCT EVERY YEAR STARTING 30/04/14 TILL 30/04/18
Put: NACall:THE COMPANY HAS RIGHT TO REDEEM DEBENTURES IN FULL BY GIVING 15 DAYS NOTICE. THIS RIGHT SHALL ACCURE AFTER THE Put: NACall:AFTER 369 DAYS FROM ISSUE DATE (ISSUE DATE 26/06/14)
Annually on 30th September & on maturity
Put: N.A.Call: N.A.
Put: NACall: NA
Put: Investor will have the option to surrender their bond after 5/6/7/8/9 year from date of allotment and the intimation period for same will be available Put: NACall: NA
Put:investor will have the option to surrender their bond after 5/6/7/8/9 year from date of allotment and the intimation period for same will be available Put:INVESTOR WILL HAVE THE OPTION (PUT) TO SURRENDER THEIR BOND EVERY YEAR AFTER THE END OF 5 YEAR AND ONE DAY FROM DATE OF ALLOTMENT Put:INVESTOR WILL HAVE THE OPTION (PUT) TO SURRENDER THEIR BOND EVERY YEAR AFTER THE END OF 5 YEAR AND ONE DAY FROM DATE OF ALLOTMENT Put: NACall: NA
Put:INVESTOR WILL HAVE THE OPTION (PUT) TO SURRENDER THEIR BOND EVERY YEAR AFTER THE END OF 7 YEAR AND ONE DAY FROM DATE OF ALLOTMENT Put:INVESTOR WILL HAVE THE OPTION (PUT) TO SURRENDER THEIR BOND EVERY YEAR AFTER THE END OF 7 YEAR AND ONE DAY FROM DATE OF ALLOTMENT
NA
NA
NA NA
1/ (1-1600)
1601-1800
1801-1900
Yearly on10th September E/1-12750
DIST NO- 1-3000
NA
Annually on 15th May 0001 to 1500
NA
Annually on 15th May NA
0001 to 1750
Annually on 15th May NA
QUARTERLY ON 30/11/13, 28/02/14, 30/05/14, 31/08/14 AND 27/02/15
Put: NACall: NA
SEMI ANNUALLY ON 5TH MAY AND 5TH NOVEMBER
Put: NACall: NA
Put: NACall:06/02/15, 06/05/15, 06/08/15
10TH OF EVERY MONTH STARING FROM 10.05.2013 TILL MATURITY
Put: NACall: NA
23/04/2019, 23/04/2020, 23/04/2021 AND SO ON.
Put:SERIES A HOLDER CAN SELL 50 SECURITIES ON EPDPL ON 23.05.2015Call: NA
23/04/2019, 23/04/2020, 23/04/2021 AND SO ON.
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 14th October Put: N.A.Call: N.A.
Quarterly on 1st april ; 1st July ; 1st October & 1st January
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Semi Annually on 15th May & 15th November
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 15th May Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 15th May NA
Annually on 15th May 1 to 1600
Annually on 30th April NA
Annually on 30th September 6001 to 8740
Annually on 31st January 9001 to 13000
Annually on 1st August 0001 to 1700
Annually on 30th June 01 to 262
Annually on 30th June 0001 to 1238
ANNUALLY ON 1ST JULY 1 - 1000
ANNUALLY ON 15TH OCTOBER 1 - 1000
ANNUALLY ON 15TH NOVEMBER 01-1500
Annually on 6th August 1 to 5 / (1-1500)
NA A/1-A/2167
NA B/1-B/2167
Put: NACall:24/06/2017
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put:After 8 years i.e.on 06/08/2015Call:After 8 years i.e.on 06/08/2015
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
NA C/1-C/2167
NA D/1-D/2167
NA E/1-E/2167
NA
Annually on 31st December 1 to 6 (1-2520)
Annually on 19th January 01 to 07 ( 01 to 4420 )
Annually on 16th February 1 to 2 (1-560)
Annually on 15th October A/I-A/1125
NA
NA
NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
F/1-F/2167
Put:31/12/2018Call:31/12/2018
Put:19-01-2019Call:19-01-2019
Put:16/02/2019Call:16/02/2019
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
G/1-G/2167
Annually on 15th October Put: N.A.Call: N.A.
B/I-B/1125
Put: N.A.Call: N.A.
H/1-H/2167
Annually on 15th October Put: N.A.Call: N.A.
C/I-C/1125
Put: N.A.Call: N.A.
I/1-I/2167
Annually on 15th October Put: N.A.Call: N.A.
D/I-D/1125
NA
Annually on 8th September
Annually on 16th June NA
Annually on 16th August NA
Annually on 8th December NA
NA
NA
NA
Put: N.A.Call: N.A.
J/1-J/2167
Annually on 15th October Put: N.A.Call: N.A.
E/I-E/1125
Annually on 15th October Put: N.A.Call: N.A.
F/I-F/1125
Annually on 15th October Put: N.A.Call: N.A.
G/I-G/1125
Annually on 15th October Put: N.A.Call: N.A.
H/I-H/1125
Annually on 15th October Put: N.A.Call: N.A.
I/I-I/1125
Annually on 15th October Put: N.A.Call: N.A.
J/I-J/1125
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call:at par at the end of 10th year from the date of allotment (with prior permission of RBI)
Annually on 12th December Put: N.A.Call:at par at the end of 10th year from the date of allotment i.e.on 12/12/2017 (with prior permission of RBI)
Annually on 5th March Put: N.A.Call:At par at the end of 10th year from the date of allotment i.e.05/03/2018 (with prior permission of RBI)
Annually on 27th March Put: N.A.Call:At par at the end of 10th year from the date of allotment i.e.27/03/2018 (with prior permission of RBI)
Annually on 29th September NA
Annually on 22nd December NA
NA
NA
NA
NA
NA
NA
Annually on 9th September NA
NA
NA
NA
Annually on 19th January NA
Put: N.A.Call:At par at the end of 10th year from the date of allotment i.e.29/09/2018 (with prior permission of RBI)Put: N.A.Call:At par at the end of 10th year from the date of allotment i.e.22/12/2018 (with prior permission of RBI)
Annually on 18th February Put: N.A.Call:at par at the end of 10th year from the date of allotment i.e.18/02/2019 (with prior permission of RBI)
ANNUAL ON 24TH FEB STARTING 24/02/15 TILL 24/02/24
Put: NACall: NA
ANNUAL03/04/15, 04/04/16, 03/04/17, 03/04/18, 03/04/19, 03/04/20, 03/04/21, 04/04/22, 03/04/23, 03/04/24
Put: NACall: NA
ANNUAL 28/03/15, 28/03/16, 28/03/17, 28/03/18, 28/03/19, 28/03/20, 29/03/21, 28/03/2022, 28/03/23, 28/03/24
Put: NACall: NA
Annually on 21st April Put: N.A.Call:at par at the end of 10th year from the date of allotment i.e.21/04/2019 (with prior permission of RBI)
Annually on 04th June Put: N.A.Call:at par at the end of 10th year from the date of allotment i.e.04/06/2019 (with prior permission of RBI)Put: N.A.Call:at par at the end of 10th year from the date of allotment i.e.21/04/2019 (with prior permission of RBI)Put: N.A.Call: N.A.
Annually on 24th May Put: N.A.Call:At par at the end of 10th year from the date of allotment i.e.24/05/2020(with prior permission of RBI)
Annually on 18th January Put: N.A.Call:at par at the end of 10th year from the date of allotment & thereafter on each coupon payment date (with prior
Annually on 11th December Put: N.A.Call:at par at the end of 10th year from the date of allotment (i.e.11/12/2017 ) & thereafter on each coupon payment date (with Put: N.A.Call:at par at the end of 10th year from the date of allotment & thereafter on each coupon payment date (with prior
Annually on 20th July NA
Annually on 28th August NA
Annually on 08th July 001 to 103 / 0001 to 1131
Annually on 29th January 1201 to 3225
Anually on 7th September 4001 - 4244
Annually on 31st December LOA No 1-216, Dist. NO. 1-15000
Annually on 31st December 1-129 ; 1 - 10000
Annually on 31st December 1-34;1-3000
Annually on 31st March 1 ; 1-1343
1 ; 1 - 5449
30th JUNE
31ST DECEMBER
31ST MARCH 1-20 / (1-1216)
Put: N.A.Call:at par at the end of 10th year from the date of allotment & thereafter on each coupon payment date (with prior Put: N.A.Call:at par at the end of 10th year from the date of allotment i.e.28/08/2019 & thereafter on each coupon paymnet date (with Put: N.A.Call: N.A.
Put:At the end of 7th Year from the date of allotment i.e. 08/07/2015Call:At the end of 7th Year from the date of allotment i.e. 08/07/2015Put:At par at the end of 7th year from the date of allotment i.e. 29/01/2016
Call:At par at the end of 7th year from the date of allotment i.e. 29/01/2016Put:At par at the end of 7th year from the date of allotment i.e. 07/09/2016
Call:At par at the end of 7th year from the date of allotment i.e. 07/09/2016Put:26/01/2014Call:26/01/2014
Put:29-11-2014Call:29-11-2014
Put:07/02/2015Call:07/02/2015
Put:23/04/2017Call:23/04/2017
Annually on 30th June Put:09/07/2017Call:09/07/2017
Put:26/08/2020Call:26/08/2020
ALLOTMENT LETTER NO. 1 - 93 DIST NO. 1 - 3434
Put:DT-21.02.2021Call:DT-21.02.2021
ALLOTMENT LETTER NO. 1 - 66 DIST NO. 1 - 7334
Put:27/03/2013Call:27/03/2013
Annually on 30th Septmber 1 TO 37 DIST NO- 1 - 1647
Annually on 31st March
1-8000
1-500
1-500
1-500
Annually on 1st January I/01-I/04 (I/01 - I/580)
Annually on 1st January
NA
NA
YEAR ENDING MARCH 31 NA
1-8207539
Put:09/12/2018Call:09/12/2018
Put:16/02/2019Call:16/02/2019
Allotment letter no.1 to 80 Dist no 1 - 3288
LAST DAY OF EVERY MONTH STARTING FROM 31/03/2013 TILL MATURITY
Put: NACall: NA
LAST DAY OF EVERY MONTH STARTING FROM 30/06/2013 TILL MATURITY
Put: NACall: NA
LAST DAY OF EVERY MONTH STARTING FROM 31/03/2013 TILL 31/08/2016
Put: NACall: NA
LAST DAY OF EVERY MONTH STARTING FROM 31/03/2013 TILL 31/08/2016
Put: NACall: NA
Put:01-01-2015Call:01-01-2015
Put:01-01-2015Call:01-01-2015
II/01-II/04 (II/01 - II/580)
Annually on 1st January Put:01-01-2015Call:01-01-2015
III/01-III/04 (III/01 - III/870)
MONTHLY ON 25/03/14, 25/04/14, 26/05/14, 25/06/14, 25/07/14, 25/08/14, 25/09/14, 25/10/14, 25/11/14, 25/12/14, 26/01/15, 25/02/15, 25/03/15, 25/04/15,
Put: NACall: NA
MONTHLY ON 10TH STARTING 10/07/14 TILL 10/06/19
Put: NACall: NA
Annually on 1st January Put:01-01-2015Call:01-01-2015
I/01-IV/04 (I/01 - IV/870)
Put: NACall: NA
PAYABLE ON EVERY 6 MONTHS AND WILL BE PAID ON 30TH SEPTEMBER AND 31ST MARCH EVERY YEAR
Put: NACall: NA
01-52375
1-500
NA
NA
NA A ( A/1 - A/3043 )
NA B ( B/1 - B/3043)
NA C (C/1 - C/3043)
NA D ( D/1 - D/3043 )
20120001 - 20120791
20120001 - 20120109
NA E ( E/1 - E/3043 )
20130001-20132574
20132575-20135500
20135501-20137501
QUARTERLY 15TH JUNE,15TH SEPTEMBER , 15TH DECEMBER & 15TH MARCH
Put: NACall:ISSUER TO REDEEM THE DEBENTURES IN FULL OR IN PART AT ANY PYMT DT, AFTER ISSUING ATLEAST 45 DAYS PRIOR
QUARTERLY ON 1ST FEBRUARY, 1ST MAY , 1ST AUGUST AND 1ST NOVEMBER EVERY YEAR STARTING FROM 01.05.2014 TILL 01.08.2017
Put: NACall: NA
SEMI ANNUALLY ON 15TH DEC & 15TH JUNE EVERY YEAR AND AT FINAL MATURITY
Put: NACall: NA
HALF YEARLY ON 15TH JUNE AND 15TH DEC. EVERY YEAR AND AT FINAL MATURITY
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
28TH JUNE AND 28TH DECEMBER EVERY YEAR
Put:28/06/2021Call:28/06/2021
26TH SEPTEMBER AND 26TH MARCH EVERY YEAR
Put:26/09/2021Call:26/09/2021
Put: NACall: NA
15TH FEBRUARY & 15TH AUGUST EVERY YEAR
Put:AT THE END OF 9TH YEAR FROM THE DEEMED DATE OF ALLOTMENT, 15/02/2022Call:AT THE END OF 9TH YEAR FROM THE DEEMED DATE OF ALLOTMENT, 15/02/2022REDEMPTION - 30% ON
22/03/2023, 30/% ON 22/03/2024, 40% ON 22/03/2025
Put:AT THE END OF 9TH YEAR FROM THE DEEMED DATE OF ALLOTMENT, 22.03.2022Call:AT THE END OF 9TH YEAR FROM THE DEEMED DATE OF ALLOTMENT, 22.03.20226TH SEPTEMBER AND 6TH MARCH
EVERY YEARPut:06/09/2022Call:06/09/2022
20137502-20140737
NA F ( F/1 - F/3043)
20140738-20143001
NA G ( G/1 - G/3043)
NA H ( H/1 - H/3043 )
NA I ( I/1 - I/3043 )
NA J ( J/1 - J/3043 )
NA A/1 - A/1030
NA A ( A/1 - A/1374 )
NA B/1 - 1/1030
NA B ( B/1 - B/1374 )
NA C/1 - C/1030
NA C ( C/1 - C/1374 )
NA D/1 - D/1030
HALF YEARLY ON 17TH JAN AND 17 JUL EVERY YEAR
Put:PUT NOTICE DEADLINE DATE AND NOTIFICATION TIME-30 DAYS PRIOR TO THE DATE OF PUT. PUT OPTION DATE-17/01/2023Call:CALL NOTICE DEADLINE DATE AND NOTIFICATION TIME-30 DAYS PRIOR TO THE DATE OF CALL. CALL OPTION DATE-17/01/2023Put: NACall: NA
HALF YEARLY ON 28TH MARCH AND 28TH SEP EVERY YEAR
Put:PUT NOTICE DEADLINE DATE AND NOTIFICATION TIME-30 DAYS PRIOR TO THE DATE OF PUT. PUT OPTION DATE-28.03.2023Call:CALL NOTICE DEADLINE DATE AND NOTIFICATION TIME-30 DAYS PRIOR TO THE DATE OF CALL. CALL OPTION DATE-28.03.2023Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA D ( D/1 - D/1374 )
NA E/1 - E/1030
NA E ( E/1 - E/1374 )
NA F/1 - F/1030
NA F ( F/1 - F/1374 )
NA G/1 - G/1030
NA G ( G/1 - G/1374 )
NA H/1- H/1030
NA H ( H/1 - H/1374 )
NA I/1 - I/1030
NA I (I/1 - I/1374 )
NA J/1 - J/1030
NA J ( J/1 - J/1374 )
24 - 70
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
HALF YEARLY 01st MAY 2012 AND 01st NOVEMBER EVERY YEAR
Put: NACall: NA
NA
NA
001-003
01-120
EVERY YEAR ON 31ST MARCH 001A/(1-70000000)
EVERY YEAR ON 31ST MARCH 003/(120500001-121120000)
EVERY YEAR ON 31ST MARCH 004/(121120001-126065000)
EVERY YEAR ON 31ST MARCH 006/(128025001-141123000)
EVERY YEAR ON 31ST MARCH
EVERY YEAR ON 31ST MARCH 011/(170783311-190381260)
EVERY YEAR ON 31ST MARCH 012/(190381261-191756160)
EVERY YEAR ON 31ST MARCH 013/(191756161-209675460)
01 - 800
24/12/2013, 24/12/2014 0001 - 750
SEMI ANNUALLY ON 17TH JANUARY AND 17TH JULY EVERY YEAR AND ON FINAL MATURITY
Put: NACall: NA
SEMI ANNUALLY ON 20TH FEB AND 20TH AUG EVERY YEAR
Put: NACall: NA
THE INTEREST IS NOT TO BE SERVED BY THE ISSUER IT WILL BE PAYABLE FROM INVESTORS SHARE IN THE SALES PRICE REALISED UPON SALE OF
Put:02/05/2016Call: NA
QUARTELRY ON 3RD APRIL, 3RD JULY, 3RD OCTOBER AND 3RD JANUARY EVERY YEAR STARTING FROM 03.04.2014 TILL 03.07.2017
Put: NACall:CALL OPTION DATE-ON OR AFTER 03.03.2015 (TEH ISSUER COMPANY SHALL HAVE RIGHT TO REDEEM THE NCDS AFTER 14 Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
008, 009, 010/(150407001-170783310)
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
QUARTERLY ON 30TH MARCH, 30TH JUNE,29TH SEPTEMBER, 31ST DECEMBER
Put: NACall:THE ISSUER SHALL HAVE RIGHT TO REDEEM THE DEBENTURE AFTER SIX MONTH FROM THE REFERENCE DATE i.e. Put: NACall: NA
ANNUAL 03/12/14 AND 27/11/15 1-300
0001 - 1000
0001-1000
NA 001-350
NA 0001-1000
NA 001/(0000001-37858954)
NA 001/(0000001-40993158)
ON MATURITY 001 TO 0100
ON MATURITY 001 - 0100
On maturity 001-0100
ON MATURITY 001 - 0100
ON MATURITY 001- 0100
ON MATURITY 001-0100
1-400
Put: NACall: NA
12/04/13, 12/10/13, 12/04/14, 12/10/14, 12/04/15, 12/10/15
Put: NACall: NA
28/06/2014, 28/06/2015, 28/06/2016
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall:CAN BE CONVERTED ANY TME DURING THE CURRENCY PERIOD OF 10 YRS OF DEBENTURESPut: NACall:CAN BE CONVERTED ANY TME DURING THE CURRENCY PERIOD OF 10 YRS OF DEBENTURESPut: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
QUARTERLY PAYMENTS COMMENCING AFTER EXPIRY OF THE INTEREST MORATORIUM PERIOD OF 12 MONTHS DATES OF INTEREST PERTAINING TO
Put:DEEMED DATE OF PUT OPTION 10/09/17, DEBENTURES, TO BE EXERCISED AT ANYTIME AFTER EXPIRY OF 42 (FORTY TWO) MONTHS FROM
ANNUALLY ON 20TH FEBRUARY 1 - 500
2 (5000001 TO 5010000 )
1981-3960
3961-6930
9801-14000
NA
NA
6931-9900
NA
NA
NA
MONTHLY ON 15TH STARTING 15/10/13 TILL 15/02/16
Put: NACall: NA
1/(1-1950000),2/(1950001-2900000),3/(2900001-3800000)
Put: NACall:EVERY QUARTER AT FACE VALUE + ACCURED INTEREST. CALL DATES- 20/05/2012, 20/08/2012, 20/11/2012,
MONTHLY ON 15TH OF EVERY MONTH
Put: NACall: NA
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
QUARTERLY ON 15TH MARCH, 15TH JUNE, 15TH SEPTEMBER, 15TH DECEMBER
Put: NACall: NA
QUARTERLY ON 15TH MARCH, 15TH JUNE, 15TH SEPTEMBER, 15TH DECEMBER
Put: NACall: NA
Annually on 29th September & on Maturity
Put: NACall: NA
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
Annually on 29th September & on Maturity
Put: NACall: NA
QUARTERLY ON 15TH MARCH, 15TH JUNE, 15TH SEPTEMBER, 15TH DECEMBER
Put: NACall: NA
QUARTERLY ON 15TH MARCH, 15TH JUNE, 15TH SEPTEMBER, 15TH DECEMBER
Put: NACall: NA
Annually on 29th September & on Maturity
Put: NACall: NA
NA
NA
NA 01 - 1500
ON MATURITY NA
NA
NA
ON MATURITY NA
NA NA
ON MATURITY NA
NA
ON MATURITY NA
NA
NA
Annually on 29th September & on Maturity
Put: NACall: NA
QUARTERLY ON 15TH MARCH, 15TH JUNE, 15TH SEPTEMBER, 15TH DECEMBER
Put: NACall: NA
QUARTERLY ON 15TH MARCH, 15TH JUNE, 15TH SEPTEMBER, 15TH DECEMBER
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 08th July & on Maturity
Put: NACall: NA
Annually on 13th July & on Maturity
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 08th August & on Maturity
Put: NACall: NA
Put: NACall: NA
Annualy on 11th August & on Maturity
Put: NACall: NA
Annually on 12th August & on Maturity
Put: NACall: NA
NA
NA
ON MATURITY NA
ON MATURITY NA
NA NA
AT MATURITY NA
ON MATURITY NA
AT MATURITY NA
AT MATURITY NA
ON MATURITY NA
ON MATURITY NA
AT MATURITY NA
ON MATURITY NA
ON MATURITY NA
Annually on 18th August & on Maturity
Put: NACall: NA
Annually on 10th September & on maturity
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
AT MATURITY NA
NA
ON MATURITY NA
ON MATURITY NA
AT MATURITY NA
AT MATURITY i.e 13/01/15 NA
ON MATURITY NA
NA NA
AT MATURITY NA
ON MATURITY NA
AT MATURITY NA
NA
AT MATURITY NA
AT MATURITY NA
Put: NACall: NA
ANNUALLY ON 12TH SEPTEMBER AND ON MATURITY i.e. 12/09/2014
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 30TH JULY AND ON MATURITY i.e. 02.03.2015
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ON MATURITY NA
AT MATURITY NA
ON MATURITY NA
ON MATURITY i.e. 18/03/15 NA
NA
NA
NA NA
ON MATURITY i.e 04/05/15 NA
AT MATURITY NA
ON MATURITY NA
ON MATURITY i.e 27/04/15 NA
AT MATURITY i.e 30/04/15 NA
NA
ON MATURITY NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 30TH JULY AND ON MATURITY i.e. 20.03.2015
Put: NACall: NA
SEMI-ANNUALLY ON 29TH MARCH, 29TH SEPTEMBER
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 6TH JUNE AND ON MATURITY i.e. 05.06.2015
Put: NACall: NA
Put: NACall: NA
NA
ON MATURITY NA
ON MATURITY i.e. 18/05/2015 NA
ON MATURITY NA
AT MATURITY i.e 20/05/15 NA
NA NA
ON MATURITY NA
ON MATURITY NA
N.A
ON MATURITY NA
AT MATURITY NA
NA
AT MATURITY NA
ON MATURITY NA
ANNUALLY ON 14TH & ON MATURITY
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annualy on 28/06/2011, 28/06/2012, 28/06/2013, 28/06/2014, 26/06/2015
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 8TH AUGUST AND ON MATURITY i.e. 07/08/2015
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ON MATURITY NA
AT MATURITY N.A.
ON MATURITY NA
NA
AT MATURITY NA
AT MATURITY i.e 08/07/15 NA
NA
ON MATURITY i.e. 21/08/15 NA
ON MATURITY NA
ON MATURITY NA
ON MATURITY NA
AT MATURITY NA
ON MATURITY NA
AT MATURITY NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 20TH JULY AND ON MATURITY i.e. 20/07/2015
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
REDEMPTION AT MATURITY WITH PREMIUM ON 21/08/2015
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ON MATURITY NA
AT MATURITY i.e 22/09/15 NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY NA
NA
ON MATURITY NA
ON MATURITY NA
ON MATURITY N.A.
ON MATURITY NA
AT MATURITY NA
ON MATURITY NA
ON MATURITY NA
ON MATURITY NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 30TH JULY AND ON MATURITY i.e. 10/03/2015
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA
AT MATURITY NA
AT MATURITY NA
ON MATURITY NA
ON MATURITY NA
NA
ON MATURITY - 12/05/2015 NA
NA NA
AT MATURITY i.e 07/12/15 NA
ON MATURITY NA
ON MATURITY NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY NA
ANNUALLY ON 11TH FEBRUARY AND ON MATURITY I.E. 11/03/2015
Put:11/03/2014Call: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 11TH FEB AND ON MATURITY 12/01/2015
Put:11/02/2014Call: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 31st December NA
AT MATURITY NA
ON MATURITY i.e. 05.01.2016 NA
ON MATURITY i.e 06/01/16 NA
AT MATURITY NA
NA
NA
ON MATURITY NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY NA
ON MATURITY i.e. 15/02/2016 NA
ON MATURITY NA
ON MATURITY NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 14th January & on Maturity
Put: NACall: NA
Annually on 17th January & on Maturity
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ON MATURITY NA
NA
ON MATURITY i.e 13/03/16 NA
ON MATURITY i.e 14/03/16 NA
NA
AT MATURITY
ON MATURITY NA
ON MATURITY N.A.
ON MATURITY NA
AT MATURITY NA
ON MATURITY NA
ON MATURITY i.e 25/04/16 NA
ON MATURITY i.e. 26/04/16 NA
AT MATURITY NA
Put: NACall: NA
ANNUALLY ON 25TH FEBRUARY AND ON MATURITY i.e. 25/02/2016
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 19TH MARCH AND ON MATURITY i.e. 18/03/2016
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ON MATURITY - 05/06/2016 NA
Annually on 12th May NA
ON MATURITY NA
ON MATURITY NA
AT MATURITY i.e 17/05/2016 NA
Annually on 26th May NA
ON MATURITY NA
AT MATURITY NA
AT MATURITY i.e 14/06/16 NA
ON MATURITY NA
AT MATURITY i.e 20/06/16 NA
ON MATURITY NA
ON MATURITY NA
ON MATURITY NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ON MATURITY i.e 23/06/16 NA
ON MATURITY i.e 24/06/2016 NA
ON MATURITY i.e 28/06/16 NA
AT MATURITY NA
ON MATURITY i.e 29/06/16 NA
ON MATURITY i.e 29/06/16 NA
ON MATURITY NA
AT MATURITY NA
ON MATURITY i.e 04/07/16 NA
ON MATURITY NA
ON MATURITY NA
Annually on 19th July NA
NA
ON MATURITY NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 26th July & on Maturity
Put: NACall: NA
Put: NACall: NA
AT MATURITY NA
NA
AT MATURITY NA
ON MATURITY NA
ON MATURITY NA
AT MATURITY i.e 08/04/16 NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY NA
Put: NACall: NA
ANNUALLY ON 8TH JANUARY AND ON MATURITY i.e. 08.01.2016
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
AT MATURITY NA
AT MATURITY NA
ON MATURITY NA
NA
NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY NA
ON MATURITY NA
AT MATURITY NA
AT MATURITY NA
NA
AT MATURITY NA
NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 9th December & on maturity
Put: NACall: NA
Annually on 13th September & on Maturity
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 18th October & on Maturity
Put: NACall: NA
Put: NACall: NA
Annually on 31st October & on Maturity
Put: NACall: NA
ON MATURITY NA
ON MATURITY NA
AT MATURITY NA
ON MATURITY NA
ON MATURITY - 12/06/2016 NA
ON MATURITY NA
NA
NA
AT MATURITY NA
AT MATURITY NA
N.A.
NA
AT MATURITY NA
AT MATURITY NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 19TH DECEMBER & ON MATURITY
Put: NACall: NA
ANNUALLY ON 20/12/14, 20/12/15,20/12/16
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
SEMI ANNUALLY ie ON 01 DEC AND ON 01 JUN & ON MATURITY
Put: NACall: NA
ANNUALLY ON 16TH JANUARY & ON MATURITY
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY i.e 02/05/2017 NA
AT MATURITY NA
AT MATURITY NA
AT MATURITY i.e. 03/04/2017 NA
AT MATURITY NA
AT MATURITY NA
NA
ON MATURITY i.e 13/03/17 NA
NA
AT MATURITY i.e 20/03/17 NA
AT MATURITY NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 5TH NOVEMBER AND ON MATURITY i.e. 03/11/2017
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 16TH MARCH & ON MATURITY
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA
AT MATURITY NA
AT MATURITY i.e 10/04/17 NA
ON MATURITY i.e 13/04/17 NA
ANNUALLY ON 18TH MATURITY NA
AT MATURITY NA
NA
ON MATURITY i.e. 13/05/17 NA
NA
NA
NA
AT MATURITY i.e 12/06/17 NA
ON MATURITY i.e. 20/06/17 NA
ANNUALLY ON 27TH MARCH & ON MATURITY
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 5TH SEPTEMBER AND ON MATURITY ie on 05/09/2017
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 6TH JUNE AND ON MATURITY i.e. 06.06.2017
Put: NACall: NA
ANNUALLY ON 6TH SEPTEMBER AND ON MATURITY i.e. 06/09/2017
Put: NACall: NA
ANNUALLY ON 8TH OCTOBER AND ON MATURITY i.e. 06/10/2017
Put: NACall: NA
ANNUALLY ON 9TH OCTOBER AND ON MATURITY i.e. 06/10/2017
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
AT MATURITY NA
ON MATURITY i.e 07/04/2017 NA
ON MATURITY i.e 07/04/17 NA
ON MATURITY i.e. 07/04/17 NA
NA
ON MATURITY i.e 05/07/17 NA
ON MATURITY i.e 05/07/2017 NA
AT MATURITY i.e 07/07/17 NA
NA
AT MATURITY i.e 08/07/17 NA
NA
ON MATURITY i.e 04/08/17 NA
ON MATURITY i.e. 08/05/2017 NA
ON MATURITY i.e 07/08/17 NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 7TH MAY AND ON MATURITY ie 07/05/2017
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 07TH AUGUST AND ON MATURITY i.e. 07/08/2017
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 24TH JULY AND ON MATURITY i.e. 24/07/2017
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ON MATURITY i.e 07/08/17 NA
AT MATURITY i.e 09/08/17 NA
AT MATURITY i.e 17/08/17 NA
ON MATURITY i.e 09/04/17 NA
ON MATURITY i.e. 09/06/17 NA
NA
NA
AT MATURITY NA
ON MATURITY i.e 03/10/17 NA
AT MATURITY i.e 12/04/17 NA
NA
NA
NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 09TH AUGUST AND ON MATURITY i.e. 09.08.2017
Put: NACall: NA
SEMI ANNUALLY ON 21ST MARCH, 21ST SEPTEMBER AND ON MATURITY i.e. 21/09/2017
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 17TH DECEMBER AND ON MATURITY i.e. 15/12/2017
Put: NACall: NA
ANNUALLY ON 20TH DECEMBER AND ON MATURITY i.e. 20/12/2017
Put: NACall: NA
ANNUALY ON 28 TH DECEMBER AND ON MATURITY
Put: NACall: NA
ANNUALLY ON 24TH JANUARY AND ON MATURITY i.e. 24/01/2018
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
Annually on 12th August NA
AT MATURITY NA
NA
NA
NA
NA
NA
Semi-Annually on 12th August & 12th February
Put: NACall: NA
ANNUALLY ON 18TH MARCH AND ON MATURITY i.e. 18.03.2018
Put: NACall: NA
ANNUALLY ON 17TH APRIL AND ON MATURITY i.e. 17/04/2018
Put: NACall: NA
SEMIANNUALLY ON 23RD OCTOBER & 23RD APRIL & ON MATURITY
Put: NACall: NA
ANNUALLY ON 23RD APRIL AND ON MATURITY i.e. 23/04/2018
Put: NACall: NA
Annually on 20th May & on Maturity
Put: NACall: NA
ANNUALLY ON 27TH MAY AND ON MATURITY i.e. 27.05.2018
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
YEARLY ON 20/12/14, 20/12/15,20/12/16, 20/12/17, 20/12/18
Put: NACall: NA
Annually on 21st December & on maturity
Put: NACall: NA
Semi-Annually on 30th May , 30th October & on maturity
Put: NACall: NA
SEMI ANNUALLY ON 12TH OCTOBER, 12TH APRIL & ON MATURITY i.e. 12/04/2019
Put: NACall: NA
ANNUALLY ON 21ST JUNE AND ON MATURITY I.E. ON 19.06.2020
Put: NACall: NA
NA
Annually on 14th July NA
Annually 12th August NA
Annually on 30th September NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUALLY ON 21ST AUGUST AND ON MATURITY i.e. 21/08/2020
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 24th October & on Maturity
Put: NACall: NA
Annually on 26th December & on maturity
Put: NACall: NA
ANNUALLY ON 28TH DECEMBER & ON MATURITY
Put: NACall: NA
ANNUALLY ON 02ND JANUARY & ON MATURITY
Put: NACall: NA
ANNUALLY ON 2ND NOVEMBER AND ON MATURITY i.e. 02.11.2022
Put: NACall: NA
ANNUALLY ON 28TH FEBRUARY & ON MATURITY
Put: NACall: NA
ANNUALLY ON 21ST MARCH & ON MATURITY
Put: NACall: NA
ANNUALLY ON 20TH APRIL & ON MATURITY
Put: NACall: NA
ANNUALLY ON 05TH MARCH & ON MATURITY
Put: NACall: NA
ANNUALLY ON 25TH MAY AND ON MATURITY i.e. 25.05.2022
Put: NACall: NA
NA
NA
N.A.
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUALLY ON JUNE 20 AND ON MATURITY I.E. 20.06.2022
Put: NACall: NA
ANNUALLY ON 29TH JUNE AND ON MATURITY i.e. 29/06/2022
Put: NACall: NA
ANNUALLY ON 31ST JULY AND ON MATURITY i.e. 31/07/2022
Put: NACall: NA
ANNUALLY ON 8TH AUGUST AND ON MATURITY i.e. 08/08/2022
Put: NACall: NA
ANNUALLY ON 17TH AUGUST & ON MATURITY
Put: NACall: NA
SEMI ANNUALLY ON 21ST FEBRUARY, 21ST AUGUST & ON MATURITY
Put: NACall: NA
ANNUALLY ON 31ST AUGUST AND ON MATURITY i.e. 31.10.2022
Put: NACall: NA
ANNUALLY ON 13TH DECEMBER AND ON MATURITY i.e. 13/12/2022
Put: NACall: NA
ANNUALLY ON 24TH JANUARY AND ON MATURITY i.e. 24/01/2023
Put: NACall: NA
ANNUALLY ON 19TH MARCH AND ON MATURITY i.e. 17.03.2023
Put: NACall: NA
ANNUALLY ON 28TH MARCH AND ON MATURITY i.e. 28/03/2023
Put: NACall: NA
ANNUALLY ON 17TH APRIL AND ON MATURITY i.e. 17/04/2023
Put: NACall: NA
Annually on 20th May & on Maturity
Put: NACall: NA
ANNUALLY ON 24TH MAY AND ON MATURITY i.e. 24.05.2023
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
ANNUALLY ON 07TH FEBRUARY 0001 - 5000
07TH DAY OF EVERY MONTH 3001 - 4500
Monthly on 10th of evry month NA
NA 1
NA 2
Annually on 06th January NA
Annually on 22nd August NA
ANNUALLY ON 25TH JUNE AND ON MATURITY i.e. 25/06/2023
Put: NACall: NA
SEMI ANNUALLY ON 25TH MAY AND 25TH NOV
Put: NACall: NA
SEMI ANNUALLY AND ON MATURITY 13TH JANUARY AND 13TH JULY EACH YEAR STARTING FROM 13.07.2014 AND ON MATURITY i.e. 13.01.2024
Put: NACall: NA
SEMI ANNUALLY AND ON MATURITY 2ND JANUARY AND 2ND JULY EACH YEAR STARTING FROM 02.07.2014 AND ON MATURITY i.e. 02.01.2024
Put: NACall: NA
SEMI ANNUALLY- 09TH OCT AND 09TH APR EACH YEAR AND ENDING ON MATURITY i.e 09/04/24
Put: NACall: NA
SEMI ANNUALLY AND ON MATURITY 7TH JANUARY AND 7TH JULY EACH YEAR STARTING FROM 07.07.2014 AND ON MATURITY i.e. 07.01.2024
Put: NACall: NA
ANNUALLY ON 9TH DEC EVERY YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
00911-01410
00001 - 00050
00860-00910
661-810
NA 03070-03111
03112-04261
HALF YEARLY TILL MATURITY 261-410
01521-01620
NA 01621-01720
01721-02220
02221-02270
02271-02420
02421-02470
02471-02520
ANNUALLY AND ON MATURITY (i.e. APRIL 5, 2014 AND APRIL 4, 2015 TILL MATURITY)
Put: NACall: NA
ANNUALLY 05/11/2013, 05/11/2014 & 05/11/2015
Put: NACall: NA
SEMI ANNUALLY AND ON MATURTIY (i.e. ON OCTOBER 4 AND APRIL 4 TILL MATURITY)
Put: NACall: NA
ANNUALLY & ON MATURITY (i.e. 06/02/2014, 06/02/2015, 06/02/2016
Put: NACall: NA
Put: NACall: NA
HALF YEARLY 31/07/14, 31/01/15, 31/07/15, 31/01/16, 31/07/16, 31/01/17
Put: NACall: NA
Put: NACall: NA
ANNUAL 29/04/2014, 29/04/2015, 29/04/2016, 29/04/2017, 29/04/2018
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON JUNE 3RD EVERY YEAR TILL MATURITY
Put: NACall: NA
SEMI ANNUALLY (ON JUNE 04TH AND DECEMBER 04TH EVERY YEAR STARTINH FROM 04/12/2013 TILL MATURITY)
Put: NACall: NA
ANNUALLY (ON JUNE 7TH EVERY YEAR TILL MATURITY)
Put: NACall: NA
ANNUALLY (ON JUNE 10TH EVERY YEAR TILL MATURITY)
Put: NACall: NA
ANNUALLY (ON JUNE 13TH EVERY YEAR TILL MATURITY)
Put: NACall: NA
02521 - 02620
HALF YEARLY TILL MATURITY 00411 - 00660
1191-1240
04813-05212
05213-05312
001-060
411 - 430
061 - 210
211 - 410
581 - 880
881 - 980
00251 - 00260
1241-1490
1041-1190
ANNUALLY (ON JUNE 19TH TILL MATURITY)
Put: NACall: NA
Put: NACall: NA
ANNUALLY AND ON MATURITY (i.e. 14 MAY EVERY YEAR AND 12/11/2018)
Put: NACall: NA
ANNUAL ON 19TH JUNE STARTING 19/06/15 TILL 19/06/19
Put: NACall: NA
ANNUAL ON 27/06/15, 27/06/16, 27/06/17, 27/06/18 AND 27/06/19
Put: NACall: NA
ANNUALLY ON 18 SEP EVERY YEAR DURING THE TENURE OF NCD
Put: NACall: NA
ANNUALLY ON 18 SEP EVERY YEAR DURING THE TENURE OF NCD
Put: NACall: NA
ANNUALLY (i.e. SPTEMBER 21 EVERY YEAR DURING THE TENURE OF NCD)
Put: NACall: NA
ANNUALLY (i.e. SPTEMBER 24 EVERY YEAR DURING THE TENURE OF NCD)
Put: NACall: NA
SEMI ANNUALLY (i.e. 10TH APRIL AND 10TH OCTOBER EVERY YEAR DURING THE TENURE OF NCD)
Put: NACall: NA
SEMI ANNUALLY (i.e. APRIL 18 AND OCTOBER 18 EVERY YEAR DURING THE TENURE OF NCD)
Put: NACall: NA
HALF YEARLY TILL MATURITY i.e. 11 JUNE & 11 DECEMBER EVERY YEAR DURING TENURE
Put: NACall: NA
ANNUALLY (i.e. MAY 29 EVERY YEAR DURING THE TENURE OF NCD)
Put: NACall: NA
ANNUALLY - 07TH FEB EVERY YEAR
Put: NACall: NA
02621-02920
02921-03070
04262-04511
04512-04812
01511-01520
Annually on December 8 N.A
Annually on 7th May NA
Annually 24th November Put & Call: N.A. DNR No. : 1 - 8000
NA
NA
NA
NA
NA NA
NA NA
SEMI ANNUALLY ON 5TH JANUARY AND 5TH JULY TILL MATURIY
Put: NACall: NA
SEMI ANNUALLY ON 26TH JANUARY AND 26TH JULY TILL MATURIY
Put: NACall: NA
HALF YEARLY ON 28TH SEP AND 28TH MARCH EACH YEAR STARTING 13/09/2014 TILL 13/03/2024
Put: NACall: NA
SEMI ANNUALLY ON 15TH NOV AND 15TH MAY EVERY YEAR STARTING FROM 15/11/2014 TILL 15/05/2024
Put: NACall: NA
SEMI ANNUALLY 27/10/2013, 27/04/2014- TILL 27/04/2025
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
QUARTERLY ON 27TH OF DEC, MAR, JUNE, SEPT EVERY YEAR STARTING 27/12/13 TILL MATURITY i.e 27/03/15 OR PUT OPTION OR CALL OPTION
Put:1 YEAR 10 DAYS FROM DEEMED DATE OF ALLOTMENTCall:1 YEAR 10 DAYS FROM DEEMED DATE OF ALLOTMENT
MONTHLY ON 25TH DAY OF EACH MONTH
Put: NACall: NA
MONTHLY ON 25TH DAY OF EACH MONTH
Put: NACall: NA
MONTHLY ON 25TH DAY OF EACH MONTH
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA
NA
NA NA
NA
NA NA
NA
NA NA
NA
NA
NA
NA
NA
NA
NA
MONTHLY ON 25TH DAY OF EACH MONTH
Put: NACall: NA
MONTHLY ON 25TH DAY OF EACH MONTH
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 25TH DAY OF EACH MONTH
Put: NACall: NA
Put:24/03/2017.ISSUE PRICE + REDEMPTION PREMIUM + ANY OTHER AMOUNT DUE UNDER THE TRANSACTION DOCUMENTS.Call:24/03/2017.ISSUE PRICE + REDEMPTION PREMIUM + ANY OTHER AMOUNT DUE UNDER THE TRANSACTION DOCUMENTS
MONTHLY ON 25TH DAY OF EACH MONTH
Put: NACall: NA
Put:24/03/2017 AND 24/03/2018.ISSUE PRICE + REDEMPTION PREMIUM + ANY OTHER AMOUNT DUE WHERE REDEMPTION PREMIUM BEING
YEARLY ON 31ST OCT EVERY YEAR AND ON MATURITY
Put: NACall: NA
YEARLY ON 12TH NOV EVERY YEAR AND ON MATURITY
Put: NACall: NA
QUARTERLY ON 21ST DAY OF APRIL, JULY, OCT AND JAN EACH YEAR TILL REDEMPTION
Put: NACall: NA
ANNUALLY ON 21ST JAN EVERY YEAR STARTING FROM 2015 UPTO REDEMPTION
Put: NACall: NA
ANNUALLY ON AUGUST 6TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 30/03/2013, 31/03/2014, 30/03/2015, 30/03/2016
Put: NACall: NA
ANNUALLY ON 30/03/2013, 31/03/2014, 30/03/2015, 30/03/2016, 30/03/2017
Put: NACall: NA
ANNUALLY ON 27TH JANUARY 01 ( 0001 TO 2500)
NA
NA
NA
NA
NA
NA
ANNUALLY ON 27TH JANUARY 01 ( 0001 TO 7500 )
Monthly on 1st of every month 1-8500
NA
NA
NA
NA
NA
Put: NACall: NA
ANNUALLY ON 30/03/203, 31/03/2014, 30/03/2015, 30/03/2016, 30/03/2017, 30/03/2018
Put: NACall: NA
ANNUALLY ON JUNE 15TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON JUNE 15TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON JUNE 29TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON JUNE 29TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON JULY 26TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
ANNUALLY ON JUNE 15TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON JUNE 15TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON JUNE 29TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON JUNE 29TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON JULY 26TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
NA
NA
NA
000000001-100000000
Annually on 18th July NA
NA
NA
ANNUAL- 26TH APRIL EVERY YEAR NA
1-5500
NA 1-3000
NA 1-8000
1-8000
NA
ON MATURITY i.e 26/04/16 NA
ANNUAL ON 16TH JUNE STARTING 16/06/15 TILL 16/06/24
Put: NACall: NA
ANNUALLY ON 1ST MARCH & ON MATURITY
Put: NACall: NA
ANNUALLY ON 01ST MARCH & ON MATURITY
Put: NACall: NA
ANNUALLY ON 27TH APRIL STARTING 27/04/11 TILL 27/04/19 AND ON MATURITY i.e 27/02/20
Put:DEBENTURE SHALL BE REDEEMABLE AT PAR ON 27/02/20 SUBJECT TO EXCERCISE OF PUT OPTION BY THE INVESTORS TO REDEEM THE Put: NACall: NA
ANNUALLY 12TH JUNE EVERY YEAR TILL MATURITY
Put: NACall: NA
Annually on 27th April & on maturity
Put: N.A.Call: N.A.
Put: NACall: NA
ANNNUAL 30.06.2013, 30.06.2014, 30.06.2015, 30.06.2016 AND 30.06.2017
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
QTRLY ON 2ND JAN,APRIL,JULY & OCTOBER EVERY YEAR STARTING FROM 2.1.14 & ON MATURITY i.e. 9.8.19
Put: NACall: NA
ON MATURITY i.e 18/12/15 OR ON PUT OPTION EXERCISE DATES i.e. 18/09/2014, 17/12/2014, 17/03/2015, 15/06/2015 AND 14/09/2015
Put:IN EVENT THE INVESTOR EXCERCISES PUT OPTION ADJUSTMENT WILL BE APPLIED TO THE COUPON RATE AS FOLLOWS- ON 18/09/14 -0.30%, ON 17/12/14 Put: NACall: NA
Annually on 31st March NA
ON MATURITY i.e 26/04/17 NA
NA
NA
N.A.
ANNUALLY ON 08TH FEBRUARY NA
NA
NA
NA
CUMULATIVE 10/10/2015 NA
N.A.
NA
ANNUALLY ON 08TH FEBRUARY NA
NA
Put: NACall: NA
Put: NACall: NA
PAYABLE ON MATURITY i.e. 08/09/2014
Put: NACall: NA
PAYABLE ON MATURITY i.e. 08/09/2014
Put: NACall: NA
PAYABLE ON MATURITY 10/10/2014
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY AND ON MATURITY i.e. 08/08/2013, 08/08/2014 AND FINALLY ON 08/08/2015
Put: NACall: NA
PAYABLE ON MATURITY i.e. 25/09/2015
Put: NACall: NA
ANNUAL 01/04/2013, 01/04/2014, 01/04/2015, 10/10/2015
Put: NACall: NA
Put: NACall: NA
PAYABLE ON MATURITY 29/10/2015
Put: NACall: NA
ANNUALLY ON 03RD FEBRUARY & ON MATURITY
Put: NACall: NA
Put: NACall: NA
ANNUAL 01/04/2013, 01/04/2014, 01/04/2015, 01/04/2016, 01/04/2017, 09/10/2017
Put: NACall: NA
CUMULATIVE 09/10/2017 NA
CUMULATIVE 09/10/2017 NA
NA
CUMULATIVE 09/08/2018 NA
CUMULATIVE 09/10/2018 NA
NA
NA
NA
NA
NA
NA
NA
A/01 - A/13 ( A/01 - A/3909 )
Annually on 30th September B/01-B/13 (B/01-B/3909)
Put: NACall: NA
Put: NACall: NA
ANNUAL 01/04/2013, 01/04/2014, 01/04/2015, 01/04/2016, 01/04/2017, 09/10/2017
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY i.e. 12/10/13, 12/10/14, 12/10/15, 12/10/16, 12/10/17, 12/10/18, 12/10/19, 12/10/20, 12/10/21, 12/10/22
Put: NACall: NA
PAYABLE ANNUALLY ON JANUARY 21ST EVERY YEAR TILL MATURITY DATE.
Put: NACall: NA
ANNUALLY ON 25TH FEBRUARY EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 28TH MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
Annually on 1st April and on maturity
Put: NACall: NA
Annually on 1st April and on maturity
Put: NACall: NA
Annually on 1st April and on maturity
Put: NACall: NA
Annually on 30th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
NA
Annually on 30th September C/01-C/13 (C/01-C/5212)
NA
NA
NA
NA
NA
Annually on 30th June NA
NA
NA
NA
Annually on 30th November NA
NA
NA
PAYABLE ON MATURITY i.e. 04.11.2015
Put: NACall: NA
Put: N.A.Call: N.A.
PAYABLE ANNUALLY i.e. ON 14/05/2014, 14/05/2015 AND ON MATURITY i.e. 14/05/2016
Put: NACall: NA
Quarterly on 30th June,30th September,31st December & 31st March
Put: NACall: NA
Annually on 1st April and on maturity
Put: NACall: NA
Annually on 1st April and on maturity
Put: NACall: NA
Annually on 1st April and on maturity
Put: NACall: NA
Put: NACall: NA
Annually on 26th July & on Maturity
Put: NACall: NA
Annually on 02nd August & on Maturity
Put: NACall: NA
Annually on 30th August & on Maturity
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 22ND DECEMBER & ON MATURITY
Put: NACall: NA
Annually on 25th October & on Maturity
Put: NACall: NA
30TH JUNE EVERY YEAR 1 / (1 - 5666364)
30TH JUNE EVERY YEAR 2 / (5666365 - 5668364)
30TH JUNE EVERY YEAR 3 / (5668365 - 5670364)
30TH JUNE EVERY YEAR 4 / (5670365 - 5820364)
30TH JUNE EVERY YEAR 5/ (5820365 TO 6120364)
30TH JUNE EVERY YEAR 6/ (6120365 TO 50270364)
30TH JUNE EVERY YEAR 7/ (50270365 TO 53270364)
30TH JUNE EVERY YEAR 8/ (53270365 TO 56680364)
30TH JUNE EVERY YEAR 10/ (78750365 TO 108790364)
30TH JUNE EVERY YEAR 11/ (108790365 TO 119620364)
001-2000
15/09/2014 001-1500
ON MATURITY i.e 18/12/14 001-3000
ON MATURITY i.e 24/03/2015 001-800
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
31/08/2013, 30/11/2013, 28/02/2014, 31/05/2014 AND 22/08/2014
Put: NACall: NA
Put: NACall: NA
Put: NACall:ON 350TH DAY FROM THE DATE OF ALLOTMENT i.e 04.12.14
Put: NACall:350TH DAY FROM THE DATE OF ALLOTMENT i.e. 09/03/2015. CALL NOTIFICATION TIME-PRIOR NOTICE OF 5 BUSINESS DAYS
ON MATRURITY i.e 27/03/15 001-1000
ON MATURITY i.e 30/03/17 001-200
001-3000
115-180
001-114
181-200
NA
1;1-126810
2,126811-1843380
3,1843381-2029815
Annually on 31st March
NA
NA
NA 001/(0000001-28751151)
Put: NACall: NA
Put: NACall: NA
HALY YEARLY 27.06.2014, 27.12.2014, 27.06.2015, 27.12.2015, 27.06.2016, 27.12.2016, 27.06.2017, 27.12.2017, 27.06.2018,
Put: NACall: NA
QUARTERLY AFTER MORATORIUM-12 MTHS 03/06/14,03/09/14,03/12/14,03/03/15,03/06/15,03/09/15,03/12/15
Put: NACall: NA
QUARTERLY AFTER MORATORIUM -12 MONTHS 16/05/14,16/08/14,16/11/14,16/02/15,16/05/15,16/08/15,16/11/15
Put: NACall: NA
QUARTERLY AFTER MORATORIUM-12 MTHS 08/08/14,08/11/14,08/02/15,08/05/15,08/08/15,08/11/15,08/02/16
Put: NACall: NA
ANNUALLY ON 11TH MARCH EVERY YEAR
Put: NACall:EVERY ANNIVERSARY DATE OF THE DEEMED DATE OF ALLOTMENT i.e. 11/03/2014,11/03/2015,11/03/201
Annually on 31st March Put: N.A.Call: N.A.
Annually on 31st March Put: N.A.Call: N.A.
Annually on 31st March Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
4, 2029816-2154795;5,2154796-2277328;6,2277329-2381323
MONTHLY AT THE END OF EVERY MONTH STARTING FROM 30.11.2013
Put:28/10/2018 (1826 DAYS FROM DDA i.e. 60 MONTHS FROM DDA)Call: NA
Quarterly on 26th Novemberm 26th February, 26th May & 26th August
Put: NACall:issuer to have call option after completion of 12 month from the month in which the allotment was made and every Put: NACall:THE ZCRDs ARE REDEEMABLE AT ANY TIME BEFORE THE MATURITY DATE AT THE OPTION OF THE CO. OR
NA
Annually on 30th June
Annually on 5th August NA
Put & Call: N.A. N.A.
Annually on 10th August NA
Annually on 30th June
Annually on 4th September NA
Annually, 17th September 187229 to 187728
Annually on 30th June
NA
Annually on 30th June
ANNUALLY ON 30TH JUNE
30th June & 31st Dec every year NA
Annually on 19th February NA
QUARTERLY ON 31ST MAR, 30TH JUN, 30TH SEPT AND 31ST DEC EVERY YEAR STARTING 31/03/14 TILL 31/12/17 AND ON 25/01/18
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Annually, 31st March with 1st interest payable from date of allotment to 31/03/2005
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
ANNUALLY FIRST INTEREST PAYMENT SHALL BE ON 16.10.2013 THEREAFTER ON 16/10/2014 WITH REDEMPTION
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
183229 to 188228
ANNUAL 30TH JUNE
ANNUAL 30TH JUNE
na
ANNUAL 30TH JUNE
ANNUAL 30TH JUNE
ANNUAL 30TH JUNE
ANNUAL 30TH JUNE
ANNUAL 30TH JUNE
ANNUAL 30TH JUNE
Annually 31st January Na
ANNUAL 30TH JUNE 18956614 - 19112798
ANNUAL 30TH JUNE 19343749-19531857
NA
Annually 17th September with 1st interest payable from date of allotment to 17-9-2005
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Ist interest payment on 30-6-06 and subsequent interest payment on 30th June every year
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Semi Annually on 14th March and 14th September
Put: N.A.Call: N.A.
Annually on March 20th NA
ANNUAL 30TH JUNE 19740659-19955463
ANNUAL 30TH JUNE
ANNUAL 30TH JUNE 30367326-30538378
ANNUAL 30TH JUNE ....
ANNUAL 30TH JUNE 31133146-31319798
Annually on 10th August NA
ANNUAL 30TH JUNE 31648708-31778360
Annually on 6th september NA
ANNUAL 30TH JUNE 31975039-32127761
NA
Annually on 19th October NA
ANNUAL 30TH JUNE 32351398-32484684
ANNUAL 30TH JUNE 32719999-32845214
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY FIRST INTEREST PAYMENT SHALL BE ON 17/10/2014 THEREAFTER ON 17TH OCT EVERY YEAR
Put: NACall: NA
Put:19/10/2013Call:19/10/2013
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 30TH JUNE 33055664-33227629
Annually on 31st March NA
ANNUAL ON 30TH JUNE 33459495-33632146
NA
ANNUAL ON 30TH JUNE 33888369-34076022
1552359-1563358
1563359-1579358
ANNUAL ON 30TH JUNE 34275467-34591076
ANNUALLY ON 30TH JUNE 35320353-35475674
ANNUALLY ON 30TH JUNE 35751977-35908628
ANNUALLY ON 30TH JUNE 36118033-36256260
NA
NA
Annually on 31st August NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
ANNUALLY , FIRST INTEREST PAYMENT SHALL BE ON 15/02/2013
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 10/03/2015, 10/03/2016, 10/03/2017
Put: NACall: NA
ANNUAL ON 26/03/15, 26/03/16, 25/03/17
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 20TH JULY EVERY YEAR
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 27.08.2013 THEREAFTER ON 27TH AUGUST EVERY YEAR
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 31st October NA
Annually on 13th June NA
Annually on 29th July NA
Annually on 14th August NA
Annually on 30th September NA
NA
Annually on 24th October NA
NA
1514909-1531458
Annually on 15th January NA
1531459-1552358
1579359-1596358
Annualy on 12th July N.A
NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY FIRST INTEREST PAYMENT SHALL BE ON 17/10/2014 THEREAFTER ON 17TH OCT EVERY YEAR
Put: NACall: NA
Put: N.A.Call: N.A.
ANNUALLY FIRST INTEREST PAYMENT SHALL BE ON 06/11/2014 THEREAFTER ON 06TH NOV EVERY YEAR
Put: NACall: NA
ANNUAL ON 03.01.15, 04.01.16, 03.01.17, 03.01.18, 03.01.19
Put: NACall: NA
Put: N.A.Call: N.A.
ANNUAL ON 05.02.2015, 05.02.2016, 06.02.2017, 05.02.2018 AND 05.02.2019
Put: NACall: NA
ANNUAL 18/06/15, 18/06/16, 19/06/17, 18/06/18 AND 18/06/19
Put: NACall: NA
Put: N.A.Call: N.A.
ANNUALLY ON 20TH JULY EVERY YEAR
Put: NACall: NA
Annually on 3rd August NA
Annually on 4th September NA
Annually on 6th October NA
Annually on 17th November NA
Annually on 22nd January NA
NA
Annually on 25th October NA
Annually on 29th November NA
NA
NA NA
Annually on 15th March NA
Annually on 15th July NA
Annually on 10th August NA
NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 08/03/2014 THEREAFTER ON 08TH MARCH EVERY YEAR
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
On Maturity Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
First Interest payment shall be on 11/11/2012
Put: NACall: NA
ANNUALLY ON 15TH FEBRUARY 20000001-20065706
ON MATURITY 50000001-50011462
ANNUALLY ON 15TH FEBRUARY 60000001-60002760
ON MATURITY 10000001-10190466
1-8396740
1-813538
NA
NA
NA
1-2455441
1-3295136
NA
NA
Put:INVESTOR HAS THE PUT OPTION FOR BUY BACK AFTER 5 YEARCall: NA
Put: NACall: NA
Put: NACall: NA
Put:INVESTOR HAS THE PUT OPTION FOR BUY BACK AFTER 5 YEARCall: NA
ANNUALLY ON 1ST JULY & ON MATURITY
Put: NACall: NA
1ST INTEREST PAYMENT WILL BE ON 01/12/2013 AND THEREAFTER IN 1ST DECEMBER EACH YEAR AND ON MATURITY
Put: NACall: NA
1ST INTEREST PAYMENT WILL BE ON 01/12/2013 AND THEREAFTER IN 1ST DECEMBER EACH YEAR AND ON MATURITY
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 12/04/2014 THEREAFTER ON 12TH APRIL EVERY YEAR
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 31/05/2014 THEREAFTER ON 31ST MAY EVERY YEAR
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 29.08.2014 THEREAFTER ON 29TH AUGUST EVERY YEAR
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 01.12.2013 THEREAFTER ON 1ST DECEMBER EVERY YEAR
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 01.12.2013 THEREAFTER ON 1ST DECEMBER EVERY YEAR AND ON MATURITY
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 11.10.2014 THEREAFTER ON 11TH OCT EVERY YEAR
Put: NACall: NA
1ST DEC OF EVERY YEAR TILL MATURITY
Put: NACall: NA
NA
Annualy on 12th July N.A
Annually on 8th June NA
ON MATURITY 30000001-30026866
ANNUALLY ON 15TH FEBRUARY 40000001-40010007
ON MATURITY 70000001-70005653
ANNUALLY ON 15TH FEBRUARY 80000001-80002260
1-21603260
1-497108
NA
1-11714802
1-16387809
NA
1ST DEC OF EVERY YEAR TILL MATURITY
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put:INVESTOR HAS THE PUT OPTION FOR BUY BACK AFTER 7 YEARCall: NA
Put: INVESTOR HAS THE PUT OPTION FOR BUY BACK AFTER 7 YEARCall:NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 1ST JULY & ON MATURITY
Put: NACall: NA
1ST INTEREST PAYMENT WILL BE ON 01/12/2013 AND THEREAFTER IN 1ST DECEMBER EACH YEAR AND ON MATURITY
Put: NACall: NA
1ST INTEREST PAYMENT WILL BE ON 01/12/2013 AND THEREAFTER IN 1ST DECEMBER EACH YEAR AND ON MATURITY
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 29.08.2014 THEREAFTER ON 29TH AUGUST EVERY YEAR
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 01.12.2013 THEREAFTER ON 1ST DECEMBER EVERY YEAR AND ON MATURITY
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 01.12.2013 THEREAFTER ON 1ST DECEMBER EVERY YEAR AND ON MATURITY
Put: NACall: NA
ANNUALLY FIRST INTEREST PAYMENT SHALL BE ON 11/10/2014 THEREAFTER ON 11TH OCT EVERY YEAR
Put: NACall: NA
NA
NA
1-416304
1-136550
NA
NA
NA
NA
1ST DEC OF EVERY YEAR TILL MATURITY
Put: NACall: NA
1ST DEC OF EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 01.12.2013 THEREAFTER ON 1ST DECEMBER EVERY YEAR AND ON MATURITY
Put: NACall: NA
ANNUALLY, FIRST INTEREST PAYMENT SHALL BE ON 01.12.2013 THEREAFTER ON 1ST DECEMBER EVERY YEAR AND ON MATURITY
Put: NACall: NA
1ST DEC OF EVERY YEAR TILL MATURITY
Put: NACall: NA
1ST DEC OF EVERY YEAR TILL MATURITY
Put: NACall: NA
QUARTERLY ON 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER AND 31ST MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
QUARTERLY ON 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER AND 31ST MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
Registrar with BP Id No.
BBB- CARE DTD 14.05.2013
BBB- CARE DTD 30.08.2013
AAA CRISIL
NA
NA
AAA (emr) FITCH
NA
NA
AAA(emr)(ind) FITCH 16.12.2011
NA
PP-MLD AAA(emr)(ind) IND
NA
Address where Physical Securities is to be sent
Credit Rating with name of Credit Rating Agency and Date of Credit Rating
IN200117BIGSHARE SERVICES
MR. BOJIMON K.HASST GENERAL MANAGERBIGSHARE SERVICES306, 3RD FLOOR, RIGHT WING,AMRUTHA VILLE, OPP YASHODA HOSPITAL,IN200117
BIGSHARE SERVICESMR. BOJIMON K.HASST GENERAL MANAGERBIGSHARE SERVICES306, 3RD FLOOR, RIGHT WING,AMRUTHA VILLE, OPP YASHODA HOSPITAL,IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTDLEVEL - 3
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTDLEVEL - 3
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTDLEVEL - 3
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTDLEVEL - 3
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
NA
PP-MLD AAA(emr) IND
NA
PP-MLD AAA (emr)
PP-MLD,AAA(emr)(ind)FITCH
PP-MLD AAA (emr)
NA
AAA (emr) FITCH
AAA CRISIL DT- 06.02.14
PP-MLD AAA(emr) IND
NA
NA
NA
NA
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V KUMARESANVICE PRESIDENTSHAREPRO SERVICES (INDIA) PVT.LTD13, AB, SAMHITA WAREHOUSING COMPLEX,IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
NA
NA
NA
NA
AAA PP-MLD IND 09.01.14
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AAA(emr)(ind) DT 16.12.11
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NA
NA
NA
PP- MLD AAA (emr)(ind)
PP-MLD AAA(emr)(ind) IND
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
PP-MLD AAA(emr)(ind) IND
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NA
PP-MLD AAA(emr) IND
AAA(emr)(ind) FITCH 16.12.2011
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PP-MLD AAA (emr)
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AAA PP-MLD IND 09.01.14
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CARE,DT-11-10-2011
BBB+SO,CARE,DT-15-02-2011
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGHASSOCIATE DIRECTORMACQUARIE FINANCE (INDIA) PVT LTD92, LEVEL 9, 2 NORTH AVENUE,
IN200800KARVY COMPUTERSHARE-4
Mr. P. A. VargheseGeneral ManagerKarvy Computershare Private LimitedPlot No. 17 to 24,
KARVY COMPUTERSHARE PVT. LTD.IN200035
MR. AKHILESH SHRIVASTAVAGENERAL MANAGERMADHYA PRADESH FINANCIAL CORPORATIONFINANCE HOUSE
IN200035KARVY COMPUTERSHARE
MR. AKHILESH SHRIVASTAVAGENERAL MANAGERMADHYA PRADESH FINANCIAL CORPORATIONFINANCE HOUSE
IN200035KARVY COMPUTERSHARE
MR. AKHILESH SHRIVASTAVAGENERAL MANAGERMADHYA PRADESH FINANCIAL CORPORATIONFINANCE HOUSE
BB- CRISIL
CARE- A+, DT 1/11/2010
AA+ CARE DTD 26.06.2013
AA+ CARE DTD 17.02.2014
AA+ CARE DTD 17.02.14
AA+ CARE DTD 17.02.2014
AA+ CARE DTD 17.02.2014
AA+ CARE DTD 17.02.2014
AA+ CARE DTD 17.02.2014
AA+ CARE DTD 17.02.2014
AA+ CARE DTD 17.02.2014
AA CARE DTD 17.02.14
AA- CARE DTD 26.06.2013
AA- CARE DTD 26.06.2013
IN200117BIGSHARE SERVICES
Mr. Babu Rapheal CSr. ManagerBigshare Services Pvt. Limited,E-2/3, Ansa Industrial EstateSaki Vihar Road, Sakinaka
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr. S AbbasSr. Manager - SystemsNiche Technologies Pvt. Ltd.D-511 Bagree Market, 5th floor,71 B.R.B. Basu Road
IN200490NICHE TECHNOLOGIES
Mr. S AbbasSr. Manager - SystemsNiche Technologies Pvt. Ltd.D-511 Bagree Market, 5th floor,71 B.R.B. Basu Road
IN200490NICHE TECHNOLOGIES
Mr. S AbbasSr. Manager - SystemsNiche Technologies Pvt. Ltd.D-511 Bagree Market, 5th floor,71 B.R.B. Basu Road
IN200490NICHE TECHNOLOGIES
Mr. S AbbasSr. Manager - SystemsNiche Technologies Pvt. Ltd.D-511 Bagree Market, 5th floor,71 B.R.B. Basu Road
IN200490NICHE TECHNOLOGIES
Mr. S AbbasSr. Manager - SystemsNiche Technologies Pvt. Ltd.D-511 Bagree Market, 5th floor,71 B.R.B. Basu Road
IN200490NICHE TECHNOLOGIES
Mr. S AbbasSr. Manager - SystemsNiche Technologies Pvt. Ltd.D-511 Bagree Market, 5th floor,71 B.R.B. Basu Road
IN200490NICHE TECHNOLOGIES
Mr. S AbbasSr. Manager - SystemsNiche Technologies Pvt. Ltd.D-511 Bagree Market, 5th floor,71 B.R.B. Basu Road
IN200490NICHE TECHNOLOGIES
Mr. S AbbasSr. Manager - SystemsNiche Technologies Pvt. Ltd.D-511 Bagree Market, 5th floor,71 B.R.B. Basu Road
IN200490NICHE TECHNOLOGIES
Mr. S AbbasSr. Manager - SystemsNiche Technologies Pvt. Ltd.D-511 Bagree Market, 5th floor,71 B.R.B. Basu Road
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
AA+ CARE DT-13/03/2013
AA+ CARE DTD 27.09.2012
AA+ CARE DTD 25.04.2012
AA+ CARE DTD 25.04.2012
AA+ CARE DTD 13/03/2013
AA+ CARE DTD 27.09.2012
AA+ CARE DTD 27.09.2012
AA+ CARE DT-03/04/2013
AA,CARE,DT-
AA+,CARE,DT-30-01-2012
AA CARE DTD 02.07.2012
AA CARE DTD 28/12/2012
AA CARE DTD 04.01.2013
AA CARE DTD 04.01.2013
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
AA CARE DTD 02.07.2012
AA CARE DTD 28/12/2012
AA+ CARE DTD 25.07.2012
AA+,CARE DT 25/07/2011
AA+,CARE,DT-07-10-2011
AA+,CARE,DT-09-11-2011
AA,CARE,DT-15-11-2011
AA+ CARE DTD 03.05.2013
AA+,CARE,DT-31-01-2012
AA+ CARE DTD 25.07.2012
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
NICHE TECHNOLOGIESIN200490
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
NICHE TECHNOLOGIESIN200490
Ms.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
NICHE TECHNOLOGIESIN200490
Ms.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
NICHE TECHNOLOGIESIN200490
Ms.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
AA+ CARE DTD 03.04.2013
AA+ CARE DTD 09.10.2013
AA,CARE.DT-12-12-2011
AA,CARE,DT-28-09-2011
AA+ CARE DTD 25.04.2012
AA,CARE,DTD-28-09-2011
AA,CARE,DT-03-02-2012
AA,CARE,DT-19-03-2012
AA,CARE,DT-19-03-2012
NICHE TECHNOLOGIESIN200490
Ms.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
NICHE TECHNOLOGIESIN200490
Ms.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
NICHE TECHNOLOGIESIN200490
Ms.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
AA CARE DT-28.02.14
AA CARE DTD 22.04.2013
AA- CARE DTD 19.04.2013
AAA (SO) CARE & CRISIL
IN200490NICHE TECHNOLOGIES
Mr. S AbbasSr. Manager - SystemsNiche Technologies Pvt. Ltd.D-511 Bagree Market, 5th floor,71 B.R.B. Basu Road
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
NICHE TECHNOLOGIESIN200490
Ms.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
NICHE TECHNOLOGIESIN200490
Ms.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
NICHE TECHNOLOGIESIN200490
Ms.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200490NICHE TECHNOLOGIES
Mr.Seema BhuwalkaSenior OfficerNICHE TECHNOLOGIESD-511, Bagree Market;71 B.R.B.B. Road,
IN200800KARVY COMPUTERSHARE-4
MR. S R SAYALCOMPANY SECRETARYMAHANAGAR TELEPHONE NIGAM LIMITEDMTNL, DOOR SANCHAR SADAN,
Sharepro Services (India)Pvt.Ltd.IN200043
COMPUTRONICS FIN SERVIN200658
Mr.T P M NairDeputy General ManagerMAHARASHTRA JEEVAN PRADHIKARANUnit No. 53-56, Electronics Sadan
COMPUTRONICS FIN SERVIN200658
Mr.T P M NairDeputy General ManagerCOMPUTRONICS FIN SERVUnit No. 53-56, Electronics SadanShil Mahape Road, MIDC
MENNEN FIN.SERVICES LTDIN200682
Mr. R.S. PandeyMr. Sandeep T. MadhaviSr. Manager /Manager -R & T DeptMennen Financial Services Ltd.307, 3rd Floor, Tirupati Udyog
INTIME SPECTRUM REGISTRY IN200094
Mr. MahadevanGeneral ManagerIntime Spectrum Registry Ltd.Kantilal Maganlal Industrial Estate(Pannalal Silk Mills Compound)
INTIME SPECTRUM REGISTRY IN200094
Mr.Haren ModiChief Operating OfficerIntime Spectrum Registry Ltd.Pannalal Silk Mills CompoundL.B.S. Marg, Bhandup (West)
INTIME SPECTRUM REGISTRY IN200094
Mr. Haren Modi INTIME SPECTRUM REGISTRY LIMITEDC-13, Pannalal Silk Mills Compound
Same as above Same as above
Same as above Same as above
Same as above Same as above
Same as above Same as above
Same as above Same as above
Same as above Same as above
Same as above Same as above
Same as above Same as above
Same as above Same as above
Same as above Same as above
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr. Haren ModiChief Operating OfficerC-13, Pannalal Silk Mills CompoundL.B.S. Marg
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr. Haren ModiChief Operating OfficerC-13, Pannalal Silk Mills CompoundL.B.S. Marg
INTIME SPECTRUM REGISTRYIN200094
Ms. Suma H.S.Junior OfficerKirloskar Computer Services Limited,Post Box No. 5570,
Intime Spectrum Registry Pvt. Ltd(IN200094)
MR. S. Vijaygopal,Deputy Manager(Shares),Kirloskar Computer Services Limited,Post Box No. 5570,
Same as above Same as above
Same as above Same as above
Same as above
Same as above
Intime Spectrum Registry Pvt. Ltd(IN200094)
Intime Spectrum Registry Pvt. Ltd(IN200094)
INTIME SPECTRUM REGISTRYIN200094
Ms. Suma H.S.Junior OfficerKirloskar Computer Services Limited,Post Box No. 5570,
INTIME SPECTRUM REGISTRYIN200094
Ms. Suma H.S.Junior OfficerKirloskar Computer Services Limited,Post Box No. 5570,
INTIME SPECTRUM REGISTRY IN200094
Ms. Suma H.S.Junior OfficerKirloskar Computer Services Limited,Post Box No. 5570,
INTIME SPECTRUM REGISTRY IN200094
Ms. Suma H.S.Junior OfficerKirloskar Computer Services Limited,Post Box No. 5570,
INTIME SPECTRUM REGISTRY IN200094
Ms. Suma H.S.Junior OfficerKirloskar Computer Services Limited,Post Box No. 5570,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Dayanand PatilSr Asst Corporate RegistryLINK INTIME INDIA PRIVATE LIMITEDC/13, Panna Lal Silk Mill CompoundINTIME SPECTRUM REGISTRY,
MUMBAIIN200094
Ms. Suma H.S.Junior OfficerKirloskar Computer Services Ltd.#412 and 415 , 10th cross5th main R M V II stage
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms.Suma H.S.Junior OfficerKirloskar Computer Services Ltd.#412 &415 10th Cross5th Main RMV II Stage
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms.Suma H.S.Junior OfficerKirloskar Computer Services Ltd.#412 &415 10th Cross5th Main RMV II Stage
INTIME SPECTRUM REGISTRY IN200094
Ms. Suma H.S.Junior OfficerKirloskar Computer Services Limited,Post Box No. 5570,
NA
AA+ CRISIL & ICRA
IND AA+ DTD 05.04.2013
AA+ CRISIL DTD 30.07.2012
AA+ CRISIL DTD 20/04/2012
AA+ CRISIL DTD 14.08.2012
MENNEN FIN.SERVICES LTD IN200682
Mr. R.S. PandeyMr. SandeepSr. Manager /ManagerMennen Financial Services Ltd.307, 3rd Floor, Tirupati Udyog
IN200019MCS
MR. SHEKHAR GOVINDBHAI PATELDIRECTORMAHAVIR (THALTEJ) COMPLEX PRIVATE LIMITEDGANESH CORPORATE HOUSE,
Sharepro Services (India)Pvt.Ltd.IN200043
Ms. Sandhya SharmaSr. GM - Corporate FinanceMahindra Towers, Ground Floors,Road No. 13, Worli,Mumbai 400 018
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Ms. Sandhya SharmaSr. GM - Corporate FinanceMAHINDRA & MAHINDRA LIMITEDMahindra Towers, Ground Floors,Road No. 13,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. V. RaviChief Financial OfficerMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSadhana House, 2nd Floor
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. V. RaviChief Financial OfficerSadhana House, 2nd FloorBehind Mahindra Towers570 P.B. Marg
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
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CRISIL AA+ DTD 12/12/12
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MANISH DESAIDGM-TREASURYMAHINDRA & MAHINDRA FINANCIAL SERVICES LTDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MANISH DESAIDGM-TREASURYMAHINDRA & MAHINDRA FINANCIAL SERVICES LTDSADHANA HOUSE, 2ND FLOOR,
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CRISIL AA+ STABLE12/12/12
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MANISH DESAIDGM-TREASURYMAHINDRA & MAHINDRA FINANCIAL SERVICES LTDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.IN200043
MR. V. RAVICHIEF FINANCIAL OFFICERSADHANA HOUSE, 2ND FLOORBEHIND MAHINDRA TOWERS570, P. B. MARG, WORLI
Sharepro Services (India)Pvt.Ltd.IN200043
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.IN200043
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
Sharepro Services (India)Pvt.Ltd.IN200043
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. V. RaviChief Financial OfficerSadhana House, 2nd FloorBehind Mahindra Towers570 P.B. Marg
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MANISH DESAIDGM-TREASURYMAHINDRA & MAHINDRA FINANCIAL SERVICES LTDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MANISH DESAIDGM-TREASURYMAHINDRA & MAHINDRA FINANCIAL SERVICES LTDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MANISH DESAIDGM-TREASURYMAHINDRA & MAHINDRA FINANCIAL SERVICES LTDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. V. RaviChief Financial OfficerSadhana House, 2nd FloorBehind Mahindra Towers570 P.B. Marg
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. V. RaviChief Financial OfficerSadhana House, 2nd FloorBehind Mahindra Towers570 P.B. Marg
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
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AA+ CRISIL DTD 12/12/2012
AA+ CRISIL DTD 05.04.2013
AA+ CRISIL DTD 02.05.2013
A CRISIL
A CRISIL
A CRISIL
A+ CRISIL
A+ CRISIL
Sharepro Services (India)Pvt.Ltd.IN200043
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVICHIEF FINANCIAL OFFICERMAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITEDSADHANA HOUSE, 2ND FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. JAYANTT MANMADKARDIRECTORMAHINDRA BEBANCO DEVELOPERS LIMITEDMAHINDRA TOWERS, 5 TH FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. JAYANTT MANMADKARDIRECTORMAHINDRA BEBANCO DEVELOPERS LIMITEDMAHINDRA TOWERS, 5 TH FLOOR,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. SUHAS KULKARNIVICE PRESIDENT- LEGAL & COMPANY SECRETARYMAHINDRA LIFESPACE DEVELOPERS LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. SUHAS KULKARNIVICE PRESIDENT- LEGAL & COMPANY SECRETARYMAHINDRA LIFESPACE DEVELOPERS LIMITED
A+ CRISIL
A CRISIL DTD 13.06.2012
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CRISIL A+ DT 05.02.14
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CRISIL A+ DT 23.12.13
CRISIL A+ DT 23.12.13
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. SUHAS KULKARNIVICE PRESIDENT- LEGAL & COMPANY SECRETARYMAHINDRA LIFESPACE DEVELOPERS LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR.GAJANAN CHINCHWADKARSENIOR GENERAL MANAGERMAHINDRA VEHICLE MANUFACTURERS LIMITEDA-1, CHAKAN MIDC
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR.GAJANAN CHINCHWADKARSENIOR GENERAL MANAGERMAHINDRA VEHICLE MANUFACTURERS LIMITEDA-1, CHAKAN MIDC
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR.GAJANAN CHINCHWADKARSENIOR GENERAL MANAGERMAHINDRA VEHICLE MANUFACTURERS LIMITEDA-1, CHAKAN MIDC
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MR. SANJAY JAINCOMPANY SECRETARY CUM GM (ACCOUNTS)/ FINANCEMAHINDRA WORLD CITY (JAIPUR) LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. SANJAY JAINCOMPANY SECRETARY CUM GM (ACCOUNTS)/ FINANCEMAHINDRA WORLD CITY (JAIPUR) LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. SANJAY JAINCOMPANY SECRETARY CUM GM (ACCOUNTS)/ FINANCEMAHINDRA WORLD CITY (JAIPUR) LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
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IN200094LINK INTIME INDIA PRIVATE LIMITED
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CRISIL A+ DT 23.12.13
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IN200094LINK INTIME INDIA PRIVATE LIMITED
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MR. DINESH YADAVOFFICER- INVESTOR RELATIONSLINK INTIME INDIA PRIVATE LIMITEDC-13 PANALAL SILK MILLS COMPOUND
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MR. JAYAKUMARSKDC CONSULTANTS LTD.NO.7, S N LAYOUT STREET NO. 1WEST POWERHOUSE ROADTATABAD WEST
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MR.JAYAKUMARSKDC CONSULTANTS LTD.PB NO - 2016,KANAPATHY TOWER3RD FLOOR, 139/A1 SATHY ROAD
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MR. JAYAKUMARSKDC CONSULTANTS LTD.NO.7, S N LAYOUT STREET NO. 1WEST POWERHOUSE ROADTATABAD WEST
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MR. JAYAKUMARSKDC CONSULTANTS LTD.NO.7, S N LAYOUT STREET NO. 1WEST POWERHOUSE ROADTATABAD WEST
IN200465SKDC CONSULTANTS LTD.
MR.JAYAKUMARSKDC CONSULTANTS LTD.PB NO - 2016,KANAPATHY TOWER3RD FLOOR, 139/A1 SATHY ROAD
IN200465SKDC CONSULTANTS LTD.
Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor1391 / A 1, Sathy Road�
IN200465SKDC CONSULTANTS LTD.
MR.JAYAKUMARSKDC CONSULTANTS LTD.PB NO - 2016,KANAPATHY TOWER3RD FLOOR, 139/A1 SATHY ROAD
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Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor1391 / A 1, Sathy Road�
IN200465SKDC CONSULTANTS LTD.
MR.JAYAKUMARSKDC CONSULTANTS LTD.PB NO - 2016,KANAPATHY TOWER3RD FLOOR, 139/A1 SATHY ROAD
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BBB- ICRA DT 24.12.13
A CARE DTD 25/06/2013
A CARE DT-11.01.2013
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A CARE DTD 11/03/2013
NA
NA
BWR
VENTURE CAP CORP INVESTIN200537
MR. G. VENKATESWARA RAOSR. MANAGERMANDAVA HOLDINGS PRIVATE LIMITEDPLAT NO- 1 TO 4
IN200537VENTURE CAPITAL AND CORP INVEST PVT. LTD
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MR. P A VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PRIVATE LTD.
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Mr. Ganesh JadhavAsst. Vice President-Depository OperationsLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,IN200117
BIGSHARE SERVICESMR. A. VIJAY KUMARDIRECTORMANGALORE ENERGIES PVT LTDPLOT NO 1366, ROAD NO 45,JUBILEE HILLS,
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Ms. Nandini NairChief ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. Esta
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
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MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
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MR. NILESH DESAIDEPUTY GENERAL MANAGER - FINANCEMARATHON REALTY PRIVATE LIMITED
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AA+ CRISIL DTD 08.02.2013
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NA
NA
NA
NA
BB- (SO) CARE DT-03.04.13
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NA
IN200125TSR DARASHAW PRIVATE LIMITED
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IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. HEMANGI WADKAR/GHAGCOMPANY SECRETARYMARICO LIMITEDRANG SHARDA,KRISHNACHANDRA MARG
IN200176CAMEO CORPORATE SERV LTD
MR. C. SRINIVASANACCOUNTS MANAGERMARIS POWER SUPPLY COMPANY PRIVATE LIMITED11, CATHEDRAL ROAD,
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MR. ASHISH BHATTADFINANCEMARVEL PROMOTERS & DEVELOPERS (PUNE) PRIVATE LTD301-302, MARVEL REALTORS,
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MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
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MR. ABHISHEK CHAWLAAUTHORISED SIGNATORYMASTERWAY CONSULTANTS LIMITEDA-60, NARAINA INDUSTRIAL AREA,
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NA
NA
CARE,DT-12-09-2011
CARE,DT-13-01-2012
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Mr. D.P. WahlangMember Finance,MESEBLum JingshaiShort Round RoadShillong 793001
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Mr. P A VargheseGeneral ManagerKarvy Computershare Private LimitedPlot No. 17-24,
IN200800KARVY COMPUTERSHARE-4
Mr. P A VargheseGeneral ManagerKarvy Computershare Private LimitedPlot No. 17-24,
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Mr.Sanjeev NanduChief Executive260 - A, Shanti Industrial EstateSarojini Naidu RoadMulund (W)
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Mr.Sanjeev NanduChief Executive260 - A, Shanti Industrial EstateSarojini Naidu RoadMulund (W)
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Mr.Sanjeev NanduChief Executive260 - A, Shanti Industrial EstateSarojini Naidu RoadMulund (W)
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V D MURTYAUTHORISED SIGNATORYMETROPOLITAN INFRAHOUSING PRIVATE LIMITEDGAMMON HOUSE ,
IN200094LINK INTIME INDIA PRIVATE LIMITED
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IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
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NA
NA
NA
NA
NA
NA
B- CARE
NA
A+ CARE 09.12.13
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
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IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAHUL VAISHYACOMPANY SECRETARYMIGHTY CONSTRUCTIONS PRIVATE LIMITED6 TH FLOOR, A WING,
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. M.J. MAHADEV PRAKASHCOMPANY SECRETARYTHE MILLENIA, TOWER BLEVEL 12, NO. 1 & 2,MURPHY ROAD
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. M.J. MAHADEV PRAKASHDY GENERAL MANAGER -LEGALTHE MILLENIA, TOWER BLEVEL 12, NO.1 & 2MURPHY ROAD
IN200561PURVA SHAREGISTRY
Mr. Rajesh ShahDirectorPurva Sharegistry (India) Limited9, Shiv Shakti Industrial Estate,J.R. Boricha Marg, Opp. Kasturba HosIN200561
PURVA SHAREGISTRYMr. Rajesh ShahDirectorPurva Sharegistry (India) Limited9, Shiv Shakti Industrial Estate,J.R. Boricha Marg, Opp. Kasturba HosIN200094
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MCS LTDMR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
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AAA(emr)(ind)FITCH,3-5-11
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IN200424MCS LTD
MR. HARDEEP SINGHCOMPANY SECRETARYMONNET ISPAT AND ENERGY LIMITED11,
IN200424MCS LTD
MR. M. P. KHARBANDACOMPANY SECRETARYMONNET ISPAT & ENERY LIMITEDMONNET HOUSE,11 MASJID MOTH,
IN200424MCS LTD
Mr. M.P.KharbandaCompany SecretaryMonnet Ispat And Energy LimitedMonnet House , 11 Masjid Moth,Greater Kailash, Part - Ii,
IN200424MCS LTD
MR. M. P. KHARBANDACOMPANY SECRETARYMONNET ISPAT & ENERY LIMITEDMONNET HOUSE,11 MASJID MOTH,
IN200424MCS LTD
MR. M. P. KHARBANDACOMPANY SECRETARYMONNET ISPAT & ENERY LIMITEDMONNET HOUSE,11 MASJID MOTH,
IN200424MCS LTD
MR. M. P. KHARBANDACOMPANY SECRETARYMONNET ISPAT & ENERY LIMITEDMONNET HOUSE,11 MASJID MOTH,
MCS LTDIN200424
Mr M.P.KharbandaCompany SecretaryMonnet House , 11 Masjid Moth,Greater Kailash, Part - II,New Delhi - 110 048
MCS LTDIN200424
Mr M.P.KharbandaCompany SecretaryMONNET ISPAT AND ENERGY LIMITED (FORMERLY KNOWN AS MONNET ISPAT LTD.)
MCS LTDIN200424
Mr M.P.KharbandaCompany SecretaryMONNET ISPAT AND ENERGY LIMITED (FORMERLY KNOWN AS MONNET ISPAT LTD.)
MCS LTDIN200424
Mr M.P.KharbandaCompany SecretaryMONNET ISPAT AND ENERGY LIMITED (FORMERLY KNOWN AS MONNET ISPAT LTD.)
IN200800KARVY COMPUTERSHARE-4
MS.VILMA MATHIAS GANGAHERCOMPANY SECRETARYMORGAN STANLEY INDIA CAPITAL PRIVATE LIMITED18F/19F, ONE INDIABULLS CENTREIN200800
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AAA,CARE
AAA,CARE
AAA,CARE
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AAA (SO) CARE DT 25.03.14
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AA-,CRISIL DT 25/07/2011
AA-,CRISIL DT 25/07/2011
AA- CRISIL DTD 23.08.2013
AA- CRISIL DTD 14.08.2012
AA,CRISIL,DT-29-11-2011
IN200800KARVY COMPUTERSHARE-4
MS.VILMA MATHIAS GANGAHERCOMPANY SECRETARYMORGAN STANLEY INDIA CAPITAL PRIVATE LIMITED18F/19F, ONE INDIABULLS CENTREIN100237
MRF LIMITED-SHRMR. RAVI MANNATHCOMPANY SECRETARYMRF LTDNew no- 114 ( Old no- 124 )Greams Road
IN100237MRF LIMITED-SHR
MR. RAVI MANNATHCOMPANY SECRETARYMRF LTDNew no- 114 ( Old no- 124 )Greams Road
IN100237MRF LIMITED-SHR
MR. RAVI MANNATHCOMPANY SECRETARYMRF LTDNew no- 114 ( Old no- 124 )Greams Road
IN100237MRF LIMITED-SHR
MR. RAVI MANNATHCOMPANY SECRETARYMRF LTDNew no- 114 ( Old no- 124 )Greams Road
IN100237MRF LIMITED-SHR
MR. RAVI MANNATHCOMPANY SECRETARYMRF LTDNew no- 114 ( Old no- 124 )Greams Road
IN200800KARVY COMPUTERSHARE-4
Mr. P. A. VargheseZonal Head-Corporate RegistryKarvy Computershare Private LimitedPlot No. 17 to 24,
IN200800KARVY COMPUTERSHARE-4
Mr. P. A. VargheseZonal Head-Corporate RegistryKarvy Computershare Private LimitedPlot No. 17 to 24,
IN200035KARVY COMPUTERSHARE
Mr. P. A. VargheseGeneral ManagerKarvy Computershare Private Limited17 24, Vittalrao Nagar�
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
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MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
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Ms. ANJANA VARGHESECOMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERS,OPPOSITE SARITA THEATER COMPLEX,IN200094
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MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
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MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
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AA- CRISIL DTD 21.10.13
AA- CRISIL DTD 21.10.13
AA- CRISIL DTD 21.10.13
AA-,CRISIL,DT-06-02-2012
AA- ICRA DT-17.02.14
AA- CRISIL DTD 21.10.13
AA- CRISIL DTD 23.08.2013
AA- CRISIL DTD 23.08.2013
AA- CRISIL DTD 23.08.13
AA- ICRA DT-08.05.14
AA- CRISIL DT-06.12.13
AA- CRISIL DT-06.12.13
AA- CRISIL DT-06.12.13
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IN200094LINK INTIME INDIA PRIVATE LIMITED
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MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
AA- ICRA DT-17.02.14
AA- ICRA DT-17.02.14
AA- ICRA DT-17.02.14
AA- CRISIL DTD 21.10.13
AA- CRISIL DTD 21.10.13
AA- CRISIL DTD 21.10.13
AA- ICRA DT-08.05.14
AA- ICRA DT-08.05.2014
AA- ICRA DT-08.05.14
AA-,CRISIL DT 25/07/2011
AA-,CRISIL DT 25/07/2011
AA- CRISIL DTD 23.08.2013
AA- CRISIL DTD 23.08.2013
AA- CRISIL DTD 23.08.2013
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MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President-Depository OperationsLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,IN200094
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Mr. Ganesh JadhavAsst. Vice President-Depository OperationsLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President-Depository OperationsLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
IN200094LINK INTIME INDIA PRIVATE LIMITED
Ms. ANJANA VARGHESECOMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERS,OPPOSITE SARITA THEATER COMPLEX,IN200094
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Ms. ANJANA VARGHESECOMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERS,OPPOSITE SARITA THEATER COMPLEX,IN200094
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Ms. ANJANA VARGHESECOMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERS,OPPOSITE SARITA THEATER COMPLEX,
AA- CRISIL DTD 14.08.2012
AA- CRISIL DTD 14.08.2012
AA,CRISIL,DT-29-11-2011
AA- CRISIL DT-06.12.13
AA- CRISIL DT-06.12.13
AA- CRISIL DT-06.12.13
AA- ICRA DT-17.02.14
AA- ICRA DT-17.02.14
AA- ICRA DT-17.02.14
AA-,CRISIL,DT-06-02-2012
AA- ICRA DT-08.05.14
AA- ICRA DT-08.05.14
AA- ICRA DT-08.05.14
AA,CRISIL,DT-29-11-2011
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
AA-,CRISIL,DT-06-02-2012
AA,ICRA,DT-29-03-2011
AA- CRISIL DTD 14.08.2012
AA- CRISIL DTD 21.10.13
AA- CRISIL DTD 21.10.13
AA- CRISIL DTD 21.10.13
AA- CRISIL DTD 23.08.2013
AA- CRISIL DTD 23.08.2013
AA- CRISIL DTD 23.08.2013
AA- CRISIL DT-06.12.13
AA- CRISIL DT-06.12.13
AA- CRISIL DT-06.12.13
AA- ICRA DT-17.02.14
AA- ICRA DT-17.02.14
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President-Depository OperationsLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President-Depository OperationsLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President-Depository OperationsLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,IN200094
LINK INTIME INDIA PRIVATE LIMITED
Ms. ANJANA VARGHESECOMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERS,OPPOSITE SARITA THEATER COMPLEX,IN200094
LINK INTIME INDIA PRIVATE LIMITED
Ms. ANJANA VARGHESECOMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERS,OPPOSITE SARITA THEATER COMPLEX,IN200094
LINK INTIME INDIA PRIVATE LIMITED
Ms. ANJANA VARGHESECOMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERS,OPPOSITE SARITA THEATER COMPLEX,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
AA- ICRA DT-17.02.14
AA- CRISIL DTD 21.10.13
AA- ICRA DT-08.05.14
AA- ICRA DT-08.05.14
AA- ICRA DT-08.05.14
NA
AA- CRISIL DT-06.12.13
AA- ICRA DT-17.02.14
AA- ICRA DT-08.05.14
AA- ICRA DT-26.02.2013
A+,CRISIL
A+,CRISIL
A+,CRISIL,DT-04-03-2011
NA
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President-Depository OperationsLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Ms. ANJANA VARGHESECOMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERS,OPPOSITE SARITA THEATER COMPLEX,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVLink Intime India Private LimitedC-13, Pannalal Silk Mills,Compound,L.B.S marg,Bhandup,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.COMPANY SECRETARYMUTHOOT FINANCE LIMITEDMUTHOOT CHAMBERSOPP. SARITHA THEATRE COMPLEX
IN200264INTEGRATED ENTP. (I) LTD
Mr. Suresh BabuAGMIntegrated Enterprises (India) Ltd.2nd Floor, Kences Towers,No. 1, Ramakrishna Street
IN200264INTEGRATED ENTP. (I) LTD
Mr. Suresh BabuAGMIntegrated Enterprises (India) Ltd.5A, 5th Floor, Kences Towers,No. 1, Ramakrishna Street
IN200264INTEGRATED ENTP. (I) LTD
Mr. Suresh BabuAGMIntegrated Enterprises (India) Ltd.2nd Floor, Kences Towers,No. 1, Ramakrishna Street
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
NA
BB+ IND DT- 18.06.14
BB+ IND DT- 18.06.14
NA
NA
NA
NA
NA
BB+ IND DT- 18.06.14
BB+ IND DT- 18.06.14
BB+ IND DT- 18.06.14
NA
BB+ IND DT- 18.06.14
NA
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRIYA K MENONCOMPANY SECRETARY & COMPLIANCE OFFICERMUTHOOTTU MINI FINANCIERS LTD
IN200529XL SOFTECH SYSTEMS LTD
Mr.R Ram PrasadManagerXL Softech Systems Limited3, Sagar SocietyRoad No. 2, Banjara Hills
NA
AAA,CRISIL,DT-21-06-2011
AAA,CRISIL,DT-20-07-2011
AAA,CRISIL,DT-12-09-2011
AAA,CRISIL,DT-12-09-2011
AAA,CRISIL,DT-12-09-2011
AAA,CRISIL,DT-19-12-201
AAA,CRISIL,DT-16-01-2012
AAA,CRISIL,DT-15-02-2012
IN200529XL SOFTECH SYSTEMS LTD
Mr.R Ram PrasadManagerXL Softech Systems Limited3, Sagar SocietyRoad No. 2, Banjara Hills
SATHGURU MGMT CONSULTANT LTD.IN200352
Mr. R. ChandrashekharSenior Divisional Manager - Capital MarketPlot No. 15, Hindi NagarBehind Shirdi Saibaba Temple
SATHGURU MGMT CONSULTANT LTD.IN200352
Mr. R. ChandrashekharSenior Divisional Manager - Capital MarketSATHGURU MGMT CONSULTANT LTD.
SATHGURU MGMT CONSULTANT LTD.IN200352
Mr. R. ChandrashekharSenior Divisional Manager - Capital MarketSATHGURU MGMT CONSULTANT LTD.
NAGARJUNA INVEST.SER LTD IN200457
Mr. M. Ramakanth SecretaryNAGARJUNA FERTILIZERS AND CHEMICALS LIMITEDNagarjuna Hills, Punjagutta,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. S.VenkatExecutive Director Finance & Company SecretaryNATIONAL AVIATION COMPANY OF INDIA LIMITED
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MS. PADMA RAGHUNATHANGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. V THIRIMALAIAGMNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MS. PADMA RAGHUNATHANGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
AAA CRISIL DTD 15.05.2012
AAA CRISIL DTD 08.06.2012
AAA CRISIL DTD 12.07.2012
AAA CRISIL DTD 12.07.2012
AAA CRISIL DTD 12.07.2012
AAA,CRISIL,DT-16-01-2012
AAA CARE DTD 08.08.2012
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 26/06/2012
AAA CRISIL DTD 21.09.2012
CRISIL AAA ST 26/12/2012
AAA CRISIL DTD 25/02/2013
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MS. PADMA RAGHUNATHANGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MS. PADMA RAGHUNATHANGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. Rohit MisraAsst. Gen ManagerNational Bank for Agriculture & Rural DevelopmentPlot No. C-24, G Block
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. Rohit MisraAsst. Gen ManagerNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
AAA,CRISIL,DT-03-02-2012
AAA,CRISIL,DT-30-05-2011
AAA CRISIL DDT 05.03.2013
AAA,CRISIL,DT-21-06-2011
AAA,CRISIL,DT-20-07-2011
AAA,CRISIL,DT-20-07-2011
AAA CRISIL DT. 15.05.2012
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MS. PADMA RAGHUNATHANGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. Rohit MisraAsst. Gen ManagerNational Bank for Agriculture & Rural DevelopmentPlot No. C-24, G Block
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. V.R. KhusroAsst. General ManagerNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. Rohit MisraAsst. Gen ManagerNational Bank for Agriculture & Rural DevelopmentPlot No. C-24, G Block
COMPUTRONICS FIN SERVIN200658
Mr. E. V. NaiduChief General ManagerNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. E. V. NaiduChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. E. V. NaiduChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. E. V. NaiduChief General ManagerNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
AAA,CRISIL,DT-16-01-2012
AAA CRISIL DTD 26.06.2012
COMPUTRONICS FIN SERVIN200658
Mr. E. V. NaiduChief General ManagerNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
COMPUTRONICS FIN SERVIN200658
Mr. Madan MohanChief General ManagerNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
COMPUTRONICS FIN SERVIN200658
Mr. Madan MohanChief General ManagerNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MS. PADMA RAGHUNATHANGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
AAA CRISIL DTD 15.05.2012
AAA CRISIL DTD 12.02.2013
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. HARISH JAVAGENERAL MANAGERNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
COMPUTRONICS FIN SERVIN200658
Mr. P SatishChief General ManagerRMD Ground Floor, D WingPlot No. C-24 G BlockBandra Kurla Complex
UTI TECHNOLOGY SERVICES LIMITEDIN200631
Mr. S BalanChief General ManagerNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
AAA,CRISIL,DT-28-04-2010
AAA,CRISIL,DT-31-12-201
AAA,CRISIL,28/04/2010
UTI TECHNOLOGY SERVICES LIMITEDIN200631
Mr.Sunil BhoiteAsst.Vice PresidentUTI TECHNOLOGY SERVICES LIMITEDPlot No.3, Sector 11,
UTI TECHNOLOGY SERVICES LIMITEDIN200631
Mr.Swapan KunduAsst.Vice PresidentUTI TECHNOLOGY SERVICES LIMITEDPlot No.3, Sector 11,
UTI TECHNOLOGY SERVICES LIMITEDIN200631
Mr.Sunil BhoiteAsst.Vice PresidentUTI TECHNOLOGY SERVICES LIMITEDPlot No.3, Sector 11,
UTI TECHNOLOGY SERVICES LIMITEDIN200631
Mr.Sunil BhoiteAsst.Vice PresidentUTI TECHNOLOGY SERVICES LIMITEDPlot No.3, Sector 11,
UTI TECHNOLOGY SERVICES LIMITEDIN200631
Mr.Sunil BhoiteAsst.Vice PresidentUTI TECHNOLOGY SERVICES LIMITEDPlot No.3, Sector 11,
UTI TECHNOLOGY SERVICES LIMITEDIN200631
Mr.Sunil BhoiteAsst.Vice PresidentUTI TECHNOLOGY SERVICES LIMITEDPlot No.3, Sector 11,
IN200631UTI INFRASTRUCTURE TECHNOLOGY & SERVICES LTD.
Mr. Sunil BhoiteAssistant ManagerUTI Infrastructure Technology and Services LimitedPlot No.3,
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr. S BalanChief General ManagerNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200631UTI TECHNOLOGY SERVICES LIMITED
Mr.Sunil BhoiteAsst.Vice PresidentUTI TECHNOLOGY SERVICES LIMITEDPlot No.3, Sector 11,
IN200631UTI TECHNOLOGY SERVICES LIMITED
Mr. Sunil BhoiteAssistant ManagerUTI Technology Services LimitedPlot No. 3, Sector 11CBD Belapur
IN200631UTI TECHNOLOGY SERVICES LIMITED
Mr S BalanChief General Manager - FinanceNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
IN200631UTI INFRASTRUCTURE TECHNOLOGY & SERVICES LTD.
Mr. Sunil BhoiteAssistant ManagerUTI Infrastructure Technology and Services LimitedPlot No.3,
AA-,CRISIL DT 25/08/2011
AAA,CRISIL,DT-31-03-2011
AAA,CRISIL,DT-31-03-2011
AAA,CRISIL,DT-31-03-2011
AAA,CRISIL,DT-31-03-2011
AAA,CRISIL,DT-31-03-2011
AAA,CRISIL,DT-31-03-2011
AAA,CRISIL,DT-31-03-2011
AAA,CRISIL,DT-31-03-2011
AAA,CRISIL,DT-31-03-2011
ALANKIT ASSIGNMENTS LTDIN200086
Mr Rajeev ChadhaJt. Director (Finance)1st Floor, Core IVBIndia Habitat CentreLodhi Road,
ALANKIT ASSIGNMENTS LTDIN200086
Mr R.K.KarnaDirector (A & F)1st Floor, Core IVBIndia Habitat CentreLodhi Road,
ALANKIT ASSIGNMENTS LTDIN200086
Mr R.K.KarnaDirector (A & F)1st Floor, Core IVBIndia Habitat CentreLodhi Road,
ALANKIT ASSIGNMENTS LTDIN200086
Mr R.K.KarnaDirector (A & F)NATIONAL CAPITAL REGION PLANNING BOARD1st Floor, Core IVB
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaAsst General ManagerMAS Services Ltd.T-34, 2nd Floor,Okhla Industrial Area
IN200504BEETAL FINAN.AND COMPU.
MR. PUNIT MITTALGENERAL MANAGERBEETAL FINAN.AND COMPU.BEETAL HOUSE, 3 RD FLOOR99, MADANGIR
IN200504BEETAL FINAN.AND COMPU.
MR. PUNIT MITTALGENERAL MANAGERBEETAL FINAN.AND COMPU.BEETAL HOUSE, 3 RD FLOOR99, MADANGIR
IN200504BEETAL FINAN.AND COMPU.
MR. PUNIT MITTALGENERAL MANAGERBEETAL FINAN.AND COMPU.BEETAL HOUSE, 3 RD FLOOR99, MADANGIR
IN200504BEETAL FINAN.AND COMPU.
MR. PUNIT MITTALGENERAL MANAGERBEETAL FINAN.AND COMPU.BEETAL HOUSE, 3 RD FLOOR99, MADANGIR
IN200504BEETAL FINAN.AND COMPU.
MR. PUNIT MITTALGENERAL MANAGERBEETAL FINAN.AND COMPU.BEETAL HOUSE, 3 RD FLOOR99, MADANGIR
IN200504BEETAL FINAN.AND COMPU.
MR. PUNIT MITTALGENERAL MANAGERBEETAL FINAN.AND COMPU.BEETAL HOUSE, 3 RD FLOOR99, MADANGIR
IN200504BEETAL FINAN.AND COMPU.
MR. PUNIT MITTALGENERAL MANAGERBEETAL FINAN.AND COMPU.BEETAL HOUSE, 3 RD FLOOR99, MADANGIR
IN200504BEETAL FINAN.AND COMPU.
MR. PUNIT MITTALGENERAL MANAGERBEETAL FINAN.AND COMPU.BEETAL HOUSE, 3 RD FLOOR99, MADANGIR
IN200504BEETAL FINAN.AND COMPU.
MR. PUNIT MITTALGENERAL MANAGERBEETAL FINAN.AND COMPU.BEETAL HOUSE, 3 RD FLOOR99, MADANGIR
AAA CRISIL DTD 03.04.2012
AAA CRISIL DTD 03.04.2012
AAA CRISIL DTD 03.04.2012
AAA CRISIL DTD 03.04.2012
AAA CRISIL DTD 03.04.2012
AAA CRISIL DTD 03.04.2012
AAA CRISIL DTD 03.04.2012
AAA CRISIL DTD 03.04.2012
AAA CRISIL DTD 03.04.2012
AAA CRISIL DTD 03.04.2012
AAA CRISIL DTD 03.04.12
AAA CRISIL DTD 29.03.2013
AAA CRISIL DTD 29.03.2013
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
Mr. G. SureshDeputy General Manager (F & A)National Highways Authority of IndiaG5 & G6, Sector 10
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
AAA CRISIL DTD 29.03.2013
AAA CRISIL DTD 29.03.2013
AAA CRISIL DTD 29.03.2013
AAA CRISIL DTD 29.03.2013
AAA CRISIL DTD 29.03.201
AAA CRISIL DTD 29.03.2013
AAA CRISIL DTD 29.03.2013
AAA CRISIL DTD 29.03.2013
AAA CRISIL DTD 29.03.2013
AAA CRISIL DTD 29.03.2013
AAA ICRA DT-31.03.14
AAA ICRA DT-31.03.14
AAA(ind)FITCH
AAA- CRISIL
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBeetal Financial & Computers Services Private Ltd.99, Madangiri, Near Dada Harsukh
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBeetal Financial & Computers Services Private Ltd.99, Madangiri, Near Dada Harsukh
IN200424MCS LTD
Mr. Subhabrata BiswasGeneral ManagerMCS Limited, New DelhiF-65, Okhla Industrial AreaOpp. St Judes High School
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
AAA CRISIL DT-16.12.13
AAA CRISIL DT-16.12.13
AAA(ind)FITCH
AAA- CRISIL
AAA CRISIL DT-16.12.13
AAA CRISIL DT-16.12.13
AAA(IND),FITCH
AAA CRISIL DTD 17.08.2012
AAA(IND),FITCH,DT-
AAA,FITCH,DT-12-07-2010
AAA CRISIL DT 18.03.2013
AAA CRISIL DTD 17.04.2013
AAA CRISIL DTD 17.04.2013
AA-(SO) IND
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200424MCS LTD
Mr. Subhabrata BiswasGeneral ManagerMCS Limited, New DelhiF-65, Okhla Industrial AreaOpp. St Judes High School
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYDEPUTY GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYDEPUTY GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYASST. GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYASST. GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYDEPUTY GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYDEPUTY GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYDEPUTY GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYDEPUTY GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
AAA CARE DTD 26.08.13
AAA CRISIL DTD 26.08.13
AAA CRISIL DTD 03.12.2012
CRISL AAA DT 03/12/2012
AAA CRISIL DT-18.03.2013
AAA CRISIL DT-20.02.2013
AAA CRISIL DTD 05.02.2013
AAA CRISIL DT-26.08.2013
AAA CARE DT-10.12.2013
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYDEPUTY GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYDEPUTY GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
BEETAL FINAN.AND COMPU.IN200504
Mr K ChakravarthyAsst General ManagerCore 5A, 3rd FloorIndia Habitat CentreLodhi Road
BEETAL FINAN.AND COMPU.IN200504
Mr K ChakravarthyAsst General ManagerCore 5A, 3rd FloorIndia Habitat CentreLodhi Road
BEETAL FINAN.AND COMPU.IN200504
Mr. Ramesh GuptaDirectorMrs. Saroj GuptaDirectorMr. Punit Mittal
BEETAL FINAN.AND COMPU.IN200504
Mr. Ramesh GuptaDirectorMrs. Saroj GuptaDirectorMr. Punit Mittal
Beetal Financial & Computer Services. (IN200504)
Mr. Ramesh GuptaDirectorMrs. Saroj GuptaDirectorMr. Punit Mittal
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYDEPUTY GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
IN200504BEETAL FINAN.AND COMPU.
Mr. V. K. JayaramanAsst. General ManagerKarvy Computershare Pvt. Ltd.Karvy House , #46, Avenue 4Street No. 1, Banjara Hills
IN200504BEETAL FINAN.AND COMPU.
MR K CHAKRAVARTHYASST GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD FLOORINDIA HABITAT CENTRE
IN200035KARVY COMPUTERSHARE
Mr K ChakravarthyAsst General ManagerNATIONAL HOUSING BANKCore 5A, 3rd FloorIndia Habitat Centre
IN200504BEETAL FINAN.AND COMPU.
MR.K.CHAKRAVARTHYDEPUTY GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD - 5TH FLOORLODHI ROAD
IN200035KARVY COMPUTERSHARE
MR K CHAKRAVARTHYASST GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD FLOORINDIA HABITAT CENTRE
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
AAA CARE DT-10.12.2013
AAA CARE DT-19.02.2014
AAA CARE DT-19.02.2014
AAA CRISIL DT-26.08.2013
AAA CARE DT-10.12.2013
AAA CARE DT-10.12.2013
AAA CARE DT-19.02.2014
AAA CARE DT-19.02.2014
AAA CARE DT-10.12.2013
AAA CARE DT-10.12.2013
AAA CARE DT-19.02.2014
AAA CARE DT-19.02.2014
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
Beetal Financial & Computer Services. (IN200504)
Mr. Ramesh GuptaDirectorMrs. Saroj GuptaDirectorMr. Punit Mittal
Beetal Financial & Computer Services. (IN200504)
Mr. Ramesh GuptaDirectorMrs. Saroj GuptaDirectorMr. Punit Mittal
IN200035KARVY COMPUTERSHARE
MR K CHAKRAVARTHYASST GENERAL MANAGERNATIONAL HOUSING BANKCORE 5A, 3RD FLOORINDIA HABITAT CENTRE
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTDPLOT NO 17-24,24 VITHALRAO NAGAR
MCS Limited(IN200424) Same as above
MCS Limited(IN200424) Same as above
MCS Limited(IN200424)
MCS Limited(IN200424) Same as above
RCMC SHARE REGISTRYIN200301
Mr. Jayant Kumar,Senior Manager(Finance & Accounts),National Hydroelectric Power Corporation,
RCMC SHARE REGISTRYIN200301
Mr. Jayant Kumar,Senior Manager(Finance & Accounts),National Hydroelectric Power Corporation,
RCMC SHARE REGISTRYIN200301
Mr. Jayant Kumar,Senior Manager(Finance & Accounts),National Hydroelectric Power Corporation,
RCMC SHARE REGISTRYIN200301
Mr. Jayant Kumar,Senior Manager(Finance & Accounts),National Hydroelectric Power Corporation,
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorAB-4,Safdarjung Enclave
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorAB-4,Safdarjung Enclave
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorAB-4,Safdarjung Enclave
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorAB-4,Safdarjung Enclave
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorAB-4,Safdarjung Enclave
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorAB-4,Safdarjung Enclave
Mr.S.P. Bansal,Asst.Vice President,MCS Limited,Sri Venkatesh Bhavan,212 -A,Shahpurjat,
NA
NA
NA
A+ (SO)CARE DT- 10.03.14
NA
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorAB-4,Safdarjung Enclave
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorAB-4,Safdarjung Enclave
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorAB-4,Safdarjung Enclave
MCS LTD IN200424
Mr.S.P. Bansal,Asst.Vice President,MCS Limited,Sri Venkatesh Bhavan,212 -A,Shahpurjat,
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorAB-4,Safdarjung Enclave
MCS LTD IN200424
Mr.S.P. Bansal,Asst.Vice President,MCS Limited,Sri Venkatesh Bhavan,212 -A,Shahpurjat,
MAS SERVICES IN200133
Mr. N. RastogiDirectorMAS Services Pvt. Ltd.AB-4, Safdarjung Enclave New Delhi 110 029
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.
IN200086ALANKIT ASSIGNMENTS LTD
MR. JITENDRA PRASADSR. MANAGER - FINANCENAVJYOTI OVERSEAS PRIVATE LIMITEDUGF,VANDAN BUILDING,
CAMEO CORPORATE SERVICES LTDIN200176
Mr. D. P. ParijaCompany SecretaryIPICOL House, 4th FloorJanapath, Saheed NagarBhubaneswar – 751 022
CAMEO CORPORATE SERVICES LTDIN200176
Mr. D. P. ParijaCompany SecretaryIPICOL House, 4th FloorJanapath, Saheed NagarBhubaneswar – 751 022
IN200176CAMEO CORPORATE SERV LTD
MR. DURGA PRASAD PARIJACOMPANY SECRETARYNEELACHAL ISPAT NIGAM LIMITED1ST FLOOR, ANNEXE BUILDING,IPICOL HOUSE, JANAPATH,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DEEPAK SHAHCHIEF FINANCIAL OFFICENEELKANTH MANSIONS AND INFRASTRUCTURE PVT LTDFINE HOUSE, 5TH FLOOR,
BRICKWORK RATING PVT.LTD.
BWR BB(SO),BRICKWORKS.
NA
NA
AAA CARE DT 27.09.13
AAA CARE DT 27.09.13
AAA CARE DT 27.09.13
AAA CARE DT 27.09.13
AAA CARE DT 27.09.13
AAA CARE DT 27.09.13
AAA(ind)(exp) FITCH 23.01
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairChief ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. Esta
IN200117BIGSHARE SERVICES
Mr. Babu Rapheal CSr. ManagerBigshare Services Pvt. Limited,E-2/3, Ansa Industrial EstateSaki Vihar Road, Sakinaka
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr. Arvind Kumar GuptaManaging DirectorPlot No. X-22, 23 & 24G. I. D. C. Electronics Estate,Sector-25, Gandhinagar
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. SIDDHI SHAHCOMPANY SECRETARYNEPTUNE DEVELOPERS LIMITEDNEPTUNE HOUSEKARMA STAMBH BUILDING
IN200393SHAREX
MR. MAYANK SHAHAUTHORISED SIGNATORYNEPTUNE REALTORS PRIVATE LIMITEDNEPTUNE HOUSE, 3RD FLOOR,
Sharex Dynamic (India) Pvt. Ltd.IN200393
MS. SIDDHI SHAHASST. COMPANY SECRETARYNEPTUNE REALTORS PRIVATE LIMITEDNEPTUNE HOUSE, KARMA STAMBH BUILDINGINTEGRATED ENTP. (I) LTD
IN200264Mr. K. VishwanathCompany SecretaryChairman’s SecretariatCorporate OfficeBlock-1, Neyveli 607 801
IN200800KARVY COMPUTERSHARE-4
MR. GANAPATHY SUBRAMANIAMVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO 17-24
IN200800KARVY COMPUTERSHARE-4
MR. GANAPATHY SUBRAMANIAMVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO 17-24
IN200800KARVY COMPUTERSHARE-4
MR. GANAPATHY SUBRAMANIAMVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO 17-24
IN200800KARVY COMPUTERSHARE-4
MR. GANAPATHY SUBRAMANIAMVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO 17-24
IN200800KARVY COMPUTERSHARE-4
MR. GANAPATHY SUBRAMANIAMVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO 17-24
IN200800KARVY COMPUTERSHARE-4
MR. GANAPATHY SUBRAMANIAMVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO 17-24
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA(ind)(exp) FITCH 23.01
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
AAA(ind)(exp) FITCH 23.01
AAA,FITCH, DT-07-09-2011
AAA(ind)(exp) FITCH 23.01
AA CRISIL DTD 22.04.2013
AA CRISIL DTD 22.04.2013
AA CRISIL DTD 22.04.2013
AA CRISIL DTD 22.04.2013
AA CRISIL DTD 22.04.2013
NA
NA
NA
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited NHPC Office Complex,Sector 33, Faridabad
IN200301RCMC SHARE REGISTRY
Mr. Vijay GuptaCompany SecretaryNHPC Limited (National Hydroelectric Power Corporation Ltd)
RCMC SHARE REGISTRY PVT. LTD.IN200301
Mr. Vijay GuptaCompany SecretaryNHPC LIMITED (NATIONAL HYDROELECTRIC POWER CORPORATION LTD)
ALANKIT ASSIGNMENTS LTDIN200086
Mr. Praveen JainCompany Secretary85,Sector 32Gurgaon - 122001
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
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SHAREPRO SERVICES (INDIA) PVT.LTD
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SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITED13 A B SAMHITA COMPLEX, 2nd FLOOR,IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
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SHAREPRO SERVICES (INDIA) PVT.LTD
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IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SIMANT PRADHANCHIEF FINANCIAL OFFICERNIRMAL LIFESTYLE LIMITED3 RD FLOOR,MULTIPLEX BUILDING,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SIMANT PRADHANCHIEF FINANCIAL OFFICERNIRMAL LIFESTYLE LIMITED3 RD FLOOR,MULTIPLEX BUILDING,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SIMANT PRADHANCHIEF FINANCIAL OFFICERNIRMAL LIFESTYLE LIMITED3 RD FLOOR,MULTIPLEX BUILDING,
BB+(SO) CRISIL DT-5.5.14
NA
BB CARE DT-04.04.14
PP-MLD AAAemr(IND),FITCH,
AAA(emr)(ind)FITCH,15-4-1
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AAA(emr)(ind)FITCH,
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AAA(emr)(ind)FITCH,30-5-1
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IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SIMANT PRADHANCHIEF FINANCIAL OFFICERNIRMAL LIFESTYLE LIMITED3 RD FLOOR,MULTIPLEX BUILDING,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
KARVY COMPUTERSHARE PVT. LTD.IN200035
Ms. Monisha MacedoVice President & Company Secretary/Secretarial DepNoida Toll Bridge Company Ltd.C/O. IL & FS, India Habitat Centre
Karvy Consultants Limited (BP Id IN200035).
Mr. V. MaheshVice PresidentKarvy Consultants Limited46 Avenue 4, Street No. 1Banjara Hills
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
PP-MLD AAAemr(ind) FITCH,DT 14.12.2011
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
AAA(emr)(ind)FITCH,23-6-1
AAA(emr)(ind)FITCH,8-7-11
AAA(emr)(ind)FITCH,18-7-1
AAA(emr)(ind)FITCH,21-9-1
AAA(emr)(ind)FITCH,27-9-1
AAA(emr)(ind)FITCH,04-10-
PP-MLD AAAemr IND 2.5.13
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PP-MLD AAAemr INDIARATIN
PP-MLD AAAemr INDIARATIN
AAA IND DT-19.02.14
AAA IND DT-19.02.14
NA
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. MUKESH JOLLYINVESTOR RELATIONS OFFICERNOMURA CAPITAL (INDIA) PRIVATE LIMITEDCEEJAY HOUSE, LEVEL 11
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
AA-,ICRA DT 29/11/2011
AA- ICRA DTD 29.11.2011
AA- ICRA DTD 26.02.2013
IN200328MCS,KOLKATA
MS.CATHLEEN RUPA RANEESENIOR MANAGER-FINANCENORTH EASTERN ELECTRIC POWER CORPORATION LIMITEDBROOKLAND COMPOUND,
IN200328MCS,KOLKATA
MS.CATHLEEN RUPA RANEESENIOR MANAGER-FINANCENORTH EASTERN ELECTRIC POWER CORPORATION LIMITEDBROOKLAND COMPOUND,
IN200328MCS,KOLKATA
MS.CATHLEEN RUPA RANEESENIOR MANAGER-FINANCENORTH EASTERN ELECTRIC POWER CORPORATION LIMITEDBROOKLAND COMPOUND,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
NA
NA
NA
NA
AAA,CRISIL,DT-28-05-2010
AAA,CRISIL,DT-28-05-2010
AAA,CRISIL,DT28-05-2010
AAA,CRISIL,DT-28-05-2010
AAA, CRISIL,DT-12/01/2011
AAA,CRISIL,DT-28-05-2011
AAA,CRISIL,DT-28-05-2010
AAA,CRISIL,DT-28-05-2010
AAA CRISIL DTD 08.11.13
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
MR. P A VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDKARVY HOUSE, 46, AVENUE 4,
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr.Punit MittalGeneral ManagerBeetal Financial and Computer Services Limited99, Madangiri
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
AAA CRISIL DTD 08.11.13
AAA,CRISIL,DT-28-05-2010
AAA CRISIL DTD 19.02.14
AAA,CRISIL,DT-28-05-2010
AAA,CRISIL,DT-28-05-2011
AAA,CRISIL,DT-28-05-2011
AAA,CRISIL,DT-28-05-2010
AAA CRISIL DTD 08.11.13
AAA CRISIL DTD 08.11.13
AAA,CRISIL,DT-28-05-2010
AAA CRISIL DTD 19.02.14
AAA,CRISIL,DT-28-05-2010
AAA,CRISIL,DT-28-05-2010
AAA CRISIL DTD 08.11.13
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. S.P. GuptaVice PresidentBeetal Financial & Computer Services Pvt. LimitedBeetal House, 3rd Floor,
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. S.P. GuptaVice PresidentBeetal Financial & Computer Services Pvt. LimitedBeetal House, 3rd Floor,
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
AAA CRISIL DTD 08.11.13
AAA CRISIL DTD 19.02.14
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 20.09.2012
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 22.03.2013
AAA CRISIL DTD 20.02.2013
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 23.04.2012
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200504BEETAL FINAN.AND COMPU.
Mr. S.P. GuptaVice PresidentBeetal Financial & Computer Services Pvt. LimitedBeetal House, 3rd Floor,
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 23.04.2012
AAA CRISIL DTD 23.04.2012
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. Pawan PunianiManager (Finance/Bond)NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. Pawan PunianiManager (Finance/Bond)NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. Pawan PunianiManager (Finance/Bond)NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. Pawan PunianiManager (Finance/Bond)NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. Pawan PunianiManager (Finance/Bond)NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. Pawan PunianiManager (Finance/Bond)NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. Pawan PunianiManager (Finance/Bond)NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. Pawan PunianiManager (Finance/Bond)NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBeetal House, 3 rd Floor99, MadangirNear Dada Harsukhdas Mandir
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
MAS SERVICES LTD.IN200133
Mr.Narender RastogiManaging DirectorAB-4,Safdarjung EnclaveNew Delhi-110029
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. Pawan PunianiManager (Finance/Bond)NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBeetal House, 3 rd Floor99, MadangirNear Dada Harsukhdas Mandir
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
AAA CRISIL DTD 23.04.201
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
MAS SERVICES LTD.IN200133
Mr. Pawan PunianiManager (Finance/Bond)NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBeetal House, 3 rd Floor99, MadangirNear Dada Harsukhdas Mandir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr. Pawan PunianiManager (Finance/Bond)NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
MAS SERVICES LTD.IN200133
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
MAS SERVICES LTD.IN200133
Mr.Narender RastogiDirectorMAS SERVICES LTD.AB-4,Safdarjung Enclave
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
AAA CRISIL DTD 23-04-2012
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 19.02.14
AAA CRISIL DTD 23-04-2012
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBeetal House, 3 rd Floor99, MadangirNear Dada Harsukhdas Mandir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. S.P. GuptaVice PresidentBeetal Financial & Computer Services Pvt. LimitedBeetal House, 3rd Floor,
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 23-04-2012
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 23-04-2012
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 23-04-2012
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 23.04.2012
AAA,CRISIL,DT-23-05-2010
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-23-05-2011
AAA,CRISIL,DT-19-12-2011
AAA CRISIL DTD 23.04.201
AAA CARE DT-21.02.2013
AAA CARE DT-21.02.2013
AAA CARE DT-21.02.2013
AAA CRISIL DT 27.12.13
AAA CRISIL DT 27.12.13
AAA CRISIL DT 27.12.13
AAA CRISIL DT 27.12.13
AAA CRISIL DT 27.12.13
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
TSR DARASHAW LIMITEDIN200125
Ms. S. R. BilimoriaSenior Manager6-10HAJI MOOSA PATRAWA INDUSTRIAL ESTATE
TSR DARASHAW LIMITEDIN200125
Ms. S. R. BilimoriaSenior Manager6-10HAJI MOOSA PATRAWA INDUSTRIAL ESTATE
IN200125TSR DARASHAW PRIVATE LIMITED
Ms. S. R. BilimoriaSenior ManagerTSR DARASHAW LIMITED6-10 HAJI MOOSA PATRAWA INDUSTRIAL E
IN200125TSR DARASHAW PRIVATE LIMITED
Ms. S. R. BilimoriaSenior ManagerTSR DARASHAW LIMITED6-10 HAJI MOOSA PATRAWA INDUSTRIAL E
IN200125TSR DARASHAW PRIVATE LIMITED
Ms. S. R. BilimoriaSenior ManagerTSR DARASHAW LIMITED6-10 HAJI MOOSA PATRAWA INDUSTRIAL E
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services LimitedBeetal House, 3rd Floor
NA
NA
NA
NA
NA
NA
NA
NA
TSRL IN200125
Ms. Nandini NairManagerTata Share Registry LimitedArmy & Navy Building148, Mahatma Gandhi Road
TSRL IN200125
Ms. Nandini NairManagerTata Share Registry LimitedArmy & Navy Building148, Mahatma Gandhi Road
TSRL IN200125
Ms. Nandini NairManagerTata Share Registry LimitedArmy & Navy Building148, Mahatma Gandhi Road
TSRL IN200125
Ms. Nandini NairManagerTata Share Registry LimitedArmy & Navy Building148, Mahatma Gandhi Road
TSRL IN200125
Ms. Nandini NairManagerTata Share Registry LimitedArmy & Navy Building148, Mahatma Gandhi Road
TSRL IN200125
Ms. Nandini NairManagerTata Share Registry LimitedArmy & Navy Building148, Mahatma Gandhi Road
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.
IN200800KARVY COMPUTERSHARE-4
Mr. P. A. VargheseGeneral ManagerKarvy Computershare Private LimitedPlot No. 17 to 24,
IN200800KARVY COMPUTERSHARE-4
Mr. P. A. VargheseGeneral ManagerKarvy Computershare Private LimitedPlot No. 17 to 24,
IN200800KARVY COMPUTERSHARE-4
Mr. P. A. VargheseGeneral ManagerKarvy Computershare Private LimitedPlot No. 17 to 24,
IN200248INTEGRATED ENTP.(I) LTD, BANGALORE
Mr. S. VijayagopalAssistant Vice PresidentIntegrated Enterprises (India) LimitedNo. 30, Ramana Residency
NA
NA
NA
B ICRA DT-26.12.2013
NA
NA
AA+ CARE DTD 09.11.2012
CB MGMT SERV PVT. LTDIN200221
Ms. Rachana GoriaCompany SecretaryB-47, Connaught Place,New Delhi - 110 001
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VIRAJ PANCHALCOMPANY SECRETARYOMKAR REALTORS & DEVELOPERS PVT LTDOMKAR HOUSE,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VIRAJ PANCHALCOMPANY SECRETARYOMKAR REALTORS & DEVELOPERS PVT LTDOMKAR HOUSE, OFF EASTERN EXPRESSIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. VIRAJ PANCHALCOMPANY SECRETARYOMKAR REALTORS & DEVELOPERS PVT LTDOMKAR HOUSE,
KARVY COMPUTERSHARE PVT LTD.-4IN200800
Mr. V.SreedherCompany SecretaryONGC VIDESH LIMITED601, 'Kailash'26 Kasturba Building,
KARVY COMPUTERSHARE PVT LTD.-4IN200800
Mr. V.SreedherCompany SecretaryONGC VIDESH LIMITED4th Floor, Kailash Building26 Kasturba Building,
IN200800KARVY COMPUTERSHARE-4
Mr. P A VargheseGeneral ManagerKarvy Computershare Private LimitedPlot No. 17-24,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SHIVRATAN R. SONICOMPANY SECRETARY & COMPLIANCE OFFICERORBIT CORPORATION LIMITED165, THE VEIW,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SHIVRATAN R. SONICOMPANY SECRETARY & COMPLIANCE OFFICERORBIT CORPORATION LIMITED165, THE VEIW,
MCS LTDIN200424
Mr. Rajiv MadhokGeneral ManagerORIENTAL BANK OF COMMERCEE-block, Harsha BhavanConnaught place
MCS LTDIN200424
Mr. A. SubramanianGeneral ManagerE-block, Harsha BhavanConnaught placeNew Delhi- 110001
MCS LTDIN200424
Mr. A. SubramanianGeneral ManagerORIENTAL BANK OF COMMERCEE-block, Harsha BhavanConnaught place
IN200424MCS LTD
Mr. A. SubramanianGeneral ManagerORIENTAL BANK OF COMMERCEE-block, Harsha BhavanConnaught place
MCS LTDIN200424
Mr. V.K.KambojGeneral Manager (MBD)E-block, Harsha BhavanConnaught placeNew Delhi- 110001
AA-,ICRA DT 27/11/2011
NA
NA
NA
NA
NA
NA
NA
NA
B+ ICRA DTD 03.10.2013
MCS LTDIN200424
Mr. C.M.KhuranaGeneral ManagerORIENTAL BANK OF COMMERCEE-block, Harsha BhavanConnaught place
MCS LTDIN200424
Mr. Vikram KochharGeneral Manager (MBD)ORIENTAL BANK OF COMMERCEE-block, Harsha BhavanConnaught place
MCS LTDIN200424
Mr. C.M.KhuranaGeneral ManagerORIENTAL BANK OF COMMERCEE-block, Harsha BhavanConnaught place
MCS LTDIN200424
Mr. A. SubramanianGeneral ManagerORIENTAL BANK OF COMMERCEE-block, Harsha BhavanConnaught place
IN200264INTEGRATED ENTP. (I) LTD
MR.SURESH BABU KVICE PRESIDENTINTEGRATED ENTP. (I) LTD2ND FLOOR , KENCES TOWERS,NO 1, RAMAKRISHNA STREET,
IN200432SKYLINE FIN.SERV PVT LTD
MR. VIRENDER RANAVICE PRESIDENTSKYLINE FINANCIAL SERVICES PRIVATE LTD.D-153A, 1ST FLOOR
IN200432SKYLINE FIN.SERV PVT LTD
MR. VIRENDER RANAVICE PRESIDENTSKYLINE FINANCIAL SERVICES PRIVATE LTD.D-153A, 1ST FLOOR
IN200432SKYLINE FIN.SERV PVT LTD
MR. VIRENDER RANAVICE PRESIDENTSKYLINE FINANCIAL SERVICES PRIVATE LTD.D-153A, 1ST FLOOR
IN200432SKYLINE FIN.SERV PVT LTD
MR. VIRENDER RANAVICE PRESIDENTSKYLINE FINANCIAL SERVICES PRIVATE LTD.D-153A, 1ST FLOOR
IN200432SKYLINE FIN.SERV PVT LTD
MR. VIRENDER RANAVICE PRESIDENTSKYLINE FINANCIAL SERVICES PRIVATE LTD.D-153A, 1ST FLOOR
IN200432SKYLINE FIN.SERV PVT LTD
MR. VIRENDER RANAVICE PRESIDENTSKYLINE FINANCIAL SERVICES PRIVATE LTD.D-153A, 1ST FLOOR
IN200432SKYLINE FIN.SERV PVT LTD
MR. VIRENDER RANAVICE PRESIDENTSKYLINE FINANCIAL SERVICES PRIVATE LTD.D-153A, 1ST FLOOR
IN200432SKYLINE FIN.SERV PVT LTD
MR. VIRENDER RANAVICE PRESIDENTSKYLINE FINANCIAL SERVICES PRIVATE LTD.D-153A, 1ST FLOOR
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virender Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor,
NA
NA
NA
BB+(SO) CARE DT- 06/05/14
BBB+(SO) ICRA DT-25.03.14
AAA/so CRISIL DT 31.03.13
A,CARE DT 21/04/2011
A CARE DTD 31/12/2012
AA ICRA
AA ICRA
NA
NA
NA
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
MR. P A VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDKARVY HOUSE, 46, AVENUE 4,
IN200800KARVY COMPUTERSHARE-4
MR. P A VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDKARVY HOUSE, 46, AVENUE 4,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITED13 A B SAMHITA COMPLEX, 2nd FLOOR,IN200125
TSR DARASHAW PRIVATE LIMITEDMR. CHETAN NAGECOMPANY SECRETARYPANATONE FINVEST LIMITEDBOMBAY HOUSE,24 HOMI MODY STREET,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOC13. pannalal Silk Mills CompoundL.B.S Marg,Bhandup West
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavLink Intime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President-Depository OperationsLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MS. GEETIKA ANANDCOMPANY SECRETARYPANTALOONS FASHION AND RETAIL LIMITED701-704, 7TH FLOOR,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. GEETIKA ANANDCOMPANY SECRETARYPANTALOONS FASHION AND RETAIL LIMITED701-704, 7TH FLOOR,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.
NA
AA, CARE,DT-08/10/2010
AA, CARE,DT-08/10/2010
NA
NA
NA
BB- BWR DT 15.11.13
NA
CARE
CARE
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.
TSR DARASHAW LIMITEDIN200125
Mr Prasad VaikulFinance ManagerPAREKH ALUMINEX LIMITEDG-8 , Everest Bulding,8th Floor,Tardeo,
TSR DARASHAW LIMITEDIN200125
MS. VIDYA BRAHMEMANAGERTSR DARASHAW LIMITED6-10HAJI MOOSA PATRAWALA INDL. ESTATEIN200125
TSR DARASHAW LIMITEDMS. VIDYA BRAHMEMANAGERTSR Darashaw Limited6-10Haji Moosa Patrawala Ind. Est
TSR DARASHAW LIMITEDIN200125
Mr Prasad VaikulFinance ManagerPAREKH ALUMINEX LIMITEDG-8 , Everest Bulding,8th Floor,Tardeo,
TSR DARASHAW LIMITEDIN200125
Mr Prasad VaikulFinance ManagerPAREKH ALUMINEX LIMITEDG-8 , Everest Bulding,8th Floor,Tardeo,
IN200125TSR DARASHAW LIMITED
MS. VIDYA BRAHMEMANAGERTSR Darashaw Limited6-10Haji Moosa Patrawala Ind. Est
IN200125TSR DARASHAW PRIVATE LIMITED
MS. VIDYA BRAHMEMANAGERTSR DARASHAW LIMITED6-10 HAJI MOOSA PATRAWALA INDL. ESTA
IN200125TSR DARASHAW PRIVATE LIMITED
MS. VIDYA BRAHMEMANAGERTSR DARASHAW LIMITED6-10 HAJI MOOSA PATRAWALA INDL. ESTA
IN200125TSR DARASHAW PRIVATE LIMITED
MS. VIDYA BRAHMEMANAGERTSR DARASHAW LIMITED6-10 HAJI MOOSA PATRAWALA INDL. ESTA
IN200607ADROIT CORPORATE SER.
Mr. Sadashiv S ShettyDirectorAdroit Corporate Services Private Limited19 Jaferbhoy Industrial Estate
IN200607ADROIT CORPORATE SER.
MR. SADASHIV SHETTYMANAGING DIRECTORADROIT CORPORATE SERVICES PVT LTD17/20, JAFERBHOY INDL. ESTATE,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITED
C CARE DT-06.12.2013
NA
NA
NA
NA
NA
NA
NA
BWR, DT-11.12.2012
BWR
CARE AA,06/07/2011
AA,CARE,DT-07-02-2011
CARE AA,06/07/2011
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SAURABH TANEJACOMPANY SECRETARYPARSVNATH ESTATE DEVELOPERS PVT LTDPARSVNATH METRO TOWER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. SAURABH TANEJACOMPANY SECRETARYPARSVNATH ESTATE DEVELOPERS PRIVATE LIMITEDPARSVNATH METRO TOWER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. SAURABH TANEJACOMPANY SECRETARYPARSVNATH ESTATE DEVELOPERS PRIVATE LIMITEDPARSVNATH METRO TOWER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. SAURABH TANEJACOMPANY SECRETARYPARSVNATH ESTATE DEVELOPERS PRIVATE LIMITEDPARSVNATH METRO TOWER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. SAURABH TANEJACOMPANY SECRETARYPARSVNATH ESTATE DEVELOPERS PRIVATE LIMITEDPARSVNATH METRO TOWER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAHUL KWATRACOMPANY SECRETARYPARSVNATH LANDMARK DEVELOPERS PVT. LIMITEDPARSVNATH METRO TOWER
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SANJIV KUMAR JAINDIRECTORPARSVNATH PROMOTERS AND DEVELOPERS PRIVATE LIMITEDPARSVNATH METRO TOWER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SANJIV KUMAR JAINDIRECTORPARSVNATH PROMOTERS AND DEVELOPERS PRIVATE LIMITEDPARSVNATH METRO TOWER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KUMAR JAINDIRECTORPARSVNATH RAIL LAND PROJECT PRIVATE LIMITEDPARSVNATH METRO TOWER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. VIPUL KUMAR GOELCOMPANY SECRETARYPARSVNATH RAIL LAND PROJECT PRIVATE LIMITEDPARSVANATH METRO TOWER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVINTIME SPECTRUM REGISTRY LTD.C13. PANNALAL SILK MILLS COMPOUNDL.B.S MARG,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVINTIME SPECTRUM REGISTRY LTD.C13. PANNALAL SILK MILLS COMPOUNDL.B.S MARG,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVINTIME SPECTRUM REGISTRY LTD.C13. PANNALAL SILK MILLS COMPOUNDL.B.S MARG,
AA,CARE,DT-07-02-2011
CARE AA,06/07/2011
A+ CARE DTD 14.06.2012
AAA CARE
AAA CARE
AAA CARE
AAA CARE
AAA CARE
AAA CARE
AA- BRICKWKS 22.10.13
AA-BRICKWKS 22.10.13
AA-BRICKWKS 22.10.13
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVINTIME SPECTRUM REGISTRY LTD.C13. PANNALAL SILK MILLS COMPOUNDL.B.S MARG,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVINTIME SPECTRUM REGISTRY LTD.C13. PANNALAL SILK MILLS COMPOUNDL.B.S MARG,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Ms Sobha ShettyCompany SecretaryPatel Estate RoadJogeshwari (West)Mumbai 400 102
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President-Depository OperationsLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,IN200117
BIGSHARE SERVICESMR. PRAKASH KHARESENIOR MANAGERBIGSHARE SERVICES LTDE-2/3, ANSA INDUSTRIAL ESTAESAKI VIHAR ROAD,
IN200117BIGSHARE SERVICES
MR. PRAKASH KHARESENIOR MANAGERBIGSHARE SERVICES LTDE-2/3, ANSA INDUSTRIAL ESTAESAKI VIHAR ROAD,
IN200117BIGSHARE SERVICES
MR. PRAKASH KHARESENIOR MANAGERBIGSHARE SERVICES LTDE-2/3, ANSA INDUSTRIAL ESTAESAKI VIHAR ROAD,
IN200117BIGSHARE SERVICES
MR. PRAKASH KHARESENIOR MANAGERBIGSHARE SERVICES LTDE-2/3, ANSA INDUSTRIAL ESTAESAKI VIHAR ROAD,
IN200117BIGSHARE SERVICES
MR. PRAKASH KHARESENIOR MANAGERBIGSHARE SERVICES LTDE-2/3, ANSA INDUSTRIAL ESTAESAKI VIHAR ROAD,
IN200117BIGSHARE SERVICES
MR. PRAKASH KHARESENIOR MANAGERBIGSHARE SERVICES LTDE-2/3, ANSA INDUSTRIAL ESTAESAKI VIHAR ROAD,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
IN200264INTEGRATED ENTP. (I) LTD
MR. S OBUL REDDYCHIEF EXECUTIVE OFFICERPCR INVESTMENTS LIMITEDG BLOCK, THIRD FLOOR,ALI TOWERS,
IN200264INTEGRATED ENTP. (I) LTD
MR. S OBUL REDDYCHIEF EXECUTIVE OFFICERPCR INVESTMENTS LIMITEDG BLOCK, THIRD FLOOR,ALI TOWERS,
IN200264INTEGRATED ENTP. (I) LTD
MR. S OBUL REDDYCHIEF EXECUTIVE OFFICERPCR INVESTMENTS LIMITEDG BLOCK, THIRD FLOOR,ALI TOWERS,
AA- BRICKWKS 22.10.13
NA
A ICRA DTD 23.09.13
A ICRA DTD 23/09/2013
A ICRA DTD 23/09/2013
A ICRA DTD 23/09/2013
A ICRA DTD 23/09/2013
A ICRA DTD 18.06.2012
A ICRA DTD 02.11.2012
A ICRA DTD 02/11/2012
A ICRA DTD 18.06.2012
A ICRA DTD 02/11/2012
A ICRA DTD 02/11/2012
A ICRA DTD 02.11.2012
IN200264INTEGRATED ENTP. (I) LTD
MR. S OBUL REDDYCHIEF EXECUTIVE OFFICERPCR INVESTMENTS LIMITEDG BLOCK, THIRD FLOOR,ALI TOWERS,
IN200117BIGSHARE SERVICES
MR. R. K. MALHOTRAVP FINANCEPEBBLE BAY DEVELOPERS PRIVATE LIMITEDRAHEJA CHAMBERS,
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
A ICRA DTD 02/11/2012
A ICRA, A BWR
A ICRA DTD 18.06.2012
A ICRA DTD 02/11/2012
A ICRA DTD 04/02/2013
A ICRA DTD 04/02/2013
A ICRA DTD 04/02/2013
A ICRA DTD 04/02/2013
A ICRA DTD 04/02/2013
A ICRA DTD 23/09/2013
B+ BWR DTD 08.04.2013
A ICRA DTD 18.06.2012
A ICRA DTD 18.06.2012
A ICRA DTD 18.06.2012
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
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IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
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A ICRA DTD 23/09/2013
A+ CARE DT- 09.06.14
NA
AA+ ICRA DTD 17.05.2013
BB+ ICRA DTD 25.07.2013
AA ICRA DTD 05/02/2013
NA
IN200192FREEDOM REGISTRY LIMITED
Mr. Girish G. ParalikarDirectorFreedom Registry LimitedPlot No. 101/102, M.I.D.C.19th Street, Satpur
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MR. LEONARD DSOUZACOMPANY SECRETARYPIRAMAL ENTERPRISES LIMITED1st PIRAMAL TOWER ANNEXE,GANPATRAO KADAM MARG,
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AA+ CRISIL DTD 30.12.2013
AA+ CRISIL DTD 30.12.2013
AA,CARE,DT-20-07-2011
AA+,CARE DT 02/09/2011
AA+ CARE DTD 14.06.2012
AA+ CARE DTD 06.09.2012
MCS LTDIN200424
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MCS LTDIN200424
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MCS LTDIN200424
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IN200424MCS LTD
MR. AMARJEET SINGHSENIOR MANAGERMCS LTD.F-65, 1ST FLOOROKHLA INDUSTRIAL AREA,
MCS LTDIN200424
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IN200424MCS LTD
MR. AMARJEET SINGHSENIOR MANAGERMCS LTD.F-65, 1ST FLOOROKHLA INDUSTRIAL AREA,
MCS LTDIN200424
Mr. Sanjay JainEVP (F) & Company Secretary9th Floor, Antriksh Bhawan22, K.G. MargNew Delhi 110 001
MCS LTDIN200424
Mr. Sanjay JainEVP (F) & Company Secretary9th Floor, Antriksh Bhawan22, K.G. MargNew Delhi 110 001
MCS LTDIN200424
Mr. Sanjay JainEVP (F) & Company Secretary9th Floor, Antriksh Bhawan22, K.G. MargNew Delhi 110 001
IN200424MCS LTD
Mr. Subhabrata BiswasGeneral ManagerMCS Limited, New DelhiF-65, Okhla Industrial AreaOpp. St Judes High School�
IN200424MCS LTD
Mr. S P GuptaAsst. Vice PresidentMCS Limited, New DelhiSri Venkatesh BhavanW-40, Okhla Industrial Area Phase -IMCS LTD
IN200424Mr. Sanjay JainEVP (F) & Company Secretary9th Floor, Antriksh Bhawan22, K.G. MargNew Delhi 110 001
IN200424MCS LTD
Mr. S P GuptaAsst. Vice PresidentMCS Limited, New DelhiSri Venkatesh BhavanW-40, Okhla Industrial Area Phase -IIN200424
MCS LTDMr. S P GuptaAsst. Vice PresidentMCS Limited, New DelhiSri Venkatesh BhavanW-40, Okhla Industrial Area Phase -I
AA+ CARE DTD 03.12.2012
AA+ CARE DTD 03.12.2012
AA+ CARE DTD 08.05.2013
AA+ CRISIL DTD 30.12.2013
NA
AAA ICRA DTD 27.09.2012
AAA ICRA DTD 26/11/2012
AAA,ICRA,DT-16-12-2011
IN200424MCS LTD
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IN200424Mr. Sanjay JainEVP (F) & Company Secretary9th Floor, Antriksh Bhawan22, K.G. MargNew Delhi 110 001
IN200424MCS LTD
Mr. S P GuptaAsst. Vice PresidentMCS Limited, New DelhiSri Venkatesh BhavanW-40, Okhla Industrial Area Phase -IIN200424
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SKYLINE FIN.SERV PVT LTDIN200432
Mr. Milind.M.DafadeManager (Finance - RMU)Urjanidhi, 1,Barakhamba Lane,Connaught Place,
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Iswar SinghSenior Manager (Finance - RMU)Urjanidhi, 1,Barakhamba Lane,Connaught Place,
SKYLINE FIN.SERV PVT LTDIN200432
Ms Parminder ChopraDGM - Finance, Resourse Mobilisation Unit2nd Floor, Urja Nidhi Building,1-3 Barkhamba Lane
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Ms Parminder ChopraDGM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
AAA ICRA DTD 18-04-2012
AAA,ICRA,DT-16-02-2012
AAA CRISIL DT 28.11.13
AAA ICRA DTD 12.06.2013
AAA-ICRA DTD 23.04.213
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Ms Parminder ChopraDGM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. ALOK SUDGENERAL MANAGER (RESOURCE MOBILISATION UNIT)POWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
MR. ALOK SUDGENERAL MANAGERPOWER FINANCE CORPORATION LIMITEDRESOURCE MOBILISATION UNIT,
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Milind.M.DafadeManager (Finance - RMU)Urjanidhi, 1,Barakhamba Lane,Connaught Place,
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Milind.M.DafadeManager (Finance - RMU)Urjanidhi, 1,Barakhamba Lane,Connaught Place,
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Subir MulchandaniAddl. General Manager (Finance)POWER FINANCE CORPORATION LIMITEDChandralok Building
SKYLINE FIN.SERV PVT LTDIN200432
Mr. A.K. GuptaDGM (Finance) Resource Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr. A.K. GuptaDGM (Finance) Resource Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
AAA ICRA DTD 12.06.2013
LAAA,ICRA
LAAA,ICRA,DT-18-07-2011
AAA - CRISIL DT 03.09.13
AAA ICRA DTD 18-04-2012
AAA ICRA DTD 18-04-2012
AAA,ICRA,DT-23-01-2012
AAA,ICRA,DT-16-02-2012
AAA,ICRA,DT-16-02-2012
IN200432SKYLINE FIN.SERV PVT LTD
MR. ALOK SUDGENERAL MANAGERPOWER FINANCE CORPORATION LIMITEDRESOURCE MOBILISATION UNIT,
IN200432SKYLINE FIN.SERV PVT LTD
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Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Mr. A.K. GuptaDGM (Finance) Resource Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
Mr. ALOK SUDGENERAL MANAGER (FINANCE) RMUPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Ms Parminder ChopraResourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED2nd Floor, Urja Nidhi Building,
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
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SKYLINE FIN.SERV PVT LTDIN200432
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AAA,ICRA,DT-19-03-2012
AAA ICRA DTD 23.05.2012
AAA ICRA DTD 23.06.14
AAA ICRA DTD 18/01/2013
AAA - ICRA DTD 30.07.2012
AAA - ICRA DTD 30.07.2012
AAA ICRA DTD 27.09.2012
AAA ICRA DTD 21/12/2012
AAA- ICRA DTD 18.01.2013
AAA- ICRA DT-01.03.2013
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IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Ms Parminder ChopraResourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED2nd Floor, Urja Nidhi Building,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200301RCMC SHARE REGISTRY
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Milind.M.DafadeManager (Finance - RMU)Urjanidhi, 1,Barakhamba Lane,Connaught Place,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Milind.M.DafadeManager (Finance - RMU)Urjanidhi, 1,Barakhamba Lane,Connaught Place,
AAA - CRISIL DT 26.09.13
AAA ICRA DTD 18/01/2013
AAA- ICRA DTD 01.03.2013
AAA ICRA DTD 18-04-2012
AAA CRISIL DT-16.01.2014
AAA CRISIL DT-14.02.2014
AAA ICRA DTD 23.06.14
AAA ICRA DTD 18.01.2013
IN200432SKYLINE FIN.SERV PVT LTD
Mr. ALOK SUDGENERAL MANAGER (FINANCE) RMUPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
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IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Milind.M.DafadeManager (Finance - RMU)Urjanidhi, 1,Barakhamba Lane,Connaught Place,
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Milind.M.DafadeManager (Finance - RMU)Urjanidhi, 1,Barakhamba Lane,Connaught Place,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Milind.M.DafadeManager (Finance - RMU)Urjanidhi, 1,Barakhamba Lane,Connaught Place,
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. ALOK SUDGENERAL MANAGER (RESOURCE MOBILISATION UNIT)POWER FINANCE CORPORATION LIMITED
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IN200301RCMC SHARE REGISTRY
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IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Milind.M.DafadeManager (Finance - RMU)Urjanidhi, 1,Barakhamba Lane,Connaught Place,
AAA CRISIL DT-16.01.2014
AAA- ICRA DTD 18.01.2013
AAA,ICRA,DT-16-02-2012
AAA,ICRA,DT-16-02-2012
SKYLINE FIN.SERV PVT LTDIN200432
Ms Parminder ChopraDGM - Finance, Resourse Mobilisation Unit2nd Floor, Urja Nidhi Building,1-3 Barkhamba Lane
SKYLINE FIN.SERV PVT LTDIN200432
Ms Parminder ChopraDGM - Finance, Resourse Mobilisation Unit2nd Floor, Urja Nidhi Building,1-3 Barkhamba Lane
SKYLINE FIN.SERV PVT LTDIN200432
Ms Parminder ChopraDGM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITEDUrjanidhi, 1,
IN200432SKYLINE FIN.SERV PVT LTD
MR. ALOK SUDGENERAL MANAGER (RESOURCE MOBILISATION UNIT)POWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Ms Parminder ChopraDGM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
AAA CRISIL DT-16.01.2014
LAAA,ICRA,DT-06-04-2011
LAAA,ICRA,DT-16-05-2011
LAAA,ICRA,DT-20-06-2011
AAA ICRA DTD 23.06.14
LAAA,ICRA,DT-18-07-2011
AAA,ICRA,DT-07-09-2011
AAA-ICRA,DT-07-09-2011
AAA,CRISIL,
AAA,CRISIL,
AAA,CRISIL, LAAA,ICRA
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
MR. ALOK SUDGENERAL MANAGER (RESOURCE MOBILISATION UNIT)POWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
SKYLINE FIN.SERV PVT LTDIN200432
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IN200432SKYLINE FIN.SERV PVT LTD
MR.PARMINDER CHOPRAADDITIONAL GENERAL MANAGERPOWER FINANCE CORPORATION LTD.2ND FLOOR, URJA NIDHI BUILDING
IN200432SKYLINE FIN.SERV PVT LTD
MR.PARMINDER CHOPRAADDITIONAL GENERAL MANAGERPOWER FINANCE CORPORATION LTD.2ND FLOOR, URJA NIDHI BUILDING
IN200301RCMC SHARE REGISTRY
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR.PARMINDER CHOPRAADDITIONAL GENERAL MANAGERPOWER FINANCE CORPORATION LTD.2ND FLOOR, URJA NIDHI BUILDING
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEGENERAL MANAGERKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY HOUSE,
IN200800KARVY COMPUTERSHARE-4
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IN200800KARVY COMPUTERSHARE-4
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IN200800KARVY COMPUTERSHARE-4
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AAA,ICRA,DT-19-03-2012
AAA ICRA DTD 23.05.2012
AAA - ICRA DTD 30.07.2012
AAA- ICRA DT-01.03.2013
AAA- ICRA DT-01.03.2013
AAA CRISIL AND CARE
AAA CRISIL
AAA,ICRA,DT-16-02-2012
AAA- ICRA DTD 27.05.2013
AAA- CRISIL 06.08.2013
AAA CRISIL
AAA CRISIL
AAA ICRA DTD 07.01.14
AAA ICRA DTD 17.02.14
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200424MCS LTD
MR. AMARJITSENIOR MANAGERMCS LTDF-65,1ST FLOOR,OKHLA INDUSTRIAL AREA
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
Mr. ALOK SUDGENERAL MANAGER (FINANCE) RMUPOWER FINANCE CORPORATION LIMITED
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEADKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY HOUSE,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEADKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY HOUSE,
IN200432SKYLINE FIN.SERV PVT LTD
MR. ALOK SUDGENERAL MANAGERPOWER FINANCE CORPORATION LIMITEDRESOURCE MOBILISATION UNIT,
IN200432SKYLINE FIN.SERV PVT LTD
MR. N B GUPTAGENERAL MANAGER (FINANCE)POWER FINANCE CORPORATION LIMITEDRESOURCE MOBILISATION UNIT,
LAAA,ICRA,DT-18-07-2011
LAAA,ICRA,DT-18-07-2011
AAA,ICRA,DT-07-09-2011
AAA,CRISIL,
AAA,CRISIL,
AAA,CRISIL, LAAA,ICRA
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Milind.M.DafadeManager (Finance - RMU)Urjanidhi, 1,Barakhamba Lane,Connaught Place,
SKYLINE FIN.SERV PVT LTDIN200432
Ms Parminder ChopraDGM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITEDUrjanidhi, 1,
SKYLINE FIN.SERV PVT LTDIN200432
Ms Parminder ChopraDGM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
MR.PARMINDER CHOPRAADDITIONAL GENERAL MANAGERPOWER FINANCE CORPORATION LTD.2ND FLOOR, URJA NIDHI BUILDING
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEGENERAL MANAGERKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY HOUSE,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEGENERAL MANAGERKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY HOUSE,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEADKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY HOUSE,
AAA,CRISIL, LAAA,ICRA
AAA- ICRA DT-01.03.2013
AAA- ICRA DT-01.03.2013
AAA CRISIL AND CARE
AAA CRISIL
AAA- CRISIL DTD 13.08.13
AAA- ICRA DTD 01.03.2013
AAA CRISIL
AAA CRISIL
AAA CRISIL
AAA CRISIL
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEADKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY HOUSE,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200424MCS LTD
MR. AMARJITSENIOR MANAGERMCS LTDF-65,1ST FLOOR,OKHLA INDUSTRIAL AREA
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
IN200432SKYLINE FIN.SERV PVT LTD
Mr. ALOK SUDGENERAL MANAGER (FINANCE) RMUPOWER FINANCE CORPORATION LIMITED
IN200432SKYLINE FIN.SERV PVT LTD
MR. MILIND M DAFADESenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEADKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY HOUSE,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEADKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY HOUSE,
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
SKYLINE FIN.SERV PVT LTDIN200432
Mr A.K.GuptaAdd GM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEADKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY HOUSE,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEADKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY HOUSE,
RCMC Share Registry (P) Ltd.(IN200301)
Mr. R.Nagarajan,/Mr. A.S. Nanda/Mr.AroraGM(Finance-RMU),/Manager(Finance-RMU)/Manager-Finance
Same as above
Same as above
Same as above
LAAA-ICRA DT 06/01/2011
LAAA-ICRA DT 06/01/2011
AAA,CRISIL & LAAA,ICRA
AAA,CRISIL & LAAA,ICRA
AAA,CRISIL & LAAA,ICRA
RCMC Share Registry (P) Ltd.(IN200301)
RCMC Share Registry (P) Ltd.(IN200301)
Mr. R.Nagarajan,/Mr. A.S. Nanda/Mr.AroraGM(Finance-RMU),/Manager(Finance-RMU)/Manager-Finance
RCMC Share Registry (P) Ltd.(IN200301)
RCMC Share Registry (P) Ltd.(IN200301)
Mr. R.Nagarajan,/Mr. A.S. Nanda/Mr.AroraGM(Finance-RMU),/Manager(Finance-RMU)/Manager-Finance
RCMC Share Registry (P) Ltd.(IN200301)
RCMC Share Registry (P) Ltd.(IN200301)
Mr. R.Nagarajan,/Mr. A.S. NandaGM(Finance-RMU),/Manager(Finance-RMU)Power Finance Corporation Ltd.,Chandralok, 36,Janpath,
RCMC Share Registry (P) Ltd.(IN200301)
Mr. R.Nagarajan,/Mr. A.S. NandaGM(Finance-RMU),/Manager(Finance-RMU)Power Finance Corporation Ltd.,Chandralok, 36,Janpath,
RCMC Share Registry (P) Ltd.(IN200301)
Mr. R.Nagarajan,/Mr. A.S. Nanda/Mr.AroraGM(Finance-RMU),/Manager(Finance-RMU)/Manager-Finance
RCMC Share Registry (P) Ltd.(IN200301)
Mr. R.Nagarajan,/Mr. A.S. Nanda/Mr.AroraGM(Finance-RMU),/Manager(Finance-RMU)/Manager-Finance
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Iswar SinghSenior Manager (Finance - RMU)POWER FINANCE CORPORATION LIMITED2nd, Floor, Urja nidhi,
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
AAA,CRISIL & LAAA,ICRA
In House Share Registry Same as above
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
INTIME SPECTRUM REGISTRY LIMITED-DELHIIN200449
Mr.Sanjeev KapoorHead(North India Operations)Intime Spectrum Registry LimitedNaraina Industrial Estate,Phase -I,Near PVR Naraina,
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIn-house Share Registry
(IN200449)Mr.Bhabagrahi Pradhan,Company Secretary,In-house Share Registry(A unit of A O K In-house Securities Ltd., 3, Community Centre,
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. S.P. GuptaAsst. Vice PresidentMCS LTDSri Venkatesh BhawanW-40 Okhla Industrial Area
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
In House Share Registry Same as above
MCS LTDIN200424
Mr. S.P. GuptaAsst. Vice PresidentMCS LTDSri Venkatesh BhawanW-40 Okhla Industrial Area
INTIME SPECTRUM,DELHI IN200449
Mr.Sanjeev KapoorHead(North India Operations)Intime Spectrum Registry LimitedNaraina Industrial Estate,Phase -I,Near PVR Naraina,
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIntime Spectrum Registry, Delhi
(IN200449)Mr.Bhabagrahi Pradhan,Company Secretary,In-house Share Registry(A unit of A O K In-house Securities Ltd., 3, Community Centre,
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amarjeet Singh Sr. Manager MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIn-house Share Registry
(IN200449)Mr.Bhabagrahi Pradhan,Company Secretary,In-house Share Registry(A unit of A O K In-house Securities Ltd., 3, Community Centre,
INTIME SPECTRUM REGISTRY LIMITED-DELHIIN200449
Mr.Sanjeev KapoorHead(North India Operations)Intime Spectrum Registry LimitedNaraina Industrial Estate,Phase -I,Near PVR Naraina,
AAA,CARE
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIn-house Share Registry
(IN200449)Mr.Bhabagrahi Pradhan,Company Secretary,In-house Share Registry(A unit of A O K In-house Securities Ltd., 3, Community Centre,
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. S.P. GuptaAsst. Vice PresidentMCS LTDSri Venkatesh BhawanW-40 Okhla Industrial Area
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. S.P. GuptaAsst. Vice PresidentMCS LTDSri Venkatesh BhawanW-40 Okhla Industrial Area
AAA CARE AND CRISIL
In House Share Registry Same as above
INTIME SPECTRUM,DELHI IN200449
Mr.Sanjeev KapoorHead(North India Operations)Intime Spectrum Registry LimitedNaraina Industrial Estate,Phase -I,Near PVR Naraina,
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIntime Spectrum Registry, Delhi
(IN200449)Mr.Bhabagrahi Pradhan,Company Secretary,In-house Share Registry(A unit of A O K In-house Securities Ltd., 3, Community Centre,
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amarjeet Singh Sr. Manager MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIn-house Share Registry
(IN200449)Mr.Bhabagrahi Pradhan,Company Secretary,In-house Share Registry(A unit of A O K In-house Securities Ltd., 3, Community Centre,
AAA CARE AND CRISIL
AAA,CARE
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. S.P. GuptaAsst. Vice PresidentMCS LTDSri Venkatesh BhawanW-40 Okhla Industrial Area
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. S.P. GuptaAsst. Vice PresidentMCS LTDSri Venkatesh BhawanW-40 Okhla Industrial Area
AAA CARE
AAA CARE AND CRISIL
INTIME SPECTRUM,DELHI IN200449
Mr.Sanjeev KapoorHead(North India Operations)Intime Spectrum Registry LimitedNaraina Industrial Estate,Phase -I,Near PVR Naraina,
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIntime Spectrum Registry, Delhi
(IN200449)Mr.Bhabagrahi Pradhan,Company Secretary,In-house Share Registry(A unit of A O K In-house Securities Ltd., 3, Community Centre,
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amarjeet Singh Sr. Manager MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIn-house Share Registry
(IN200449)Mr.Bhabagrahi Pradhan,Company Secretary,In-house Share Registry(A unit of A O K In-house Securities Ltd., 3, Community Centre,
AAA CARE AND CRISIL
AAA,CARE
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. S.P. GuptaAsst. Vice PresidentMCS LTDSri Venkatesh BhawanW-40 Okhla Industrial Area
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. S.P. GuptaAsst. Vice PresidentMCS LTDSri Venkatesh BhawanW-40 Okhla Industrial Area
AAA ICRA DT-14.02.14
AAA CARE
AAA CARE AND CRISIL
AAA CARE AND CRISIL
INTIME SPECTRUM,DELHI IN200449
Mr.Sanjeev KapoorHead(North India Operations)Intime Spectrum Registry LimitedNaraina Industrial Estate,Phase -I,Near PVR Naraina,
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amarjeet Singh Sr. Manager MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
AAA CARE AND CRISIL
AAA,CARE
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. S.P. GuptaAsst. Vice PresidentMCS LTDSri Venkatesh BhawanW-40 Okhla Industrial Area
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIINTIME SPECTRUM,DELHI
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MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amarjeet Singh Sr. Manager MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
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Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
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Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
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Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
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Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
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Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amarjeet Singh Sr. Manager MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
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Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
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Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
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IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
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MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
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Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
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Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
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Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
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IN200424MCS LTD
Mr. Amarjeet Singh Sr. Manager MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,
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Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
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Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
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IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
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Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIMCS LTD
IN200424MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amarjeet Singh Sr. Manager MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerMCS LTD.Sri Venkatesh BhavanW-40, Okhla Industrial Area Phase IIIN200424
MCS LTDMr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
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MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
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IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
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MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
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IN200424MCS LTD
Mr. Amarjeet Singh Sr. Manager MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
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Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
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IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amarjeet Singh Sr. Manager MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
MCS LTDIN200424
Mr. Amarjeet SinghSr. ManagerSri Venkatesh BhavanW-40, Okhla Industrial Area Phase II
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
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Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
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MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
MCS LTDIN200424
MR. AMAR JITSENIOR MANAGERMCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I, NEW DELHI 110 019
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amarjeet Singh Sr. Manager MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
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Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
Mr. Amar JitSenior ManagerMCS LtdF-65, Okhla Industrial AreaPhase I
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
IN200424MCS LTD
MR. AMARJEETSENIOR MANAGERMCS LIMITEDF-65, OKHLA INDUSTRIAL AREA,PHASE I, NEW DELHI - 110 020
IN200424MCS LTD
MCS LTDF-65, OKHLA INDUSTRIAL AREAPHASE I,NEW DELHI 110 020Phone:: 011 41406149
IN200424MCS LTD
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Mr. P A VargheseGeneral ManagerKarvy Computershare Pvt. LimitedPlot No. 17-24, Vittal Rao Nagar,Madhapur,
IN200800KARVY COMPUTERSHARE-4
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IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDPLOT NO 17 TO 24,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDPLOT NO 17 TO 24,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDPLOT NO 17 TO 24,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDPLOT NO 17 TO 24,
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDPLOT NO 17 TO 24,
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MR. NAVIN AGARWALCOMPANY SECRETARYPRIME FOCUS LIMITED2ND FLOOR, MAIN FRAME,IT PARK, BUILDING - H,
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MR. NAVIN AGARWALCOMPANY SECRETARYPRIME FOCUS LIMITED2ND FLOOR, MAIN FRAME,IT PARK, BUILDING - H,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. PRATEEK SAVLACOMPANY SECRETARYPRIME FOCUS TECHNOLOGIES PRIVATE LIMITED7TH FLOOR, TRUE NORTH,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. PRATEEK SAVLACOMPANY SECRETARYPRIME FOCUS TECHNOLOGIES PRIVATE LIMITED7TH FLOOR, TRUE NORTH,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. PRATEEK SAVLACOMPANY SECRETARYPRIME FOCUS TECHNOLOGIES PRIVATE LIMITED7TH FLOOR, TRUE NORTH,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. DINESH KANODIAAUTHORIED SIGNATORY - FINANCEPRIME PUBLISHING PRIVATE LIMITED
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MR. DINESH KANODIAAUTHORIED SIGNATORY - FINANCEPRIME PUBLISHING PRIVATE LIMITED
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MR. DINESH KANODIAAUTHORIED SIGNATORY - FINANCEPRIME PUBLISHING PRIVATE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
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Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
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Mr.Y.P.GuptaDeputy General Manager/AccountsPUNJAB FINANCIAL CORPORATIONSco 95-98,Bank Square,Sector
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Mr.Y.P.GuptaDeputy General Manager/AccountsPUNJAB FINANCIAL CORPORATIONSco 95-98,Bank Square,Sector
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BEETAL FINAN.AND COMPU.IN200504
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Mr. Gagan AnandChief Legal AdvisorSCO. 89-90, Sector 34ASub City CentreChandigarh - 160 022
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Mr. Gagan AnandChief Legal AdvisorSCO. 89-90, Sector 34ASub City CentreChandigarh - 160 022
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MCS LTDIN200424
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MCS LTDIN200424
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Mr. Mahesh JairathVice PresidentALANKIT HOUSE2E/21Jhandewalan Extention
IN200086ALANKIT ASSIGNMENTS LTD
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IN200086ALANKIT ASSIGNMENTS LTD
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IN200094LINK INTIME INDIA PRIVATE LIMITED
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LTD.-4IN200800
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IN200176CAMEO CORPORATE SERV LTD
Mr. R.D. RamaswamyVice PresidentCameo Corporate Services LimitedSubramanian Building
IN200561PURVA SHAREGISTRY
Mr.Rajesh ShahDirector - OperationPurva Sharegistry (India) Limited9, Shiv Shakti Industrial EstateJ.R. Boricha Marg,
NA
NA
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MR. ROHIT GUPTAAUTHORISED SIGNATORYRADHESH REALTORS PRIVATE LIMITEDN-49, FIRST FLOOR,
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MR. P A VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PRIVATE LTD.
IN200133MAS SERVICES LIMITED
Mr. N. P. GuptaDy. General Manager (FMD)Rajasthan Financial CorporationUdyog Bhawan,Tilak Marg,
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IN200094LINK INTIME INDIA PRIVATE LIMITED
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IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
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IN200449LINK INTIME INDIA PVT LTD, DELHI
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MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
A (SO) BWR
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. V.K.BHATNAGARCheif Controller of AccountRAJASTHN RAJYA VIDYUT PRASARAN NIGAMROOM NO- 424, 425
IN200800KARVY COMPUTERSHARE-4
MR. G. D. VYASFA & CAORAJASTHAN STATE ROAD TRANSPORT CORPORATIONCHOMU HOUSE,
BWR A(SO)BRICKWORK 07.05.12
A (SO) SMERA DT-14.06.13
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
CARE
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. JIGNESH WAGHELAG.M.- FINANCERAJESH ESTATES AND NIRMAN LIMITEDR. B. HOUSE,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. JIGNESH W AGHELAG.M. FINANCERAJESH REAL ESTATE DEVELOPERS PVT LTDR.B. HOUSE,
IN200133MAS SERVICES LIMITED
MR. ATUL CHADHACOMPANY SECRETARY - LEGALRAMPRASTHA SARE REALTY PRIVATE LIMITEDPLOT NO 46,
IN200133MAS SERVICES LIMITED
MR. ATUL CHADHACOMPANY SECRETARY - LEGALRAMPRASTHA SARE REALTY PRIVATE LIMITEDPLOT NO 46,
IN200133MAS SERVICES LIMITED
MR. ATUL CHADHACOMPANY SECRETARY - LEGALRAMPRASTHA SARE REALTY PRIVATE LIMITEDPLOT NO 46,
IN200133MAS SERVICES LIMITED
MR. ATUL CHADHACOMPANY SECRETARY - LEGALRAMPRASTHA SARE REALTY PRIVATE LIMITEDPLOT NO 46,
IN200133MAS SERVICES LIMITED
MR. ATUL CHADHACOMPANY SECRETARY - LEGALRAMPRASTHA SARE REALTY PRIVATE LIMITEDPLOT NO 46,
IN200133MAS SERVICES LIMITED
MR. ATUL CHADHACOMPANY SECRETARY - LEGALRAMPRASTHA SARE REALTY PRIVATE LIMITEDPLOT NO 46,
IN200133MAS SERVICES LIMITED
MR. ATUL CHADHACOMPANY SECRETARY - LEGALRAMPRASTHA SARE REALTY PRIVATE LIMITEDPLOT NO 46,
IN200133MAS SERVICES LIMITED
MR. ATUL CHADHACOMPANY SECRETARY - LEGALRAMPRASTHA SARE REALTY PRIVATE LIMITEDPLOT NO 46,
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPURER SERVICES PVT LTDBeetal House, 3 rd Floor
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Thomas FernandesCompany SecretaryRAYMOND LIMITEDPokharan Road No. 1.Jekegram, Thane - 400 606
AA- CARE DT 02.12.13
CARE
CARE
AA- CARE DT 02.12.13
AA- CARE DT-12.03.14
NA
NA
LAA,ICRA,DTD-11-03-2011
LAApp,ICRA,DT-11-03-2011
LAApp,ICRA DT 11/03/2011
LAApp,ICRA,DT-11-03-2011
LAApp,ICRA,DT-11-03-2011
LAA,ICRA,DTD-11-03-2011
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Thomas FernandesCompany SecretaryRAYMOND LIMITEDPokharan Road No. 1.Jekegram, Thane - 400 606
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Thomas FernandesCompany SecretaryRAYMOND LIMITEDPokharan Road No. 1.Jekegram, Thane - 400 606
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Thomas FernandesCompany SecretaryRAYMOND LIMITEDPokharan Road No. 1.Jekegram, Thane - 400 606
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Thomas FernandesCompany SecretaryRAYMOND LIMITEDPokharan Road No. 1.Jekegram, Thane - 400 606
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. THOMAS FERNANDESDIRECTOR-SECRETARIAL & COMPANY SECRETARYRAYMOND LIMITEDMAHINDRA TOWERS, B WING,
IN200035KARVY COMPUTERSHARE
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200035KARVY COMPUTERSHARE
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAMIT BHASINDIRECTORRBS FINANCIAL SERVICES (INDIA) PRIVATE LTD81, SAKHAR BHAVAN
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAMIT BHASINDIRECTORRBS FINANCIAL SERVICES (INDIA) PRIVATE LTD81, SAKHAR BHAVAN
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAMIT BHASINDIRECTORRBS FINANCIAL SERVICES (INDIA) PRIVATE LTD81, SAKHAR BHAVAN
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAMIT BHASINDIRECTORRBS FINANCIAL SERVICES (INDIA) PRIVATE LTD81, SAKHAR BHAVAN
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAMIT BHASINDIRECTORRBS FINANCIAL SERVICES (INDIA) PRIVATE LTD81, SAKHAR BHAVAN
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAMIT BHASINDIRECTORRBS FINANCIAL SERVICES (INDIA) PRIVATE LTD81, SAKHAR BHAVAN
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. LtdC-13, Pannalal Silk Mills Compound,
BBB-(SO) CARE DT 06.03.14
NA
BWR BB,BRICKWORK,25-10-11
NA
A+,CARE,DT-24-08-2011
A+,CARE,DT-24-08-2011
A+,CARE,DT-24-08-2011
IN200875BGSE FINANCIALS LIMITED
MR. NAGESH RAO RMANAGER - OPERATIONSBGSE FINANCIALS LIMITEDRTA DIVISION, STOCK EXCHANGE TOWER,
IN200800KARVY COMPUTERSHARE-4
MR. NARESH TIKAMCHAND JAINDIRECTORREDKITE CAPITAL PRIVATE LIMITED205,HARI CHAMBERS,58/64,
IN200800KARVY COMPUTERSHARE-4
Mr.K.Subba ReddySenior ManagerKarvy Computershare Private LimitedKarvy House , #46, Avenue 4
MAHESHWARI DATAMATICS LTD.IN200369
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
MAHESHWARI DATAMATICS LTD.IN200369
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
MAHESHWARI DATAMATICS LTD.IN200369
Mr. S RajgopalanVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
IN200369MAHESHWARI DATAMATICS
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
IN200369MAHESHWARI DATAMATICS
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
IN200369MAHESHWARI DATAMATICS
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
MAHESHWARI DATAMATICS LTD.IN200369
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
IN200369MAHESHWARI DATAMATICS
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
IN200369MAHESHWARI DATAMATICS
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
IN200369MAHESHWARI DATAMATICS
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
IN200369MAHESHWARI DATAMATICS
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
A+,CARE,DT-24-08-2011
NA
PP-MLD AAA,CVARE,DT-01-11
AAA,CARE,DT-14-09-2010
AAA,CARE,DT-14-09-2010
PP-MLD AAA
AAA CARE DTD 05.02.2013
PP-MLD AAA
AAA,CARE,DT-13-04-2011
PP-MLD AAA
AAA,CARE,DT-13-04-2011
AAA,CARE,DT-13-04-2011
IN200369MAHESHWARI DATAMATICS
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
IN200369MAHESHWARI DATAMATICS
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
IN200369MAHESHWARI DATAMATICS
Mr. S RajgopalVice PresidentMAHESHWARI DATAMATICS LTD.6, Mangoe Lane,2nd Floor,
IN200078KARVY COMPUTERSHARE - RIL
MR. GURURAJA RAOCOMPANY SECRETARY & MANAGERRELIANCE BROADCAST NETWORK LIMITED
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
AAA,CARE,DT-13-04-11
NA
PP-MLD AAA
AA(mr),CARE,DT-21-06-2011
PP- MLD AAA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
PP- MLD AAA
PP-MLD AAA,CARE,01-11-11
PP-MLD AAA
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
KARVY COMPUTERSHARE PVT LTD-RILIN200078
Mr. V.R. MohanCompany Secretary & Manager570,Rectifier House,Naigaum Cross Road,Wadala,
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
PP-MLD AAA
AAA CARE DTD 07.02.2012
PP-MLD AAA
PP-MLD AAA,CARE,DT-01-11-
PP-MLD AAA
PP-MLDAAA CAREDT 11.12.12
AAA(mr)CARE,DT-21-06-2011
AAA CARE DTD 05.02.2013
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
AAA CARE DTD 07.02.2012
PP- MLD AAA
PP-MLD AAA
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
AAA(mr)CARE,DT-21-06-2011
CARE PP-MLDAAA DT11.12.12
NA
AAA CARE DT-11.12.2012
AAA CARE DTD 07.02.2012
AAA,CARE,DT-13-04-2011
AAA,CARE,DT-21-06-2011
AAA CARE DT- 11.12.12
PP- MLD AAA
PP-MLD AAA,CARE,01-11-11
AAA CARE DT- 11.12.12
AAA CARE DT-11.12.2012
AAA CARE DTD 13.04.2011
PP-MLD AAA,CARE,01-11-11
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
AAA CARE DT 13/04/2011
PP-MLD AAA
AAA CARE DT-11.12.2012
PP-MLD AAA
AAA CARE DT 11/12/12
AAA CARE DT-06.12.2013
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
AAA CARE DTD 07.02.2012
PP-MLD AAA
PP-MLD AAA
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private LimitedPlot Nos. 17 24�
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
KARVY COMPUTERSHARE PVT LTD-RILIN200078
Mr. V.R. MohanCompany Secretary & ManagerRELIANCE CAPITAL LIMITED570,Rectifier House,Naigaum Cross Road,
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
PP-MLD AAA
N.A.
AAA CARE DTD 07.02.2012
PP-MLD AAA
AAA CARE DT 11/12/12
AAA CARE 05/12/2012
AAA CARE DT-11.12.2012
PP-MLD AAA
PP MLD AAA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
AA+ CRISIL DTD 09.04.2013
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
NA
NA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
AAA CARE DTD 07.02.2012
PP-MLD AAA
PP-MLD AAA
N.A.
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
AAA CARE DTD 05.02.2013
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
NA
NA
NA
AAA CARE DTD 05.02.2013
AAA CARE DT-11.12.2012
NA
NA
PP-MLD AAA
PP MLD-AAA
PP- MLD AAA
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
PP-MLD AAA
PP-MLDAAA CARE DT11.12.12
AAA CARE DT- 11.12.12
PP-MLD AAA
AAA, CARE,DT- 14/09/2010
AAA, CARE,DT- 14/09/2010
NA
UNRATED
PP-MLD AAA
PP-MLD AAA
AAA CARE DT-11.12.2012
NA
IN200078KARVY COMPUTERSHARE - RIL
Mr. V.R. MohanCompany Secretary & ManagerRELIANCE CAPITAL LIMITED570,Rectifier House,Naigaum Cross Road,
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private LimitedPlot Nos. 17 24�
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
AAA CARE DT-05/02/2013
PP-MLDAAA CAREDT 11.12.12
PP-MLDAAA CAREDT 11.12.12
AAA CARE DTD 05.02.2013
PP-MLD AAA
NA
N.A
PP-MLD AAA
PP-MLD AAA
NA
AAA CARE DT-11.12.2012
AAA CARE DT-11.12.2012
PP- MLD AAA
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
NA
CARE AAA,CARE DT 14/09/10
NA
PP MLD AAA
AAA CARE DT-06.12.2013
AAA,CARE,DT-14-09-2010
PP-MLD AAA
PP- MLD AAA
AAA CARE DT- 11/12/12
PP-MLD AAA
AAA CARE DT 11/12/12
PP-MLD AAA
PP-MLD AAA
NA
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
AAA CARE DT- 11.12.12
AAA CARE DT-11.12.12
AAA CARE DT- 11.12.12
PP-MLD AAA
AAA CARE DT- 11.12.12
AAA CARE DT- 11.12.12
PP-MLD AAA
NA
AAA CARE DT- 11.12.12
NA
NA
AAA,CARE,DT-14-09-2010
NA
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
PP-MLD AAA
PP- MLD AAA
NA
NA
PP-MLDAAA CAREDT 11.12.12
NA
PP- MLD AAA
PP-MLD AAA
NA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
PP-MLD AAA
NA
AAA,CARE,DT-13-04-2011
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
PP-MLD AAA
AAA,CARE,DT-13-04-2011
PP-MLD AAA
AAA,CARE,DT-13-04-2011
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
PP-MLD AAA
NA
PP-MLD AAA
NA
NA
NA
AAA,CARE,DT-13-04-2011
PP-MLDAAA CAREDT 01.11.13
PP-MLD AAA
PP-MLD AAA
AAA CARE DTD. 13.04.2011
AAA,CARE,DT-13-04-2011
PP- MLD AAA
PP- MLD AAA
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
PP- MLD AAA
PP-MLD AAA
PP-MLD AAACARE DT11.11.12
AAA CARE DT-11.12.2012
NA
PP- MLD AAA
PP-MLDAAA CAREDT 11.12.12
PP-MLD AAA
PP-MLD AAA
AAA CARE DTD 07.02.2012
AAA CARE DT- 06.12.13
AAA,CARE,DT-13-04-2011
PP-MLDAAA CAREDT 11.12.12
PP- MLD AAA
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
AAA,CARE,DT-13-04-2011
PP-MLD AAA
AAA CARE DT-11.12.2012
PP-MLDAAA CAREDT 11.12.12
AAA,CARE,DT-13-04-2011
PP-MLD AAA
NA
AAA CARE DT-11.12.2012
AAA CARE DTD 13.04.2011
AAA CARE DTD 07.02.2012
AAA CARE DT 07.02.2012
AAA CARE DT 07.02.2012
AAA CARE DT 11/12/12
AAA CARE DT-11.12.2012
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/C
PP- MLD AAA
PP-MLDAAA CAREDT 11.12.12
AAA CARE DT-11.12.2012
AAA CARE DT-11.12.2012
CARE AAA DT 13.04.2011
NA
AAA CARE DT- 11.12.12
AAA CARE DT-11.12.2012
AAA CARE DTD 07.02.2012
AAA CARE DT-11.12.2012
AAA CARE DTD 07.02.2012
AAA CARE DT- 11.12.12
AAA CARE DT-11.12.2012
AAA CARE DT- 11.12.12
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/C
AAA CARE DT- 11.12.12
NA
NA
PP-MLDAAA CAREDT 11.12.12
AAA CARE DT-11.12.2012
AAA CARE DTD 07.02.2012
AAA CARE DTD 07.02.2012
PP- MLD AAA
NA
PP-MLDAAA CAREDT 11.12.12
AAA CARE DTD 07.02.2012
AAA CARE DTD 07.02.2012
CARE AAA DTD 07/02/2012
AAA CARE DTD 07.02.2012
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
AAA,CARE,DT-13-04-2011
AAA CARE DT-05.02.2013
AAA CARE DTD 05.02.2013
AAA,CARE,DT-13-04-2011
AAA CARE DTD 05.02.2013
AA+,CARE,DT-11-05-2011
AAA CARE DTD 05.02.2013
AA+,CARE,DT-11-05-2011
PP-MLD AAA
PP-MLDAAA CAREDT 01.11.13
AAA,CARE DT 13/04/2011
AAA,CARE,DT-13-04-2011
AAA,CARE,DT-13-04-2011
AAA CARE DTD 07.02.2012
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
AAA CARE DTD 05/12/2012
AAA,CARE,DT-14-09-2010
AA+,CARE,DT-11-05-2011
AA+,CARE,DT-11-05-2011
AA+,CARE,DT-11-05-2011
AA+,CARE,DT-11-05-2011
AA+,CARE,DT-11-05-2011
AAA CARE DTD 07.02.2012
AA+,CARE,DT-11-05-2011
AA+,CARE,DT-11-05-2011
AA+,CARE,DT-11-05-2011
AA+,CARE,DT-11-05-2011
AA+ CARE DTD 11/05/2011
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
AAA CARE DTD 07.02.2012
AA+ CARE DTD 09.05.2012
AAA CARE DTD 07.02.2012
AAA CARE DTD 07.02.2012
AAA CARE DT 07/02/2012
AAA,CARE DT 07/02/2012
AAA CARE DTD 07.02.2012
AAA CARE DTD 07.02.2012
AAA CARE DTD 07/02/2012
AA+ CARE DTD 11.03.2013
AA+ CARE DTD 11.03.2013
AA+ CARE DTD 11.03.2013
AA+,CARE,DT-11-05-2011
AAA CARE DTD 05.02.2013
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARY & MANAGERRELIANCE CAPITAL LIMITED570, RECTIFIER HOUSE
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
AA+ CARE DTD 07.06.2013
AA+ CARE DT 08.11.13
AAA CARE DT-06.12.2013
AAA CARE DT-06.12.2013
AAA CARE DT-18/03/14
AAA CARE DT-06.12.2013
AA+ CARE DT 06.12.13
AA,CARE
AA,CARE
AAA,CARE DT 05/08/2011
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
MR. V.R. MOHANCOMPANY SECRETARYRELIANCE CAPITAL LTD570, Rectifier HouseNaigaum Cross Road
IN200078KARVY COMPUTERSHARE - RIL
Mr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE,MUNICIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMr. J SivakumarDeputy General ManagerKarvy Computershare Private Limited - RILMADHURA ESTATE, MUNCIPAL NO 1-9/13/CIN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.KARVY COMPUTERSHARE PVT
LTD-RILIN200078
Mr Hasit ShuklaCompany SecretaryMaker Chamber 4 , 9th Floor,222,Nariman PointMumbai-400 021
KARVY COMPUTERSHARE PVT LTDIN200842
MR. ALOK SHARMAVICE PRESIDENTPLOT NO. 17-24VITTAL RAO NAGARMADHAPUR
KARVY COMPUTERSHARE PVT LTDIN200842
MR. ALOK SHARMAVICE PRESIDENTPLOT NO. 17-24VITTAL RAO NAGARMADHAPUR
KARVY COMPUTERSHARE PVT LTD-RILIN200078
MR. K.R. RAJADIRECTOR3RD FLOOR, MAKER CHAMBERS IV222, NARIMAN POINTMUMBAI 400021
IN200078KARVY COMPUTERSHARE - RIL
MR. K.R. RAJADIRECTORRELIANCE GAS TRANSPORTATION INFRASTRUCTURE LIMITED3RD FLOOR, MAKER CHAMBERS IV
AA+ CARE
AA CARE, AA+ BWR
AA+,CARE
AA+,CARE
AA+ CARE AND BWR
AA+ CARE DT 30.12.13
AA+,CARE
AA+ CARE
AA+ CARE
AA+ CARE AND BWR
AA+ CARE AND BWR
AA+ CARE AND BWR
AA+ CARE AND BWR
AA+ CARE AND BWR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
A+ CARE DT-07.02.2013
AA CARE
AA+ CARE DT- 10.06.14
AA+ CARE DT- 10.06.14
AA CARE AND AA+ BWR
AA CARE AND AA+ BWR
AA CARE, AA+ BWR
AA CARE AND AA+ BWR
AA CARE, AA+ BWR
AA CARE, AA+ BWR
AA+ CARE, AA+ BWR
AA CARE
AA CARE
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
MR. PRASHANT BHARATICHEIF MANAGER - LEGALRELIANCE HOME FINANCE PRIVATE LIMITED570, RECTIFIER HOUSE
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
AA+ CARE AND BWR
AA+ CARE AND BWR
AA+ CARE DT 27.03.2014
AA+ CARE DT 30.04.2014
AA+ CARE
AA BWR DTD 26.09.2013
AA(SO) IND DT- 25.03.14
AA(SO) IND DT- 25.03.14
AA(SO) IND DT- 25.03.14
AA- CARE DT-11.03.14
AA- CARE DT-11.03.14
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
IN200842KARVY COMPUTERSHARE PRIVATE LIMITED
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17 - 24MADHAPUR
KARVY COMPUTERSHARE PVT LTD-RILIN200078
Mr S.SudhakarVice President - Corporate Secretarial3rd Floor.Maker Chamber IV222, Nariman Point,
KARVY COMPUTERSHARE PVT LTD-RILIN200078
Mr S.SudhakarVice President - Corporate SecretarialRELIANCE INDUSTRIES LIMITED3rd Floor.Maker Chamber IV
KARVY RIL IN200078
Mr. V. Mahesh, Vice PresidentKarvy Consultants Limited46 Avenue 4, Street No. 1Banjara HillsHyderabad – 500 034.
IN200078KARVY COMPUTERSHARE - RIL
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
AA(SO) IND DT- 25.03.14
AA(SO) IND DT- 25.03.14
AA- CARE DT-11.03.14
AA(SO) IND DT- 25.03.14
AA- CARE DT-11.03.14
AA(SO) IND DT- 25.03.14
AA- CARE DT-11.03.14
AA BWR DTD 28.10.2013
AA BWR DTD 28.10.2013
AA- CARE DT-12.12.2013
AA BWR DT- 07.01.14
AA BWR DTD 09.07.2013
AA+,CRISIL,DT-30/03/2012
AA+,CRISIL,DT-30-03-2012
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. PRAVEEN CHATURVEDIGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDMADHURA ESTATE, MUNICIPALNO 1-9/13/C, PLOT NO 13 & 13C,
IN200078KARVY COMPUTERSHARE - RIL
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.
AA+,CRISIL,DT-20-12-2011
AA+,CRISIL,DT-30-03-2012
AA BWR DTD 03.05.2013
CARE
AA BWR DTD 03.05.2013
AA BWR DTD 03.05.2013
AA BWR DTD 10.07.2013
AA+,CRISIL,DT-20-12-2011
AA BWR DTD 03.05.2013
AA BWR DTD 03.05.2013
AA BWR DTD 03.05.2013
AA BWR DTD 03.05.2013
AA BWR DTD 10.07.2013
IN200078KARVY COMPUTERSHARE - RIL
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.KARVY COMPUTERSHARE PVT
LTD-RILIN200078
Mr.VenkatachalamGeneral ManagerKarvy House, 46, Avenue 4Street No. 1, Banjara HillsHyderabad 500 034
IN200078KARVY COMPUTERSHARE - RIL
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.IN200078
KARVY COMPUTERSHARE - RILMR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PRIVATE LIMITEDMADHURA ESTATE, MUNICIPAL NO.
AAA CRISIL DT-11.06.14
AAA,CARE,DT- 21-02-2012
AAA,CARE,DT- 21-02-2012
NA
AAA CRISIL DTD 28.05.2013
AAA CRISIL DT-22.04.2013
AA- IND DT-19.03.2013
AA- IND DT-20.03.2013
AAA(SO) IND DT-27.06.2013
AAA(SO) IND DT-27.06.13
AA- ICRA DT- 17.06.14
AA- ICRA DT- 17.06.14
IN200800KARVY COMPUTERSHARE-4
MR. VENKATACHALAM SGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17 TO 24,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. ASHISH AGARWALCompany SecretaryRELIANCE MEDIAWORKS LIMITED (FORMERLY ADLABS FILMS LIMITED)
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. ASHISH AGARWALCompany SecretaryRELIANCE MEDIAWORKS LIMITED (FORMERLY ADLABS FILMS LIMITED)
IN200078KARVY COMPUTERSHARE - RIL
Ms. Mangal KulkarniAsst. Company SecretaryReliance Ports & Terminals Ltd.C/o. Reliance Industries Ltd.Old ICI Godown, Fosberry Road
IN200078KARVY COMPUTERSHARE - RIL RELIANCE PORTS AND TERMINALS
LIMITED3rd Floor, MakerChamber,IV,222,
IN200078KARVY COMPUTERSHARE - RIL
Ms. Mangal KulkarniAsst. Company SecretaryReliance Ports & Terminals Ltd.C/o. Reliance Industries Ltd.Old ICI Godown, Fosberry Road
KARVY COMPUTERSHARE PVT LTD-RILIN200078
Mr Jigar PurohitSecretatial OfficerRELIANCE UTILITIES AND POWER PRIVATE LIMITED3rd Floor, Maker Chamber,IV,222,
IN200078KARVY COMPUTERSHARE - RIL
Mr. Samir RavalAsst. Company SecretaryRELIANCE UTILITIES AND POWER PRIVATE LIMITEDOld ICI Godown, Fosberry Road
IN200800KARVY COMPUTERSHARE-4
MR. SUDHAKAR SHETTYDIRECTOR - COMPLIANCE & SECRETARYRELIGARE ENTERPRISES LIMITEDD3, P3B, DISTRICT CENTRE,
IN200800KARVY COMPUTERSHARE-4
MR. SUDHAKAR SHETTYDIRECTOR - COMPLIANCE & SECRETARYRELIGARE ENTERPRISES LIMITEDD3, P3B, DISTRICT CENTRE,
IN200800KARVY COMPUTERSHARE-4
MR. SUDHAKAR SHETTYDIRECTOR - COMPLIANCE & SECRETARYRELIGARE ENTERPRISES LIMITEDD3, P3B, DISTRICT CENTRE,
IN200800KARVY COMPUTERSHARE-4
MR. SUDHAKAR SHETTYDIRECTOR - COMPLIANCE & SECRETARYRELIGARE ENTERPRISES LIMITEDD3, P3B, DISTRICT CENTRE,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. LtdC-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. LtdC-13, Pannalal Silk Mills Compound,
LAA,ICRA,DT-25-02-2011
AA- ICRA DT- 17.06.14
PP-MLD AA- ICRA 18.05.12
PP-MLD AA- ICRA 18.05.12
PPMLD AA- ICRA 24.08.12
AA,ICRA,DT-27-12-2011
AA- ICRA DTD 09.07.2012
PP-MLD AA- ICRA 18.05.12
AA- ICRA DTD 24.08.2012
AA- ICRA DTD 24.08.2012
PPMLD AA- ICRA 24.08.2012
AA,ICRA,DT-27-12-2011
AA,ICRA,DT-27-12-2011
AA- ICRA DTD 24.08.2012
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Punit AroraCompany SecretaryReligare Finvest LimitedA-3 to A-5, GYS Global-4th FloorSector 125�
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. LtdC-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Punit AroraCompany SecretaryReligare Finvest LimitedD3, P3B, District center,Saket, New Delhi 110 017
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Punit AroraCompany SecretaryReligare Finvest LimitedD3, P3B, District center,Saket, New Delhi 110 017
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Punit AroraCompany SecretaryReligare Finvest LimitedD3, P3B, District center,Saket, New Delhi 110 017
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
AA- ICRA DTD 24.08.2012
AA- ICRA DTD 24.08.2012
AA- ICRA DTD 24.08.2012
AA- ICRA DTD 24.08.2012
AA- ICRA DTD 24.08.2012
AA- ICRA DTD 24.08.2012
AA- ICRA DTD 30.10.2012
AA- ICRA
AA- ICRA
AA-,ICRA,DT-12-08-2011
AA-,ICRA,DT-12-08-2011
AA-,ICRA,DT-12-08-2011
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Punit AroraCompany SecretaryReligare Finvest LimitedD3, P3B, District center,Saket, New Delhi 110 017
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Punit AroraCompany SecretaryReligare Finvest LimitedD3, P3B, District center,Saket, New Delhi 110 017
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, SaketDistrict Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, SaketDistrict Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, SaketDistrict Centre
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
AA- ICRA DTD 24.08.2012
AA- ICRA DTD 06.03.2013
AA-,ICRA,DT-12-08-2011
AA-,ICRA,DT-12-08-2011
AA-,ICRA,DT-12-08-2011
LAA,ICRA,DT-01-06-2011
AA,ICRA,DT-30-06-2011
AA,ICRA,DT-30-06-2011
NA
AA,ICRA,DT-16-09-2011
AA,ICRA,DT-30-11-2011
AA,ICRA,DT-16-09-2011
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITED (FORMERLY FORTIS FINVEST LIMITED)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, Saket,District Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Punit AroraCompany SecretaryReligare Finvest LimitedA-3 to A-5, GYS Global-4th FloorSector 125�
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, SaketDistrict Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, SaketDistrict Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Punit AroraCompany SecretaryRELIGARE FINVEST LIMITEDD3, P3B, SaketDistrict Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Punit AroraCompany SecretaryReligare Finvest LimitedA-3 to A-5, GYS Global-4th FloorSector 125�
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Punit AroraCompany SecretaryReligare Finvest LimitedA-3 to A-5, GYS Global-4th FloorSector 125�
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Punit AroraCompany SecretaryReligare Finvest LimitedA-3 to A-5, GYS Global-4th FloorSector 125�
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Punit AroraCompany SecretaryReligare Finvest LimitedA-3 to A-5, GYS Global-4th FloorSector 125�
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Punit AroraCompany SecretaryReligare Finvest LimitedA-3 to A-5, GYS Global-4th FloorSector 125�
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Punit AroraCompany SecretaryReligare Finvest LimitedA-3 to A-5, GYS Global-4th FloorSector 125�
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Punit AroraCompany SecretaryReligare Finvest LimitedA-3 to A-5, GYS Global-4th FloorSector 125�
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
A1 CARE DTD 07.08.2013
A1(SO) CARE DTD 12.09.13
A1(SO) IND DTD 12.09.13
A1(SO) CARE DT- 19.03.14
IN200133MAS SERVICES LIMITED
MR. SURAJIT CHANDAAUTHORISED SIGNATORYRESPONSIVE SUTIP LIMITEDGUT NO.120,BETAGAON MAHANGAON ROAD,
IN200133MAS SERVICES LIMITED
MR. SURAJIT CHANDAAUTHORISED SIGNATORYRESPONSIVE SUTIP LIMITEDGUT NO.120,BETAGAON MAHANGAON ROAD,
IN200133MAS SERVICES LIMITED
MR. SURAJIT CHANDAAUTHORISED SIGNATORYRESPONSIVE SUTIP LIMITEDGUT NO.120,BETAGAON MAHANGAON ROAD,
IN200133MAS SERVICES LIMITED
MR. SURAJIT CHANDAAUTHORISED SIGNATORYRESPONSIVE SUTIP LIMITEDGUT NO.120,BETAGAON MAHANGAON ROAD,
IN200133MAS SERVICES LIMITED
MR. SURAJIT CHANDAAUTHORISED SIGNATORYRESPONSIVE SUTIP LIMITEDGUT NO.120,BETAGAON MAHANGAON ROAD,
IN200133MAS SERVICES LIMITED
MR. SURAJIT CHANDAAUTHORISED SIGNATORYRESPONSIVE SUTIP LIMITEDGUT NO.120,BETAGAON MAHANGAON ROAD,
IN200133MAS SERVICES LIMITED
MR. SURAJIT CHANDAAUTHORISED SIGNATORYRESPONSIVE SUTIP LIMITEDGUT NO.120,BETAGAON MAHANGAON ROAD,
IN200133MAS SERVICES LIMITED
MR. SURAJIT CHANDAAUTHORISED SIGNATORYRESPONSIVE SUTIP LIMITEDGUT NO.120,BETAGAON MAHANGAON ROAD,
IN200133MAS SERVICES LIMITED
MR. SURAJIT CHANDAAUTHORISED SIGNATORYRESPONSIVE SUTIP LIMITEDGUT NO.120,BETAGAON MAHANGAON ROAD,
IN200133MAS SERVICES LIMITED
MR. SURAJIT CHANDAAUTHORISED SIGNATORYRESPONSIVE SUTIP LIMITEDGUT NO.120,BETAGAON MAHANGAON ROAD,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASST. VICE PRESIDENTLINK INTIME INDIA PRIVATE LIMITEDC-13, PANNALAL SILK MILLS COMPOUND,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASST. VICE PRESIDENTLINK INTIME INDIA PRIVATE LIMITEDC-13, PANNALAL SILK MILLS COMPOUND,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASST. VICE PRESIDENTLINK INTIME INDIA PRIVATE LIMITEDC-13, PANNALAL SILK MILLS COMPOUND,IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Sanjeev Kumar SinghalSr. Manager-Secretarial & FinanceRHC Holding Private Limited54,Janpath,
A1 CARE DT-25.03.14
A IND DT- 18.02.14
A IND DT-20.12.2013
BB- CARE DTD 12.03.2013
BB- CARE DTD 12.03.2013
BB- CARE DTD 12.03.2013
A-(SO) BWR DT-04.02.2013
A- ICRA
NA
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Sanjeev Kumar SinghalSr. Manager-Secretarial & FinanceRHC Holding Private Limited54,Janpath,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Sanjeev Kumar SinghalSr. Manager-Secretarial & FinanceRHC Holding Private Limited54,Janpath,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KUMAR SINGHALSENIOR MANAGER-SECRETARIAL & FINANCERHC HOLDING PRIVATE LIMITED54 JANPATH,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. NAYAN PARULEKARSR. VICE PRESDIENTRICHA REALTORS PRIVATE LIMITED1 ST FLOOR, J.V. HOUSE,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. NAYAN PARULEKARSR. VICE PRESDIENTRICHA REALTORS PRIVATE LIMITED1 ST FLOOR, J.V. HOUSE,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. NAYAN PARULEKARSR. VICE PRESDIENTRICHA REALTORS PRIVATE LIMITED1 ST FLOOR, J.V. HOUSE,
IN200125TSR DARASHAW PRIVATE LIMITED
MR. ATUL DAGADIRECTORRKN RETAIL PRIVATE LIMITED5TH & 6TH FLOOR, SKYLINE ICON,NEAR MITTAL ESTATE,
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. M.J. MAHADEV PRAKASHDY. GENERAL MANGER - LEGALTHE MILLENIA, TOWER BLEVEL 12, NO.1 & 2,MURPHY ROAD
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. M.J. MAHADEV PRAKASHDY. GENERAL MANGER - LEGALTHE MILLENIA, TOWER BLEVEL 12, NO.1 & 2,MURPHY ROAD
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. M.J. MAHADEV PRAKASHDY. GENERAL MANGER - LEGALTHE MILLENIA, TOWER BLEVEL 12, NO.1 & 2,MURPHY ROAD
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. M.J. MAHADEV PRAKASHDY. GENERAL MANGER - LEGALTHE MILLENIA, TOWER BLEVEL 12, NO.1 & 2,MURPHY ROAD
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseGeneral ManagerKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200125TSR DARASHAW LIMITED
ROHAN BUILDER & DEVELOPERS PRIVATE LIMITEDPRADEEP CHAMBER,813,BHANDARKAR INSTITUTE ROAD
IN200035KARVY COMPUTERSHARE
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
NA
AAA,CRISIL,ST-05-07-2011
AAA CRISIL DTD 18.09.2012
IN200117BIGSHARE SERVICES
Mr. Babu Rapheal CSenior ManagerBigshare Services Private LimitedE-2/3, Ansa Industrial Estate,Saki Vihar Road, Sakinaka,
IN200301RCMC SHARE REGISTRY
MR RAKESH ADHANASR. VICE PRESIDENTRCMC SHARE REGISTRY PVT. LTD.B -106SECTOR - 2
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
RCMC SHARE REGISTRY PVT. LTD.IN200301
Mr. Naresh ChanderDirectorM/S RCMC Share Registry (P) Ltd.1515 First Floor, Bhisham Pitamah Ma
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200301RCMC SHARE REGISTRY
MR RAKESH ADHANASR. VICE PRESIDENTRCMC SHARE REGISTRY PVT. LTD.B -106SECTOR - 2
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
RCMC SHARE REGISTRY PVT. LTD.IN200301
Mr. Naresh ChanderDirectorRCMC Share Registry (P) Ltd.M/S RCMC Share Registry (P) Ltd.1515 First Floor, Bhisham Pitamah MaIN200301
RCMC SHARE REGISTRYMR RAKESH ADHANASR. VICE PRESIDENTRCMC SHARE REGISTRY PVT. LTD.B -106SECTOR - 2
IN200504BEETAL FINAN.AND COMPU.
Mr. S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200301RCMC SHARE REGISTRY
MR RAKESH ADHANASR. VICE PRESIDENTRCMC SHARE REGISTRY PVT. LTD.B -106SECTOR - 2
IN200301RCMC SHARE REGISTRY
MR RAKESH ADHANASR. VICE PRESIDENTRCMC SHARE REGISTRY PVT. LTD.B -106SECTOR - 2
RCMC SHARE REGISTRY PVT. LTD.IN200301
Mr. Naresh ChanderDirectorM/S RCMC Share Registry (P) Ltd.1515 First Floor, Bhisham Pitamah Ma
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
N.A.
N.A.
N.A.
NA
NA
NA
NA
NA
NA
NA
RCMC SHARE REGISTRY PVT. LTD.IN200301
Mr. Naresh ChanderDirectorRCMC Share Registry (P) Ltd.M/S RCMC Share Registry (P) Ltd.1515 First Floor, Bhisham Pitamah MaIN200301
RCMC SHARE REGISTRYMr. Rakesh AdhanaSr. Vice PresidentRCMC Share Registry Private LimitedB -106, Sector 2�
IN200301RCMC SHARE REGISTRY
Mr. Rakesh AdhanaSr. Vice PresidentRCMC Share Registry Private LimitedB -106, Sector 2�
RCMC SHARE REGISTRY PVT. LTD.IN200301
Mr. Naresh ChanderDirectorRCMC Share Registry (P) Ltd.1515 1st Floor, Bhisham Pitamah Marg
IN200301RCMC SHARE REGISTRY
Mr. Rakesh AdhanaSr. Vice PresidentRCMC Share Registry Private LimitedB -106, Sector 2�
IN200301RCMC SHARE REGISTRY
Mr. Rakesh AdhanaSr. Vice PresidentRCMC Share Registry Private LimitedB -106, Sector 2�
IN200301RCMC SHARE REGISTRY
Mr. Rakesh AdhanaSr. Vice PresidentRCMC Share Registry Private LimitedB -106, Sector 2�
IN200301RCMC SHARE REGISTRY
Mr. Rakesh AdhanaSr. Vice PresidentRCMC Share Registry Private LimitedB -106, Sector 2�
IN200301RCMC SHARE REGISTRY
Mr. Rakesh AdhanaSr. Vice PresidentRCMC Share Registry Private LimitedB -106, Sector 2�
IN200301RCMC SHARE REGISTRY
Mr. Rakesh AdhanaSr. Vice PresidentRCMC Share Registry Private LimitedB -106, Sector 2�
RCMC SHARE REGISTRY PVT. LTD.IN200301
Mr. Naresh ChanderDirectorRCMC Share Registry (P) Ltd.1515 1st Floor, Bhisham Pitamah Marg
IN200301RCMC SHARE REGISTRY
Mr. Rakesh AdhanaSr. Vice PresidentRCMC Share Registry Private LimitedB -106, Sector 2�
IN200301RCMC SHARE REGISTRY
Mr. Rakesh AdhanaSr. Vice PresidentRCMC Share Registry Private LimitedB -106, Sector 2�
RCMC SHARE REGISTRY PVT. LTD.IN200301
Mr. A. B. L. SrivastavaGeneral Manager (Finance)RURAL ELECTRIFICATION CORPORATION LIMITEDCore - 4, SCOPE Complex
NA
AAA CRISIL DTD 25.03.2013
AAA CRISIL DTD 25.03.2013
AAA CRISIL DTD 25.03.2013
AAA CRISIL DTD 25.03.2013
AAA,CRISIL,DT-05-07-2011
AAA CRISIL DTD 25.03.2013
AAA,CRISIL DT 24/08/2011
AAA CRISIL DTD 25.03.2013
AAA CRISIL DTD 01.10.13
AAA,CRISIL,DT-27-09-2011
AAA CRISIL DTD 25.03.2013
AAA CRISIL DTD 25.03.2013
RCMC SHARE REGISTRY PVT. LTD.IN200301
Mr. A. B. L. SrivastavaGeneral Manager (Finance)Core - 4, SCOPE Complex7 Lodhi RoadNew Delhi - 110 003
IN200301RCMC SHARE REGISTRY
Mr. Rakesh AdhanaSr. Vice PresidentRCMC Share Registry Private LimitedB -106, Sector 2�
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL Finan. And CompuBeetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
AAA CRISIL DTD 25.03.2013
AAA CRISIL DTD 25.03.2013
NA
AAA CRISIL DTD 25.03.2013
AAA ICRA DT 18.02.2014
AAA CRISIL DT- 11.03.14
AAA CRISIL DTD 25.03.2013
AAA CRISIL DT- 23.04.14
AAA CRISIL DT- 23.04.14
AAA CRISIL DT- 23.04.14
AAA CRISIL DTD 02.07.2012
AAA CRISIL DTD 27.07.2012
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVOFFICER- INVESTOR RELATIONSLINK INTIME INDIA PRIVATE LIMITEDC-13 PANALAL SILK MILLS COMPOUNDRCMC SHARE REGISTRY PVT. LTD.
IN200301Mr. A. B. L. SrivastavaGeneral Manager (Finance)RURAL ELECTRIFICATION CORPORATION LIMITEDCore - 4, SCOPE Complex
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVOFFICER- INVESTOR RELATIONSLINK INTIME INDIA PRIVATE LIMITEDC-13 PANALAL SILK MILLS COMPOUNDIN200504
BEETAL FINAN.AND COMPU.Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVOFFICER- INVESTOR RELATIONSLINK INTIME INDIA PRIVATE LIMITEDC-13 PANALAL SILK MILLS COMPOUNDIN200301
RCMC SHARE REGISTRYMr. B K JOHARDY GENERAL MANAGER (FIN)RURAL ELECTRIFICATION CORPORATION LIMITEDCORE 4, SCOPE COMPLEX,
IN200301RCMC SHARE REGISTRY
Mr. B K JOHARDY GENERAL MANAGER (FIN)RURAL ELECTRIFICATION CORPORATION LIMITEDCORE 4, SCOPE COMPLEX,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVOFFICER- INVESTOR RELATIONSLINK INTIME INDIA PRIVATE LIMITEDC-13 PANALAL SILK MILLS COMPOUNDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVOFFICER- INVESTOR RELATIONSLINK INTIME INDIA PRIVATE LIMITEDC-13 PANALAL SILK MILLS COMPOUNDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVOFFICER- INVESTOR RELATIONSLINK INTIME INDIA PRIVATE LIMITEDC-13 PANALAL SILK MILLS COMPOUNDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. DINESH YADAVOFFICER- INVESTOR RELATIONSLINK INTIME INDIA PRIVATE LIMITEDC-13 PANALAL SILK MILLS COMPOUNDIN200504
BEETAL FINAN.AND COMPU.Mr. S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
RCMC SHARE REGISTRY PVT. LTD.IN200301
Mr Rakesh AdhanaSr Vice PresidentB -106, Sector - 2Noida (U.P.) – 201 301
AAA CRISIL DTD 01.10.13
AAA CRISIL DTD 29.10.13
AAA CRISIL DTD 09.12.13
AAA ICRA DT 27.01.2014
AAA CRISIL DT- 04.06.14
AAA CRISIL DTD 02.07.2012
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL Finan. And CompuBeetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL Finan. And CompuBeetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. B K JOHARDY GENERAL MANAGER (FIN)RURAL ELECTRIFICATION CORPORATION LIMITEDCORE 4, SCOPE COMPLEX,
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
IN200301RCMC SHARE REGISTRY
Mr. B K JOHARDY GENERAL MANAGER (FIN)RURAL ELECTRIFICATION CORPORATION LIMITEDCORE 4, SCOPE COMPLEX,
IN200301RCMC SHARE REGISTRY
Mr. B K JOHARDY GENERAL MANAGER (FIN)RURAL ELECTRIFICATION CORPORATION LIMITEDCORE 4, SCOPE COMPLEX,
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
AAA CRISIL DTD 12.02.2013
AAA,CRISIL,DT-09-02-2011
AAA,CRISIL,DT-05-07-2011
AAA,CRISIL,DT-05-07-2011
AAA,CRISIL,DT-25-10-2011
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBeetal House, 3 rd Floor99, MadangirBehind Local Shopping Centre
BEETAL FINAN.AND COMPU.IN200504
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. S.P. GuptaVice PresidentBeetal Financial & Computer Services Pvt. LimitedBeetal House, 3rd Floor,
IN200504BEETAL FINAN.AND COMPU.
MR S P GUPTAVICE PRESIDENTBEETAL FINAN.AND COMPU.BEETAL HOUSE, 3 RD FLOOR99, MADANGIR
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
AAA,CRISIL,DT-29-04-2011
AAA,CRISIL,DT-29-04-2011
AAA,CRISIL,DT-29-04-2011
AAA,CRISIL,DT-29-04-2011
AAA,CRISIL,DT-21-02-2012
AAA CRISIL DTD 07.11.2012
AAA CRISIL DT-12.02.2013
AAA CRISIL DTD 25.03.2013
AAA CRISIL DTD 16.05.2013
AAA CRISIL DTD 13.08.13
AAA CRISIL DTD 13.08.13
AAA CRISIL DTD 13.08.13
AAA CRISIL DTD 01.10.13
AAA CRISIL DT- 18.02.14
IN200504BEETAL FINAN.AND COMPU.
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200504BEETAL FINAN.AND COMPU.
Mr. S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr. S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
AAA CRISIL DT- 18.02.14
AAA,CRISIL,DT-29-04-2011
AAA,CRISIL,DT-29-04-2011
AAA,CRISIL,DT-29-04-2011
AAA,CRISIL,DT-29-04-2011
AAA,CRISIL,DT-21-02-2012
AAA CRISIL DTD 07.11.2012
AAA CRISIL DT-12.02.2013
AAA CRISIL DTD 13.08.13
AAA CRISIL DTD 13.08.13
AAA CRISIL DTD 13.08.13
AAA CRISIL DTD 01.10.13
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200504BEETAL FINAN.AND COMPU.
Mr S P GuptaVice PresidentBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
AAA CRISIL DT- 18.02.14
AAA CRISIL DT- 18.02.14
AAA CRISIL DTD 13.08.13
AAA CRISIL DTD 13.08.13
AAA CRISIL DT- 18.02.14
AAA CRISIL DT- 18.02.14
NA
NA
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,Vithalrao Nagar,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DEVANG MEHTAGROUP COMPANY SECRETARYRUSTOMJEE CONSTRUCTIONS PRIVATE LIMITED702, NATRAJ, M V ROAD JUNCTION,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. DEVANG MEHTAGROUP COMPANY SECRETARYRUSTOMJEE CONSTRUCTIONS PRIVATE LIMITED702, NATRAJ, M V ROAD JUNCTION,
Remarks
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Arranger/Lead Manager to the issue
REDEMPTION - 12/06/2016, 12/06/2017 AND 12/06/2018
REDEMPTION - 01/12/2016, 01/12/2017 AND 30/10/2018
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
EQUAL AMMORTISATION ON 18/12/2015, 18/09/2016, 18/06/2017 REDEEMPTION PREMIUM IN THREE INSTALLMENT OF RS. 25, 240 PER DEBENTURE
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA 1. REDEMPTION- ON 1ST OF FEB AND AUG EVERY YEAR STARTING 01/02/15 TILL 01/08/18.2. COUPON-12% p.a. PAYABLE QTRLY AND BALANCE RETURN (3.5% TO MAINTAIN IRR-15.5% p.a.) IS PAYABLE TOGETHER WITH Refer issuer for further details.
Arranger- A K CAPITAL SERVICES LTD, TRUST INVESTMENT ADVISORY P.LTD, SPA MERCHANT BANKER LTD, ALMOND
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Arranger- Trust Capital Services India Pvt ltd
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER - DERIVIUM TRADITION (INDIA)
ARRANGER - DERIVIUM TRADITION (INDIA)
ARRANGER - DERIVIUM TRADITION SECURITIES INDIA PVT LTD.
1) COUPON RATE - BENCHMARK + SPREAD (PAYABLE MONTHLY) BASE RATE CAP 10.50% (PAYABLE MONTHLY) BASE RATE FLOOR 8.75% (PAYABLE MONTHLY) FOR
Arranger- BNK SECURITIES PVT LTD
ARRANGER - A K CAPITAL SERVICES LTD.
ARRANGER-A.K. CAPITAL SEVICES LTD
NA
NA
Arranger- DEUTSCHE BANK
NA
NA
NA
ARRANGER - A K CAPITAL SERVICES LIMITED
Arranger- TRUST INVESTMENT ADIVISIORS PVT LTD
Mr. Harish ShahCompany SecretaryKOTAK MAHINDRA PRIME LIMITED (FORMERLY KOTAK MAHINDRA PRIMUS LIMITED)
Mr. S.R. VenkatesanCompany SecretaryTata Teleservices Ltd.5th Floor, KLK EstateFateh Maidan Road
NA
NA
NA
NA
Contact issuer for further details.
Arranger- CENTRUM CAPITAL LTD
Mr. Mahendra N. ShahCompany SecretaryINFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED5th Floor, 501, Naman Chambers
Contact issuer for conversion details
Arranger- AK CAPITAL SERVICES LTD
Arranger- A K CAPITAL SERVICES PVT LTD
Arranger- A K CAPITAL SERVICES LTD
Redemption would be at premium .Redemption value per security - Rs.13,43,367/-
Arranger/Lead Manager to the issue- ING VYSYA BANK LTD
NA
NA
NA 12.1% p.a. PAYABLE ANNUALLY 20TH MAY EVERY YEAR. COUPON RATE SHALL BE STEPPED UP BY 100 BPS i.e. 13.1% p.a. FOR SUBSEQUENT YEARS, IF CALL
Final redemption amount is Rs.13197479.32
Remark on Redemption date : Partial-Rs.30,000 on 01-Jul-08Rs.30,000 on 01-Jul-09Rs.40,000 on 01-Jul-10
Issue date / Allotment date : 05-Nov-9919-Nov-9918-Feb-0031-Mar-00
Issue date / Allotment date : 01-Aug-02 to 31-Aug-02
Remark on Redemption date :60 Quarterly Instalments From 1st April 2003 to 1st Jan 2018
Mr. B.K. DagaCompany SecretaryJK LAKSHMI CEMENT LTD.(FORMERLY JK CORP LIMITED)Gulab Bhavan,3rd floor,
NA
ARRANGER-YES BANK LTD
NA
NA
REDEMPTION -EQUAL MONTHLY INSTALLMENT STARTING 12 MONTHS AFTER THE ALLOTMENT. i.e. FROM 15/03/2014
Debentures will be Redeemable in 3 equal annual installments on 04/11/2016;04/11/2017 & 04/11/2018
ARRANGER - EDELWEISS FINANCIAL SERVICES LIMITED
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - DEUTSCHE BANK AG
NA
NA
NA
NA
NA
ARRANGER - NOMURA FINANCIAL ADVISORY AND SECURITIES (I) PVT LTD.
ARRANGER - FIRST RAND BANK LTD. MUMBAI BRANCH
ARRANGER - TRUST INVESTMENT ADVISOR PVT LTD
ARRANGER - DERIVIUM TRADITION SECURITIES (I) PVT LTD.
ARRANGER - A K CAPITAL SERVICES LTD.
ARRANGER - IDFC LIMITED
NA
NA
NA
NA
NA
NA
NA
10.15% FOR FIRST 3YRS - 22/03/2012 TO 21/03/2015. & 9.25% FOR THE NEXT 2YRS - 22/03/2015 -21/03/2017
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER - TRUST INVESTMENT ADVISORS PRIVATE LIMITED
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - TRUST INVESTMENT ADVISORS PVT. LTD.
NA
NA
ARRANGER-YES BANK LTD
NA
ARRANGER - KOTAK MAHINDRA BANK LIMITED
COUPON - KOTAK MAHINDRA BANK BASE RATE(9.75%)+SPREAD(-0.65%) PRESENT 9.1% BR FLOOR- 8.2%, BR CAP-10%
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- TRUST INVESTMENT ADVISORS LTD
For further detail refer to the issuer
ARRANGER - DARASHAW & CO PVT LTD
NA
ARRANGER - YES BANK LIMITED
ARRANGER - YES BANK LIMITED
ARRANGER- YES BANK LIMITED
ARRANGER - DERIVIUM TRADITION SECURITIES (INDIA) PVT LTD, TRUST INVESTMENT ADVISORS PVT LTD. ETC.
ARRANGER-SPA SECURITIES LTD & A.K. CAPITAL SERVICES LTD
ARRANGER - DARASHAW & CO PVT LTD
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER-KOTAK MAHINDRA BANK LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
Remark on Redemption date : potentially any of 30/01/2011,28/02/2011,30/03/2011,30/04/2011,30/05/201
NA
NA
ARRANGER - YES BANK LIMITED
ARRANGER - IDFC LIMITED
ARRANGER - YES BANK LIMITED
ARRANGER - YES BANK LIMITED
KOTAK MAHINDRA BANK
KOTAK MAHINDRA BANK
KOTAK MAHINDRA BANK
HDFC BANK AND KOTAK MAHINDRA BANK
REDEMPTION PREMIUM OF 10.78% ANNUALISED
HDFC BANK AND KOTAK MAHINDRA BANK
REDEMPTION PREMIUM OF 2.78% ANNUALIZED
RBS
RBS
RBS
NA
HDFC BANK AND KOTAK MAHINDRA BANK
REDEMPTION PREMIUM OF 2.78% ANNUALIZED
Arranger- HDFC BANK, YES BANK LTD
Arranger- HDFC BANK, YES BANK LTD
Arranger- HDFC BANK, YES BANK LTD
LEAD MANAGER-ICICI SECURITIES LTD
REDEMPTION PREMIUM- RS143930 PER NCD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
AK CAPITAL SERVICES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
ARRANGER - A K CAPITAL SERVICES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
Arranger- A K CAPITAL SERVICES LTD
Arranger- A K CAPITAL SERVICES LTD
Arranger- A K CAPITAL SERVICES LTD
Arranger- A K CAPITAL SERVICES LTD
Arranger- A K CAPITAL SRVICES LTD
Arranger- A K CAPITAL SERVIES LTD
NA
NA
NA
KOTAK MAHINDRA BANK LTD
Debenture will be redeemable in 3 installments,33% on 21/10/2013,33% on 21/10/2014 & 34% on 21/10/20
ARRANGER - AXIS CAPITAL PRIVATE LIMITED
ARRANGER - AXIS CAPITAL PRICATE LIMITED
REDEMPTION-20% ON 28/02/16, 30% ON 28/02/17, 25% ON 28/02/18, 25% ON 28/02/19
ARRANGER-A K CAPITAL SERVICES LIMITED
REDEMPTION- 30% ON 03/10/16, 30% ON 03/10/17 AND 40% ON 03/10/18
ARRANGER-A K CAPITAL SERVICES LIMITED
REDEMPTION OF 30% -15/03/16, 30% -15/03/17, 40% ON 15/03/18
REDEMPTION OF 30% -28/03/16, 30% -28/03/17, 40% ON 28/03/18
REDEMPTION - 28/09/14, 28/03/15, 28/09/15, 28/03/16, 28/09/16, 28/03/17, 28/09/17 & 28/03/18
REDEMPTION - RS. 12,50,000/- ON 29/04/14, 29/07/14, 29/10/14, 29/01/15
KOTAK MAHINDRA BANK LTD
NA
NA
NA
NA
NA
REDEMPTION-25/09/2014,25/12/2014,25/03/2015,25/06/2015 AND 25/09/2015 - RS. 20,00,000 PER DEBENTURE
ARRANGER - KOTAK MAHINDRA BANK LIMITED
ARRANGER - AVENDUS CAPITAL PVT. LTD.
ARRANGER-DESTIMONEY SECURITIES PVT LTD, LEAD MANAGER-IDBI TRUSTEESHIP SERVICES LTD
CONVERSION-THE DEBENTURE HOLDER HAVE THE RIGHT TO CONVERT THE SAID DEBENTURE INTO EQUITY SHARE RANK PARI PASSU IN REDEMPTION PREMIUM-24% IRR TO BE PAID COMPUTED EVERY YEAR THE REDEMPTION SHALL BE MADE AFTER 5 YEARS WITH PAYMENT OF PRINCIPAL AMOUNT
ARRANGER-AXIS FINANCE LTD
ARRANGER-AXIS FINANCE LTD
Arranger- TATA CAPITAL LTD
Arranger- DARASHAW & CO PVT LTD
12.50% p.a.payable annually , step up option - coupon rate on bonds shall be stepped up by 100 bps i.e.13.50% p.a. for subsequent years, if call option is
LEAD MANAGER- REAL GROWTH SECURITIES PVT LTD
LEAD MANAGER- REAL GROWTH SECURITIES PVT LTD
LEAD MANAGER- REAL GROWTH SECURITIES PVT LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
LEAD MANAGER- REAL GROWTH SECURITIES PVT LTD
LEAD MANAGER- REAL GROWTH SECURITIES PVT LTD
LEAD MANAGER- REAL GROWTH SECURITIES PVT LTD
REDEMPTION - 31 DEC, 31 MAR, 30 JUN, 30 SEP STARTING FROM 30/06/14 TILL 30/06/15 AND ON 31/08/15
REDEMPTION-16.67% EACH ON 30/06/14, 30/09/14, 31/12/14, 31/03/15, 30/06/15, 30/09/15
REDEMPTION-16.67% EACH ON 30/06/14, 30/09/14, 31/12/14, 31/03/15, 30/06/15, 30/09/15
Contact issuer for conversion details
Debenture will be redeemable in two equal annual installments on 10/12/2012 & 10/12/2013
HOLDERS OF OCD SHALL HAVE RIGHT TO CONVERT THE SAID OCD INTO FULLY PAID EQ SHARES OF THE CO DURING 18 MNTHS FROM THE DATE OF ISSUANCE, COUPON- 12.7% IBR+ 1.8% PAYABLE MONTHLY 2. REDEMPTION- QUANTITY REDEMPTION OF 2500 NCD ON 8 HALF YEARLY REDEMPTIONS
NA
NA
NA
NA
N.A.
NA
ARRANGER - A. K. CAPITAL SERVICES LTD AND ALTIUS FINSERV PVT LTD
ARRANGER - A. K. CAPITAL SERVICES LTD AND ALTIUS FINSERV PVT LTD
ARRANGER - A. K. CAPITAL SERVICES LTD AND ALTIUS FINSERV PVT LTD
REDEMPTION - 30% ON 28/03/2021 & 28/03/2022, 40% ON 28/03/2023
Mr. L. VednarayananManaging DirectorRBS FINANCIAL SERVICES (INDIA) PRIVATE LTD81, Sakhar BhawanMr.Ramesh HaranHead - ComplianceBARCLAYS INVESTMENTS & LOANS (INDIA) LIMITED7th Floor,B wing, Bonanza,SaharPlaza
Redemption date: Subject to adjustment in accordance with the terms and condition of the debenture.
NA
NA
NA
NA
NA
Coupon Rate - Max ( 0%, PR* gold performance )
Coupon Rate - Max ( 0%, PR* nifty performance )
Lead Manager-ICICI Securities Ltd,Hdfc Bank,JM Financial,Kotak Mahindra Capital & Yes Bank
Lead Manager-ICICI Securities Ltd,Hdfc Bank,JM Financial,Kotak Mahindra Capital & Yes Bank
NA
NA
NA
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
NA
NA
NA
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
Lead Manager-ICICI Securities Ltd,Hdfc Bank,JM Financial,Kotak Mahindra Capital & Yes Bank
Lead Manager-ICICI Securities Ltd,Hdfc Bank,JM Financial,Kotak Mahindra Capital & Yes Bank
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
12.95%, IF THE CALL OPTION HAS NOT HAPPENED AT THE END OF 10TH YEAR,THEN THE INTEREST WILL CHANGED FROM 12.95% TO 13.95%.
Arranger- RATNAKAR BANK LTD
NA
NA
NA
DEBENTURE WILL BE REDEEM IN 4 EQUAL INSTALLMENTS OF 25% STARTING FROM 01/07/2013, 01/01/2014, 01/07/2014 & 19/12/2014
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
NA
NA
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER- ICICI SECURITIES LTD
LEAD MANAGER-ICICI SECURITIES LTD
Arranger- A K CAPITAL SERVICES LTD
Debentures are also issued on 19/02/2011. Contact issuer for conversion details.
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
SBI CAPITAL MARKETS LTD, VIVRO FINANCIAL SERVICES PVT LTD
NA
Arranger- BARCLAYS BANK PLC
8.90% p.a.for 10 years & 9.40% p.a thereafter if call option is not exercised after 10 years
Arranger/Lead Manager - ISEC PRIMARY DEALERSHIP, J P MORGAN
Arranger- ICICI SECURITIES PRIMARY DEALERSHIP LTD, SBI CAPITAL MARKET LTD, STANDARD CHARTERED BANK,
5 Y INCMTBMK on Reuters page " 0#INCMTBMK=" at 5.50 pm ; average of 3 days preceding the Coupon Reset.
Arranger-ICICI BANK, DARASHAWN & CO PVT LTD. Lead Manager- ICICI BANK
Arranger/Lead Manager to the issue- DARASHAW & CO PVT LTD
Arranger- DARASHAW & CO PVT LTD, STANDARD CHARTERED BANK, KOTAK MAHINDRA BANK, AXIS BANK. Lead Manag
Arranger- ICICI BANK, BARCLYAS BANK ,ISEC-PD, AXIS BANK, Lead Manager to the issue- TRUST CAPITAL
Debenture will be redeemable in 6 installments starting from 28/08/2013 till 28/11/2014
Arranger- BARCLYAS BANK, DARASHAW, Lead Manager to the issue- CITI BANK
KOTAK MAHINDRA BANK LTD.
DEUTSCHE BANK AG,
ARRANGER- YES BANK
HSBC LIMITED, ICICI, DARASHAW, AXIS BANK, BARCLAYS BANK, YES BANK, TRUST CAPITAL, I SEE PD, KOTAK MAHINDRA BANK, ING VYSYA BANK
ICICI BANK, AXIS BANK/ BARCLAYS BANK
ICICI BANK, AXIS BANK DARASHAW, YES BANK, TRUST CAPITAL
Arranger-ICICI BANK, KOTAK MAHINDRA BANK, ISEC-PD, AXIS BANK, IDFC BANK, DARASHAW,Lead Manager to th
ARRANGER - HSBC, AXIS, ICICI / LEAD MANAGER - HSBC
Arranger- ICICI BANK, DEUTSCHE BANK
I-SEC PD AND ICICI BANK /AXIS BANK LTD
ARRANGER-TRUST INVESTMENT ADVISOR PVT LTD
ARRANGER - AXIS BANK LIMITED
ICICI BANK
Arranger- TRUST CAPITAL,Lead Manager to the issue- AXIS BANK
STANDARD CHARTERED BANK LTD
Arranger/Lead Manager- ISEC PRIMARY DEALERSHIP LTD
9.73% for 1st 10 years and step up of 50bps if call option is not exercised
For further detail refer to the issuer
NA
Arranger-NOMURA CAPITAL, HDFC BANK, IDFC LTD, ING VYSYA, DARASHAW, STANDARD CHARTERED, ICICI BANK, I
ARRANGER - AXIS BANK LTD
Final payout date is 19th June 2009
ARRANGER - ICICI BANK, HDFC BANK, DARASHAW, AXIS BANK ETC.
For further detail refer to the issuer
For further detail refer to the issuer
Debenture will be redeemable in 3 annual installments. Rs.333333/- on 16/01/2012 ; Rs.333333/- on 16
Refer Issuer for further details
NA
Mr.Ramesh HaranHead - ComplianceBARCLAYS INVESTMENTS & LOANS (INDIA) LIMITED7th Floor,B wing, Bonanza,SaharPlaza
Coupon rate: Zero coupon (YTM of 9% calculated on a semi annual basis)
Coupon rate: Zero coupon (YTM of 9% calculated on a semi annual basis)
9.20% p.a. upto 15th year i.e.till date of redemption (21.01.2026)
Refer issuer for further detail
N.A.
N.A.
N.A.
N.A.
NA
AAA CRISIL DTD 03.04.2012 NA
NA AAA CRISIL DTD 03.04.2012
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
LEAD MANAGER- AXIS CAPITAL LTD, ICICI SECURITIES LTD, ETC
LEAD MANAGER- AXIS CAPITAL LTD, ICICI SECURITIES LTD, ETC
LEAD MANAGER- AXIS CAPITAL LTD, ICICI SECURITIES LTD, ETC
Arranger- SBI CAPITAL MARKETS LTD, A K CAPITAL SERVICES LTD, ICICI SECURITIES LTD, KOTAK MAHINDRA CA
Coupon rate: 11.50% pa till the end of 10 years i.e. upto 30/12/2021, subject to a step up option of not more than 100 bps from the current rate of interest
LEAD MANAGER- AXIS CAPITAL LTD, ICICI SECURITIES LTD, ETC
LEAD MANAGER- AXIS CAPITAL LTD, ICICI SECURITIES LTD, ETC
LEAD MANAGER- AXIS CAPITAL LTD, ICICI SECURITIES LTD, ETC
Arranger- BARCLYAS BANK PLC, ICICI SECURITIES PD LTD, ICICI BANK LTD, YES BANK LTD, AXIS BANK LTD
ARRANGER - HSBC LTD, ICICI BANK LTD
Arranger- ICICI SECURITIES PD LTD, AXIS BANK LTD, ICICI BANK LTD, IDFC
Arranger- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER - HDFC BANK/ AXIS BANK/ ING VYSYA BANK/ DARASHAW & CO PVT LTD/ YES BANK
ARRANGER - HDFC BANK, AXIS BANK, ING VYSYA BANK ETC.
ARRANGER - AXIS BANK LTD, ICICI BANK LTD, ING VYSYA BANK LTD ETC.
ARRANGER - AXIS BANK LTD, ICICI BANK LTD, ING VYSYA BANK LTD ETC.
NA
ARRANGER - DEUTSCHE BANK AG, ICICI BANK LTD,ETC
ARRANGER - DEUTSCHE BANK AG, ICICI BANK LTD
Refer issuer for further detail
ARRANGER - SBI CAPITAL MARKETS LTD., IDBI CAPITAL SERVICES LIMITED, ICICI SECURITIES LTD. ETC.
ARRANGER-JM FINANCIAL SERV PVT LTD, TIPSONS CONSULTANCY SERVICES PVT LTD, KOTAK MAHINDRA BANK
LEAD MANAGER-KOTAK MAHINDRA CAPITAL CO LTD, SBI CAPITAL MARKETS LTD ETC
ARRANGER - SBI CAPITAL MARKET LTD
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
NA
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
COUPON- 8.5% FOR CATEGORY IV i.e RII- IF ON RECORD DATE BONDS HELD BY RII THEN ELSE 8.25% p.a
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
COUPON- 8.93% FOR CATEGORY IV i.e RII- IF ON RECORD DATE BONDS HELD BY RII THEN ELSE 8.68% p.a
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
EDELWEISS FINANCIAL SERVICES LTD, AXIS CAPITAL LTD, R R INVESTOR CAPITAL SERVICES PVT LTD
COUPON- 8.9% FOR CATEGORY IV i.e RII- IF ON RECORD DATE BONDS HELD BY RII THEN ELSE 8.65% p.a
The bonds have lock in period of 3 years from deemed date of allotment, till February 28,2008
NA
NA
NA
The bonds have lock in period of 3 years from deemed date of allotment, till February 28,2008
REDEMPTION-31/03/2015, 30/06/2015, 30/09/2015 AND 31/12/2015
9.35% for 1st 10 years and step up rate of 9.85% if call option is not exercised
Refer issuer for further detail
ARRANGER- AXIS BANK LTD, ALMONDZ GLOBAL SECURITIES LTD, ETC
REDEMPTION- RS 50 CRORE EACH ON 27/03/21, 27/03/22, 27/03/23, 27/03/24
NA
NA
NA
NA
NA
NA
NA
NA
NA
Arranger-ENAM SECURITIES PVT LTD
8.90% for 1st 10 years and step up rate of 9.40% for last 5 year if call option is not exercised
ARRANGER- CAPITAL FIRST LTD
ARRANGER- CAPITAL FIRST LTD
MR.NIRANJAN BRAHMASECRETARIALSIMRAN WIND PROJECT PRIVATE LIMITEDP-46A,(Subject to Modified following business day convention as defined by the ISDA definitions 2000)
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
REDEMPTION- RS 41666667 ON 22ND OF EVERY MONTH STARTING 22/04/16 TILL 22/02/17 AND ON 21/03/17REDEMPTION PREMIUM-NCD SHALL BE REDEEMED ALONG WITH REDEMPTION PREMIUM IN SUCH A MANNER THAT OVER ALL
ARRANGER-CAPITAL FIRST LIMITED
REDEMPTION PREMIUM-NCDs SHALL BE REDEEMED ALONG WITH REDEMPTION PREMIUM, IN SUCH A MANNER THAT OVER ALL IRR ON SERIES I NCDs SHALL BE REDEMPTION- RS 42592593 ON LAST DATE EVERY MONTH STARTING 31/10/15 TILL 31/12/17
NA
NA
NA
NA
NA
NA
REDEMPTION-RS. 1,25,000 EACH ON 30/06/2017, 30/09/2017, 31/12/2017, 31/03/2018, 30/06/2018, 30/09/2018, 31/12/2018 AND
Redemption as per payout schedule, Last payout date 01/09/2025
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- KOTAK MAHINDRA PRIME LTD
ARRAGER - AXIS BANK LTD
ARRANGER - AXIS BANK LTD, TRUST INVESTMENT SERVICES (I) PVT LTD.
REDEMPTION - 20% OF FACE VALUE ON EACH DATE 15/03/19, 15/03/20, 15/03/21, 15/03/22, 15/03/23
redemption start from 02/11/2017- 20%, 2/11/2018 - 20%, 02/11/2019 - 30%, 02/11/2020 - 30%
NA
NA
NA
NA COUPON/STEP UP- FIRST 2 YEARS- NIL, AT THE END OF 3RD YEAR- 4% FROM THE END OF 4TH YEAR- 5%
Debenture will be redeemable in 5 equal installment of 20% each on 04/02/2017, 04/02/2018, 04/02/2019, 04/02/2020 & 04/02/2021.
LEAD MANAGER- A.K CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
LEAD MANAGER- A.K CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
ARRANGER- AXIS BANK LTD, KOTAK MAHINDRA BANK LTD, ETC
Debenture will be redeemable in 3 installments, 33% - 14/01/2014, 33% -14/01/2015 & 34% - 14/01/2016.
LEAD MANAGER- A.K CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
LEAD MANAGER- A.K CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
ARRANGER- AXIS BANK LTD, KOTAK MAHINDRA BANK LTD, ETC
LEAD MANAGER- A.K CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
LEAD MANAGER- A.K CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
ARRANGER- AXIS BANK LTD, KOTAK MAHINDRA BANK LTD, ETC
NA
NA
NA
NA
NA
NA
9.90% for 1st 10 years and step up rate of 10.40% for last 5 year if call option is not exercised
9.40% for 1st 10 years and step up rate of 9.90% if call option is not exercised
Bonds will be redeemable in equal 5 instalments on 01/12/2012,01/12/2013,01/12/2014,01/12/2015,01/12/2016
08/12/2021 is Subject to RBI Guidelines,at par at the end of 15th year from the date of allotment,if call option is not exercised at the end of 10th
For further detail refer to the issuer
Refer issuer for further detail
9.60% for 1st 10 years and step up of 50bps if call option is not exercised
For further detail refer to the issuer
Debenture will be redeemable in 3 annual installments.30% on 18/08/2013,35% on 18/08/2014 & 35% on 1
Final payout date is 2nd May, 2013
11.35% p.a.The step- up shall be 50 bps. In effect the coupon rate on the NCDs shall be stepped up
Average rate @ 8.50%, refer issuer for further details.
Refer Issuer for further details
For further detail refer to the issuer
Coupon rate-Base rate of Kotak Mahindra Bank Ltd + 8.75%.
Debenture will be redeemed in 5 equal installments on 01/04/2013, 01/07/2013, 01/10/2013 , 01/01/2014 and 01/04/2014.
Debenture will be redeemable in 3 installments.33% on 27/06/2014,33% on 27/06/2015 & 34% on 27/06/2016
Average rate @ 8.50%, refer issuer for further details.
For further detail refer to the issuer
NA
NA
NA
For further detail refer to the issuer
Mr. Hoshang SethnaCompany SecretaryTATA MOTORS LIMITED (EARLIER TATA ENGINEERING AND LOCOMOTIVE CO. LTD)
Coupon rate will step up by 0.50% from 16/01/2018 if call option not exercised
NA
NA YIELD 9.81% XIRR
9.37% for 1st 10 years and step up rate of 9.87% for last 5 year if call option is not exercised
For further detail refer to the issuer
11.15% for first 10 years & 11.65% for remaining 5 years
Contact Issuer for conversion details.
NA
NA
For further detail refer to the issuer
Mr.Ravi MannathCompany SecretaryBritannia Industries Ltd.Britannia GardensAirport Road
CONTACT ISSUER FOR FURTHER DETAILS
For further detail refer to the issuer
9.05% p.a.for 1st 10 years and 9.55% p.a. for subsequent years if call option is not exercised at th
NA
NA
For further detail refer to the issuer
Mr. Ramesh Kumar DamaniG.M. (Taxation) & Company SecretaryBIRLA CORPORATION LIMITEDBirla BuildingMr. K.S. PandavSecretary & Financial AdvisorMAHARASHTRA STATE ROAD DEVELOPMENT CORPORATIONNepeansea RoadFCD will be convertible on or before the close of 18 months from the date of allotment.Contact issue
Rs.125/- paid on application & balance Rs.375/- is payable on allotment
For further detail refer to the issuer
NA
NA
NA
Coupon rate :10%. The issuer retain the option to step up the interest rate only once during the lif
For further detail refer to the issuer
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Refer issuer for further details.
NA
NA
NA
NA
NA
NA
Refer issuer for further details.
Debenture will be redeemable in two installments on 26/11/2015 (50% of issue) & 26/11/2016 (50% of issue)
NA
NA
NA
NA
NA
Contact isser for further details.
Refer issuer for further details
Debenture will be redeemable in two installments on 26/11/2015 (50% of issue) & 26/11/2016 (50% of issue)
Debenture will be redeemable in 37 installments starting form 25/03/2012 to 25/03/2021.
NA
NA
NA
NA
NA
NA
NA
Debenture will be redeemable in 3 installments.33% on 24/08/2013,33% on 24/08/2014 & 34% on 24/08/20
NA
NA
NA
NA
Contact Issuer for conversion details.
NA
NA
NA
NA
NA
NA
Debenture will be redeemable in 8 equal installments starting from 13/11/2011 till 13/08/2013
NA
NA
NA
NA
NA
NA
Refer issuer for further detail
ARRANGER-AXIS BANK LTD, TRUST INVESTMENT ADVISORS PVT LTD, ICICI BANK LTD
ARRANGER-AXIS BANK LTD, TRUST INVESTMENT ADVISORS PVT LTD, ICICI BANK LTD
ARRANGER-AXIS BANK LTD, TRUST INVESTMENT ADVISORS PVT LTD, ICICI BANK LTD
ARRANGER-AXIS BANK LTD, TRUST INVESTMENT ADVISORS PVT LTD, ICICI BANK LTD
ARRANGER-AXIS BANK LTD, TRUST INVESTMENT ADVISORS PVT LTD, ICICI BANK LTD
NA
NA
NA
NA
NA
NA
NA
NA
The bonds have a Lock in Period of 3 years from the deemed date of allotment ie till 29th June, 2006
The bonds have a Lock in Period of 3 years from the deemed date of allotment ie till 29th June, 2006
REDEMPTION- ON 15TH OF JUNE AND DEC EVERY YEAR STARTING 15/06/15 TILL 15/12/19
REDEMPTION- ON 15TH OF JUNE AND DEC EVERY YEAR STARTING 15/12/13 TILL 15/12/21
REDEMPTION- ON 15TH OF JUNE AND DEC EVERY YEAR STARTING 15/06/14 TILL 15/06/22
NA
NA
NA
NA
REDEMPTION - MONTHLY LAST DAY OF THE MONTH
REDEMPTION- RS. 8333.334 EACH ON 30.04.2015, 31.05.2015, 30.06.2015, 31.07.2015, 31.08.2015, 30.09.2015, 31.10.2015, 30.11.2015,
Debenture will be redeemable in 3 equal installments on 25/11/2013,25/11/2014 & 25/11/2015.
Mr. A.K. ChoudharyGeneral ManagerIFCI LIMITEDIFCI Tower61, Nehru PlaceREDEMPTION-QTY REDUCTION BY 4162 ON 03.11.2017, 04.05.2018 AND 4161 ON 05.11.2018 PRO-RATA BASIS
ARRANGER - EDELWEISS COMMODITIES SERVICES LTD
REDEMPTION- 3 CR ON 01.10.13,01.01.14,01.04.14,01.07.14, 9 CR ON 01.10.14,01.1.15,01.04.15,01.07.15,
For further detail refer to the issuer
ARRANGER - A K CAPITAL SERVICES LTD, AXIS BANK LTD, DARASHAW & CO (P) LTD, ICICI SECURITIES PRIMARY DEALERSHIP LIMITED, ETC.
Debenture will be redeemable in 3 equal annual installments on 26/12/2013;26/12/2014 & 26/12/2015
YES BANK LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
Redemption in Four installment 20% on 25/08/2017, 20% on 25/08/2018, 30% on 25/08/2019, 30% on 25/08
REDEMPTION-RS. 333333 ON 01/02/2015, 01/08/2015 AND RS. 333334 ON 01/05/2015
REDEMPTION-RS. 60,606,061 EACH ON LAST DAY OF EACH MONTH STARTING FROM 30.01.2015
NA
NA
NA
NA BB+(SO) CARE DT- 06/05/14
NA
NA
ARRANGER-AXIS BANK LTD
ARRANGER - YES BANK LIMITED
NA
NA
NA
REDEMPTION- 4 CRORES ON 10/06/2015, 10/09/2015, 10/12/2015, 10/03/2016 AND RS. 8 CRORE EACH ON 10/06/2016, 10/09/2016, 10/12/2016, REDEMPTION - RS. 4 CRORE EACH ON 31.03.2015, 30.06.2015, 30.09.2015, 31.12.2015 AND RS.6.5 CRORES EACH ON 31.03.2016, 30.06.2016,
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- MONTHLY ON 15TH STARTING 15/05/14 TILL 15/04/16
4.75% p.a. FOR THE PERIOD 31/03/2010 TO 27/03/2013 & 9.5% p.a. FROM 28/03/2013 UNTIL MATURITY
REDEMPTION - 40% OF FACE VALUE ON 20/03/2018 AND 60% OF FACE VALUE ON 20/03/2019
NA
NA
NA
NA
Contact issuer for conversion details
Arranger - A K CAPITAL SERVICES LTD
Debenture will be redeemable in 5 equal installments starting from 16/07/2016 till 16/07/2020
Arranger - A K CAPITAL SERVICES LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
REDEMPTION PREMIUM- I PART RS 5000 ON 31.03.2015 II PART RS 7500 ON 31.03.2016REDEMPTION-RS.50000 EACH ON 31.03.2015 AND 31.03.2016REDEMPTION PREMIUM- I PART RS 5000 ON 31.03.2015 II PART RS 7500 ON 31.03.2016 REDEMPTION-RS.50000 EACH ON 31.03.2015 AND 31.03.2016 REDEMPTION- RS 11,11,111 ON 31/12/14, 31/03/15, 30/06/15, 30/09/15, 31/12/15, 31/03/16, 30/06/16, 30/09/16, AND RS 11,11,112 ON 31/12/16REDEMPTION- RS 11111.11 ON EVERY 31 MAR, 30 JUN, 30 SEPT AND 31 DEC STARTING 30/09/15 TILL 30/06/17 AND ON 23/11/17
ARRANGER-ESSEL FINANCE ADVISORS & MANAGERS LLP
ARRANGER-ESSEL FINANCE ADVISORS & MANAGERS LLP
NA
NA
NA
NA
NA
NA
NA
NA
N.A.
NA
AXIS BANK
AXIS BANK
Arranger- AXIS BANK LTD, A K CAPITAL SERVICES LTD
0% for first 5 years from the date of issue, 10% per annum for the remaining tenure on the face value.
MS. DIVYA TANSONCOMPANY SECRETARYPOWER GRID CORPORATION OF INDIA LIMITED7TH FLOOR, CO. SECTT
AXIS BANK
NA
NA
NA
NA
NA
NA
NA
NA
NA
Arranger- AXIS BANK LTD, A K CAPITAL SERVICES LTD
0% for first 5 years from the date of issue, 10% per annum for the remaining tenure on the face value.
The Bank may have a step up option which may be exercised only once during the whole life of the in
ARRANGER - STANDARD CHARTERED BANK
COUPON- REDEMPTION PREMIUM 6% p.a. (MINIMUM ON MATURITY)
COUPON- REDEMPTION PREMIUM 6% p.a. (MINIMUM ON MATURITY)
COUPON-REDEMPTION PREMIUM 10% p.a. FOR PERIOD COMMENCING FROM THE ALLOTMENT DATE AND EXPIRING AT THE END OF 6 MONTHS FROM
NA
NA
COUPON-REDEMPTION PREMIUM 10% p.a. FOR PERIOD COMMENCING FROM THE ALLOTMENT DATE AND EXPIRING AT THE END OF 6 MONTHS FROM
ARRANGER - AK CAPITAL SERVICES LTD.
REDEMPTION-BULLET AT PAR AT THE END OF 36TH MONTH FROM DEEMED DATE OF ALLOTMENT.
ARRANGER - AK CAPITAL SERVICES LTD.
1.COUPON- BULLET PAYMENT OF PRINCIPAL ALONG WITH REDEMPTION PREMIUM ON REDEMPTION DATE i.e ON 06/11/16
ARRANGER - AK CAPITAL SERVICES LTD
REDEMPTION- 1. BULLET PAYMENT OF PRINCIPAL ALONG WITH REDEMPTION PREMIUM ON REDEMPTION DATE (i.e 22/11/2016)
ARRANGER - AK CAPITAL SERVICES LTD.
REDEMPTION-BULLET AT PAR AT THE END OF 60TH MONTH FROM DEEMED DATE OF ALLOTMENT.
ARRANGER - AK CAPITAL SERVICES LTD.
REDEMPTION-BULLET AT PAR AT THE END OF 60TH MONTH FROM DEEMED DATE OF ALLOTMENT.
ARRANGER - AK CAPITAL SERVICES LTD
ARRANGER - AK CAPITAL SERVICES LTD.
REDEMPTION AT PAR IN 2 EQUAL HALF YEARLY INST. STARTING FROM THE END OF 18TH MONTH FROM THE DEEMED DDATE OF ALLOTMENT I.E. 50 % EACH ON
ARRANGER - AK CAPITAL SERVICES LTD.
REDEMPTION AT PAR IN 2 EQUAL HALF YEARLY INST. STARTING FROM THE END OF 18TH MONTH FROM THE DEEMED DATE OF ALLOTMENT I.E. 50 % EACH ON
ARRANGER - AK CAPITAL SERVICES LTD
ARRANGER - AK CAPITAL SERVICES LTD.
REDEMTION OF THE PRINCIPAL IN 4 EQUAL HALF YEARLY INSTALLMENTS STARTING FROM THE END OF 18TH MONTH FROM DEEMED DATE OF ALLOTMENT, 25
ARRANGER - AK CAPITAL SERVICES LTD.
BULLET REDEMPTION AT THE END OF 3RD YEAR
ARRANGER - AK CAPITAL SERVICES LTD.
BULLET REDEMPTION AT THE END OF 3RD YEAR
NA
ARRANGER - AK CAPITAL SERVICES LTD.
BULLET REDEMPTION AT THE END OF 3RD YEAR
ARRANGER - AK CAPITAL SERVICES LTD.
(REDEMTION OF THE PRINCIPAL IN 2 EQUAL YEARLY INSTALLMENTS STARTING FROM THE END OF 48TH MONTH FROM THE DEEMED DATE OF ALLOTMENT ) 50% EACH
ARRANGER - AK CAPITAL SERVICES LTD
ARRANGER - AK CAPITAL SERVICES LTD.
REDEMPTION AT PAR IN 2 EQUAL YEARLY INST. STARTING FROM THE END OF 48TH MONTH FROM THE DEEMED DATE OF ALLOTMENT I.E. 50 % EACH ON
ARRANGER - AK CAPITAL SERVICES LTD
ARRANGER - AK CAPITAL SERVICES LTD
ARRANGER - AK CAPITAL SERVICES LTD.
ARRANGER - AK CAPITAL SERVICES LTD.
ARRANGER - AK CAPITAL SERVICES LTD.
ARRANGER - AK CAPITAL SERVICES LTD
ARRANGER - AK CAPITAL SERVICES LTD.
ARRANGER - AK CAPITAL SERVICES LTD.
ARRANGER - AK CAPITAL SERVICES LTD.
NA
AA (SO) ICRA DTD 08.02.13
AA (SO) ICRA DTD 08.02.13
ARRANGER - DEUTSCHE BANK AG
ARRANGER - AK CAPITAL SERVICES LTD
ARRANGER- A.K CAPITAL SERVICES LIMITED
CONVERSION- THE CONVERSION TERMS OF DEBENTURES MAY BE DECIDED BY THE BOARD WITH THE CONSENT OF MAJORITY HOLDERS OF THE DEBENTURES
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LTD.
ARRANGER - SBI CAPITAL MARKETS LTD
ARRANGER - SBI CAPITAL MARKETS LTD
ARRANGER - RELIGARE CAPITAL MARKETS LIMITED
REDEMPTION - CONTACT ISSUER FOR REDEMPTION DETAILS
NA
ARRANGER- ICICI BANKLTD, YES BANK LTD, ETC
Arranger- AK CAPITAL SERVICES LTD, AXIS BANK LTD, TRUST INVESTMENT ADVISORS LTD
ARRANGER - AK CAPITAL, AXIS BANK, DARASHAW, ICICI SECURITIESPD, KOTAK MAHINDRA AND TRUST INVESTMENT
ARRANGER - AK CAPITAL, AXIS BANK, DARASHAW, ICICI BANK, KOTAK MAHINDRA, TRUST INVESTMENT & YES BANK
NA
NA
NA
ARRANGER - AK CAPITAL, AXIS BANK, DARASHAW, ICICI SECURITIES PD ETC.
ARRANGER - AK CAPITAL, AXIS BANK, DARASHAW, ICICI SECURITIES PD ETC.
ARRANGER - AK CAPITAL, AXIS BANK, DARASHAW, ICICI SECURITIES PD ETC.
ARRANGER- ICICI BANK LTD, YES BANK LTD, ETC
Refer issuer for further detail
YIELD 9.75% XIRR
NA
NA
NA
MR. SANJAY CHAURASIACOMPANY SECRETARYSREI EQUIPMENT FINANCE PRIVATE LIMITEDVISHWAKARMA
Mr. J. RadhakrishnanCompany SecretarySHRIRAM - CITY UNION FINANCE LIMITEDMookambika Complex, 4th Floor
Refer issuer for further details.
10% till 26/06/2008,11% till 26/06/2009. Contact issuer for next interest rates.
NA
NA
NA
The debentures are redeemable (including premium) at Rs.13,49,068 per NCD)
Contact Issuer for conversion details.
DEBENTURE WILL BE REDEEMABLE IN 8 INSTALLMENTS STARTING FROM 30/06/2012 TILL 31/03/2014
For further detail refer to the issuer
N.A.
NA
NA
-
-
NA
NA
NA
NA
NA
For further detail refer to the issuer
NA
NA
NA
NA
NA
NA
NA
NA
The debentures are redeemable (including premium) at Rs.13,54,707 per NCD)
Refer issuer for further detail
Contact issuer for coupon details
NA
NA
Ms Avan DoomasiaDy Company SecretaryTATA CAPITAL LIMITEDBombay House24,Homi Modi Street
Ms. Swati KulkarniVP OperationsCITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV
Mr. Sunil LotkeCompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)Partly paid Rs.50 per bond on allotment and balance Rs.150 per bond will be payable any time within
NA
NA
#N/A
Debenture will be redeemed in 8 equal instalment starting from 04/05/2012 till 04/02/2014
Contact issuer for converion and other details.
N.A.
-
NA
NA
NA
NA
NA
NA
LEAD MANAGERS - ICICI SECURITIES LTD., A K CAPITAL SERVICES LIMITED ETC.
LEAD MANAGER - ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, SBI CAPITAL MARKETS LTD, ETC.
LEAD MANAGER - ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD ETC.
LEAD MANAGER - ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
Contact issuer for coupon details.
Refer issuer for further detail
Mr. Mahendra N. ShahCompany SecretaryINFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED5th Floor, 501, Naman ChambersMs. Swati KulkarniVP OperationsCITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV
Mr. Sunil LotkeCompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)Partly paid Rs.50 per bond on allotment and balance Rs.150 per bond will be payable any time within
Debenture will be redeemed in 8 equal instalment starting from 01/06/2012 till 01/03/2014
NA
NA
NA
NA
LEAD MANAGERS - ICICI SECURITIES LTD., A K CAPITAL SERVICES LIMITED ETC.
LEAD MANAGER - ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, SBI CAPITAL MARKETS LTD, ETC.
LEAD MANAGER - ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
LEAD MANAGER - ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
Partly paid Rs.2.50 per bond on allotment and balance Rs.7.50 per bond will be payable any time with
LEAD MANAGER - ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
LEAD MANAGER - ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
Issue date / Allotment date : 13/03/200226/03/200221/04/200224/04/2002
Issue date / Allotment date : 01-Aug-02 -31-Aug-02
Issue date / Allotment date : 01-Sep-02 to 30-Sep-02
ICICI SECURITIES LTD & SBI CAPITAL MARKET LTD
ICICI SECURITIES LTD & SBI CAPITAL MARKET LTD
ICICI SECURITIES LTD & SBI CAPITAL MARKET LTD
ICICI SECURITIES LTD & SBI CAPITAL MARKET LTD
Floating rate ( to be reset daily) equivalent to NSE mibor+15% with a floor of 15.90% & a cap of 16% p.a.
Remark on Redemption date :30% on 21-Jun-2011, 30% on 21-Jun-2012 & 40% on 21-Jun-2013
9.98% upto 29/04/2017 & 10.98% from 30/04/2017,if the call option not is exercised by the Bank
Remark on Redemption date :Rs. 30,000/- on 21-Apr-2014, Rs. 30,000/- on 21-Apr-2015 & Rs. 40,000/- on 21-Apr-2016
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
Remark on Redemption date : 30% on 21-Jun-2013, 30% on 21-Jun-2014 & 40% on 21-Jun-2015
Remark on Redemption date : 20% on 31-Dec-0540% on 31-Dec-0640% on 31-Dec-07
All redemption shall be made only with the prior approval of the RBI.Coupon rate will be step up to 10.50% , if the call option is not exercised by the bank
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
Debenture will be redeemable in 4 equal installments on 05/09/2011,05/03/2012,05/09/2012 & 05/03/201
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
Debenture will be redeemable in 8 equal annual installments commencing from 20th April 2009 and final redemption date is 20th April,2016. Interest from
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
For further detail refer to the issuer
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
Coupon shall stand stepped up to 10.50% w.e.f. 23/03/2017 if the call option is not exercised.
Refer issuer for further details
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
9.00% for 1st 10 years and step up rate of 9.50% for last 5 year if call option is not exercised
Refer issuer for further details
Redemption as per pay out schedule , Last Pay out date is 01/08/2022
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
Deb will be redeemable in 20 equal quarterly installments starting from 01/10/2010 till 01/07/2015
Debenture will be redeemable in 4 equal installments on 02/09/2014,02/12/2014,02/03/2015 & 02/06/2015
For further detail refer to the issuer
NA
Mr. Devinder KumarSecretarySteel Authority of India Ltd.Ispat Bhavan, Lodi RoadNew Delhi 110 003
Refer issuer for further details
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD. ETC
Redemption as per payout schedule Last payout date 01/10/2025
Sub to RBI guideline, 8.60% for first ten years UP TO 9-9-2019 & 9.10% for last 5 years
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
Debenture will be redeemable in two installments, Rs.50 on 31/03/2014 & Rs.50 on 31/03/2015
Debentures will be redeemable in equited installments on 17/11/2013;17/11/2014 & 17/11/2015
For further detail refer to the issuer
NA
Mr. Ramesh Kumar DamaniG.M. (Taxation) & Company SecretaryBIRLA CORPORATION LIMITEDBirla Building
10.40% for 1st 10 years and step up of 50bps if call option is not exercised
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
NA
Redemption as per pay out schedule, Last payout date: 01/12/2014
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
For further detail refer to the issuer
MR. JAYESH ASHERGENERAL MANAGERDEWANCHAND RAMSARAN INDUSTRIES PRIVATE LIMITED7/8 B, TRADE WORLD, 1ST FLOOR
9.95% for 1st 10 years and step up to 10.45% if call option is not exercised by bank
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
9.50% upto 16/07/2016 & 10% from 17/07/2016 to 16/07/2021 if call option is not exercised by bank
Redemption as per pay out schedule, Last payout date: 01/01/2017
The Bank may have a step up option which may be exercised only once during the whole life of the in
NA
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
For further detail refer to the issuer
Mr. R. SriramanCompany SecretaryDEEPAK FERTILISERS AND PETROCHEMICALS CORPORATIONOpp. Golf Course, Shastri Nagar
10.25% for 1st 10 years and step up rate of 10.75% for last 5 year if call option is not exercised
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
10.40% for 1st 10 years and step up of 50bps if call option is not exercised
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
Redemption as per pay out schedule Last pay out date: 01/02/2021
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
NA
For further detail refer to the issuer
Mr. V V HadimaniSenior ManagerKARNATAKA STATE FINANCIAL CORPORATIONHead Office, No.1/1
9.15% p.a. for the 1st 10 years & step up coupon rate of 9.65% for last 5 years if call option is no
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
NA
AAA, CARE
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
Mr. S. BalakrishnanManager - FinanceSUNDARAM FINANCE LIMITEDSundaram Finance LimitedNo. 4, Patullos Road
Refer issuer for further detail
ARRANGER-AXIS BANK LTD, ICICI BANK LTD etc
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
NA
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD. ETC
Refer issuer for further details
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
Mr.Ramesh HaranHead - ComplianceBARCLAYS INVESTMENTS & LOANS (INDIA) LIMITED7th Floor,B wing, Bonanza,SaharPlaza
Sub to RBI guideline, 9.15% for first ten years (upto 18/02/2019) & 9.65% thereafter if call option
Debentures are also issued on 23/12/2009. Debenture will be convertible maximum
NA
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
Mr.Ramesh HaranHead - ComplianceBARCLAYS INVESTMENTS & LOANS (INDIA) LIMITED7th Floor,B wing, Bonanza,SaharPlaza
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
NA
NA
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
Refer issuer for further details
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
Contact issuer for put option details.
NA
NA
NA
NA
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - ICICI BANK LTD, AXIS BANK LTD ETC.
Arranger- AXSI BANK LTD, ICICI BANK LTD, ICICI SECURITIES PRIMARY DEALERSHIP LTD, TRUST INVESTMENT A
ARRANGER - AXIS BANK LTD, ICICI BANK LTD ETC.
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - AXIS BANK LTD., ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD. ETC
ARRANGER-IIFL REALTY LIMITED
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION-RS. 150,00,000 EACH ON LAST DAY OF EACH MONTH STARTING FROM 31.07.2014 TILL 30.06.2015
CENTRUM CAPITAL LIMITED AND DAIWA CAPITAL MARKETS INDIA PRIVATE LIMITED
CENTRUM CAPITAL LIMITED AND DAIWA CAPITAL MARKETS INDIA PRIVATE LIMITED
ARRANGER- CENTRUM WEALTH MANAGEMENT LTD
CONVERSION- IF INVESTOR CHOOSES TO CONVERT THE INVESTMENT AMOUNT INTO EQUITY SHARES OF PFT IN WITH THE ELECTION NOTICE
ARRANGER- CENTRUM WEALTH MANAGEMENT LTD
CONVERSION- IF INVESTOR CHOOSES TO CONVERT THE INVESTMENT AMOUNT INTO EQUITY SHARES OF PFT IN WITH THE ELECTION NOTICE
ARRANGER- CENTRUM WEALTH MANAGEMENT LTD
CONVERSION- IF INVESTOR CHOOSES TO CONVERT THE INVESTMENT AMOUNT INTO EQUITY SHARES OF PFT IN WITH THE ELECTION NOTICE COUPON/STEP UP- 1.11.9% FROM 31/01/13 TO 22/08/13, 2.12.15% FROM 23/08/13 TO 30/01/14, 3.12.85% FROM 31/01/14 TO 30/01/16
NA
NA
NA
Arranger- YES BANK LTD
Arranger- YES BANK LTD
NA
NA
ARRANGER - KOTAK MAHINDRA BANK LIMITED
ARRANGER - INDOSTAR CAPITAL FINANCE PVT LTD
ARRANGER- INDOSTAR CAPITAL FINANCE PVT LTD
ARRANGER-INDOSTAR CAPITAL FINANCE LTD
ARRANGER-INDOSTAR CAPITAL FINANCE LTD
Debenture will be redeemable in 8 installments starting from 31/03/2011 till 31/03/2018.Contact issu
CONVERSION- ANY TIME AFTER THE EXPIRY OF 6 MONTHS FROM DATE OF ALLOTMENT OF THE OCDs THE OCD WILL BE EXCERCISED/CONVERTED INTO CONVERSION- ANY TIME AFTER THE EXPIRY OF 6 MONTHS FROM DATE OF ALLOTMENT OF THE OCDs THE OCD UPON RACHEM EXCERCISING THE CONVERSION
NA
NA
NA
NA
NA
REDEMPTION - 30/01/2018 - 2.5 CR AND 30/04/2018 - 2.5CRREDEMPTION PREMIUM-INR 1.908 CRS PER DEBENTURE SHALL BE PAID ON 30/04/2018 SO AS TO PROVIDE 19.55% XIRR TO REDEMPTION PREMIUM-INR 1.42 CRS PER DEBENTURE SHALL BE PAID ON 30/04/2018 SO AS TO PROVIDE 18% XIRR TO INVESTORS. REDEMPTION - REDEMPTION PREMIUM-INR 18234000 CRS PER DEBENTURE SHALL BE PAID ON 30/04/18 SO AS TO PROVIDE 19.55% XIRR TO INVESTORS, REDEMPTION -
Refer issuer for further detail
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD,EDELWEISS CAPITAL LTD, JM FINANCIAL SERVI
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD,EDELWEISS CAPITAL LTD, JM FINANCIAL SERVI
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD,EDELWEISS CAPITAL LTD, JM FINANCIAL SERVI
Debenture will be redeemable in six equal half yearly installments starting from 16/09/2013 till 14/03/2016.
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD,EDELWEISS CAPITAL LTD, JM FINANCIAL SERVI
Arranger-ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, EDELWEISS FINANCIAL SERVICES LTD, JM FINA
Arranger-ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, EDELWEISS FINANCIAL SERVICES LTD, JM FINA
Arranger-ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, EDELWEISS FINANCIAL SERVICES LTD, JM FINA
STANDARD CHARTERED BANK
NA
NA
NA
ARRANGER - IFMR CAPITAL FINANCE PRIVATE LIMITED
ARRANGER - IFMR CAPITAL FINANCE PRIVATE LIMITED
REDEMPTION - 25% OF FACE VALUE ON 05/11/16, 05/05/17, 05/11/17, 05/05/18
REDEMPTION-20% ON 10.04.16, 20% ON 10.07.16, 20% ON 10.10.16, 20% ON 10.01.17 AND 20% ON 10.04.17 .
8.95% upto 21/06/2016 and 9.45% for all subsequent years if call option is not exercised by bank
Mr. S.K.KalraGeneral ManagerALLAHABAD BANK37, Mumbai Samachar MargFort
NA
Refer issuer for further detail
Arranger- REAL GROWTH SECURITIES PVT LTD, SPA MERCHANT BANKERS LTD, ALMONDZ GLOBAL SECURITIES LTDArranger- REAL GROWTH SECURITIES PVT LTD, SPA MERCHANT BANKERS LTD, ALMONDZ GLOBAL SECURITIES LTD,ARRANGER - REAL GROWTH SECURITIES PVT LTD.
ARRANGER - REAL GROWTH SECURITIES PVT LTD.
REDEMPTION - AT PAR IN THE RATIO OF 30-30-40 AT THE END ON 8TH, 9TH AND 10TH YEAR i.e. ON 16.11.20, 16.11.21, 16.11.22
REDEMPTION - 01/05/2021, 01/05/2022, 01/05/2023
Redeemeed in 3 annual equal installment on 26/12/2011;26/12/2012 & 26/12/2013
Debenture will be redeemable in 4 equal annual installments on 07/02/2012;07/02/2013;07/02/2014 &
Refer issuer for further detail
Redeemable in 3 equal installments starting from Sept 01, 2012
11.75% for 1st 10 years and step up of 100bps if call option is not exercised
11.15% till 09/09/2018 and stepped up to 11.65% thereafter, if call option is not exercised by bank
Redeemable in 3 installments,33% on 05/09/2011;33% on 05/09/2012 & 34% on 05/09/2013
30/07/2009 issubject to Modified following business day convention as defined by the ISDA definitions 2000.
NA
NA
Redeemable in 4 equal installments on 11/08/2012;11/08/2013;11/08/2014 & 11/08/2015
ARRANGER- A.K CAPITAL SERVICES LTD, PNB INVESTMENT SERVICES LTD, ETC
NA
NA
12% on quarterly basis for 1st 4 quarters after closing date & thereafter 0.01% p.a. payable on qua
Refer issuer for further detail
Debenture will be redeemable in 16 quarterly instalments starting from June 2010 to 31/03/2014.1st 8 instalment of Rs 250 lakhs,Next 4 instl of Rs.312.50 lakhs,Next 4
ARRANGER - ALMONDZ GLOBAL SECURITIES LTD, R.R. INVESTORS CAPITAL SERVICES PVT LTD ETC.
ARRANGER - ALMONDZ GLOBAL SECURITIES LTD, R.R. INVESTORS CAPITAL SERVICES PVT LTD ETC.
ARRANGER - ALMONDZ GLOBAL SECURITIES LTD, R.R. INVESTORS CAPITAL SERVICES PVT LTD ETC.
NA
NA
NA
NA
IDFC LTD
NA
NA
NA
Arranger- AK CAPITAL SERVICES LTD, ALMONDZ GLOBAL SECURITIES LTD, DARASHAW & CO PVT LTD,ETC
REDEMPTION-LAST DAY OF EVERY MONTH STARTING FROM 30/09/2014 TILL MATURITY
REDEMPTION-LAST DAY OF EVERY MONTH STARTING FROM 31/10/2014 TILL MATURITY
REDEMPTION- LAST DAY OF EVERY MONTH STARTING FROM 31/10/2014 TILL MATURITY
REDEMPTION- LAST DAY OF EVERY MONTH STARTING FROM 31/10/2014 TILL MATURITY
Mr. Surender SharmaManager - Secretarial & LegalTHE INDIAN HOTELS COMPANY LIMITEDThe Indian Hotels Company LimitedMr. Surender SharmaManager - Secretarial & LegalTHE INDIAN HOTELS COMPANY LIMITEDThe Indian Hotels Company LimitedMr. Rajiv BhatiaChief Manager - Share DepartmentBANK OF INDIAStar House , C-5 , G-block,8th FloorCOUPON/STEP UP- IN EVENT OF DOWNGRADE BY CRISIL (WHETHER PRIVATELY OR PUBLICLY) COUPON RATE WILL BE STEP UP BY 25BPS FOR EVERY COUPON/STEP UP- IN EVENT THE RATING OF THE DEBENTURES ARE DOWNGRADED COUPON RATE WILL BE STEP UP BY 25BPS FOR EVERY NOTCH DOWNGRADE AND Mr Subhendu TripathyDeputy General ManagerICICI BANK LIMITEDICICI Bank Ltd. Towers2nd Floor, Treasury - Middle OfficeGCONTACT ISSUER FOR INTEREST RATES
N.A.
NA REDEMPTION-RS. 83,000 EACH ON 01/11/2014, 01/02/2015, 01/05/2015, 01/08/2015, 01/11/2015, 01/02/2016, 01/05/2016, 01/08/2016,
ARRANGER - TIPSONS CONSULTANCY SERVICES PVT. LTD.
ARRANGER - DARASHAW AND CO. PVT. LTD.
BUYBACK DETAILS- THE FIRST WORKING DAY AFTER THE EXPIRY OF 5 YEARS FROM THE DEEMED DATE OF ALLOTMENT AND THE FIRST WORKING DAY AFTER THE BUYBACK DETAILS- THE FIRST WORKING DAY AFTER THE EXPIRY OF 5 YEARS FROM THE DEEMED DATE OF ALLOTMENT AND THE FIRST WORKING DAY AFTER THE
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LTD.
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
REDEMPTION - IN THREE ANNUAL INSTALLMENTS STARTING AT 10TH YEAR, 11TH YEAR AND 12TH YEAR WITH THE RA
ARRANGER-TRUST INVESTMENT ADVISORS PVT LTD & AXIS BANK LTD
REDEMPTION - 30% ON 15/02/2023, 30/% ON 15/02/2024, 40% ON 15/02/2025
ARRANGER- AXIS BANK LTD, TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- AXIS BANK LTD, TRUST INVESTMENT ADVISORS PVT LTD ETC
REDEMPTION- ON 06/09/23, 06/09/24 AND 06/09/25
ARRANGER- SPA CAPTIAL ADVISORS LTD
REDEMPTION- RS 300000 ON 17/01/2024 , 17/01/2025 AND RS 400000 ON 17/01/2026
COUPON RATE : ZERO PERCENT, YIELD TO MATURITY 9.80% P.A.ON XIRR BASIS
ARRANGER-DARASHAW & CO PVT LTD
REDEMPTION-330% OF FACE VALUE INR 10,00,000 EACH ON 28.03.2024, 28.03.2025 AND 40% OFF FACE VALUE INR 10,00,000 ON 28.03.2026COUPON RATE : ZERO PERCENT,YIELD TO MATURITY 9.80% P.A. ON XIRR BASIS
REDEMPTION VALUE RS.11,48,407 PER SECURITY.
Coupon rate: Zero coupon (YTM of 9% calculated on a semi annual basis)
SPA CAPITAL ADVISORS LTD
Coupon rate: Zero coupon (YTM of 9% calculated on a semi annual basis)
Coupon rate: Zero coupon (YTM of 9% calculated on a semi annual basis)
Contact issuer for conversion details
Coupon rate: Zero coupon (YTM of 9% calculated on a semi annual basis)
Coupon rate: Zero coupon (YTM of 9% calculated on a semi annual basis)
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER - YES BANK LIMITED
ARRANGER - REAL GROWTH SECURITIES PVT LTD.
LEAD MANAGER- DARASHAW & CO PVT LTD, REAL GROWTH SECURITIES PVT LTD
REDEMPTION - 30% ON 20/02/2022, 30% ON 20/02/2023 40% ON 20/02/2024
ARRANGER- INGA CAPITAL PVT LTD
ARRANGER-KOTAK MAHINDRA INVESTMENTS LIMITED
REDEMPTION- RS. 12.50 LACKS PER DEBENTURE EACH ON 03.10.2015, 03.01.2016, 03.04.2016, 03.07.2016, 03.10.2016, 03.01.2017 AND CONVERSION-CONVERTIBLE INTO EQUITY ON 31/03/2022
CONVERSION-CONVERTIBLE INTO EQUITY ON 31/03/2022
CONVERSION-CONVERTIBLE INTO EQUITY ON 31/03/2022
CONVERSION-CONVERTIBLE INTO EQUITY ON 31/03/2022
CONVERSION-CONVERTIBLE INTO EQUITY ON 31/03/2022
CONVERSION-CONVERTIBLE INTO EQUITY ON 31/03/2022
CONVERSION-CONVERTIBLE INTO EQUITY ON 31/03/2022
CONVERSION-CONVERTIBLE INTO EQUITY ON 31/03/2022
Arranger- EDELCAP SECURITIES LTD
ARRANGER - YES BANK LIMITED
ARRANGER - YES BANK LIMITED
ARRANGER - YES BANK LIMITED
ARRANGER - YES BANK LTD
NA
NA
NA
REDEMPTION PREMIUM- RS 3,66,270/- PER DEBENTURE
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
CONVERSION- THE DEBENTURE HOLDER SHALL HAVE AN OPTION TO EXCERCISE AT ANY TIME DURING A PERIOD OF 10 YEARS TO CONVERT ALL OR PART OF CONVERSION- THE DEBENTURE HOLDER SHALL HAVE AN OPTION TO EXCERCISE AT ANY TIME DURING A PERIOD OF 10 YEARS TO CONVERT ALL OR PART OF
REDEMPTION- RS 66666667 EACH ON 10/09/15, 10/03/16, 10/09/16, 10/03/17, 10/09/17, AND 10/03/18
NA
NA
REDEMPTION- MONTHLY ON 15TH STARTING 15/09/14 TILL 15/02/16
12.50%, IF THE CALL OPTION HAS NOT HAPPENED AT THE END OF 10TH YEAR, THEN THE INTEREST WILL CHANGED FROM 12.50% TO 13.50%
NA
NA
NA
NA
NA
18% p.a. on the outstanding face value of Non Convertible Debenture on monthly basis up to a period of 18 months from execution date and thereafter
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
9.10% p.a. for the 1st 10 years & step up coupon rate of 9.60% for remaining years if call option is
COUPON - 12% p.a. IN CASE OF DEFAULT IN PAYMENT OF INTEREST THE DEFAULTED AMOUNT THEREOF SHALL ALSO CARRY FURHTER INTEREST AT 10.75% p.a. FOR FIRST 10 YEARS. 11.75% THEREAFTER PAYABLE SEMI ANNUALLY
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N.A.
NA
NA
NA
NA
NA
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NA
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NA
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NA
DEBENTURES ARE REPAYABALE IN TRANCHES AT THE END OF EACH MONTH FROM 31/10/2013 TILL 31/03/2014
NA
NA
NA
NA
NA
NA
NA
NA
N.A.
NA
NA
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NA
NA
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NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
PP-MLD AAA NA
NA
PP-MLD AAA NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA NA
NA
NA
AAA CARE DTD 07.02.2012 NA
NA
NA
NA
NA
NA
NA
NA
NA
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NA
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NA NA
NA
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NA
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NA
Yield to maturity 10.15% p.a. on XIRR basis
NA
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NA
NA
NA
NA
NA Remarks
NA
N.A.
NA
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NA
NA
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YIELD TO 9.80% PA. ON XIRR BASIS
DEBENTURE WILL BE REDEEMED IN 3 INSTALLMENT START FROM 15/02/2015, 15/02/2016,15/02/2017
NA
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NA
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NA
REDEMPTION OF THE PRINCIPAL IN 2 EQUAL HALF YEARLY INSTALLMENTS STARTING FROM THE END OF 18TH MONTH FROM THE DEEMED DATE OF
NA
NA
NA
NA
NA
NA
NA
Arranger- YES BANK LTD
REDEMPTION PREMIUM- I PART RS 5000 ON 31.03.2015 II PART RS 7500 ON 31.03.2016
AXIS BANK,CITIGROUP GLOBAL MARKETS INDIA PVT LTD,STANDARD CHARTERED BANK,YES BANK
NA
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AA+,CARE NA
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BA
NA
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NA
COUPON/STEP UP- a) INCREASE OF 25BPS FOR EACH NOTHCH RATING DOWNGRADE FROM AA-(SO) TO A (SO) b) AN INCREASE OF 40BPS FOR EACH NOTCH COUPON/STEP UP- a) INCREASE OF 25BPS FOR EACH NOTHCH RATING DOWNGRADE FROM AA-(SO) TO A (SO) b) AN INCREASE OF 40BPS FOR EACH NOTCH COUPON/STEP UP- a) INCREASE OF 25BPS FOR EACH NOTHCH RATING DOWNGRADE FROM AA-(SO) TO A (SO) b) ANINCREASE OF 40BPS FOR EACH NOTCH RATING
NA
NA
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NA
NA
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NA
Arranger- YES BANK LTD
Arranger- YES BANK
COUPON/STEP UP- a) INCREASE OF 25BPS FOR EACH NOTHCH RATING DOWNGRADE FROM AA-(SO) TO A (SO) b) AN INCREASE OF 40BPS FOR EACH NOTCH COUPON/STEP UP- a) INCREASE OF 25BPS FOR EACH NOTHCH RATING DOWNGRADE FROM AA-(SO) TO A (SO) b) AN INCREASE OF 40BPS FOR EACH NOTCH
COUPON/STEP UP- a) INCREASE OF 25BPS FOR EACH NOTHCH RATING DOWNGRADE FROM AA-(SO) TO A (SO) b) AN INCREASE OF 40BPS FOR EACH NOTCH REDEMPTION PREMIUM-THE CUMULATIVE ACCURED AMOUNTS AS PER YTM 12.5% COMPOUNDED ANNUALLY AND PAYABLE ON A DATE EARLIER OF PUT/ CALL COUPON/STEP UP- a) INCREASE OF 25BPS FOR EACH NOTHCH RATING DOWNGRADE FROM AA-(SO) TO A (SO) b) AN INCREASE OF 40BPS FOR EACH NOTCH REDEMPTION PREMIUM- THE CUMULATIVE ACCURED AMOUNTS AS PER YTM 12.5% COMPOUNDED ANNUALLY AND PAYABLE ON A DATE EARLIER OF PUT/ CALL
REDEMPTION-2000 NCDs REDEMPTION EACH ON 21.01.2020, 21.01.2021 AND 21.01.2022
Arranger- YES BANK LTD
ARRANGER - A K CAPITAL SERVICES LIMITED
ARRANGER - A K CAPITAL SERVICES LIMITED
ARRANGER - A K CAPITAL SERVICES LIMITED
ARRANGER - A K CAPITAL SERVICES LIMITED
ARRANGER - TRUST INVESTMENT ADVISORS PRIVATE LIMITED
ARRANGER - A K CAPITAL SERVICES LIMITED
ARRANGER - A K CAPITAL SERVICES LIMITED
ARRANGER - A K CAPITAL SERVICES LIMITED
ARRANGER - A K CAPITAL SERVICES LIMITED
ARRANGER - TRUST INVESTMENT ADVISORS PRIVATE LIMITED
NA
Arranger- YES BANK LTD
ARRANGER- YES BANK LTD
NA
LEAD MANAGER- DARASHAW
LEAD MANAGER- DARASHAW
NA
NA
ARRANGER- STANDARD CHARTERED BANK
ARRANGER - YES BANK LIMITED, ICICI BANK LIMITED ETC.
ARRANGER-STANDARD CHARTERED BANK
REDEMPTION DATES - 30/06/2014, 30/06/2015, 30/06/2016, 30/06/2017
NA
NA
NA
N.A.
NA
NA
N.A.
Arranger- A K CAPITAL LTD & RELIGARE CAPITAL MARKET LTD
LEAD MANAGER - AK CAPITAL SERVICES LTD, AXIS BANK LTD., KOTAK MAHINDRA CAP CO. LTD.,RELIGARE CAP MKT LTD., JM FINANCIAL SECURITIES PVT. LTD.LEAD MANAGER - AK CAPITAL SERVICES LTD, AXIS BANK LTD., KOTAK MAHINDRA CAP CO. LTD.,RELIGARE CAP MKT LTD., JM FINANCIAL SECURITIES PVT. LTD.
LEAD MANAGER - AK CAPITAL SERVICES LTD, AXIS BANK LTD., KOTAK MAHINDRA CAP CO. LTD.,RELIGARE CAP MKT LTD., JM FINANCIAL SECURITIES PVT. LTD.
NA
NA
Refer Issuer for further details
LEAD MANAGER - AK CAPITAL SERVICES LTD, AXIS BANK LTD., KOTAK MAHINDRA CAP CO. LTD.,RELIGARE CAP MKT LTD., JM FINANCIAL SECURITIES PVT. LTD.LEAD MANAGER - AK CAPITAL SERVICES LTD, AXIS BANK LTD., KOTAK MAHINDRA CAP CO. LTD.,RELIGARE CAP MKT LTD., JM FINANCIAL SECURITIES PVT. LTD.LEAD MANAGER - AK CAPITAL SERVICES LTD, AXIS BANK LTD., KOTAK MAHINDRA CAP CO. LTD.,RELIGARE CAP MKT LTD., JM FINANCIAL SECURITIES PVT. LTD.LEAD MANAGER - AK CAPITAL SERVICES LTD, AXIS BANK LTD., KOTAK MAHINDRA CAP CO. LTD.,RELIGARE CAP MKT LTD., JM FINANCIAL SECURITIES PVT. LTD.LEAD MANAGER - AK CAPITAL SERVICES LTD, AXIS BANK LTD., KOTAK MAHINDRA CAP CO. LTD.,RELIGARE CAP MKT LTD., JM FINANCIAL SECURITIES PVT. LTD.
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
Refer Issuer for further details
NA
Refer issuer for further details.
NA
Arranger- A K CAPITAL SERVICES LTD, RELIGARE CAPITAL MARKETS LTD
Arranger- A K CAPITAL SERVICES LTD, RELIGARE CAPITAL MARKET LTD, AXIS BANK LTD
Arranger- A.K.CAPITAL SERVICES LTD, RELIGARE CAPITAL MARKETS LTD
Arranger- A K CAPITAL SERVICES LTD, RELIGARE CAPITAL MARKETS LTD
Arranger- AK CAPITAL SERVICES PVT LTD, RELIGARE CAPITAL MARKETS LTD
Arranger- CREDIT AGRICOLE CORPORATE AND INVESTMENT BANK, IDFC LTD & RELIGARE CAPITAL MARKETS LTD
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ARRANGER- CREDIT SUISSE
NA
NA
REDEMPTION-4/10/16,5/1/17,5/4/17 IF PUT OPT EXERC, 4/10/15, 4/1/16, 4/4/16 IF CALL OPT EXERC.
REDEMPTION PREMIUM- AMOUNT COMPUTED AS PER THE COUPON RATE PAYABLE TO INVESTORS ON THE COUPON PAYMENT DATE.
REDEMPTION PREMIUM-THE AGGREGATE OF THE PRINCIPAL AMOUNT & THE COUPON AMOUNT DUE AND PAYABLE BY THE ISSUER TO THE DEBENTURE
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NA
NA
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NA
IDFC LIMITED
STANDARD CHARTERED BANK
NA
REDEMPTION PREMIUM-THE AGGREGATE OF THE PRINCIPAL AMOUNT & THE COUPON AMOUNT DUE AND PAYABLE BY THE ISSUER TO THE DEBENTURE REDEMPTION PREMIUM-THE AGGREGATE OF THE PRINCIPAL AMOUN AND THE COUPON AMOUNT DUE AND PAYABLE BY THE ISSUER TO THE DEBENTURE REDEMPTION - 03/03/2015, 03/06/2015, 03/09/2015, 03/12/2015
REDEMPTION - 08/05/15, 08/08/15, 08/11/15, 08/02/16
Refer issuer for further detail
Refer issuer for further detail
NA
NA
REDEMPTION- RS 100000000 EACH ON 30/09/15, 31/12/15, 31/03/16, 30/06/16, 30/09/16, 31/12/16, 31/03/17, 30/06/17, 30/09/17 AND 25/01/18
9.05% p.a. for the 1st 10 years & step up coupon rate of 9.55% for remaining years if call option is
Bonds will be redeemable in 3 installments 30% on 26/08/2019,30% on 26/08/2020 & 40% on 26/08/2021
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDWockhardt Towers, 3rd Floor
N.A.
N.A.
N.A.
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ARRANGER-AXIS BANK LTD, DARASHAW & COMPANY PRIVATE LTD, DEUTSCHE BANK, ICICI BANK LTD, ING VYSYA BANK LTD, ICICI SECURITIES PRIMARY DEALERSHIP ARRANGER- AXIS BANK LTD, ICICI BANK LTD ETC
NA
NA
NA
NA
For further detail refer to the issuer
Final redemption amount is Rs.10000000.00
ARRANGER-AXIS BANK, A.K. CAPITAL, DARASHAW & CO. PVT. LTD., DEUTCHE BANK AG, ICICI BANK LTD, ING VYSYA BANK LTD., I-SECPD ETCARRANGER- AXIS BANK, ICICI BANK LTD, ETC
NA
MS. DIPTI SHAHCOMPANY SECRETARYMUNDRA PORT AND SPECIAL ECONOMIC ZONE LTD (FORMERLY GUJARAT ADANI PORT LTD)
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NA
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NA
Arranger- A.K.CAPITAL SERVICES LTD, KOTAK MAHINDRA CAPITAL COMPANY LTD, RR INVESTORS CAPITAL SERVICE
INTEREST- 8.26% (IF ON RECORD DATE BONDS HELD BY RII ELSE 8.01%)
LEAD MANAGER- A.K. CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
COUPON- 8.44% IF ON RECORD DATE BONDS HELD BY RIIs ELSE 8.19%
NA
NA
NA
NA
NA
NA
NA
NA
LEAD MANAGER- A.K. CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
Refer issuer for further details.
Final payout date is 12th September 2014
Arranger- A.K.CAPITAL SERVICES LTD, KOTAK MAHINDRA CAPITAL COMPANY LTD, RR INVESTORS CAPITAL SERVICE
INTEREST- 8.71% (IF ON RECORD DATE BONDS HELD BY RII ELSE 8.46%)
NA
NA
NA
NA
LEAD MANAGER- A.K. CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
COUPON- 8.88% IF ON RECORD DATE BONDS HELD BY RIIs ELSE 8.63%
LEAD MANAGER- A.K. CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
INTEREST- 8.62% (IF ON RECORD DATE BONDS HELD BY RII ELSE 8.37%)
LEAD MANAGER- A.K. CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
LEAD MANAGER- A.K. CAPITAL SERVICES LTD, AXIS CAPITAL LTD, ETC
COUPON- 8.86% IF ON RECORD DATE BONDS HELD BY RIIs ELSE 8.61%
REDEMPTION-07/10/2014, 07/01/2015, 07/04/2015, 07/07/2015, 07/10/2015, 07/01/2016 AND 07/04/2016
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