nsdl.co.in of...sr. no. company isin name of instrument description in nsdl face value issue...
TRANSCRIPT
![Page 1: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/1.jpg)
Sr. No. Company ISIN Name of Instrument Description in NSDL
1 INE238S03016
2 INE238S03024
3 INE516R04015
4 INE516R04023
5 INE611I03106
6 INE485N04012
7 INE485N04020
8 INE485N04038
9 INE483N04017
10 INE483N04025
11 INE483N04033
12 INE483N04041
13 INE246E04215
14 INE246E04223
15 INE702M04012
16 INE702M04020
17 INE246E04116
18 INE246E04124
19 INE246E04132
20 INE246E04140
21 INE246E04157
22 INE611I03122
23 INE611I03130
24 INE357S04012
25 INE357S04020
26 INE357S04038
27 INE357S04046
28 INE357S04053
29 INE611I03114
30 INE246E04041
31 INE246E04058
32 INE246E04066
33 INE246E04074
34 INE246E04082
35 INE246E04090
36 INE246E04108
37 INE246E04165
38 INE246E04173
39 INE246E04181
40 INE246E04199
41 INE246E04207
42 INE246E04231
43 INE307O04016
44 INE077S03018
45 INE077S03026
46 INE645I03013
47 INE645I03021
GREEN INFRA WIND
10% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
GREEN INFRA WIND POWER GENERATION GREEN
INFRA WIND 10% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
GREEN INFRA WIND POWER GENERATION GREEN
INFRA WIND 0.001% NON CONVERTIBLE CUMULATIVE FULLY
GREEN INFRA WIND FARMS LTD 0.001% SR. D GREEN
INFRA WIND 0.001% NON CONVERTIBLE CUMULATIVE FULLY
GREEN INFRA WIND FARMS LTD 0.001% SR E DLF ASSETS
PRIVATE 0.01% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
DLF ASSETS PRIVATE LIMITED 0.01% PREF GREEN
INFRA WIND 0.001% NON CONVERTIBLE, CUMULATIVE, FULLY
GREEN INFRA WIND POWER PROJECTS LIMITED GREEN
INFRA WIND 0.001% NON CONVERTIBLE, CUMULATIVE, FULLY
GREEN INFRA WIND POWER PROJECTS LIMITED GREEN
INFRA WIND 0.001% NON CONVERTIBLE, CUMULATIVE, FULLY
GREEN INFRA WIND POWER PROJECTS LIMITED GREEN
INFRA WIND 0.001% NON CONVERTIBLE, CUMULATIVE, FULLY
GREEN INFRA WIND GENERATION LIMITED GREEN
INFRA WIND 0.001% NON CONVERTIBLE, CUMULATIVE, FULLY
GREEN INFRA WIND GENERATION LIMITED GREEN
INFRA WIND 0.001% NON CONVERTIBLE, CUMULATIVE, FULLY
GREEN INFRA WIND GENERATION LIMITED GREEN
INFRA WIND 0.001% NON CONVERTIBLE, CUMULATIVE, FULLY
GREEN INFRA WIND GENERATION LIMITED GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 29AG27GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 01AG27ZUARI
INFRAWORL8.5% NON CONVERTIBLE CUMULATIVE FULLY
ZUARI INFRAWORLD INDIA LIMITED 8.5% PREF ZUARI
INFRAWORL8.5% SERIES II NON CONVERTIBLE CUMULATIVE
ZUARI INFRAWORLD INDIA LIMITED 8.5% GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 01JN26GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 01AP26GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 01JL26GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 18NV26GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 15JN27DLF ASSETS
PRIVATE 0.01% SERIES II COMPULSORY CONVERTIBLE CUMULATIVE
DLF ASSETS PRIVATE LIMITED 0.01% SERIES II DLF ASSETS
PRIVATE 0.01% SERIES 1II COMPULSORY CONVERTIBLE CUMULATIVE
DLF ASSETS PRIVATE LIMITED 0.01% SERIES III GREEN
INFRA NON CONVERTIBLE CUMULATIVE REDEEMABLE
GREEN INFRA CORPORATE SOLAR LTD. PREF 10SP33GREEN
INFRA NON CONVERTIBLE CUMULATIVE REDEEMABLE
GREEN INFRA CORPORATE SOLAR LTD. PREF 04NV33GREEN
INFRA NON CONVERTIBLE CUMULATIVE REDEEMABLE
GREEN INFRA CORPORATE SOLAR LTD. PREF 01JN34GREEN
INFRA NON CONVERTIBLE CUMULATIVE REDEEMABLE
GREEN INFRA CORPORATE SOLAR LTD. PREF 06FB33GREEN
INFRA NON CONVERTIBLE CUMULATIVE REDEEMABLE
GREEN INFRA CORPORATE SOLAR LTD. PREF 10FB34DLF ASSETS
PRIVATE 0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
DLF ASSETS PRIVATE LIMITED 0.01% PREF GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 28JU20GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 20SP20GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 04JN24GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 18JU24GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 27SP24GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 28JU25GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 20SP25GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 07JL27GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 13FB27GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 01MY27GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 06MY27GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 26MY27GOBIND
SUGAR 7% NON CONVERTIBLE NON CUMULATIVE FULLY
GOBIND SUGAR MILLS LTD. 7% PREF 11NV28PRAMANAN
D 9% NON CONVERTIBLE NON CUMULATIVE FULLY
PRAMANAND COMMERCIAL PRIVATE GREEN
INFRA WIND 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
GREEN INFRA WIND LTD 0.001% PREF 28FB33GREEN
INFRA WIND 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
GREEN INFRA WIND LTD 0.001% PREF 26FB34DLF
SOUTHERN 12.50% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
DLF SOUTHERN HOMES PRIVATE LIMITED 12.50% DLF
SOUTHERN 12.50% COMPULSORY CONVERTIBLE CUMULATIVE
DLF SOUTHERN HOMES PRIVATE LIMITED 12.50%
![Page 2: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/2.jpg)
48 INE877B04023
49 INE382Y03044
50 INE382Y03010
51 INE382Y03028
52 INE382Y03036
53 INE846X03016
54 INE975G04016
55 INE975G04024
56 INE975G04032
57 INE975G04040
58 INE871V04016
59 INE014V03015
60 INE014V03023
61 INE753U03010
62 INE221Y03028
63 INE367Y03011
64 INE701Z03018
65 INE852X03014
66 INE852X03022
67 INE852X04012
68 INE852X04020
69 INE043H04011
70 INE120B04010
71 INE120B04028
72 UPL LIMITED INE628A03024
73 INE842N03016
74 INE480D03024
75 INE240S03095
76 INE323U03012
77 INE323U03020
78 INE424Q03016
79 INE979X03015
80 INE00H003010
81 INE00H003028
82 INE00H003036
83 INE00H003044
84 INE00H003051
85 INE00H003069
86 INE00H003077
87 INE00H003085
88 INE00H003093
89 INE541V04015
90 INE446F03020
91 INE446F03038
92 INE311S04027
93 INE299K04047
94 INE956O03046
95 INE418V04016
INDSEC SECURITIES
NON CONVERTIBLE CUMULATIVE FULLY
INDSEC SECURITIES AND FINANCE LTD 8% PREF BUSYBEES
LOGISTICS 0.001% SERIES D COMPULSORY CONVERTIBLE CUMULATIVE
BUSYBEES LOGISTICS SOLUTIONS PRIVATE BUSYBEES
LOGISTICS 0.001% SERIES A CONVERTIBLE CUMULATIVE PREFERENCE
BUSYBEES LOGISTICS SOLUTIONS PRIVATE BUSYBEES
LOGISTICS 0.001% SERIES B CONVERTIBLE CUMULATIVE PREFERENCE
BUSYBEES LOGISTICS SOLUTIONS PRIVATE BUSYBEES
LOGISTICS 0.001% SERIES C CONVERTIBLE CUMULATIVE REDEEMABLE
BUSYBEES LOGISTICS SOLUTIONS PRIVATE TARISH
INVESTMEN0.1% COMPULSORILY CONVERTIBLE CUMULATIVE
TARISH INVESTMENT AND TRADING COMPANY IL&FS
TRANSPORT20.50% NON CONVERTIBLE CUMULATIVE FULLY
IL&FS TRANSPORTATION NETWORKS LTD 20.50% IL&FS
TRANSPORT21.44% NON CONVERTIBLE CUMULATIVE FULLY
IL&FS TRANSPORTATION NETWORKS LTD 21.44% IL&FS
TRANSPORT21.06% NON CONVERTIBLE CUMULATIVE FULLY
IL&FS TRANSPORTATION NETWORKS LTD 21.06% IL&FS
TRANSPORT22.32% NON CONVERTIBLE CUMULATIVE FULLY
IL&FS TRANSPORTATION NETWORKS LTD 22.32% JINDAL
UNITED 10 % NON CONVERTIBLE,FULLY REDEEMABLE, NON
JINDAL UNITED STEEL LIMITED PREF 12OCT2036ASHFORD
INVESTMENOPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ASHFORD INVESTMENT AND TRADING CO ASHFORD
INVESTMEN6% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ASHFORD INVESTMENT AND TRADING CO DIVGI
TORQTRANSCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
DIVGI TORQTRANSFER SYSTEMS PRIVATE OPUS
SOFTWARE 135% COMPULSORY CONVERTIBLE NON
OPUS SOFTWARE TECHNOLOGIES PRIVATE WHEELSEMI
PRIVATE 0.01% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
WHEELSEMI PRIVATE LIMITED 0.01% SERIES A SURYA
CHILDREN'S 0.0001% SEREIS A COMPULSROY CONVERTIBLE CUMULATIVE
SURYA CHILDREN'S MEDICARE PRIVATE PRAZIM
TRADING 0.1% COMPULSORILY CONVERTIBLE CUMULATIVE
PRAZIM TRADING AND INVESTMENT COMPANY PRAZIM
TRADING 0.1% COMPULSORY CONVERTIBLE CUMULATIVE
PRAZIM TRADING AND INVESTMENT COMPANY PRAZIM
TRADING 8% NON CONVERTIBLE CUMULATIVE FULLY
PRAZIM TRADING AND INVESTMENT COMPANY PRAZIM
TRADING 8% NON CONVERTIBLE CUMULATIVE FULLY
PRAZIM TRADING AND INVESTMENT COMPANY GOA GLASS
FIBRE 6 % NON CONVERTIBLE NON CUMULATIVE FULLY
GOA GLASS FIBRE LIMITED 6 PREF 01012010IN HOUSE
PRODUCTIO5% CUMULATIVE REDEEMABLE NON CONVERTIBLE NON
IN HOUSE PRODUCTIONS LIMITED 5 % PREF 01042015IN HOUSE
PRODUCTIO1% CUMULATIVE REDEEMABLE NON CONVERTIBLE
IN HOUSE PRODUCTIONS LIMITED 1 % PREF 010420155% OPTIONALLY CONVERTIBLE,
NON CUMULATIVE UPL LIMITED 5% OCPS PREF 09FB18SOPHOS
TECHNOLOG0.10% COMPULSORILY CONVERTIBLE CUMULATIVE
SOPHOS TECHNOLOGIES PRIVATE LIMITED 0.10% NIYOGIN
FINTECH COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
NIYOGIN FINTECH LIMITED PREF 02SP18ALIDAC
PHARMACEU8% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ALIDAC PHARMACEUTICALS VEENA
INVESTMEN0.1% OPTIONALLY CONVERTIBLE NON
VEENA INVESTMENTS PRIVATE LIMITED 0.1% VEENA
INVESTMEN0.1% OPTIONALLY CONVERTIBLE NON
VEENA INVESTMENTS PRIVATE LIMITED 0.1% BRIGGS
TRADING 0.1% OPTIONALLY CONVERTIBLE NON
BRIGGS TRADING COMPANY PRIVATE ROCKDUDE
IMPEX 0.08% SERIES A COMPULSORY CONVERTIBLE NON
ROCKDUDE IMPEX PRIVATE LIMITED 0.08% BUNDL
TECHNOLOG0.01% SERIES A COMPULSORILY CONVERTIBLE CUMULATIVE
BUNDL TECHNOLOGIES PRIVATE LIMITED 0.01% BUNDL
TECHNOLOG0.01% SERIES A COMPULSORILY CONVERTIBLE CUMULATIVE
BUNDL TECHNOLOGIES PRIVATE LIMITED 0.01% BUNDL
TECHNOLOG0.01% SERIES B COMPULSORILY CONVERTIBLE CUMULATIVE
BUNDL TECHNOLOGIES PRIVATE LIMITED 0.01% BUNDL
TECHNOLOG0.01% SERIES C COMPULSORILY CONVERTIBLE CUMULATIVE
BUNDL TECHNOLOGIES PRIVATE LIMITED 0.01% BUNDL
TECHNOLOG0.01% SERIES C COMPULSORILY CONVERTIBLE CUMULATIVE
BUNDL TECHNOLOGIES PRIVATE LIMITED 0.01% BUNDL
TECHNOLOG0.01% SERIES D COMPULSORILY CONVERTIBLE CUMULATIVE
BUNDL TECHNOLOGIES PRIVATE LIMITED 0.01% BUNDL
TECHNOLOG0.01% SERIES E COMPULSORILY CONVERTIBLE CUMULATIVE
BUNDL TECHNOLOGIES PRIVATE LIMITED 0.01% BUNDL
TECHNOLOG0.01% SERIES F COMPULSORILY CONVERTIBLE CUMULATIVE
BUNDL TECHNOLOGIES PRIVATE LIMITED 0.01% BUNDL
TECHNOLOG0.01% SERIES F COMPULSORILY CONVERTIBLE CUMULATIVE
BUNDL TECHNOLOGIES PRIVATE LIMITED 0.01% MIDCO
LIMITED0.01% NON CONVERTIBLE NON CUMULATIVE PREFERENCE
MIDCO LIMITED 0.01% PREF 27MR35BHARAT
SERUMS 0.01% FULLY CONVERTIBLE CUMULATIVE NON
BHARAT SERUMS AND VACCINES LIMITED 0.01% BHARAT
SERUMS 0.01% FULLY CONVERTIBLE CUMULATIVE NON
BHARAT SERUMS AND VACCINES LIMITED 0.01% MA MULTI-
TRADE 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
MA MULTI-TRADE PRIVATE LIMITED 10% CITY
CORPORATI8% NON CONVERTIBLE CUMULATIVE REDEEMABLE
CITY CORPORATION LIMITED 8% PREF 26JL20LENSKART
SOLUTIONS 8% COMPULSORILY CONVERTIBLE CUMULATIVE
LENSKART SOLUTIONS PRIVATE LIMITED 8% MANAS
AGRO 9% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
MANAS AGRO INDUSTRIES & INFRASTRUCTURE
![Page 3: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/3.jpg)
96 INE331V04029
97 INE438T03028
98 INE785V04018
99 INE446F03053
100 INE067W03011
101 INE067W03029
102 INE067W03045
103 INE067W03052
104 INE067W03060
105 INE067W03078
106 INE067W03086
107 INE067W03094
108 INE067W03102
109 INE067W03110
110 INE067W03128
111 INE067W03136
112 INE067W03144
113 INE067W03151
114 INE879I04016
115 INE779W03052
116 INE647U03014
117 INE647U03030
118 INE987T03024
119 INE335W04010
120 INE869V04010
121 INE980T03052
122 INE980T03060
123 INE727X03018
124 INE956X03013
125 INE956X04011
126 INE888Z04011
127 INE586Z04011
128 INE221Y03010
129 INE353Y03011
130 INE685W03010
131 INE507R03016
132 INE057O03019
133 INE960W03017
134 INE090R03013
135 INE054E04015
136 INE256A04022
137 INE256A04030
138 INE540B04019
139 INE581D04027
140 INE582D04017
141 INE657N04032
142 INE918K04018
143 INE291Y04011
MERIL ENDO SURGERY
12% NON CONVERTIBLE, NON CUMULATIVE FULLY
MERIL ENDO SURGERY PRIVATE LIMITED 12% STAR
AGRIWAREH0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
STAR AGRIWAREHOUSING AND COLLATERAL KANDLA
INTERNATIO8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KANDLA INTERNATIONAL CONTAINER TERMINAL BHARAT
SERUMS 0.01% SERIS IV COMPULSORY CONVERTIBLE CUMULATIVE
BHARAT SERUMS AND VACCINES LIMITED 0.01% NOWFLOATS
TECHNOLOG0.001% SERIS A COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.001% SERIS A1 COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.001% SERIS A COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.001% SERIS A1 COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.001% SERIS A1 COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.01% SERIS A2 COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.001% SERIS A COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.001% SERIS A1 COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.001% SERIS A1 COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.001% SERIS A1 COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.001% SERIS A3 COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.01% SERIS A2 COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.01% SERIS B COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE NOWFLOATS
TECHNOLOG0.001% SERIS B COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE D B REALTY
LIMITED8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
D B REALTY LIMITED 8% PREF 05FB21HEALTHVIST
A INDIA 0.001% SERIES C COMPULSORY CONVERTIBLE CUMULATIVE
HEALTHVISTA INDIA PRIVATE LIMITED 0.001% CLEAN MAX
ENVIRO 0.001% COMPULSORY CONVERTIBLE NON
CLEAN MAX ENVIRO ENERGY SOLUTIONS CLEAN MAX
ENVIRO 0.001% SERIES III COMPULSORY CONVERTIBLE NON
CLEAN MAX ENVIRO ENERGY SOLUTIONS 91STREETS
MEDIA SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
91STREETS MEDIA TECHNOLOGIES PVT.LTD. GANGES
SECURITIES 12% NON CONVERTIBLE CUMULATIVE FULLY
GANGES SECURITIES LIMITED 12% PREF 24SP19JINDAL
COKE 10% NON CONVERTIBLE NON CUMULATIVE FULLY
JINDAL COKE LIMITED 10% PREF 12OT36EYE-Q
VISION 5% SERIES A COMPULSORILY CONVERTIBLE NON
EYE-Q VISION PRIVATE LIMITED 5% SERIES A PREF EYE-Q
VISION 5% SERIES A COMPULSORILY CONVERTIBLE NON
EYE-Q VISION PRIVATE LIMITED 5% SERIES A PREF BAIDYANAT
H 0% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
BAIDYANATH RENEWABLES PRIVATE RYKA
COMMERCIA0.01% OPTIONALLY CONVERTIBLE NON
RYKA COMMERCIAL VENTURES PRIVATE RYKA
COMMERCIA0.01% NON CONVERTIBLE CUMULATIVE FULLY
RYKA COMMERCIAL VENTURES PRIVATE PERLCON
PREMIX 4% NON CONVERTIBLE NON CUMULATIVE PREFERENCE
PERLCON PREMIX PRIVATE LIMITED 4% PREF MAHARASHT
RA SAFE 8% NON CONVERTIBLE NON CUMULATIVE FULLY
MAHARASHTRA SAFE CHEMISTS AND OPUS
SOFTWARE 10% COMPULSORY CONVERTIBLE NON
OPUS SOFTWARE TECHNOLOGIES PRIVATE BRIDGEI2I
ANALYTICS 0.01% SERIES A COMPULSORY CONVERTIBLE NON
BRIDGEI2I ANALYTICS SOLUTIONS PRIVATE FUTURE
SPECIALITY COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
FUTURE SPECIALITY RETAIL LIMITED PREF OPJ
TRADING 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
OPJ TRADING PRIVATE LIMITED 8% PREF 09MR27OPELINA
FINANCE 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
OPELINA FINANCE AND INVESTMENT LIMITED 8% GAGAN
INFRAENERG8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
GAGAN INFRAENERGY LIMITED 8% PREF 09MR27ANILINE
CONSTRUCTI0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
ANILINE CONSTRUCTION COMPANY PRIVATE SAHARA
INFRASTRUC1% NON CONVERTIBLE NON CUMULATIVE, FULLY
SAHARA INFRASTRUCTURE AND ZEE
ENTERTAIN6% NON CONVERTIBLE CUMULATIVE FULLY
ZEE ENTERTAINMENT ENTERPRISES LTD NEW 6% ZEE
ENTERTAIN6% SERIES B NON CONVERTIBLE CUMULATIVE FULLY
ZEE ENTERTAINMENT ENTERPRISES LTD 6% RELIANCE
MEDIAWORK11.50% NON CONVERTIBLE NON CUMULATIVE FULLY
RELIANCE MEDIAWORKS LIMITED 11.50% PREF R T EXPORTS
LIMITED6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
R T EXPORTS LIMITED 6% PREF 07MR19RISHIROOP
LIMITEDNON CONVERTIBLE, NON CUMULATIVE FULLY
RISHIROOP LIMITED PREF 23AG17EDELWEISS
COMMODITI14.625% NON CONVERTIBLE CUMMULATIVE FULLY
EDELWEISS COMMODITIES SERVICES LIMITED EDELWEISS
FINANCE & 14.625% NON CONVERTIBLE CUMULATIVE FULLY
EDELWEISS FINANCE & INVESTMENTS LTD DURABUILD
TECHNOLOG12% NON CONVERTIBLE NON CUMULATIVE FULLY
DURABUILD TECHNOLOGIES PRIVATE
![Page 4: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/4.jpg)
144 INE332X04015
145 INE137Y03018
146 INE137Y03026
147 INE137Y03034
148 INE137Y03042
149 INE137Y03059
150 INE137Y03067
151 INE137Y03075
152 INE137Y03083
153 INE348L03018
154 INE240S03012
155 INE240S03020
156 INE240S03038
157 INE240S03046
158 INE240S03053
159 INE240S03061
160 INE240S03079
161 INE240S03087
162 INE943F04016
163 INE943F04024
164 INE446F03046
165 INE324T03012
166 INE311S04019
167 INE311S04035
168 INE003I03015
169 INE175U03016
170 INE175U03024
171 INE472Q04054
172 INE878T03017
173 INE878T03025
174 INE878T03033
175 INE878T03041
176 INE878T03058
177 INE878T03066
178 INE956O03053
179 INE956O03061
180 INE956O03079
181 INE334V04015
182 INE334V04023
183 INE332V04019
184 INE332V04027
185 INE332V04035
186 INE332V04043
187 INE332V04050
188 INE332V04068
189 INE332V04076
190 INE331V04011
191 INE441T04012
SUNGRO SEEDS
10% NON CONVERTIBLE CUMULATIVE FULLY
SUNGRO SEEDS PRIVATE LIMITED 10% PREF 25OT25KIRAN
ENERGY SERIES A1 COMPULSORY CONVERTIBLE NON
KIRAN ENERGY SOLAR POWER PRIVATE LIMITED KIRAN
ENERGY SERIES A2 COMPULSORY CONVERTIBLE NON
KIRAN ENERGY SOLAR POWER PRIVATE LIMITED KIRAN
ENERGY SERIES C COMPULSORY CONVERTIBLE NON
KIRAN ENERGY SOLAR POWER PRIVATE LIMITED KIRAN
ENERGY SERIES C COMPULSORY CONVERTIBLE NON
KIRAN ENERGY SOLAR POWER PRIVATE LIMITED KIRAN
ENERGY SERIES A COMPULSORY CONVERTIBLE NON
KIRAN ENERGY SOLAR POWER PRIVATE LIMITED KIRAN
ENERGY SERIES A COMPULSORY CONVERTIBLE NON
KIRAN ENERGY SOLAR POWER PRIVATE LIMITED KIRAN
ENERGY SERIES A COMPULSORY CONVERTIBLE NON
KIRAN ENERGY SOLAR POWER PRIVATE LIMITED KIRAN
ENERGY SERIES A COMPULSORY CONVERTIBLE NON
KIRAN ENERGY SOLAR POWER PRIVATE LIMITED MAS
FINANCIAL 7% COMPULSORILY CONVERTIBLE, CUMULATIVE,
MAS FINANCIAL SERVICES LIMITED 7% PREF 13OT17ALIDAC
PHARMACEU8% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ALIDAC PHARMACEUTICALS ALIDAC
PHARMACEU8% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ALIDAC PHARMACEUTICALS ALIDAC
PHARMACEU8% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ALIDAC PHARMACEUTICALS ALIDAC
PHARMACEU8% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ALIDAC PHARMACEUTICALS ALIDAC
PHARMACEU8% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ALIDAC PHARMACEUTICALS ALIDAC
PHARMACEU8% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ALIDAC PHARMACEUTICALS ALIDAC
PHARMACEU8% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ALIDAC PHARMACEUTICALS ALIDAC
PHARMACEU8% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ALIDAC PHARMACEUTICALS PIRAMAL
ESTATES 5% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
PIRAMAL ESTATES PRIVATE LIMITED 5% PREF PIRAMAL
ESTATES 5% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
PIRAMAL ESTATES PRIVATE LIMITED 5% PREF BHARAT
SERUMS 0.01% COMPULSORY CONVERTIBLE CUMULATIVE,
BHARAT SERUMS AND VACCINES LIMITED 0.01% HYGIENIC
RESEARCH 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
HYGIENIC RESEARCH INSTITUTE PRIVATE MA MULTI-
TRADE 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
MA MULTI-TRADE PRIVATE LIMITED 10% MA MULTI-
TRADE 10% SERIES 02/17-18 NON CONVERTIBLE NON
MA MULTI-TRADE PRIVATE LIMITED 10% PLANETCAS
T MEDIA 0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
PLANETCAST MEDIA SERVICES LIMITED 0.01% FLOH
NETWORK 0.01% COMPULSRY CONVERTIBLE CUMULATIVE
FLOH NETWORK PRIVATE LIMITED 0.01% PREF FLOH
NETWORK 0.01% COMPULSRY CONVERTIBLE CUMULATIVE
FLOH NETWORK PRIVATE LIMITED 0.01% PREF SV
CREDITLINE 12.5% NON CONVERTIBLE CUMULATIVE FULLY
SV CREDITLINE PVT. LTD. 12.50% PREF 19AG19OSTRO
ENERGY 0.001% SERIES A CONVERTIBLE CUMULATIVE REDEEMABLE
OSTRO ENERGY PRIVATE LIMITED 0.001% SERIES A OSTRO
ENERGY 0.001% SERIES A CONVERTIBLE CUMULATIVE REDEEMABLE
OSTRO ENERGY PRIVATE LIMITED 0.001% SERIES A OSTRO
ENERGY 0.001% SERIES A CONVERTIBLE CUMULATIVE REDEEMABLE
OSTRO ENERGY PRIVATE LIMITED 0.001% SERIES A OSTRO
ENERGY 0.001% SERIES B CONVERTIBLE CUMULATIVE REDEEMABLE
OSTRO ENERGY PRIVATE LIMITED 0.001% SERIES B OSTRO
ENERGY 0.001% SERIES B CONVERTIBLE CUMULATIVE REDEEMABLE
OSTRO ENERGY PRIVATE LIMITED 0.001% SERIES B OSTRO
ENERGY 0.001% SERIES B CONVERTIBLE CUMULATIVE REDEEMABLE
OSTRO ENERGY PRIVATE LIMITED 0.001% SERIES B LENSKART
SOLUTIONS 8% COMPULSORILY CONVERTIBLE CUMULATIVE
LENSKART SOLUTIONS PRIVATE LIMITED 8% LENSKART
SOLUTIONS 8% COMPULSORILY CONVERTIBLE CUMULATIVE
LENSKART SOLUTIONS PRIVATE LIMITED 8% LENSKART
SOLUTIONS 8% COMPULSORILY CONVERTIBLE CUMULATIVE
LENSKART SOLUTIONS PRIVATE LIMITED 8% MERIL
DIAGNOSTIC12% NON CONVERTIBLE, NON CUMULATIVE FULLY
MERIL DIAGNOSTICS PRIVATE LIMITED 12% MERIL
DIAGNOSTIC9% NON CONVERTIBLE, NON CUMULATIVE FULLY
MERIL DIAGNOSTICS PRIVATE LIMITED 9% PREF MICRO LIFE
SCIENCES 65% NON CONVERTIBLE, NON CUMULATIVE FULLY
MICRO LIFE SCIENCES PRIVATE LIMITED 65% MICRO LIFE
SCIENCES 65% NON CONVERTIBLE, NON CUMULATIVE FULLY
MICRO LIFE SCIENCES PRIVATE LIMITED 65% MICRO LIFE
SCIENCES 108% NON CONVERTIBLE, NON CUMULATIVE FULLY
MICRO LIFE SCIENCES PRIVATE LIMITED 108% MICRO LIFE
SCIENCES 65% NON CONVERTIBLE, NON CUMULATIVE FULLY
MICRO LIFE SCIENCES PRIVATE LIMITED 65% MICRO LIFE
SCIENCES 65% NON CONVERTIBLE, NON CUMULATIVE FULLY
MICRO LIFE SCIENCES PRIVATE LIMITED 65% MICRO LIFE
SCIENCES 65% NON CONVERTIBLE, NON CUMULATIVE FULLY
MICRO LIFE SCIENCES PRIVATE LIMITED 65% MICRO LIFE
SCIENCES 90% NON CONVERTIBLE, NON CUMULATIVE FULLY
MICRO LIFE SCIENCES PRIVATE LIMITED 90% MERIL ENDO
SURGERY 9% NON CONVERTIBLE, NON CUMULATIVE FULLY
MERIL ENDO SURGERY PRIVATE LIMITED 9% PREF TORUS
BUILDCON 12% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TORUS BUILDCON PRIVATE LIMITED 12%
![Page 5: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/5.jpg)
192 INE438T03010
193 INE924W03013
194 INE027V04015
195 INE807V03012
196 INE807V03020
197 INE807V03038
198 INE807V03046
199 INE807V03053
200 INE807V03061
201 INE807V03079
202 INE980T03011
203 INE980T03029
204 INE980T03037
205 INE980T03045
206 INE980T03078
207 INE067W03037
208 INE607U04016
209 INE607U04024
210 INE393U03015
211 INE388U03015
212 INE388U03031
213 INE040W04016
214 INE333V04017
215 INE333V04025
216 INE779W03011
217 INE779W03029
218 INE779W03037
219 INE779W03045
220 INE405U04015
221 INE657W04017
222 INE471V03017
223 INE647U03022
224 INE647U03048
225 INE647U03055
226 INE647U03063
227 INE987T03016
228 INE015V03012
229 INE267U04019
230 INE187S03031
231 INE001U03014
232 INE001U03022
233 INE001U03030
234 INE220G03027
235 INE599P03033
236 INE599P03041
237 INE599P03058
238 INE599P03066
239 INE599P03074
STAR AGRIWAREH
0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
STAR AGRIWAREHOUSING AND COLLATERAL BEE SECURE
HOME 0.1% SERIES I COMPULSORY CONVERTIBLE, NON
BEE SECURE HOME FINANCE PRIVATE MERIL LIFE
SCIENCES 8% NON CONVERTIBLE, NON CUMULATIVE FULLY
MERIL LIFE SCIENCES PRIVATE LIMITED 8% PREF GLOBAL
CONSUMER 0.001% COMPULSORY CONVERTIBLE, CUMULATIVE
GLOBAL CONSUMER PRODUCTS PRIVATE GLOBAL
CONSUMER 0.001% COMPULSORY CONVERTIBLE, CUMULATIVE
GLOBAL CONSUMER PRODUCTS PRIVATE GLOBAL
CONSUMER 0.001% COMPULSORY CONVERTIBLE, CUMULATIVE
GLOBAL CONSUMER PRODUCTS PRIVATE GLOBAL
CONSUMER 0.001% COMPULSORY CONVERTIBLE, CUMULATIVE
GLOBAL CONSUMER PRODUCTS PRIVATE GLOBAL
CONSUMER 0.001% COMPULSORY CONVERTIBLE, CUMULATIVE
GLOBAL CONSUMER PRODUCTS PRIVATE GLOBAL
CONSUMER 0.001% COMPULSORY CONVERTIBLE, CUMULATIVE
GLOBAL CONSUMER PRODUCTS PRIVATE GLOBAL
CONSUMER 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
GLOBAL CONSUMER PRODUCTS PRIVATE EYE-Q
VISION 5% SERIES B-1 COMPULSORILY CONVERTIBLE NON
EYE-Q VISION PRIVATE LIMITED 5% SERIES B-1 EYE-Q
VISION 5% SERIES C-1 COMPULSORILY CONVERTIBLE NON
EYE-Q VISION PRIVATE LIMITED 5% SERIES C-1 EYE-Q
VISION 5% SERIES C-2 COMPULSORILY CONVERTIBLE NON
EYE-Q VISION PRIVATE LIMITED 5% SERIES C-2 EYE-Q
VISION 5% SERIES B COMPULSORILY CONVERTIBLE NON
EYE-Q VISION PRIVATE LIMITED 5% SERIES B PREF EYE-Q
VISION 5% SERIES C-3 COMPULSORILY CONVERTIBLE NON
EYE-Q VISION PRIVATE LIMITED 5% SERIES C-3 NOWFLOATS
TECHNOLOG0.001% SERIS A1 COMPULSORY CONVERTIBLE NON
NOWFLOATS TECHNOLOGIES PRIVATE PARADIP
INTERNATIO8% NON CONVERTIBLE NON CUMULATIVE FULLY
PARADIP INTERNATIONAL CARGO TERMINAL PARADIP
INTERNATIO8% NON CONVERTIBLE NON CUMULATIVE FULLY
PARADIP INTERNATIONAL CARGO TERMINAL TERRAM
GEOSYNTHECOMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
TERRAM GEOSYNTHETICS PRIVATE LIMITED PREF KEYMAN
FINANCIAL OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
KEYMAN FINANCIAL SERVICES PRIVATE KEYMAN
FINANCIAL OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
KEYMAN FINANCIAL SERVICES PRIVATE CHITRALI
PROPERTIES NON CONVERTIBLE NON CUMULATIVE FULLY
CHITRALI PROPERTIES PRIVATE LIMITED PREF MERIL
HEALTHCAR9% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
MERIL HEALTHCARE PRIVATE LIMITED 9% PREF MERIL
HEALTHCAR12% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
MERIL HEALTHCARE PRIVATE LIMITED 12% HEALTHVIST
A INDIA 0.001% SERIES B COMPULSORY CONVERTIBLE NON
HEALTHVISTA INDIA PRIVATE LIMITED 0.001% HEALTHVIST
A INDIA 0.001% SERIES A2 COMPULSORY CONVERTIBLE NON
HEALTHVISTA INDIA PRIVATE LIMITED 0.001% HEALTHVIST
A INDIA 0.001% SERIES A COMPULSORY CONVERTIBLE NON
HEALTHVISTA INDIA PRIVATE LIMITED 0.001% HEALTHVIST
A INDIA 0.001% SERIES A COMPULSORY CONVERTIBLE NON
HEALTHVISTA INDIA PRIVATE LIMITED 0.001% ZOLTON
PROPERTIES 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
ZOLTON PROPERTIES PRIVATE LIMITED 10% 3D PLM
SOFTWARE 7% NON CONVERTIBLE CUMULATIVE FULLY
3D PLM SOFTWARE SOLUTIONS LIMITED 7% DEV-
DWARKA 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
DEV-DWARKA WINDPROJECT LIMITED CLEAN MAX
ENVIRO 0.001% SERIES II COMPULSORY CONVERTIBLE NON
CLEAN MAX ENVIRO ENERGY SOLUTIONS CLEAN MAX
ENVIRO 0.001% SERIES A COMPULSORY CONVERTIBLE NON
CLEAN MAX ENVIRO ENERGY SOLUTIONS CLEAN MAX
ENVIRO 0.001% SERIES IV COMPULSORY CONVERTIBLE NON
CLEAN MAX ENVIRO ENERGY SOLUTIONS CLEAN MAX
ENVIRO 0.001% SERIES B COMPULSORY CONVERTIBLE NON
CLEAN MAX ENVIRO ENERGY SOLUTIONS 91STREETS
MEDIA SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
91STREETS MEDIA TECHNOLOGIES PVT.LTD. ASHFORD
CONSTRUCTIOPTIONALLY CONVERTIBLE NON CUMULATIVE
ASHFORD CONSTRUCTIONS PRIVATE BAJAJ
CAPITAL 9% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
BAJAJ CAPITAL VENTURES PRIVATE LIMITED 9% PREF ARINNA
LIFESCIENCE0.01% COMPULSORY CONVERTIBLE CUMULATIVE
ARINNA LIFESCIENCES LIMITED 0.01% PREF ALLYGROW
TECHNOLOG0.001% SERIES A FULLY CONVERTIBLE, CUMULATIVE,
ALLYGROW TECHNOLOGIES PRIVATE ALLYGROW
TECHNOLOG0.001% SERIES A FULLY CONVERTIBLE, CUMULATIVE,
ALLYGROW TECHNOLOGIES PRIVATE ALLYGROW
TECHNOLOG0.001% SERIES A COMPULSORY CONVERTIBLE, CUMULATIVE,
ALLYGROW TECHNOLOGIES PRIVATE JINDAL
STAINLESS 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
JINDAL STAINLESS LIMITED 0.01% PREF EMPAYS
PAYMENT 0.1% FULLY CONVERTIBLE CUMULATIVE NON
EMPAYS PAYMENT SYSTEMS INDIA PRIVATE EMPAYS
PAYMENT 0.1% FULLY CONVERTIBLE CUMULATIVE NON
EMPAYS PAYMENT SYSTEMS INDIA PRIVATE EMPAYS
PAYMENT 0.1% FULLY CONVERTIBLE CUMULATIVE NON
EMPAYS PAYMENT SYSTEMS INDIA PRIVATE EMPAYS
PAYMENT 0.1% FULLY CONVERTIBLE CUMULATIVE NON
EMPAYS PAYMENT SYSTEMS INDIA PRIVATE EMPAYS
PAYMENT 0.1% FULLY CONVERTIBLE CUMULATIVE NON
EMPAYS PAYMENT SYSTEMS INDIA PRIVATE
![Page 6: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/6.jpg)
240 INE798O03018
241 INE313J03024
242 INE516T03013
243 INE187S03015
244 INE820V04021
245 INE906H04019
246 INE906H04027
247 INE121H04015
248 INE890P04018
249 INE890P04026
250 INE890P04034
251 INE890P04042
252 INE753R04014
253 INE753R04022
254 INE522O04010
255 INE599P03017
256 INE599P03025
257 INE153R04017
258 INE121R03040
259 INE121R03073
260 INE670Q04012
261 INE494M03018
262 INE194S03011
263 INE686S04014
264 INE686S04022
265 INE685S04016
266 INE684S04019
267 INE209M04026
268 INE004R03030
269 INE969Q04018
270 INE969Q04026
271 INE561S04019
272 INE561S04027
273 INE561S04035
274 INE228D04017
275 INE792Q04014
276 INE415S04042
277 INE415S04018
278 INE415S04026
279 INE415S04034
280 INE414S04011
281 INE180S03010
282 INE136S04010
283 INE278M04013
284 INE873P04055
285 INE680R03011
286 INE680R03029
287 INE936P03011
AUTOCAL SOLUTIONS
0.5% COMPULSORILY CONVERTIBLE NON
AUTOCAL SOLUTIONS PRIVATE LIMITED 0.5% RSB
TRANSMISSI0.1% FULLY CONVERTIBLE CUMULATIVE NON
RSB TRANSMISSIONS (I) LIMITED 0.1% PREF 17AG14ANSAL
URBAN 0.001% FULLY CONVERTIBLE CUMULATIVE NON
ANSAL URBAN CONDOMINIUMS PRIVATE ARINNA
LIFESCIENCE0.01% COMPULSORY CONVERTIBLE CUMULATIVE
ARINNA LIFESCIENCES LIMITED 0.01% PREF ECOOL
GAMING 7% NON CONVERTIBLE NON CUMULATIVE FULLY
ECOOL GAMING SOLUTIONS PRIVATE MERIL LIFE
SCIENCES 12% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
MERIL LIFE SCIENCES INDIA PRIVATE LIMITED MERIL LIFE
SCIENCES 12% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
MERIL LIFE SCIENCES INDIA PRIVATE LIMITED IL&FS
FINANCIAL RESET RATE NON CONVERTIBLE CUMULATIVE FULLY
IL&FS FINANCIAL SERVICES LIMITED RR VISTAS
COMPLEXES 10% NON CONVERTIBLE NON CUMULATIVE FULLY
VISTAS COMPLEXES PRIVATE LIMITED 10% VISTAS
COMPLEXES 10% NON CONVERTIBLE NON CUMULATIVE FULLY
VISTAS COMPLEXES PRIVATE LIMITED 10% VISTAS
COMPLEXES 10% NON CONVERTIBLE NON CUMULATIVE FULLY
VISTAS COMPLEXES PRIVATE LIMITED 10% VISTAS
COMPLEXES 10% NON CONVERTIBLE NON CUMULATIVE FULLY
VISTAS COMPLEXES PRIVATE LIMITED 10% CLEAN WIND
POWER 14% NON CONVERTIBLE CUMULATIVE FULLY
CLEAN WIND POWER (MANVI) PRIVATE LIMITED CLEAN WIND
POWER 14% NON CONVERTIBLE CUMULATIVE FULLY
CLEAN WIND POWER (MANVI) PRIVATE LIMITED PRAKAR
INVESTMEN4% NON CONVERTIBLE, CUMULATIVE, FULLY
PRAKAR INVESTMENTS PRIVATE LIMITED 4% PREF EMPAYS
PAYMENT 0.01% FULLY CONVERTIBLE CUMULATIVE NON
EMPAYS PAYMENT SYSTEMS INDIA PRIVATE EMPAYS
PAYMENT 0.01% FULLY CONVERTIBLE CUMULATIVE NON
EMPAYS PAYMENT SYSTEMS INDIA PRIVATE JCB SALONS
PRIVATE NON CONVERTIBLE NON CUMULATIVE FULLY
JCB SALONS PRIVATE LIMITED PREF 11AP27AMAGI
MEDIA LABS OPTIONALLY CONVERTIBLE NON CUMULATIVE
AMAGI MEDIA LABS PRIVATE LIMITED PREF AMAGI
MEDIA LABS COMPULSORILY CONVERTIBLE NON CUMULATIVE
AMAGI MEDIA LABS PRIVATE LIMITED PREF WHITE
FEATHER 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
WHITE FEATHER ESTATES PRIVATE LIMITED 10% IFCI
FACTORS 9% COMPULSORILY CONVERTIBLE CUMULATIVE
IFCI FACTORS LIMITED 9% PREF 30MR20MERITON
INFOTECH FULLY CONVERTIBLE NON REDEEMALE PREFERENCE
MERITON INFOTECH PRIVATE LIMITED PREF MOBILE
SEARCH 6% NON CONVERTIBLE NON CUMULATIVE FULLY
MOBILE SEARCH ENGINE PRIVATE LIMITED 6% PREF MOBILE
SEARCH 4% NON CONVERTIBLE NON CUMULATIVE FULLY
MOBILE SEARCH ENGINE PRIVATE LIMITED 4% PREF MICRO
HOUSING 4% NON CONVERTIBLE NON CUMULATIVE FULLY
MICRO HOUSING SOLUTIONS INDIA BLACK
SWAN 4% NON CONVERTIBLE NON CUMULATIVE FULLY
BLACK SWAN VENTURE CAPITAL PRIVATE JINDAL
INDIA NON CUMULATIVE REDEEMABLE NON
JINDAL INDIA POWERTECH LIMITED ECOM
EXPRESS 0.001% SERIES I COMPULSORILY CONVERTIBLE NON
ECOM EXPRESS PRIVATE LIMITED 0.001% SERIES I CLEAN WIND
POWER 14% NON CONVERTIBLE CUMULATIVE FULLY
CLEAN WIND POWER (PRATAPGARH) PRIVATE CLEAN WIND
POWER 14% NON CONVERTIBLE CUMULATIVE FULLY
CLEAN WIND POWER (PRATAPGARH) PRIVATE MAHARASHT
RA VALLEY 8% NON CONVERTIBLE NON CUMULATIVE FULLY
MAHARASHTRA VALLEY VIEW PRIVATE LIMITED MAHARASHT
RA VALLEY 8% NON CONVERTIBLE NON CUMULATIVE FULLY
MAHARASHTRA VALLEY VIEW PRIVATE LIMITED MAHARASHT
RA VALLEY 8% NON CONVERTIBLE NON CUMULATIVE FULLY
MAHARASHTRA VALLEY VIEW PRIVATE LIMITED ORISSA
SPONGE 10% NON CONVERTIBLE CUMULATIVE FULLY
ORISSA SPONGE IRON AND STEEL LTD 10% PREF RUDRAPRAT
AP 24.83% NON CONVERTIBLE NON CUMULATIVE FULLY
RUDRAPRATAP DEVELOPERS PRIVATE KOHINOOR
HOSPITALS 6% NON CONVERTIBLE NON CUMULATIVE FULLY
KOHINOOR HOSPITALS PRIVATE LIMITED 6% PREF KOHINOOR
HOSPITALS 6% NON CONVERTIBLE CUMULATIVE FULLY
KOHINOOR HOSPITALS PRIVATE LIMITED 6% PREF KOHINOOR
HOSPITALS 6% NON CONVERTIBLE CUMULATIVE FULLY
KOHINOOR HOSPITALS PRIVATE LIMITED 6% PREF KOHINOOR
HOSPITALS 6% NON CONVERTIBLE CUMULATIVE FULLY
KOHINOOR HOSPITALS PRIVATE LIMITED 6% PREF KOHINOOR
ELITE 7% NON CONVERTIBLE CUMULATIVE FULLY
KOHINOOR ELITE HOTELS PRIVATE LIMITED 7% PREF WELSPUN
ENERGY 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
WELSPUN ENERGY CHHATTISGARH PRIVATE NEOGEN
CHEMICALS 9.8% NON CONVERTIBLE, CUMULATIVE REDEEMABLE
NEOGEN CHEMICALS LIMITED 9.8% PREF 04OT28NAVKAR
CORPORATI0% NON CONVERTIBLE CUMULATIVE REDEEMABLE
NAVKAR CORPORATION LIMITED PREF 15NV24BINDAS
REALTORS 10% NON CONVERTIBLE NON CUMULATIVE FULLY
BINDAS REALTORS PRIVATE LIMITED 10% PIRAMAL
REALTY 1% COMPULSORILY CONVERTIBLE NON
PIRAMAL REALTY PRIVATE LIMITED 1% PIRAMAL
REALTY 1% COMPULSORILY CONVERTIBLE NON
PIRAMAL REALTY PRIVATE LIMITED 1% INDIA
ALTERNATIV0.01% COMPULSORY CONVERTIBLE NON
INDIA ALTERNATIVES INVESTMENT ADVISORS
![Page 7: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/7.jpg)
288 INE588R04014
289 INE305T04019
290 INE164T03012
291 INE156T03026
292 INE004R03048
293 INE657K04012
294 INE933S03038
295 INE140N04013
296 INE016P03079
297 INE016P03087
298 INE956O03012
299 INE956O03020
300 INE121R03057
301 INE124K03015
302 INE467N04010
303 INE467N04028
304 INE467N04044
305 INE900M03063
306 INE900M03071
307 INE900M03089
308 INE900M03097
309 INE900M03105
310 INE900M03121
311 INE900M03147
312 INE181S03018
313 INE221N03013
314 INE221N03021
315 INE221N03039
316 INE352M04016
317 INE235P04024
318 INE498L04035
319 INE498L04050
320 INE498L04076
321 INE498L04084
322 INE180N03011
323 INE180S03036
324 INE418O03039
325 INE418O03047
326 INE836B04029
327 INE180S03028
328 INE196O03015
329 INE899S03015
330 INE303R03028
331 INE503P04017
332 INE475I03015
333 INE261C04036
334 INE261C04044
335 INE121R03016
MEXUS EDUCATION
8% NON CONVERTIBLE NON CUMULATIVE FULLY
MEXUS EDUCATION PRIVATE LIMITED 8% PREF ACULIFE
HEALTHCAR1% NON CONVERTIBLE, CUMULATIVE, FULLY
ACULIFE HEALTHCARE PRIVATE LIMITED 1% PREF MILLENNIU
M CITY OPTIONALLY CONVERTIBLE REDEEMABLE PREFERENCE
MILLENNIUM CITY EXPRESSWAYS PVT PRL
DEVELOPER0.001% COMPULSORILY CONVERTIBLE NON
PRL DEVELOPERS PRIVATE LIMITED 0.001% ECOM
EXPRESS 0.001% COMPULSORILY CONVERTIBLE NON
ECOM EXPRESS PRIVATE LIMITED 0.001% PREFF RHC
HOLDING 12% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
RHC HOLDING PRIVATE LIMITED 12% PREF 29AP25INDIAMART
INTERMESH 0.01% SERIES B1 COMPULSORY CONVERTIBLE CUMULATIVE
INDIAMART INTERMESH LIMITED 0.01% SERIES B1 SYNERGY
PROPERTY 0.0001% NON CONVERTIBLE CUMULATIVE REDEEMABLE
SYNERGY PROPERTY DEVELOPMENT SERVICES VISTAAR
FINANCIAL CLASS A FULLY CONVERTIBLE CUMULATIVE NON
VISTAAR FINANCIAL SERVICES PRIVATE VISTAAR
FINANCIAL FULLY CONVERTIBLE CUMULATIVE NON
VISTAAR FINANCIAL SERVICES PRIVATE LENSKART
SOLUTIONS 8% COMPULSORILY CONVERTIBLE CUMULATIVE
LENSKART SOLUTIONS PRIVATE LIMITED 8% SR A LENSKART
SOLUTIONS 8% COMPULSORILY CONVERTIBLE CUMULATIVE
LENSKART SOLUTIONS PRIVATE LIMITED 8% SR B AMAGI
MEDIA LABS OPTIONALLY CONVERTIBLE NON CUMULATIVE
AMAGI MEDIA LABS PRIVATE LIMITED PREF INDUS TREE
CRAFTS 0.001% COMPULSORY CONVERTIBLE NON
INDUS TREE CRAFTS PRIVATE LIMITED 0.001% EDELWEISS
INVESTMEN0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
EDELWEISS INVESTMENT ADVISORS LIMITED 0.01% EDELWEISS
INVESTMEN1% NON CONVERTIBLE NON CUMULATIVE FULLY
EDELWEISS INVESTMENT ADVISORS LIMITED 1% EDELWEISS
INVESTMEN0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
EDELWEISS INVESTMENT ADVISORS LIMITED 0.01% PAN INDIA
FOOD 0.01% FULLY CONVERTIBLE, CUMULATIVE, NON
PAN INDIA FOOD SOLUTIONS PRIVATE PAN INDIA
FOOD 0.01% FULLY CONVERTIBLE, CUMULATIVE, NON
PAN INDIA FOOD SOLUTIONS PRIVATE PAN INDIA
FOOD 0.01% FULLY CONVERTIBLE, CUMULATIVE, NON
PAN INDIA FOOD SOLUTIONS PRIVATE PAN INDIA
FOOD 0.01% FULLY CONVERTIBLE CUMULATIVE NON
PAN INDIA FOOD SOLUTIONS PRIVATE PAN INDIA
FOOD 0.01% FULLY CONVERTIBLE CUMULATIVE NON
PAN INDIA FOOD SOLUTIONS PRIVATE PAN INDIA
FOOD 0.01% FULLY CONVERTIBLE CUMULATIVE NON
PAN INDIA FOOD SOLUTIONS PRIVATE PAN INDIA
FOOD 0.01% SERIES 10 COMPULSORY CONVERTIBLE CUMULATIVE
PAN INDIA FOOD SOLUTIONS PRIVATE SOLAIREDIR
ECT 9% FULLY CONVERTIBLE CUMULATIVE NON
SOLAIREDIRECT PROJECTS INDIA PRIVATE LIMITED ADLERS BIO-
ENERGY 6% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
ADLERS BIO-ENERGY LIMITED 6% PREF 10SP23ADLERS BIO-
ENERGY 6% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
ADLERS BIO-ENERGY LIMITED 6% PREF 09SP23ADLERS BIO-
ENERGY 6% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
ADLERS BIO-ENERGY LIMITED 6% PREF 08SP23EVERSTONE
CAPITAL 0.01% NON CONVERTIBLE NON CUMULATIVE COMPOULSORILY
EVERSTONE CAPITAL ADVISORS PRIVATE L&T INFRA
DEBT FUND 5% NON CONVERTIBLE CUMULATIVE FULLY
L&T INFRA DEBT FUND LIMITED 5% PREF 30SP22L & T
FINANCE 9% NON CONVERTIBLE CUMULATIVE FULLY
L & T FINANCE HOLDINGS LIMITED 9% PREF 15OT18L & T
FINANCE 8.50% OPTION II NON CONVERTIBLE CUMULATIVE
L & T FINANCE HOLDINGS LIMITED 8.50 OPTION -II L & T
FINANCE 8.35% OPTION II NON CONVERTIBLE CUMULATIVE
L & T FINANCE HOLDINGS LIMITED 8.35% OPTION- II L & T
FINANCE 8.15% NON CONVERTIBLE CUMULATIVE FULLY
L & T FINANCE HOLDINGS LIMITED 8.15% PREF B L A POWER
PRIVATE 5% REDEEMABLE CUMULATIVE OPTIONALLY CONVERTIBLE
B L A POWER PRIVATE LIMITED 5% PREF 31MR41WELSPUN
ENERGY 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
WELSPUN ENERGY CHHATTISGARH PRIVATE MSWIPE
TECHNOLOGSERIES B1 COMPULSORILY CONVERTIBLE NON-
MSWIPE TECHNOLOGIES PRIVATE LIMITED 0.0001% MSWIPE
TECHNOLOG0.0001% SERIES C COMPULSORILY CONVERTIBLE
MSWIPE TECHNOLOGIES PRIVATE LIMITED 0.0001% SATIN
CREDITCARE 12.10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
SATIN CREDITCARE NETWORK LIMITED 12.10% WELSPUN
ENERGY 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
WELSPUN ENERGY CHHATTISGARH PRIVATE STRAND
LIFE 0.001% SERIES 1 COMPULSORY CONVERTIBLE NON
STRAND LIFE SCIENCES PRIVATE LIMITED 0.001% AKUMENTIS
HEALTHCAR0.0001% SERIES A FULLY CONVERTIBLE CUMULATIVE
AKUMENTIS HEALTHCARE LIMITED 0.0001% SERIES A KALYAN
JEWELLERS 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
KALYAN JEWELLERS INDIA LIMITED 0.001% EDELCAP
SECURITIES 7% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
EDELCAP SECURITIES LIMITED 7% PREF 14DC19WEST
GUJARAT 2 % OPTIONALLY CONVERTIBLE, FULLY REDEEMABLE,
WEST GUJARAT EXPRESSWAY LIMITED 2 % AIRCEL
CELLULAR 0.01% NON CONVERTIBLE CUMULATIVE FULLY
AIRCEL CELLULAR LIMITED 0.01% PREF AIRCEL
CELLULAR 0.01% NON CONVERTIBLE CUMULATIVE FULLY
AIRCEL CELLULAR LIMITED 0.01% PREF 29JL20AMAGI
MEDIA LABS OPTIONALLY CONVERTIBLE NON CUMULATIVE
AMAGI MEDIA LABS PRIVATE LIMITED PREF
![Page 8: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/8.jpg)
336 INE121R03024
337 INE121R03032
338 INE121R03065
339 INE494M03026
340 INE004R03022
341 INE414S04029
342 INE666P04012
343 INE467N04051
344 INE136S03012
345 INE030S03017
346 INE130Q04017
347 INE121Q04016
348 INE873P04014
349 INE873P04022
350 INE873P04030
351 INE873P04048
352 INE707R03012
353 INE691R03018
354 INE588R04022
355 INE796P04017
356 INE447R04013
357 INE274T03019
358 INE274T03027
359 INE274T03035
360 INE236T04016
361 INE373R04011
362 INE373R04029
363 INE373R04037
364 INE372R04013
365 INE156T03018
366 INE156T04016
367 INE933S03012
368 INE933S03020
369 INE222R04010
370 INE222R04028
371 INE025T03023
372 INE235P04040
373 INE016P03012
374 INE016P03020
375 INE016P03038
376 INE016P03046
377 INE016P03053
378 INE016P03061
379 INE900M03113
380 INE900M03139
381 INE523L04014
382 INE367O03012
383 INE367O03020
AMAGI MEDIA LABS
OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
AMAGI MEDIA LABS PRIVATE LIMITED PREF AMAGI
MEDIA LABS OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
AMAGI MEDIA LABS PRIVATE LIMITED PREF AMAGI
MEDIA LABS OPTIONALLY CONVERTIBLE NON CUMULATIVE
AMAGI MEDIA LABS PRIVATE LIMITED PREF IFCI
FACTORS 10% COMPULSORILY CONVERTIBLE CUMULATIVE
IFCI FACTORS LIMITED 10% PREF 28SP20ECOM
EXPRESS 0.001% COMPULSORILY CONVERTIBLE NON
ECOM EXPRESS PRIVATE LIMITED 0.001% PREF KOHINOOR
ELITE 7% NON CONVERTIBLE CUMULATIVE FULLY
KOHINOOR ELITE HOTELS PRIVATE LIMITED 7% PREF GREEN
BIOFUELS 12% NON CONVERTIBLE NON CUMULATIVE FULLY
GREEN BIOFUELS FARMS PRIVATE LIMITED 12% EDELWEISS
INVESTMEN1% NON CONVERTIBLE NON CUMULATIVE FULLY
EDELWEISS INVESTMENT ADVISORS LIMITED 1% NEOGEN
CHEMICALS 10% OPTIONALLY CONVERTIBLE, CUMULATIVE,
NEOGEN CHEMICALS LIMITED 10% PREF 19MR27ENERGON
MH WIND 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
ENERGON MH WIND POWER PRIVATE LIMITED ORLANDO
TRADING 14% NON CONVERTIBLE, NON CUMULATIVE FULLY
ORLANDO TRADING COMPANY (A PRIVATE FORTIS
GLOBAL 12% NON CONVERTIBLE NON CUMULATIVE FULLY
FORTIS GLOBAL HEALTHCARE PRIVATE BINDAS
REALTORS 10% NON CONVERTIBLE NON CUMULATIVE FULLY
BINDAS REALTORS PRIVATE LIMITED 10% BINDAS
REALTORS 10% NON CONVERTIBLE NON CUMULATIVE FULLY
BINDAS REALTORS PRIVATE LIMITED 10% BINDAS
REALTORS 10% NON CONVERTIBLE NON CUMULATIVE FULLY
BINDAS REALTORS PRIVATE LIMITED 10% BINDAS
REALTORS 10% NON CONVERTIBLE NON CUMULATIVE FULLY
BINDAS REALTORS PRIVATE LIMITED 10% BLUE
SAPPHIRE 0.0001% SERIES B OPTIONALLY CONVERTIBLE CUMULATIVE
BLUE SAPPHIRE HEALTHCARES PRIVATE MARKDATA
GREEN 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
MARKDATA GREEN ENERGY PRIVATE LIMITED MEXUS
EDUCATION 8% NON CONVERTIBLE NON CUMULATIVE FULLY
MEXUS EDUCATION PRIVATE LIMITED 8% PREF DEWAS
BHOPAL 0.01% NON CONVERTIBLE CUMULATIVE REDEEMABLE
DEWAS BHOPAL CORRIDOR PRIVATE RELIANCE
MEDIAWORK10% NON CONVERTIBLE, NON CUMULATIVE FULLY
RELIANCE MEDIAWORKS ENTERTAINMENT ENERGON
KN WIND 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
ENERGON KN WIND POWER PRIVATE LIMITED ENERGON
KN WIND 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
ENERGON KN WIND POWER PRIVATE LIMITED ENERGON
KN WIND 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
ENERGON KN WIND POWER PRIVATE LIMITED SUNFRESH
AGRO 0.01% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SUNFRESH AGRO INDUSTRIES PRIVATE LUXURY
FARMS 12% NON CONVERTIBLE FULLY REDEEMABLE PREFERENCE NON
LUXURY FARMS PRIVATE LIMITED 12% PREF 29MR19LUXURY
FARMS 14% NON CONVERTIBLE FULLY REDEEMABLE PREFERENCE NON
LUXURY FARMS PRIVATE LIMITED 14% PREF 13JU22LUXURY
FARMS 12% NON CONVERTIBLE FULLY REDEEMABLE NON
LUXURY FARMS PRIVATE LIMITED 12% PREF 30MR24SHIMAL
HEALTHCAR12% NON CONVERTIBLE NON CUMULATIVE FULLY
SHIMAL HEALTHCARE PRIVATE LIMITED 12% PRL
DEVELOPER0.001% COMPULSORILY CONVERTIBLE NON
PRL DEVELOPERS PRIVATE LIMITED 0.001% PRL
DEVELOPER0.001% NON CONVERTIBLE NON CUMULATIVE FULLY
PRL DEVELOPERS PRIVATE LIMITED 0.001% INDIAMART
INTERMESH 0.01% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
INDIAMART INTERMESH LIMITED 0.01% SR. B PREF INDIAMART
INTERMESH 0.01% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
INDIAMART INTERMESH LIMITED 0.01% SR. A PREF ALSPUN
INFRASTRUC5% NON CONVERTIBLE NON CUMULATIVE FULLY
ALSPUN INFRASTRUCTURE ALSPUN
INFRASTRUCNON CONVERTIBLE NON CUMULATIVE FULLY
ALSPUN INFRASTRUCTURE EAST DELHI
WASTE 17% FULLY CONVERTIBLE CUMULATIVE NON
EAST DELHI WASTE PROCESSING COMPANY L&T INFRA
DEBT FUND 5% NON CONVERTIBLE CUMULATIVE FULLY
L&T INFRA DEBT FUND LIMITED 5% PREF 29AG24VISTAAR
FINANCIAL FULLY CONVERTIBLE CUMULATIVE NON
VISTAAR FINANCIAL SERVICES PRIVATE VISTAAR
FINANCIAL FULLY CONVERTIBLE CUMULATIVE NON
VISTAAR FINANCIAL SERVICES PRIVATE VISTAAR
FINANCIAL FULLY CONVERTIBLE CUMULATIVE NON
VISTAAR FINANCIAL SERVICES PRIVATE VISTAAR
FINANCIAL FULLY CONVERTIBLE CUMULATIVE NON
VISTAAR FINANCIAL SERVICES PRIVATE VISTAAR
FINANCIAL FULLY CONVERTIBLE CUMULATIVE NON
VISTAAR FINANCIAL SERVICES PRIVATE VISTAAR
FINANCIAL CLASS A FULLY CONVERTIBLE CUMULATIVE NON
VISTAAR FINANCIAL SERVICES PRIVATE PAN INDIA
FOOD 0.01% FULLY CONVERTIBLE CUMULATIVE NON
PAN INDIA FOOD SOLUTIONS PRIVATE PAN INDIA
FOOD 0.01% SERIES 11 COMPULSORY CONVERTIBLE CUMULATIVE
PAN INDIA FOOD SOLUTIONS PRIVATE EDELWEISS
BROKING 7% NON CONVERTIBLE, NON CUMULATIVE, FULLY
EDELWEISS BROKING LIMITED 7% PREF 26DC31RUNWAL
PROJECTS 0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
RUNWAL PROJECTS PRIVATE LIMITED 0.01% RUNWAL
PROJECTS 0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
RUNWAL PROJECTS PRIVATE LIMITED 0.01%
![Page 9: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/9.jpg)
384 INE367O04010
385 INE990M03015
386 INE990M03023
387 INE836B03013
388 INE836B03021
389 INE900M03055
390 INE506P03012
391 INE506P03020
392 INE759N04010
393 INE759N04028
394 INE759N04036
395 INE759N04044
396 INE499P04018
397 INE608M03013
398 INE358I04029
399 INE017O03013
400 INE661H03038
401 INE661H03079
402 INE419P03067
403 INE292M04014
404 INE209M04018
405 INE419P03075
406 INE017O03021
407 INE938L03016
408 INE871D04048
409 INE871D04089
410 INE871D04097
411 INE871D04113
412 INE871D04121
413 INE871D04154
414 INE821L03014
415 INE834L03017
416 INE834L03041
417 INE049B04029
418 INE049B03021
419 INE532I04011
420 INE532I04029
421 INE532I04037
422 INE532I04045
423 INE532I04052
424 INE532I04060
425 INE532I04078
426 INE532I04086
427 INE532I04102
428 INE044A04014
429 INE665L03049
430 INE725M04013
431 INE725M04021
RUNWAL PROJECTS
0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
RUNWAL PROJECTS PRIVATE LIMITED 0.01% KALKI
COMMUNICA8% FULLY CONVERTIBLE CUMULATIVE NON
KALKI COMMUNICATION TECHNOLOGIES PRIVATE KALKI
COMMUNICA8% FULLY CONVERTIBLE CUMULATIVE NON
KALKI COMMUNICATION TECHNOLOGIES PRIVATE SATIN
CREDITCARE 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
SATIN CREDITCARE NETWORK LIMITED 0.01% SATIN
CREDITCARE 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
SATIN CREDITCARE NETWORK LIMITED 0.01% PAN INDIA
FOOD 0.01% FULLY CONVERTIBLE, CUMULATIVE, NON
PAN INDIA FOOD SOLUTIONS PRIVATE ALLIUM
FINANCE 0.01% COMPULSORY CONVERTIBLE NON
ALLIUM FINANCE PRIVATE LIMITED 0.01% ALLIUM
FINANCE 0.01% COMPULSORY CONVERTIBLE NON
ALLIUM FINANCE PRIVATE LIMITED 0.01% BOXCO
LOGISTICS 0.01% NON CONVERTIBLE, NON CUMULATIVE PREFERENCE
BOXCO LOGISTICS INDIA PRIVATE LIMITED 0.01% BOXCO
LOGISTICS 0.01% NON CONVERTIBLE, NON CUMULATIVE PREFERENCE
BOXCO LOGISTICS INDIA PRIVATE LIMITED 0.01% BOXCO
LOGISTICS 0.01% NON CONVERTIBLE, NON CUMULATIVE PREFERENCE
BOXCO LOGISTICS INDIA PRIVATE LIMITED 0.01% BOXCO
LOGISTICS 0.01% NON CONVERTIBLE, NON CUMULATIVE PREFERENCE
BOXCO LOGISTICS INDIA PRIVATE LIMITED 0.01% ABHIJEET
FERROTECH 1% NON CONVERTIBLE NON CUMULATIVE FULLY
ABHIJEET FERROTECH LIMITED 1% PREF 11JL21NEPTUNE
VENTURES 0.0001% OPTIONALLY CONVERTIBLE CUMULATIVE
NEPTUNE VENTURES AND DEVELOPERS PRIVATE I- VEN
REALTY 1% NON CONVERTIBLE NON CUMULATIVE FULLY
I- VEN REALTY LIMITED 1% PREF 29092025 - SERIES MAINI
PRECISION 0.0001% SERIES A COMPULSORY CONVERTIBLE, CUMULATIVE
MAINI PRECISION PRODUCTS LIMITED SAHARA
HOSPITALIT0.05% OPTIONALLY CONVERTIBLE NON
SAHARA HOSPITALITY LIMITED 0.05% PREF 15JL23SAHARA
HOSPITALIT0.05% OPTIONALLY CONVERTIBLE NON
SAHARA HOSPITALITY LIMITED 0.05% PREF 23JL24NSE
STRATEGIC 6% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
NSE STRATEGIC INVESTMENT STUISH
CAPITAL 6% NON CONVERTIBLE NON CUMULATIVE FULLY
STUISH CAPITAL SERVICES PRIVATE JINDAL
INDIA NON CONVERTIBLE NON CUMULATIVE FULLY
JINDAL INDIA POWERTECH LIMITED NSE
STRATEGIC 6% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
NSE STRATEGIC INVESTMENT MAINI
PRECISION 0.0001% SERIES A COMPULSORY CONVERTIBLE, CUMULATIVE
MAINI PRECISION PRODUCTS LIMITED IL&FS
ENERGY 0.0001% COMPULSORY CONVERTIBLE, NON
IL&FS ENERGY DEVELOPMENT COMPANY INFRASTRUC
TURE 2 % NON CONVERTIBLE FULLY REDEEMABLE CUMULATIVE
INFRASTRUCTURE LEASING & FINANCIAL INFRASTRUC
TURE 15.99% NON CONVERTIBLE CUMULATIVE REDEEMABLE
INFRASTRUCTURE LEASING & FINANCIAL INFRASTRUC
TURE 16.46% NON CONVERTIBLE CUMULATIVE REDEEMABLE
INFRASTRUCTURE LEASING & FINANCIAL INFRASTRUC
TURE 16.46% NON CONVERTIBLE CUMULATIVE FULLY
INFRASTRUCTURE LEASING & FINANCIAL INFRASTRUC
TURE 16.46% NON CONVERTIBLE CUMULATIVE FULLY
INFRASTRUCTURE LEASING & FINANCIAL INFRASTRUC
TURE 16.46% NON CONVERTIBLE CUMULATIVE FULLY
INFRASTRUCTURE LEASING & FINANCIAL ASHOKA
SAMBALPUR 1 % FULLY CONVERTIBLE, NON CUMULATIVE NON
ASHOKA SAMBALPUR BARAGARH TOLLWAY SHRINIWAS
ENGINEERIN1% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
SHRINIWAS ENGINEERING AUTO COMPONENTS SHRINIWAS
ENGINEERIN1% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
SHRINIWAS ENGINEERING AUTO COMPONENTS WOCKHARD
T LIMITED0.01 % NON CONVERTIBLE, CUMULATIVE, FULLY
WOCKHARDT LIMITED 0.01% PREF SR2 31DC18WOCKHARD
T LIMITED0.01 % OPTIONALLY CONVERTIBLE, CUMULATIVE,
WOCKHARDT LIMITED 0.01% PREF SR 2 31DC18WOCKHARD
T HOSPITALS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WOCKHARDT HOSPITALS LIMITED 8% PREF 30OT33WOCKHARD
T HOSPITALS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WOCKHARDT HOSPITALS LIMITED 8% PREF 17DC33WOCKHARD
T HOSPITALS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WOCKHARDT HOSPITALS LIMITED 8% PREF 02DC33WOCKHARD
T HOSPITALS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WOCKHARDT HOSPITALS LIMITED 8% PREF 01DC33WOCKHARD
T HOSPITALS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WOCKHARDT HOSPITALS LIMITED 8% PREF 01MR34WOCKHARD
T HOSPITALS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WOCKHARDT HOSPITALS LIMITED 8% PREF 03FB34WOCKHARD
T HOSPITALS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WOCKHARDT HOSPITALS LIMITED 8% PREF 28MR34WOCKHARD
T HOSPITALS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WOCKHARDT HOSPITALS LIMITED 8% PREF 23MR34WOCKHARD
T HOSPITALS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WOCKHARDT HOSPITALS LIMITED 8% PREF 29MR35SUN
PHARMACEU6% NON CONVERTIBLE CUMULATIVE REDEEMABLE
SUN PHARMACEUTICAL INDUSTRIES LTD. 6% PREF VARROC
ENGINEERIN0.0001% SERIES C COMPULSORILY CONVERTIBLE
VARROC ENGINEERING PRIVATE LIMITED 0.0001% REAL GEM
BUILDTECH 0.1% NON CONVERTIBLE CUMULATIVE FULLY
REAL GEM BUILDTECH PRIVATE LIMITED 0.1% REAL GEM
BUILDTECH 0.1% NON CONVERTIBLE CUMULATIVE FULLY
REAL GEM BUILDTECH PRIVATE LIMITED 0.1%
![Page 10: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/10.jpg)
432 INE358I04011
433 INE005D04027
434 INE005D04019
435 INE576G04012
436 INE579G04016
437 INE578G04018
438 INE577G04010
439 IFCI LIMITED INE039A04212
440 IFCI LIMITED INE039A04246
441 IFCI LIMITED INE039A04188
442 IFCI LIMITED INE039A04204
443 IFCI LIMITED INE039A04196
444 IFCI LIMITED INE039A04220
445 INE244B03010
446 INE871D04071
447 INE657N04016
448 INE657N04024
449 INE055J04011
450 IFCI LIMITED INE039A04253
451 IFCI LIMITED INE039A04238
452 INE163L03011
453 INE587F04011
454 INE773P04016
455 INE773P04024
456 INE773P04032
457 INE773P04040
458 INE773P04057
459 INE523L03016
460 INE756P03013
461 INE661P04013
462 INE661P04021
463 INE661P04039
464 INE661P04047
465 INE661P04054
466 INE419P03018
467 INE419P03026
468 INE419P03034
469 INE419P03042
470 INE419P03059
471 INE067H03012
472 INE424C04014
473 INE871D04055
474 INE871D04063
475 INE871D04105
476 INE871D04139
477 INE871D04147
478 INE049B04037
479 INE532I04094
I- VEN REALTY
1% NON CONVERTIBLE NON CUMULATIVE FULLY
I- VEN REALTY LIMITED 1% PREF 29092025 - SERIES RAMSARUP
INDUSTRIES 4% CUMULATIVE FULLY REDEEMABLE PREFERENCE
RAMSARUP INDUSTRIES LTD 4% SERIES-II PREF RAMSARUP
INDUSTRIES 5% CUMULATIVE FULLY REDEEMABLE PREFERENCE
RAMSARUP INDUSTRIES LTD 5% SERIES-I PREF KAMATS
SUPER 0% Non convertible non cumulative fully redeemable preference Shares.
KAMATS SUPER SNACKS PRIVATE LIMITED 0 PREF KAMBURGE
R FOODS 0% Non convertible non cumulative fully redeemable preference Shares.
KAMBURGER FOODS PRIVATE LIMITED 0 PREF KAMATS
EATERIES 0% Non convertible non cumulative fully redeemable preference Shares.
KAMATS EATERIES PRIVATE LIMITED 0 PREF HIMCO
FINANCIAL 0% Non convertible non cumulative fully redeemable preference Shares.
HIMCO FINANCIAL MANAGEMENT PRIVATE 0.10 % NON CONVERTIBLE
CUMULATIVE FULLY IFCI LIMITED 0.10 PREF 311020200.10 % NON CONVERTIBLE
CUMULATIVE FULLY IFCI LIMITED 0.10 PREF 030320210.10% NON CONVERTIBLE
CUMULATIVE FULLY IFCI LIMITED 0.10 PREF 150920180.10 % NON CONVERTIBLE
CUMULATIVE FULLY IFCI LIMITED 0.10 PREF 310320190.10 % NON CONVERTIBLE
CUMULATIVE FULLY IFCI LIMITED 0.10 PREF 170920180.10 % NON CONVERTIBLE
CUMULATIVE FULLY IFCI LIMITED 0.10 PREF 01032021PATEL
ENGINEERINOPTIONALLY CONVERTIBLE NON CUMULATIVE
PATEL ENGINEERING LIMITED PREF 21SP15INFRASTRUC
TURE 16.06% NON CONVERTIBLE CUMULATIVE REDEEMABLE
INFRASTRUCTURE LEASING & FINANCIAL EDELWEISS
COMMODITI7% NON CUMULATIVE, NON CONVERTIBLE, REDEEMABLE
EDELWEISS COMMODITIES SERVICES LIMITED 7% EDELWEISS
COMMODITI7% NON CUMULATIVE, NON CONVERTIBLE, REDEEMABLE
EDELWEISS COMMODITIES SERVICES LIMITED 7% WIND
WORLD 9 % NON CONVERTIBLE, CUMULATIVE, FULLY
WIND WORLD WIND FARMS (SAI) PRIVATE 0.10 % NON CONVERTIBLE
CUMULATIVE FULLY IFCI LIMITED 0.10 PREF 310320210.10 % NON CONVERTIBLE
CUMULATIVE FULLY IFCI LIMITED 0.10 PREF 02032021DOOR
SANCHAR 25% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
DOOR SANCHAR HYDRO POWER PVT LTD 25 % PREF GUJARAT
FOILS 10% NON CONVERTIBLE NON CUMULATIVE FULLY
GUJARAT FOILS LIMITED 10% PREF 27MR32MEADOWS
BUILDTECH 10% NON CONVERTIBLE NON CUMULATIVE FULLY
MEADOWS BUILDTECH PRIVATE LIMITED 10% MEADOWS
BUILDTECH 10% NON CONVERTIBLE NON CUMULATIVE FULLY
MEADOWS BUILDTECH PRIVATE LIMITED 10% MEADOWS
BUILDTECH 10% NON CONVERTIBLE NON CUMULATIVE FULLY
MEADOWS BUILDTECH PRIVATE LIMITED 10% MEADOWS
BUILDTECH 10% NON CONVERTIBLE NON CUMULATIVE FULLY
MEADOWS BUILDTECH PRIVATE LIMITED 10% MEADOWS
BUILDTECH 10% NON CONVERTIBLE NON CUMULATIVE FULLY
MEADOWS BUILDTECH PRIVATE LIMITED 10% EDELWEISS
BROKING 11% OPTIONALLY CONVERTIBLE, NON
EDELWEISS BROKING LIMITED 11% PREF 30SP33JYOTHY
FABRICARE 0.001% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
JYOTHY FABRICARE SERVICES LIMITED 0.001% R.C.
NURSERY 10% NON CONVERTIBLE, NON CUMULATIVE FULLY
R.C. NURSERY PRIVATE LIMITED 10% PREF 10FB19R.C.
NURSERY 10% NON CONVERTIBLE, NON CUMULATIVE FULLY
R.C. NURSERY PRIVATE LIMITED 10% PREF 24MR21R.C.
NURSERY 10% NON CONVERTIBLE, NON CUMULATIVE FULLY
R.C. NURSERY PRIVATE LIMITED 10% PREF 28MR22R.C.
NURSERY 10% NON CONVERTIBLE, NON CUMULATIVE FULLY
R.C. NURSERY PRIVATE LIMITED 10% PREF 29MR23R.C.
NURSERY 10% NON CONVERTIBLE NON CUMULATIVE FULLY
R.C. NURSERY PRIVATE LIMITED 10% PREF 10MR24NSE
STRATEGIC 6% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
NSE STRATEGIC INVESTMENT NSE
STRATEGIC 6% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
NSE STRATEGIC INVESTMENT NSE
STRATEGIC 6% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
NSE STRATEGIC INVESTMENT NSE
STRATEGIC 6% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
NSE STRATEGIC INVESTMENT NSE
STRATEGIC 6% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
NSE STRATEGIC INVESTMENT ABG
SHIPYARD 0.01% FULLY CONVERTIBLE CUMULATIVE NON
ABG SHIPYARD LIMITED 0.01% PREF 26MR16GINNI
FILAMENTS 8% NON CONVERTIBLE CUMULATIVE FULLY
GINNI FILAMENTS LIMITED 8% PREF 31DC18INFRASTRUC
TURE 16.38% CUMULATIVE REDEEMABLE NON
INFRASTRUCTURE LEASING & FINANCIAL INFRASTRUC
TURE 16.06% NON CONVERTIBLE CUMULATIVE REDEEMABLE
INFRASTRUCTURE LEASING & FINANCIAL INFRASTRUC
TURE 16.46% NON CONVERTIBLE CUMULATIVE FULLY
INFRASTRUCTURE LEASING & FINANCIAL INFRASTRUC
TURE 16.46% NON CONVERTIBLE CUMULATIVE FULLY
INFRASTRUCTURE LEASING & FINANCIAL INFRASTRUC
TURE 16.46% NON CONVERTIBLE CUMULATIVE FULLY
INFRASTRUCTURE LEASING & FINANCIAL WOCKHARD
T LIMITED0.01 % NON CONVERTIBLE, CUMULATIVE, FULLY
WOCKHARDT LIMITED 0.01% PREF SR3 31DC18WOCKHARD
T HOSPITALS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WOCKHARDT HOSPITALS LIMITED 8% PREF 02MY34
![Page 11: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/11.jpg)
480 INE247J03016
481 INE572O04015
482 INE434M03014
483 INE226L03016
484 INE934F03017
485 INE724H03018
486 INE580G04014
487 INE140A04028
488 INE339L03041
489 INE339L03033
490 INE339L03025
491 INE339L03017
492 INE877B04015
493 INE072A04015
494 INE666A03081
495 INE666A03065
496 INE666A03057
497 INE666A03024
498 INE785A04012
499 INE666A03016
500 INE120D04016
501 INE069J04012
502 INE064J04013
503 INE070J04010
504 INE666A03040
505 INE517A04027
506 INE517A04019
507 INE439A04016
508 INE498K03039
509 INE999I03014
510 INE960G04018
511 INE973H03011
512 INE185H04010
513 INE225L03018
514 INE347F03012
515 INE347F03020
516 INE347F03038
517 INE347F03046
518 INE347F03053
519 INE347F03061
520 INE347F03079
521 INE640R04013
522 INE640R04021
523 INE091A04023
524 INE321I04019
525 INE642K03016
526 INE879L04028
527 INE079J03013
STERLING AND WILSON
COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
STERLING AND WILSON PRIVATE LIMITED PREF ECAP
EQUITIES 7% NON CONVERTIBLE NON CUMULATIVE FULLY
ECAP EQUITIES LIMITED 7% PREF 28MR17IL&FS
RENEWABLE 6% CUMULATIVE COMPULSORY CONVERTIBLE NON
IL&FS RENEWABLE ENERGY LIMITED 6% PREF SLS ENERGY
PRIVATE 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
SLS ENERGY PRIVATE LIMITED 0.01% PREF LEARNET
INDIA 1 % CONVERTIBLE CUMULATIVE PREFERENCE
LEARNET INDIA LIMITED 1% PREF 301103NEESA
LEISURE 0.01% COMPULSORILY CONVERTIBLE NON-
NEESA LEISURE LIMITED 0.01 PREF 27MY18KARAOKE
AMUSEMENT0% Non convertible non cumulative fully redeemable preference Shares.
KARAOKE AMUSEMENTS PRIVATE LIMITED 0 PREF PIRAMAL
ENTERPRISE5% NON CONVERTIBLE REDEEMABLE CUMULATIVE
PIRAMAL ENTERPRISES LIMITED 5 PREF 301108 FV DB (BKC)
REALTORS 0.001% SERIES B REDEEMABLE OPTIONALLY CONVERTIBLE
DB (BKC) REALTORS PRIVATE LIMITED 0.001% DB (BKC)
REALTORS 0.001% SERIES A REDEEMABLE OPTIONALLY CONVERTIBLE
DB (BKC) REALTORS PRIVATE LIMITED 0.001% DB (BKC)
REALTORS 0.001% SERIES C COMPULSORY CONVERTIBLE PREFERENCE
DB (BKC) REALTORS PRIVATE LIMITED 0.001% DB (BKC)
REALTORS 0.001% SERIES C COMPULSORY CONVERTIBLE PREFERENCE
DB (BKC) REALTORS PRIVATE LIMITED 0.001% INDSEC
SECURITIES NON CONVERTIBLE CUMULATIVE FULLY
INDSEC SECURITIES AND FINANCE LTD 8 % PREF INDIA STEEL
WORKS 0.01% CUMULATIVE FULLY REDEEMABLE PREFERENCE
INDIA STEEL WORKS LIMITED 0.01% PREF JHAGADIA
COPPER 6% CUMULATIVE FULLY REDEEMABLE OPTIONALLY
JHAGADIA COPPER LIMITED 6% PREF 31032024JHAGADIA
COPPER 6% optionally convertible cumulative fully redeemable preference
JHAGADIA COPPER LIMITED 6 PREF 01032022JHAGADIA
COPPER 6% REDEEMABLE OPTIONALLY CONVERTIBLE CUMULATIVE
JHAGADIA COPPER LIMITED 6% OCCRPS-III JHAGADIA
COPPER 12 % REDEEMABLE CUMULATIVE OPTIONALLY
JHAGADIA COPPER LIMITED 12 PREF 30JL12JAYANT
AGRO-BONUS NON CONVERTIBLE CUMULATIVE REEDEMABLE
JAYANT AGRO-ORGANICS LIMITED 7 % PREF 080408JHAGADIA
COPPER 12 % REDEEMABLE CUMULATIVE OPTIONALLY
JHAGADIA COPPER LIMITED 12 PREF 30JN12HITECH
CORPORATI9% NON CONVERTIBLE CUMULATIVE FULLY
HITECH CORPORATION LIMITED 9% PREF 07JN36WIND
WORLD 9% NON CONVERTIBLE CUMULATIVE FULLY
WIND WORLD WIND FARMS (RAJASTHAN) WIND
WORLD 9% NON CONVERTIBLE CUMULATIVE FULLY
WIND WORLD WIND FARMS (JAISALMER) WIND
WORLD 9% NON CONVERTIBLE CUMULATIVE FULLY
WIND WORLD WIND FARMS (HINDUSTAN) JHAGADIA
COPPER 6% REDEEMABLE OPTIONALLY CONVERTIBLE CUMULATIVE
JHAGADIA COPPER LIMITED 6% OCCRPS-II ASAHI INDIA
GLASS 10% REDEEMABLE CUMULATIVE PREFERENCE
ASAHI INDIA GLASS 0.01%PREF 260308ASAHI INDIA
GLASS 10% REDEEMABLE CUMULATIVE PREFERENCE
ASAHI INDIA GLASS 0.01% PREF 231107ASAHI INDIA
GLASS 10 % CUMULATIVE NON CONVERTIBLE FULLY
ASAHI INDIA GLASS LIMITED 10% PREF 230904AVITEL POST
STUDIOZ 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
AVITEL POST STUDIOZ LIMITED 0.01% PREF ROLASTAR
PVT LTD8% CUMULATIVE CONVERTIBLE REDEEMABLE PREFERENCE
ROLASTAR PVT LTD 8 PREF 16JU13DEUTSCHE
EQUITIES SBI PRIME LENDING RATE + 3 % NON CONVERTIBLE NON -
DEUTSCHE EQUITIES INDIA PRIVATE LTD SBI BIOTOR
INDUSTRIES 0.001 % CUMULATIVE, FULLY CONVERTIBLE PREFERENCE
BIOTOR INDUSTRIES LIMITED 0.001% PREF CELEBRITY
FASHIONS 1% NON CONVERTIBLE CUMULATIVE FULLY
CELEBRITY FASHIONS LIMITED 1% PREF 31MR26DB
PROJECTS 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
DB PROJECTS PRIVATE LIMITED 0.01% PREF BHUSHAN
POWER & 2% COMPULSORILY CONVERTIBLE CUMULATIVE
BHUSHAN POWER & STEEL LIMITED 2% PREF 15MR18BHUSHAN
POWER & 2% COMPULSORILY CONVERTIBLE CUMULATIVE
BHUSHAN POWER & STEEL LIMITED 2% PREF 15MY18BHUSHAN
POWER & 2% COMPULSORILY CONVERTIBLE CUMULATIVE
BHUSHAN POWER & STEEL LIMITED 2% PREF 25JL18BHUSHAN
POWER & 2% COMPULSORILY CONVERTIBLE CUMULATIVE
BHUSHAN POWER & STEEL LIMITED 2% PREF 11AG18BHUSHAN
POWER & 2% COMPULSORILY CONVERTIBLE CUMULATIVE
BHUSHAN POWER & STEEL LIMITED 2% PREF 30SP18BHUSHAN
POWER & 2% COMPULSORILY CONVERTIBLE CUMULATIVE
BHUSHAN POWER & STEEL LIMITED 2% PREF 11FB19BHUSHAN
POWER & 2% COMPULSORILY CONVERTIBLE CUMULATIVE
BHUSHAN POWER & STEEL LIMITED 2% PREF 30MR20STYRAX
COMMODITI7% NON CONVERTIBLE NON CUMULATIVE FULLY
STYRAX COMMODITIES LIMITED 7% PREF 19DC18STYRAX
COMMODITI7% NON CONVERTIBLE NON CUMULATIVE FULLY
STYRAX COMMODITIES LIMITED 7% PREF 28MR17NIRMA
LIMITED6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
NIRMA LIMITED 6% PREF 30MR18TRANSAFE
SERVICES 0.001% NON CONVERTIBLE, CUMULATIVE REDEEMABLE
TRANSAFE SERVICES LIMITED 0.001% PREF GEI POWER
LIMITED8% OPTIONALLY CONVERTIBLE, CUMULATIVE,NON
GEI POWER LIMITED 8% PREF 23MR20ASHFORD
INFOTECH NON CONVERTIBLE NON CUMULATIVE PREFERENCE
ASHFORD INFOTECH PRIVATE LIMITED PREF GATEWAY
RAIL 14.75% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
GATEWAY RAIL FREIGHT LIMITED 14.75% PREF
![Page 12: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/12.jpg)
528 INE347F03087
529 INE680L03014
530 INE408J03014
531 INE408J03022
532 INE792I04011
533 INE997J03040
534 INE498K03021
535 INE421Y03016
536 INE421Y03024
537 INE421Y03032
538 INE421Y03040
539 INE887Q03014
540 INE887Q03022
541 INE887Q03030
542 INE560W03015
543 INE709V04018
544 INE715V04015
545 INE805U03026
546 INE096Z04011
547 INE650S03012
548 INE650S03020
549 INE986T03018
550 INE986T03026
551 INE986T03034
552 INE986T03042
553 INE986T03059
554 INE105L03061
555 INE805U03018
556 INE885Q03018
557 INE661T03017
558 INE045M03018
559 INE045M03026
560 INE717B03015
561 INE563M03010
562 INE555R03015
563 INE421M03078
564 INE421M03086
565 INE421M04019
566 INE397Q03048
567 INE397Q03055
568 INE047M03030
569 INE395Q03042
570 INE810S03012
571 INE718Q03011
572 INE437P03010
573 INE493R03019
574 INE493R03027
575 INE421M03029
BHUSHAN POWER &
2% COMPULSORILY CONVERTIBLE CUMULATIVE
BHUSHAN POWER & STEEL LIMITED 2% PREF 17AP21ASHOKA
BELGAUM 1% NON CUMULATIVE FULLY CONVERTIBLE PREFERENCE
ASHOKA BELGAUM DHARWAD TOLLWAY EDUCOMP
INFRASTRUC0.10% FULLY CONVERTIBLE CUMULATIVE NON
EDUCOMP INFRASTRUCTURE & EDUCOMP
INFRASTRUC0.10% FULLY CONVERTIBLE CUMULATIVE NON
EDUCOMP INFRASTRUCTURE & CORDS
CABLE 10% NON CONVERTIBLE CUMULATIVE FULLY
CORDS CABLE INDUSTRIES LIMITED 10% BASIZ FUND
SERVICE 5.01% SERIS A COMPULSORY CONVERTIBLE CUMULATIVE
BASIZ FUND SERVICE PRIVATE LIMITED 5.01% AVITEL POST
STUDIOZ 0.01% CUMULATIVE COMPULSORILY CONVERTIBLE
AVITEL POST STUDIOZ LIMITED 0.01% PREF PIVETA
ESTATES 5% COMPULSORILY CONVERTIBLE NON
PIVETA ESTATES PRIVATE LIMITED 5% PREF 25JU25PIVETA
ESTATES 5% COMPULSORILY CONVERTIBLE NON
PIVETA ESTATES PRIVATE LIMITED 5% PREF 17JN27PIVETA
ESTATES 5% COMPULSORILY CONVERTIBLE NON
PIVETA ESTATES PRIVATE LIMITED 5% PREF 27DC26PIVETA
ESTATES 5% COMPULSORILY CONVERTIBLE NON
PIVETA ESTATES PRIVATE LIMITED 5% PREF 24NV26SPINEL
PROJECTS & OPTIONALLY CONVERTIBLE NON CUMULATIVE
SPINEL PROJECTS & INFRASTRUCTURE SPINEL
PROJECTS & COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
SPINEL PROJECTS & INFRASTRUCTURE SPINEL
PROJECTS & COMPULSORY CONVERTIBLE NON CUMULATIVE
SPINEL PROJECTS & INFRASTRUCTURE ALL ABOUT
OUTDOOR 0.01% OPTIONALLY CONVERTIBLE NON
ALL ABOUT OUTDOOR PRIVATE LIMITED 1.01% MAX
VENTURES 5% NON CONVERTIBLE, NON CUMULATIVE FULLY
MAX VENTURES INVESTMENT HOLDINGS BOOM
INVESTMEN5% NON CONVERTIBLE, NON CUMULATIVE, FULLY
BOOM INVESTMENTS PRIVATE LIMITED 5% PREF VANITY
TECHSTRUCCOMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
VANITY TECHSTRUCTURES VIJAY
PRINTING 7.5% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
VIJAY PRINTING PRESS PRIVATE LIMITED 7.5% JANJGIR
THERMAL OPTIONALLY CONVERTIBLE NON CUMULATIVE
JANJGIR THERMAL POWER PROJECTS LIMITED PREF JANJGIR
THERMAL OPTIONALLY CONVERTIBLE NON CUMULATIVE
JANJGIR THERMAL POWER PROJECTS LIMITED PREF MAGNET
BUILDTECH COMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
MAGNET BUILDTECH PRIVATE LIMITED PREF MAGNET
BUILDTECH COMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
MAGNET BUILDTECH PRIVATE LIMITED PREF MAGNET
BUILDTECH COMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
MAGNET BUILDTECH PRIVATE LIMITED PREF MAGNET
BUILDTECH COMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
MAGNET BUILDTECH PRIVATE LIMITED PREF MAGNET
BUILDTECH COMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
MAGNET BUILDTECH PRIVATE LIMITED PREF SURYA
GLOBAL SERIES II OPTIONALLY CONVERTIBLE, CUMULATIVE
SURYA GLOBAL STEEL TUBES LIMITED SERIES II VANITY
TECHSTRUCCOMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
VANITY TECHSTRUCTURES SOLITAIRE
ACTIVE COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
SOLITAIRE ACTIVE POWER LIMITED PREF 30MR33PARAS
HEALTHCAR0.01% COMPULSORY CONVERIBLE CUMULATIVE
PARAS HEALTHCARE PRIVATE LIMITED 0.01% HINDUSTAN
THERMALPROPTIONALLY CONVERTIBLE NON CUMULATIVE
HINDUSTAN THERMALPROJECTS HINDUSTAN
THERMALPROPTIONALLY CONVERTIBLE NON CUMULATIVE
HINDUSTAN THERMALPROJECTS USHA
INTERNATIO0.001% COMPULSORY CONVERTIBLE CUMULATIVE
USHA INTERNATIONAL LIMITED 0.001% PREF FEEDBACK
INFRA 0.01% COMPULSROY CONVERTIBLE CUMULATIVE
FEEDBACK INFRA PRIVATE LIMITED 0.01% SOLITAIRE
BTN SOLAR COMPULSORY CONVERTIBLE, NON CUMULATIVE PREFERENCE
SOLITAIRE BTN SOLAR PRIVATE LIMITED PREF HINDUSTAN
POWERPROJRE. 1/- P.A. FOR WHOLE LOT COMPULSORY CONVERTIBLE
HINDUSTAN POWERPROJECTS PRIVATE HINDUSTAN
POWERPROJRE. 1/- P.A. FOR WHOLE LOT CLASS C REDEEMABLE
HINDUSTAN POWERPROJECTS PRIVATE HINDUSTAN
POWERPROJRE. 1/- P.A. FOR WHOLE LOT CLASS A REDEEMABLE
HINDUSTAN POWERPROJECTS PRIVATE INDIAN
CLOTHING 0.01% SERIES B OPTIONALLY CONVERTIBLE CUMULATIVE
INDIAN CLOTHING LEAGUE PRIVATE LIMITED INDIAN
CLOTHING 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
INDIAN CLOTHING LEAGUE PRIVATE LIMITED HINDUSTAN
CLEANENERCLASS B OPTIONALLY CONVERTIBLE NON
HINDUSTAN CLEANENERGY LIMITED SPINEL
ENERGY & CLASS B OPTIONALLY CONVERTIBLE NON
SPINEL ENERGY & INFRASTRUCTURE BHASKAR
POWERSTRUCOMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
BHASKAR POWERSTRUCTURES SUNMARK
ENERGY COMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
SUNMARK ENERGY PROJECTS LIMITED PREF SURYATAAP
ENERGIES COMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
SURYATAAP ENERGIES AND INFRASTRUCTURE SOLITAIRE
POWERTECH COMPULSORY CONVERTIBLE, NON CUMULATIVE PREFERENCE
SOLITAIRE POWERTECH PRIVATE LIMITED PREF SOLITAIRE
POWERTECH COMPULSORY CONVERTIBLE, NON CUMULATIVE PREFERENCE
SOLITAIRE POWERTECH PRIVATE LIMITED PREF HINDUSTAN
POWERPROJCONVERTIBLE, NON CUMULATIVE, NON
HINDUSTAN POWERPROJECTS PRIVATE
![Page 13: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/13.jpg)
576 INE421M03037
577 INE421M03045
578 INE397Q03014
579 INE426N03018
580 INE426N03026
581 INE426N03042
582 INE426N03059
583 INE426N03067
584 INE426N04016
585 INE425N03010
586 INE425N03028
587 INE425N03036
588 INE425N03044
589 INE587Q03010
590 INE421M03011
591 INE421M03052
592 INE421M03060
593 INE397Q03022
594 INE397Q03030
595 INE196Q03010
596 INE047M03022
597 INE047M03048
598 INE047M03055
599 INE395Q03018
600 INE395Q03026
601 INE437P03028
602 INE023T03010
603 INE023T03028
604 INE023T03036
605 INE023T03044
606 INE424N03013
607 INE105L03020
608 INE042O03011
609 INE042O04019
610 INE040O03015
611 INE800N03014
612 INE040O03023
613 INE037M03015
614 INE037M03023
615 INE841L03012
616 INE083A04020
617 INE536K03044
618 INE536K03036
619 INE536K03028
620 INE536K03051
621 INE536K03010
622 INE042O03029
623 INE042O03037
HINDUSTAN POWERPROJ
COMPULSORY CONVERTIBLE, NON CUMULATIVE, NON
HINDUSTAN POWERPROJECTS PRIVATE HINDUSTAN
POWERPROJCOMPULSORY CONVERTIBLE, NON CUMULATIVE, NON
HINDUSTAN POWERPROJECTS PRIVATE INDIAN
CLOTHING 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
INDIAN CLOTHING LEAGUE PRIVATE LIMITED DUET INDIA
HOTELS 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (PUNE) PRIVATE LIMITED DUET INDIA
HOTELS 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (PUNE) PRIVATE LIMITED DUET INDIA
HOTELS 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (PUNE) PRIVATE LIMITED DUET INDIA
HOTELS 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (PUNE) PRIVATE LIMITED DUET INDIA
HOTELS 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (PUNE) PRIVATE LIMITED DUET INDIA
HOTELS 1% NON CONVERTIBLE CUMULATIVE REDEEMABLE
DUET INDIA HOTELS (PUNE) PRIVATE LIMITED DUET INDIA
HOTELS 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (JAIPUR) PRIVATE LIMITED DUET INDIA
HOTELS 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (JAIPUR) PRIVATE LIMITED DUET INDIA
HOTELS 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (JAIPUR) PRIVATE LIMITED DUET INDIA
HOTELS 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (JAIPUR) PRIVATE LIMITED HINDUSTAN
EPC COMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
HINDUSTAN EPC COMPANY LIMITED PREF HINDUSTAN
POWERPROJCONVERTIBLE, NON CUMULATIVE, NON
HINDUSTAN POWERPROJECTS PRIVATE HINDUSTAN
POWERPROJCOMPULSORY CONVERTIBLE, CUMULATIVE, NON
HINDUSTAN POWERPROJECTS PRIVATE HINDUSTAN
POWERPROJRE. 1/- P.A. FOR WHOLE LOT COMPULSORY CONVERTIBLE
HINDUSTAN POWERPROJECTS PRIVATE INDIAN
CLOTHING 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
INDIAN CLOTHING LEAGUE PRIVATE LIMITED INDIAN
CLOTHING 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
INDIAN CLOTHING LEAGUE PRIVATE LIMITED CINCH
POWER AND COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
CINCH POWER AND INFRASTRUCTURE HINDUSTAN
CLEANENEROPTIONALLY CONVERTIBLE NON CUMULATIVE
HINDUSTAN CLEANENERGY LIMITED HINDUSTAN
CLEANENERCLASS B OPTIONALLY CONVERTIBLE NON
HINDUSTAN CLEANENERGY LIMITED HINDUSTAN
CLEANENERCLASS B OPTIONALLY CONVERTIBLE NON
HINDUSTAN CLEANENERGY LIMITED SPINEL
ENERGY & COMPULSORILY CONVERTIBLE NON CUMULATIVE NON
SPINEL ENERGY & INFRASTRUCTURE SPINEL
ENERGY & COMPULSORILY CONVERTIBLE NON CUMULATIVE NON
SPINEL ENERGY & INFRASTRUCTURE SURYATAAP
ENERGIES OPTIONALLY CONVERTIBLE NON CUMULATIVE
SURYATAAP ENERGIES AND INFRASTRUCTURE ANTARA
SENIOR FULLY CONVERTIBLE PREFERENCE SHARES WITH
ANTARA SENIOR LIVING LIMITED PREF 11NV19ANTARA
SENIOR FULLY CONVERTIBLE PREFERENCE SHARES WITH
ANTARA SENIOR LIVING LIMITED PREF 06MR20ANTARA
SENIOR FULLY CONVERTIBLE PREFERENCE SHARES WITH
ANTARA SENIOR LIVING LIMITED PREF 23JN21ANTARA
SENIOR FULLY CONVERTIBLE PREFERENCE SHARES WITH
ANTARA SENIOR LIVING LIMITED PREF 17NV21DUET JKM
INDIA 0.01% FULLY CONVERTIBLE NON CUMULATIVE NON
DUET JKM INDIA HOTELS (INDORE) PRIVATE LTD. SURYA
GLOBAL 1% OPTIONALLY CONVERTIBLE, CUMULATIVE,FULLY
SURYA GLOBAL STEEL TUBES LIMITED 1% PREF DUET INDIA
HOTELS 0.01% FULLY CONVERTIBLE CUMULATIVE NON
DUET INDIA HOTELS (AHMEDABAD) PRIVATE DUET INDIA
HOTELS 1% NON CONVERTIBLE CUMULATIVE, FULLY
DUET INDIA HOTELS (AHMEDABAD) PRIVATE DUET INDIA
HOTELS 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (HYDERABAD) PRIVATE OPTIMA
INFRASTRUC0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
OPTIMA INFRASTRUCTURE PRIVATE LIMITED 0.01% DUET INDIA
HOTELS 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (HYDERABAD) PRIVATE MB POWER
(MADHYA 0.01% SERIES B FULLY CONVERTIBLE, CUMULATIVE,
MB POWER (MADHYA PRADESH) LIMITED 0.01% MB POWER
(MADHYA 0.01% SERIES A FULLY CONVERTIBLE, CUMULATIVE,
MB POWER (MADHYA PRADESH) LIMITED 0.01% DEE
DEVELOPMEZERO % COMPULSORILY CONVERTIBLE PREFERENCE
DEE DEVELOPMENT ENGINEERS LIMITED ZEROMOREPEN
LABORATOR0.01% NON CONVERTIBLE CUMULATIVE FULLY
MOREPEN LABORATORIES LIMITED 0.01% PREF DELPHI
AUTOMOTIV8% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
DELPHI AUTOMOTIVE SYSTEMS PVT LTD 8% DELPHI
AUTOMOTIV8% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
DELPHI AUTOMOTIVE SYSTEMS PVT LTD 8% DELPHI
AUTOMOTIV8% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
DELPHI AUTOMOTIVE SYSTEMS PVT LTD 8% DELPHI
AUTOMOTIV8% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
DELPHI AUTOMOTIVE SYSTEMS PVT LTD 8% DELPHI
AUTOMOTIV8% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
DELPHI AUTOMOTIVE SYSTEMS PVT LTD 8% DUET INDIA
HOTELS 0.01% FULLY CONVERTIBLE CUMULATIVE NON
DUET INDIA HOTELS (AHMEDABAD) PRIVATE DUET INDIA
HOTELS 0.01% FULLY CONVERTIBLE CUMULATIVE NON
DUET INDIA HOTELS (AHMEDABAD) PRIVATE
![Page 14: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/14.jpg)
624 INE042O03045
625 INE042O03052
626 INE512P03010
627 INE040O03031
628 INE425N03051
629 INE438P03018
630 INE438P03026
631 INE436P03012
632 INE436P03020
633 INE037M03031
634 INE047M03014
635 INE047M04012
636 INE045M04016
637 INE214I03018
638 INE083A04012
639 INE271V03011
640 INE271V03029
641 INE083A03014
642 INE083A03022
643 INE083A03030
644 INE514P03065
645 INE221G04023
646 INE527B04032
647 INE071C03015
648 INE341S03018
649 INE341S03026
650 INE727O03017
651 INE727O03025
652 INE727O03033
653 INE987F04047
654 INE987F04054
655 INE444F04015
656 INE118K04023
657 INE118K04031
658 INE953O03019
659 INE953O03027
660 INE459N03019
661 INE101I03017
662 INE101I03025
663 INE101I03033
664 INE532N03013
665 INE532N03021
666 INE052G04089
667 INE052G04097
668 INE052G04105
669 INE052G04113
670 INE052G04121
671 INE052G04139
DUET INDIA HOTELS
0.01% FULLY CONVERTIBLE CUMULATIVE NON
DUET INDIA HOTELS (AHMEDABAD) PRIVATE DUET INDIA
HOTELS 0.01% FULLY CONVERTIBLE CUMULATIVE NON
DUET INDIA HOTELS (AHMEDABAD) PRIVATE SOLITAIRE
INDUSTRIAL COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
SOLITAIRE INDUSTRIAL INFRASTRUCTURE PVT. DUET INDIA
HOTELS 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (HYDERABAD) PRIVATE DUET INDIA
HOTELS 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
DUET INDIA HOTELS (JAIPUR) PRIVATE LIMITED SUNNYDAY
GREEN COMPULSORILY CONVERTIBLE NON CUMULATIVE NON
SUNNYDAY GREEN ENERGY PRIVATE LIMITED SUNNYDAY
GREEN COMPULSORILY CONVERTIBLE NON CUMULATIVE NON
SUNNYDAY GREEN ENERGY PRIVATE LIMITED GOLDENBEA
M POWER COMPULSORILY CONVERTIBLE NON CUMULATIVE NON
GOLDENBEAM POWER PRIVATE LIMITED PREF GOLDENBEA
M POWER COMPULSORILY CONVERTIBLE NON CUMULATIVE NON
GOLDENBEAM POWER PRIVATE LIMITED PREF MB POWER
(MADHYA 0.01% SERIES C FULLY CONVERTIBLE, CUMULATIVE
MB POWER (MADHYA PRADESH) LIMITED 0.01% HINDUSTAN
CLEANENERCOMPULSORY CONVERTIBLE CUMULATIVE, NON
HINDUSTAN CLEANENERGY LIMITED HINDUSTAN
CLEANENERNON CONVERTIBLE CUMULATIVE REDEEMABLE
HINDUSTAN CLEANENERGY LIMITED HINDUSTAN
THERMALPR0.01 % NON CONVERTIBLE CUMULATIVE, FULLY
HINDUSTAN THERMALPROJECTS IST STEEL &
POWER LTD.8% OPTIONALLY CONVERTIBLE, NON CUMULATIVE, FULLY
IST STEEL & POWER LTD. 8% PREF 30OT16MOREPEN
LABORATOR9.75% NON CONVERTIBLE CUMULATIVE FULLY
MOREPEN LABORATORIES LIMITED 9.75 PREF 130304MILESTONE
BUILDCON 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
MILESTONE BUILDCON PRIVATE LIMITED 0.01% MILESTONE
BUILDCON 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
MILESTONE BUILDCON PRIVATE LIMITED 0.01% MOREPEN
LABORATOR0.01% OPTIONALLY CONVERTIBLE, NON
MOREPEN LABORATORIES LIMITED 0.01% PREF MOREPEN
LABORATOR0.01% OPTIONALLY CONVERTIBLE, NON
MOREPEN LABORATORIES LIMITED 0.01% PREF MOREPEN
LABORATOR0.01% OPTIONALLY CONVERTIBLE, NON
MOREPEN LABORATORIES LIMITED 0.01% PREF DELIGENTIA
ENERGY COMPULSORILY CONVERTIBLE NON CUMULATIVE NON
DELIGENTIA ENERGY AND INFRASTRUCTURES AMRIT
BANASPATI 7% NON CONVERTIBLE NON CUMULATIVE FULLY
AMRIT BANASPATI COMPANY LIMITED 7% QUADRANT
TELEVENTU2% NON CONVERTIBLE, CUMULATIVE, FULLY
QUADRANT TELEVENTURES LIMITED DFL
INFRASTRUC9% OPTIONALLY CONVERTIBLE CUMULATIVE FULLY
DFL INFRASTRUCTURE FINANCE LIMITED 9% WWSTAY
SERVICES 10% CONVERTIBLE CUMULATIVE PREFERENCE
WWSTAY SERVICES INDIA PRIVATE LIMITED 10% WWSTAY
SERVICES 10% CONVERTIBLE CUMULATIVE PREFERENCE
WWSTAY SERVICES INDIA PRIVATE LIMITED 10% HI-TECH
HOUSING 0% OPTIONALLY CONVERTIBLE PREFERENCE SHARES WITH
HI-TECH HOUSING PROJECTS PRIVATE HI-TECH
HOUSING 0% OPTIONALLY CONVERTIBLE PREFERENCE SHARES WITH
HI-TECH HOUSING PROJECTS PRIVATE HI-TECH
HOUSING 0% OPTIONALLY CONVERTIBLE PREFERENCE SHARES WITH
HI-TECH HOUSING PROJECTS PRIVATE SAHARA
ASSET 6% NON CONVERTIBLE NON CUMULATIVE FULLY
SAHARA ASSET MGMT.COMPANY (P) LTD. SAHARA
ASSET 6% NON CONVERTIBLE NON CUMULATIVE FULLY
SAHARA ASSET MGMT.COMPANY (P) LTD. SUNDARAM
ASSET 6.75% NON CONVERTIBLE CUMULATIVE REDEEMABLE
SUNDARAM ASSET MANAGEMENT CO. LTD BINNY
LIMITED9% NON CONVERTIBLE CUMULATIVE REDEEMABLE
BINNY LIMITED 9% PREF 29SP18BINNY
LIMITED9.75% NON CONVERTIBLE CUMULATIVE REDEEMABLE
BINNY LIMITED 9.75% PREF 30JU21SANSERA
ENGINEERINCOMPULSORY CONVERTIBLE NON CUMULATIVE FULLY
SANSERA ENGINEERING PRIVATE LIMITED SR A SANSERA
ENGINEERINCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
SANSERA ENGINEERING PRIVATE LIMITED SR B MANIPAL
HEALTH 0.01% COMPULSORILY CONVERTIBLE PREFERENCE
MANIPAL HEALTH ENTERPRISES PRIVATE AFCONS
INFRASTRUC0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
AFCONS INFRASTRUCTURE AFCONS
INFRASTRUC0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
AFCONS INFRASTRUCTURE AFCONS
INFRASTRUC0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
AFCONS INFRASTRUCTURE AVINASH
CONSTRUCTI10% FULLY CONVERTIBLE, CUMULATIVE, PREFERENCE
AVINASH CONSTRUCTIONS PRIVATE AVINASH
CONSTRUCTI10% FULLY CONVERTIBLE, CUMULATIVE, PREFERENCE
AVINASH CONSTRUCTIONS PRIVATE DISHNET
WIRELESS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
DISHNET WIRELESS LIMITED 0.01% PREF DISHNET
WIRELESS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
DISHNET WIRELESS LIMITED 0.01% PREF DISHNET
WIRELESS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
DISHNET WIRELESS LIMITED 0.01% PREF DISHNET
WIRELESS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
DISHNET WIRELESS LIMITED 0.01% PREF DISHNET
WIRELESS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
DISHNET WIRELESS LIMITED 0.01% PREF DISHNET
WIRELESS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
DISHNET WIRELESS LIMITED 0.01% PREF
![Page 15: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/15.jpg)
672 INE052G04147
673 INE279H04011
674 INE538M03020
675 INE964H04018
676 INE964H04026
677 INE527B04016
678 INE514F03017
679 INE421A04055
680 INE632L03031
681 INE518Y03019
682 INE518Y03027
683 INE518Y03035
684 INE518Y03043
685 INE518Y03050
686 INE518Y03068
687 INE518Y03076
688 INE400A04034
689 INE400A04042
690 INE421A04089
691 INE421A04097
692 INE820F04016
693 INE820F04024
694 INE969U03012
695 INE415I04019
696 INE523X03011
697 INE523X03029
698 INE523X03037
699 INE523X03045
700 INE421A04063
701 INE421A04071
702 INE356N03017
703 INE820F04032
704 INE106K03012
705 INE265B03015
706 INE632L03023
707 INE495L03017
708 INE495L03025
709 INE527B04024
710 INE632L03015
711 INE987I03019
712 INE064X03016
713 INE064X03024
714 INE235L03181
715 INE990W04012
716 INE989W04014
717 INE105V03029
718 INE234L04026
719 INE487T04015
DISHNET WIRELESS
0.01% NON CONVERTIBLE CUMULATIVE FULLY
DISHNET WIRELESS LIMITED 0.01% PREF TEBMA
SHIPYARDS 6.50% NON CONVERTIBLE, COMPULSORILY REDEEMABLE,
TEBMA SHIPYARDS LIMITED 6.50% PREF ARUN
EXCELLO FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ARUN EXCELLO HOMES PRIVATE LIMITED PREF SHRIRAM
EPC LIMITED10% NON CONVERTIBLE CUMULATIVE FULLY
SHRIRAM EPC LIMITED 10% PREF 26DC23SHRIRAM
EPC LIMITED10% NON CONVERTIBLE CUMULATIVE FULLY
SHRIRAM EPC LIMITED 10% PREF 09MR24QUADRANT
TELEVENTU7.5% NON CONVERTIBLE CUMULATIVE FULLY
QUADRANT TELEVENTURES LIMITED NEELACHAL
ISPAT 0.01% OPTIONALLY CONVERTIBLE NON
NEELACHAL ISPAT NIGAM LIMITED 0.01 PREF ABAN
OFFSHORE 9.25% NON-CONVERTIBLE CUMULATIVE PREFERENCE
ABAN OFFSHORE LIMITED 9.25% PREF 04AG13SULEKHA.CO
M NEW ZERO % COMPULSORILY CONVERTIBLE, NON
SULEKHA.COM NEW MEDIA PRIVATE LTD ZEROVITALIC
HEALTH 0.0001% SERIES A COMPULSORILY CONVERTIBLE
VITALIC HEALTH PRIVATE LIMITED 0.0001% PREF VITALIC
HEALTH 0.0001% SERIES A COMPULSORILY CONVERTIBLE
VITALIC HEALTH PRIVATE LIMITED 0.0001% PREF VITALIC
HEALTH 0.0001% SERIES A COMPULSORILY CONVERTIBLE
VITALIC HEALTH PRIVATE LIMITED 0.0001% PREF VITALIC
HEALTH 0.0001% SERIES A COMPULSORILY CONVERTIBLE
VITALIC HEALTH PRIVATE LIMITED 0.0001% PREF VITALIC
HEALTH 0.0001% SERIES A COMPULSORILY CONVERTIBLE
VITALIC HEALTH PRIVATE LIMITED 0.0001% PREF VITALIC
HEALTH 0.0001% SERIES A COMPULSORILY CONVERTIBLE
VITALIC HEALTH PRIVATE LIMITED 0.0001% PREF VITALIC
HEALTH 0.0001% SERIES A COMPULSORILY CONVERTIBLE
VITALIC HEALTH PRIVATE LIMITED 0.0001% PREF TUTICORIN
ALKALI 8% NON CONVERTIBLE CUMULATIVE FULLY
TUTICORIN ALKALI CHEMICALS AND TUTICORIN
ALKALI 8% NON CONVERTIBLE CUMULATIVE FULLY
TUTICORIN ALKALI CHEMICALS AND ABAN
OFFSHORE 10% NON CONVERTIBLE, NON CUMULATIVE, FULLY
ABAN OFFSHORE LIMITED 10% PREF 30MR15ABAN
OFFSHORE 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
ABAN OFFSHORE LIMITED 10% PREF 16JU16APPU
HOTELS 6% NON CONVERTIBLE CUMULATIVE FULLY
APPU HOTELS LIMITED 6% PREF 15JN14APPU
HOTELS 6% NON CONVERTIBLE CUMULATIVE FULLY
APPU HOTELS LIMITED 6% PREF 15JN14PARK HILL
ESTATES 0.001% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
PARK HILL ESTATES PRIVATE LIMITED 0.001% KIRI
INDUSTRIES 0.15% NON CONVERTIBLE CUMULATIVE FULLY
KIRI INDUSTRIES LIMITED 0.15% PREF 29MR22AROGYA
SEVA 0.0001% OPTIONALLY CONVERTIBLE CUMULATIVE
AROGYA SEVA HOSPITALS PRIVATE LIMITED 0.0001% AROGYA
SEVA 0.0001% OPTIONALLY CONVERTIBLE CUMULATIVE
AROGYA SEVA HOSPITALS PRIVATE LIMITED 0.0001% AROGYA
SEVA 0.0001% OPTIONALLY CONVERTIBLE CUMULATIVE
AROGYA SEVA HOSPITALS PRIVATE LIMITED 0.0001% AROGYA
SEVA 0.0001% OPTIONALLY CONVERTIBLE CUMULATIVE
AROGYA SEVA HOSPITALS PRIVATE LIMITED 0.0001% ABAN
OFFSHORE 10% NON CONVERTIBLE, NON CUMULATIVE, FULLY
ABAN OFFSHORE LIMITED 10% PREF 28FB15ABAN
OFFSHORE 10% NON CONVERTIBLE, NON CUMULATIVE, FULLY
ABAN OFFSHORE LIMITED 10% PREF 29DC14MANIPAL
EDUCATION 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
MANIPAL EDUCATION AND MEDICAL GROUP APPU
HOTELS 6% NON CONVERTIBLE CUMULATIVE FULLY
APPU HOTELS LIMITED 6% PREF 28JU20ESVEEAAR
DISTILLERIE8% OPTIONALLY CONVERTIBLE, CUMULATIVE, FULLY
ESVEEAAR DISTILLERIES PRIVATE LIMITED 8%PREF NITTA
GELATIN 5.4029% OPTIONALLY CONVERTIBLE NON
NITTA GELATIN INDIA LIMITED 5.4029% PREF SULEKHA.CO
M NEW ZERO % COMPULSORILY CONVERTIBLE, NON
SULEKHA.COM NEW MEDIA PRIVATE LTD ZERO HALDIA
COKE AND ZERO % OPTIONALLY CONVERTIBLE NON
HALDIA COKE AND CHEMICALS PVT LTD HALDIA
COKE AND ZERO% COMPULSORILY CONVERTIBLE FULLY
HALDIA COKE AND CHEMICALS PVT LTD QUADRANT
TELEVENTU2 % NON CONVERTIBLE, CUMULATIVE, FULLY
QUADRANT TELEVENTURES LIMITED SULEKHA.CO
M NEW ZERO % OPTIONALLY CONVERTIBLE NON
SULEKHA.COM NEW MEDIA PRIVATE LTD ZEROKHAZANA
JEWELLERY OPTIONALLY CONVERTIBLE PREFERENCE SHARES
KHAZANA JEWELLERY PRIVATE LIMITED PREF LANCO
HORIZON 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
LANCO HORIZON PROPERTIES PRIVATE LANCO
HORIZON 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
LANCO HORIZON PROPERTIES PRIVATE LANCO
ANPARA 0.001% COMPULSORILY CONVERTIBLE, CUMULATIVE,
LANCO ANPARA POWER LIMITED 0.001% PREF MEENAKSHI
PROJECTS 6% NON CONVERTIBLE NON CUMULATIVE FULLY
MEENAKSHI PROJECTS (INDIA) PRIVATE LIMITED MEENAKSHI
VENTURES 6% NON CONVERTIBLE NON CUMULATIVE FULLY
MEENAKSHI VENTURES AND HOLDINGS INDIA ELECTROME
CH 16% COMPULSORY CONVERTIBLE NON
ELECTROMECH MARITECH PRIVATE LIMITED 16% NAVABHAR
AT POWER 11 % NON CONVERTIBLE, CUMULATIVE, FULLY
NAVABHARAT POWER PRIVATE LIMITED 11% LANCO
SOLAR 0.01 % NON CONVERTIBLE CUMULATIVE FULLY
LANCO SOLAR ENERGY PRIVATE LIMITED 0.01%
![Page 16: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/16.jpg)
720 INE107V03025
721 INE106V03027
722 INE104V03014
723 INE104V03022
724 INE257W03018
725 INE257W03026
726 INE031N03016
727 INE960Q03019
728 INE485L03018
729 INE586Q03061
730 INE631N03021
731 INE626N03021
732 INE626N03047
733 INE625N03015
734 INE586Q03012
735 INE586Q03020
736 INE586Q03038
737 INE586Q03046
738 INE586Q03053
739 INE586Q03079
740 INE586Q03087
741 INE485L03034
742 INE554O03015
743 INE960Q03027
744 INE485L03026
745 INE485L03042
746 INE836P03013
747 INE836P03021
748 INE646N03011
749 INE631N03013
750 INE626N03013
751 INE626N03039
752 INE625N03023
753 INE625N03031
754 INE623N03010
755 INE235L03173
756 INE285N03026
757 INE973K03015
758 INE234L04018
759 INE933L04015
760 INE933L04023
761 INE150I03014
762 INE860K03014
763 INE284B04014
764 INE799H03010
765 INE719U04019
766 INE077I03019
767 INE631M04013
VASAVI SOLAR
0.001% COMPULSORY CONVERTIBLE NON
VASAVI SOLAR POWER PRIVATE LIMITED 0.001% FINEHOPE
ALLIED 0.001% COMPULSORY CONVERTIBLE NON
FINEHOPE ALLIED ENGINEERING PRIVATE SAIDHAM
OVERSEAS 0.001% CONVERTIBLE NON CUMULATIVE REDEEMABLE
SAIDHAM OVERSEAS PRIVATE LIMITED 0.001% SAIDHAM
OVERSEAS 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
SAIDHAM OVERSEAS PRIVATE LIMITED 0.001% MELIORA
ASSET 9% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
MELIORA ASSET RECONSTRUCTION MELIORA
ASSET 9% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
MELIORA ASSET RECONSTRUCTION ASMITHA
MICROFIN 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
ASMITHA MICROFIN LIMITED 0.001% PREF NEWTON
SOLAR 0.001% COMPULSROY CONVERTIBLE CUMULATIVE
NEWTON SOLAR PRIVATE LIMITED 0.001% PREF LANCO
VIDARBHA 0.01% CUMULATIVE COMPULSORILY CONVERTIBLE
LANCO VIDARBHA THERMAL POWER LTD LANCO
HILLS 0.01% OPTIONALLY CONVERTIBLE, CUMULATIVE
LANCO HILLS TECHNOLOGY PARK MERCURY
PROJECTS 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
MERCURY PROJECTS PRIVATE LIMITED 0.001% PORTIA
PROPERTIES 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
PORTIA PROPERTIES PRIVATE LIMITED 0.001% PORTIA
PROPERTIES 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
PORTIA PROPERTIES PRIVATE LIMITED 0.001% PHOEBE
TRADING 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
PHOEBE TRADING PRIVATE LIMITED 0.001% LANCO
HILLS 0.01% OPTIONALLY CONVERTIBLE, CUMULATIVE
LANCO HILLS TECHNOLOGY PARK LANCO
HILLS 0.01% OPTIONALLY CONVERTIBLE, CUMULATIVE
LANCO HILLS TECHNOLOGY PARK LANCO
HILLS 0.01% OPTIONALLY CONVERTIBLE, CUMULATIVE
LANCO HILLS TECHNOLOGY PARK LANCO
HILLS 0.01% OPTIONALLY CONVERTIBLE, CUMULATIVE
LANCO HILLS TECHNOLOGY PARK LANCO
HILLS 0.01% OPTIONALLY CONVERTIBLE, CUMULATIVE
LANCO HILLS TECHNOLOGY PARK LANCO
HILLS 0.01% OPTIONALLY CONVERTIBLE, CUMULATIVE
LANCO HILLS TECHNOLOGY PARK LANCO
HILLS 0.01% OPTIONALLY CONVERTIBLE, CUMULATIVE
LANCO HILLS TECHNOLOGY PARK LANCO
VIDARBHA 0.01% COMPULSORILY CONVERTIBLE,CUMULATIVE,PR
LANCO VIDARBHA THERMAL POWER LTD SHALIVAHA
NA WIND 5% OPTIONALLY CONVERTIBLE CUMULATIVE PREFERENCE
SHALIVAHANA WIND ENERGY LIMITED 5% PREF NEWTON
SOLAR 0.001% COMPULSROY CONVERTIBLE CUMULATIVE
NEWTON SOLAR PRIVATE LIMITED 0.001% PREF LANCO
VIDARBHA 0.01% COMPULSORILY CONVERTIBLE,CUMULATIVE,PR
LANCO VIDARBHA THERMAL POWER LTD LANCO
VIDARBHA 0.01% COMPULSORILY CONVERTIBLE,CUMULATIVE,PR
LANCO VIDARBHA THERMAL POWER LTD DDE
RENEWABLE 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
DDE RENEWABLE ENERGY PRIVATE LIMITED 0.001% DDE
RENEWABLE 0.001% COMPULSORY CONVERTIBLE NON
DDE RENEWABLE ENERGY PRIVATE LIMITED 0.001% MIMAS
TRADING 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
MIMAS TRADING PRIVATE LIMITED 0.001% PREF MERCURY
PROJECTS 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
MERCURY PROJECTS PRIVATE LIMITED 0.001% PORTIA
PROPERTIES 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
PORTIA PROPERTIES PRIVATE LIMITED 0.001% PORTIA
PROPERTIES 1% FULLY CONVERTIBLE CUMULATIVE NON
PORTIA PROPERTIES PRIVATE LIMITED 1% PREF PHOEBE
TRADING 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
PHOEBE TRADING PRIVATE LIMITED 0.001% PHOEBE
TRADING 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
PHOEBE TRADING PRIVATE LIMITED 0.001% CHARON
TRADING 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
CHARON TRADING PRIVATE LIMITED 0.001% LANCO
ANPARA 1% COMPULSORILY CONVERTIBLE, CUMULATIVE,
LANCO ANPARA POWER LIMITED 1% PREF 31MR19HIMAVAT
POWER 0.001% COMPULSORY CONVERTIBLE, CUMULATIVE
HIMAVAT POWER LIMITED 0.001% PREF 30JU25SHARE
MICROFIN 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
SHARE MICROFIN LIMITED 0.001% PREF 10MR18NAVABHAR
AT POWER 11 % NON CONVERTIBLE, CUMULATIVE, FULLY
NAVABHARAT POWER PRIVATE LIMITED 11% MEENAKSHI
ENERGY 12% NON CONVERTIBLE CUMULATIVE REDEEMABLE
MEENAKSHI ENERGY AND INFRASTRUCTURE MEENAKSHI
ENERGY 12% NON CONVERTIBLE NON CUMULATIVE FULLY
MEENAKSHI ENERGY AND INFRASTRUCTURE GREENKO
ENERGIES 5% OPTIONALLY CONVERTIBLE CUMULATIVE FULLY
GREENKO ENERGIES PRIVATE LIMITED 5% PREF VMC
SYSTEMS 0.01% CUMULATIVE FULLY CONVERTIBLE NON
VMC SYSTEMS LIMITED 0.01% PREF 16OT14TGV SRAAC
LIMITED0.01 % NON CONVERTIBLE CUMULATIVE FULLY
TGV SRAAC LIMITED 0.01 PREF 01012019SYNERGIES
CASTINGS 0.01% COMPULSORILY CONVERTIBLE,
SYNERGIES CASTINGS LIMITED 0.01% PREF LUMINA
DATAMATIC9% NON CONVERTIBLE NON CUMULATIVE PREFERENCE
LUMINA DATAMATICS LIMITED 9% PREF 14FB27NEXT RADIO
LIMITED11.50% OPTIONALLY CONVERTIBLE CUMULATIVE
NEXT RADIO LIMITED 11.50% PREF 06AG28MATIX
FERTILISERS 8% NON CONVERTIBLE CUMULATIVE FULLY
MATIX FERTILISERS AND CHEMICALS LTD. 8% PREF
![Page 17: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/17.jpg)
768 INE865H04017
769 INE511C04067
770 INE034C03021
771 INE115V03010
772 INE886U03018
773 INE886U04016
774 INE886U04024
775 INE483R04018
776 INE539V03011
777 INE886U04032
778 INE894W04016
779 INE477O03019
780 INE526W03016
781 INE011K03014
782 INE224U04010
783 INE224U04028
784 INE224U04036
785 INE224U04044
786 INE224U04051
787 INE224U04069
788 INE730S04010
789 INE00MD04012
790 INE00MC04014
791 INE060R04014
792 INE557N03010
793 INE712Q04012
794 INE712Q04020
795 INE712Q04038
796 INE312L03014
797 INE235N04011
798 INE712Q04046
799 INE400P04016
800 INE182O04013
801 INE182O03015
802 INE047R03013
803 INE453P04015
804 INE957K04024
805 INE957K04016
806 INE037Z03017
807 INE037Z03025
808 INE037Z03033
809 INE024D04028
810 INE024D04010
811 INE530A03014
812 INE530A03022
813 INE530A03048
814 INE768E04010
815 INE844L03016
STAR BATTERY
1% NON CONVERTIBLE CUMULATIVE FULLY
STAR BATTERY LIMITED 1% PREF 31032015MAGMA
FINCORP 11% NON CONVERTIBLE CUMULATIVE FULLY
MAGMA FINCORP LIMITED 11% SERIES II PREF 11NV15SILVERTON
SPINNERS 6.5% FULLY CONVERTIBLE, CUMULATIVE,PREFERENCE
SILVERTON SPINNERS LIMITED 6.5% PREF 28FB19NVR
MAHASOLAR COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
NVR MAHASOLAR PRIVATE LIMITED PREF GV MINES
MINERALS & COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
GV MINES MINERALS & METALS PRIVATE LIMITED GV MINES
MINERALS & 9% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
GV MINES MINERALS & METALS PRIVATE LIMITED GV MINES
MINERALS & 9% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
GV MINES MINERALS & METALS PRIVATE LIMITED RDA
ENERGY 9.5% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
RDA ENERGY PRIVATE LIMITED 9.5% PREF 28JL34CELESTIAL
SOLAR 9% FULLY CONVERTIBLE NON CUMULATIVE FPREFERENCE
CELESTIAL SOLAR SOLUTIONS PRIVATE GV MINES
MINERALS & 9% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
GV MINES MINERALS & METALS PRIVATE LIMITED AVADHRAJ
ENERGY 8% NON CONVERTIBLE CUMULATIVE FULLY
AVADHRAJ ENERGY PRIVATE LIMITED 8% PREF MAGMA
ADVISORY 0.01% FULLY CONVERTIBLE NON CUMULATIVE NON
MAGMA ADVISORY SERVICES LIMITED 0.01% GETDRIVEN
TECHNOLOG0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
GETDRIVEN TECHNOLOGIES PRIVATE TEGA
INDUSTRIES ZERO% CUMPULSORY CONVERTIBLE NON
TEGA INDUSTRIES LIMITED 0% PREF 31MR18MICROFIRM
CAPITAL 7% SERIES III NON CONVERTIBLE CUMULATIVE
MICROFIRM CAPITAL PRIVATE LIMITED 7% MICROFIRM
CAPITAL 0.1% SERIES V NON CONVERTIBLE CUMULATIVE
MICROFIRM CAPITAL PRIVATE LIMITED 01% MICROFIRM
CAPITAL 0.1% SERIES VI NON CONVERTIBLE CUMULATIVE
MICROFIRM CAPITAL PRIVATE LIMITED 0.1% MICROFIRM
CAPITAL 8% SERIES VII NON CONVERTIBLE CUMULATIVE
MICROFIRM CAPITAL PRIVATE LIMITED 8% MICROFIRM
CAPITAL 8% SERIES XIII NON CONVERTIBLE CUMULATIVE
MICROFIRM CAPITAL PRIVATE LIMITED 8% MICROFIRM
CAPITAL 10% SERIES XIV NON CONVERTIBLE CUMULATIVE
MICROFIRM CAPITAL PRIVATE LIMITED 10% NARBHERA
M POWER 9% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
NARBHERAM POWER AND STEEL PRIVATE LIMITED SNJ
SYNTHETICS 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SNJ SYNTHETICS LIMITED 6% PREF 24MR35SNS STARCH
LIMITED6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SNS STARCH LIMITED 6% PREF 15JU36AFTON
CHEMICAL 8.5% CUMULATIVE, FULLY REDEEMABLE PREFERENCE
AFTON CHEMICAL HYDERABAD PRIVATE PEOPLE
COMBINE 0.001% COMPULSORILY CONVERTIBLE, CUMULATIVE,
PEOPLE COMBINE BENGALURU KNOWLEDGE BIOMAX
FUELS 8% NON CONVERTIBLE CUMULATIVE REDEEMABLE
BIOMAX FUELS LIMITED 8% PREF 30AP27BIOMAX
FUELS 8% NON CONVERTIBLE CUMULATIVE REDEEMABLE
BIOMAX FUELS LIMITED 8% PREF 28JU27BIOMAX
FUELS 8% NON CONVERTIBLE CUMULATIVE REDEEMABLE
BIOMAX FUELS LIMITED 8% PREF 30AP28PEOPLE
COMBINE FULLY CONVERTIBLE,CUMULATIVE,
PEOPLE COMBINE EDUCATIONAL KIRBY
BUILDING 5% NON CONVERTIBLE, CUMULATIVE,PREFERENCE
KIRBY BUILDING SYSTEMS INDIA PRIVATE BIOMAX
FUELS 8% NON CONVERTIBLE CUMULATIVE REDEEMABLE
BIOMAX FUELS LIMITED 8% PREF 19AP29WESTERN
U.P. POWER 0.01% NON CONVERTIBLE CUMULATIVE FULLY
WESTERN U.P. POWER TRANSMISSION COMPANY GAYATRI HI-
TECH 9% NON CONVERTIBLE CUMULATIVE FULLY
GAYATRI HI-TECH HOTELS LIMITED 9% PREF 26JN26GAYATRI HI-
TECH 4% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
GAYATRI HI-TECH HOTELS LIMITED 4% PREF 10SP27PALADION
NETWORKS 0.001% CLASS I COMPULSORY CONVERTIBLE NON
PALADION NETWORKS PRIVATE LIMITED 0.001% RATNABALI
INVESTMEN1% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
RATNABALI INVESTMENT PRIVATE LIMITED 1% PREF INFINITY.CO
M NON CONVERTIBLE, NON CUMULATIVE, FULLY
INFINITY.COM FINANCIAL SECURITIES LIMITED 0% INFINITY.CO
M NON CONVERTIBLE, NON CUMULATIVE, FULLY
INFINITY.COM FINANCIAL SECURITIES LIMITED 0% CONCORD
ENVIRO 0.001% SERIES A COMPULSORY CONVERTIBLE NON
CONCORD ENVIRO SYSTEMS PRIVATE CONCORD
ENVIRO 0.001% SERIES A2 COMPULSORY CONVERTIBLE NON
CONCORD ENVIRO SYSTEMS PRIVATE CONCORD
ENVIRO 0.001% SERIES A1 COMPULSORY CONVERTIBLE NON
CONCORD ENVIRO SYSTEMS PRIVATE PRUDENTIAL
SUGAR PARTLY PAID UP NON CONVERTIBLE REDEEMABLE
PRUDENTIAL SUGAR CORPORATION LTD 16% PP PRUDENTIAL
SUGAR FULLY PAID UP NON CONVERTIBLE REDEEMABLE
PRUDENTIAL SUGAR CORPORATION LTD 16% GONTERMA
NN-PEIPERS 6 % OPTIONALLY CONVERTIBLE REEDEMABLE CUMULATIVE
GONTERMANN-PEIPERS (INDIA) LIMITED 6% PREF GONTERMA
NN-PEIPERS 6 % OPTIONALLY CONVERTIBLE REEDEMABLE CUMULATIVE
GONTERMANN-PEIPERS (INDIA) LIMITED 6% PREF GONTERMA
NN-PEIPERS 6 % OPTIONALLY CONVERTIBLE REEDEMABLE CUMULATIVE
GONTERMANN-PEIPERS (INDIA) LIMITED 6% PREF AI
CHAMPDAN2% CUMULATIVE NON CONVERTIBLE REDEEMABLE
AI CHAMPDANY INDUSTRIES LIMITED 2 % SEBACIC
INDIA COMPULSORY CONVERTIBLE PREFERENCE SHARES WITH
SEBACIC INDIA LIMITED PREF 31MR18
![Page 18: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/18.jpg)
816 INE884G04036
817 INE884G04044
818 INE884G04051
819 INE884G04010
820 INE864L03014
821 INE630K04019
822 INE972Y03018
823 INE971Y03010
824 INE904M03016
825 INE381A04010
826 INE045X03015
827 INE045X03023
828 INE045X03031
829 INE031X03015
830 INE031X03023
831 INE031X03031
832 INE031X03049
833 INE031X03056
834 INE031X03064
835 INE979W03017
836 INE979W03025
837 INE979W03033
838 INE152S03019
839 INE634U04010
840 INE485Y03011
841 INE923G04016
842 INE743C04017
843 INE829Q03016
844 INE829Q03024
845 INE829Q03032
846 INE829Q03040
847 INE829Q03057
848 INE829Q03065
849 INE225C04031
850 INE611A03012
851 INE882A04041
852 INE407E04015
853 INE614L03013
854 INE614L03021
855 INE225C03017
856 INE656E03019
857 INE656E03027
858 INE656E03035
859 INE994W03057
860 INE858F04016
861 INE772Z03019
862 INE772Z03027
863 INE772Z03035
GPI TEXTILES
0.01 % CPRS SERIES 1 NON CONVERTIBLE FULLY
GPI TEXTILES LIMITED 0.01 CPRS SERIES 1 PREF 03SP15GPI
TEXTILES 0.01 % CPRS SERIES 2 NON CONVERTIBLE FULLY
GPI TEXTILES LIMITED 0.01 CRPS SERIES 2 PREF GPI
TEXTILES 0.01 % NCPRS SERIES 1 NON CONVERTIBLE FULLY
GPI TEXTILES LIMITED 0.01 NCRPS SERIES 1 PREF GPI
TEXTILES 0.01 % NON CONVERTIBLE CUMULATIVE FULLY
GPI TEXTILES LIMITED 0.01 PREF 31032023ARSHIYA
INDUSTRIAL SERIES I OPTIONALLY CONVERTIBLE NON
ARSHIYA INDUSTRIAL & DISTRIBUTION HUB JUMBO
TECHNO 2 % NON CONVERTIBLE, FULLY REDEEMABLE PREFERENCE
JUMBO TECHNO SERVICES PVT. LTD. 2 % PREF 21SP24JBM SOLAR
POWER 1% COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
JBM SOLAR POWER MAHARASHTRA PRIVATE JBM SOLAR
ENERGY 1% COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
JBM SOLAR ENERGY MAHARASHTRA PRIVATE ARDOM
TELECOM 17% FULLY CONVERTIBLE, CUMULATIVE, NON
ARDOM TELECOM PRIVATE LIMITED 17% SAMTEL
COLOR 8% CUMULATIVE FULLY REDEEMABLE PREFERENCE
SAMTEL COLOR LIMITED 8% PREF 31DC16PRAGATI
PARKS 0.01% COMPULSORY CONVERTIBLE NON
PRAGATI PARKS PRIVATE LIMITED 0.01% PREF PRAGATI
PARKS 0.01% COMPULSORY CONVERTIBLE NON
PRAGATI PARKS PRIVATE LIMITED 0.01% PREF PRAGATI
PARKS 0.01% COMPULSORY CONVERTIBLE NON
PRAGATI PARKS PRIVATE LIMITED 0.01% PREF HERO
MANAGEME0.01% COMPULSORY CONVERTIBLE NON
HERO MANAGEMENT SERVICE PRIVATE HERO
MANAGEME0.01% COMPULSORY CONVERTIBLE NON
HERO MANAGEMENT SERVICE PRIVATE HERO
MANAGEME0.01% COMPULSORY CONVERTIBLE NON
HERO MANAGEMENT SERVICE PRIVATE HERO
MANAGEME0.01% COMPULSORY CONVERTIBLE NON
HERO MANAGEMENT SERVICE PRIVATE HERO
MANAGEME0.01% COMPULSORY CONVERTIBLE NON
HERO MANAGEMENT SERVICE PRIVATE HERO
MANAGEME0.01% COMPULSORY CONVERTIBLE NON
HERO MANAGEMENT SERVICE PRIVATE HERO
MINDMINE 0.01% COMPULSORY CONVERTIBLE NON
HERO MINDMINE INSTITUTE PRIVATE HERO
MINDMINE 0.01% COMPULSORY CONVERTIBLE NON
HERO MINDMINE INSTITUTE PRIVATE HERO
MINDMINE 0.01% COMPULSORY CONVERTIBLE NON
HERO MINDMINE INSTITUTE PRIVATE HERO
STEELS 0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
HERO STEELS LIMITED 0.01% PREF 15MR22JBM SOLAR
POWER 8% NON CONVERTIBLE NON CUMULATIVE FULLY
JBM SOLAR POWER PRIVATE LIMITED 8% PREF SMI AMTEK
CRANKSHAF0.01% CLASS B COMPULSORY CONVERTIBLE NON
SMI AMTEK CRANKSHAFT PRIVATE LIMITED 0.01% UNISON
HOTELS 12.6% NON CONVERTIBLE CUMULATIVE FULLY
UNISON HOTELS LTD 12.6 PREF 10092008MONNET
ISPAT AND 6.50% NON CONVERTIBLE CUMULATIVE REDEEMABLE,
MONNET ISPAT AND ENERGY LIMITED 6.50% HERO
REALTY 0.01% COMPULSORY CONVERTIBLE NON
HERO REALTY PRIVATE LIMITED 0.01% PREF HERO
REALTY 0.01% COMPULSORY CONVERTIBLE NON
HERO REALTY PRIVATE LIMITED 0.01% PREF HERO
REALTY 0.01% COMPULSORY CONVERTIBLE NON
HERO REALTY PRIVATE LIMITED 0.01% PREF HERO
REALTY 0.01% COMPULSORY CONVERTIBLE NON
HERO REALTY PRIVATE LIMITED 0.01% PREF HERO
REALTY 0.01% COMPULSORY CONVERTIBLE NON
HERO REALTY PRIVATE LIMITED 0.01% PREF HERO
REALTY 0.01% COMPULSORY CONVERTIBLE NON
HERO REALTY PRIVATE LIMITED 0.0% PREF 28FB21UDAIPUR
CEMENT 5% NON CONVERTIBLE CUMULATIVE FULLY
UDAIPUR CEMENT WORKS LIMITED 5% SERIES B PREF RSWM
LIMITED12% OPTIONALLY CONVERTIBLE, CUMULATIVE
RSWM LIMITED 12% PREF 29MY20MARAL
OVERSEAS 8% CUMULATIVE NON CONVERTIBLE REDEEMABLE
MARAL OVERSEAS LIMITED 8 PREF 31MR19MONNET
INDUSTRIES 10% NON CONVERTIBLE NON CUMULATIVE FULLY
MONNET INDUSTRIES LIMITED 10% PREF 31MR23MONNET
POWER 0.001% FULLY CONVERTIBLE PREFERENCE SHARES WITH
MONNET POWER COMPANY LIMITED 0.001% MONNET
POWER 0.001% FULLY CONVERTIBLE PREFERENCE SHARES WITH
MONNET POWER COMPANY LIMITED 0.001% UDAIPUR
CEMENT 6% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
UDAIPUR CEMENT WORKS LIMITED 6% PREF 09AG37HERO
CORPORATE 0.01% COMPULSORY CONVERTIBLE NON
HERO CORPORATE SERVICE PRIVATE HERO
CORPORATE 0.01% COMPULSORY CONVERTIBLE NON
HERO CORPORATE SERVICE PRIVATE HERO
CORPORATE 0.01% COMPULSORY CONVERTIBLE NON
HERO CORPORATE SERVICE PRIVATE IFMR
HOLDINGS 0.001% SERIES K COMPULSORY CONVERTIBLE CUMULATIVE
IFMR HOLDINGS PRIVATE LIMITED 0.001% SERIES K NITCO
LIMITED0.1% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
NITCO LIMITED 0.1% PREF 06MR28ZIPGO
TECHNOLOG0.001% COMPULSORY CONVERTIBLE NON
ZIPGO TECHNOLOGIES PRIVATE LIMITED ZIPGO
TECHNOLOG0.001% COMPULSORY CONVERTIBLE CUMULATIVE
ZIPGO TECHNOLOGIES PRIVATE LIMITED 0.001% ZIPGO
TECHNOLOG0.001% COMPULSORY CONVERTIBLE CUMULATIVE
ZIPGO TECHNOLOGIES PRIVATE LIMITED 0.001%
![Page 19: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/19.jpg)
864 INE772Z03043
865 INE772Z03050
866 INE772Z03068
867 INE772Z03076
868 INE250M03014
869 INE250M03022
870 INE250M03030
871 INE250M03048
872 INE250M03055
873 INE556L03016
874 INE981F03018
875 INE981F03026
876 INE445L03012
877 INE862A04019
878 INE591C03012
879 INE748C04032
880 INE748C04040
881 INE910M03013
882 INE171R04019
883 INE171R04027
884 INE171R04035
885 INE488C04019
886 INE858C04013
887 INE196J04021
888 INE196J04013
889 INE869A04022
890 INE665C04012
891 INE164L04017
892 INE204X04016
893 INE205X04013
894 INE468X03019
895 INE717Z03014
896 INE876Y04019
897 INE139X03016
898 INE551U03067
899 INE786X03014
900 INE139X03024
901 INE717Z03022
902 INE742Y03015
903 INE742Y03023
904 INE742Y03031
905 INE742Y03049
906 INE551U03018
907 INE832Y03014
908 INE581T03017
909 INE496G03015
910 INE496G03023
911 INE558U04011
ZIPGO TECHNOLOG
0.001% COMPULSORY CONVERTIBLE NON
ZIPGO TECHNOLOGIES PRIVATE LIMITED 0.001% ZIPGO
TECHNOLOG0.001% COMPULSORY CONVERTIBLE NON
ZIPGO TECHNOLOGIES PRIVATE LIMITED 0.001% ZIPGO
TECHNOLOG0.001% COMPULSORY CONVERTIBLE NON
ZIPGO TECHNOLOGIES PRIVATE LIMITED 0.001% ZIPGO
TECHNOLOG0.001% COMPULSORY CONVERTIBLE CUMULATIVE
ZIPGO TECHNOLOGIES PRIVATE LIMITED L & T
SAMAKHIALI 0.01% COMPULSORY CONVERTIBLE NON
L & T SAMAKHIALI GANDHIDHAM TOLLWAY L & T
SAMAKHIALI 0.01% COMPULSORY CONVERTIBLE NON
L & T SAMAKHIALI GANDHIDHAM TOLLWAY L & T
SAMAKHIALI 0.01% COMPULSORY CONVERTIBLE NON
L & T SAMAKHIALI GANDHIDHAM TOLLWAY L & T
SAMAKHIALI 0.01% COMPULSORY CONVERTIBLE NON
L & T SAMAKHIALI GANDHIDHAM TOLLWAY L & T
SAMAKHIALI 0.01% COMPULSORY CONVERTIBLE NON
L & T SAMAKHIALI GANDHIDHAM TOLLWAY L&T HALOL-
SHAMLAJI 0.01% OPTIONALLY CONVERTIBLE NON
L&T HALOL-SHAMLAJI TOLLWAY LIMITED 0.01% L & T
INFRASTRUCSERIES 1 FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
L & T INFRASTRUCTURE DEVELOPMENT PROJECTS L & T
INFRASTRUCSERIES 2 FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
L & T INFRASTRUCTURE DEVELOPMENT PROJECTS NABHA
POWER 10% OPTIONALLY CONVERTIBLE NON CUMULATIVE
NABHA POWER LIMITED 10% PREF 10MY30LML
LIMITED0.001 % NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
LML LIMITED 0.001 PREF 28032017TECHPROCE
SS PAYMENT 0.0001% CONVERTIBLE CUMULATIVE FULLY
TECHPROCESS PAYMENT SERVICES LIMITED 3I INFOTECH
LIMITED0.01% NON CONVERTIBLE CUMULATIVE FULLY
3I INFOTECH LIMITED 0.01% PREF 31MR223I INFOTECH
LIMITED0.10% NON CONVERTIBLE CUMULATIVE FULLY
3I INFOTECH LIMITED 0.10% PREF 15MR26HIRANMAYE
ENERGY 0.01% COMPULSORILY CONVERTIBLE PREFERENCE
INDIA POWER CORPORATION (HALDIA) PRO
MINERALS 7% NON CONVERTIBLE CUMULATIVE FULLY
PRO MINERALS PRIVATE LIMITED 7% PREF 30MR21PRO
MINERALS 7% NON CONVERTIBLE CUMULATIVE FULLY
PRO MINERALS PRIVATE LIMITED 7% PREF 12MY21PRO
MINERALS 10% NON CONVERTIBLE CUMULATIVE FULLY
PRO MINERALS PRIVATE LIMITED 10% PREF 27DC20VCK
CAPITAL NON CONVERTIBLE PREFERENCE SHARES : DATE OF
VCK CAPITAL MARKET SERVICES LIMITED 15% UNITED
CREDIT 12.5% NON CONVERTIBLE CUMULATIVE FULLY
UNITED CREDIT 12.5 PREF 03SP13OCL IRON
AND STEEL 2 % NON CONVERTIBLE, NON CUMULATIVE, FULLY
OCL IRON AND STEEL LIMITED 2 % PREF 17AG20OCL IRON
AND STEEL 2 % NON CONVERTIBLE, NON CUMULATIVE, FULLY
OCL IRON AND STEEL LIMITED 2% PREF 30JL20NARMADA
GELATINES PARTIAL REDEMPTION OF PREFERENCE SHARES FROM
NARMADA GELATINES LIMITED 9 PREF 07082008 HINDUSTHA
N 6% NON-CUMULATIVE REDEEMABLE PREFERENCE
HINDUSTHAN ENGINEERING & EMTA COAL
LIMITED19% NON CONVERTIBLE CUMULATIVE REDEMABLE
EMTA COAL LIMITED 19% PREF 28SP18EDMOND
FINVEST 0.1% NON CONVERTIBLE CUMULATIVE FULLY
EDMOND FINVEST PRIVATE LIMITED 0.1% IPCRESS
FINANCE & 0.1% NON CONVERTIBLE CUMULATIVE FULLY
IPCRESS FINANCE & SECURITIES PRIVATE TVS
AUTOMOBIL0.001% COMPULSORY CONVERTIBLE NON
TVS AUTOMOBILE SOLUTIONS PRIVATE MAXIVISION
EYE 0.01% SERIES B COMPULSROY CONVERTIBLE CUMULATIVE
MAXIVISION EYE HOSPITALS PRIVATE SUNTEC
INFRASTRUCNON CONVERTIBLE CUMULATIVE, REDEEMABLE
SUNTEC INFRASTRUCTURE SPECSMAKE
RS 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
SPECSMAKERS OPTICIANS PRIVATE LIMITED 0.01% SAMUNNATI
FINANCIAL 0.01% SERIES C COMPULSORY CONVERTIBLE CUMULATIVE
SAMUNNATI FINANCIAL INTERMEDIATION & ORANGE
RETAIL 9% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
ORANGE RETAIL FINANCE INDIA PRIVATE LIMITED SPECSMAKE
RS 0.1% COMPULSORY CONVERTIBLE CUMULATIVE
SPECSMAKERS OPTICIANS PRIVATE LIMITED 0.1% MAXIVISION
EYE 0.01% SERIES D COMPULSORY CONVERTIBLE CUMULATIVE
MAXIVISION EYE HOSPITALS PRIVATE TECHNOLOG
Y 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
TECHNOLOGY FRONTIERS (INDIA) PRIVATE LIMITED TECHNOLOG
Y 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
TECHNOLOGY FRONTIERS (INDIA) PRIVATE LIMITED TECHNOLOG
Y 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
TECHNOLOGY FRONTIERS (INDIA) PRIVATE LIMITED TECHNOLOG
Y 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
TECHNOLOGY FRONTIERS (INDIA) PRIVATE LIMITED SAMUNNATI
FINANCIAL 0.01% SERIES A3 COMPULSORY CONVERTIBLE CUMULATIVE
SAMUNNATI FINANCIAL INTERMEDIATION & GHO AGRO
PRIVATE 0.01% OPTONALLY CONVERTIBLE NON
GHO AGRO PRIVATE LIMITED 0.01% PREF OMSHAKTH
Y REALTIES 0.01% OPTIONALLY CONVERTIBLE NON
OMSHAKTHY REALTIES PRIVATE LIMITED 0.01% SANMAR
HOLDINGS COMPULSORY CONVERTIBLE PREFERENCE SHARE WITH FACE
SANMAR HOLDINGS LIMITED PREF 30JU17SANMAR
HOLDINGS COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
SANMAR HOLDINGS LIMITED PREF 26MR26MODUS
LOGISTICS 3% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
MODUS LOGISTICS PRIVATE LIMITED 3% PREF
![Page 20: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/20.jpg)
912 INE551U03026
913 INE551U03034
914 INE551U03042
915 INE551U03059
916 INE181P03048
917 INE255Q03014
918 INE620R03025
919 INE375S03016
920 INE943P03058
921 INE620R03017
922 INE181P03014
923 INE181P03022
924 INE181P03030
925 INE158F03013
926 INE443L04015
927 INE426R03019
928 INE426R03027
929 INE426R03035
930 INE785J03056
931 INE399Z03011
932 INE426R04058
933 INE426R04066
934 INE426R04074
935 INE426R04082
936 INE330S04019
937 INE518T03019
938 INE249S04011
939 INE249S04029
940 INE655S03011
941 INE655S03029
942 INE654S03014
943 INE654S03022
944 INE920Q04011
945 INE457S04010
946 INE457S04028
947 INE457S04036
948 INE443S04010
949 INE569Q03018
950 INE569Q03026
951 INE569Q03034
952 INE286S04013
953 INE286S04021
954 INE285S04015
955 INE285S04023
956 INE610N03025
957 INE610N03041
958 INE610N03058
959 INE353S04011
SAMUNNATI FINANCIAL
0.01% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
SAMUNNATI FINANCIAL INTERMEDIATION & SAMUNNATI
FINANCIAL 0.01% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
SAMUNNATI FINANCIAL INTERMEDIATION & SAMUNNATI
FINANCIAL 0.01% SERIES A2 COMPULSORY CONVERTIBLE CUMULATIVE
SAMUNNATI FINANCIAL INTERMEDIATION & SAMUNNATI
FINANCIAL 0.01% SERIES A1 COMPULSORY CONVERTIBLE CUMULATIVE
SAMUNNATI FINANCIAL INTERMEDIATION & KAMACHI
INDUSTRIES 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
KAMACHI INDUSTRIES LIMITED 8% PREF 01SP23IFMR RURAL
CHANNELS 0.1% COMPULSORY CONVERTIBLE NON
IFMR RURAL CHANNELS AND SERVICES PVT. LTD. SPALON
INDIA 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
SPALON INDIA PRIVATE LIMITED 0.01% PREF SOUTHERN
HEALTH 0.0001% SERIES A COMPULSROY CONVERTIBLE CUMULATIVE
SOUTHERN HEALTH FOODS PRIVATE LIMITED DR.
AGARWAL'S 0.001% FULLY CONVERTIBLE CUMULATIVE NON
DR. AGARWAL'S HEALTH CARE LIMITED 0.001% SPALON
INDIA 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
SPALON INDIA PRIVATE LIMITED 0.01% PREF KAMACHI
INDUSTRIES 8% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
KAMACHI INDUSTRIES LIMITED 8% PREF 31MR23KAMACHI
INDUSTRIES 8% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
KAMACHI INDUSTRIES LIMITED 8% PREF 03FB23KAMACHI
INDUSTRIES 8% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
KAMACHI INDUSTRIES LIMITED 8% PREF 24DC22EL FORGE
LIMITED6% OPTIONALLY CONVERTIBLE, CUMULATIVE, REDEEMABLE
EL FORGE LIMITED 6% PREF 01AP18BELSTAR
INVESTMENRESET RATE NON CONVERTIBLE CUMULATIVE REDEEMABLE
BELSTAR INVESTMENT AND FINANCE PVT LTD RR UPPALS IT
PROJECTS 14% COMPULSORY CONVERTIBLE CUMULATIVE
UPPALS IT PROJECTS PRIVATE LIMITED 14% UPPALS IT
PROJECTS 14% COMPULSORY CONVERTIBLE CUMULATIVE
UPPALS IT PROJECTS PRIVATE LIMITED 14% UPPALS IT
PROJECTS 14% COMPULSORY CONVERTIBLE CUMULATIVE
UPPALS IT PROJECTS PRIVATE LIMITED 14% AVANTHA
HOLDINGS 8% OPTIONALLY CONVERTIBLE, CUMULATIVE REDEEMABLE
AVANTHA HOLDINGS LIMITED 8% PREF 03JN23JINDAL
FITTINGS 11% COMPULSROY CONVERTIBLE NON
JINDAL FITTINGS LIMITED 11% PREF 29MR28UPPALS IT
PROJECTS 14% NON CONVERTIBLE CUMULATIVE PREFERENCE
UPPALS IT PROJECTS PRIVATE LIMITED 14% UPPALS IT
PROJECTS 14% NON CONVERTIBLE CUMULATIVE PREFERENCE
UPPALS IT PROJECTS PRIVATE LIMITED 14% UPPALS IT
PROJECTS 14% NON CONVERTIBLE CUMULATIVE PREFERENCE
UPPALS IT PROJECTS PRIVATE LIMITED 14% UPPALS IT
PROJECTS 14% NON CONVERTIBLE CUMULATIVE PREFERENCE
UPPALS IT PROJECTS PRIVATE LIMITED 14% ROBUST
TRANSPORT10% NON CONVERTIBLE NON CUMULATIVE FULLY
ROBUST TRANSPORTATION AGARWAL
PACKERS 2% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
AGARWAL PACKERS AND MOVERS LIMITED 2% PREF NUCLEUS
STEEL 10% NON CONVERTIBLE NON CUMULATIVE FULLY
NUCLEUS STEEL PRIVATE LIMITED 10% SERIES I NUCLEUS
STEEL 10% NON CONVERTIBLE NON CUMULATIVE FULLY
NUCLEUS STEEL PRIVATE LIMITED 10% SERIES II UMANG
NOIDA SEZ COMPULSORILY CONVERTIBLE NON CUMULATIVE
UMANG NOIDA SEZ PRIVATE LIMITED CCPS UMANG
NOIDA SEZ OPTIONALLY CONVERTIBLE NON CUMULATIVE
UMANG NOIDA SEZ PRIVATE LIMITED OCPS UMANG CO-
DEVELOPEROPTIONALLY CONVERTIBLE NON CUMULATIVE
UMANG CO-DEVELOPERS PRIVATE LIMITED PREF UMANG CO-
DEVELOPERCOMPULSORY CONVERTIBLE NON CUMULATIVE
UMANG CO-DEVELOPERS PRIVATE LIMITED CCPS GOLD PLUS
GLASS 9.25% NON CONVERTIBLE CUMULATIVE FULLY
GOLD PLUS GLASS INDUSTRY LIMITED 9.25% KBN
INFRASTRUC10% SERIES I NON CONVERTIBLE NON CUMULATIVE FULLY
KBN INFRASTRUCTURE PRIVATE LIMITED 10% SR. KBN
INFRASTRUC10% SERIES II NON CONVERTIBLE NON
KBN INFRASTRUCTURE PRIVATE LIMITED 10% SR. KBN
INFRASTRUC20% SERIES III NON CONVERTIBLE NON
KBN INFRASTRUCTURE PRIVATE LIMITED 20% SR. BHUSHAN
BUILDWELL 10% NON CONVERTIBLE NON CUMULATIVE FULLY
BHUSHAN BUILDWELL PRIVATE LIMITED 10% GUARDIAN
NUTRITION COMPULSORY CONVERTIBLE NON CUMULATIVE NON
GUARDIAN NUTRITION & HEALTH SUPPLEMENTS GUARDIAN
NUTRITION COMPULSORY CONVERTIBLE NON CUMULATIVE NON
GUARDIAN NUTRITION & HEALTH SUPPLEMENTS GUARDIAN
NUTRITION COMPULSORY CONVERTIBLE NON CUMULATIVE NON
GUARDIAN NUTRITION & HEALTH SUPPLEMENTS DHENKANAL
FINVEST 10% NON CONVERTIBLE NON CUMULATIVE FULLY
DHENKANAL FINVEST LIMITED 10% SERIES I DHENKANAL
FINVEST 20% NON CONVERTIBLE NON CUMULATIVE FULLY
DHENKANAL FINVEST LIMITED 20% SERIES II BNR
CONSULTAN10% NON CONVERTIBLE NON CUMULATIVE FULLY
BNR CONSULTANCY SERVICES PVT LTD 10% BNR
CONSULTAN20% NON CONVERTIBLE NON CUMULATIVE FULLY
BNR CONSULTANCY SERVICES PVT LTD 20% PROPTIGER
REALTY 0.001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
PROPTIGER REALTY PRIVATE LIMITED 0.001% PROPTIGER
REALTY 0.001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
PROPTIGER REALTY PRIVATE LIMITED 0.001% PROPTIGER
REALTY 0.001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
PROPTIGER REALTY PRIVATE LIMITED 0.001% BHUSHAN
EXPORTS 10% NON CONVERTIBLE NON CUMILATIVE FULLY
BHUSHAN EXPORTS PRIVATE LIMITED 10%
![Page 21: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/21.jpg)
960 INE248S04013
961 INE248S04021
962 INE248S04039
963 INE248S04047
964 INE248S04054
965 INE247S04015
966 INE247S04023
967 INE241S04018
968 INE241S04026
969 INE569Q03042
970 INE001S04016
971 INE001S04024
972 INE649S04012
973 INE610N03017
974 INE610N03033
975 INE376K03011
976 INE376K04019
977 INE076G04047
978 INE076G04054
979 INE076G04062
980 INE076G04070
981 INE076G04088
982 INE824B04033
983 INE824B04041
984 INE824B04082
985 INE824B04074
986 INE824B04090
987 INE269M04012
988 INE248G03010
989 INE076G04096
990 INE824B04058
991 INE824B04108
992 JCT LIMITED INE945A03022 JCT LIMITED PREF 311210
993 INE339K04033
994 INE785J04054
995 INE339K04025
996 INE824B04017
997 INE025E04015
998 INE350E03019
999 INE947O03011
1000 INE511H04017
1001 INE194J04018
1002 INE670B03040
1003 INE670B03032
1004 INE670B03065
1005 INE670B03024
1006 INE670B03057
1007 INE670B03016
BHUSHAN INFRASTRUC
10% NON CONVERTIBLE NON CUMULATIVE FULLY
BHUSHAN INFRASTRUCTURE BHUSHAN
INFRASTRUC20% NON CONVERTIBLE NON CUMULATIVE FULLY
BHUSHAN INFRASTRUCTURE BHUSHAN
INFRASTRUC20% NON CONVERTIBLE NON CUMULATIVE FULLY
BHUSHAN INFRASTRUCTURE BHUSHAN
INFRASTRUC20% NON CONVERTIBLE NON CUMULATIVE FULLY
BHUSHAN INFRASTRUCTURE BHUSHAN
INFRASTRUC20% NON CONVERTIBLE NON CUMULATIVE FULLY
BHUSHAN INFRASTRUCTURE BHUSHAN
NATURAL 10% NON CONVERTIBLE NON CUMULATIVE FULLY
BHUSHAN NATURAL RESOURCES PRIVATE BHUSHAN
NATURAL 10% NON CONVERTIBLE NON CUMULATIVE FULLY
BHUSHAN NATURAL RESOURCES PRIVATE SRN
MINERALS & 10% NON CONVERTIBLE NON CUMULATIVE FULLY
SRN MINERALS & MINING PRIVATE LIMITED 10% SRN
MINERALS & 10% NON CONVERTIBLE NON CUMULATIVE FULLY
SRN MINERALS & MINING PRIVATE LIMITED 10% GUARDIAN
NUTRITION COMPULSORY CONVERTIBLE NON CUMULATIVE NON
GUARDIAN NUTRITION & HEALTH SUPPLEMENTS AAYUSHI
CREDIT AND 10% SERIES I NON CONVERTIBLE NON CUMULATIVE FULLY
AAYUSHI CREDIT AND CAPITAL SERVICES AAYUSHI
CREDIT AND 10% SERIES II NON CONVERTIBLE NON
AAYUSHI CREDIT AND CAPITAL SERVICES SPECTRA ISP
NETWORKS 2% NON CONVERTIBLE NON CUMULATIVE FULLY
SPECTRA ISP NETWORKS PRIVATE LIMITED 2% PREF PROPTIGER
REALTY 0.001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
PROPTIGER REALTY PRIVATE LIMITED 0.001% PROPTIGER
REALTY 0.001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
PROPTIGER REALTY PRIVATE LIMITED 0.001% KORBA
WEST 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
KORBA WEST POWER COMPANY LIMITED 0.01% KORBA
WEST 0.01% NON CONVERTIBLE CUMULATIVE FULLY
KORBA WEST POWER COMPANY LIMITED 0.01% AVANTHA
REALTY 8.5 % CUMULATIVE, NON CONVERTIBLE FULLY
AVANTHA REALTY LIMITED 8.5% PREF 15AP21AVANTHA
REALTY 8.5% CUMULATIVE, NON CONVERTIBLE FULLY
AVANTHA REALTY LIMITED 8.5% PREF 09FB22AVANTHA
REALTY 8.5% CUMULATIVE, NON CONVERTIBLE FULLY
AVANTHA REALTY LIMITED 8.5% PREF 12JL22AVANTHA
REALTY 8.5% CUMULATIVE, NON CONVERTIBLE FULLY
AVANTHA REALTY LIMITED 8.5% PREF 14OT21AVANTHA
REALTY 8% CUMULATIVE, NON CONVERTIBLE FULLY
AVANTHA REALTY LIMITED 8% PREF 13JN23BHUSHAN
STEEL 10% NON-CONVERTIBLE, CUMULATIVE, FULLY
BHUSHAN STEEL LIMITED 10% PREF SERIES V 29MR21BHUSHAN
STEEL 10% NON-CONVERTIBLE, CUMULATIVE, FULLY
BHUSHAN STEEL LIMITED 10% PREF SERIES II 30MR20BHUSHAN
STEEL 10% NON CONVERTIBLE, CUMULATIVE, FULLY
BHUSHAN STEEL LIMITED 10% SR I PREF 28JN20BHUSHAN
STEEL 10% NON CONVERTIBLE, CUMULATIVE, FULLY
BHUSHAN STEEL LIMITED 10% SR. X PREF 24MR23BHUSHAN
STEEL 10% NON CONVERTIBLE, CUMULATIVE, FULLY
BHUSHAN STEEL LIMITED 10% SR. IX PREF 28FB23JINDAL ITF
LIMITED0.01% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
JINDAL ITF LIMITED 0.01% PREF 16DC22SOLARIS
CHEMTECH 10% CUMULATIVE CONVERTIBLE PREFERENCE
SOLARIS CHEMTECH INDUSTRIES LTD 10% PREF AVANTHA
REALTY 8% CUMULATIVE, NON CONVERTIBLE FULLY
AVANTHA REALTY LIMITED 8% PREF 01AP23BHUSHAN
STEEL 10% NON CONVERTIBLE, CUMULATIVE, FULLY
BHUSHAN STEEL LIMITED 10% PREF SERIES VI BHUSHAN
STEEL 10% NON CONVERTIBLE, CUMULATIVE, FULLY
BHUSHAN STEEL LIMITED 10% SR. VIII PREF 29MR22OPTIONALLY PARTIALLY
CONVERTIBLE PREFERENCE AVANTHA HOLDINGS
8.5% NON CONVERTIBLE CUMULATIVE FULLY
AVANTHA HOLDINGS LIMITED 8.5% PREF 07NV19AVANTHA
HOLDINGS 8.5% NON CONVERTIBLE, CUMULATIVE REDEEMABLE
AVANTHA HOLDINGS LIMITED 8.5% PREF 07NV19AVANTHA
HOLDINGS 6% NON CONVERTIBLE CUMULATIVE FULLY
AVANTHA HOLDINGS LIMITED 6% PREF 25JU12BHUSHAN
STEEL 25% NON CONVERTIBLE, CUMULATIVE, FULLY
BHUSHAN STEEL LIMITED 25% PREF 27MR15H & R
JOHNSON 8.25% NON CONVERTIBLE CUMULATIVE FULLY
H & R JOHNSON (INDIA) LIMITED 8.25 PREF 201005ASSOCIATED
TRANSRAIL 6% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ASSOC.TRANSRAIL 6% PREF 14JL09SMARTVALU
E VENTURES 3% OPTIONALLY CONVERTIBLE REDEEMABLE NON
SMARTVALUE VENTURES PRIVATE LIMITED 3% PREF ASHIM
INVESTMEN7 % NON CONVERTIBLE CUMULATIVE FULLY
ASHIM INVESTMENT COMPANY LIMITED 7 PREF EMERALD
JEWEL 7.5.% CUMULATIVE REDEEMABLE PREFERENCE
EMERALD JEWEL INDUSTRY INDIA LTD 7.5% GANGOTRI
TEXTILES 6.5% CUMULATIVE, CONVERTIBLE REDEEMABLE
GANGOTRI TEXTILES LIMITED 6.5% PREF 31MR16GANGOTRI
TEXTILES 6.5% CUMULATIVE, CONVERTIBLE REDEEMABLE
GANGOTRI TEXTILES LIMITED 6.5% PREF 31MR18GANGOTRI
TEXTILES 6.5% CUMULATIVE, CONVERTIBLE REDEEMABLE
GANGOTRI TEXTILES LIMITED 6.5% PREF 31MR18GANGOTRI
TEXTILES 6.5% CUMULATIVE, CONVERTIBLE REDEEMABLE
GANGOTRI TEXTILES LIMITED 6.5% PREF 31MR17GANGOTRI
TEXTILES 6.5% CUMULATIVE, CONVERTIBLE REDEEMABLE
GANGOTRI TEXTILES LIMITED 6.5% PREF 31MR17GANGOTRI
TEXTILES 6.5% CUMULATIVE, CONVERTIBLE REDEEMABLE
GANGOTRI TEXTILES LIMITED 6.5% PREF 31MR16
![Page 22: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/22.jpg)
1008 INE928W03014
1009 INE928W03022
1010 INE609T04014
1011 INE278L04122
1012 INE287L04123
1013 INE287L04081
1014 INE287L04016
1015 INE287L04024
1016 INE287L04032
1017 INE287L04040
1018 INE287L04057
1019 INE287L04065
1020 INE287L04073
1021 INE401L04013
1022 INE646I03011
1023 INE095D04010
1024 INE287L04107
1025 INE278L04106
1026 INE410L04014
1027 INE278L04080
1028 INE286L04067
1029 INE286L04026
1030 INE278L04049
1031 INE286L04059
1032 INE286L04018
1033 INE278L04072
1034 INE278L04031
1035 INE286L04042
1036 INE278L04064
1037 INE278L04023
1038 INE286L04034
1039 INE278L04056
1040 INE278L04015
1041 INE696I03016
1042 INE930L03021
1043 INE030R03019
1044 INE278L04114
1045 INE287L04115
1046 INE930L03013
1047 INE930L03039
1048 INE278L04098
1049 INE117T03010
1050 INE325S03011
1051 INE719O04012
1052 INE719O04020
1053 INE719O04038
1054 INE719O04046
1055 INE719O04053
LEAP GREEN ENERGY
0.01% SERIES I FULLY CONVERTIBLE CUMULATIVE
LEAP GREEN ENERGY PRIVATE LIMITED 0.01% LEAP GREEN
ENERGY 0.01% SERIES II FULLY CONVERTIBLE CUMULATIVE
LEAP GREEN ENERGY PRIVATE LIMITED 0.01% AAPC INDIA
HOTEL 1% NON CONVERTIBLE NON CUMULATIVE FULLY
AAPC INDIA HOTEL MANAGEMENT PRIVATE HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE CUMULATIVE REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS CRAZYPRICI
NG ONLINE 7% NON CONVERTIBLE, NON CUMULATIVE, FULLY
CRAZYPRICING ONLINE SERVICES LIMITED 7% GATI
KAUSAR 2% FULLY CONVERTIBLE CUMULATIVE NON
GATI KAUSAR INDIA LIMITED 2% PREF 31AG18PASUPATI
FABRICS 0.0001 % NON CONVERTIBLE NON CUMULATIVE FULLY
PASUPATI FABRICS LIMITED 0.0001 PREF WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE CUMULATIVE REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. MANGROVE
INTERNATIO7% NON CONVERTIBLE, NON CUMULATIVE, FULLY
MANGROVE INTERNATIONAL LIMITED HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. GWALIOR
BYPASS 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
GWALIOR BYPASS PROJECT LIMITED 0.01% GWALIOR
BYPASS 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
GWALIOR BYPASS PROJECT LIMITED 0.01% HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. GWALIOR
BYPASS 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
GWALIOR BYPASS PROJECT LIMITED 0.01% GWALIOR
BYPASS 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
GWALIOR BYPASS PROJECT LIMITED 0.01% HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. GWALIOR
BYPASS 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
GWALIOR BYPASS PROJECT LIMITED 0.01% HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. GWALIOR
BYPASS 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
GWALIOR BYPASS PROJECT LIMITED 0.01% HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. ATS
ESTATES COMPULSORILY CONVERTIBLE NON CUMULATIVE
ATS ESTATES PRIVATE LIMITED PREF 06082009QUIPPO OIL
AND GAS OPTIONALLY CONVERTIBLE CUMULATIVE FULLY
QUIPPO OIL AND GAS INFRASTRUCTURE PRASANDI
INFOTECH OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
PRASANDI INFOTECH PARK PRIVATE LIMITED HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE CUMULATIVE REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS QUIPPO OIL
AND GAS OPTIONALLY CONVERTIBLE CUMULATIVE FULLY
QUIPPO OIL AND GAS INFRASTRUCTURE QUIPPO OIL
AND GAS OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
QUIPPO OIL AND GAS INFRASTRUCTURE HYDERABAD
RING ROAD 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
HYDERABAD RING ROAD PROJECT PRIVATE LTD. PIONEER
FACOR IT 9% OPTIONALLY CONVERTIBLE NON CUMULATIVE
PIONEER FACOR IT INFRADEVELOPERS SUNCITY
INFRASTRUC12% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
SUNCITY INFRASTRUCTURES BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01%
![Page 23: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/23.jpg)
1056 INE719O04061
1057 INE719O04079
1058 INE719O04087
1059 INE719O04103
1060 INE719O04111
1061 INE719O04129
1062 INE719O04137
1063 INE719O04145
1064 INE719O04152
1065 INE719O04160
1066 INE719O04178
1067 INE719O04095
1068 INE719O04186
1069 INE719O04194
1070 INE286L04075
1071 INE287L04099
1072 INE071O04018
1073 INE103D04012
1074 INE921P03013
1075 INE855R03019
1076 INE028V03015
1077 INE028V03023
1078 INE324V03018
1079 INE324V03026
1080 INE670T03018
1081 INE397Z03023
1082 INE397Z03031
1083 INE670T03026
1084 INE670T03034
1085 INE670T03042
1086 INE670T03059
1087 INE028V03031
1088 INE028V03049
1089 INE062Z03015
1090 INE232W03011
1091 INE232W03029
1092 INE232W03037
1093 INE346Y03015
1094 INE397Z03015
1095 INE458P03016
1096 INE697Z03018
1097 INE038A04016
1098 INE943N04010
1099 INE279Y03018
1100 INE279Y03026
1101 INE279Y03034
1102 INE279Y03042
1103 INE810Y04133
BAREILLY HIGHWAYS
0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% BAREILLY
HIGHWAYS 0.01% NON CONVERTIBLE CUMULATIVE FULLY
BAREILLY HIGHWAYS PROJECT LIMITED 0.01% GWALIOR
BYPASS 0.01% NON CONVERTIBLE CUMULATIVE REDEEMABLE
GWALIOR BYPASS PROJECT LIMITED 0.01% WEST
HARYANA 0.01% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
WEST HARYANA HIGHWAYS PROJECTS PUSHP
STEELS & NON CONVERTIBLE NON CUMULATIVE FULLY
PUSHP STEELS & MINING PRIVATE LIMITED PREF BHARAT
SANCHAR 9% NON CONVERTIBLE NON CUMULATIVE FULLY
BHARAT SANCHAR NIGAM LIMITED 9% PREF 26MR22APPIAN
ASSOCIATES FULLY CONVERTIBLE NON CUMULATIVE, REDEEMABLE
APPIAN ASSOCIATES INFRASTRUCTURE RADIANT
CASH 0.001% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
RADIANT CASH MANAGEMENT SERVICES MAIYAS
BEVERAGES 0.0001% SERIES A FULLY CONVERTIBLE CUMULATIVE
MAIYAS BEVERAGES AND FOODS PRIVATE LIMITED MAIYAS
BEVERAGES 0.0001% SERIES B FULLY CONVERTIBLE CUMULATIVE
MAIYAS BEVERAGES AND FOODS PRIVATE LIMITED ABHIMAN
TECHNOLOG0.001% SERIES A CONVERTIBLE CUMULATIVE REDEEMABLE
ABHIMAN TECHNOLOGIES PRIVATE LIMITED 0.001% ABHIMAN
TECHNOLOG0.001% CONVERTIBLE CUMULATIVE REDEEMABLE
ABHIMAN TECHNOLOGIES PRIVATE LIMITED 0.001% ACTOSERBA
ACTIVE 1% SERIES C FULLY CONVERTIBLE CUMULATIVE
ACTOSERBA ACTIVE WHOLESALE PRIVATE GRABONREN
T INTERNET 0.001% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
GRABONRENT INTERNET PRIVATE LIMITED 0.001% GRABONREN
T INTERNET 0.001% CLASS A COMPULSORY CONVERTIBLE CUMULATIVE
GRABONRENT INTERNET PRIVATE LIMITED 0.001% ACTOSERBA
ACTIVE 1% SERIES B1 COMPULSORY CONVERTIBLE CUMULATIVE
ACTOSERBA ACTIVE WHOLESALE PRIVATE ACTOSERBA
ACTIVE 1% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
ACTOSERBA ACTIVE WHOLESALE PRIVATE ACTOSERBA
ACTIVE 1% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
ACTOSERBA ACTIVE WHOLESALE PRIVATE ACTOSERBA
ACTIVE 1% SERIES C1 COMPULSORY CONVERTIBLE CUMULATIVE
ACTOSERBA ACTIVE WHOLESALE PRIVATE MAIYAS
BEVERAGES 0.0001% SERIES A OPTIONALLY CONVERTIBLE CUMULATIVE
MAIYAS BEVERAGES AND FOODS PRIVATE LIMITED MAIYAS
BEVERAGES 0.0001% SERIES B1 COMPULSORY CONVERTIBLE CUMULATIVE
MAIYAS BEVERAGES AND FOODS PRIVATE LIMITED GYMPIK
HEALTH 0.1% COMPULSORY CONVERTIBLE CUMULATIVE
GYMPIK HEALTH SOLUTIONS PRIVATE WPA CLEAN
ENERGY OCPS -1 OPTIONALLY CONVERTIBLE CUMULATIVE
WPA CLEAN ENERGY PRIVATE LIMITED OCPS-1 WPA CLEAN
ENERGY OCPS -2 OPTIONALLY CONVERTIBLE CUMULATIVE
WPA CLEAN ENERGY PRIVATE LIMITED OCPS-2 WPA CLEAN
ENERGY OCPS -3 OPTIONALLY CONVERTIBLE CUMULATIVE
WPA CLEAN ENERGY PRIVATE LIMITED OCPS-3 ATRIA
SOLAR SERIES 1 OPTIONALLY CONVERTIBLE NON
ATRIA SOLAR POWER (RYAPTE) PRIVATE GRABONREN
T INTERNET 0.001% SERIES A1 COMPULSORY CONVERTIBLE CUMULATIVE
GRABONRENT INTERNET PRIVATE LIMITED 0.001% SKANRAY
TECHNOLOG0.001% COMPULSORILY CONVERTIBLE, CUMULATIVE,
SKANRAY TECHNOLOGIES PRIVATE LIMITED 0.001% QUADGEN
WIRELESS 8% SERIS A COMPULSORY CONVERTIBLE CUMULATIVE
QUADGEN WIRELESS SOLUTIONS PRIVATE HINDALCO
INDUSTRIES 6% NON CONVERTIBLE CUMULATIVE REDEEMABLE
HINDALCO INDUSTRIES LIMITED 6% PREF 01AP09TVS
INVESTMEN8% NON CONVERTIBLE NON CUMULATIVE FULLY
TVS INVESTMENTS LIMITED 8% PREF 17JN14EMERALD
HAVEN 0.01% CLASS A OPTIONALLY CONVERTIBLE CUMULATIVE
EMERALD HAVEN REALTY DEVELOPERS EMERALD
HAVEN 0.01% CLASS B OPTIONALLY CONVERTIBLE CUMULATIVE
EMERALD HAVEN REALTY DEVELOPERS EMERALD
HAVEN 0.01% CLASS B OPTIONALLY CONVERTIBLE CUMULATIVE
EMERALD HAVEN REALTY DEVELOPERS EMERALD
HAVEN 0.01% CLASS A OPTIONALLY CONVERTIBLE CUMULATIVE
EMERALD HAVEN REALTY DEVELOPERS TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 25MR21
![Page 24: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/24.jpg)
1104 INE810Y04141
1105 INE810Y04158
1106 INE810Y04166
1107 INE810Y04174
1108 INE810Y04182
1109 INE810Y04190
1110 INE810Y04208
1111 INE810Y04216
1112 INE810Y04224
1113 INE810Y04232
1114 INE810Y04240
1115 INE810Y04257
1116 INE810Y04265
1117 INE810Y04273
1118 INE810Y04018
1119 INE810Y04026
1120 INE810Y04042
1121 INE810Y04059
1122 INE810Y04067
1123 INE810Y04075
1124 INE810Y04083
1125 INE810Y04091
1126 INE810Y04109
1127 INE810Y04117
1128 INE810Y04125
1129 INE810Y04034
1130 INE008C03017
1131 INE928M04013
1132 INE179Q04014
1133 INE125Q03019
1134 INE405Q04013
1135 INE498L04027
1136 INE459P03014
1137 INE624A04013
1138 INE756K03014
1139 INE970S04012
1140 INE271B03013
1141 INE014X03011
1142 INE014X03029
1143 INE014X03037
1144 INE003X03014
1145 INE003X03022
1146 INE001X03018
1147 INE174X03013
1148 INE174X03021
1149 INE174X03039
1150 INE174X03047
1151 INE174X03054
TVS MOTOR SERVICES
NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 20DC20TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 23FB24TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 28SP23TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 17MR23TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 11JN23TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 20JN25TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 24NV24TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 30MR24TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 19FB26TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 22SP25TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 29MR25TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 21AP18TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 12AG23TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 13JL24TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 22JU19TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 31MY19TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 02DC19TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 12AG19TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 09MR20TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 24AP20TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 28JU20TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 20JL20TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 13SP20TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 24SP22TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 24MR22TVS MOTOR
SERVICES NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TVS MOTOR SERVICES LIMITED PREF 21SP19ROYALE
MANOR COUPON RATE - VARIABLE - OPTINALLY CONVERTIBLE
ROYALE MANOR HOTELS & INDUSTRIES LIMITED SAHARA
INDIA REAL 0.05% NON CONVERTIBLE, NON CUMULATIVE, REDEEMABLE
SAHARA INDIA REAL ESTATE CORPORATION KAMLA
LANDMARC CUMULATIVE FULLY REDEEMBALE PREFERENCE
KAMLA LANDMARC REALESTATE HOLDING FLORA
PROJECTS 7% OPTIONALLY CONVERTIBLE NON CUMULATIVE
FLORA PROJECTS CONSULTANCY PRIVATE IFMR
INVESTMEN8% NON CONVERTIBLE CUMULATIVE FULLY
IFMR INVESTMENT ADVISER SERVICES L & T
FINANCE 8.75% NON CONVERTIBLE CUMULATIVE, FULLY
L & T FINANCE HOLDINGS LIMITED 8.75% PREF SAHARA
INDIA 0.05% OPTIONALLY CONVERTIBLE NON
SAHARA INDIA MEDICAL INSTITUTE LIMITED 0.05% SANDVIK
ASIA 2% NON CONVERTIBLE CUMULATIVE FULLY
SANDVIK ASIA LIMITED 2% PREF FV RS.10ANUPAM
INDUSTRIES 0.01% CUMULATIVE CONVERTIBLE REDEEMABLE
ANUPAM INDUSTRIES LIMITED 0.01 PREF 15FB30ASIAN SKY
SHOP 15% NON CONVERTIBLE CUMULATIVE REDEEMABLE
ASIAN SKY SHOP LIMITED 15% PREF 25MR35MAHARASHT
RA 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
MAHARASHTRA SEAMLESS LIMITED 10 URVASHI
FINVEST 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
URVASHI FINVEST PRIVATE LIMITED 8% PREF URVASHI
FINVEST 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
URVASHI FINVEST PRIVATE LIMITED 8% PREF URVASHI
FINVEST 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
URVASHI FINVEST PRIVATE LIMITED 8% PREF GUPTA
FINCAPS 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
GUPTA FINCAPS PRIVATE LIMITED 8% PREF 29JL17GUPTA
FINCAPS 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
GUPTA FINCAPS PRIVATE LIMITED 8% PREF 04MR22N.N.
FINANCIAL 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
N.N. FINANCIAL SERVICES PRIVATE LIMITED 8% PREF POWER2SME
PRIVATE 0.1% SERIES D3 COMPULSROY CONVERTIBLE CUMULATIVE
POWER2SME PRIVATE LIMITED 0.1% SERIES D3 POWER2SME
PRIVATE 0.1% SERIES D2 COMPULSROY CONVERTIBLE CUMULATIVE
POWER2SME PRIVATE LIMITED 0.1% SERIES D2 POWER2SME
PRIVATE 0.1% SERIES D1 COMPULSROY CONVERTIBLE CUMULATIVE
POWER2SME PRIVATE LIMITED 0.1% SERIES D1 POWER2SME
PRIVATE 0.1% SERIES D COMPULSROY CONVERTIBLE CUMULATIVE
POWER2SME PRIVATE LIMITED 0.1% SERIES D POWER2SME
PRIVATE 0.1% CSERIES C OMPULSROY CONVERTIBLE CUMULATIVE
POWER2SME PRIVATE LIMITED 0.1% SERIES C
![Page 25: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/25.jpg)
1152 INE174X03062
1153 INE174X03070
1154 INE174X03088
1155 INE608X04018
1156 INE417T03030
1157 INE916R04074
1158 INE957X03011
1159 INE696Z04018
1160 INE696Z04026
1161 INE696Z04034
1162 INE585J04017
1163 INE192M03018
1164 INE028X03011
1165 INE028X03029
1166 INE028X03037
1167 INE351U03013
1168 INE148O03065
1169 INE148O03073
1170 INE148O03081
1171 INE930V03012
1172 INE930V03020
1173 INE702V03015
1174 INE702V03023
1175 INE683V04015
1176 INE780F04012
1177 INE452V03017
1178 INE452V03025
1179 INE452V03033
1180 INE452V03041
1181 INE452V03058
1182 INE452V03066
1183 INE033V03015
1184 INE033V03023
1185 INE033V03031
1186 INE033V03049
1187 INE033V03080
1188 INE033V03056
1189 INE033V03064
1190 INE033V03072
1191 INE888R04018
1192 INE888R04026
1193 INE216S04218
1194 INE216S04226
1195 INE075R04012
1196 INE749L03017
1197 INE216S04010
1198 INE216S04028
1199 INE216S04036
POWER2SME PRIVATE
0.1% SERIES B COMPULSROY CONVERTIBLE CUMULATIVE
POWER2SME PRIVATE LIMITED 0.1% SERIES B POWER2SME
PRIVATE 0.1% SERIS A COMPULSROY CONVERTIBLE CUMULATIVE
POWER2SME PRIVATE LIMITED 0.1% SERIES A POWER2SME
PRIVATE 0.1% SERIES E COMPULSROY CONVERTIBLE CUMULATIVE
POWER2SME PRIVATE LIMITED 0.1% SERIES E JSPL LIFE
SCIENCE 9 % NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
JSPL LIFE SCIENCE SERVICES AND HOLDINGS ETECHACES
MARKETING 0.1% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
ETECHACES MARKETING AND CONSULTING JUBILANT
CONSUMER 7% NON CONVERTIBLE CUMULATIVE FULLY
JUBILANT CONSUMER PRIVATE LIMITED 7% PREF OM
LOGISTICS COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
OM LOGISTICS LIMITED PREF 30SP17MAGIC EYE
DEVELOPERNON CONVERTIBLE NON CUMULATIVE REDEEMABLE
MAGIC EYE DEVELOPERS PRIVATE LIMITED PREF MAGIC EYE
DEVELOPER0.001% SERIES A NON CONVERTIBLE CUMULATIVE
MAGIC EYE DEVELOPERS PRIVATE LIMITED 0.001% MAGIC EYE
DEVELOPER0.001% SERIES C NON CONVERTIBLE CUMULATIVE
MAGIC EYE DEVELOPERS PRIVATE LIMITED 0.001% VAYAM
TECHNOLOGNON CONVERTIBLE NON CUMULATIVE FULLY
VAYAM TECHNOLOGIES LIMITED PREF 17OCT27SHAPOORJI
PALLONJI 2% COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
SHAPOORJI PALLONJI INFRASTRUCTURE NIMBUS
PROPMART 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
NIMBUS PROPMART PRIVATE LIMITED 8% PREF NIMBUS
PROPMART 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
NIMBUS PROPMART PRIVATE LIMITED 8% PREF NIMBUS
PROPMART 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
NIMBUS PROPMART PRIVATE LIMITED 8% PREF SUNSHINE
TEAHOUSE 0.001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
SUNSHINE TEAHOUSE PRIVATE LIMITED 0.001% DELHIVERY
PRIVATE SERIES D1 FULLY CONVERTIBLE CUMULATIVE PREFERENCE
DELHIVERY PRIVATE LIMITED SERIES D1 PREF DELHIVERY
PRIVATE SERIES E COMPULSORY CONVERTIBLE CUMULATIVE
DELHIVERY PRIVATE LIMITED SERIES E PREF DELHIVERY
PRIVATE SERIES E COMPULSORY CONVERTIBLE CUMULATIVE
DELHIVERY PRIVATE LIMITED SERIES E PREF ANNIKA
PROMOTERS RESET RATE OPTIONALLY CONVERTIBLE NON
ANNIKA PROMOTERS PRIVATE LIMITED RR PREF ANNIKA
PROMOTERS RESET RATE OPTIONALLY CONVERTIBLE NON
ANNIKA PROMOTERS PRIVATE LIMITED RR PREF SQUARE
DOTCOM COMPULSORY CONVERTIBLE CUMULATIVE NON
SQUARE DOTCOM PRIVATE LIMITED PREF SQUARE
DOTCOM COMPULSORY CONVERTIBLE CUMULATIVE NON
SQUARE DOTCOM PRIVATE LIMITED PREF ABHITECH
DEVELOPER10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
ABHITECH DEVELOPERS PRIVATE LIMITED 10% JUBILANT
SECURITIES 9% NON CONVERTIBLE NON CUMULATIVE FULLY
JUBILANT SECURITIES PVT LTD 9% PREF 18FB33EXIT10
MARKETING 0.001% SERIES A COMPULSORILY CONVERTIBLE CUMULATIVE
EXIT10 MARKETING PRIVATE LIMITED 0.001% EXIT10
MARKETING 0.001% SERIES A COMPULSORILY CONVERTIBLE CUMULATIVE
EXIT10 MARKETING PRIVATE LIMITED 0.001% EXIT10
MARKETING 0.001% SERIES B COMPULSORILY CONVERTIBLE CUMULATIVE
EXIT10 MARKETING PRIVATE LIMITED 0.001% EXIT10
MARKETING 0.001% SERIES B COMPULSORILY CONVERTIBLE CUMULATIVE
EXIT10 MARKETING PRIVATE LIMITED 0.001% EXIT10
MARKETING 0.001% SERIES B1 COMPULSORILY CONVERTIBLE
EXIT10 MARKETING PRIVATE LIMITED 0.001% EXIT10
MARKETING 0.001% SERIES B1 COMPULSORILY CONVERTIBLE
EXIT10 MARKETING PRIVATE LIMITED 0.001% LEIXIR
RESOURCES 0.01% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
LEIXIR RESOURCES PRIVATE LIMITED 0.01% LEIXIR
RESOURCES 0.01% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
LEIXIR RESOURCES PRIVATE LIMITED 0.01% LEIXIR
RESOURCES 0.01% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
LEIXIR RESOURCES PRIVATE LIMITED 0.01% LEIXIR
RESOURCES 0.01% SERIES C COMPULSORY CONVERTIBLE CUMULATIVE
LEIXIR RESOURCES PRIVATE LIMITED 0.01% LEIXIR
RESOURCES 0.01% SERIES E & E1 COMPULSORY CONVERTIBLE
LEIXIR RESOURCES PRIVATE LIMITED 0.01% LEIXIR
RESOURCES 0.01% SERIES D COMPULSORY CONVERTIBLE CUMULATIVE
LEIXIR RESOURCES PRIVATE LIMITED 0.01% LEIXIR
RESOURCES 0.01% SERIES E COMPULSORY CONVERTIBLE CUMULATIVE
LEIXIR RESOURCES PRIVATE LIMITED 0.01% LEIXIR
RESOURCES 0.01% SERIES E1 COMPULSORY CONVERTIBLE CUMULATIVE
LEIXIR RESOURCES PRIVATE LIMITED 0.01% JUBILANT
MOTORWORNON CONVERTIBLE NON CUMULATIVE FULLY
JUBILANT MOTORWORKS PRIVATE LIMITED PREF JUBILANT
MOTORWORNON CONVERTIBLE NON CUMULATIVE FULLY
JUBILANT MOTORWORKS PRIVATE LIMITED PREF CREDFORCE
ASIA 11.50% OFFER A NON CONVERTIBLE NON
CREDFORCE ASIA LIMITED 11.50% OFFER A PREF CREDFORCE
ASIA 11.50% OFFER A NON CONVERTIBLE NON
CREDFORCE ASIA LIMITED 11.50% OFFER A PREF ARTEMIS
HEALTH 11% NON CONVERTIBLE NON CUMULATIVE FULLY
ARTEMIS HEALTH SCIENCES LIMITED 11% BAJAJ
INFRASTRUCOPTIONALLY CONVERTIBLE PREFERENCE SHARES WITH
BAJAJ INFRASTRUCTURE DEVELOPMENT COMPANY CREDFORCE
ASIA NON CONVERTIBLE CUMULATIVE REDEEMABLE
CREDFORCE ASIA LIMITED PREF 12FB18CREDFORCE
ASIA NON CONVERTIBLE CUMULATIVE REDEEMABLE
CREDFORCE ASIA LIMITED PREF 12FB21CREDFORCE
ASIA 12.25% NON CONVERTIBLE CUMULATIVE REDEEMABLE
CREDFORCE ASIA LIMITED 12.25% PREF 30MR21
![Page 26: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/26.jpg)
1200 INE216S04044
1201 INE216S04051
1202 INE216S04069
1203 INE216S04119
1204 INE216S04127
1205 INE216S04135
1206 INE216S04143
1207 INE216S04150
1208 INE216S04168
1209 INE216S04176
1210 INE047G04014
1211 INE833J03013
1212 INE833J03021
1213 INE033Q03015
1214 INE224T03014
1215 INE539M04059
1216 INE985M03015
1217 INE985M03023
1218 INE985M04013
1219 INE985M04021
1220 INE985M04039
1221 INE985M04047
1222 INE985M04054
1223 INE985M04062
1224 INE878J04016
1225 INE878J04024
1226 INE748L03027
1227 INE197O04011
1228 INE197O04029
1229 INE197O04037
1230 INE148O03016
1231 INE148O03024
1232 INE148O03032
1233 INE148O03040
1234 INE148O03057
1235 INE493F04012
1236 INE216S04200
1237 INE216S04234
1238 INE216S04242
1239 INE687S04012
1240 INE979Q03019
1241 INE979Q03027
1242 INE186K04012
1243 INE216S04077
1244 INE216S04085
1245 INE216S04093
1246 INE216S04101
1247 INE216S04184
CREDFORCE ASIA
12.25% NON CONVERTIBLE CUMULATIVE REDEEMABLE
CREDFORCE ASIA LIMITED 12.25% PREF 30MR18CREDFORCE
ASIA 12.25% NON CONVERTIBLE CUMULATIVE FULLY
CREDFORCE ASIA LIMITED 12.25% PREF 29JU21CREDFORCE
ASIA 12.25% NON CONVERTIBLE CUMULATIVE FULLY
CREDFORCE ASIA LIMITED 12.25% PREF 29JU18CREDFORCE
ASIA 12.25% OFFER A NON CONVERTIBLE CUMULATIVE
CREDFORCE ASIA LIMITED 12.25% OFFER A PREF CREDFORCE
ASIA 12.25% OFFER B NON CONVERTIBLE CUMULATIVE
CREDFORCE ASIA LIMITED 12.25% OFFER B PREF CREDFORCE
ASIA 12.25% OFFER C NON CONVERTIBLE NON
CREDFORCE ASIA LIMITED 12.25% OFFER C PREF CREDFORCE
ASIA 12.25% OFFER B NON CONVERTIBLE CUMULATIVE
CREDFORCE ASIA LIMITED 12.25% OFFER B PREF CREDFORCE
ASIA 12.25% OFFER A NON CONVERTIBLE CUMULATIVE
CREDFORCE ASIA LIMITED 12.25% PREF OFFER A CREDFORCE
ASIA 12.25% OFFER A NON CONVERTIBLE CUMULATIVE
CREDFORCE ASIA LIMITED 12.25% OFFER A PREF CREDFORCE
ASIA 12.25% OFFER B NON CONVERTIBLE NON
CREDFORCE ASIA LIMITED 12.25% OFFER B PREF INDIAN
COUNTRY NON CONVERTIBLE NON CUMULATIVE FULLY
INDIAN COUNTRY HOMES PRIVATE LIMITED PREF CARNATION
AUTO INDIA COMPULSORY CONVERTIBLE PREFERENCE SHARES WITH
CARNATION AUTO INDIA PRIVATE LTD PREF 20OT18CARNATION
AUTO INDIA OPTIONALLY CONVERTIBLE PREFERENCE SHARES WITH
CARNATION AUTO INDIA PRIVATE LTD OPPREF RASHI STEEL
AND POWER 10% OPTIONALLY CONVERTIBLE CUMULATIVE FULLY
RASHI STEEL AND POWER LTD 10% PREF 06AG16SWASTIK
ROADLINES 0.001% COMPULSORILY CONVERTIBLE NON
SWASTIK ROADLINES PRIVATE LIMITED 0.001% A2Z GREEN
WASTE 0.01% NON CONVERTIBLE CUMULATIVE FULLY
A2Z GREEN WASTE MANAGEMENT LIMITED MOSER
BAER PHOTO 9% OPTIONALLY CONVERTIBLE, CUMULATIVE, REDEEMABALE
MOSER BAER PHOTO VOLTAIC LIMITED 9% MOSER
BAER PHOTO 9% OPTIONALLY CONVERTIBLE, CUMULATIVE, REDEEMABALE
MOSER BAER PHOTO VOLTAIC LIMITED 9% MOSER
BAER PHOTO 9% NON CONVERTIBLE, CUMULATIVE, FULLY
MOSER BAER PHOTO VOLTAIC LIMITED 9% MOSER
BAER PHOTO 9% NON CONVERTIBLE, CUMULATIVE, FULLY
MOSER BAER PHOTO VOLTAIC LIMITED 9% MOSER
BAER PHOTO 9% NON CONVERTIBLE, CUMULATIVE, FULLY
MOSER BAER PHOTO VOLTAIC LIMITED 9% MOSER
BAER PHOTO 9% NON CONVERTIBLE, CUMULATIVE, FULLY
MOSER BAER PHOTO VOLTAIC LIMITED 9% MOSER
BAER PHOTO NON CONVERTIBLE, NON-CUMULATIVE, FULLY
MOSER BAER PHOTO VOLTAIC LIMITED PREF MOSER
BAER PHOTO NON CONVERTIBLE, NON-CUMULATIVE, FULLY
MOSER BAER PHOTO VOLTAIC LIMITED PREF MOSER
BAER SOLAR NON CONVERTIBLE NON CUMULATIVE FULLY
MOSER BAER SOLAR LIMITED PREF 30MR30MOSER
BAER SOLAR NON CONVERTIBLE NON CUMULATIVE FULLY
MOSER BAER SOLAR LIMITED PREF 25MR30TRN ENERGY
PRIVATE 0.01% COMPULSORY CONVERTIBLE NON
TRN ENERGY PRIVATE LIMITED 0.01% PREF WEENSURE E
WASTE 0.01% NON CONVERTIBLE CUMULATIVE FULLY
WEENSURE E WASTE LIMITED 0.01% PREF WEENSURE E
WASTE 0.01% NON CONVERTIBLE CUMULATIVE FULLY
WEENSURE E WASTE LIMITED 0.01% PREF 18JL27WEENSURE E
WASTE 0.01% NON CONVERTIBLE CUMULATIVE FULLY
WEENSURE E WASTE LIMITED 0.01% PREF DELHIVERY
PRIVATE 0.001% SERIES A TRENCH I FULLY CONVERTIBLE
DELHIVERY PRIVATE LIMITED 0.001% SERIES A DELHIVERY
PRIVATE 0.001% SERIES A TRENCH II FULLY CONVERTIBLE
DELHIVERY PRIVATE LIMITED 0.001% SERIES A DELHIVERY
PRIVATE 0.001% SERIES B FULLY CONVERTIBLE CUMULATIVE
DELHIVERY PRIVATE LIMITED 0.001% SERIES B DELHIVERY
PRIVATE 0.001% SERIES C FULLY CONVERTIBLE CUMULATIVE
DELHIVERY PRIVATE LIMITED 0.001% SERIES C DELHIVERY
PRIVATE 0.001% SERIES D FULLY CONVERTIBLE CUMULATIVE
DELHIVERY PRIVATE LIMITED 0.001% SERIES D TATA
POWER 12% NON CONVERTIBLE CUMULATIVE, FULLY
TATA POWER DELHI DISTRIBUTION LIMITED CREDFORCE
ASIA 11.50% OFFER A NON CONVERTIBLE NON
CREDFORCE ASIA LIMITED 11.50% OFFER A PREF CREDFORCE
ASIA 11% NON CONVERTIBLE NON CUMULATIVE FULLY
CREDFORCE ASIA LIMITED 11% OFFER A PREF 30MR20CREDFORCE
ASIA 10.50% OFFER A NON CONVERTIBLE NON
CREDFORCE ASIA LIMITED 10.50% OFFER A PREF LAMBODAR
STOCKS 10% NON CONVERTIBLE NON CUMULATIVE FULLY
LAMBODAR STOCKS PRIVATE LIMITED 10% IPROF
LEARNING 8% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
IPROF LEARNING SOLUTIONS INDIA IPROF
LEARNING 6% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
IPROF LEARNING SOLUTIONS INDIA DLF CYBER
CITY 10% NON CONVERTIBLE CUMULATIVE FULLY
DLF CYBER CITY DEVELOPERS LTD 10% CREDFORCE
ASIA 12.25% NON CONVERTIBLE CUMULATIVE REDEEMABLE
CREDFORCE ASIA LIMITED 12.25% PREF A 29JU18CREDFORCE
ASIA 12.25% NON CONVERTIBLE CUMULATIVE REDEEMABLE
CREDFORCE ASIA LIMITED 12.25% PREF B 29JU21CREDFORCE
ASIA 12.25% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
CREDFORCE ASIA LIMITED 12.25% PREF C 29JU18CREDFORCE
ASIA 12.25% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
CREDFORCE ASIA LIMITED 12.25% PREF D 29JU21CREDFORCE
ASIA 12.25% OFFER B NON CONVERTIBLE NON
CREDFORCE ASIA LIMITED 12.25% OFFER B PREF
![Page 27: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/27.jpg)
1248 INE216S04192
1249 INE234Q03019
1250 INE234Q03027
1251 INE234Q03035
1252 INE704R03019
1253 INE032L04016
1254 INE693M03015
1255 INE172M03036
1256 INE878J04032
1257 INE214N04016
1258 INE214N04024
1259 INE214N04032
1260 INE064N03017
1261 INE064N03025
1262 INE054K04012
1263 INE748L04017
1264 INE186K03055
1265 INE064A04020
1266 INE064A04012
1267 INE115M04017
1268 INE093B04027
1269 INE093B04035
1270 INE093B04019
1271 INE698M03030
1272 INE698M03048
1273 INE698M03055
1274 INE539M04018
1275 INE539M04026
1276 INE539M04034
1277 INE539M04042
1278 INE172M03010
1279 INE485M03016
1280 IN9833J03011
1281 INE125K04036
1282 INE996N04018
1283 INE996N04026
1284 INE125K04010
1285 INE125K04028
1286 INE125K04044
1287 INE186K04020
1288 INE116L03019
1289 INE185M03020
1290 INE185M03038
1291 INE170M03022
1292 INE093B04043
1293 INE878L03014
1294 INE878L03022
1295 INE878L03030
CREDFORCE ASIA
12.25% OFFER A NON CONVERTIBLE CUMULATIVE
CREDFORCE ASIA LIMITED 12.25% OFFER A PREF PLG
PHOTOVOLTCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
PLG PHOTOVOLTAIC LIMITED PREF 14JL17PLG
PHOTOVOLTCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
PLG PHOTOVOLTAIC LIMITED PREF 24JL17PLG
PHOTOVOLTCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
PLG PHOTOVOLTAIC LIMITED PREF 27JL17PARIJAT
INDUSTRIES 0.01% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
PARIJAT INDUSTRIES (INDIA) PRIVATE LIMITED JAYPEE
CEMENT NON CONVERTIBLE NON CUMULATIVE FULLY
JAYPEE CEMENT CORPORATION LIMITED JAYPEE
FERTILIZERS 11% COMPULSORY NON CONVERTIBLE CUMULATIVE
JAYPEE FERTILIZERS & INDUSTRIES LIMITED 11% SHAPOORJI
PALLONJI 2% COMPULSORY CONVERTIBLE, NON-
SHAPOORJI PALLONJI ROADS PRIVATE LIMITED MOSER
BAER SOLAR NON CONVERTIBLE NON CUMULATIVE FULLY
MOSER BAER SOLAR LIMITED PREF 27DC31RIVERIA
COMMERCIA0.01% NON CONVERTIBLE, CUMULATIVE, FULLY
RIVERIA COMMERCIAL DEVELOPERS LIMITED RIVERIA
COMMERCIA0.01% NON CONVERTIBLE, CUMULATIVE, FULLY
RIVERIA COMMERCIAL DEVELOPERS LIMITED RIVERIA
COMMERCIA0.01% NON CONVERTIBLE, CUMULATIVE, FULLY
RIVERIA COMMERCIAL DEVELOPERS LIMITED SARLA
HOLDINGS FULLY CONVERTIBLE, NON CUMULATIVE,PREFERENCE
SARLA HOLDINGS PRIVATE LIMITED 0% PREF SARLA
HOLDINGS FULLY CONVERTIBLE, NON CUMULATIVE,PREFERENCE
SARLA HOLDINGS PRIVATE LIMITED PREF HIMALYAN
EXPRESSWA11% NON CONVERTIBLE CUMULATIVE REDEEMABLE
HIMALYAN EXPRESSWAY LIMITED 11% PREF 04DC22TRN ENERGY
PRIVATE 0.01% SERIES I NON CONVERTIBLE NON
TRN ENERGY PRIVATE LIMITED 0.01% PREF DLF CYBER
CITY 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
DLF CYBER CITY DEVELOPERS LTD 0.01% TIMEX
GROUP 2.9 % NON CONVERTIBLE CUMULATIVE REDEEMABLE
TIMEX GROUP INDIA LIMITED 2.9 PREF 26032014TIMEX
GROUP 0.1 % NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TIMEX GROUP INDIA LIMITED 0.1 PREF 24032013JAYPEE
AGRA VIKAS 12% NON CONVERTIBLE NON CUMULATIVE FULLY
JAYPEE AGRA VIKAS LIMITED 12% PREF 27MR33ALPS
INDUSTRIES 1 % CATEOGRY D - NON CONVERTIBE, CUMULATIVE,
ALPS INDUSTRIES LIMITED 1% CATEGORY D PREF ALPS
INDUSTRIES 6 % CATEOGRY A - NON CONVERTIBE, CUMULATIVE,
ALPS INDUSTRIES LIMITED 6% CATEGORY A PREF ALPS
INDUSTRIES 1 % CATEOGRY C - NON CONVERTIBE, CUMULATIVE,
ALPS INDUSTRIES LIMITED 1% PREF CATEGORY C KANPUR
FERTILIZERS 11% CONVERTIBLE NON REDEEMABLE NON
KANPUR FERTILIZERS & CEMENT LIMITED 11% KANPUR
FERTILIZERS 11% COMPULSORY CONVERTIBLE NON
KANPUR FERTILIZERS & CEMENT LIMITED 11% KANPUR
FERTILIZERS 11% COMPULSORY CONVERTIBLE NON
KANPUR FERTILIZERS & CEMENT LIMITED 11% A2Z GREEN
WASTE 0.01% NON CONVERTIBLE CUMULATIVE REDEEMABLE
A2Z GREEN WASTE MANAGEMENT LIMITED A2Z GREEN
WASTE 0.01% NON CONVERTIBLE CUMULATIVE REDEEMABLE
A2Z GREEN WASTE MANAGEMENT LIMITED A2Z GREEN
WASTE 0.01% NON CONVERTIBLE CUMULATIVE REDEEMABLE
A2Z GREEN WASTE MANAGEMENT LIMITED A2Z GREEN
WASTE 0.01% NON CONVERTIBLE CUMULATIVE FULLY
A2Z GREEN WASTE MANAGEMENT LIMITED SHAPOORJI
PALLONJI 2% FULLY CONVERTIBLE, NON CUMULATIVE, NON
SHAPOORJI PALLONJI ROADS PRIVATE LIMITED SP PORTS
PRIVATE 2% COMPULSORY CONVERTIBLE, NON
SP PORTS PRIVATE LIMITED 2% PREF 27MR22CARNATION
AUTO INDIA 0.01% PARTLY PAID UP FULLY CONVERTIBLE CUMULATIVE
CARNATION AUTO INDIA PRIVATE LTD 0.01 PREF PP ACTION
ISPAT & NON CONVERTIBLE, NON CUMULATIVE FULLY
ACTION ISPAT & POWER PRIVATE LTD. PREF RICHMOND
PARK 12% NON CONVERTIBLE NON CUMULATIVE FULLY
RICHMOND PARK PROPERTY MANAGEMENT RICHMOND
PARK 9% NON CONVERTIBLE NON CUMULATIVE FULLY
RICHMOND PARK PROPERTY MANAGEMENT ACTION
ISPAT & NON CONVERTIBLE, NON CUMULATIVE FULLY
ACTION ISPAT & POWER PRIVATE LTD. PREF 21SP25ACTION
ISPAT & NON CONVERTIBLE, NON CUMULATIVE FULLY
ACTION ISPAT & POWER PRIVATE LTD. PREF 09OT25ACTION
ISPAT & NON CONVERTIBLE, NON CUMULATIVE FULLY
ACTION ISPAT & POWER PRIVATE LTD. PREF DLF CYBER
CITY 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
DLF CYBER CITY DEVELOPERS LTD 0.01% TOWER
PROMOTERS 9 % OPTIONALLY CONVERTIBLE, NON CUMULATIVE, FULLY
TOWER PROMOTERS PRIVATE LIMITED 9 PREF SIMAR PORT
PRIVATE 2% COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
SIMAR PORT PRIVATE LIMITED 2% PREF 28AP30SIMAR PORT
PRIVATE 2% COMPULSORY CONVERTIBLE, NON-
SIMAR PORT PRIVATE LIMITED 2% PREF 27MR27SHAPOORJI
PALLONJI 2% COMPULSORY CONVERTIBLE, NON-
SHAPOORJI PALLONJI ENERGY (GUJARAT) PVT ALPS
INDUSTRIES 6 % CATEGORY B - NON CONVERTIBLE, CUMULATIVE,
ALPS INDUSTRIES LIMITED 6% CATEGORY B PREF PRAYAGRAJ
POWER 11% OPTIONALLY CONVERTIBLE NON CUMULATIVE
PRAYAGRAJ POWER GENERATION COMPANY PRAYAGRAJ
POWER 11% OPTIONALLY CONVERTIBLE NON CUMULATIVE
PRAYAGRAJ POWER GENERATION COMPANY PRAYAGRAJ
POWER 11% OPTIONALLY CONVERTIBLE NON CUMULATIVE
PRAYAGRAJ POWER GENERATION COMPANY
![Page 28: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/28.jpg)
1296 INE698M03022
1297 INE698M03063
1298 INE696M03018
1299 INE670M04011
1300 INE925I04033
1301 INE875B04019
1302 INE875B04027
1303 INE875B04035
1304 INE875B04043
1305 INE875B04050
1306 INE878J03026
1307 INE925I04025
1308 INE878J03018
1309 INE256C04028
1310 INE016K04011
1311 INE778F04016
1312 INE778F04024
1313 INE186G04010
1314 INE925I04017
1315 INE485M03032
1316 INE350U03015
1317 INE868Q03014
1318 INE868Q03022
1319 INE909H03015
1320 INE809R03016
1321 INE809R03032
1322 INE809R03024
1323 INE895C04015
1324 INE868Q03030
1325 INE769H03047
1326 INE976I04028
1327 INE976I04036
1328 INE976I04044
1329 INE976I04051
1330 INE976I04069
1331 INE976I04093
1332 INE976I04101
1333 INE976I04135
1334 INE976I04143
1335 INE976I04150
1336 INE895C04023
1337 INE814J04011
1338 INE517B04017
1339 INE976I04176
1340 INE976I04192
1341 INE976I04226
1342 INE976I04234
1343 INE976I04242
KANPUR FERTILIZERS
11% CONVERTIBLE NON REDEEMABLE NON
KANPUR FERTILIZERS & CEMENT LIMITED 11% KANPUR
FERTILIZERS 11% COMPULSORY CONVERTIBLE NON
KANPUR FERTILIZERS & CEMENT LIMITED 11% JAYPEE
UTTAR 11% COMPULSORY CONVERTIBLE NON
JAYPEE UTTAR BHARAT VIKAS PRIVATE LIMITED JAYPEE
SPORTS 12% NON CONVERTIBLE NON CUMULATIVE FULLY
JAYPEE SPORTS INTERNATIONAL LIMITED S C JOHNSON
PRODUCTS 8 % FULLY REEDEMABLE NON CUMULATIVE PREFERENCE
S C JOHNSON PRODUCTS PVT. LTD. 8 PREF. 25MY25NIMBUS
PROJECTS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
NIMBUS PROJECTS LIMITED 8% PREF 07JN28NIMBUS
PROJECTS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
NIMBUS PROJECTS LIMITED 8% PREF 11JN28NIMBUS
PROJECTS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
NIMBUS PROJECTS LIMITED 8% PREF 01MR28NIMBUS
PROJECTS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
NIMBUS PROJECTS LIMITED 8% PREF 29MR28NIMBUS
PROJECTS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
NIMBUS PROJECTS LIMITED 8% PREF 19AP28MOSER
BAER SOLAR FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
MOSER BAER SOLAR LIMITED PREF 31DEC2099S C JOHNSON
PRODUCTS 8 % FULLY REEDEMABLE NON CUMULATIVE PREFERENCE
S C JOHNSON PRODUCTS PVT. LTD. 8% PREF. 28OT23MOSER
BAER SOLAR FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
MOSER BAER SOLAR LIMITED PREF 31DEC2099TRIVENI
ENGINEERIN12 % NON CONVERTIBLE CUMULATIVE PREFERENCE
TRIVENI ENGINEERING & INDUSTRIES LTD 12% PREF PAN PARAG
INDIA 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
PAN PARAG INDIA LIMITED 6 PREF 15MR12JUBILANT
CAPITAL 9% NON CONVERTIBLE, NON CUMULATIVE REDEEMABLE
JUBILANT CAPITAL PRIVATE LTD 9% PREF JUBILANT
CAPITAL 9% NON CONVERTIBLE, NON CUMULATIVE REDEEMABLE
JUBILANT CAPITAL PRIVATE LTD 9% PREF JAYPEE
VENTURES 14 % NON CUMULATIVE NON CONVERTIBLE REDEEMABLE
JAYPEE VENTURES LIMITED 14% PREF 130611S C JOHNSON
PRODUCTS 8 % FULLY REEDEMABLE NON CUMULATIVE PREFERENCE
S C JOHNSON PRODUCTS PVT. LTD. 8% PREF 25MR23SP PORTS
PRIVATE 2% COMPULSORY CONVERTIBLE, NON
SP PORTS PRIVATE LIMITED 2% PREF 23AP30HANSA
CUSTOMER 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
HANSA CUSTOMER EQUITY PRIVATE LIMITED HUNGAMA.C
OM PRIVATE 0.01% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
HUNGAMA.COM PRIVATE LIMITED 0.01% PREF 11JL32HUNGAMA.C
OM PRIVATE 0.01% FULLY CONVERTIBLE CUMULATIVE FULLY
HUNGAMA.COM PRIVATE LIMITED 0.01% PREF 02JL34TMF
HOLDINGS 3% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
TMF HOLDINGS LIMITED 3% PREF 02MR23DESTIMONE
Y 1% COMPULSORILY CONVERTIBLE NON
DESTIMONEY ENTERPRISES LIMITED 1 DESTIMONE
Y 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
DESTIMONEY ENTERPRISES LIMITED DESTIMONE
Y 0.01% COMPULSORILY CONVERTIBLE NON
DESTIMONEY ENTERPRISES LIMITED TAYO ROLLS
LIMITED8.50% NON CONVERTIBLE, NON CUMULATIVE, FULLY
TAYO ROLLS LIMITED 8.50% PREF 23MR22HUNGAMA.C
OM PRIVATE 0.01% SERIES C1 FULLY CONVERTIBLE CUMULATIVE
HUNGAMA.COM PRIVATE LIMITED 0.01% SERIES C1 FINANCIAL
SOFTWARE 0.001% FULLY CONVERTIBLE CUMULATIVE NON
FINANCIAL SOFTWARE AND SYSTEMS PRIVATE TATA
CAPITAL 12.50% NON CONVERTIBLE CUMULATIVE FULLY
TATA CAPITAL LIMITED 12.50% PREF 21OT19TATA
CAPITAL 12.50% CUMULATIVE, NON CONVERTIBLE, FULLY
TATA CAPITAL LIMITED 12.50% PREF 09DC19TATA
CAPITAL 12.50% CUMULATIVE, NON CONVERTIBLE, FULLY
TATA CAPITAL LIMITED 12.50% PREF 20JN20TATA
CAPITAL 12.50% CUMULATIVE, NON CONVERTIBLE, FULLY
TATA CAPITAL LIMITED 12.50% PREF 26FB20TATA
CAPITAL 12.50% CUMULATIVE, NON CONVERTIBLE, FULLY
TATA CAPITAL LIMITED 12.50% PREF 27MR20TATA
CAPITAL 8.33% NON CONVERTIBLE, CUMULATIVE,FULLY
TATA CAPITAL LIMITED 8.33% PREF 08JL20TATA
CAPITAL 8.33% NON CONVERTIBLE, CUMULATIVE,FULLY
TATA CAPITAL LIMITED 8.33% PREF 04SP20TATA
CAPITAL 8.33% NON CONVERTIBLE, CUMULATIVE,FULLY
TATA CAPITAL LIMITED 8.33% PREF 18AG21TATA
CAPITAL 8.33% NON CONVERTIBLE, CUMULATIVE,FULLY
TATA CAPITAL LIMITED 8.33% PREF 21AP22TATA
CAPITAL 8.33% NON CONVERTIBLE, CUMULATIVE,FULLY
TATA CAPITAL LIMITED 8.33% PREF 6SP22TAYO ROLLS
LIMITED8.50% NON CONVERTIBLE, NON CUMULATIVE, FULLY
TAYO ROLLS LIMITED 8.50% PREF 27MR24SHAPOORJI
PALLONJI ZERO PERCENT NON CONVERTIBLE NON
SHAPOORJI PALLONJI FORBES SHIPPING LIMITED TATA
TELESERVIC0.1% NON CONVERTIBLE NON CUMULATIVE FULLY
TATA TELESERVICES (MAHARASHTRA) LTD TATA
CAPITAL 7.50% NON CONVERTIBLE, CUMULATIVE, FULLY
TATA CAPITAL LIMITED 7.50% PREF 15SP23TATA
CAPITAL 7.50% NON CONVERTIBLE, CUMULATIVE, FULLY
TATA CAPITAL LIMITED 7.50% PREF 26OT23TATA
CAPITAL 7.50% NON CONVERTIBLE CUMULATIVE FULLY
TATA CAPITAL LIMITED 7.50% PREF 11JL24TATA
CAPITAL 7.50% NON CONVERTIBLE CUMULATIVE FULLY
TATA CAPITAL LIMITED 7.50% PREF 25JL24TATA
CAPITAL 7.33% CRPS /X/2017-18 NON CONVERTIBLE CUMULATIVE
TATA CAPITAL LIMITED 7.33% SERIES X PREF
![Page 29: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/29.jpg)
1344 INE976I04259
1345 INE976I04267
1346 INE976I04275
1347 INE976I04283
1348 INE097C04018
1349 INE097C04026
1350 INE097C04034
1351 INE976I04184
1352 INE976I04218
1353 INE097C04042
1354 INE097C04059
1355 INE097C04067
1356 INE976I04168
1357 INE976I04200
1358 INE976I04291
1359 INE676F04020
1360 INE079D04014
1361 INE995G04014
1362 INE734E03022
1363 INE976I04010
1364 INE266J03016
1365 INE167M04018
1366 INE167M04026
1367 INE167M04034
1368 INE167M04042
1369 INE167M04059
1370 INE167M04067
1371 INE167M03010
1372 INE167M03028
1373 INE167M03036
1374 INE378R03012
1375 INE684N04010
1376 INE058M03011
1377 INE168M03026
1378 INE188W03023
1379 INE064Z03029
1380 INE064Z03037
1381 INE619Y03015
1382 INE882Y03019
1383 INE882Y03027
1384 INE882Y03035
1385 INE882Y03043
1386 INE882Y03050
1387 INE665Y03018
1388 INE434U03025
1389 INE868V03022
1390 INE188W03064
1391 INE449T03033
TATA CAPITAL
7.33% CRPS /Y/2017-18 NON CONVERTIBLE CUMULATIVE
TATA CAPITAL LIMITED 7.33% SERIES Y PREF TATA
CAPITAL 7.15% CRPS /Z/2017-18 NON CONVERTIBLE CUMULATIVE
TATA CAPITAL LIMITED 7.15% SERIES Z PREF TATA
CAPITAL 7.10% CRPS /AA/2017-18 NON CONVERTIBLE CUMULATIVE
TATA CAPITAL LIMITED 7.10% SERIES AA PREF TATA
CAPITAL 7.10% CRPS /AB/2018-19 NON CONVERTIBLE CUMULATIVE
TATA CAPITAL LIMITED 7.10% SERIES AB PREF TATA
ADVANCED 8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TATA ADVANCED MATERIALS LIMITED 8% TATA
ADVANCED 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TATA ADVANCED MATERIALS LIMITED 6% TATA
ADVANCED 8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TATA ADVANCED MATERIALS LIMITED 8% TATA
CAPITAL 7.50% NON CONVERTIBLE, CUMULATIVE, FULLY
TATA CAPITAL LIMITED 7.50% PREF 06OT23TATA
CAPITAL 7.50% NON CONVERTIBLE CUMULATIVE FULLY
TATA CAPITAL LIMITED 7.50% PREF 06JL24TATA
ADVANCED 8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TATA ADVANCED MATERIALS LIMITED 8% TATA
ADVANCED 8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TATA ADVANCED MATERIALS LIMITED 8% TATA
ADVANCED 8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
TATA ADVANCED MATERIALS LIMITED 8% TATA
CAPITAL 7.50% NON CONVERTIBLE, CUMULATIVE FULLY
TATA CAPITAL LIMITED 7.50% PREF 01SP23TATA
CAPITAL 7.50% NON CONVERTIBLE CUMULATIVE FULLY
TATA CAPITAL LIMITED 7.50% PREF 09MR24TATA
CAPITAL 7.10% CRPS/AC/2018-19 NON CONVERTIBLE CUMULATIVE
TATA CAPITAL LIMITED 7.10% SERIES AC PREF NANDI
INFRASTRUC7% PREF SHARES WITH FACE VALUE AND PAID UP VALUE
NANDI INFRASTRUCTURE CORRIDOR ENTERPRISES SANDVIK
STEEL ASIA CUMULATIVE NON CONVERTIBLE PREFERENCE
SANDVIK STEEL ASIA PRIVATE LIMITED PREF HSBC
SECURITIES 9 % NON CONVERTIBLE NON CUMULATIVE FULLY
HSBC SECURITIES AND CAPITAL MARKETS MICROLAND
LTD0.01 % SERIES A OPTIONALLY CONVERTIBLE CUMULATIVE
MICROLAND LTD 0.01% SERIES A PREF 31MR19TATA
CAPITAL 12.50% NON CONVERTIBLE CUMULATIVE FULLY
TATA CAPITAL LIMITED 12.50% PREF 09AG19LEARNING
MATE OPTIONALLY CONVERTIBLE CUMULATIVE PREFERENCE
LEARNING MATE SOLUTIONS PRIVATE TATA
COMMUNICA12% NON CONVERTIBLE CUMULATIVE FULLY
TATA COMMUNICATIONS PAYMENT SOLUTIONS TATA
COMMUNICA12% NON CONVERTIBLE CUMULATIVE FULLY
TATA COMMUNICATIONS PAYMENT SOLUTIONS TATA
COMMUNICA12% NON CONVERTIBLE CUMULATIVE FULLY
TATA COMMUNICATIONS PAYMENT SOLUTIONS TATA
COMMUNICA12% NON CONVERTIBLE CUMULATIVE FULLY
TATA COMMUNICATIONS PAYMENT SOLUTIONS TATA
COMMUNICA12% NON CONVERTIBLE CUMULATIVE FULLY
TATA COMMUNICATIONS PAYMENT SOLUTIONS TATA
COMMUNICA12% NON CONVERTIBLE CUMULATIVE FULLY
TATA COMMUNICATIONS PAYMENT SOLUTIONS TATA
COMMUNICA12% CONVERTIBLE CUMULATIVE REDEEMABLE
TATA COMMUNICATIONS PAYMENT SOLUTIONS TATA
COMMUNICA12% CONVERTIBLE NON CUMULATIVE PREFERENCE
TATA COMMUNICATIONS PAYMENT SOLUTIONS TATA
COMMUNICA12% CONVERTIBLE NON CUMULATIVE PREFERENCE
TATA COMMUNICATIONS PAYMENT SOLUTIONS UNITED
SEAMLESS COMPULSORY CONVERTIBLE CUMULATIVE NON
UNITED SEAMLESS TUBULAAR PRIVATE M.M.S.
STEEL & 13% NON CONVERTIBLE NON CUMULATIVE FULLY
M.M.S. STEEL & POWER PRIVATE LIMITED 13% KVK
ENERGY 0.001% FULLY CONVERTIBLE, NON CUMULATIVE PREFERENCE
KVK ENERGY VENTURES PRIVATE LIMITED 0.001% NAGAI
POWER COMPULSORY CONVERTIBLE, NON CUMULATIVE PREFERENCE
NAGAI POWER PRIVATE LIMITED PREF 30MR2663IDEAS
INFOLABS 0.01% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
63IDEAS INFOLABS PRIVATE LIMITED 0.01% AD2PRO
MEDIA 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
AD2PRO MEDIA SOLUTIONS PRIVATE AD2PRO
MEDIA 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
AD2PRO MEDIA SOLUTIONS PRIVATE UNILOG
CONTENT 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
UNILOG CONTENT SOLUTIONS PRIVATE RUPTUB
SOLUTIONS 0.001% SERIES C COMPULSORY CONVERTIBLE CUMULATIVE
RUPTUB SOLUTIONS PRIVATE LIMITED 0.001% RUPTUB
SOLUTIONS 0.001% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
RUPTUB SOLUTIONS PRIVATE LIMITED 0.001% RUPTUB
SOLUTIONS 0.001% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
RUPTUB SOLUTIONS PRIVATE LIMITED 0.001% RUPTUB
SOLUTIONS 10% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
RUPTUB SOLUTIONS PRIVATE LIMITED 10% RUPTUB
SOLUTIONS 0.001% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
RUPTUB SOLUTIONS PRIVATE LIMITED 0.001% IENERGY
WIND 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
IENERGY WIND FARMS (THENI) PRIVATE LIMITED TESSOLVE
SEMICONDU12% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
TESSOLVE SEMICONDUCTOR RECIPHARM
PHARMASER0.01% COMPULSORY CONVERTIBLE NON
RECIPHARM PHARMASERVICES 63IDEAS
INFOLABS 0.01% SERIES A2 COMPULSORY CONVERTIBLE CUMULATIVE
63IDEAS INFOLABS PRIVATE LIMITED 0.01% WELLNESS
FOREVER 0.01% SERIES A2 FULLY CONVERTIBLE CUMULATIVE
WELLNESS FOREVER MEDICARE PRIVATE
![Page 30: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/30.jpg)
1392 INE759T03019
1393 INE759T03027
1394 INE759T03035
1395 INE759T03043
1396 INE518X03011
1397 INE518X03029
1398 INE518X03037
1399 INE518X03045
1400 INE518X03052
1401 INE762X03015
1402 INE882Y03068
1403 INE882Y03076
1404 INE882Y03084
1405 INE892X03010
1406 INE606Y03012
1407 INE606Y03020
1408 INE606Y03038
1409 INE606Y03046
1410 INE606Y03053
1411 INE606Y03061
1412 INE777V03017
1413 INE777V03025
1414 INE434U03017
1415 INE868V03014
1416 INE188W03015
1417 INE188W03031
1418 INE188W03049
1419 INE188W03056
1420 INE188W03072
1421 INE810T03010
1422 INE810T03028
1423 INE810T03036
1424 INE810T03044
1425 INE810T03051
1426 INE810T03069
1427 INE810T03077
1428 INE304W03018
1429 INE304W03026
1430 INE304W03034
1431 INE304W03042
1432 INE304W03059
1433 INE304W03067
1434 INE304W03075
1435 INE304W03083
1436 INE814U03010
1437 INE814U03028
1438 INE814U03036
1439 INE814U03044
KIDS CLINIC INDIA
SERIS A FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
KIDS CLINIC INDIA PRIVATE LIMITED SERIES KIDS CLINIC
INDIA SERIS B FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
KIDS CLINIC INDIA PRIVATE LIMITED SERIES KIDS CLINIC
INDIA SERIS B1 FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
KIDS CLINIC INDIA PRIVATE LIMITED SERIES KIDS CLINIC
INDIA SERIS C FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
KIDS CLINIC INDIA PRIVATE LIMITED SERIES NET AVENUE
TECHNOLOG0.01% SERIES A COMPULSORY CONVERTIBLE NON
NET AVENUE TECHNOLOGIES PRIVATE NET AVENUE
TECHNOLOG0.01% SERIES B COMPULSORY CONVERTIBLE NON
NET AVENUE TECHNOLOGIES PRIVATE NET AVENUE
TECHNOLOG0.01% SERIES B COMPULSORY CONVERTIBLE NON
NET AVENUE TECHNOLOGIES PRIVATE NET AVENUE
TECHNOLOG0.01% SERIES B COMPULSORY CONVERTIBLE NON
NET AVENUE TECHNOLOGIES PRIVATE NET AVENUE
TECHNOLOG0.01% SERIES B COMPULSORY CONVERTIBLE NON
NET AVENUE TECHNOLOGIES PRIVATE MUBBLE
NETWORKS 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
MUBBLE NETWORKS PRIVATE LIMITED 0.01% RUPTUB
SOLUTIONS 0.001% SERIES C COMPULSORY CONVERTIBLE CUMULATIVE
RUPTUB SOLUTIONS PRIVATE LIMITED 0.001% RUPTUB
SOLUTIONS 0.001% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
RUPTUB SOLUTIONS PRIVATE LIMITED 0.001% RUPTUB
SOLUTIONS 0.001% SERIES A1 COMPULSORY CONVERTIBLE CUMULATIVE
RUPTUB SOLUTIONS PRIVATE LIMITED 0.001% IMONITOR
SOLUTIONS COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
IMONITOR SOLUTIONS INDIA PRIVATE LIMITED AEON
LEARNING 0.01% SERIES C COMPULSORY CONVERTIBLE NON
AEON LEARNING PRIVATE LIMITED 0.01% SERIES C AEON
LEARNING 0.01% SERIES A COMPULSORY CONVERTIBLE NON
AEON LEARNING PRIVATE LIMITED 0.01% SERIES A AEON
LEARNING 0.01% SERIES D COMPULSORY CONVERTIBLE NON
AEON LEARNING PRIVATE LIMITED 0.01% SERIIES D AEON
LEARNING 0.01% SERIES A1 COMPULSORY CONVERTIBLE NON
AEON LEARNING PRIVATE LIMITED 0.01% SERIIES A1 AEON
LEARNING 0.01% SERIES B COMPULSORY CONVERTIBLE NON
AEON LEARNING PRIVATE LIMITED 0.01% SERIES E AEON
LEARNING 0.01% SERIES E COMPULSORY CONVERTIBLE NON
AEON LEARNING PRIVATE LIMITED 0.01% SERIES E 10I
COMMERCE 1% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
10I COMMERCE SERVICES PRIVATE LIMITED 1% CCPS 10I
COMMERCE 1% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
10I COMMERCE SERVICES PRIVATE LIMITED 1% PREF TESSOLVE
SEMICONDUCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
TESSOLVE SEMICONDUCTOR RECIPHARM
PHARMASER0.01% COMPULSORY CONVERTIBLE NON
RECIPHARM PHARMASERVICES 63IDEAS
INFOLABS 0.01% SERIES A1 COMPULSORY CONVERTIBLE CUMULATIVE
63IDEAS INFOLABS PRIVATE LIMITED 0.01% 63IDEAS
INFOLABS 0.01% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
63IDEAS INFOLABS PRIVATE LIMITED 0.01% 63IDEAS
INFOLABS 0.01% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
63IDEAS INFOLABS PRIVATE LIMITED 0.01% 63IDEAS
INFOLABS 0.01% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
63IDEAS INFOLABS PRIVATE LIMITED 0.01% 63IDEAS
INFOLABS 0.01% COMPULSORY CONVERTIBLE NON
63IDEAS INFOLABS PRIVATE LIMITED 0.01% MAXHEAP
TECHNOLOG0.01% SERIES B FULLY CONVERTIBLE CUMULATIVE
MAXHEAP TECHNOLOGIES PRIVATE LIMITED 0.01% MAXHEAP
TECHNOLOG0.01% SERIES D FULLY CONVERTIBLE CUMULATIVE
MAXHEAP TECHNOLOGIES PRIVATE LIMITED 0.01% MAXHEAP
TECHNOLOG0.01% SERIES E FULLY CONVERTIBLE CUMULATIVE
MAXHEAP TECHNOLOGIES PRIVATE LIMITED 0.01% MAXHEAP
TECHNOLOG0.01% SERIES E1 FULLY CONVERTIBLE CUMULATIVE
MAXHEAP TECHNOLOGIES PRIVATE LIMITED 0.01% MAXHEAP
TECHNOLOG0.01% SERIES A FULLY CONVERTIBLE CUMULATIVE
MAXHEAP TECHNOLOGIES PRIVATE LIMITED 0.01% MAXHEAP
TECHNOLOG0.01% SERIES A1 FULLY CONVERTIBLE CUMULATIVE
MAXHEAP TECHNOLOGIES PRIVATE LIMITED 0.01% MAXHEAP
TECHNOLOG0.01% SERIES C FULLY CONVERTIBLE CUMULATIVE
MAXHEAP TECHNOLOGIES PRIVATE LIMITED 0.01% BLUESTONE
JEWELLERY 0.1% SERIES D COMPULSORY CONVERTIBLE CUMULATIVE
BLUESTONE JEWELLERY AND LIFESTYLE PRIVATE BLUESTONE
JEWELLERY 0.1% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
BLUESTONE JEWELLERY AND LIFESTYLE PRIVATE BLUESTONE
JEWELLERY 0.1% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
BLUESTONE JEWELLERY AND LIFESTYLE PRIVATE BLUESTONE
JEWELLERY 0.1% SERIES B1 COMPULSORY CONVERTIBLE CUMULATIVE
BLUESTONE JEWELLERY AND LIFESTYLE PRIVATE BLUESTONE
JEWELLERY 0.1% SERIES B2 COMPULSORY CONVERTIBLE CUMULATIVE
BLUESTONE JEWELLERY AND LIFESTYLE PRIVATE BLUESTONE
JEWELLERY 0.1% SERIES B3 COMPULSORY CONVERTIBLE CUMULATIVE
BLUESTONE JEWELLERY AND LIFESTYLE PRIVATE BLUESTONE
JEWELLERY 0.1% SERIES C COMPULSORY CONVERTIBLE CUMULATIVE
BLUESTONE JEWELLERY AND LIFESTYLE PRIVATE BLUESTONE
JEWELLERY 0.1% COMPULSORY CONVERTIBLE CUMULATIVE
BLUESTONE JEWELLERY AND LIFESTYLE PRIVATE TRINITY
MOBILITY 30% SERIES A OPTIONALLY CONVERTIBLE CUMULATIVE
TRINITY MOBILITY PRIVATE LIMITED 30% TRINITY
MOBILITY 30% SERIES A OPTIONALLY CONVERTIBLE CUMULATIVE
TRINITY MOBILITY PRIVATE LIMITED 30% TRINITY
MOBILITY 30% SERIES A OPTIONALLY CONVERTIBLE CUMULATIVE
TRINITY MOBILITY PRIVATE LIMITED 30% TRINITY
MOBILITY 30% SERIES A OPTIONALLY CONVERTIBLE CUMULATIVE
TRINITY MOBILITY PRIVATE LIMITED 30%
![Page 31: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/31.jpg)
1440 INE111W03041
1441 INE111W03058
1442 INE134B03013
1443 INE981J04018
1444 INE903L03069
1445 INE903L03077
1446 INE111W03017
1447 INE111W03025
1448 INE111W03033
1449 INE449T03025
1450 INE637T03017
1451 INE637T03025
1452 INE637T03033
1453 INE637T03041
1454 INE637T03058
1455 INE637T03066
1456 INE637T03082
1457 INE637T03090
1458 INE637T03108
1459 INE145K03010
1460 INE145K03028
1461 INE145K03036
1462 INE145K03044
1463 INE145K04018
1464 INE637T03074
1465 INE903L03010
1466 INE449T03017
1467 INE505N03019
1468 INE937M03016
1469 INE937M03024
1470 INE937M03032
1471 INE903L03036
1472 INE903L03044
1473 INE903L03051
1474 INE903L03085
1475 INE845Q03020
1476 INE845Q03038
1477 INE925N03019
1478 INE908I04013
1479 INE051F04026
1480 INE051F04018
1481 INE295P04010
1482 INE295P04028
1483 INE295P04036
1484 INE655H04012
1485 INE685M04019
1486 INE050G04026
1487 INE120P03012
CRYPTOPY TECHNOLOG
0.1% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
CRYPTOPY TECHNOLOGIES PRIVATE CRYPTOPY
TECHNOLOG0.1% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
CRYPTOPY TECHNOLOGIES PRIVATE KIRLOSKAR
ELECTRIC 0.1% CONVERTIBLE NON CUMULATIVE PREFERENCE
KIRLOSKAR ELECTRIC COMPANY LIMITED 0.1% GLOBAL
PHARMATEC0% NON CONVERTIBLE NON CUMULATIVE FULLY
GLOBAL PHARMATECH PRIVATE LIMITED PREF NOVA
MEDICAL 0.02% FULLY CONVERTIBLE CUMULATIVE NON
NOVA MEDICAL CENTERS PRIVATE LIMITED 0.02% NOVA
MEDICAL 0.02% FULLY CONVERTIBLE CUMULATIVE NON
NOVA MEDICAL CENTERS PRIVATE LIMITED 0.02% CRYPTOPY
TECHNOLOG0.001% COMPULSORY CONVERTIBLE NON
CRYPTOPY TECHNOLOGIES PRIVATE CRYPTOPY
TECHNOLOG0.001% SERIES A COMPULSORY CONVERTIBLE NON
CRYPTOPY TECHNOLOGIES PRIVATE CRYPTOPY
TECHNOLOG0.1% SERIES C COMPULSORY CONVERTIBLE CUMULATIVE
CRYPTOPY TECHNOLOGIES PRIVATE WELLNESS
FOREVER 0.01% SERIES A1 FULLY CONVERTIBLE CUMULATIVE
WELLNESS FOREVER MEDICARE PRIVATE CORAZA
TECHNOLOG0.001% SERIES A CONVERTIBLE CUMULATIVE FULLY
CORAZA TECHNOLOGIES PRIVATE LIMITED 0.001% CORAZA
TECHNOLOG0.001% SERIES A CONVERTIBLE CUMULATIVE FULLY
CORAZA TECHNOLOGIES PRIVATE LIMITED 0.001% CORAZA
TECHNOLOG0.001% SERIES A CONVERTIBLE CUMULATIVE FULLY
CORAZA TECHNOLOGIES PRIVATE LIMITED 0.001% CORAZA
TECHNOLOG0.001% SERIES A2 CONVERTIBLE CUMULATIVE FULLY
CORAZA TECHNOLOGIES PRIVATE LIMITED 0.001% CORAZA
TECHNOLOG0.001% SERIES B CONVERTIBLE CUMULATIVE FULLY
CORAZA TECHNOLOGIES PRIVATE LIMITED 0.001% CORAZA
TECHNOLOG0.01% SERIES B1 CONVERTIBLE CUMULATIVE PARTLY PAID
CORAZA TECHNOLOGIES PRIVATE LIMITED 0.01% CORAZA
TECHNOLOG0.001% SERIES B3 COMPULSORY CONVERTIBLE CUMULATIVE
CORAZA TECHNOLOGIES PRIVATE LIMITED 0.001% CORAZA
TECHNOLOG0.001% SERIES B5 COMPULSORY CONVERTIBLE CUMULATIVE
CORAZA TECHNOLOGIES PRIVATE LIMITED 0.001% CORAZA
TECHNOLOG0.001% COMPULSORY CONVERTIBLE CUMULATIVE
CORAZA TECHNOLOGIES PRIVATE LIMITED 0.001% GLOBAL
GREEN FULLY CONVERTIBLE PREFERENCE SHARES WITH
GLOBAL GREEN COMPANY LIMITED PREF 21FB33GLOBAL
GREEN FULLY CONVERTIBLE PREFERENCE SHARES WITH
GLOBAL GREEN COMPANY LIMITED PREF 24FB25GLOBAL
GREEN FULLY CONVERTIBLE PREFERENCE SHARES WITH
GLOBAL GREEN COMPANY LIMITED PREF 29OT25GLOBAL
GREEN FULLY CONVERTIBLE PREFERENCE SHARES WITH
GLOBAL GREEN COMPANY LIMITED PREF 24FB26GLOBAL
GREEN 8.5% NON CONVERTIBLE CUMULATIVE REDEEMABLE
GLOBAL GREEN COMPANY LIMITED 8.5% PREF 22MR27CORAZA
TECHNOLOG0.001% SERIES B2 COMPULSORY CONVERTIBLE CUMULATIVE
CORAZA TECHNOLOGIES PRIVATE LIMITED 0.01% NOVA
MEDICAL 0.02% FULLY CONVERTIBLE CUMULATIVE NON
NOVA MEDICAL CENTERS PRIVATE LIMITED 0.02% WELLNESS
FOREVER 0.01% SERIES A FULLY CONVERTIBLE CUMULATIVE
WELLNESS FOREVER MEDICARE PRIVATE GMR
KISHANGAR0.1% CONVERTIBLE NON CUMULATIVE NON
GMR KISHANGARH UDAIPUR AHMEDABAD DUSTERS
TOTAL 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
DUSTERS TOTAL SOLUTIONS SERVICES PVT DUSTERS
TOTAL 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
DUSTERS TOTAL SOLUTIONS SERVICES PVT DUSTERS
TOTAL 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
DUSTERS TOTAL SOLUTIONS SERVICES PVT NOVA
MEDICAL 0.02% COMPULSORILY AND FULLY CONVERTIBLE,
NOVA MEDICAL CENTERS PRIVATE LIMITED 0.02% NOVA
MEDICAL 0.02% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
NOVA MEDICAL CENTERS PRIVATE LIMITED 0.02% NOVA
MEDICAL 0.02% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
NOVA MEDICAL CENTERS PRIVATE LIMITED 0.02% NOVA
MEDICAL 0.02% FULLY CONVERTIBLE CUMULATIVE NON
NOVA MEDICAL CENTERS PRIVATE LIMITED 0.02% SERENDIPIT
Y INFOLABS 0.1% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
SERENDIPITY INFOLABS PRIVATE LIMITED 0.1% SERENDIPIT
Y INFOLABS 0.1% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
SERENDIPITY INFOLABS PRIVATE LIMITED 0.1% ECRON
ACUNOVA FULLY CONVERTIBLE CUMULATIVE PREFERENCE
ECRON ACUNOVA LIMITED PREF 01DC29GMR
ENTERPRISE10% NON CONVERTIBLE NON CUMULATIVE FULLY
GMR ENTERPRISES PRIVATE LIMITED 10% ZUARI
CEMENT 9 % NON CONVERTIBLE CUMULATIVE FULLY
ZUARI CEMENT LIMITED 9 PREF 25092008ZUARI
CEMENT 9 % NON CONVERTIBLE CUMULATIVE FULLY
ZUARI CEMENT LIMITED 9 PREF 09062008GMR SPORTS
PRIVATE 1% NON CONVERTIBLE CUMULATIVE REDEEMABLE
GMR SPORTS PRIVATE LIMITED 1% PREF 25AG24GMR SPORTS
PRIVATE 1% NON CONVERTIBLE CUMULATIVE REDEEMABLE
GMR SPORTS PRIVATE LIMITED 1% PREF 30MR25GMR SPORTS
PRIVATE 1% NON CONVERTIBLE CUMULATIVE REDEEMABLE
GMR SPORTS PRIVATE LIMITED 1% PREF 27FB27GMR
AMBALA-8 % NON CONVERTIBLE, NON CUMULATIVE, FULLY
GMR AMBALA-CHANDIGARH TE
CONNECTIVINON CONVERTIBLE NON CUMULATIVE FULLY
TE CONNECTIVITY INDIA PRIVATE LIMITED PREF CORPORATE
INFRASTRUC8% NON CUMULATIVE, FULLY REDEEMABLE PREFERENCE
CORPORATE INFRASTRUCTURE OLIVE
LIFESCIENCE2% FULLY CONVERTIBLE NON CUMMULATIVE NON
OLIVE LIFESCIENCES PRIVATE LIMITED 2% PREF
![Page 32: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/32.jpg)
1488 INE808H04017
1489 INE433L03018
1490 INE665I03029
1491 INE997K03014
1492 INE118L03015
1493 INE295G04019
1494 INE050G04018
1495 INE434X03011
1496 INE459L03013
1497 INE665I03078
1498 INE665I03086
1499 INE665I03094
1500 INE665I03102
1501 INE665I03110
1502 INE748A04010
1503 INE513I03013
1504 INE513I03021
1505 INE513I03039
1506 INE877V03031
1507 INE270V04011
1508 INE296T04010
1509 INE300Q04016
1510 INE508A04018
1511 INE579K04018
1512 INE655D04011
1513 INE748A03012
1514 INE748A03020
1515 INE748A03038
1516 INE748A04028
1517 INE748A04036
1518 INE830C04012
1519 INE830C04020
1520 INE830C04038
1521 INE830C04046
1522 INE830C04053
1523 INE830C04061
1524 INE877V03023
1525 INE00H603017
1526 INE937W04013
1527 INE290R03019
1528 INE727D04026
1529 INE141P03018
1530 IN9887J04015
1531 INE887J04017
1532 INE371I03016
1533 INE999J04028
1534 INE037E03038
1535 INE037E03046
GMR POCHANPAL
8 % NON CONVERTIBLE, NON CUMULATIVE, FULLY
GMR POCHANPALLI EXPRESSWAYS LIMITED 8 BENGAL
SHRIRAM 0.01% CLASS A OPTIONALLY CONVERTIBLE CUMULATIVE
BENGAL SHRIRAM HITECH CITY PRIVATE LIMITED COFFEE DAY
GLOBAL FULLY CONVERTIBLE CUMULATIVE PREFERENCE B
COFFEE DAY GLOBAL LIMITED PREF 18DC12GMR
HYDERABAD 6.00% NON CUMULATIVE CONVERTIBLE REDEEMABLE
GMR HYDERABAD VIJAYWADA GMR
CHENNAI 6 % FULLY CONVERTIBLE, NONCUMULATIVE, FULLY
GMR CHENNAI OUTER RING ROAD PRIVATE GMR
VEMAGIRI 7% NON CONVERTIBLE CUMULATIVE FULLY
GMR VEMAGIRI POWER GENERATION LIMITED 7% CORPORATE
INFRASTRUC8% NON CUMULATIVE, FULLY REDEEMABLE PREFERENCE
CORPORATE INFRASTRUCTURE SKANRAY
HEALTHCAR0.0001% SERIES A COMPULSORILY CONVERTIBLE
SKANRAY HEALTHCARE GLOBAL PRIVATE LIMITED METAHELIX
LIFE SERIES A CONVERTIBLE CUMULATIVE NON
METAHELIX LIFE SCIENCES PRIVATE LTD SR COFFEE DAY
GLOBAL 0.001% FULLY CONVERTIBLE, NON CUMULATIVE, NON
COFFEE DAY GLOBAL LIMITED 0.001% IFC COFFEE DAY
GLOBAL 0.001% FULLY CONVERTIBLE, NON CUMULATIVE, NON
COFFEE DAY GLOBAL LIMITED 0.001% IFC COFFEE DAY
GLOBAL 5% FULLY CONVERTIBLE CUMULATIVE NON
COFFEE DAY GLOBAL LIMITED 5% DAMF II COFFEE DAY
GLOBAL 5% FULLY CONVERTIBLE CUMULATIVE NON
COFFEE DAY GLOBAL LIMITED 5% DAMF II COFFEE DAY
GLOBAL 5% FULLY CONVERTIBLE, CUMULATIVE NON
COFFEE DAY GLOBAL LIMITED 5% DAMF II MCNALLY
BHARAT 11.5% NON CONVERTIBLE CUMULATIVE, FULLY
MCNALLY BHARAT ENGINEERING COMPANY ADITYA
MARKETING 5% COMPULSORILY CONVERTIBLE NON
ADITYA MARKETING AND MANUFACTURING LTD 5% ADITYA
MARKETING 5% COMPULSORILY CONVERTIBLE NON
ADITYA MARKETING AND MANUFACTURING LTD 5% ADITYA
MARKETING 5 % COMPULSORILY CONVERTIBLE NON
ADITYA MARKETING AND MANUFACTURING LTD 5% SURAKSHA
DIAGNOSTIC 0.0001% CLASS A COMPULSORY CONVERTIBLE CUMULATIVE
SURAKSHA DIAGNOSTIC PRIVATE LIMITED 0.0001% BARGATE
COMMUNICA5% NON CONVERTIBLE NON CUMULATIVE FULLY
BARGATE COMMUNICATION MAITHAN
ISPAT 0.1% NON CONVERTIBLE CUMULATIVE FULLY
MAITHAN ISPAT LIMITED 0.1% PREF 31MR34CONCAST
JABALPUR 0.50% NON CONVERTIBLE NON CUMULATIVE FULLY
CONCAST JABALPUR ROAD PROJECTS PVT. LTD. DUNCANS
INDUSTRIES 0.001% NON CONVERTIBLE CUMULATIVE FULLY
DUNCANS INDUSTRIES LIMITED 0.001% PREF SHRI
BADRINARAI9% NON CONVERTIBLE NON CUMULATIVE FULLY
SHRI BADRINARAIN ALLOYS &STEELS LTD 9% SHALIMAR
WIRES 8% NON CONVERTIBLE CUMULATIVE FULLY
SHALIMAR WIRES INDUSTRIES LIMITED 8% MCNALLY
BHARAT 1% CONVERTIBLE NON CUMULATIVE REDEEMABLE
MCNALLY BHARAT ENGINEERING COMPANY MCNALLY
BHARAT 1% COMPULSORY CONVERTIBLE NON CUMULATIVE
MCNALLY BHARAT ENGINEERING COMPANY MCNALLY
BHARAT 1% COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
MCNALLY BHARAT ENGINEERING COMPANY MCNALLY
BHARAT 11.5% NON CONVERTIBLE CUMULATIVE, FULLY
MCNALLY BHARAT ENGINEERING COMPANY MCNALLY
BHARAT 11.5% NON CONVERTIBLE CUMULATIVE, FULLY
MCNALLY BHARAT ENGINEERING COMPANY EMAMI
PAPER 8% NON CONVERTIBLE CUMULATIVE FULLY
EMAMI PAPER MILLS LIMITED 8% PREF 27MR25EMAMI
PAPER 8% NON CONVERTIBLE CUMULATIVE FULLY
EMAMI PAPER MILLS LIMITED 8% PREF 12AG25EMAMI
PAPER 8% NON CONVERTIBLE CUMULATIVE FULLY
EMAMI PAPER MILLS LIMITED 8% PREF 27MR26EMAMI
PAPER 8% NON CONVERTIBLE CUMULATIVE FULLY
EMAMI PAPER MILLS LIMITED 8% PREF 20JN26EMAMI
PAPER 8% NON CONVERTIBLE CUMULATIVE FULLY
EMAMI PAPER MILLS LIMITED 8% PREF 31JL26EMAMI
PAPER 8% NON CONVERTIBLE CUMULATIVE FULLY
EMAMI PAPER MILLS LIMITED 8% PREF 16SP26SURAKSHA
DIAGNOSTIC 0.0001% CLASS A FULLY CONVERTIBLE, CUMULATIVE
SURAKSHA DIAGNOSTIC PRIVATE LIMITED 0.0001% SADHAN
ENTERPRISE 0.01% COMPULSORY CONVERTIBLE NON
SADHAN ENTERPRISE (I) PRIVATE LIMITED 0.01% BRAHMAPUT
RA 0.50% NON CONVERTIBLE CUMULATIVE FULLY
BRAHMAPUTRA METALLICS LIMITED 0.50% AGROH
BIAORA 5% FULLY CONVERTIBLE NON CUMULATIVE NON
AGROH BIAORA TOLLWAYS PRIVATE K. S. OILS
LIMITED1% NON CONVERTIBLE CUMULATIVE, FULLY
K. S. OILS LIMITED 1% PREF 30JU21ARYAVRAT
TOLLWAYS 1% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
ARYAVRAT TOLLWAYS PRIVATE LIMITED 1% PREF DEWAS
METAL 5% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
DEWAS METAL SECTIONS LIMITED 5% PP PREF DEWAS
METAL 5% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
DEWAS METAL SECTIONS LIMITED 5% PREF 09MR25D B MALLS
PRIVATE 0.1% FULLY CONVERTIBLE NON REDEEMABLE CUMULATIVE
D B MALLS PRIVATE LIMITED 0.1 PREF 29032012ATC
TELECOM 10.25% NON CONVERTIBLE CUMULATIVE FULLY
ATC TELECOM INFRASTRUCTURE TATA
TELESERVIC0.1% SERIES II FULLY CONVERTIBLE NON
TATA TELESERVICES LIMITED 0.1% SERIES II TATA
TELESERVIC0.1% SERIES II FULLY CONVERTIBLE NON
TATA TELESERVICES LIMITED 0.1% PREF SERIES
![Page 33: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/33.jpg)
1536 INE037E03061
1537 INE843G03042
1538 INE195M03045
1539 INE037E03053
1540 INE245P03017
1541 INE011H04018
1542 INE729O03013
1543 INE104O03019
1544 INE011H04034
1545 INE011H04026
1546 INE037E03079
1547 INE631U04016
1548 INE211I04012
1549 INE211I04020
1550 INE392U03017
1551 INE147U03015
1552 INE223K03080
1553 INE223K03049
1554 INE223K03072
1555 INE223K03031
1556 INE223K03056
1557 INE223K03015
1558 INE223K03064
1559 INE223K03023
1560 INE441M04017
1561 INE820O04018
1562 INE827O04013
1563 INE867O04019
1564 INE868O04017
1565 INE884O04014
1566 INE543P04013
1567 INE544P04011
1568 INE545P04018
1569 INE826O04015
1570 INE066V03015
1571 INE066V04013
1572 INE066V04021
1573 INE066V04039
1574 INE091X03019
1575 INE478N04017
1576 INE478N04025
1577 INE478N04033
1578 INE556X03011
1579 INE667O04047
1580 INE667O04054
1581 INE667O04062
1582 INE667O04070
1583 INE770P04012
TATA TELESERVIC
0.1% SERIES IV FULLY CONVERTIBLE NON
TATA TELESERVICES LIMITED 0.1% PREF SERIES UDUPI
POWER 1 % CUMULATIVE, FULLY CONVERTIBLE NON
UDUPI POWER CORPORATION LIMITED MYTRAH
ENERGY 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
MYTRAH ENERGY (INDIA) PRIVATE LIMITED 0.01% TATA
TELESERVIC0.1% SERIES III FULLY CONVERTIBLE NON
TATA TELESERVICES LIMITED 0.1% PREF SERIES GVK RATLE
HYDRO 0.001% COMPULSORILY CONVERTIBLE CUMULATIVE
GVK RATLE HYDRO ELECTRIC PROJECT RAJVIR
INDUSTRIES 12% CUMULATIVE FULLY REDEEMABLE PREFERENCE
RAJVIR INDUSTRIES LIMITED 12% PREF 16OT16MYTRAH
VAYU 0.01% FULLY CONVERTIBLE NON CUMULATIVE NON
MYTRAH VAYU (MANJIRA) PRIVATE LIMITED 0.01% SEW VIZAG
COAL 10% COMPULSORILY CONVERTIBLE NON
SEW VIZAG COAL TERMINAL PRIVATE RAJVIR
INDUSTRIES 12% NON CONVERTIBLE CUMULATIVE REDEEMABLE
RAJVIR INDUSTRIES LIMITED 12% PREF 16JN25RAJVIR
INDUSTRIES 12% NON CONVERTIBLE CUMULATIVE FULLY
RAJVIR INDUSTRIES LIMITED 12% PREF 15FB25TATA
TELESERVIC0.1% SERIES I OPTIONALLY CONVERTIBLE NON
TATA TELESERVICES LIMITED 0.1% PREF 06NV20SINTEX-
BAPL 5% NON CONVERTIBLE CUMULATIVE FULLY
SINTEX-BAPL LIMITED 5% PREF 17MR18AAMBY
VALLEY 0.05% NON CONVERTIBLE NON CUMULATIVE FULLY
AAMBY VALLEY LIMITED 0.05% PREF 30MR22AAMBY
VALLEY 0.05% NON CONVERTIBLE NON CUMULATIVE FULLY
AAMBY VALLEY LIMITED 0.05% PREF 26MR24CLASSIC CITI
INVESTMEN0.0001% OPTIONALLY CONVERTIBLE NON
CLASSIC CITI INVESTMENTS PRIVATE AVINASH
BHOSALE 0.0001% OPTIONALLY CONVERTIBLE CUMULATIVE
AVINASH BHOSALE INFRASTRUCTURE LUXORA
INFRASTRUC0.009% CLASS Z NON CUMULATIVE COMPULSORY
LUXORA INFRASTRUCTURE LUXORA
INFRASTRUC0.012 % CLASS B NON CUMULATIVE OPTIONALLY
LUXORA INFRASTRUCTURE LUXORA
INFRASTRUC0.011% CLASS C NON CUMULATIVE COMPULSORY
LUXORA INFRASTRUCTURE LUXORA
INFRASTRUC0.010% CLASS A NON CUMULATIVE COMPULSORILY
LUXORA INFRASTRUCTURE LUXORA
INFRASTRUC0.012 % CLASS B NON CUMULATIVE OPTIONALLY
LUXORA INFRASTRUCTURE LUXORA
INFRASTRUC0.010% CLASS A NON CUMULATIVE COMPULSORILY
LUXORA INFRASTRUCTURE LUXORA
INFRASTRUC0.012 % CLASS B NON CUMULATIVE OPTIONALLY
LUXORA INFRASTRUCTURE LUXORA
INFRASTRUC0.010% CLASS A NON CUMULATIVE COMPULSORY
LUXORA INFRASTRUCTURE JSW STEEL
(SALAV) NON CONVERTIBLE NON CUMULATIVE FULLY
JSW STEEL (SALAV) LIMITED PREF 31DC32MINDBLOWI
NG REAL 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
MINDBLOWING REAL ESTATES PRIVATE BRAHASPATI
REAL 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
BRAHASPATI REAL ESTATES PRIVATE RACE
AHEAD 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
RACE AHEAD REAL ESTATES PRIVATE BEYOND
REAL 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
BEYOND REAL ESTATES PRIVATE LIMITED 0.0001% BUILDTOUG
H REAL 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
BUILDTOUGH REAL ESTATES PRIVATE PERIDOT
PROPERTIES 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
PERIDOT PROPERTIES PRIVATE LIMITED 0.0001% COLOSSEUM
PROPERTIES 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
COLOSSEUM PROPERTIES PRIVATE LIMITED 0.0001% CITRINE
PROPERTIES 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
CITRINE PROPERTIES PRIVATE LIMITED 0.0001% MINDBLOWI
NG 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
MINDBLOWING PROPERTIES PRIVATE WELSPUN
ORISSA 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
WELSPUN ORISSA STEEL PRIVATE LIMITED 8% WELSPUN
ORISSA 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WELSPUN ORISSA STEEL PRIVATE LIMITED 8% WELSPUN
ORISSA 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WELSPUN ORISSA STEEL PRIVATE LIMITED 8% WELSPUN
ORISSA 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WELSPUN ORISSA STEEL PRIVATE LIMITED 8% AXIOM
PROPACK 1% COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
AXIOM PROPACK PRIVATE LIMITED 1% PREF 26MR19WELSPUN
STEEL 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WELSPUN STEEL LIMITED 8% PREF 09MY35WELSPUN
STEEL 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WELSPUN STEEL LIMITED 8% PREF 13SP35WELSPUN
STEEL 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WELSPUN STEEL LIMITED 8% PREF 29NV35DRUMS
FOOD COMPULSORILY CONVERTIBLE NON-CUMULATIVE PREFERENCE
DRUMS FOOD INTERNATIONAL PRIVATE WELSPUN
CAPTIVE 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
WELSPUN CAPTIVE POWER GENERATION WELSPUN
CAPTIVE 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
WELSPUN CAPTIVE POWER GENERATION WELSPUN
CAPTIVE 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
WELSPUN CAPTIVE POWER GENERATION WELSPUN
CAPTIVE 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
WELSPUN CAPTIVE POWER GENERATION ANGEL
POWER & 6% NON CONVERTIBLE NON CUMULATIVE FULLY
ANGEL POWER & STEEL PRIVATE LIMITED 6% PREF
![Page 34: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/34.jpg)
1584 INE826N04025
1585 INE404P04018
1586 INE826N04017
1587 INE240V03016
1588 INE554V03010
1589 INE554V03028
1590 INE554V03036
1591 INE748P04018
1592 INE814N04039
1593 INE814N04021
1594 INE838N04020
1595 INE813N04015
1596 INE814N04013
1597 INE815N04010
1598 INE838N04012
1599 INE844N04010
1600 INE695J03032
1601 INE999H03024
1602 INE955R03017
1603 INE695J03016
1604 INE695J03024
1605 INE511I03017
1606 INE511I03025
1607 INE511I03033
1608 INE977M04010
1609 INE156J03019
1610 INE999H03016
1611 INE207M03014
1612 INE539K03097
1613 INE539K03105
1614 INE539K03113
1615 INE539K03147
1616 INE539K03154
1617 INE539K03162
1618 INE539K03170
1619 INE539K03121
1620 INE539K03139
1621 INE007O03014
1622 INE007O03022
1623 INE124F04013
1624 INE580V03015
1625 INE140M04015
1626 INE145N03014
1627 INE145N03022
1628 INE145N03030
1629 INE780I03018
1630 INE780I03026
1631 INE780I03034
WELSPUN LOGISTICS
8% NON CONVERTIBLE NON CUMULATIVE FULLY
WELSPUN LOGISTICS LIMITED 8% PREF 27MR29WELSPUN
STEEL 10% NON CONVERTIBLE NON CUMULATIVE FULLY
WELSPUN STEEL RESOURCES PRIVATE WELSPUN
LOGISTICS 1% NON CONVERTIBLE NON CUMULATIVE FULLY
WELSPUN LOGISTICS LIMITED 1% PREF 18FB21WELSPUN
IRON AND 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
WELSPUN IRON AND STEEL PRIVATE LIMITED GRAB A
GRUB 0.00001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
GRAB A GRUB SERVICES PRIVATE LIMITED GRAB A
GRUB 0.00001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
GRAB A GRUB SERVICES PRIVATE LIMITED GRAB A
GRUB 0.00001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
GRAB A GRUB SERVICES PRIVATE LIMITED WELSPUN
ANJAR SEZ 7% NON CONVERTIBLE NON CUMULATIVE PREFERENCE
WELSPUN ANJAR SEZ LIMITED 7% PREF 30MR31WORLI
REALTY 1% NON CONVERTIBLE NON CUMULATIVE FULLY
WORLI REALTY PRIVATE LIMITED 1% PREF 13FB36WORLI
REALTY 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WORLI REALTY PRIVATE LIMITED 8% PREF 31MR28REFINED
SALTS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
REFINED SALTS PRIVATE LIMITED 8% PREF 29MR29GIANT
REALTY 8% NON CONVERTIBLE NON CUMULATIVE FULLY
GIANT REALTY PRIVATE LIMITED 8% PREF 21DC29WORLI
REALTY 1% NON CONVERTIBLE NON CUMULATIVE FULLY
WORLI REALTY PRIVATE LIMITED 1% PREF 17SP29WELSPUN
REALTY 8% NON CONVERTIBLE NON CUMULATIVE FULLY
WELSPUN REALTY PRIVATE LIMITED 8% PREF REFINED
SALTS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
REFINED SALTS PRIVATE LIMITED 8% PREF 26MR28MGN
ESTATES 8% NON CONVERTIBLE NON CUMULATIVE FULLY
MGN ESTATES PRIVATE LIMITED 8% PREF 21DC29AIR WORKS
INDIA 0.001 % COMPULSORILY CONVERTIBLE, CUMULATIVE,
AIR WORKS INDIA ENGINEERING PRIVATE LOKHANDW
ALA 12% OPTIONALLY CONVERTIBLE CUMULATIVE, PREFERENCE
LOKHANDWALA KATARIA CONSTRUCTION PRIVATE SAUJALYA
CONSULTAN11% OPTIONALLY CONVERTIBLE NON CUMULATIVE
SAUJALYA CONSULTANTS PRIVATE LIMITED 11% AIR WORKS
INDIA 0.001% COMPULSORILY CONVERTIBLE CUMULATIVE
AIR WORKS INDIA ENGINEERING PRIVATE AIR WORKS
INDIA 0.001% COMPULSORILY CONVERTIBLE CUMULATIVE
AIR WORKS INDIA ENGINEERING PRIVATE FINO
PAYTECH 9% FULLY CONVERTIBLE CUMULATIVE NON
FINO PAYTECH LIMITED 9% SERIES A PREF 07JU27FINO
PAYTECH 0.005% FULLY CONVERTIBLE CUMULATIVE NON
FINO PAYTECH LIMITED 0.005% SERIES B PREF FINO
PAYTECH 12% FULLY CONVERTIBLE CUMULATIVE NON
FINO PAYTECH LIMITED 12% SERIES C PREF 07JL31PHOENIX
TOWNSHIP 1% NON CONVERTIBLE CUMULATIVE FULLY
PHOENIX TOWNSHIP LIMITED 1% PREF 10FB28SKS ISPAT
AND POWER 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
SKS ISPAT AND POWER LIMITED 0.01% PREF LOKHANDW
ALA 12 % OPTIONALLY CONVERTIBLE CUMULATIVE
LOKHANDWALA KATARIA CONSTRUCTION PRIVATE VISEN
INDUSTRIES 2.5% COMPULSORILY CONVERTIBLE CUMULATIVE
VISEN INDUSTRIES LIMITED 2.5% PREF 10JU31HDFC
CREDILA 0.01% COMPULSORILY CONVERTIBLE, NON
HDFC CREDILA FINANCIAL SERVICES PRIVATE HDFC
CREDILA 0.01% FULLY CONVERTIBLE NON CUMULATIVE NON
HDFC CREDILA FINANCIAL SERVICES PRIVATE HDFC
CREDILA 0.01% FULLY CONVERTIBLE NON CUMULATIVE NON
HDFC CREDILA FINANCIAL SERVICES PRIVATE HDFC
CREDILA 0.01% COMPULSORILY CONVERTIBLE PREFERENCE
HDFC CREDILA FINANCIAL SERVICES PRIVATE HDFC
CREDILA 0.01% COMPULSORILY CONVERTIBLE NON
HDFC CREDILA FINANCIAL SERVICES PRIVATE HDFC
CREDILA 0.01% COMPULSORILY CONVERTIBLE NON
HDFC CREDILA FINANCIAL SERVICES PRIVATE HDFC
CREDILA 0.01% COMPULSORILY CONVERTIBLE NON
HDFC CREDILA FINANCIAL SERVICES PRIVATE HDFC
CREDILA 0.01% FULLY CONVERTIBLE NON CUMULATIVE NON
HDFC CREDILA FINANCIAL SERVICES PRIVATE HDFC
CREDILA 0.01% COMPULSORILY CONVERTIBLE NON
HDFC CREDILA FINANCIAL SERVICES PRIVATE PARTHASAR
ATHI 6% FULLY CONVERTIBLE NON CUMULATIVE FULLY
PARTHASARATHI FINANCIAL ADVISORY PARTHASAR
ATHI 6% FULLY CONVERTIBLE NON CUMULATIVE FULLY
PARTHASARATHI FINANCIAL ADVISORY META
COPPER AND 7.00% NON CONVERTIBLE CUMULATIVE REDEEMABLE
META COPPER AND ALLOYS LIMITED 7.00% IDEAS
UNPLUGGED COMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
IDEAS UNPLUGGED TECHNOLOGIES PRIVATE J.U.D.
CEMENTS 8.50% NON CONVERTIBLE CUMULATIVE FULLY
J.U.D. CEMENTS LIMITED 8.50% PREF 01AP19QUBE
CINEMA FULLY CONVERTIBLE, CUMULATIVE,NON
QUBE CINEMA TECHNOLOGIES PRIVATE QUBE
CINEMA FULLY CONVERTIBLE, CUMULATIVE,NON
QUBE CINEMA TECHNOLOGIES PRIVATE QUBE
CINEMA FULLY CONVERTIBLE, CUMULATIVE,NON
QUBE CINEMA TECHNOLOGIES PRIVATE GLOBAL
HOLDING 0.1% OPTIONALLY CONVERTIBLE PREFERENCE
GLOBAL HOLDING CORPORATION PVT LTD GLOBAL
HOLDING 0.1% OPTIONALLY CONVERTIBLE NON
GLOBAL HOLDING CORPORATION PVT LTD GLOBAL
HOLDING 0.1% OPTIONALLY CONVERTIBLE NON
GLOBAL HOLDING CORPORATION PVT LTD
![Page 35: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/35.jpg)
1632 INE817J04048
1633 INE817J03057
1634 INE817J03016
1635 INE817J03024
1636 INE817J03032
1637 INE817J03040
1638 INE817J04014
1639 INE817J04022
1640 GTL LIMITED INE043A03018
1641 INE454L03014
1642 INE196A04012
1643 INE615C04017
1644 INE536O04010
1645 INE121A03020
1646 INE237F04179
1647 INE237F04161
1648 INE237F04112
1649 INE583J03048
1650 INE427F04010
1651 INE353B04025
1652 INE353B04033
1653 INE353B04041
1654 INE019A04016
1655 INE135B03010
1656 BPL LIMITED INE110A04021
1657 BPL LIMITED INE110A04013
1658 INE121A04028
1659 INE070D04054
1660 INE205A04011
1661 IN8019A04015
1662 INE019A04024
1663 INE126D04013
1664 INE126D04021
1665 INE417H03027
1666 INE423R04014
1667 INE417H03035
1668 INE417H03043
1669 INE522S03013
1670 INE141I04037
1671 INE141I04045
1672 INE704L03038
1673 INE704L03046
1674 INE657I03042
1675 INE657I03059
1676 INE941D04015
1677 INE941D04023
1678 INE941D04031
1679 INE941D04049
EUROPEAN PROJECTS &
0.02% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EUROPEAN PROJECTS & AVIATION LTD 0.02% PREF EUROPEAN
PROJECTS & 0.02% OPTIONALLY CONVERTIBLE CUMULATIVE
EUROPEAN PROJECTS & AVIATION LTD 0.02% PREF EUROPEAN
PROJECTS & 0.1% OPTIONALLY CONVERTIBLE PREFERENCE
EUROPEAN PROJECTS & AVIATION LTD 0.1% PREF EUROPEAN
PROJECTS & 0.1% OPTIONALLY CONVERTIBLE REDEEMABLE
EUROPEAN PROJECTS & AVIATION LTD 0.1% PREF EUROPEAN
PROJECTS & 0.1% OPTIONALLY CONVERTIBLE NON
EUROPEAN PROJECTS & AVIATION LTD 0.1% PREF EUROPEAN
PROJECTS & 0.1% OPTIONALLY CONVERTIBLE NON
EUROPEAN PROJECTS & AVIATION LTD 0.1% PREF EUROPEAN
PROJECTS & 10.75% NON CONVERTIBLE CUMULATIVE FULLY
EUROPEAN PROJECTS & AVIATION LTD 10.75 EUROPEAN
PROJECTS & 10.75% NON CONVERTIBLE CUMULATIVE FULLY
EUROPEAN PROJECTS & AVIATION LTD 10.75 PREF 0.1% OPTIONALLY
CONVERTIBLE, CUMULATIVE GTL LIMITED 0.01% PREF 28SP32GLOBAL
RURAL 6% OPTIONALLY CONVERTIBLE, CUMULATIVE, FULLY
GLOBAL RURAL NETCO LIMITED 6 % PREF 29MR15MARICO
LIMITED8% NON CONVERTIBLE CUMULATIVE FULLY
MARICO LIMITED 8% PREF 011005WEP
PERIPHERALREDEEMABLE CUMULATIVE NON-CONVERTIBLE
WEP PERIPHERALS LIMITED PREF 230803GLOBTECH
ADVISORY 10% NON CONVERTIBLE, NON CUMULATIVE, FULLY
GLOBTECH ADVISORY SERVICES LIMITED 10% CHOLAMAN
DALAM 1% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
CHOLAMANDALAM INVESTMENT AND FIN. CO. INDUSTRIAL
INVESTMEN10.70% CUMULATIVE REDEEMABLE NON
INDUSTRIAL INVESTMENT BANK OF INDIA INDUSTRIAL
INVESTMEN10.70% CUMULATIVE REDEEMABLE NON
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL
INVESTMEN10.50% CUMULATIVE REDEEMABLE NON
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED TRIL
INFOPARK 0% COMPULSORY CONVERTIBLE, NON
TRIL INFOPARK LIMITED PREF 30MR19CHALET
HOTELS DIVIDEND @RE.1/- NON CONVERTIBLE NON
CHALET HOTELS PRIVATE LIMITED PREF 21DC23PARRYS
SUGAR 8% NON CONVERTIBLE, CUMULATIVE, FULLY
PARRYS SUGAR INDUSTRIES LIMITED 8% PARRYS
SUGAR 8% NON CONVERTIBLE, CUMULATIVE, FULLY
PARRYS SUGAR INDUSTRIES LIMITED 8% PARRYS
SUGAR 8 % NON CONVERTIBLE NON CUMULATIVE FULLY
PARRYS SUGAR INDUSTRIES LIMITED 8% JSW STEEL
LIMITED10 %NON CUMULATIVE NON CONVERTIBLE REDEEMABLE
JSW STEEL LIMITED 10% PREF 150918AGRO
DUTCH 6% CUMULATIVE OPTIONALLY CONVERTIBLE FULLY
AGRO DUTCH INDUSTRIES LTD 6 % PREF 31MR190.001% NON CONVERTIBLE NON
CUMULATIVE FULLY BPL LIMITED 0.001% PREF 31MR170.001% NON CONVERTIBLE NON
CUMULATIVE FULLY BPL LIMITED 0.001% PREF 22SP19CHOLAMAN
DALAM 8.50% NON CONVERTIBLE FULLY REDEEMABLE CUMULATIVE
CHOLAMANDALAM INVESTMENT AND FIN. CO. JAI CORP
LIMITED1% NON CONVERTIBLE NON CUMULATIVE REDEEMBALE
JAI CORP LIMITED 1% PREF 25NV19VEDANTA
LIMITED7.5% NON CONVERTIBLE NON CUMULATIVE FULLY
VEDANTA LIMITED 7.5% PREF 27OT18JSW STEEL
LIMITED0.01% NON CONVERTIBLE CUMULATIVE FULLY
JSW STEEL LIMITED 0.01% PREF15MR20 JSW STEEL
LIMITED0.01% NON CONVERTIBLE CUMULATIVE FULLY
JSW STEEL LIMITED 0.01% PREF 15MR20RELIANCE
COMMERCIA0% NON CONVERTIBLE NON CUMULATIVE FULLY
RELIANCE COMMERCIAL FINANCE LIMITED 0% RELIANCE
COMMERCIA10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
RELIANCE COMMERCIAL FINANCE LIMITED 10% RELIANCE
CORPORATE 2% OPTIONALLY CONVERTIBLE NON-CUMULATIVE
RELIANCE CORPORATE IT PARK LIMITED 2% PREF RELIANCE
PROJECT 10% SERIES II NON CONVERTIBLE NON
RELIANCE PROJECT VENTURES AND RELIANCE
CORPORATE OPTIONALLY CONVERTIBLE NON CUMULATIVE REEEMABLE
RELIANCE CORPORATE IT PARK LIMITED PREF RELIANCE
CORPORATE 6% OPTIONALLY CONVERTIBLE NON CUMULATIVE REEEMABLE
RELIANCE CORPORATE IT PARK LIMITED 6% PREF RELIANCE
PAYMENT 9% OPTIONALLY CONVERTIBLE NON CUMULATIVE
RELIANCE PAYMENT SOLUTIONS LIMITED 9% RELIANCE
INFRATEL 0.1% NON-CUMULATIVE, REDEEMABLE, NON
RELIANCE INFRATEL LIMITED 0.1% PREF 04SP29RELIANCE
INFRATEL 0.1% NON-CUMULATIVE, REDEEMABLE, NON
RELIANCE INFRATEL LIMITED 0.1% PREF 07NV30RELIANCE
WORLD 11 % OPTIONALLY CONVERTIBLE, CUMULATIVE,
RELIANCE WORLD TRADE PRIVATE LTD 11% SR B RELIANCE
WORLD 11% OPTIONALLY CONVERTIBLE, CUMULATIVE,
RELIANCE WORLD TRADE PRIVATE LTD 11% SR A EAST WEST
PIPELINE 9% SERIES I OPTIONALLY CONVERIBLE CUMULATIVE
EAST WEST PIPELINE LIMITED 9% SERIES I PREF EAST WEST
PIPELINE 9% SERIES II OPTIONALLY CONVERIBLE CUMULATIVE
EAST WEST PIPELINE LIMITED 9% SERIES II PREF SIKKA
PORTS & 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SIKKA PORTS & TERMINALS LIMITED 10% SIKKA
PORTS & 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SIKKA PORTS & TERMINALS LIMITED 10% SIKKA
PORTS & 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SIKKA PORTS & TERMINALS LIMITED 10% SIKKA
PORTS & 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SIKKA PORTS & TERMINALS LIMITED 10%
![Page 36: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/36.jpg)
1680 INE941D04056
1681 INE941D04064
1682 INE941D04072
1683 INE941D04080
1684 INE657I04016
1685 INE394Q04019
1686 INE758E03013
1687 INE516C04017
1688 INE045I03016
1689 INE045I04022
1690 INE699L03022
1691 INE744E04011
1692 INE744E04029
1693 INE744E04037
1694 INE744E04045
1695 INE744E04052
1696 INE744E04060
1697 INE744E04078
1698 INE744E04086
1699 INE744E04094
1700 INE744E04102
1701 INE744E04110
1702 INE744E04128
1703 INE744E04136
1704 INE744E04144
1705 INE744E04151
1706 INE744E04169
1707 INE744E04177
1708 INE744E04185
1709 INE262L04019
1710 INE108S03011
1711 INE190H04010
1712 INE290S03108
1713 INE326L03014
1714 INE333H04016
1715 INE333H04024
1716 INE514N03011
1717 INE659R03114
1718 INE659R03122
1719 INE659R03130
1720 INE659R03155
1721 INE659R03163
1722 INE046N04012
1723 INE047N04010
1724 INE108S03029
1725 INE116X04020
1726 INE117X04028
1727 INE118X04026
SIKKA PORTS &
10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SIKKA PORTS & TERMINALS LIMITED 10% SIKKA
PORTS & 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SIKKA PORTS & TERMINALS LIMITED 10% SIKKA
PORTS & 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SIKKA PORTS & TERMINALS LIMITED 10% SIKKA
PORTS & 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SIKKA PORTS & TERMINALS LIMITED 10% EAST WEST
PIPELINE 9% NON CONVERIBLE NON CUMULATIVE FULLY
EAST WEST PIPELINE LIMITED 9% PREF 31MR29RELIANCE
LAND 0% NON CONVERTIBLE NON CUMULATIVE PREFERENCE
RELIANCE LAND PRIVATE LIMITED 0% PREF 01OT19RELIANCE
STRATEGIC 9% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
RELIANCE STRATEGIC INVESTMENTS LIMITED 9% RELIANCE
TELECOM 1 % NON CONVERTIBLE CUMULATIVE FULLY
RELIANCE TELECOM LIMITED 1 PREF 02032023RELIANCE
INNOVENTU1% COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
RELIANCE INNOVENTURES PRIVATE LTD 1% PREF RELIANCE
INNOVENTU9% NON CONVERTIBLE NON CUMULATIVE FULLY
RELIANCE INNOVENTURES PRIVATE LTD 9% PREF RELIANCE
UNIVERSAL 11% OPTIONALLY CONVERTIBLE, CUMULATIVE,
RELIANCE UNIVERSAL ENTERPRISES LTD 11% PRF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF VISCOUNT
MANAGEMENON CONVERTIBLE NON CUMULATIVE FULLY
VISCOUNT MANAGEMENT SERVICES LIMITED PREF ARIEL
TRADING NON CONVERTIBLE NON CUMULATIVE PREFERENCE
ARIEL TRADING PRIVATE LIMITED PREF 17SP23THE QUOPN
COMPANY COMPULSORILY CONVERTIBLE CUMULATIVE PREFERENCE
THE QUOPN COMPANY PRIVATE LIMITED PREF SAKUMA
EXPORTS 5 % NON CONVERTIBLE CUMULATIVE FULLY
SAKUMA EXPORTS LIMITED 5 PREF 28022011MXC
SOLUTIONS 8% SERIES G FULLY CONVERTIBLE NON
MXC SOLUTIONS INDIA PRIVATE LIMITED 8% BIRLA
SURYA FULLY CONVERTIBLE NON CUMULATIVE NON
BIRLA SURYA LIMITED PREF 09OT13BHEEMA
CEMENTS 6% NON CONVERTIBLE CUMULATIVE FULLY
BHEEMA CEMENTS LIMITED 6% PREF 31MR20BHEEMA
CEMENTS ZERO% NON CONVERTIBLE CUMULATIVE FULLY
BHEEMA CEMENTS LIMITED 0% PREF 31MR20BSR SUPER
SPECIALITY FULLY CONVERTIBLE, NON CUMULATIVE, NON
BSR SUPER SPECIALITY HOSPITALS LIMITED PREF ANI
TECHNOLOG0.001% SERIES G2 FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES G1 FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES F FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES H1 FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES H FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% TOPWORTH
TOLLWAYS 0.01% NON CONVERTIBLE,NON CUMULATIVE,FULLY
TOPWORTH TOLLWAYS (UJJAIN) PRIVATE LIMITED TOPWORTH
TOLLWAYS 0.01% NON CONVERTIBLE,NON CUMULATIVE,FULLY
TOPWORTH TOLLWAYS (SATNA) PRIVATE LIMITED THE QUOPN
COMPANY 0.00001% COMPULSORILY CONVERTIBLE CUMULATIVE
THE QUOPN COMPANY PRIVATE LIMITED EDCL -
SEPPA 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - SEPPA KAWA POWER PRIVATE LIMITED EDCL -
SEPPA LADA 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - SEPPA LADA HYDRO ELECTRIC EDCL -
SEPPA 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - SEPPA MARJINGLA HYDRO ELECTRIC
![Page 37: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/37.jpg)
1728 INE119X04024
1729 INE120N04015
1730 INE120N04023
1731 INE120X04022
1732 INE124N03019
1733 INE130W03017
1734 INE143X04024
1735 INE181V04010
1736 INE197A04010
1737 INE198V04014
1738 INE209R03019
1739 INE235C04014
1740 INE235C04022
1741 INE235C04030
1742 INE235C04048
1743 INE290S03017
1744 INE290S03025
1745 INE290S03033
1746 INE290S03041
1747 INE290S03058
1748 INE290S03066
1749 INE290S03074
1750 INE290S03082
1751 INE290S03090
1752 INE290U04011
1753 INE303N03019
1754 INE365P03013
1755 INE375M03035
1756 INE376X03014
1757 INE394N04016
1758 INE406X04025
1759 INE407X04023
1760 INE408X04021
1761 INE409X04029
1762 INE410X04027
1763 INE411X04025
1764 INE415N03011
1765 INE415N03029
1766 INE415N03037
1767 INE415N03045
1768 INE415N03052
1769 INE415N03060
1770 INE415N03078
1771 INE444O04017
1772 INE445O04014
1773 INE556P03017
1774 INE578D03017
1775 INE620N04014
EDCL - SEPPA JUNG
10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - SEPPA JUNG POWER PRIVATE LIMITED HIRA INFRA-
TEK LIMITED10% NON CONVERTIBLE CUMULATIVE FULLY
HIRA INFRA-TEK LIMITED 10% PREF 30AG32HIRA INFRA-
TEK LIMITED10% NON CONVERTIBLE CUMULATIVE FULLY
HIRA INFRA-TEK LIMITED 10% PREF 30MR32EDCL -
SEPPA 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - SEPPA BEYONG HYDRO ELECTRIC ESS KAY
FINCORP 0.01% FULLY CONVERTIBLE, CUMULATIVE, PREFERENCE
ESS KAY FINCORP PRIVATE LIMITED 0.01% U DIGITAL
CONTENT 0.001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
U DIGITAL CONTENT PRIVATE LIMITED 0.001% EDCL -
SEPPA 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - SEPPA DUNKHO HYDRO ELECTRIC EASTERN
RAMGANGA NON CONVERTIBLE CUMULATIVE FULLY
EASTERN RAMGANGA VALLEY HYDEL PROJECTS JYOTI
STRUCTURE1% NON CONVERTIBLE NON CUMULATIVE, FULLY
JYOTI STRUCTURES LIMITED 1% PREF 13MR18SARJU
VALLEY NON CONVERTIBLE CUMULATIVE FULLY
SARJU VALLEY HYDEL PROJECTS COMPANY NOVALEAD
PHARMA 0.000001% SERIES A OPTIONALLY CONVERTIBLE CUMULATIVE
NOVALEAD PHARMA PRIVATE LIMITED SUMEET
INDUSTRIES 6% NON CONVERTIBLE CUMULATIVE FULLY
SUMEET INDUSTRIES LTD 6% PREF 12MR20SUMEET
INDUSTRIES 6% NON CONVERTIBLE CUMULATIVE FULLY
SUMEET INDUSTRIES LTD 6% PREF 14NV23SUMEET
INDUSTRIES 6% NON CONVERTIBLE CUMULATIVE FULLY
SUMEET INDUSTRIES LTD 6% PREF 28DC25SUMEET
INDUSTRIES 6% NON CONVERTIBLE FULLY REDEEMABLE PREFERENCE
SUMEET INDUSTRIES LTD 6% PREF 05JN26MXC
SOLUTIONS 8% FULLY CONVERTIBLE NON CUMULATIVE SERIES A
MXC SOLUTIONS INDIA PRIVATE LIMITED 8% MXC
SOLUTIONS 8% FULLY CONVERTIBLE NON CUMULATIVE SERIES A
MXC SOLUTIONS INDIA PRIVATE LIMITED 8% MXC
SOLUTIONS 8% FULLY CONVERTIBLE NON CUMULATIVE SERIES B
MXC SOLUTIONS INDIA PRIVATE LIMITED 8% MXC
SOLUTIONS 8% FULLY CONVERTIBLE NON CUMULATIVE SERIES C
MXC SOLUTIONS INDIA PRIVATE LIMITED 8% MXC
SOLUTIONS 8% FULLY CONVERTIBLE NON CUMULATIVE SERIES D
MXC SOLUTIONS INDIA PRIVATE LIMITED 8% MXC
SOLUTIONS FULLY CONVERTIBLE NON CUMULATIVE SERIES E
MXC SOLUTIONS INDIA PRIVATE LIMITED SERIES MXC
SOLUTIONS FULLY CONVERTIBLE NON CUMULATIVE SERIES E
MXC SOLUTIONS INDIA PRIVATE LIMITED SERIES MXC
SOLUTIONS FULLY CONVERTIBLE NON CUMULATIVE SERIES F
MXC SOLUTIONS INDIA PRIVATE LIMITED SERIES MXC
SOLUTIONS 8% SERIES F1 FULLY CONVERTIBLE NON
MXC SOLUTIONS INDIA PRIVATE LIMITED 8% DECCAN
EVENT 7% NON CONVERTIBLE CUMULATIVE REDEEMABLE
DECCAN EVENT MANAGEMENT PRIVATE KOLTE-
PATIL I-VEN 0.0001% OPTIONALLY CONVERTIBLE CUMULATIVE
KOLTE-PATIL I-VEN TOWNSHIPS (PUNE) PEEVEES
PROJECTS 0.001% OPTIONALLY CONVERTIBLE NON
PEEVEES PROJECTS PRIVATE LIMITED 0.001% GODAWARI
GREEN 9% OPTIONALLY CONVERTIBLE FULLY REDEEMABLE
GODAWARI GREEN ENERGY LIMITED 9 PREF ADVIK
TECNOCOM6% OPTIONALLY CONVERTIBLE NON CUMULATIVE
ADVIK TECNOCOMMERCIAL TOPWORTH
URJA & 0.01% NON CONVERTIBLE, NON CUMULATIVE, FULLY
TOPWORTH URJA & METALS LIMITED 0.01% EDCL -
TAWANG 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - TAWANG UPPER TSACHU HYDRO ELECTRIC EDCL -
TAWANG 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - TAWANG LOWER TSACHU HYDRO ELECTRIC EDCL -
TAWANG 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - TAWANG POWER PRIVATE LIMITED 10% EDCL -
SEPPA NIRE 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - SEPPA NIRE HYDRO ELECTRIC PRIVATE EDCL -
SEPPA 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - SEPPA PACHUK POWER PRIVATE LIMITED EDCL -
SEPPA 10% NON CONVERTIBLE CUMULATIVE REDEEMABLE
EDCL - SEPPA RIANG POWER PRIVATE LIMITED NAAPTOL
ONLINE FULLY CONVERTIBLE NON CUMULATIVE NON
NAAPTOL ONLINE SHOPPING PRIVATE NAAPTOL
ONLINE FULLY CONVERTIBLE NON CUMULATIVE NON
NAAPTOL ONLINE SHOPPING PRIVATE NAAPTOL
ONLINE FULLY CONVERTIBLE NON CUMULATIVE NON
NAAPTOL ONLINE SHOPPING PRIVATE NAAPTOL
ONLINE FULLY CONVERTIBLE NON CUMULATIVE NON
NAAPTOL ONLINE SHOPPING PRIVATE NAAPTOL
ONLINE FULLY CONVERTIBLE NON CUMULATIVE NON
NAAPTOL ONLINE SHOPPING PRIVATE NAAPTOL
ONLINE FULLY CONVERTIBLE NON CUMULATIVE NON
NAAPTOL ONLINE SHOPPING PRIVATE NAAPTOL
ONLINE FULLY CONVERTIBLE NON CUMULATIVE NON
NAAPTOL ONLINE SHOPPING PRIVATE TOPWORTH
TOLLWAYS 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
TOPWORTH TOLLWAYS (BELA) PRIVATE LIMITED TOPWORTH
TOLLWAYS 0.01% NON CONVERTIBLE, NON CUMULATIVE, FULLY
TOPWORTH TOLLWAYS (MANGAWAN) PRIVATE SHIKHAR
MICROFINAN9% OPTIONALLY CONVERTIBLE CUMULATIVE FULLY
SHIKHAR MICROFINANCE PRIVATE LIMITED 9% PREF MW
UNITEXX FULLY COMPULSORY CONVERTIBLE PREFERENCE
MW UNITEXX LIMITED PREF 15JN17TOPWORTH
INFRA 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
TOPWORTH INFRA PRIVATE LIMITED 0.01%
![Page 38: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/38.jpg)
1776 INE659R03015
1777 INE659R03023
1778 INE659R03031
1779 INE659R03049
1780 INE659R03056
1781 INE659R03072
1782 INE659R03080
1783 INE659R03098
1784 INE659R03106
1785 INE659R03148
1786 INE659R03171
1787 INE659R03189
1788 INE659R03197
1789 INE659R03205
1790 INE659R03213
1791 INE750D04028
1792 INE750D04044
1793 INE842U04019
1794 INE844U03017
1795 INE854L03031
1796 INE854L03056
1797 INE854L03064
1798 INE910O04017
1799 INE958W03086
1800 INE982W03011
1801 INE982W03029
1802 INE982W03037
1803 INE982W03045
1804 INE982W03052
1805 INE992T04014
1806 INE958W03011
1807 INE958W03029
1808 INE958W03037
1809 INE958W03045
1810 INE958W03052
1811 INE958W03060
1812 INE958W03078
1813 INE433N03048
1814 INE433N03071
1815 INE659R03064
1816 INE731F04015
1817 INE731P03065
1818 INE731P03073
1819 INE750D04010
1820 INE750D04036
1821 INE770V03012
1822 INE772A04010
1823 INE802M03012
ANI TECHNOLOG
0.001% FULLY CONVERTIBLE CUMULATIVE NON
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES A FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES A FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES A FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES C FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES D FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES D FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES D FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES E FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES G FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES H2 FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES I COMPULSORY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES I1 COMPULSORY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES I1 COMPULSORY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% ANI
TECHNOLOG0.001% SERIES I1 COMPULSORY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% RELIANCE
CHEMOTEX 10% CUMULATIVE FULLY REDEEMABLE PREFERENCE
RELIANCE CHEMOTEX INDUSTRIES LIMITED 10% RELIANCE
CHEMOTEX 10% CUMULATIVE FULLY REDEEMABLE PREFERENCE
RELIANCE CHEMOTEX INDUSTRIES LIMITED 10% MAHALAXMI
TMT 5% NON CONVERTIBLE CUMULATIVE REDEEMABLE
MAHALAXMI TMT PRIVATE LIMITED 5% PREF TRIVITRON
HEALTHCARFULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
TRIVITRON HEALTHCARE PRIVATE LIMITED PREF FOURCEE
INFRASTRUC0.001% COMPULSORILY CONVERTIBLE SERIES D
FOURCEE INFRASTRUCTURE FOURCEE
INFRASTRUC0.001% COMPULSORILY CONVERTIBLE SERIES A
FOURCEE INFRASTRUCTURE FOURCEE
INFRASTRUC0.001% FULLY CONVERTIBLE SERIES B CUMULATIVE NON
FOURCEE INFRASTRUCTURE VIKRAM
HOSPITAL 10% NON CONVERTIBLE NON CUMULATIVE FULLY
VIKRAM HOSPITAL (BENGALURU) PRIVATE RESFEBER
LABS 0.01% SERIES B1 COMPULSROY CONVERTIBLE CUMULATIVE
RESFEBER LABS PRIVATE LIMITED 0.01% SERIES B1 CORVI LED
PRIVATE 16% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
CORVI LED PRIVATE LIMITED 16% PREF 31OT21CORVI LED
PRIVATE 16% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
CORVI LED PRIVATE LIMITED 16% PREF 28V21CORVI LED
PRIVATE 16% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
CORVI LED PRIVATE LIMITED 16% PREF 11MR22CORVI LED
PRIVATE 16% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
CORVI LED PRIVATE LIMITED 16% PREF 28FB22CORVI LED
PRIVATE 16% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
CORVI LED PRIVATE LIMITED 16% PREF 27DC21ARUNACHAL
HYDRO NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
ARUNACHAL HYDRO POWER LIMITED PREF RESFEBER
LABS 0.001% SERIES A COMPULSROY CONVERTIBLE CUMULATIVE
RESFEBER LABS PRIVATE LIMITED 0.001% SERIES A RESFEBER
LABS 0.01% SERIES B COMPULSROY CONVERTIBLE CUMULATIVE
RESFEBER LABS PRIVATE LIMITED 0.01% SERIES B RESFEBER
LABS 0.01% SERIES B COMPULSROY CONVERTIBLE CUMULATIVE
RESFEBER LABS PRIVATE LIMITED 0.01% SERIES B RESFEBER
LABS 0.01% SERIES B COMPULSROY CONVERTIBLE CUMULATIVE
RESFEBER LABS PRIVATE LIMITED 0.01% SERIES B RESFEBER
LABS 0.01% SERIES B1 COMPULSROY CONVERTIBLE CUMULATIVE
RESFEBER LABS PRIVATE LIMITED 0.01% SERIES B1 RESFEBER
LABS 0.01% SERIES B1 COMPULSROY CONVERTIBLE CUMULATIVE
RESFEBER LABS PRIVATE LIMITED 0.01% SERIES B1 RESFEBER
LABS 0.01% SERIES B1 COMPULSROY CONVERTIBLE CUMULATIVE
RESFEBER LABS PRIVATE LIMITED 0.01% SERIES B1 SMAAASH
ENTERTAIN0.01% FULLY CONVERTIBLE, NON- CUMULATIVE
SMAAASH ENTERTAINMENT PRIVATE SMAAASH
ENTERTAIN0.01% COMPULSORY CONVERTIBLE, NON
SMAAASH ENTERTAINMENT PRIVATE ANI
TECHNOLOG0.001% SERIES C FULLY CONVERTIBLE CUMULATIVE
ANI TECHNOLOGIES PRIVATE LIMITED 0.001% RMG ALLOY
STEEL 12% NON CONVERTIBLE CUMULATIVE FULLY
RMG ALLOY STEEL LIMITED 12% PREF 18FB23GIRNAR
SOFTWARE 0.0001% SERIS B FULLY CONVERTIBLE CUMULATIVE
GIRNAR SOFTWARE PRIVATE LIMITED 0.0001% GIRNAR
SOFTWARE 0.0001% SERIS B3 COMPULSORY CONVERTIBLE CUMULATIVE
GIRNAR SOFTWARE PRIVATE LIMITED 0.0001% RELIANCE
CHEMOTEX 10% CUMULATIVE FULLY REDEEMABLE PREFERENCE
RELIANCE CHEMOTEX INDUSTRIES LIMITED 10% RELIANCE
CHEMOTEX 10% CUMULATIVE FULLY REDEEMABLE PREFERENCE
RELIANCE CHEMOTEX INDUSTRIES LIMITED 10% INTERNATIO
NAL SOLAR COMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
INTERNATIONAL SOLAR CORPORATION PRIVATE S. KUMARS
NATIONWID0.01 % NON CONVERTIBLE NON CUMULATIVE FULLY
S. KUMARS NATIONWIDE LIMITED 0.01 PREF SAMSON
MARITIME 0.1% FULLY CONVERTIBLE CUMULATIVE SERIES A
SAMSON MARITIME LIMITED 0.1% SR. A PREF
![Page 39: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/39.jpg)
1824 INE802M03020
1825 INE826A03016
1826 INE844U03025
1827 INE854L03049
1828 INE884R03019
1829 INE899Q03019
1830 INE910O04025
1831 INE931V03010
1832 INE931V03028
1833 INE941R03017
1834 INE953R04028
1835 INE968D03010
1836 INE433N03055
1837 INE433N03063
1838 INE900Z03016
1839 INE900Z03024
1840 INE900Z03032
1841 INE900Z03040
1842 INE900Z03057
1843 INE900Z03065
1844 INE900Z03073
1845 INE060W03016
1846 INE060W03032
1847 INE332W04033
1848 INE518V03015
1849 INE720X04011
1850 INE533C03014
1851 INE708N03027
1852 INE823Q03019
1853 INE899Q04017
1854 INE899Q04025
1855 INE958W03094
1856 INE958W03102
1857 INE135X03014
1858 INE419N04011
1859 INE691Q03010
1860 INE691Q03028
1861 INE00FG03011
1862 INE533C03022
1863 INE108S03037
1864 INE110Y03023
1865 INE498T03014
1866 INE508U03026
1867 INE108V03015
1868 INE108V03023
1869 INE708N03019
1870 INE859C03013
1871 INE859C03021
SAMSON MARITIME
0.1% FULLY CONVERTIBLE CUMULATIVE SERIES B
SAMSON MARITIME LIMITED 0.1% SR.B PREF ENTEGRA
LIMITEDZERO% COMPULSORILY CONVERTIBLE, NON
ENTEGRA LIMITED 0% PREF 13DC14TRIVITRON
HEALTHCARCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
TRIVITRON HEALTHCARE PRIVATE LIMITED CCPS 2 FOURCEE
INFRASTRUC0.001% COMPULSORILY CONVERTIBLE SERIES C
FOURCEE INFRASTRUCTURE SIMEC
INDUS FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
SIMEC INDUS RESOURCES PRIVATE LIMITED PREF QVC REALTY
CO. LIMITED0.001% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
QVC REALTY CO. LIMITED 0.001% PREF 09AG27VIKRAM
HOSPITAL 10% NON CONVERTIBLE NON CUMULATIVE FULLY
VIKRAM HOSPITAL (BENGALURU) PRIVATE KEC
BIKANER 1% OPTIONALLY CONVERTIBLE NON CUMULATIVE
KEC BIKANER SIKAR TRANSMISSION PRIVATE KEC
BIKANER 1% OPTIONALLY CONVERTIBLE NON CUMULATIVE
KEC BIKANER SIKAR TRANSMISSION PRIVATE MSW
BHUBANESW0.01% OPTIONALLY CONVERTIBLE, CUMULATIVE
MSW BHUBANESWAR LIMITED 0.01% PREF P. N. GADGIL
JEWELLERS 8% NON CONVERTIBLE NON CUMULATIVE FULLY
P. N. GADGIL JEWELLERS PRIVATE LIMITED 8% PREF ARSHIYA
LIMITEDSERIES I OPTIONALLY CONVERTIBLE NON
ARSHIYA LIMITED SERIES I PRF 07NV38SMAAASH
ENTERTAIN0.01% COMPULSORY CONVERTIBLE, NON
SMAAASH ENTERTAINMENT PRIVATE SMAAASH
ENTERTAIN0.01% COMPULSORY CONVERTIBLE, NON
SMAAASH ENTERTAINMENT PRIVATE BIRDS EYE
SYSTEMS SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
BIRDS EYE SYSTEMS PRIVATE LIMITED SERIES BIRDS EYE
SYSTEMS SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
BIRDS EYE SYSTEMS PRIVATE LIMITED SERIES BIRDS EYE
SYSTEMS SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
BIRDS EYE SYSTEMS PRIVATE LIMITED SERIES BIRDS EYE
SYSTEMS SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
BIRDS EYE SYSTEMS PRIVATE LIMITED SERIES BIRDS EYE
SYSTEMS SERIES A1 COMPULSORY CONVERTIBLE CUMULATIVE
BIRDS EYE SYSTEMS PRIVATE LIMITED SERIES BIRDS EYE
SYSTEMS SERIES A2 COMPULSORY CONVERTIBLE CUMULATIVE
BIRDS EYE SYSTEMS PRIVATE LIMITED SERIES BIRDS EYE
SYSTEMS SERIES B1 COMPULSORY CONVERTIBLE CUMULATIVE
BIRDS EYE SYSTEMS PRIVATE LIMITED SERIES CONNECT
INDIA E-0.001% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
CONNECT INDIA E-COMMERCE SERVICES CONNECT
INDIA E-0.001% SERIES C COMPULSORY CONVERTIBLE NON
CONNECT INDIA E-COMMERCE SERVICES STAMLO
INDUSTRIES 9.25% NON CONVERTIBLE CUMULATIVE REDEEMABLE
STAMLO INDUSTRIES LIMITED 9.25% PREF DSL
INFRASTRUC13.93% SERIES B COMPULSORY CONVERTIBLE NON
DSL INFRASTRUCTURE AND SPACE DEVELOPERS ARMAANYA
TEXTILES 0.05% NON CONVERTIBLE NON CUMULATIVE FULLY
ARMAANYA TEXTILES PRIVATE LIMITED 0.05% KJMC
FINANCIAL 0% COMPULSORY CONVERTIBLE PREFRENCE SHARES WITH FACE
KJMC FINANCIAL SERVICES LIMITED PREF BEAVER
ENGINEERINOPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
BEAVER ENGINEERING & HOLDINGS LIMITED PREF PRESS2
DRYCLEANI0.01% COMPULSORILY CONVERTIBLE NON
PRESS2 DRYCLEANING AND LAUNDRY PRIVATE QVC REALTY
CO. LIMITED0.001% FULLY REDEEMABLE CUMULATIVE PREFERENCE
QVC REALTY CO. LIMITED 0.001% PREF 29MR27QVC REALTY
CO. LIMITED0.001% FULLY REDEEMABLE CUMULATIVE PREFERENCE
QVC REALTY CO. LIMITED 0.001% PREF 09AG27RESFEBER
LABS 0.01% SERIES B2 COMPULSROY CONVERTIBLE CUMULATIVE
RESFEBER LABS PRIVATE LIMITED 0.01% SERIES B2 RESFEBER
LABS 0.01% SERIES B2 COMPULSROY CONVERTIBLE CUMULATIVE
RESFEBER LABS PRIVATE LIMITED 0.01% SERIES B2 ADANI GAS
HOLDINGS COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERNECE
ADANI GAS HOLDINGS LIMITED PREF 17AP37CREST
STEEL AND 5% NON CONVERTIBLE, NON CUMULATIVE, FULLY
CREST STEEL AND POWER PRIVATE LIMITED 5% PREF THINKCELL
LEARNING 0.01% CONVERTIBLE CUMULATIVE PREFERENCE
THINKCELL LEARNING SOLUTIONS PRIVATE THINKCELL
LEARNING 0.01% SERIES A OPTIONALLY CONVERTIBLE NON
THINKCELL LEARNING SOLUTIONS PRIVATE PICTURE
TIME 0.01% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
PICTURE TIME DIGIPLEX PRIVATE LIMITED 0.01% KJMC
FINANCIAL 0% COMPULSORY CONVERTIBLE PREFRENCE SHARES WITH FACE
KJMC FINANCIAL SERVICES LIMITED PREF THE QUOPN
COMPANY 0.00001% SERIES I COMPULSORILY CONVERTIBLE
THE QUOPN COMPANY PRIVATE LIMITED IMPRESARIO
ENTERTAIN0.01% COMPULSORY CONVERTIBLE NON
IMPRESARIO ENTERTAINMENT AND BAIDYANAT
H POWER 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
BAIDYANATH POWER PRIVATE LIMITED 0.01 RAJGREEN
HOSPITALIT0.01% COMPULSORY CONVERTIBLE CUMULATIVE
RAJGREEN HOSPITALITY LIMITED 0.01% PREF AWFIS
SPACE 0.0001% SERISE B COMPULSORY CONVERTIBLE CUMULATIVE
AWFIS SPACE SOLUTIONS PRIVATE LIMITED 0.0001% AWFIS
SPACE 0.0001% SERISE B COMPULSORY CONVERTIBLE CUMULATIVE
AWFIS SPACE SOLUTIONS PRIVATE LIMITED 0.0001% BEAVER
ENGINEERIN0.01% COMPULSORILY CONVERTIBLE NON
BEAVER ENGINEERING & HOLDINGS LIMITED 0.01% IKF FINANCE
LIMITEDCOMPULSORY CONVERTIBLE, NON CUMULATIVE PREFERENCE
IKF FINANCE LIMITED PREF 22JN19IKF FINANCE
LIMITEDCOMPULSORY CONVERTIBLE, NON CUMULATIVE PREFERENCE
IKF FINANCE LIMITED PREF 18JN19
![Page 40: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/40.jpg)
1872 INE750D04077
1873 INE750C04012
1874 INE648U03012
1875 INE529N03019
1876 INE433N03030
1877 INE354U03017
1878 INE354U03025
1879 INE126I03014
1880 INE750D04051
1881 INE750D04069
1882 INE433N03022
1883 INE514N03029
1884 INE696O03014
1885 INE696O03022
1886 INE696O03030
1887 INE731P03016
1888 INE731P03024
1889 INE731P03032
1890 INE731P03040
1891 INE731P03057
1892 INE731P03081
1893 INE943M03014
1894 INE937R04013
1895 INE937R04021
1896 INE937R04039
1897 INE937R04047
1898 INE937R04054
1899 INE937R04062
1900 INE937R04070
1901 INE992V03012
1902 INE992V04010
1903 INE183H04015
1904 INE161G04013
1905 INE124G03013
1906 INE124G04029
1907 INE538F03149
1908 INE009J03036
1909 INE009J03044
1910 INE128K03016
1911 INE229K03038
1912 INE229K03046
1913 INE351S03017
1914 INE229K03053
1915 INE351S03025
1916 INE794L03021
1917 INE794L03039
1918 INE248L03044
1919 INE229K03020
RELIANCE CHEMOTEX
NON CONVERTIBLE NON CUMULATIVE FULLY
RELIANCE CHEMOTEX INDUSTRIES LIMITED PREF MARKSANS
PHARMA 7 % NON CONVERTIBLE NON CUMULATIVE FULLY
MARKSANS PHARMA LTD. 7 PREF 23032008BOOK MY
FOREX COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
BOOK MY FOREX PRIVATE LIMITED PREF 04FB36GREENKO
WIND 14% FULLY CONVERTIBLE, CUMULATIVE, PREFERENCE
GREENKO WIND PROJECTS PRIVATE LIMITED 14% SMAAASH
ENTERTAIN0.01% COMPULSORY CONVERTIBLE, NON
SMAAASH ENTERTAINMENT PRIVATE DANU WIND
PARKS 0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
DANU WIND PARKS PRIVATE LIMITED 0.01% DANU WIND
PARKS 0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
DANU WIND PARKS PRIVATE LIMITED 0.01% PAN INDIA
MOTORS ZERO % FULLY CONVERTIBLE, CUMULATIVE, PREFERENCE
PAN INDIA MOTORS PRIVATE LIMITED ZERO % RELIANCE
CHEMOTEX 10% CUMULATIVE FULLY REDEEMABLE PREFERENCE
RELIANCE CHEMOTEX INDUSTRIES LIMITED 10% RELIANCE
CHEMOTEX NON CONVERTIBLE CUMULATIVE FULLY
RELIANCE CHEMOTEX INDUSTRIES LIMITED PREF SMAAASH
ENTERTAIN0.01% COMPULSORY CONVERTIBLE, NON
SMAAASH ENTERTAINMENT PRIVATE BSR SUPER
SPECIALITY COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
BSR SUPER SPECIALITY HOSPITALS LIMITED MAGICRETE
BUILDING FULLY CONVERTIBLE CUMULATIVE PREFERENCE
MAGICRETE BUILDING SOLUTIONS PRIVATE MAGICRETE
BUILDING FULLY CONVERTIBLE CUMULATIVE PREFERENCE
MAGICRETE BUILDING SOLUTIONS PRIVATE MAGICRETE
BUILDING FULLY CONVERTIBLE CUMULATIVE PREFERENCE
MAGICRETE BUILDING SOLUTIONS PRIVATE GIRNAR
SOFTWARE 0.0001% COMPULSORILY CONVERTIBLE CUMULATIVE
GIRNAR SOFTWARE PRIVATE LIMITED 0.0001% GIRNAR
SOFTWARE 0.0001% FULLY CONVERTIBLE CUMULATIVE NON
GIRNAR SOFTWARE PRIVATE LIMITED 0.0001% GIRNAR
SOFTWARE 0.0001% FULLY CONVERTIBLE CUMULATIVE NON
GIRNAR SOFTWARE PRIVATE LIMITED 0.0001% GIRNAR
SOFTWARE 0.0001% SERIS B FULLY CONVERTIBLE CUMULATIVE
GIRNAR SOFTWARE PRIVATE LIMITED 0.0001% GIRNAR
SOFTWARE 0.0001% SERIS B FULLY CONVERTIBLE CUMULATIVE
GIRNAR SOFTWARE PRIVATE LIMITED 0.0001% GIRNAR
SOFTWARE 0.0001% SERIS B3 COMPULSORY CONVERTIBLE CUMULATIVE
GIRNAR SOFTWARE PRIVATE LIMITED 0.0001% SEEDWORKS
INTERNATIO5% COMPULSROY CONVERTIBLE CUMULATIVE PREFERENCE
SEEDWORKS INTERNATIONAL PRIVATE 2020
IMAGING 1% NON CONVERTIBLE NON CUMULATIVE FULLY
2020 IMAGING INDIA LIMITED 1% PREF 09NV242020
IMAGING 1% NON CONVERTIBLE NON CUMULATIVE FULLY
2020 IMAGING INDIA LIMITED 1% PREF 18NV242020
IMAGING 1% NON CONVERTIBLE NON CUMULATIVE FULLY
2020 IMAGING INDIA LIMITED 1% PREF 27NV242020
IMAGING 1% NON CONVERTIBLE NON CUMULATIVE FULLY
2020 IMAGING INDIA LIMITED 1% PREF 07JN252020
IMAGING 1% NON CONVERTIBLE NON CUMULATIVE FULLY
2020 IMAGING INDIA LIMITED 1% PREF 17MR252020
IMAGING 1% NON CONVERTIBLE NON CUMULATIVE FULLY
2020 IMAGING INDIA LIMITED 1% PREF 13AP252020
IMAGING 1% NON CONVERTIBLE NON CUMULATIVE FULLY
2020 IMAGING INDIA LIMITED 1% PREF 10MY25SAMBANDH
FINSERVE 11.88% SERIS I OPTIONALLY CONVERTIBLE CUMULATIVE
SAMBANDH FINSERVE PRIVATE LIMITED 11.88% SAMBANDH
FINSERVE 11.88% SERIES I NON CONVERTIBLE CUMULATIVE
SAMBANDH FINSERVE PRIVATE LIMITED 11.88% XL ENERGY
LIMITED6.75 % NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
XL ENERGY LIMITED 6.75% PREF 31DC24MORARJEE
TEXTILES 5 % Non Convertible Cumulative Fully Redeemable Preference shares;
MORARJEE TEXTILES LIMITED 5 PREF 151119DELTA CORP
LIMITED0.001% OPTIONALLY CONVERTIBLE, NON
DELTA CORP LIMITED 0.001% PREF 07FB19DELTA CORP
LIMITED1% NON CONVERTIBLE, NON CUMULATIVE PREFERENCE
DELTA CORP LIMITED 1% PREF 07AG18ESSAR
POWER 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
ESSAR POWER LIMITED 0.01% PREF 21MR23ESSAR
POWER M.P. RESET RATE COMPULSORY CONVERTIBLE CUMULATIVE
ESSAR POWER M.P. LIMITED RR PREF 19NV35ESSAR
POWER M.P. RESET RATE COMPULSORY CONVERTIBLE CUMULATIVE
ESSAR POWER M.P. LIMITED RR PREF 24MR36ESSAR
POWER 5% OPTIONALLY CONVERTIBLE NON CUATIVE REDEEMABLE
ESSAR POWER (JHARKHAND) LIMITED 5% ESSAR BULK
TERMINAL 0.01 % COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR BULK TERMINAL (SALAYA) LTD. 0.01% PREF ESSAR BULK
TERMINAL 0.01 % COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR BULK TERMINAL (SALAYA) LTD. 0.01% PREF ESSAR
PARADIP 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
ESSAR PARADIP TERMINALS LIMITED ESSAR BULK
TERMINAL 0.01 % COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR BULK TERMINAL (SALAYA) LTD. 0.01% PREF ESSAR
PARADIP 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
ESSAR PARADIP TERMINALS LIMITED ESSAR BULK
TERMINAL 0.01% COMPULSORILY CUMULATIVE CONVERTIBLE
ESSAR BULK TERMINAL PARADIP LIMITED 0.01% ESSAR BULK
TERMINAL 0.01% COMPULSORILY CUMULATIVE CONVERTIBLE
ESSAR BULK TERMINAL PARADIP LIMITED 0.01% ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE CUMULATIVE
ESSAR POWER HAZIRA LIMITED RR PREF 21MR33ESSAR BULK
TERMINAL 0.01 % COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR BULK TERMINAL (SALAYA) LTD. 0.01% PREF
![Page 41: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/41.jpg)
1920 INE538F03131
1921 INE009J03051
1922 INE009J03010
1923 INE009J03028
1924 INE009J03069
1925 INE009J04018
1926 INE128K03024
1927 INE248L03036
1928 INE229K03061
1929 INE255J03035
1930 INE538F03115
1931 INE538F03123
1932 INE127A04025
1933 INE538F03198
1934 INE538F03206
1935 INE538F03214
1936 INE771K03021
1937 INE223L03039
1938 INE248L03051
1939 INE248L03077
1940 INE248L03085
1941 INE223L03062
1942 INE248L03093
1943 INE223L03070
1944 INE248L03101
1945 INE248L03119
1946 INE223L03088
1947 INE248L03127
1948 INE248L03150
1949 INE538F03156
1950 INE538F03180
1951 INE223L03047
1952 INE538F03164
1953 INE538F04014
1954 INE223L03096
1955 INE248L03135
1956 INE771K03013
1957 INE538F03172
1958 INE248L03010
1959 INE248L03028
1960 INE255J03027
1961 INE538F03024
1962 INE538F03032
1963 INE538F03040
1964 INE538F03057
1965 INE538F03065
1966 INE538F03073
1967 INE538F03081
ESSAR POWER
0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
ESSAR POWER LIMITED 0.01% PREF 07OT22ESSAR
POWER M.P. RESET RATE COMPULSORY CONVERTIBLE CUMULATIVE
ESSAR POWER M.P. LIMITED RR PREF 19JN37ESSAR
POWER M.P. RESET RATE COMPULSORILY CONVERTIBLE PREFERENCE
ESSAR POWER M.P. LIMITED RR PREF 09AP34ESSAR
POWER M.P. RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER M.P. LIMITED RR PREF 04AG35ESSAR
POWER M.P. RESET RATE COMPULSORY CONVERTIBLE CUMULATIVE
ESSAR POWER M.P. LIMITED RR PREF 30OT37ESSAR
POWER M.P. RESET RATE CUMULATIVE FULLY REDEEMABLE
ESSAR POWER M.P. LIMITED RR PREF 01AP27ESSAR
POWER 5% OPTIONALLY CONVERTIBLE NON CUATIVE REDEEMABLE
ESSAR POWER (JHARKHAND) LIMITED 5% ESSAR
POWER 0% COMPULSORILY CONVERTIBLE,
ESSAR POWER HAZIRA LIMITED 0% PREF 29MR32ESSAR BULK
TERMINAL COMPULSORILY CONVERTIBLE, CUMULATIVE, PREFERENCE
ESSAR BULK TERMINAL (SALAYA) LTD. PREF ESSAR BULK
TERMINAL 0.01% COMPULSORILY CONVERTIBLE,CUMULATIVE,
ESSAR BULK TERMINAL LIMITED 0.01% PREF ESSAR
POWER 0.01% COMPULSORY CONVERTIBLE, CUMULATIVE,
ESSAR POWER LIMITED 0.01% PREF 25SP21ESSAR
POWER 0.01% COMPULSORY CONVERTIBLE, CUMULATIVE,
ESSAR POWER LIMITED 0.01% PREF 29MR22ESSAR
STEEL INDIA 10 % NON CONVERTIBLE CUMULATIVE FULLY
ESSAR STEEL INDIA LIMITED 10 PREF 01092018ESSAR
POWER 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
ESSAR POWER LIMITED 0.01% PREF 18MR25ESSAR
POWER 8% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
ESSAR POWER LIMITED 8% PREF 18MR22ESSAR
POWER 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
ESSAR POWER LIMITED 0.01% PREF 26MR27ESSAR
OILFIELD 14.5% OPTIONALLY CONVERTIBLE CUMULATIVE
ESSAR OILFIELD SERVICES INDIA LTD 14.5% PREF ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER (ORISSA) LIMITED RR PREF 15SP33ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE,
ESSAR POWER HAZIRA LIMITED RR PREF 15SP33ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER HAZIRA LIMITED RR PREF 20JU34ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER HAZIRA LIMITED RR PREF 31AG34ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER (ORISSA) LIMITED RR PREF 29MR35ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER HAZIRA LIMITED RR PREF 29MR35ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER (ORISSA) LIMITED RR PREF 18MY35ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER HAZIRA LIMITED RR PREF 18MY35ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER HAZIRA LIMITED RR PREF 04AG35ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER (ORISSA) LIMITED RR PREF 19NV35ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER HAZIRA LIMITED RR PREF 19NV35ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER HAZIRA LIMITED RR PREF 3JN37ESSAR
POWER 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
ESSAR POWER LIMITED 0.01% PREF 15SP23ESSAR
POWER 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
ESSAR POWER LIMITED 0.01% PREF 29DC25ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER (ORISSA) LIMITED RR PREF 27MR34ESSAR
POWER 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
ESSAR POWER LIMITED 0.01% PREF 16MR24ESSAR
POWER 10.25% NON CONVERTIBLE CUMULATIVE REDEEMABLE
ESSAR POWER LIMITED 10.25% PREF 31MR34ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER (ORISSA) LIMITED RR PREF 29MY36ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER HAZIRA LIMITED RR PREF 29MR36ESSAR
OILFIELD 14.5% OPTIONALLY CONVERTIBLE CUMULATIVE
ESSAR OILFIELD SERVICES INDIA LTD 14.5% PREF ESSAR
POWER 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
ESSAR POWER LIMITED 0.01% PREF 31AG24ESSAR
POWER 0% CUMULATIVE, COMPULSORILY CONVERTIBLE
ESSAR POWER HAZIRA LIMITED 0% PREF 28JU30ESSAR
POWER 0% COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER HAZIRA LIMITED 0% PREF 30MR31ESSAR BULK
TERMINAL COMPULSORY CONVERTIBLE CUMULATIVE REDEEMABLE
ESSAR BULK TERMINAL LIMITED 0.01% PREF ESSAR
POWER 0.01 % CUMULATIVE, COMPULSORILY CONVERTIBLE
ESSAR POWER LIMITED 0.01% PREF 25AP20ESSAR
POWER 0.01 % CUMULATIVE, COMPULSORILY CONVERTIBLE
ESSAR POWER LIMITED 0.01 % PREF 30MR20ESSAR
POWER 0.01 % CUMULATIVE, COMPULSORILY CONVERTIBLE
ESSAR POWER LIMITED 0.01% PREF 18MR20ESSAR
POWER 0.01 % CUMULATIVE, COMPULSORILY CONVERTIBLE
ESSAR POWER LIMITED 0.01 % PREF 19AP19ESSAR
POWER 0.01 % CUMULATIVE, COMPULSORILY CONVERTIBLE
ESSAR POWER LIMITED 0.01% PREF 17MR19ESSAR
POWER 0.01 % CUMULATIVE, COMPULSORILY CONVERTIBLE
ESSAR POWER LIMITED 0.01% PREF 31JL18ESSAR
POWER 0.01% CUMULATIVE, COMPULSORILY CONVERTIBLE,
ESSAR POWER LIMITED 0.01 % PREF 25MY20
![Page 42: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/42.jpg)
1968 INE538F03099
1969 INE538F03107
1970 INE223L03013
1971 INE223L03021
1972 INE229K03012
1973 INE255J03019
1974 INE454H03012
1975 INE794L03013
1976 INE248L03069
1977 INE248L03143
1978 INE127A04017
1979 INE093S03015
1980 INE093S03056
1981 INE093S03023
1982 INE093S03031
1983 INE093S03049
1984 INE361D04016
1985 INE800C04031
1986 INE800C04023
1987 INE800C04015
1988 INE690V03012
1989 INE690V03020
1990 INE690V03038
1991 INE690V03046
1992 INE690V03053
1993 INE690V03061
1994 INE559V03019
1995 INE443W03014
1996 INE379Z04011
1997 INE317K04013
1998 INE443W03022
1999 INE443W03030
2000 INE793U03016
2001 INE527W03014
2002 INE527W03022
2003 INE527W03030
2004 INE527W03048
2005 INE527W03055
2006 INE133B03015
2007 INE505V03012
2008 INE612F03019
2009 INE969S03016
2010 INE969S03024
2011 INE969S03032
2012 INE156P03024
2013 INE875R04015
2014 INE919K03018
2015 INE919K04016
ESSAR POWER
0.01% COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER LIMITED 0.01% PREF 26SP20ESSAR
POWER 0.01% COMPULSORILY CONVERTIBLE, CUMULATIVE
ESSAR POWER LIMITED 0.01% PREF 30MR21ESSAR
POWER 0% CUMULATIVE CONVERTIBLE PREFERENCE SHARES WITH
ESSAR POWER (ORISSA) LIMITED 0%PREF 28JU30ESSAR
POWER 0% COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER (ORISSA) LIMITED 0% PREF 26SP30ESSAR BULK
TERMINAL 0.01 % COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR BULK TERMINAL (SALAYA) LTD. 0.01% PREF ESSAR BULK
TERMINAL COMPULSORY CONVERTIBLE CUMULATIVE NON
ESSAR BULK TERMINAL LIMITED 0.01% PREF VADINAR
POWER 0% COMPULSORILY CONVERTIBLE CUMULATIVE
VADINAR POWER COMPANY LIMITED 0% ESSAR BULK
TERMINAL 0.01% CUMULATIVE COMPULSORILY CONVERTIBLE
ESSAR BULK TERMINAL PARADIP LIMITED 0.01% ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE,
ESSAR POWER HAZIRA LIMITED RR PREF 27MR34ESSAR
POWER RESET RATE COMPULSORILY CONVERTIBLE, CUMULATIVE,
ESSAR POWER HAZIRA LIMITED RR PREF 29MY36ESSAR
STEEL INDIA 0.01 % NON CONVERTIBLE CUMULATIVE REDEEMABLE
ESSAR STEEL INDIA LIMITED PREF 0.01 ESSAR
VIZAG COMPULSORILY CONVERTIBLE CUMULATIVE PREFERENCE
ESSAR VIZAG TERMINALS LIMITED PREF 08JN35ESSAR
VIZAG COMPULSORILY CONVERTIBLE CUMULATIVE PREFERENCE
ESSAR VIZAG TERMINALS LIMITED PREF 21SP36ESSAR
VIZAG 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
ESSAR VIZAG TERMINALS LIMITED 0.01% PREF ESSAR
VIZAG 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
ESSAR VIZAG TERMINALS LIMITED 0.01% PREF ESSAR
VIZAG 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
ESSAR VIZAG TERMINALS LIMITED 0.01% PREF UNI-ABEX
ALLOY 10% CUMULATIVE NON CONVERTIBLE REEDEMABLE
UNI-ABEX ALLOY PRODUCTS LIMITED 10% LOOP
MOBILE 1% NON CUMULATIVE NON CONVERTIBLE REDEEMABLE
LOOP MOBILE HOLDINGS INDIA LIMITED 1 PREF LOOP
MOBILE 1% non cumulative non convertible redeemable preference shares. Date of
LOOP MOBILE HOLDINGS INDIA LIMITED 1 PREF LOOP
MOBILE 1% non cumulative non convertible redeemable prefernce shares.date of
LOOP MOBILE HOLDINGS INDIA LIMITED 1 PREF CITRUS
PAYMENT 0.001% SERIES A FULLY CONVERTIBLE CUMULATIVE
CITRUS PAYMENT SOLUTIONS PRIVATE CITRUS
PAYMENT 0.001% SERIES A FULLY CONVERTIBLE CUMULATIVE
CITRUS PAYMENT SOLUTIONS PRIVATE CITRUS
PAYMENT 0.001% SERIES B FULLY CONVERTIBLE CUMULATIVE
CITRUS PAYMENT SOLUTIONS PRIVATE CITRUS
PAYMENT 0.001% SERIES C FULLY CONVERTIBLE CUMULATIVE
CITRUS PAYMENT SOLUTIONS PRIVATE CITRUS
PAYMENT 0.001% SERIES B FULLY CONVERTIBLE CUMULATIVE
CITRUS PAYMENT SOLUTIONS PRIVATE CITRUS
PAYMENT 0.001% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
CITRUS PAYMENT SOLUTIONS PRIVATE EPC
OFFSHORE 0.01% COMPULSORILY CONVERTIBLE NON
EPC OFFSHORE SUBSEA PROJECTS LIMITED 0.01% AVENUES
PAYMENTS 0.01% PRE-SERIES A COMPULSARY CONVERTIBLE
AVENUES PAYMENTS INDIA PRIVATE LIMITED TUNGA
INFRASTRUC2% NON CONVERTIBLE CUMULATIVE REDEEMABLE
TUNGA INFRASTRUCTURES NEPTUNE
REALTORS 7% NON CONVERTIBLE, NON CUMULATIVE REDEEMABLE
NEPTUNE REALTORS PRIVATE LIMITED 7% PREF AVENUES
PAYMENTS 0.01% PRE-SERIES A COMPULSARY CONVERTIBLE
AVENUES PAYMENTS INDIA PRIVATE LIMITED AVENUES
PAYMENTS 0.01% PRE-SERIES A COMPULSARY CONVERTIBLE
AVENUES PAYMENTS INDIA PRIVATE LIMITED IMPERIAL
CONSULTAN1% OPTIONALLY CONVERTIBLE NON CUMULATIVE
IMPERIAL CONSULTANTS AND SECURITIES PRIVATE BACKWATER
TECHNOLOG0.001% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
BACKWATER TECHNOLOGIES PRIVATE BACKWATER
TECHNOLOG0.001% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
BACKWATER TECHNOLOGIES PRIVATE BACKWATER
TECHNOLOG0.001% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
BACKWATER TECHNOLOGIES PRIVATE BACKWATER
TECHNOLOG0.001% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
BACKWATER TECHNOLOGIES PRIVATE BACKWATER
TECHNOLOG0.001% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
BACKWATER TECHNOLOGIES PRIVATE KESAR
ENTERPRISEOPTIONALLY CONVERTIBLE NON CUMULATIVE
KESAR ENTERPRISES LIMITED PREF 26MR24EURO PANEL
PRODUCTS OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
EURO PANEL PRODUCTS PRIVATE LIMITED PREF GAYATRISH
AKTI PAPER 2% COMPULSORILY CONVERTIBLE CUMULATIVE
GAYATRISHAKTI PAPER & BOARDS LTD. 2% PREF GROVER
ZAMPA FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
GROVER ZAMPA VINEYARDS LIMITED PREF GROVER
ZAMPA FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
GROVER ZAMPA VINEYARDS LIMITED PREF GROVER
ZAMPA FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
GROVER ZAMPA VINEYARDS LIMITED PREF MOSHE'S
FINE FOODS 0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
MOSHE'S FINE FOODS PRIVATE LIMITED 0.0001% BALKRISHN
A PAPER 9% NON CONVERTIBLE CUMULATIVE REDEEMABLE
BALKRISHNA PAPER MILLS LIMITED 9% PREF THE
MOBILESTO0.001% NON CUMULATIVE, FULLY CONVERTIBLE, FULLY
THE MOBILESTORE SERVICES PVT. LTD 0.001% THE
MOBILESTO0.001% NON CONVERTIBLE NON CUMULATIVE FULLY
THE MOBILESTORE SERVICES PVT. LTD 0.001%
![Page 43: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/43.jpg)
2016 INE130G04034
2017 INE156P03016
2018 INE727P03022
2019 INE907K03013
2020 INE423L04025
2021 INE427L04026
2022 INE426L03012
2023 INE426L03020
2024 INE302I03029
2025 INE302I03011
2026 INE301I03021
2027 INE301I03013
2028 INE907K04011
2029 INE139F03013
2030 INE139F03021
2031 INE139F03039
2032 INE139F03047
2033 INE139F03054
2034 INE139F03062
2035 INE139F03070
2036 INE139F03088
2037 INE139F03096
2038 INE139F03104
2039 INE139F03112
2040 INE139F03120
2041 INE099I04011
2042 INE963C03013
2043 INE277G04017
2044 INE542L03016
2045 INE832L04027
2046 INE078M03019
2047 INE078M03027
2048 INE078M03035
2049 INE078M03043
2050 INE595M03012
2051 INE514W03012
2052 INE514W03020
2053 INE514W03038
2054 INE121I03015
2055 INE570W04020
2056 INE932W04022
2057 INE971W04020
2058 INE645Q04071
2059 INE645Q04014
2060 INE514Q04012
2061 INE460K03013
2062 INE645Q04022
2063 INE922K03046
VIVA INFRASTRUC
12% NON CONVERTIBLE NON CUMULATIVE FULLY
VIVA INFRASTRUCTURE LIMITED 12% PREF 30JU18MOSHE'S
FINE FOODS 0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
MOSHE'S FINE FOODS PRIVATE LIMITED 0.0001% NV REALTY
PRIVATE OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
NV REALTY PRIVATE LIMITED NEW PREF 18JN26THE
MOBILESTO0.001% FULLY CONVERTIBLE, NON CUMULATIVE, FULLY
THE MOBILESTORE LIMITED 0.001% PREF TRION
PROPERTIES NON CONVERTIBLE, NON CUMULATIVE, FULLY
TRION PROPERTIES PRIVATE LIMITED PREF MINDSPACE
BUSINESS 0% NON CONVERTIBLE, NON CUMULATIVE, FULLY
MINDSPACE BUSINESS PARKS PRIVATE LIMITED NEWFOUND
PROPERTIES 0 % FULLY CONVERTIBLE, NON CUMULATIVE, NON
NEWFOUND PROPERTIES AND LEASING PRIVATE NEWFOUND
PROPERTIES COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
NEWFOUND PROPERTIES AND LEASING PRIVATE ALTIUS
PROPERTIES 1% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
ALTIUS PROPERTIES PRIVATE LIMITED 1% PREF ALTIUS
PROPERTIES 1% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
ALTIUS PROPERTIES PRIVATE LIMITED 1% PREF AMBITIOUS
REALTORS 1% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
AMBITIOUS REALTORS PRIVATE LIMITED 1% PREF AMBITIOUS
REALTORS 1% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
AMBITIOUS REALTORS PRIVATE LIMITED 1% PREF THE
MOBILESTO0.001% NON CONVERTIBLE, NON CUMULATIVE, FULLY
THE MOBILESTORE LIMITED 0.001% PREF KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED KONKAN
RAILWAY COMPULSORILY CONVERTIABLE NON-CUMULATIVE PREFERENCE
KONKAN RAILWAY CORPORATION LIMITED ANCHOR
ELECTRICAL7% NON CONVERTIBLE, NON CUMULATIVE, REDEEMABLE
ANCHOR ELECTRICALS PRIVATE LIMITED 7% PREF FAZE THREE
LIMITED5 % OPTIONALLY FULLY CONVERTIBLE NON
FAZE THREE LIMITED 5 PREF 21092005ASHOKA
INFO 15% Non Convertible, Non Cumulative Fully Redeemable
ASHOKA INFO PRIVATE LIMITED 15% PREF 121211GIGAPLEX
ESTATE COMPULSORY CONVERTIBLE NON CUMULATIVE
GIGAPLEX ESTATE PRIVATE LIMITED PREF MAGNA
WAREHOUSINON- CONVERTIBLE, NON CUMULATIVE, FULLY
MAGNA WAREHOUSING & DISTRIBUTION PRIVATE DILIIGENT
POWER 0.00001% COMPULSORY CONVERTIBLE CUMULATIVE
DILIIGENT POWER PRIVATE LIMITED DILIIGENT
POWER 0.00001% COMPULSORY CONVERTIBLE CUMULATIVE
DILIIGENT POWER PRIVATE LIMITED DILIIGENT
POWER 0.00001% SERIES I COMPULSORY CONVERTIBLE CUMULATIVE
DILIIGENT POWER PRIVATE LIMITED DILIIGENT
POWER 0.00001% SERIES III COMPULSORY CONVERTIBLE
DILIIGENT POWER PRIVATE LIMITED TECHFAB
(INDIA) 1% OPTIONALLY CONVERTIBLE, REDEEMABLE, NON
TECHFAB (INDIA) INDUSTRIES LIMITED 1% DECORE
THERMAL 0.00001% SERIES I COMPULSORY CONVERTIBLE CUMULATIVE
DECORE THERMAL POWER PRIVATE LIMITED DECORE
THERMAL 0.00001% SERIES II COMPULSORY CONVERTIBLE CUMULATIVE
DECORE THERMAL POWER PRIVATE LIMITED DECORE
THERMAL 0.00001% SERIES III COMPULSORY CONVERTIBLE
DECORE THERMAL POWER PRIVATE LIMITED VAST
INTEGRATED FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
VAST INTEGRATED SERVICES LIMITED PREF NAVITAS
GREEN 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
NAVITAS GREEN POWER (FUEL MANAGEMENT) LIVGUARD
MOBILE 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
LIVGUARD MOBILE ACCESSORIES PRIVATE NCUBATE
LOGISTIC & 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
NCUBATE LOGISTIC & WAREHOUSING PRIVATE QRG
MEDICARE 21% NON CONVERTIBLE NON CUMULATIVE FULLY
QRG MEDICARE LIMITED 21% PREF 02JL24QRG
MEDICARE 25% NON CONVERTIBLE NON CUMULATIVE FULLY
QRG MEDICARE LIMITED 25% PREF 30MR20PAHAL
FINANCIAL 11.25% SERIES I NON CONVERIBLE CUMULATIVE
PAHAL FINANCIAL SERVICES PRIVATE RJ CORP
LIMITED10% FULLY CONVERTIBLE, CUMULATIVE REDEEMABLE
RJ CORP LIMITED 10% PREF 07OT29QRG
MEDICARE 25% NON CONVERTIBLE NON CUMULATIVE FULLY
QRG MEDICARE LIMITED 25% PREF 08AG23INDIA
SHELTER COMPULSORILY CONVERTIBLE CUMULATIVE NON
INDIA SHELTER FINANCE CORPORATION LIMITED
![Page 44: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/44.jpg)
2064 INE645Q04030
2065 INE989P03010
2066 INE922K03038
2067 INE070K04034
2068 INE922K03020
2069 INE053K03016
2070 INE058U04053
2071 INE161X04018
2072 INE169M04022
2073 INE453Y03019
2074 INE453Y03027
2075 INE561W03013
2076 INE570W04012
2077 INE587Z03011
2078 INE468P03015
2079 INE058U04012
2080 INE058U04020
2081 INE058U04038
2082 INE058U04046
2083 INE229F04010
2084 INE651R03012
2085 INE065I03014
2086 INE066I03012
2087 INE922K03012
2088 INE073X04015
2089 INE167U03039
2090 INE369X03019
2091 INE369X03027
2092 INE369X03035
2093 INE411Z04012
2094 INE417M03027
2095 INE779R03011
2096 INE779R03029
2097 INE813W03018
2098 INE813W03026
2099 INE813W03034
2100 INE813W03042
2101 INE813W03059
2102 INE813W03067
2103 INE813W03075
2104 INE833U03010
2105 INE833U03028
2106 INE833U03036
2107 INE874Z03013
2108 INE833U03085
2109 INE833U03093
2110 INE833U03101
2111 INE833U03135
QRG MEDICARE
21% NON CONVERTIBLE NON CUMULATIVE FULLY
QRG MEDICARE LIMITED 21% PREF 20FB24CENTURY
METAL FULLY CONVERTIBLE CUMULATIVE, REDEEMABLE
CENTURY METAL RECYCLING PRIVATE INDIA
SHELTER COMPULSORILY CONVERTIBLE CUMULATIVE NON
INDIA SHELTER FINANCE CORPORATION LIMITED APIS INDIA
LTD4 % NON CONVERTIBLE, NON CUMULATIVE, FULLY
APIS INDIA LTD 4% PREF 29AG23INDIA
SHELTER CONVERTIBLE CUMULATIVE NON REDEEMABLE PREFERENCE
INDIA SHELTER FINANCE CORPORATION LIMITED DELTRONIX
INDIA OPTIONALLY CONVERTIBLE CUMULATIVE FULLY
DELTRONIX INDIA LIMITED PREF 30JU15GRG
COTSPIN 8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
GRG COTSPIN PRIVATE LIMITED 8% PREF 20DC35ZEST
RESIDENCY 0.01% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
ZEST RESIDENCY PRIVATE LIMITED 0.01% PREF SHIGA
ENERGY 19% NON CONVERTIBLE CUMULATIVE FULLY
SHIGA ENERGY PRIVATE LIMITED 19% PREF 01AP20MASSIVE
RESTAURAN0.01% COMPULSORY CONVERTIBLE CUMULATIVE
MASSIVE RESTAURANTS PRIVATE LIMITED 0.01% MASSIVE
RESTAURAN0.01% COMPULSORY CONVERTIBLE CUMULATIVE
MASSIVE RESTAURANTS PRIVATE LIMITED 0.01% LIVGREEN
CLEANTECH 0.01% OPTIONALLY CONVERTIBLE NON
LIVGREEN CLEANTECH PRIVATE LIMITED 0.01% NAVITAS
GREEN 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
NAVITAS GREEN POWER (FUEL MANAGEMENT) FLY
MOBILES 0.01% OPTIONALLY CONVERTIBLE NON
FLY MOBILES PRIVATE LIMITED 0.01% PREF WORLDS
WINDOW 0.001% COMPULSORY CONVERTIBLE PREFERENCE
WORLDS WINDOW INFRASTRUCTURE AND GRG
COTSPIN 8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
GRG COTSPIN PRIVATE LIMITED 8% PREF 01OT34GRG
COTSPIN 8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
GRG COTSPIN PRIVATE LIMITED 8% PREF 01MR35GRG
COTSPIN 8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
GRG COTSPIN PRIVATE LIMITED 8% PREF 01MY35GRG
COTSPIN 8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
GRG COTSPIN PRIVATE LIMITED 8% PREF 01OT35BAGRRYS
INDIA 8% NON CONVERTIBLE NON-CUMULATIVE REDEEMABLE
BAGRRYS INDIA LIMITED 8% PREF 08OT37DCDC
HEALTH COMPULSORY CONVERTIBLE NON REDEEMABLE PREFERENCE
DCDC HEALTH SERVICES PRIVATE LIMITED PREF INDIABULLS
REAL 14% OPTIONALLY CONVERTIBLE CUMULATIVE PREFERENCE
INDIABULLS REAL ESTATE COMPANY PRIVATE INDIABULLS
PROPERTIES 14 % OPTIONALLY CONVERTIBLE CUMULATIVE
INDIABULLS PROPERTIES PRIVATE LIMITED 14% INDIA
SHELTER 0% FULLY CONVERTIBLE CUMULATIVE NON
INDIA SHELTER FINANCE CORPORATION LIMITED JAKSON
ENGINEERS 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
JAKSON ENGINEERS LIMITED 0.01% PREF 26JL22JAYPORE E-
COMMERCE SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
JAYPORE E-COMMERCE PRIVATE LIMITED SERIES CRON
SYSTEMS COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
CRON SYSTEMS PRIVATE LIMITED PREF 04JN37CRON
SYSTEMS COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
CRON SYSTEMS PRIVATE LIMITED PREF 13DC36CRON
SYSTEMS COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
CRON SYSTEMS PRIVATE LIMITED PREF 24NV36BAGRRYS
HOLDING 8% SERIES III NON CONVERTIBLE NON
BAGRRYS HOLDING LIMITED 8% SERIES III SMS
PARYAVARA4% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
SMS PARYAVARAN LIMITED 4% PREF 27SP21MOSAIC
MEDIA COMPULSORY CONVERTIBLE NON CUMULATIVE NON
MOSAIC MEDIA VENTURES PRIVATE LIMITED PREF MOSAIC
MEDIA COMPULSORY CONVERTIBLE NON CUMULATIVE NON
MOSAIC MEDIA VENTURES PRIVATE LIMITED PREF SYNIVERSE
TECHNOLOG25% COMPULSORY CONVERTIBLE CUMULATIVE
SYNIVERSE TECHNOLOGIES (INDIA) SYNIVERSE
TECHNOLOG37.5% COMPULSORY CONVERTIBLE CUMULATIVE
SYNIVERSE TECHNOLOGIES (INDIA) SYNIVERSE
TECHNOLOG25% COMPULSORY CONVERTIBLE CUMULATIVE
SYNIVERSE TECHNOLOGIES (INDIA) SYNIVERSE
TECHNOLOG37% COMPULSORY CONVERTIBLE CUMULATIVE
SYNIVERSE TECHNOLOGIES (INDIA) SYNIVERSE
TECHNOLOG37.5% COMPULSORY CONVERTIBLE CUMULATIVE
SYNIVERSE TECHNOLOGIES (INDIA) SYNIVERSE
TECHNOLOG37.5% COMPULSORY CONVERTIBLE CUMULATIVE
SYNIVERSE TECHNOLOGIES (INDIA) SYNIVERSE
TECHNOLOG37% COMPULSORY CONVERTIBLE CUMULATIVE
SYNIVERSE TECHNOLOGIES (INDIA) B9
BEVERAGES 0.0001% SERIS A COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% SERIES A B9
BEVERAGES 0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% PREF B9
BEVERAGES 0.0001% SERIS A COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% SERIES A AWIDIT
SYSTEMS 1% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
AWIDIT SYSTEMS PRIVATE LIMITED 1% PREF 15FB38B9
BEVERAGES 0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% PREF B9
BEVERAGES 0.0001% SERIES A1 COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% SERIES B9
BEVERAGES 0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% PREF B9
BEVERAGES 0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% PREF
![Page 45: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/45.jpg)
2112 INE833U03143
2113 INE833U03150
2114 INE833U03168
2115 INE833U03176
2116 INE833U03184
2117 INE833U03192
2118 INE833U03200
2119 INE833U03044
2120 INE833U03069
2121 INE833U03077
2122 INE833U03051
2123 INE278Y04018
2124 INE809M03017
2125 INE870W03018
2126 INE870W03026
2127 INE932W04014
2128 INE833U03119
2129 INE833U03127
2130 INE967Q03030
2131 INE971W04012
2132 INE984X03015
2133 INE984X03023
2134 INE991M04011
2135 INE967Q03014
2136 INE967Q03022
2137 INE165N03012
2138 INE935R03019
2139 INE310N03022
2140 INE441D03034
2141 INE699A03017
2142 INE678K03010
2143 INE678K03028
2144 INE678K03036
2145 INE596K04012
2146 INE087H03010
2147 INE087H03028
2148 INE087H04018
2149 INE382R04012
2150 INE089M03016
2151 INE058T03016
2152 INE058T03024
2153 INE058T03032
2154 INE058T03040
2155 INE058T03057
2156 INE058T03065
2157 INE058T03073
2158 INE506K03039
2159 INE850M04019
B9 BEVERAGES
0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% PREF B9
BEVERAGES 0.0001% BONUS SERIES A1 COMPULSORY CONVERTIBLE
B9 BEVERAGES PRIVATE LIMITED 0.0001% Series A1 B9
BEVERAGES 0.0001% BONUS SERIES A COMPULSORY CONVERTIBLE
B9 BEVERAGES PRIVATE LIMITED 0.0001% SERIES A B9
BEVERAGES 0.0001% BONUS COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% PREF B9
BEVERAGES 0.0001% A2 COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% SR. A2 B9
BEVERAGES OPTIONALLY CONVERTIBLE CUMULATIVE PREFERENCE
B9 BEVERAGES PRIVATE LIMITED PREF 09AG37B9
BEVERAGES 0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% PREF B9
BEVERAGES 0.0001% SERIS A1 COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% SERIES B9
BEVERAGES 0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% PREF B9
BEVERAGES 0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% PREF B9
BEVERAGES 0.0001% SERIS A1 COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% SERIES CAMPUS
ACTIVEWEA0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
CAMPUS ACTIVEWEAR PRIVATE LIMITED 0.0001% GAMA
INFRAPROP 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
GAMA INFRAPROP PRIVATE LIMITED 0.01% UMMEED
HOUSING 0.001% SERIES A CCPS COMOULSORY CONVERTIBLE
UMMEED HOUSING FINANCE PRIVATE UMMEED
HOUSING 0.001% SERIES B CCPS COMPULSORY CONVERTIBLE
UMMEED HOUSING FINANCE PRIVATE LIVGUARD
MOBILE 0.01% NON CONVERTIBLE CUMULATIVE FULLY
LIVGUARD MOBILE ACCESSORIES PRIVATE B9
BEVERAGES 0.0001% SERIS A1 COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% SERIES B9
BEVERAGES 0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
B9 BEVERAGES PRIVATE LIMITED 0.0001% PREF SHUBHAM
HOUSING 0.01% SERIES D COMPULSORY CONVERTIBLE NON
SHUBHAM HOUSING DEVELOPMENT FINANCE NCUBATE
LOGISTIC & NON CONVERTIBLE NON CUMULATIVE FULLY
NCUBATE LOGISTIC & WAREHOUSING PRIVATE SOOTHE
HEALTHCAR0.1% COMPULSORY CONVERTIBLE CUMULATIVE
SOOTHE HEALTHCARE PRIVATE LIMITED 0.1% SOOTHE
HEALTHCAR0.01% COMPULSORY CONVERTIBLE CUMULATIVE
SOOTHE HEALTHCARE PRIVATE LIMITED 0.01% BECTON
DICKINSON 1% NON CONVERTIBLE CUMULATIVE FULLY
BECTON DICKINSON INDIA PRIVATE LIMITED 1% PREF SHUBHAM
HOUSING FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
SHUBHAM HOUSING DEVELOPMENT FINANCE SHUBHAM
HOUSING FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
SHUBHAM HOUSING DEVELOPMENT FINANCE THRILL
PARK 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
THRILL PARK LIMITED 0.01% PREF 10OT34FAERY
ESTATES 0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
FAERY ESTATES PRIVATE LIMITED 0.01% PREF NETMAGIC
SOLUTIONS 0.001% COMPULSORILY CONVERTIBLE NON
NETMAGIC SOLUTIONS PRIVATE LIMITED 0.001% POLYGENTA
TECHNOLOGCOMPULSORILY CONVERTIBLE NON CUMULATIVE PREFERENCE
POLYGENTA TECHNOLOGIES LIMITED UTTAM
GALVA 12% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
UTTAM GALVA STEELS LIMITED 12% PREF 310309UTTAM
GALVA 15% COMPULSORILY CONVERTIBLE CUMULATIVE
UTTAM GALVA METALLICS LIMITED 15% UTTAM
GALVA 15% COMPULSORILY CONVERTIBLE CUMULATIVE
UTTAM GALVA METALLICS LIMITED 15% UTTAM
GALVA 15% COMPULSORILY CONVERTIBLE CUMULATIVE
UTTAM GALVA METALLICS LIMITED 15% DRIVE INDIA
ENTERPRISE 0.0001% NON CONVERTIBLE, CUMULATIVE, FULLY
DRIVE INDIA ENTERPRISE SOLUTIONS LIMITED SHREE
RENUKA 0.01% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
SHREE RENUKA SUGARS LIMITED 0.01% PREF SHREE
RENUKA 0.01% OPTIONALLY CONVERTIBLE NON
SHREE RENUKA SUGARS LIMITED 0.01% PREF SHREE
RENUKA 0.01% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SHREE RENUKA SUGARS LIMITED 0.01% PREF PRESCIENT
WEALTH NON CONVERTIBLE NON CUMULATIVE FULLY
PRESCIENT WEALTH MANAGEMENT PRIVATE DIGNITY
BUILDCON 8% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
DIGNITY BUILDCON PRIVATE LIMITED 8% PREF SUPERMARK
ET GROCERY 0.001% COMPULSORILY CONVERTIBLE CUMULATIVE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES D3 COMPULSORILY CONVERTIBLE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES D3 COMPULSORILY CONVERTIBLE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES D2 COMPULSORILY CONVERTIBLE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES D1 COMPULSORILY CONVERTIBLE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES A1 COMPULSORILY CONVERTIBLE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES A2 COMPULSORILY CONVERTIBLE
SUPERMARKET GROCERY SUPPLIES PRIVATE BHARTIYA
SAMRUDDHI 1% FULLY COMPULSORILY CONVERTIBLE CUMULATIVE
BHARTIYA SAMRUDDHI FINANCE LTD 1% PREF NORTHERN
ARC 9.85% NON CONVERTIBLE CUMULATIVE FULLY
NORTHERN ARC CAPITAL LIMITED 9.85% PREF
![Page 46: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/46.jpg)
2160 INE238N03017
2161 INE573L03052
2162 INE066N03012
2163 INE066N03020
2164 INE066N03038
2165 INE194I04028
2166 INE569I04021
2167 INE046W03015
2168 INE046W03023
2169 INE046W03049
2170 INE105U04011
2171 INE552X03010
2172 INE782Y04019
2173 INE048J04024
2174 INE058T03081
2175 INE058T03099
2176 INE058T03107
2177 INE058T03115
2178 INE058T03123
2179 INE058T03131
2180 INE058T03149
2181 INE058T03156
2182 INE058T03164
2183 INE525R04016
2184 INE542F04016
2185 INE850M03011
2186 INE850M03037
2187 INE850M03045
2188 INE710V03018
2189 INE710V03026
2190 INE211H03024
2191 INE826Q03012
2192 INE826Q03020
2193 INE986M03021
2194 INE986M03039
2195 INE747Z03011
2196 INE747Z03029
2197 INE747Z03037
2198 INE00EB04013
2199 INE00EB04021
2200 INE00FE03016
2201 INE00HC03016
2202 INE00HC03024
2203 INE00HC03032
2204 INE00HC03040
2205 INE00LU03010
2206 INE00LU03028
2207 INE00LU03036
SOHAN LAL COMMODITY
0.001% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
SOHAN LAL COMMODITY MANAGEMENT PRIVATE L&T
UTTARANCH10% OPTIONALLY CONVERTIBLE NON CUMULATIVE
L&T UTTARANCHAL HYDROPOWER LIMITED SHREE
NAMAN 0.0001% OPTIONALLY CONVERTIBLE, CUMULATIVE,
SHREE NAMAN BUILDERS PRIVATE LIMITED 0.0001% SHREE
NAMAN 0.0001% OPTIONALLY CONVERTIBLE, CUMULATIVE,
SHREE NAMAN BUILDERS PRIVATE LIMITED 0.0001% SHREE
NAMAN 0.0002% OPTIONALLY CONVERTIBLE NON
SHREE NAMAN BUILDERS PRIVATE LIMITED 0.0002% GAGANDEEP
CREDIT 6 % NON CUMULATIVE NON CONVETIBLE FULLY
GAGANDEEP CREDIT CAPITAL PVT LTD. 6% INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL MUTHOOT
MICROFIN 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
MUTHOOT MICROFIN LIMITED 0.001% PREF MUTHOOT
MICROFIN 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
MUTHOOT MICROFIN LIMITED 0.001% PREF MUTHOOT
MICROFIN 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
MUTHOOT MICROFIN LIMITED 0.001% PREF HALDIA
PETROCHEM1% NON CONVERTIBLE CUMULATIVE REDEEMABLE
HALDIA PETROCHEMICALS SKEIRON
RENEWABLE 0.01% COMPULSORY CONVERTIBLE PREFERENCE
SKEIRON RENEWABLE ENERGY AMIDYALA GODREJ
SKYLINE NON CONVERTIBLE, NON CUMULATIVE PREFERENCE
GODREJ SKYLINE DEVELOPERS PRIVATE BUSINESS
BROADCAST ZERO COUPON NON CONVERTIBLE CUMULATIVE
BUSINESS BROADCAST NEWS PRIVATE LIMITED SUPERMARK
ET GROCERY 0.001% SERIES D COMPULSORILY CONVERTIBLE CUMULATIVE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES D COMPULSORILY CONVERTIBLE CUMULATIVE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES A COMPULSORILY CONVERTIBLE CUMULATIVE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES D COMPULSORILY CONVERTIBLE CUMULATIVE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES A COMPULSORILY CONVERTIBLE CUMULATIVE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES C COMPULSORILY CONVERTIBLE CUMULATIVE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES B1 COMPULSORILY CONVERTIBLE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES D COMPULSORILY CONVERTIBLE CUMULATIVE
SUPERMARKET GROCERY SUPPLIES PRIVATE SUPERMARK
ET GROCERY 0.001% SERIES E COMPULSORILY CONVERTIBLE CUMULATIVE
SUPERMARKET GROCERY SUPPLIES PRIVATE JM
FINANCIAL 10% NON CONVERTIBLE NON CUMULATIVE FULLY
JM FINANCIAL PROPERTIES AND RELIANCE
NAVAL AND 0.10% NON CONVERTIBLE CUMULATIVE FULLY
RELIANCE NAVAL AND ENGINEERING LIMITED NORTHERN
ARC FULLY CONVERTIBLE CUMULATIVE PREFERENCE
NORTHERN ARC CAPITAL LIMITED 0.0001% PREF NORTHERN
ARC 0.0001% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
NORTHERN ARC CAPITAL LIMITED 0.0001% SERIES A NORTHERN
ARC 0.0001% COMPULSORY CONVERTIBLE CUMULATIVE
NORTHERN ARC CAPITAL LIMITED 0.0001% PREF HYDERABAD
MENZIES AIR 11.97% COMPULSORY CONVERTIBLE CUMULATIVE
HYDERABAD MENZIES AIR CARGO PRIVATE LIMITED HYDERABAD
MENZIES AIR 11.97% COMPULSORY CONVERTIBLE CUMULATIVE
HYDERABAD MENZIES AIR CARGO PRIVATE LIMITED SHAREKHAN
LIMITED0.01 % FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
SHAREKHAN LIMITED 0.01% PREF 18AG17MAHINDRA
HOMES 0.01% OPTIONALLY CONVERTIBLE, NON
MAHINDRA HOMES PRIVATE LIMITED 0.01% MAHINDRA
HOMES 0.01% COMPULSORILY CONVERTIBLE, NON
MAHINDRA HOMES PRIVATE LIMITED 0.01% SHREE
NAMAN O% FULLY CONVERTIBLE NON CUMULATIVE NON
SHREE NAMAN HOTELS PRIVATE LIMITED PREF SHREE
NAMAN 1% OPTIONALLY CONVERTIBLE NON CUMULATIVE
SHREE NAMAN HOTELS PRIVATE LIMITED PREF NATIONAL
INVESTMEN0.001% SERIES B COMPULSORY CONVERTIBLE NON
NATIONAL INVESTMENT AND INFRASTRUCTURE NATIONAL
INVESTMEN0.001% SERIES C COMPULSORY CONVERTIBLE NON
NATIONAL INVESTMENT AND INFRASTRUCTURE NATIONAL
INVESTMEN0.001% SERIES A COMPULSORY CONVERTIBLE NON
NATIONAL INVESTMENT AND INFRASTRUCTURE SKEIRON
GREEN 1% NON CONVERTIBLE CUMULATIVE REDEEMABLE
SKEIRON GREEN POWER PRIVATE LIMITED 1% PREF SKEIRON
GREEN 0.01% NON CONVERTIBLE CUMULATIVE REDEEMABLE
SKEIRON GREEN POWER PRIVATE LIMITED 0.01% TAGOS
DESIGN COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
TAGOS DESIGN INNOVATIONS PRIVATE UNBXD
SOFTWARE 0.01% SERIES A COMPULSORILY CONVERTIBLE CUMULATIVE
UNBXD SOFTWARE PRIVATE LIMITED 0.01% UNBXD
SOFTWARE 0.01% SERIES A1 COMPULSORILY CONVERTIBLE CUMULATIVE
UNBXD SOFTWARE PRIVATE LIMITED 0.01% UNBXD
SOFTWARE 0.01% SERIES B COMPULSORILY CONVERTIBLE CUMULATIVE
UNBXD SOFTWARE PRIVATE LIMITED 0.01% UNBXD
SOFTWARE 0.01% SERIES C COMPULSORILY CONVERTIBLE CUMULATIVE
UNBXD SOFTWARE PRIVATE LIMITED 0.01% WILDCRAFT
INDIA SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
WILDCRAFT INDIA PRIVATE LIMITED SERIES WILDCRAFT
INDIA SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
WILDCRAFT INDIA PRIVATE LIMITED SERISE WILDCRAFT
INDIA SERIES C COMPULSORY CONVERTIBLE CUMULATIVE
WILDCRAFT INDIA PRIVATE LIMITED SERIES
![Page 47: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/47.jpg)
2208 INE043W03012
2209 INE043W03020
2210 INE046W03031
2211 INE125T03013
2212 INE125T03021
2213 INE688M03031
2214 INE850M03029
2215 INE192U03011
2216 INE198Y03036
2217 INE207X03011
2218 INE207X03029
2219 INE207X03037
2220 INE125T03047
2221 INE125T03054
2222 INE125T03062
2223 INE232O04024
2224 INE413W03017
2225 INE413W04015
2226 INE481G04015
2227 INE481G04031
2228 INE491W03013
2229 INE491W03021
2230 INE491W03039
2231 INE491W03047
2232 INE491W03054
2233 INE491W03062
2234 INE491W03070
2235 INE491W03088
2236 INE497W03010
2237 INE714Y04012
2238 INE147O03018
2239 INE714Y04020
2240 INE799V03011
2241 INE799V03029
2242 INE799V03037
2243 INE799V03045
2244 INE799V03052
2245 INE799V03060
2246 INE799V03078
2247 INE809W04014
2248 INE942Y04019
2249 INE942Y04027
2250 INE942Y04035
2251 INE942Y04043
2252 INE942Y04050
2253 INE942Y04068
2254 INE942Y04076
2255 INE942Y04084
VIJAYA DIAGNOSTIC
0.001% COMPULSORY CONVERTIBLE CUMULATIVE
VIJAYA DIAGNOSTIC CENTRE PRIVATE LIMITED VIJAYA
DIAGNOSTIC 0.001% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
VIJAYA DIAGNOSTIC CENTRE PRIVATE LIMITED MUTHOOT
MICROFIN 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
MUTHOOT MICROFIN LIMITED 0.001% PREF THIRUMENI
FINANCE CLASS A COMPULSORY CONVERTIBLE CUMULATIVE
THIRUMENI FINANCE PRIVATE LIMITED CLASS THIRUMENI
FINANCE CLASS A COMPULSORY CONVERTIBLE CUMULATIVE
THIRUMENI FINANCE PRIVATE LIMITED CLASS GKC
PROJECTS 0.10% OPTIONALLY CONVERTIBLE CUMULATIVE
GKC PROJECTS LIMITED 0.10% PREF 31MR27NORTHERN
ARC FULLY CONVERTIBLE CUMULATIVE PREFERENCE
NORTHERN ARC CAPITAL LIMITED 0.0001% PREF KOGTA
FINANCIAL 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
KOGTA FINANCIAL (INDIA) LIMITED 0.01% PREF NUVO
LOGISTICS SERIES C TRANCHE I COMPULSORY CONVERTIBLE
NUVO LOGISTICS PRIVATE LIMITED SERIES C PREF ACE
CREATIVE 0.01% SERIES A COMPULSORY CONVERTIBLE NON
ACE CREATIVE LEARNING PRIVATE LIMITED 0.01% ACE
CREATIVE 0.01% SERIES B COMPULSORY CONVERTIBLE NON
ACE CREATIVE LEARNING PRIVATE LIMITED 0.01% ACE
CREATIVE 0.01% SERIES B COMPULSORY CONVERTIBLE NON
ACE CREATIVE LEARNING PRIVATE LIMITED 0.01% THIRUMENI
FINANCE CLASS B COMPULSORY CONVERTIBLE CUMULATIVE
THIRUMENI FINANCE PRIVATE LIMITED CLASS B THIRUMENI
FINANCE CLASS B COMPULSORY CONVERTIBLE CUMULATIVE
THIRUMENI FINANCE PRIVATE LIMITED CLASS B THIRUMENI
FINANCE SERIES ONE COMPULSORY CONVERTIBLE CUMULATIVE
THIRUMENI FINANCE PRIVATE LIMITED SERIES INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND SANDLA
WIND 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
SANDLA WIND PROJECT PRIVATE LIMITED 0.01% SANDLA
WIND 6% NON CONVERTIBLE CUMULATIVE FULLY
SANDLA WIND PROJECT PRIVATE LIMITED 6% PREF ULTRATECH
CEMENT 10% NON CONVERTIBLE CUMULATIVE FULLY
ULTRATECH CEMENT LIMITED 10% PREF 29JU22ULTRATECH
CEMENT NON CONVERTIBLE CUMULATIVE FULLY
ULTRATECH CEMENT LIMITED PREF 29JU22ZEN LEFIN
PRIVATE 0.01% SERIES A COMPULSORY CONVERTIBLE NON
ZEN LEFIN PRIVATE LIMITED 0.01% SERIES A ZEN LEFIN
PRIVATE 0.01% SERIES A1 COMPULSORY CONVERTIBLE NON
ZEN LEFIN PRIVATE LIMITED 0.01% SERIES A1 ZEN LEFIN
PRIVATE 0.01% SERIES B COMPULSORY CONVERTIBLE NON
ZEN LEFIN PRIVATE LIMITED 0.01% SERIES B ZEN LEFIN
PRIVATE 0.01% SERIES B COMPULSORY CONVERTIBLE NON
ZEN LEFIN PRIVATE LIMITED 0.01% SERIES B ZEN LEFIN
PRIVATE 0.01% SERIES B COMPULSORY CONVERTIBLE NON
ZEN LEFIN PRIVATE LIMITED 0.01% SERIES B ZEN LEFIN
PRIVATE 0.01% SERIES C COMPULSORY CONVERTIBLE NON
ZEN LEFIN PRIVATE LIMITED 0.01% SERIES C ZEN LEFIN
PRIVATE 0.01% SERIES D COMPULSORY CONVERTIBLE NON
ZEN LEFIN PRIVATE LIMITED 0.01% SERIES D ZEN LEFIN
PRIVATE 0.01% SERIES E COMPULSORY CONVERTIBLE NON
ZEN LEFIN PRIVATE LIMITED 0.01% SERIES E ALTUM
CREDO 0.001% COMPULSORILY CONVERTIBLE CUMULATIVE
ALTUM CREDO HOME FINANCE PRIVATE PUNE HEAT
TREAT 12% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
PUNE HEAT TREAT PRIVATE LIMITED 12% FULLIFE
HEALTHCAR0.01% COMPULSORY CONVERTIBLE CUMULATIVE
FULLIFE HEALTHCARE PRIVATE LIMITED 0.01% PUNE HEAT
TREAT 12% NON CONVERTIBLE CUMULATIVE REDEEMABLE
PUNE HEAT TREAT PRIVATE LIMITED 12% ALEXANDRI
A COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
ALEXANDRIA KNOWLEDGE PARK ALEXANDRI
A COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
ALEXANDRIA KNOWLEDGE PARK ALEXANDRI
A COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
ALEXANDRIA KNOWLEDGE PARK ALEXANDRI
A COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
ALEXANDRIA KNOWLEDGE PARK ALEXANDRI
A COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
ALEXANDRIA KNOWLEDGE PARK ALEXANDRI
A COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
ALEXANDRIA KNOWLEDGE PARK ALEXANDRI
A COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
ALEXANDRIA KNOWLEDGE PARK REENGUS
SIKAR 10% NON CONVERTIBLE NON CUMULATIVE FULLY
REENGUS SIKAR EXPRESSWAY LIMITED KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 26AP33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 16FB34KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 27JN34KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 22JN34KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 14JN34KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 08JN34KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 26DC33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 19DC33
![Page 48: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/48.jpg)
2256 INE942Y04092
2257 INE942Y04100
2258 INE999W03015
2259 INE566Z03015
2260 INE937X03013
2261 INE807Y04014
2262 INE807Y04022
2263 INE569I04054
2264 INE569I04062
2265 INE192L04075
2266 INE522H03016
2267 INE735K04016
2268 INE895I04186
2269 INE159D04022
2270 INE125T03039
2271 INE125T03070
2272 INE125T03088
2273 INE125T03096
2274 INE192U03029
2275 INE195W03010
2276 INE207X03045
2277 INE207X03052
2278 INE232O04032
2279 INE263X03014
2280 INE325Z04014
2281 INE328Z04018
2282 INE333Z04018
2283 INE335Z04013
2284 INE336Z04011
2285 INE337Z04019
2286 INE378W03012
2287 INE430X03019
2288 INE430X03027
2289 INE495Y03010
2290 INE495Y03028
2291 INE495Y04018
2292 INE566W04010
2293 INE645O03011
2294 INE650W03014
2295 INE650W03022
2296 INE650W03030
2297 INE650W03048
2298 INE650W03055
2299 INE650W03063
2300 INE650W03071
2301 INE785Y03014
2302 INE799X03017
2303 INE809W04022
KUT ENERGY
6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 06DC33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 02DC33HEALTH
CARE AT 0.0001% COMPULSORY CONVERTIBLE NON
HEALTH CARE AT HOME INDIA PRIVATE LIMITED SKEIRON
RENEWABLE 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
SKEIRON RENEWABLE ENERGY KUSTAGI MINTKART
INDIA OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
MINTKART INDIA PRIVATE LIMITED PREF 29MR26SKAP
FORGING 12% NON CONVERTIBLE, NON CUMULATIVE REDEEMABLE
SKAP FORGING PRIVATE LIMITED 12% PREF 29JU27SKAP
FORGING 12% NON CONVERTIBLE, NON CUMULATIVE REDEEMABLE
SKAP FORGING PRIVATE LIMITED 12% PREF 10OT27INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL JSW TECHNO
PROJECTS NON CONVERTIBLE NON CUMULATIVE FULLY
JSW TECHNO PROJECTS MANAGEMENT LIMITED J.M.FINANCI
AL & 1 % OPTIONALLY CONVERTIBLE, NON CUMULATIVE,
J.M.FINANCIAL & INVESTMENT RWL
HEALTHWOR9% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
RWL HEALTHWORLD LIMITED 9% PREF 31MR19HYPERCITY
RETAIL 7% NON CONVERTIBLE CUMULATIVE REDEEMABLE
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED THIRUMENI
FINANCE CLASS B COMPULSORY CONVERTIBLE CUMULATIVE
THIRUMENI FINANCE PRIVATE LIMITED CLASS B THIRUMENI
FINANCE SERIES C COMPULSORY CONVERTIBLE CUMULATIVE
THIRUMENI FINANCE PRIVATE LIMITED SERIES THIRUMENI
FINANCE SERIES C COMPULSORY CONVERTIBLE CUMULATIVE
THIRUMENI FINANCE PRIVATE LIMITED SERIES THIRUMENI
FINANCE SERIES C COMPULSORY CONVERTIBLE CUMULATIVE
THIRUMENI FINANCE PRIVATE LIMITED SERIES KOGTA
FINANCIAL 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
KOGTA FINANCIAL (INDIA) LIMITED 0.01% PREF HR FOOD
PROCESSING COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
HR FOOD PROCESSING PRIVATE LIMITED PREF ACE
CREATIVE 0.01% SERIES B COMPULSORY CONVERTIBLE NON
ACE CREATIVE LEARNING PRIVATE LIMITED 0.01% ACE
CREATIVE 0.01% SERIES A COMPULSORY CONVERTIBLE NON
ACE CREATIVE LEARNING PRIVATE LIMITED 0.01% INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND VISIONARY
RCM SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
VISIONARY RCM INFOTECH (INDIA) LOKESH
BUILDERS 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
LOKESH BUILDERS PRIVATE LIMITED 10% JASAMRIT
PREMISES 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
JASAMRIT PREMISES PRIVATE LIMITED 10% JASAMRIT
CONSTRUCTI10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
JASAMRIT CONSTRUCTION PRIVATE LIMITED 10% JASAMRIT
CREATIONS 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
JASAMRIT CREATIONS PRIVATE LIMITED 10% JASAMRIT
DESIGNERS 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
JASAMRIT DESIGNERS PRIVATE LIMITED 10% JASAMRIT
FASHIONS 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
JASAMRIT FASHIONS PRIVATE LIMITED 10% SANKALP
SEMICONDU0.000001% OPTIONALLY COMPULSORY CONVERIBLE
SANKALP SEMICONDUCTOR MHAISKAR
VENTURES 0.0001% OPTIONALLY CONVERTIBLE NON
MHAISKAR VENTURES PRIVATE LIMITED 0.0001% MHAISKAR
VENTURES COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
MHAISKAR VENTURES PRIVATE LIMITED PREF PROYUGA
ADVANCED 0.2% OPTIONALLY CONVERTIBLE NON
PROYUGA ADVANCED TECHNOLOGIES LIMITED PROYUGA
ADVANCED 0.02% OPTIONALLY CONVERTIBLE NON
PROYUGA ADVANCED TECHNOLOGIES LIMITED PROYUGA
ADVANCED 0.02% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
PROYUGA ADVANCED TECHNOLOGIES LIMITED SHILLONG
EXPRESSWA6% NON CONVERTIBLE NON CUMULATIVE FULY
SHILLONG EXPRESSWAY LIMITED 6% PREF 03JN26PRESTIGE
CONSTRUCTI0.001% OPTIONALLY CONVERTIBLE NON
PRESTIGE CONSTRUCTION VENTURES PRIVATE ID FRESH
FOOD 0.01% SERIES A FULLY CONVERTIBLE, CUMULATIVE
ID FRESH FOOD (INDIA) PRIVATE LIMITED 0.01% ID FRESH
FOOD 0.01% SERIES A FULLY CONVERTIBLE, CUMULATIVE
ID FRESH FOOD (INDIA) PRIVATE LIMITED 0.01% ID FRESH
FOOD 0.01% SERIES A FULLY CONVERTIBLE, CUMULATIVE
ID FRESH FOOD (INDIA) PRIVATE LIMITED 0.01% ID FRESH
FOOD 0.01% SERIES A FULLY CONVERTIBLE, CUMULATIVE
ID FRESH FOOD (INDIA) PRIVATE LIMITED 0.01% ID FRESH
FOOD 0.01% SERIES A FULLY CONVERTIBLE, CUMULATIVE
ID FRESH FOOD (INDIA) PRIVATE LIMITED 0.01% ID FRESH
FOOD 0.01% SERIES A FULLY CONVERTIBLE, CUMULATIVE
ID FRESH FOOD (INDIA) PRIVATE LIMITED 0.01% ID FRESH
FOOD 0.001% SERIES B OPTIONALLY CONVERTIBLE, CUMULATIVE
ID FRESH FOOD (INDIA) PRIVATE LIMITED 0.001% MAHINDRA
HAPPINEST 0.01% SERIES 1 OPTIONALLY CONVERTIBLE CUMULATIVE
MAHINDRA HAPPINEST DEVELOPERS LIMITED STELLAR
VALUE 8% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
STELLAR VALUE CHAIN SOLUTIONS PRIVATE REENGUS
SIKAR 10% NON CONVERTIBLE NON CUMULATIVE FULLY
REENGUS SIKAR EXPRESSWAY LIMITED
![Page 49: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/49.jpg)
2304 INE837Z03010
2305 INE930W03010
2306 INE942Y03011
2307 INE942Y03029
2308 INE942Y03037
2309 INE942Y03045
2310 INE942Y03052
2311 INE942Y03060
2312 INE942Y03078
2313 INE942Y03086
2314 INE942Y03094
2315 INE942Y03102
2316 INE942Y03110
2317 INE942Y04118
2318 INE942Y04126
2319 INE942Y04134
2320 INE942Y04142
2321 INE942Y04159
2322 INE942Y04167
2323 INE942Y04175
2324 INE942Y04183
2325 INE942Y04191
2326 INE942Y04209
2327 INE942Y04217
2328 INE942Y04225
2329 INE949X03018
2330 INE970V03018
2331 INE977W04019
2332 INE977W04027
2333 INE998X04013
2334 INE998X04021
2335 INE569I04070
2336 INE192L03010
2337 INE192L04018
2338 INE192L04026
2339 INE192L04034
2340 INE192L04042
2341 INE192L04059
2342 INE192L04067
2343 INE192L04083
2344 INE192L04091
2345 INE192L04109
2346 INE027R03015
2347 INE027R03023
2348 INE257L04019
2349 INE604L04012
2350 INE604L04020
2351 INE604L04038
D2C CONSULTIN
0.1% COMPULSORY CONVERTIBLE CUMULATIVE
D2C CONSULTING SERVICES PRIVATE MAHINDRA
AEROSPACE 5% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
MAHINDRA AEROSPACE PRIVATE LIMITED 5% PREF KUT
ENERGY 6% COMPULSORILY CONVERTIBLE CUMULATIVE
KUT ENERGY PRIVATE LIMITED 6% PREF 07NV22KUT
ENERGY 6% COMPULSORILY CONVERTIBLE CUMULATIVE
KUT ENERGY PRIVATE LIMITED 6% PREF 13JU22KUT
ENERGY 6% COMPULSORILY CONVERTIBLE CUMULATIVE
KUT ENERGY PRIVATE LIMITED 6% PREF 10FB22KUT
ENERGY 6% COMPULSORILY CONVERTIBLE CUMULATIVE
KUT ENERGY PRIVATE LIMITED 6% PREF 27NV21KUT
ENERGY 6% COMPULSORILY CONVERTIBLE CUMULATIVE
KUT ENERGY PRIVATE LIMITED 6% PREF 08FB21KUT
ENERGY 6% COMPULSORILY CONVERTIBLE CUMULATIVE
KUT ENERGY PRIVATE LIMITED 6% PREF 22SP20KUT
ENERGY 6% COMPULSORILY CONVERTIBLE CUMULATIVE
KUT ENERGY PRIVATE LIMITED 6% PREF 29AG20KUT
ENERGY 6% COMPULSORILY CONVERTIBLE CUMULATIVE
KUT ENERGY PRIVATE LIMITED 6% PREF 23MY20KUT
ENERGY 6% COMPULSORILY CONVERTIBLE CUMULATIVE
KUT ENERGY PRIVATE LIMITED 6% PREF 29MR19KUT
ENERGY 6% COMPULSORILY CONVERTIBLE CUMULATIVE
KUT ENERGY PRIVATE LIMITED 6% PREF 09AG19KUT
ENERGY 6% COMPULSORILY CONVERTIBLE CUMULATIVE
KUT ENERGY PRIVATE LIMITED 6% PREF 07MR20KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 11NV33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 10NV33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 22OT33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 09OT33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 29AG33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 18AG33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 02AG33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 03JL33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 24MY33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 10MY33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 24MR33KUT
ENERGY 6% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
KUT ENERGY PRIVATE LIMITED 6% PREF 14FB33SIGMAQUAN
T COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
SIGMAQUANT TECHNOLOGIES PRIVATE RENEW
SAUR 0.0001% COMPULSORY CONVERTIBLE, NON
RENEW SAUR SHAKTI PRIVATE LIMITED 0.0001% UNITED
HOME NON CONVERTIBLE NON CUMULATIVE FULLY
UNITED HOME ENTERTAINMENT PRIVATE UNITED
HOME NON CONVERTIBLE NON CUMULATIVE FULLY
UNITED HOME ENTERTAINMENT PRIVATE SAVATO
DEVELOPER0.01% NON CONVERTIBLE CUMULATIVE FULLY
SAVATO DEVELOPERS PRIVATE LIMITED 0.01% SAVATO
DEVELOPER0.01% NON CONVERTIBLE CUMULATIVE FULLY
SAVATO DEVELOPERS PRIVATE LIMITED 0.01% INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL JSW TECHNO
PROJECTS 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
JSW TECHNO PROJECTS MANAGEMENT LIMITED JSW TECHNO
PROJECTS NON CONVERTIBLE NON CUMULATIVE FULLY
JSW TECHNO PROJECTS MANAGEMENT LIMITED JSW TECHNO
PROJECTS NON CONVERTIBLE NON CUMULATIVE FULLY
JSW TECHNO PROJECTS MANAGEMENT LIMITED JSW TECHNO
PROJECTS NON CONVERTIBLE NON CUMULATIVE FULLY
JSW TECHNO PROJECTS MANAGEMENT LIMITED JSW TECHNO
PROJECTS NON CONVERTIBLE NON CUMULATIVE FULLY
JSW TECHNO PROJECTS MANAGEMENT LIMITED JSW TECHNO
PROJECTS NON CONVERTIBLE NON CUMULATIVE FULLY
JSW TECHNO PROJECTS MANAGEMENT LIMITED JSW TECHNO
PROJECTS NON CONVERTIBLE NON CUMULATIVE FULLY
JSW TECHNO PROJECTS MANAGEMENT LIMITED JSW TECHNO
PROJECTS NON CONVERTIBLE NON CUMULATIVE FULLY
JSW TECHNO PROJECTS MANAGEMENT LIMITED JSW TECHNO
PROJECTS NON CONVERTIBLE NON CUMULATIVE FULLY
JSW TECHNO PROJECTS MANAGEMENT LIMITED JSW TECHNO
PROJECTS NON CONVERTIBLE NON CUMULATIVE FULLY
JSW TECHNO PROJECTS MANAGEMENT LIMITED GILL ACQUA
HYDRO 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
GILL ACQUA HYDRO POWER GENERATION GILL ACQUA
HYDRO 0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
GILL ACQUA HYDRO POWER GENERATION JSW
INVESTMEN8% NON CONVERTIBLE, NON CUMULATIVE, FULLY
JSW INVESTMENTS PRIVATE LIMITED 8% PREF BEZEL
JEWELLERY 4% NON CONVERTIBLE NON CUMULATIVE, FULLY
BEZEL JEWELLERY (INDIA) PRIVATE LIMITED 4% PREF BEZEL
JEWELLERY 4% NON CONVERTIBLE NON CUMULATIVE, FULLY
BEZEL JEWELLERY (INDIA) PRIVATE LIMITED 4% PREF BEZEL
JEWELLERY 4% NON CONVERTIBLE NON CUMULATIVE, FULLY
BEZEL JEWELLERY (INDIA) PRIVATE LIMITED 4% PREF
![Page 50: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/50.jpg)
2352 INE602F04026
2353 INE569I04112
2354 INE569I04120
2355 INE569I04138
2356 INE989C04016
2357 INE184P03026
2358 INE185P04013
2359 INE248O04012
2360 INE248O04020
2361 INE711K04025
2362 INE569I04146
2363 INE569I04187
2364 INE964Q03011
2365 INE186P04011
2366 INE895I03022
2367 INE895I04236
2368 INE895I04244
2369 INE112O04010
2370 INE665O03019
2371 INE665O03027
2372 INE665O03035
2373 INE665O03043
2374 INE665O03050
2375 INE665O03068
2376 INE665O03076
2377 INE697O03012
2378 INE885N04013
2379 INE098I04021
2380 INE735K04024
2381 INE920F03016
2382 INE232J04172
2383 INE232J04453
2384 INE232J04461
2385 INE232J04479
2386 INE232J04487
2387 INE139S03016
2388 INE623R03011
2389 INE609R03010
2390 INE361P04028
2391 INE459O04015
2392 INE457O04019
2393 INE704N03018
2394 INE159D04030
2395 INE159D04048
2396 INE159D04055
2397 INE159D04089
2398 INE159D04097
2399 INE159D04105
GERDAU STEEL INDIA
0.01% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
GERDAU STEEL INDIA LIMITED 0.1% PREF 31MR26INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL DIAMOND
POWER 0.01% CUMMULATIVE REDEEMABLE NON
DIAMOND POWER INFRASTRUCTURE LTD RENEW
WIND 0.001% COMPULSORY CONVERTIBLE NON
RENEW WIND ENERGY (AP) PVT. LTD. 0.001% PREF RENEW
WIND 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
RENEW WIND ENERGY (ORISSA) PVT. LTD. 0.0001% RENEW
WIND 0.001% NON CONVERTIBLE NON CUMULATIVE FULLY
RENEW WIND ENERGY (KARNATAKA) PRIVATE RENEW
WIND 0.001% NON CONVERTIBLE NON CUMULATIVE FULLY
RENEW WIND ENERGY (KARNATAKA) PRIVATE GVK
AIRPORT 0.001% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
GVK AIRPORT DEVELOPERS LIMITED INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL RENEW
WIND 0.0001% COMPULSORY CONVERTIBLE NON
RENEW WIND ENERGY (RAJASTHAN ONE) RENEW
WIND 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
RENEW WIND ENERGY (DEVGARH) PRIVATE HYPERCITY
RETAIL 7 % COMPULSORY CONVERTIBLE CUMULATIVE
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF HYPERCITY
RETAIL 7 % CUMULATIVE NON CONVERTIBLE REDEEMABLE
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF HYPERCITY
RETAIL 7 % CUMULATIVE NON CONVERTIBLE REDEEMABLE
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF PLUS PAC
HOLDINGS 10.5% NON CONVERTIBLE CUMULATIVE FULLY
PLUS PAC HOLDINGS PRIVATE LIMITED 10.5% BIGTREE
ENTERTAINSERIES B FULLY CONVERTIBLE NON CUMULATIVE
BIGTREE ENTERTAINMENT PRIVATE LIMITED SERISE BIGTREE
ENTERTAINSERIES A FULLY CONVERTIBLE NON CUMULATIVE
BIGTREE ENTERTAINMENT PRIVATE LIMITED SERIES BIGTREE
ENTERTAINSERIES C FULLY CONVERTIBLE NON CUMULATIVE
BIGTREE ENTERTAINMENT PRIVATE LIMITED SERIES BIGTREE
ENTERTAINSERIES C FULLY CONVERTIBLE NON CUMULATIVE
BIGTREE ENTERTAINMENT PRIVATE LIMITED SERIES BIGTREE
ENTERTAIN0.01% SERIES B1 COMPULSORY CONVERTIBLE CUMULATIVE
BIGTREE ENTERTAINMENT PRIVATE LIMITED SERIES BIGTREE
ENTERTAIN0.01% SERIES A1 COMPULSORY CONVERTIBLE CUMULATIVE
BIGTREE ENTERTAINMENT PRIVATE LIMITED SERIES BIGTREE
ENTERTAIN0.01% SERIES C1 COMPULSORY CONVERTIBLE CUMULATIVE
BIGTREE ENTERTAINMENT PRIVATE LIMITED SERIES AAK
KAMANI 0.5% COMPULSORY CONVERTIBLE NON
AAK KAMANI PRIVATE LIMITED 0.5% PREF 14JN23SEPSET
PROPERTIES 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
SEPSET PROPERTIES PRIVATE LIMITED 0.0001% SITAPURAM
POWER 0.01% NON CONVERTIBLE CUMULATIVE FULLY
SITAPURAM POWER LIMITED 0.01% PREF - RWL
HEALTHWOR9% NON CONVERTIBLE NON CUMULATIVE FULLY
RWL HEALTHWORLD LIMITED 9% PREF 05JN20BHARAT
BIOTECH 1% FULLY CONVERTIBLE CUMULATIVE NON
BHARAT BIOTECH INTERNATIONAL LTD 1% RELIGARE
CAPITAL 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
RELIGARE CAPITAL MARKETS LIMITED 0.01% RELIGARE
CAPITAL 7% NON CONVERTIBLE CUMULATIVE FULLY
RELIGARE CAPITAL MARKETS LIMITED 7% RELIGARE
CAPITAL 7% NON CONVERTIBLE CUMULATIVE FULLY
RELIGARE CAPITAL MARKETS LIMITED 7% RELIGARE
CAPITAL 0.003% NON CONVERTIBLE CUMULATIVE FULLY
RELIGARE CAPITAL MARKETS LIMITED 0.003% RELIGARE
CAPITAL 0.004% NON CONVERTIBLE CUMULATIVE FULLY
RELIGARE CAPITAL MARKETS LIMITED 0.004% RENEW
SOLAR 0.0001% COMPULSORY CONVERTIBLE NON
RENEW SOLAR POWER PRIVATE LIMITED 0.0001% RENEW
WIND 0.0001% COMPULSORY CONVERTIBLE NON
RENEW WIND ENERGY (MP TWO) PRIVATE LIMITED RENEW
WIND 0.0001% COMPULSORY CONVERTIBLE NON
RENEW WIND ENERGY (RAJASTHAN 3) PRIVATE RENEW
WIND 0.0001% NON CONVERTIBLE NON CUMILATIVE FULLY
RENEW WIND ENERGY (JAMB) PVT. LTD. 0.0001% RENEW
WIND 0.0001% NON CONVERTIBLE NON CUMILATIVE FULLY
RENEW WIND ENERGY (VAREKARWADI) PRIVATE RENEW
WIND 0.0001% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
RENEW WIND ENERGY (RAJASTHAN) PRIVATE SUPER AGRI
SEEDS 0.01% FULLY CONVERTIBLE CUMULATIVE NON
SUPER AGRI SEEDS PRIVATE LIMITED 0.01% SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE, FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE, FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE, NON CUMULATIVE, FULLY
SISTEMA SHYAM TELESERVICES LIMITED
![Page 51: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/51.jpg)
2400 INE159D04113
2401 INE159D04121
2402 INE159D04139
2403 INE159D04196
2404 INE159D04238
2405 INE159D04246
2406 INE159D04287
2407 INE159D04303
2408 INE159D04311
2409 INE159D04352
2410 INE711K03019
2411 INE159D04360
2412 INE859K03024
2413 INE569I04088
2414 INE569I04096
2415 INE569I04104
2416 INE569I04153
2417 INE569I04161
2418 INE569I04179
2419 INE569I04195
2420 INE569I04203
2421 INE569I04013
2422 INE184P03018
2423 INE187P04019
2424 INE361P04010
2425 INE667R03018
2426 INE034K03016
2427 INE034K03024
2428 INE034K03032
2429 INE034K03040
2430 INE455O03015
2431 INE455O03023
2432 INE455O03031
2433 INE621H04105
2434 INE453I03079
2435 INE312J04016
2436 INE895I04194
2437 INE895I04202
2438 INE895I04210
2439 INE895I04228
2440 INE621H04097
2441 INE118J03019
2442 INE232O04016 wrongly generated
2443 INE625J03013
2444 INE868N04019
2445 INE934N03011
2446 INE934N03029
2447 INE934N03037
SISTEMA SHYAM
0.01% NON CONVERTIBLE, NON CUMULATIVE, FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE, NON CUMULATIVE, FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE, NON CUMULATIVE, FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED GVK
AIRPORT 9% COMPULSORILY CONVERTIBLE CUMULATIVE
GVK AIRPORT DEVELOPERS LIMITED 9 SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED BANGALORE
AIRPORT & 9% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
BANGALORE AIRPORT & INFRASTRUCTURE INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL INTERNATIO
NAL CARGO 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
INTERNATIONAL CARGO TERMINALS AND RAIL RENEW
WIND 0.001% COMPULSORY CONVERTIBLE, NON
RENEW WIND ENERGY (AP) PVT. LTD. 0.001% PREF RENEW
WIND 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
RENEW WIND ENERGY (MP) PVT. LTD. 0.0001% RENEW
WIND 0.0001% FULLY REDEEMABLE NON CUMILATIVE PREFERENCE
RENEW WIND ENERGY (JAMB) PVT. LTD. 0.0001% RENEW
SOLAR 0.0001% COMPULSORY CONVERTIBLE PREFERENCE
RENEW SOLAR ENERGY (TN) PRIVATE LIMITED ASIANET
NEWS OPTIONALLY CONVERTIBLE PREFERENCE SHARES WITH
ASIANET NEWS NETWORK PRIVATE LIMITED PREF ASIANET
NEWS OPTIONALLY CONVERTIBLE REDEEMABLE PREFERENCE
ASIANET NEWS NETWORK PRIVATE LIMITED PREF ASIANET
NEWS OPTIONALLY CONVERTIBLE REDEEMABLE PREFERENCE
ASIANET NEWS NETWORK PRIVATE LIMITED PREF ASIANET
NEWS OPTIONALLY CONVERTIBLE REDEEMABLE PREFERENCE
ASIANET NEWS NETWORK PRIVATE LIMITED PREF PENNAR
ENGINEERED COMPULSORILY CONVERTIBLE NON CUMULATIVE NON
PENNAR ENGINEERED BUILDING SYSTEMS PENNAR
ENGINEERED COMPULSORILY CONVERTIBLE NON CUMULATIVE NON
PENNAR ENGINEERED BUILDING SYSTEMS PENNAR
ENGINEERED COMPULSORILY CONVERTIBLE NON CUMULATIVE NON
PENNAR ENGINEERED BUILDING SYSTEMS RELIGARE
ENTERPRISE0.01% NON CONVERTIBLE, NON CUMULATIVE, FULLY
RELIGARE ENTERPRISES LIMITED 0.01% PREF BHILANGAN
A HYDRO 3% FULLY CONVERTIBLE, NON CUMULATIVE, NON
BHILANGANA HYDRO POWER LIMITED 3% COROMAND
EL 11.35% NON CONVERTIBLE CUMULATIVE FULLY
COROMANDEL ENGINEERING COMPANY HYPERCITY
RETAIL 7% NON CONVERTIBLE CUMULATIVE FULLY
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF HYPERCITY
RETAIL 7% NON CONVERTIBLE CUMULATIVE FULLY
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF HYPERCITY
RETAIL 7% NON CONVERTIBLE CUMULATIVE FULLY
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF HYPERCITY
RETAIL 7% NON CONVERTIBLE CUMULATIVE FULLY
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF RELIGARE
ENTERPRISE13.66% NON CONVERTIBLE, CUMULATIVE, FULLY
RELIGARE ENTERPRISES LIMITED 13.66% PREF SOMA
ENTERPRISE 0.0001% COMPULSORILY CONVERTIBLE CUMULATIVE
SOMA ENTERPRISE LIMITED 0.0001% PREF INTERNATIO
NAL CARGO INTERNATIONAL CARGO TERMINALS AND VISHWA
INFRASTRUC12% COMPULSORILY CONVERTIBLE CUMULATIVE
VISHWA INFRASTRUCTURES & THRISSUR
EXPRESSWANON CONVERTIBLE NON CUMULATIVE REDEEMABLE
THRISSUR EXPRESSWAY LIMITED PREF 31MR35MICROQUAL
TECHNO 4.025% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
MICROQUAL TECHNO LIMITED 4.025% PREF MICROQUAL
TECHNO 0.1% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
MICROQUAL TECHNO LIMITED 0.1% PREF 03NV30MICROQUAL
TECHNO 0.2% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
MICROQUAL TECHNO LIMITED 0.2% PREF 27OT31
![Page 52: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/52.jpg)
2448 INE098I04013
2449 INE232J04073
2450 INE232J04081
2451 INE232J04214
2452 INE232J04313
2453 INE232J04321
2454 INE232J04388
2455 INE232J04396
2456 INE232J04404
2457 INE232J04446
2458 INE232J04495
2459 INE232J04503
2460 INE159D04063
2461 INE159D04071
2462 INE159D04147
2463 INE159D04154
2464 INE159D04162
2465 INE159D04170
2466 INE159D04188
2467 INE159D04204
2468 INE159D04212
2469 INE159D04220
2470 INE159D04253
2471 INE159D04279
2472 INE159D04295
2473 INE159D04329
2474 INE159D04337
2475 INE159D04345
2476 INE159D04410
2477 INE159D04014
2478 INE159D04378
2479 INE159D04386
2480 INE159D04394
2481 INE159D04402
2482 INE308K03014
2483 INE110L03012
2484 INE110L03020
2485 INE110L03038
2486 INE540I03016
2487 INE540I04022
2488 INE117N04045
2489 INE117N04052
2490 INE870H03019
2491 INE172G04101
2492 INE895I03014
2493 INE287K04018
2494 INE287K04026
2495 INE287K04034
SITAPURAM POWER
0.01% NON CONVERTIBLE CUMULATIVE FULLY
SITAPURAM POWER LIMITED 0.01% PREF RELIGARE
CAPITAL 0.01% NON CUMULATIVE, NON CONVERTIBLE, REDEEMABLE
RELIGARE CAPITAL MARKETS LIMITED 0.01% RELIGARE
CAPITAL 0.01% NON CONVERTIBLE, NON CUMULATIVE, FULLY
RELIGARE CAPITAL MARKETS LIMITED 0.01% RELIGARE
CAPITAL 0.01% NON CUMULATIVE, NON CONVERTIBLE, FULLY
RELIGARE CAPITAL MARKETS LIMITED 0.01% RELIGARE
CAPITAL 0.01% NON CUMULATIVE, NON CONVERTIBLE, FULLY
RELIGARE CAPITAL MARKETS LIMITED 0.01% RELIGARE
CAPITAL 0.01% NON CUMULATIVE, NON CONVERTIBLE, FULLY
RELIGARE CAPITAL MARKETS LIMITED 0.01% RELIGARE
CAPITAL 0.01% NON CONVERTIBLE, NON CUMULATIVE FULLY
RELIGARE CAPITAL MARKETS LIMITED 0.01% RELIGARE
CAPITAL 0.01% NON CONVERTIBLE, NON CUMULATIVE FULLY
RELIGARE CAPITAL MARKETS LIMITED 0.01% RELIGARE
CAPITAL 0.002% CUMULATIVE NON CONVERTIBLE REDEEMABLE
RELIGARE CAPITAL MARKETS LIMITED 0.002% RELIGARE
CAPITAL 0.002% NON CONVERTIBLE CUMULATIVE REDEEMABLE
RELIGARE CAPITAL MARKETS LIMITED 0.002% RELIGARE
CAPITAL 14.20% NON CONVERTIBLE CUMULATIVE FULLY
RELIGARE CAPITAL MARKETS LIMITED 14.20% RELIGARE
CAPITAL 14.20% NON CONVERTIBLE CUMULATIVE FULLY
RELIGARE CAPITAL MARKETS LIMITED 14.20% SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE, FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE, FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE, NON CUMULATIVE, FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE, NON CUMULATIVE, FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE, NON CUMULATIVE, FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED KMC
CONSTRUCTI0.0001% COMPULSORILY CONVERTIBLE CUMULATIVE
KMC CONSTRUCTIONS LIMITED 0.0001% PREF RELIANCE
JIO 0.1% OPTIONALLY CONVERTIBLE NON
RELIANCE JIO INFOCOMM LIMITED 0.1% PREF 29JU30RELIANCE
JIO 9% OPTIONALLY CONVERTIBLE NON CUMULATIVE
RELIANCE JIO INFOCOMM LIMITED 9% PREF 03OT26RELIANCE
JIO 9% SERIES III OPTIONALLY CONVERTIBLE NON
RELIANCE JIO INFOCOMM LIMITED 9% PREF 06FB27FARM
ENTERPRISE12% OPTIONALLY CONVERTIBLE CUMULATIVE PREFERENCE
FARM ENTERPRISES LIMITED PREF SERIES A FARM
ENTERPRISE12% REDEEMABLE CUMULATIVE PREFERENCE SHARES WITH FV
FARM ENTERPRISES LIMITED 12% PREF 25MY13KANCHANJU
NGA POWER 8% NON CONVERTIBLE NON CUMULATIVE FULLY
KANCHANJUNGA POWER COMPANY PRIVATE KANCHANJU
NGA POWER 8% NON CONVERTIBLE NON CUMULATIVE FULLY
KANCHANJUNGA POWER COMPANY PRIVATE NETWORK18
MEDIA & FULLY PAID UP PARTLY CONVERTIBLE CUMULATIVE
NETWORK18 MEDIA & INVESTMENTS LTD. PREF LAVASA
CORPORATI6 % CUMULATIVE NON CONVERTIBLE REDEEMABLE
LAVASA CORPORATION LIMITED 6% PREF 01MY20HYPERCITY
RETAIL 7% FULLY CONVERTIBLE, CUMULATIVE, NON
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF ASPEN
INFRASTRUC9% NON CONVERTIBLE, CUMULATIVE REDEEMABLE
ASPEN INFRASTRUCTURES LIMITED 9% PREF 24JU29ASPEN
INFRASTRUC1% NON CONVERTIBLE, CUMULATIVE REDEEMABLE
ASPEN INFRASTRUCTURES LIMITED 1% PREF 01FB23ASPEN
INFRASTRUC10% NON CONVERTIBLE, CUMULATIVE REDEEMABLE
ASPEN INFRASTRUCTURES LIMITED 10% PREF 20DC24
![Page 53: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/53.jpg)
2496 INE790J03023
2497 INE172G03046
2498 INE048J04016
2499 INE152A04015
2500 INE701M03065
2501 INE991C04020
2502 INE117N04011
2503 INE453I03020
2504 INE453I03053
2505 INE453I03061
2506 INE394K03014
2507 INE572J03033
2508 INE514M03013
2509 INE026K04010
2510 INE094H04014
2511 INE172G03012
2512 INE304A04012
2513 IN9870H03017
2514 INE030O03024
2515 INE536H04014
2516 INE006O03016
2517 INE453I03038
2518 INE159D04261
2519 INE540I03024
2520 INE540I04014
2521 INE117N04029
2522 INE117N04037
2523 INE177J03031
2524 INE177J03049
2525 INE172G04143
2526 INE172G04150
2527 INE895I04103
2528 INE701M03040
2529 INE701M03057
2530 INE524K03016
2531 INE453I03046
2532 INE016I04015
2533 INE339I03039
2534 INE339I03047
2535 INE572J03025
2536 INE572J03041
2537 INE572J03058
2538 INE950J03015
2539 INE236I03037
2540 INE453I03012
2541 INE453I04010
2542 INE182L03029
2543 INE895I04111
VATIKA LIMITED
0.001% CUMPULSORILY CONVERTIBLE CUMULATIVE
VATIKA LIMITED 0.001% PREF 31DC15LAVASA
CORPORATI0.001% COMPULSORILY CONVERTIBLE CUMULATIVE
LAVASA CORPORATION LIMITED 0.001% PREF BUSINESS
BROADCAST 12% SERIES I NON CONVERTIBLE CUMULATIVE REDEEMABLE
BUSINESS BROADCAST NEWS PRIVATE LIMITED THERMAX
LIMITED6% NON CUMULATIVE NON CONVERTIBLE REDEEMABLE
THERMAX LIMITED 6% PREF 210906VASAN
HEALTH 0.02% COMPULSORILY CONVERTIBLE, NON
VASAN HEALTH CARE PRIVATE LIMITED 0.02% DION
GLOBAL 1% NON CONVERTIBLE CUMULATIVE FULLY
DION GLOBAL SOLUTIONS LIMITED 1% PREF 27SP31KANCHANJU
NGA POWER 8% NON CONVERTIBLE, NON CUMULATIVE, FULLY
KANCHANJUNGA POWER COMPANY PRIVATE BHILANGAN
A HYDRO 3% FULLY CONVERTIBLE, NON CUMULATIVE, NON
BHILANGANA HYDRO POWER LIMITED 3% PREF BHILANGAN
A HYDRO 3% FULLY CONVERTIBLE, NON CUMULATIVE, NON
BHILANGANA HYDRO POWER LIMITED 3% PREF BHILANGAN
A HYDRO 3% FULLY CONVERTIBLE, NON CUMULATIVE, NON
BHILANGANA HYDRO POWER LIMITED 3% PREF SN NIRMAN
INFRA 14% CUMULATIVE OPTIONALLY CONVERTIBLE FULLY
SN NIRMAN INFRA PROJECTS PRIVATE SPANDANA
SPHOORTY 0.001% SERIES B COMPULSORY CONVERTIBLE CUMULATIVE
SPANDANA SPHOORTY FINANCIAL LIMITED VNR
INFRASTRUCFULLY CONVERTIBLE PREFERENCE SHARES WITH
VNR INFRASTRUCTURES LIMITED PREF SHARES SALEM
TOLLWAYS 7% CUMULATIVE NON CONVERTIBLE FULLY
SALEM TOLLWAYS LIMITED 7 % PREF 08JN25SPECTRUM
POWER 0.05% NON CONVERTIBLE NON CUMULATIVE FULLY
SPECTRUM POWER GENERATION LIMITED LAVASA
CORPORATI0.001 % COMPULSORY CONVERTIBLE PREFERENCE
LAVASA CORPORATION LIMITED 0.001% PREF MUKAND
LIMITED0.01% Non convertible cumulative redeemable preference shares
MUKAND LIMITED 0.01% PREF 120123NETWORK18
MEDIA & 5% PARTLY PAID UP PARTLY CONVERTIBLE CUMULATIVE
NETWORK18 MEDIA & INVESTMENTS LTD. 5% PP CENTUM
LEARNING 0.001% COMPULSORY CONVERTIBLE NON
CENTUM LEARNING LIMITED 0.001% PREF MAHINDRA
CIE 4 % NON CONVERTIBLE NON CUMULATIVE FULLY
MAHINDRA CIE AUTOMOTIVE LIMITED 4 CURA
HEALTHCAR0.001% FULLY CONVERTIBLE CUMULATIVE NON
CURA HEALTHCARE PRIVATE LIMITED 0.001% BHILANGAN
A HYDRO 3% FULLY CONVERTIBLE, NON CUMULATIVE, NON
BHILANGANA HYDRO POWER LIMITED 3% SR III SISTEMA
SHYAM 0.01% NON CONVERTIBLE NON CUMULATIVE FULLY
SISTEMA SHYAM TELESERVICES LIMITED FARM
ENTERPRISE12% OPTIONALLY CONVERTIBLE CUMULATIVE PREFERENCE
FARM ENTERPRISES LIMITED 12% PREF 25MY13FARM
ENTERPRISE12% NON CONVERTIBLE CUMULATIVE PREFERENCE
FARM ENTERPRISES LIMITED PREF SERIES B KANCHANJU
NGA POWER 8% REDEEMABLE NON CONVERTIBLE NON
KANCHANJUNGA POWER COMPANY PRIVATE KANCHANJU
NGA POWER 8% NON CONVERTIBLE, NON CUMULATIVE, FULLY
KANCHANJUNGA POWER COMPANY PRIVATE RELIGARE
WEALTH 8% FULLY CONVERTIBLE NON CUMULATIVE NON
RELIGARE WEALTH MANAGEMENT LIMITED RELIGARE
WEALTH 8% COMPULSORY CONVERTIBLE NON CUMULATIVE NON
RELIGARE WEALTH MANAGEMENT LIMITED LAVASA
CORPORATI6% NON CONVERTIBLE CUMULATIVE REDEEMABLE
LAVASA CORPORATION LIMITED 6% PREF 30JN22LAVASA
CORPORATI6% NON CONVERTIBLE CUMULATIVE REDEEMABLE
LAVASA CORPORATION LIMITED 6% PREF 05JU23HYPERCITY
RETAIL 7% NON CONVERTIBLE CUMULATIVE FULLY
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF VASAN
HEALTH 0.01% FULLY CONVERTIBLE, NON CUMULATIVE, NON
VASAN HEALTH CARE PRIVATE LIMITED 0.01% VASAN
HEALTH 0.01% COMPULSORILY CONVERTIBLE,CUMULATIVE,
VASAN HEALTH CARE PRIVATE LIMITED 0.01% UNIQUE
AFFORDABL0.0001% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
UNIQUE AFFORDABLE HOMES PRIVATE LIMITED BHILANGAN
A HYDRO 3% FULLY CONVERTIBLE, NON CUMULATIVE, NON
BHILANGANA HYDRO POWER LIMITED 3% SR. IV VS LIGNITE
POWER 14% CUMULATIVE REDEEMABLE PREFERENCE SHARES. DATE OF
VS LIGNITE POWER PRIVATE LIMITED 14% JUBILEE
HILLS OPTIONALLY CONVERTIBLE NON CUMULATIVE
JUBILEE HILLS LANDMARK PROJECTS JUBILEE
HILLS OPTIONALLY CONVERTIBLE NON CUMULATIVE
JUBILEE HILLS LANDMARK PROJECTS SPANDANA
SPHOORTY 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
SPANDANA SPHOORTY FINANCIAL LIMITED SPANDANA
SPHOORTY 0.001% CLASS A COMPULSORY CONVERTIBLE CUMULATIVE
SPANDANA SPHOORTY FINANCIAL LIMITED SPANDANA
SPHOORTY 0.001% CLASS A1 COMPULSORY CONVERTIBLE CUMULATIVE
SPANDANA SPHOORTY FINANCIAL LIMITED KRISHNAPAT
NAM PORT 0.001% COMPLSORY CONVERTIBLE CUMULATIVE
KRISHNAPATNAM PORT COMPANY LTD 0.001% ACME
CLEANTECH 10% OPTIONALLY CONVERTIBLE NON CUMULATIVE
ACME CLEANTECH SOLUTIONS PRIVATE BHILANGAN
A HYDRO 3 % FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
BHILANGANA HYDRO POWER LIMITED 3 % PREF BHILANGAN
A HYDRO 8% NON CONVERTIBLE, NON CUMULATIVE, REDEEMABLE
BHILANGANA HYDRO POWER LIMITED 8% PREF TRIANGLE
BUILDERS & 0.01% FULLY CONVERTIBLE, NON CUMULATIVE, NON
TRIANGLE BUILDERS & PROMOTERS PRIVATE HYPERCITY
RETAIL 7% NON CONVERTIBLE, CUMULATIVE, FULLY
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF
![Page 54: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/54.jpg)
2544 INE895I04129
2545 INE895I04137
2546 INE895I04145
2547 INE895I04152
2548 INE895I04160
2549 INE895I04178
2550 INE701L03018
2551 INE017K03011
2552 INE496K03017
2553 INE177J03015
2554 INE932A04010
2555 INE496H03013
2556 INE165K03018
2557 INE340K03017
2558 INE794K04039
2559 INE794K04021
2560 INE794K04013
2561 INE460L03011
2562 INE625K04019
2563 INE177J03023
2564 INE491I03012
2565 INE592I04015
2566 INE336K03015
2567 INE292L03018
2568 INE775I03026
2569 INE775I03034
2570 INE775I03042
2571 INE775I03059
2572 INE775I03067
2573 INE775I03018
2574 INE653L03029
2575 INE653L03037
2576 INE182L03011
2577 INE898I03018
2578 INE438H04013
2579 INE226T04017
2580 INE226T04025
2581 INE226T04033
2582 INE226T04041
2583 INE226T04058
2584 INE664P03019
2585 INE003P03010
2586 INE003P03028
2587 INE004T03010
2588 INE004T03028
2589 INE015O03017
2590 INE017S03014
2591 INE017S03022
HYPERCITY RETAIL
7% NON CONVERTIBLE, CUMULATIVE, FULLY
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF HYPERCITY
RETAIL 7% NON CONVERTIBLE, CUMULATIVE, FULLY
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF HYPERCITY
RETAIL 7% NON CONVERTIBLE, CUMULATIVE, FULLY
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF HYPERCITY
RETAIL 7% NON CONVERTIBLE, CUMULATIVE, FULLY
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF HYPERCITY
RETAIL 7% NON CONVERTIBLE NON CUMULATIVE FULLY
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF HYPERCITY
RETAIL 7% NON CONVERTIBLE CUMULATIVE REDEEMABLE
HYPERCITY RETAIL (INDIA) LIMITED 7% PREF RAMKY
ENVIRO 0.001% COMPULSORILY CONVERTIBLE, CUMULATIVE,
RAMKY ENVIRO ENGINEERS LIMITED RAMKY
ELSAMEX 10% CUMULATIVE REDEEMABLE OPTIONALLY CONVERTIBLE
RAMKY ELSAMEX HYDERABAD RING ROAD SECOND
VIVEKANAN0.01% FULLY CONVERTIBLE, CUMULATIVE, FULLY
SECOND VIVEKANANDA BRIDGE TOLLWAY RELIGARE
WEALTH 8 % COMPULSORILY CONVERTIBLE, NON
RELIGARE WEALTH MANAGEMENT LIMITED 8 PENNAR
INDUSTRIES 0.01 % NON CONVERTIBLE CUMULATIVE FULLY
PENNAR INDUSTRIES LIMITED 0.01 PREF JM
FINANCIAL 9 % OPTIONALLY CONVERTIBLE NON CUMULATIVE
JM FINANCIAL ASSET MANAGEMENT LIMITED 9 JHAJJAR
POWER ZERO PERCENT FULLY CONVERTIBLE, NON
JHAJJAR POWER LIMITED 0% PREF 31DC28AMRIT JAL
VENTURES 6% OPTIONALLY CONVERTIBLE, CUMULATIVE, REDEEMABLE
AMRIT JAL VENTURES PRIVATE LIMITED 6 % GENERAL
MOTORS 0.001 % CUMULATIVE FULLY REDEEMABLE NON
GENERAL MOTORS INDIA PRIVATE LTD 0.001 PREF GENERAL
MOTORS 0.001 % CUMULATIVE FULLY REDEEMABLE NON
GENERAL MOTORS INDIA PRIVATE LTD 0.001 PREF GENERAL
MOTORS 0.001 % CUMULATIVE FULLY REDEEMABLE NON
GENERAL MOTORS INDIA PRIVATE LTD 0.001 PREF FIREPRO
SYSTEMS 0 % FULLY CONVERTIBLE, NON CUMULATIVE, NON
FIREPRO SYSTEMS PRIVATE LIMITED ZERO % GENEXX
ENPOWER 0.001% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
GENEXX ENPOWER CORPORATION PVT. LTD RELIGARE
WEALTH 8% COMPULSORILY CONVERTIBLE NON
RELIGARE WEALTH MANAGEMENT LIMITED BPTP
LIMITED0.01% FULLY CONVERTIBLE CUMULATIVE PRFERENCE
BPTP LIMITED 0.01% PREF - 14022008METKORE
ALLOYS & 8% NON CONVERTIBLE CUMULATIVE FULLY
METKORE ALLOYS & INDUSTRIES LIMITED 8 % CLP WIND
FARMS ZERO PERCENT NON CUMULATIVE FULLY
CLP WIND FARMS (INDIA) PVT LTD ZERO PERCENT KSK WIND
ENERGY 16% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
KSK WIND ENERGY PRIVATE LIMITED 16% NKG
INFRASTRUCCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
NKG INFRASTRUCTURE LIMITED PREF 21MY24NKG
INFRASTRUCCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
NKG INFRASTRUCTURE LIMITED PREF 08JL25NKG
INFRASTRUCCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
NKG INFRASTRUCTURE LIMITED PREF 27MR24NKG
INFRASTRUCCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
NKG INFRASTRUCTURE LIMITED PREF 19MR24NKG
INFRASTRUCCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
NKG INFRASTRUCTURE LIMITED PREF 27MR23NKG
INFRASTRUCCOMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
NKG INFRASTRUCTURE LIMITED PREF 20SP25RURALSHOR
ES BUSINESS 0.001% COMPULSORILY CONVERTIBLE CUMULATIVE
RURALSHORES BUSINESS SERVICES PRIVATE RURALSHOR
ES BUSINESS 0.001% COMPULSORILY CONVERTIBLE CUMULATIVE
RURALSHORES BUSINESS SERVICES PRIVATE TRIANGLE
BUILDERS & 0.01% FULLY CONVERTIBLE, NON CUMULATIVE, NON
TRIANGLE BUILDERS & PROMOTERS PRIVATE APTIVAA
CONSULTIN0% FULLY CUMULATIVE CUMPULSORILY CONVERTIBLE
APTIVAA CONSULTING SOLUTIONS PVT LIMITED KINGFISHER
AIRLINES 8% CUMULATIVE, NON COVERTIBLE, REDEEMABLE
KINGFISHER AIRLINES LIMITED 8% PREF 02JN23ESCORTS
ASSET 1% NON CONVERTIBLE NON CUMULATIVE FULLY
ESCORTS ASSET MANAGEMENT LIMITED ESCORTS
ASSET 10% NON CONVERTIBLE NON CUMULATIVE FULLY
ESCORTS ASSET MANAGEMENT LIMITED ESCORTS
ASSET 10% NON CONVERTIBLE NON CUMULATIVE FULLY
ESCORTS ASSET MANAGEMENT LIMITED ESCORTS
ASSET 10% NON CONVERTIBLE NON CUMULATIVE FULLY
ESCORTS ASSET MANAGEMENT LIMITED ESCORTS
ASSET 7% NON CONVERTIBLE NON CUMULATIVE FULLY
ESCORTS ASSET MANAGEMENT LIMITED WEST
BENGAL 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
WEST BENGAL WASTE MANAGEMENT LIMITED JETPUR
SOMNATH 0.0001% COMPULSORY CONVERTIBLE NON
JETPUR SOMNATH TOLLWAYS PRIVATE JETPUR
SOMNATH 0.0002% COMPULSORY CONVERTIBLE NON
JETPUR SOMNATH TOLLWAYS PRIVATE ENERGON RJ
WIND 0.001% COMPOULSORY CONVERTIBLE CUMULATIVE
ENERGON RJ WIND POWER PRIVATE LIMITED 0.001% ENERGON RJ
WIND 0.001% COMPOULSORY CONVERTIBLE CUMULATIVE
ENERGON RJ WIND POWER PRIVATE LIMITED 0.001% USHDEV
ENGITECH 1% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
USHDEV ENGITECH LIMITED 1% PREF 01AP23VKL
SEASONING 0.0001% CLASS A CONVERTIBLE CUMULATIVE NON
VKL SEASONING PRIVATE LIMITED 0.0001% CLASS A VKL
SEASONING 0.0001% CLASS B CONVERTIBLE CUMULATIVE NON
VKL SEASONING PRIVATE LIMITED 0.0001% PREF
![Page 55: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/55.jpg)
2592 INE017S03030
2593 INE031S03015
2594 INE045G03010
2595 INE074V04017
2596 INE093T03013
2597 INE093T03021
2598 INE095P04014
2599 INE095P04022
2600 INE095P04030
2601 INE110V04019
2602 INE110V04027
2603 INE112O04028
2604 INE114M04010
2605 INE125V04017
2606 INE130S04013
2607 INE135U03028
2608 INE135U03036
2609 INE139S03024
2610 INE141V04014
2611 INE142V03014
2612 INE142V03022
2613 INE145U03019
2614 INE155T04018
2615 INE135U03010
2616 INE145U04017
2617 INE145U04025
2618 INE124L04011
2619 INE177J04062
2620 INE177J04070
2621 INE177J04088
2622 INE177J04096
2623 INE177J04104
2624 INE184R03014
2625 INE198P03042
2626 INE211M03016
2627 INE216V04014
2628 INE216V04022
2629 INE216V04030
2630 INE216V04048
2631 INE216V04055
2632 INE238N03025
2633 INE238N03041
2634 INE248O04038
2635 INE252Q03011
2636 INE252Q03029
2637 INE177J04013
2638 INE177J04039
2639 INE177J04047
VKL SEASONING
0.0001% CLASS C CONVERTIBLE CUMULATIVE NON
VKL SEASONING PRIVATE LIMITED 0.0001% CLASS C ENERGON
MP WIND 0.001% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
ENERGON MP WIND POWER PRIVATE LIMITED ESCORTS
HEART 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
ESCORTS HEART INSTITUTE & RESEARCH PEGASUS
BUILDTECH NON CONVERTIBLE FULLY REDEEMABLE PREFERENCE
PEGASUS BUILDTECH PRIVATE LIMITED PREF ALLGREEN
ENERGY FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ALLGREEN ENERGY INDIA PRIVATE LIMITED PREF ALLGREEN
ENERGY FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
ALLGREEN ENERGY INDIA PRIVATE LIMITED PREF THERMOSOL
GLASS 12% NON-CONVERTIBLE NON-CUMULATIVE REDEEMABLE
THERMOSOL GLASS PRIVATE LIMITED 12% THERMOSOL
GLASS 12% NON-CONVERTIBLE NON-CUMULATIVE REDEEMABLE
THERMOSOL GLASS PRIVATE LIMITED 12% THERMOSOL
GLASS 12% NON-CONVERTIBLE NON-CUMULATIVE REDEEMABLE
THERMOSOL GLASS PRIVATE LIMITED 12% STERLITE
POWER 8% NON CONVERTIBLE CUMULATIVE REDEEMABLE
STERLITE POWER TRANSMISSION LIMITED STERLITE
POWER 0.10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
STERLITE POWER TRANSMISSION LIMITED PLUS PAC
HOLDINGS 10% NON CONVERTIBLE CUMULATIVE FULLY
PLUS PAC HOLDINGS PRIVATE LIMITED 10% SRINAGAR
BANIHAL 0.001% NON CONVERTIBLE NON CUMULATIVE FULLY
SRINAGAR BANIHAL EXPRESSWAY LIMITED INTERGLOBE
REAL 10% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
INTERGLOBE REAL ESTATE VENTURES ASTER
BUILDING 10% NON CONVERTIBLE NON CUMULATIVE FULLY
ASTER BUILDING SOLUTIONS PRIVATE NAFFA
INNOVATION1% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
NAFFA INNOVATIONS PRIVATE LIMITED 1% PREF NAFFA
INNOVATION1% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
NAFFA INNOVATIONS PRIVATE LIMITED 1% PREF RENEW
SOLAR 0.0001% COMPULSORY CONVERTIBLE NON
RENEW SOLAR POWER PRIVATE LIMITED 0.0001% RENAULT
NISSAN 0% NON CONVERTIBLE NON CUMULATIVE FULLY
RENAULT NISSAN AUTOMOTIVE INDIA S.E.
BUILDERS & 0.001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
S.E. BUILDERS & REALTORS LIMITED 0.001% S.E.
BUILDERS & 0.001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
S.E. BUILDERS & REALTORS LIMITED 0.001% RAMKY
MULTI 0.001% CONVERTIBLE CUMULATIVE REDEMABLE
RAMKY MULTI PRODUCT INDUSTRIAL PARK WS RETAIL
SERVICES 16.63% NON CONVERTIBLE CUMULATIVE FULLY
WS RETAIL SERVICES PRIVATE LIMITED 16.63% NAFFA
INNOVATION1% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
NAFFA INNOVATIONS PRIVATE LIMITED 1% PREF RAMKY
MULTI 0.001% NON CONVERTIBLE CUMULATIVE REDEMABLE
RAMKY MULTI PRODUCT INDUSTRIAL PARK RAMKY
MULTI 0.001% NON CONVERTIBLE CUMULATIVE REDEMABLE
RAMKY MULTI PRODUCT INDUSTRIAL PARK GMR
WARORA NON CONVERTIBLE NON CUMULATIVE FULLY
GMR WARORA ENERGY LIMITED PREF 25MY31RELIGARE
WEALTH 0.01% NON CONVERTIBLE, CUMULATIVE FULLY
RELIGARE WEALTH MANAGEMENT LIMITED RELIGARE
WEALTH 0.01% NON CONVERTIBLE, CUMULATIVE FULLY
RELIGARE WEALTH MANAGEMENT LIMITED RELIGARE
WEALTH 0.01% NON CONVERTIBLE, CUMULATIVE FULLY
RELIGARE WEALTH MANAGEMENT LIMITED RELIGARE
WEALTH 0.01% NON CONVERTIBLE, CUMULATIVE FULLY
RELIGARE WEALTH MANAGEMENT LIMITED RELIGARE
WEALTH 0.01% NON CONVERTIBLE, CUMULATIVE FULLY
RELIGARE WEALTH MANAGEMENT LIMITED PARADISE
FOOD 0.001% SERIES I COMPULSORILY CONVERTIBLE CUMULATIVE
PARADISE FOOD COURT PRIVATE LIMITED 0.001% PIPETEL
COMMUNICAFULLY CONVERTIBLE CUMULATIVE PREFERENCE
PIPETEL COMMUNICATIONS FORNAX
REAL 0.0001% FULLY CONVERTIBLE NON CUMULATIVE NON
FORNAX REAL ESTATE LIMITED 0.0001% PREF INTERGLOBE
TECHNOLOGNON CONVERTIBLE NON CUMULATIVE REDEEMABLE
INTERGLOBE TECHNOLOGIES PRIVATE INTERGLOBE
TECHNOLOGNON CONVERTIBLE NON CUMULATIVE REDEEMABLE
INTERGLOBE TECHNOLOGIES PRIVATE INTERGLOBE
TECHNOLOGNON CONVERTIBLE NON CUMULATIVE REDEEMABLE
INTERGLOBE TECHNOLOGIES PRIVATE INTERGLOBE
TECHNOLOGNON CONVERTIBLE NON CUMULATIVE REDEEMABLE
INTERGLOBE TECHNOLOGIES PRIVATE INTERGLOBE
TECHNOLOGNON CONVERTIBLE NON CUMULATIVE REDEEMABLE
INTERGLOBE TECHNOLOGIES PRIVATE SOHAN LAL
COMMODITY 0.001% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
SOHAN LAL COMMODITY MANAGEMENT PRIVATE SOHAN LAL
COMMODITY 0.001% SERIES A FULLY CONVERTIBLE CUMULATIVE
SOHAN LAL COMMODITY MANAGEMENT PRIVATE RENEW
WIND 0.001% NON CONVERTIBLE NON CUMULATIVE FULLY
RENEW WIND ENERGY (KARNATAKA) PRIVATE DELHI MSW
SOLUTIONS 0.001% OPTIONALLY CONVERTIBLE, CUMULATIVE,
DELHI MSW SOLUTIONS LIMITED 0.001% PREF DELHI MSW
SOLUTIONS 0.001% OPTIONALLY CONVERTIBLE, CUMULATIVE,
DELHI MSW SOLUTIONS LIMITED 0.001% PREF RELIGARE
WEALTH 0.01% NON CONVERTIBLE, CUMULATIVE FULLY
RELIGARE WEALTH MANAGEMENT LIMITED RELIGARE
WEALTH 0.01% NON CONVERTIBLE, CUMULATIVE FULLY
RELIGARE WEALTH MANAGEMENT LIMITED RELIGARE
WEALTH 0.01% NON CONVERTIBLE, CUMULATIVE FULLY
RELIGARE WEALTH MANAGEMENT LIMITED
![Page 56: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/56.jpg)
2640 INE177J04054
2641 INE184R03048
2642 INE198P03018
2643 INE198P03026
2644 INE198P03034
2645 INE238N03033
2646 INE252Q03037
2647 INE223I04017
2648 INE340Q03022
2649 INE340Q03030
2650 INE341T03016
2651 INE343M03017
2652 INE343P04018
2653 INE349V03015
2654 INE362M04023
2655 INE374I04018
2656 INE398V04010
2657 INE402P03014
2658 INE403P03012
2659 INE411F04014
2660 INE415T03018
2661 INE413P03011
2662 INE414P03019
2663 INE415P03016
2664 INE416P03014
2665 INE416P03030
2666 INE419R03014
2667 INE419R03022
2668 INE419R03030
2669 INE419R03048
2670 INE419U03018
2671 INE428L04016
2672 INE428V03017
2673 INE428V03025
2674 INE428V03033
2675 INE428V03041
2676 INE434P03017
2677 INE403P03020
2678 INE434P03025
2679 INE448U03025
2680 INE450K04012
2681 INE465V03019
2682 INE484V03010
2683 INE486V03015
2684 INE486V03023
2685 INE467R04011
2686 INE489R04015
2687 INE515P03013
RELIGARE WEALTH
0.01% NON CONVERTIBLE, CUMULATIVE FULLY
RELIGARE WEALTH MANAGEMENT LIMITED PARADISE
FOOD 0.001% SERIES 1 COMPULSORILY CONVERTIBLE CUMULATIVE
PARADISE FOOD COURT PRIVATE LIMITED 0.001% PIPETEL
COMMUNICACUMULATIVE CONVERTIBLE NON REDEEMABLE
PIPETEL COMMUNICATIONS PIPETEL
COMMUNICACUMULATIVE CONVERTIBLE NON REDEEMABLE PREFERENCE
PIPETEL COMMUNICATIONS PIPETEL
COMMUNICACUMULATIVE CONVERTIBLE NON REDEEMABLE PREFERENCE
PIPETEL COMMUNICATIONS SOHAN LAL
COMMODITY 0.001% SERIES B FULLY CONVERTIBLE CUMULATIVE
SOHAN LAL COMMODITY MANAGEMENT PRIVATE DELHI MSW
SOLUTIONS 0.001% OPTIONALLY CONVERTIBLE, CUMULATIVE,
DELHI MSW SOLUTIONS LIMITED 0.001% PREF JM
FINANCIAL 10% NON CONVERTIBLE, NON CUMULATIVE,FULLY
JM FINANCIAL INSTITUTIONAL IBIBO
GROUP 0.001% COMPULSORILY CONVERTIBLE NON
IBIBO GROUP PRIVATE LIMITED 0.001 PREF 01DC29IBIBO
GROUP 0.001% COMPULSORILY CONVERTIBLE NON
IBIBO GROUP PRIVATE LIMITED 0.001% PREF RENEW
SOLAR 0.0001% COMPULSORY CONVERTIBLE NON
RENEW SOLAR ENERGY (KARNATAKA) PRIVATE CLP WIND
FARMS 10% COMPULSORY CONVERTIBLE NON
CLP WIND FARMS (THENI - PROJECT II) PVT LTD 10% MEERUT
CABLE NON CONVERTIBLE NON CUMULATIVE FULLY
MEERUT CABLE NETWORK PRIVATE LIMITED PREF ANAKAMPOI
L POWER 1% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
ANAKAMPOIL POWER PRIVATE LIMITED 1% PREF GMR
INFRATECH 8% NON CUMULATIVE FULLY REDEEMABLE PREFERENCE
GMR INFRATECH PRIVATE LIMITED 8% PREF 07MR24SAI
WARDHA 0.01% NON CONVERTIBLE CUMULATIVE REDEEMABLE
SAI WARDHA POWER GENERATION LIMITED SAM SOLAR
PRIVATE NON CONVERTIBLE NON CUMULATIVE FULLY
SAM SOLAR PRIVATE LIMITED PREF 03NV36CITRA
PROPERTIES 0.001% FULLY CONVERTIBLE NON CUMULATIVE NON
CITRA PROPERTIES LIMITED 0.001% PREF AIRMID
DEVELOPER0.0001% FULLY CONVERTIBLE NON CUMULATIVE NON
AIRMID DEVELOPERS LIMITED 0.0001% PREF KAMA
HOLDINGS 8% NON CONVERTIBLE, NON CUMULATIVE REDEEMABLE
KAMA HOLDINGS LIMITED 8% PREF 31MR31UMBEL
PROPERTIES 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
UMBEL PROPERTIES PRIVATE LIMITED 0.01% JUVENTUS
ESTATE 0.0001% FULLY CONVERTIBLE NON CUMULATIVE NON
JUVENTUS ESTATE LIMITED 0.001% PREF SELENE
CONSTRUCTI0.0001% FULLY CONVERTIBLE NON CUMULATIVE NON
SELENE CONSTRUCTIONS LIMITED 0.0001% PREF ATHENA
INFRASTRUC0.0001% FULLY CONVERTIBLE NON CUMULATIVE NON
ATHENA INFRASTRUCTURE SELENE
ESTATE 0.0001% FULLY CONVERTIBLE NON CUMULATIVE NON
SELENE ESTATE LIMITED 0.0001% PREF 30NV13SELENE
ESTATE 0.0001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
SELENE ESTATE LIMITED 0.0001% PREF 30NV18OML
ENTERTAINFULLY CONVERTIBLE, CUMULATIVE PREFERENCE
OML ENTERTAINMENT PRIVATE LIMITED PREF OML
ENTERTAINFULLY CONVERTIBLE, CUMULATIVE PREFERENCE
OML ENTERTAINMENT PRIVATE LIMITED PREF OML
ENTERTAINFULLY CONVERTIBLE, CUMULATIVE PREFERENCE
OML ENTERTAINMENT PRIVATE LIMITED PREF OML
ENTERTAINFULLY CONVERTIBLE, CUMULATIVE PREFERENCE
OML ENTERTAINMENT PRIVATE LIMITED PREF HAPPIEST
MINDS 14% SERIES A FULLY CONVERTIBLE, NON
HAPPIEST MINDS TECHNOLOGIES PRIVATE ADONE
HOTELS & 0.001% NON CONVERTIBLE CUMULATIVE REDEEMABLE
ADONE HOTELS & HOSPITALITY LIMITED NEPHROCAR
E HEALTH 0.001% SERIES A COMPULSORILY CONVERTIBLE NON
NEPHROCARE HEALTH SERVICES PRIVATE NEPHROCAR
E HEALTH 0.001% SERIES A COMPULSORILY CONVERTIBLE NON
NEPHROCARE HEALTH SERVICES PRIVATE NEPHROCAR
E HEALTH 0.001% SERIES B COMPULSORILY CONVERTIBLE
NEPHROCARE HEALTH SERVICES PRIVATE NEPHROCAR
E HEALTH 0.001% SERIES C COMPULSORILY CONVERTIBLE NON
NEPHROCARE HEALTH SERVICES PRIVATE INDIABULLS
ESTATE 14% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
INDIABULLS ESTATE LIMITED 14% PREF 30NV13AIRMID
DEVELOPER0.0001% FULLY CONVERTIBLE NON CUMULATIVE NON
AIRMID DEVELOPERS LIMITED 0.0001% PREF INDIABULLS
ESTATE 14% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
INDIABULLS ESTATE LIMITED 14% PREF VERITAS
FINANCE 0.01% SERIS B COMPULSORY CONVERTIBLE NON
VERITAS FINANCE PRIVATE LIMITED 0.01% RELIANCE
CEMENT 10% NON CONVERTIBLE CUMULATIVE FULLY
RELIANCE CEMENT COMPANY PRIVATE RADIANT
HUES CRM 0.01% COMPULSORILY CONVERTIBLE NON
RADIANT HUES CRM SOLUTIONS PRIVATE RENEW
SAUR URJA 0.0001% COMPULSORILY CONVERTIBLE NON
RENEW SAUR URJA PRIVATE LIMITED 0.0001% LAKEPOINT
BUILDERS 12% OPTIONALLY CONVERTIBLE CUMULATIVE REDEMABLE
LAKEPOINT BUILDERS PRIVATE LIMITED 12% LAKEPOINT
BUILDERS 12% OPTIONALLY CONVERTIBLE CUMULATIVE REDEEMABLE
LAKEPOINT BUILDERS PRIVATE LIMITED 12% KALSUBAI
POWER NON CONVERTIBLE NON CUMULATIVE FULLY
KALSUBAI POWER PRIVATE LIMITED PREF NILGIRI
POWER NON CONVERTIBLE NON CUMULATIVE FULLY
NILGIRI POWER PRIVATE LIMITED PREF 21MR28MAS RURAL
HOUSING 8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
MAS RURAL HOUSING AND MORTGAGE FINANCE
![Page 57: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/57.jpg)
2688 INE515P03021
2689 INE520U04011
2690 INE548I03019
2691 INE554U04044
2692 INE554U04010
2693 INE554U04028
2694 INE554U04036
2695 INE554U04051
2696 INE554U04069
2697 INE554U04077
2698 INE554U04085
2699 INE554U04093
2700 INE554U04101
2701 INE554U04119
2702 INE554U04127
2703 INE554U04135
2704 INE554U04143
2705 INE554U04150
2706 INE607T03010
2707 INE615S03015
2708 INE615S03023
2709 INE622O03010
2710 INE650U04016
2711 INE650U04024
2712 INE672P03012
2713 INE711U04016
2714 INE711U04024
2715 INE711U04032
2716 INE713U04012
2717 INE713U04020
2718 INE721P04015
2719 INE722M03012
2720 INE731V03014
2721 INE758T03011
2722 INE758T03029
2723 INE758T03037
2724 INE758T03045
2725 INE758T03052
2726 INE758T03060
2727 INE758T03078
2728 INE758T03086
2729 INE758T03094
2730 INE758T03102
2731 INE774L03015
2732 INE402P03022
2733 INE413P03029
2734 INE414P03027
2735 INE415P03024
MAS RURAL HOUSING
8% OPTIONALLY CONVERTIBLE NON CUMULATIVE
MAS RURAL HOUSING AND MORTGAGE FINANCE PRUSHTI
DEVELOPER5% NON CONVERTIBLE NON CUMULATIVE FULLY
PRUSHTI DEVELOPERS PRIVATE LIMITED 5% PREF BANGALORE
ELEVATED RESATE RATE FULLY CONVERTIBLE REDEEMABLE
BANGALORE ELEVATED TOLLWAY PRIVATE LTD SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 23FB34SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 08JN35SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 09OT34SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 11JL34SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 29DC33SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 09OT33SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 28MY33SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 17MR33SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 14JN33SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 13NV32SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 12SP32SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 12AG32SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 18JU32SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 08MY32SARV
ESTATE NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
SARV ESTATE PRIVATE LIMITED PREF 25MY36VINIMAY
DEVELOPER1% OPTIONALLY CONVERTIBLE NON CUMULATIVE FULLY
VINIMAY DEVELOPERS PRIVATE LIMITED 1% PREF STERLITE
POWER GRID 0.01% COMPULSORY CONVERTIBLE CUMULATIVE
STERLITE POWER GRID VENTURES LIMITED 0.01% STERLITE
POWER GRID 0.01% OPTIONALLY CONVERTIBLE CUMULATIVE
STERLITE POWER GRID VENTURES LIMITED 0.01% BHASKAR
INDUSTRIES 0.1% OPTIONALLY CONVERTIBLE CUMULATIVE
BHASKAR INDUSTRIES PRIVATE LIMITED 0.1% INTERGLOBE
HOTELS NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
INTERGLOBE HOTELS PRIVATE LIMITED PREF INTERGLOBE
HOTELS NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
INTERGLOBE HOTELS PRIVATE LIMITED PREF RAMKY
ENCLAVE 10% CONVERTIBLE CUMULATIVE REDEEMABLE
RAMKY ENCLAVE LIMITED 10% PREF 08FB27ACQUIRE
BUILDCON NON CONVERTIBLE NON CUMULATIVE FULLY
ACQUIRE BUILDCON PRIVATE LIMITED PREF ACQUIRE
BUILDCON NON CONVERTIBLE NON CUMULATIVE FULLY
ACQUIRE BUILDCON PRIVATE LIMITED PREF ACQUIRE
BUILDCON NON CONVERTIBLE NON CUMULATIVE FULLY
ACQUIRE BUILDCON PRIVATE LIMITED PREF ACQUIRE
INFRASTRUCNON CONVERTIBLE NON CUMULATIVE FULLY
ACQUIRE INFRASTRUCTURE ACQUIRE
INFRASTRUCNON CONVERTIBLE NON CUMULATIVE FULLY
ACQUIRE INFRASTRUCTURE FRANK
LLOYD TECH 0.001% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
FRANK LLOYD TECH MANAGEMENT SERVICES SOMA
TOLLWAYS COMPULSORY CONVERTIBLE, CUMULATIVE PREFERENCE
SOMA TOLLWAYS PRIVATE LIMITED PREF RENEW
MEGA 0.0001% COMPULSORY CONVERTIBLE NON
RENEW MEGA SOLAR POWER PRIVATE LIMITED ZOMATO
MEDIA CLASS D - 0.0001% FULLY CONVERTIBLE CUMULATIVE
ZOMATO MEDIA PRIVATE LIMITED CLASS D- 0.0001% ZOMATO
MEDIA CLASS D - 0.0001% FULLY CONVERTIBLE CUMULATIVE
ZOMATO MEDIA PRIVATE LIMITED CLASS D- 0.0001% ZOMATO
MEDIA CLASS C - 0.0001% FULLY CONVERTIBLE CUMULATIVE
ZOMATO MEDIA PRIVATE LIMITED CLASS C- 0.0001% ZOMATO
MEDIA CLASS B - 0.0001% FULLY CONVERTIBLE CUMULATIVE
ZOMATO MEDIA PRIVATE LIMITED CLASS B- 0.0001% ZOMATO
MEDIA CLASS B - 0.0001% FULLY CONVERTIBLE CUMULATIVE
ZOMATO MEDIA PRIVATE LIMITED CLASS B- 0.0001% ZOMATO
MEDIA CLASS A- 0.0001% FULLY CONVERTIBLE CUMULATIVE
ZOMATO MEDIA PRIVATE LIMITED CLASS A- 0.0001% ZOMATO
MEDIA CLASS E- 0.0001% COMPULSORY CONVERTIBLE NON
ZOMATO MEDIA PRIVATE LIMITED CLASS E- 0.0001% ZOMATO
MEDIA CLASS F- 0.0001% COMPULSORY CONVERTIBLE NON
ZOMATO MEDIA PRIVATE LIMITED CLASS F - 0.0001% ZOMATO
MEDIA CLASS G- 0.00000015% COMPULSORY CONVERTIBLE
ZOMATO MEDIA PRIVATE LIMITED 0.00000015% ZOMATO
MEDIA 0.00000015% CLASS H COMPULSORY CONVERTIBLE
ZOMATO MEDIA PRIVATE LIMITED 0.00000015% ANANYA
FINANCE 6% FULLY CONVERTIBLE CUMULATIVE NON
ANANYA FINANCE FOR INCLUSIVE GROWTH CITRA
PROPERTIES 0.001% FULLY CONVERTIBLE NON CUMULATIVE NON
CITRA PROPERTIES LIMITED 0.001% PREF JUVENTUS
ESTATE 0.0001% FULLY CONVERTIBLE NON CUMULATIVE NON
JUVENTUS ESTATE LIMITED 0.0001% PREF SELENE
CONSTRUCTI0.0001% FULLY CONVERTIBLE NON CUMULATIVE NON
SELENE CONSTRUCTIONS LIMITED 0.0001% PREF ATHENA
INFRASTRUC0.0001% FULLY CONVERTIBLE NON CUMULATIVE NON
ATHENA INFRASTRUCTURE
![Page 58: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/58.jpg)
2736 INE416P03022
2737 INE774L03031
2738 INE362M04015
2739 INE779L03022
2740 INE785M03019
2741 INE785T04012
2742 INE795U03011
2743 INE845T04014
2744 INE856K04036
2745 INE856K04044
2746 INE861M03018
2747 INE861M03026
2748 INE897P03015
2749 INE897P03023
2750 INE907T03014
2751 INE907T03022
2752 INE927J03013
2753 INE951S03014
2754 INE956R03015
2755 INE288T04017
2756 INE288T04025
2757 INE288T04033
2758 INE288T04041
2759 INE288T04058
2760 INE288T04066
2761 INE288T04074
2762 INE288T04090
2763 INE288T04108
2764 INE288T04116
2765 INE288T04124
2766 INE288T04132
2767 INE288T04140
2768 INE288T04157
2769 INE288T04082
2770 INE177J04021
2771 INE340Q03014
2772 INE481N03013
2773 INE481N03021
2774 INE481N03039
2775 INE520J03024
2776 INE728V03010
2777 INE737P03013
2778 INE774L03023
2779 INE843Q03017
2780 INE891M03015
2781 INE922P03045
2782 INE305P03019
2783 INE368P03017
SELENE ESTATE
0.0001% FULLY CONVERTIBLE NON CUMULATIVE NON
SELENE ESTATE LIMITED 0.0001% PREF 30NV14ANANYA
FINANCE 8% OPTIONALLY CONVERTIBLE CUMULATIVE PREFERENCE
ANANYA FINANCE FOR INCLUSIVE GROWTH GMR
INFRATECH 8% NON CUMULATIVE FULLY REDEEMABLE PREFERENCE
GMR INFRATECH PRIVATE LIMITED 8% PREF 25SP23NSL
RENEWABLE COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
NSL RENEWABLE POWER PRIVATE LIMITED PREF PC
JEWELLER 13% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
PC JEWELLER LIMITED 13% PREF 01SP17RENEW
SOLAR 0.0001% NON CONVERTIBLE NON CUMULATIVE REDEEMABLE
RENEW SOLAR ENERGY (RAJASTHAN) PRIVATE RAGHUVANS
HI COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
RAGHUVANSHI INVESTMENT PRIVATE FORTRESS
CONSTRUCTI5% NON CONVERTIBLE NON CUMULATIVE FULLY
FORTRESS CONSTRUCTIONS PRIVATE LIGARE
VOYAGES 11% NON CONVERTIBLE NON CUMULATIVE FULLY
LIGARE VOYAGES LIMITED 11% PREF 06DC20LIGARE
VOYAGES 11% NON CONVERTIBLE NON CUMULATIVE FULLY
LIGARE VOYAGES LIMITED 11% PREF 30MR21BASIX SUB-K
iTRANSACTICOMPULSORILY CONVERTIBLE CUMULATIVE PREFERENCE
BASIX SUB-K iTRANSACTIONS LIMITED BASIX SUB-K
iTRANSACTI0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
BASIX SUB-K iTRANSACTIONS LIMITED ENERGON
POWER 0.001% FULLY CONVERTIBLE CUMULATIVE NON
ENERGON POWER RESOURCES PRIVATE ENERGON
POWER 0.001% FULLY CONVERTIBLE CUMULATIVE NON
ENERGON POWER RESOURCES PRIVATE BELOORBAY
IR BIOTECH 6% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
BELOORBAYIR BIOTECH LIMITED 6% PREF 31JL24BELOORBAY
IR BIOTECH 6% COMPULSORY CONVERTIBLE CUMULATIVE PREFERENCE
BELOORBAYIR BIOTECH LIMITED 6% PREF 27MR24AMR INDIA
LIMITED0.01% COMPULSORILY CONVERTIBLE CUMULATIVE
AMR INDIA LIMITED 0.01% PREF 31MR20ENERGON GJ
WIND 0.001% COMPULSORY CONVERTIBLE CUMULATIVE
ENERGON GJ WIND POWER PRIVATE LIMITED 0.001% PVR LEISURE
LIMITED0.001% CONVERTIBLE NON CUMULATIVE PREFERENCE
PVR LEISURE LIMITED 0.001% PREF 10JN33AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF 21JL25AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF AQUA
POWER 0.01% FULLY REDEEMABLE PREFERENCE SHARES WITH
AQUA POWER PRIVATE LIMITED 0.01% PREF RELIGARE
WEALTH 0.01% NON CONVERTIBLE, CUMULATIVE FULLY
RELIGARE WEALTH MANAGEMENT LIMITED IBIBO
GROUP 0.001% COMPULSORILY CONVERTIBLE NON
IBIBO GROUP PRIVATE LIMITED 0.001 PREF HOME FIRST
FINANCE 1% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
HOME FIRST FINANCE COMPANY INDIA PRIVATE HOME FIRST
FINANCE 1% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
HOME FIRST FINANCE COMPANY INDIA PRIVATE HOME FIRST
FINANCE 1% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
HOME FIRST FINANCE COMPANY INDIA PRIVATE MANIPAL
GLOBAL 0.01% COMPULSORILY CONVERTIBLE NON
MANIPAL GLOBAL EDUCATION SERVICES RENEW
SOLAR 0.0001% COMPULSORY CONVERTIBLE NON
RENEW SOLAR ENERGY (TELANGANA) PRIVATE NAYA
RAIPUR 0.001% CONVERTIBLE, CUMULATIVE PREFERENCE
NAYA RAIPUR GEMS AND JEWELLERY SEZ LIMITED ANANYA
FINANCE 8% FULLY CONVERTIBLE CUMULATIVE NON
ANANYA FINANCE FOR INCLUSIVE GROWTH HYDERABAD
INTEGRATED 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
HYDERABAD INTEGRATED MSW LIMITED 0.001% PREF NATIVE
BUILDCON 0.01% FULLY CONVERTIBLE, NON CUMULATIVE, NON
NATIVE BUILDCON PRIVATE LIMITED 0.01% GMR
GENERATIOSERIS PS C FULLY CONVERTIBLE CUMULATIVE PREFERENCE
GMR GENERATION ASSETS LIMITED SERIES PS C PREF SHIVALAKH
A SOLAR COMPULSORY CONVERTIBLE NON CUMULATIVE PREFERENCE
SHIVALAKHA SOLAR ENERGY PRIVATE LIMITED GRAMCO
INFRATECH 2% FULLY CONVERTIBLE CUMULATIVE NON
GRAMCO INFRATECH PVT LTD 2% PREF 31OT18
![Page 59: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/59.jpg)
2784 INE460O03015
2785 INE460O04013
2786 INE631L03017
2787 INE631L03025
2788 INE632N03029
2789 INE662P04011
2790 INE701R03015
2791 INE701R03023
2792 INE701R03031
2793 INE701R03049
2794 INE701R03056
2795 INE701R03064
2796 INE811R03012
2797 INE811R03020
2798 INE814O03013
2799 INE814O03021
2800 INE814O03039
2801 INE814O03047
2802 INE959Q03011
2803 INE959Q03029
2804 INE959Q03037
2805 INE959Q03045
2806 INE959Q03052
2807 INE959U04011
2808 INE974L03011
2809 INE980U03027
2810 INE981Q03015
2811 INE590M04011
2812 INE590M04029
2813 INE590M04037
2814 INE590M04045
2815 INE701M03016
2816 INE701M03024
2817 INE701M03032
2818 INE120M03019
2819 INE961O03012
2820 INE961O03020
2821 INE965L03019
2822 INE965L03027
2823 INE369I03028
2824 INE369I04034
2825 INE980U03019
2826 INE997M03010
2827 INE997M03028
2828 INE959Q03078
2829 INE959Q03060
2830 INE797X03011
2831 INE829X03012
RENEW WIND
0.0001% COMPULSORY CONVERTIBLE NON
RENEW WIND ENERGY (SHIVPUR) PRIVATE RENEW
WIND 0.0001% NON CONVERTIBLE NON CUMULATIVE FULLY
RENEW WIND ENERGY (SHIVPUR) PRIVATE PROLIFICS
CORPORATI0.001% SERIES A COMPULSORILY CONVERTIBLE CUMULATIVE
PROLIFICS CORPORATION LIMITED 0.001% SR A PREF PROLIFICS
CORPORATI0.001% SERIES B REDEEMABLE OPTIONALLY CONVERTIBLE
PROLIFICS CORPORATION LIMITED 0.001% SR B PREF OZONE
HOMES 5% OPTIONALLY CONVERTIBLE CUMULATIVE PREFERENCE
OZONE HOMES PRIVATE LIMITED 5% PREF 31DC20RHC IT
SOLUTIONS 10% NON CONVERTIBLE NON CUMULATIVE FULLY
RHC IT SOLUTIONS PRIVATE LIMITED 10% NSL
KRISHNAVE2% COMPULSORY CONVERTIBLE CUMULATIVE NON
NSL KRISHNAVENI SUGARS LIMITED 2% PREF NSL
KRISHNAVE6% COMPULSORY CONVERTIBLE CUMULATIVE NON
NSL KRISHNAVENI SUGARS LIMITED 6% PREF NSL
KRISHNAVE10% COMPULSORY CONVERTIBLE CUMULATIVE
NSL KRISHNAVENI SUGARS LIMITED 10% NSL
KRISHNAVE10% COMPULSORY CONVERTIBLE CUMULATIVE
NSL KRISHNAVENI SUGARS LIMITED 10% NSL
KRISHNAVE2% COMPULSORY CONVERTIBLE CUMULATIVE NON
NSL KRISHNAVENI SUGARS LIMITED 2% PREF NSL
KRISHNAVE6% COMPULSORY CONVERTIBLE CUMULATIVE NON
NSL KRISHNAVENI SUGARS LIMITED 6% PREF CREATIVE
LIFESTYLES 0.01% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
CREATIVE LIFESTYLES PRIVATE LIMITED 0.01% CREATIVE
LIFESTYLES 4.71% COMPULSORY CONVERTIBLE NON
CREATIVE LIFESTYLES PRIVATE LIMITED 4.71% NEOGROWT
H CREDIT 0.01% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
NEOGROWTH CREDIT PRIVATE LIMITED 0.01% NEOGROWT
H CREDIT 0.01% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
NEOGROWTH CREDIT PRIVATE LIMITED 0.01% NEOGROWT
H CREDIT 0.01% SERIS B FULLY CONVERTIBLE CUMULATIVE
NEOGROWTH CREDIT PRIVATE LIMITED 0.01% NEOGROWT
H CREDIT FULLY CONVERTIBLE CUMULATIVE REEEMABLE
NEOGROWTH CREDIT PRIVATE LIMITED 0.01% INCOR
HOSPITALS 0.01% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
INCOR HOSPITALS PRIVATE LIMITED 0.01% INCOR
HOSPITALS 0.01% FULLY CONVERTIBLE CUMULATIVE SERIES B
INCOR HOSPITALS PRIVATE LIMITED 0.01% INCOR
HOSPITALS 0.01% SERIES B FULLY CONVERTIBLE CUMULATIVE
INCOR HOSPITALS PRIVATE LIMITED 0.01% INCOR
HOSPITALS 0.01% SERIES B FULLY CONVERTIBLE CUMULATIVE
INCOR HOSPITALS PRIVATE LIMITED 0.01% INCOR
HOSPITALS 0.01% SERIES C FULLY CONVERTIBLE CUMULATIVE
INCOR HOSPITALS PRIVATE LIMITED 0.01% ACQUIRE
INFRACON NON CONVERTIBLE REDEEMABLE PREFERENCE
ACQUIRE INFRACON PRIVATE LIMITED PREF AMBADI
INVESTMEN1% OPTIONALLY CONVERTIBLE NON CUMULATIVE PREFERENCE
AMBADI INVESTMENTS LIMITED 1% PREF 02MY18NEONATAL
CARE & 0.001% SERIES A COMPULSORY CONVERTIBLE CUMULATIVE
NEONATAL CARE & RESEARCH INSTITUTE RAMKY
ENERGY 0.001% OPTIONALLY CONVERTIBLE CUMULATIVE
RAMKY ENERGY AND ENVIRONMENT LIMITED GOLDMAN
SACHS 2% NON CONVERTIBLE CUMULATIVE FULLY
GOLDMAN SACHS SERVICES PRIVATE GOLDMAN
SACHS 2% NON CONVERTIBLE CUMULATIVE FULLY
GOLDMAN SACHS SERVICES PRIVATE GOLDMAN
SACHS 2% NON CONVERTIBLE CUMULATIVE FULLY
GOLDMAN SACHS SERVICES PRIVATE GOLDMAN
SACHS 2% NON CONVERTIBLE CUMULATIVE FULLY
GOLDMAN SACHS SERVICES PRIVATE VASAN
HEALTH 0.01% FULLY CONVERTIBLE, CUMULATIVE, NON
VASAN HEALTH CARE PRIVATE LIMITED 0.01% VASAN
HEALTH 0.01% FULLY CONVERTIBLE, CUMULATIVE, NON
VASAN HEALTH CARE PRIVATE LIMITED 0.01% VASAN
HEALTH 0.01% FULLY CONVERTIBLE, CUMULATIVE, NON
VASAN HEALTH CARE PRIVATE LIMITED 0.01% MOKAMA-
MUNGER 0.05% CUMULATIVE, CONVERTIBLE NON
MOKAMA-MUNGER HIGHWAY LIMITED 0.05% RAINBOW
CHILDREN'S 0.0001% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
RAINBOW CHILDREN'S MEDICARE PVT LTD. RAINBOW
CHILDREN'S 0.0001% FULLY CONVERTIBLE CUMULATIVE PREFERENCE
RAINBOW CHILDREN'S MEDICARE PVT LTD. MACK STAR
MARKETING 0.001% FULLY CONVERTIBLE CUMULATIVE NON
MACK STAR MARKETING PRIVATE LIMITED 0.001% MACK STAR
MARKETING 0.001% FULLY CONVERTIBLE CUMULATIVE NON
MACK STAR MARKETING PRIVATE LIMITED 0.001% IL&FS
ENGINEERIN6% OPTIONALLY CONVERTIBLE, CUMULATIVE, REDEEMABLE
IL&FS ENGINEERING AND CONSTRUCTION IL&FS
ENGINEERIN6% NON CONVERTIBLE, CUMULATIVE, REDEEMABLE
IL&FS ENGINEERING AND CONSTRUCTION NEONATAL
CARE & 0.001% SERIS A FULLY CONVERTIBLE CUMULATIVE
NEONATAL CARE & RESEARCH INSTITUTE ABIR
INFRASTRUCZERO% COMPULSORILY CONVERTIBLE NON
ABIR INFRASTRUCTURE PRIVATE LIMITED ZERO% ABIR
INFRASTRUCZERO% COMPULSORILY CONVERTIBLE NON
ABIR INFRASTRUCTURE PRIVATE LIMITED ZERO% INCOR
HOSPITALS 0.01% SERIES C FULLY CONVERTIBLE CUMULATIVE
INCOR HOSPITALS PRIVATE LIMITED 0.01% INCOR
HOSPITALS 0.01% SERIES C FULLY CONVERTIBLE CUMULATIVE
INCOR HOSPITALS PRIVATE LIMITED 0.01% WESTERN
TRANSCO 0.01% COMPULSORY CONVERTIBLE NON
WESTERN TRANSCO POWER LIMITED 0.01% WESTERN
TRANSMISSI0.01% COMPULSORY CONVERTIBLE NON
WESTERN TRANSMISSION (GUJARAT) LIMITED 0.01%
![Page 60: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/60.jpg)
2832 INE424K04017
2833 INE804K03046
2834 INE804K04010
2835 INE921Z04010
2836 INE804K03012
2837 INE305N03014
2838 INE305N03022
--------------------End of Report---------------------
RELIANCE INFRADEVEL
10% SERISE I NON CONVERTIBLE NON CUMULATIVE FULLY
RELIANCE INFRADEVELOPMENT RELIANCE
BIG 12% OPTIONALLY CONVERTIBLE NON CUMULATIVE
RELIANCE BIG ENTERTAINMENT PRIVATE RELIANCE
BIG SERIES I NON CONVERTIBLE NON CUMULATIVE FULLY
RELIANCE BIG ENTERTAINMENT PRIVATE AAA
FACILITIES 12% NON CONVERTIBLE CUMULATIVE REDEEMABLE
AAA FACILITIES SOLUTION PRIVATE RELIANCE
BIG 12% FULLY CONVERTIBLE NON CUMULATIVE PREFERENCE
RELIANCE BIG ENTERTAINMENT PRIVATE RELIANCE
NET LIMITED0% OPTIONALLY CONVERTIBLE, NON CUMULATIVE,FULLY
RELIANCE NET LIMITED 0% PREF 29JN20RELIANCE
NET LIMITED0% OPTIONALLY CONVERTIBLE, NON CUMULATIVE,FULLY
RELIANCE NET LIMITED 0% PREF 31MR20
![Page 61: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/61.jpg)
Face Value Redemption
10 18-Dec-2013 18-Nov-2032 1-32676900
10 17-Oct-2014 17-Sep-2033 32676901-38287900
10 05-Aug-2009 04-Aug-2024 PD-0001-PD-33677
10 05-Aug-2009 04-Aug-2025 PE-0001-PE-33677
100 25-May-2007 09-Dec-2019 NA
10 19-Dec-2011 30-Sep-2021 1 - 97112
10 19-Dec-2011 30-Sep-2023 1 - 53952
10 31-Mar-2012 30-Sep-2025 1 - 64742
10 19-Dec-2011 30-Sep-2021 1 - 47392
10 19-Dec-2011 30-Sep-2022 1 - 21063
10 31-Mar-2012 30-Sep-2025 1 - 10532
10 19-Dec-2011 30-Sep-2024 1 - 26329
10 28-Aug-2015 29-Aug-2027 129000001-135600000
10 31-Jul-2015 01-Aug-2027 128000001-129000000
10 13-Jan-2015 31-Mar-2020 1-7000000
10 23-Jun-2017 31-Mar-2022 SII-01 TO S-II-2950000
10 31-Dec-2013 01-Jan-2026 70000001-80000000
10 31-Mar-2014 01-Apr-2026 80000001-91750000
10 30-Jun-2014 01-Jul-2026 91750001-97000000
10 17-Nov-2014 18-Nov-2026 97000001-99000000
10 14-Jan-2015 15-Jan-2027 99000001-101750000
100 25-May-2007 24-May-2020 1-141911257
100 03-Jul-2007 21-Apr-2020 1-245232000
10 11-Sep-2014 10-Sep-2033 1-61100000
10 05-Nov-2014 04-Nov-2033 61100001-94426100
10 02-Jan-2015 01-Jan-2034 94426101-134426100
10 07-Feb-2015 06-Feb-2033 134426101-205226100
10 11-Feb-2015 10-Feb-2034 205226101-207226100
100 16-Mar-2010 15-Mar-2020 434599231-578992230
10 28-Jun-2013 28-Jun-2020 53000001-56500000
10 20-Sep-2013 20-Sep-2020 56500000-60000000
10 03-Jan-2012 04-Jan-2024 1-15000000
10 18-Jun-2012 18-Jun-2024 15000001-20000000
10 27-Sep-2012 27-Sep-2024 20000001-53000000
10 28-Jun-2013 28-Jun-2025 53000001-56500000
10 20-Sep-2013 20-Sep-2025 56500000-60000000
10 06-Jul-2015 07-Jul-2027 127250001-128000000
10 12-Feb-2015 13-Feb-2027 101750001-115250000
10 30-Apr-2015 01-May-2027 115250001-116750000
10 05-May-2015 06-May-2027 116750001-117250000
10 25-May-2015 26-May-2027 117250001-127250000
10 10-Nov-2016 11-Nov-2028 135600001-136600000
100 28-Mar-2014 27-Mar-2034 1-230000
10 29-Mar-2013 28-Feb-2033 1-1300000
10 27-Mar-2014 26-Feb-2034 1300001-1499498
125 04-Aug-2010 03-Aug-2016 45750001-79750000
125 04-Aug-2010 03-Aug-2017 45750001-79750000
Issue Date/Allotment Date
Certificate Nos/(Dist. No) From-To
Registrar With BP ID NoIN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE IN100382 ZUARI FINSERV PRIVATE
![Page 62: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/62.jpg)
10 28-Aug-2002 31-Dec-9999
10 29-Dec-2017 28-Dec-2036 SDP-1 TO SDP-70653
10 11-Sep-2015 10-Sep-2034 SAP-1 TO SAP-110006
10 05-Nov-2015 04-Nov-2034 SBP-1 TO SBP-40451
10 28-Feb-2017 27-Feb-2036 SCP-1 TO SCP-15520
10 03-May-2017 02-May-2027 1-1750
10 26-Sep-2013 01-Apr-2025 1-200000000
10 23-Dec-2013 23-Dec-2018 1-19200000
10 23-Dec-2013 23-Jun-2017 1-107250000
10 17-Jan-2014 17-Jan-2021 1-50000000
10 13-Oct-2016 12-Oct-2036 1-87673311
100 31-Mar-2014 30-Mar-2034 1-34079000
100 22-Aug-2016 21-Aug-2036 1-360000
100 03-May-2018 02-May-2038 1-153962
10 18-Jan-2016 18-Jan-2026 P 1- P 29392000
25 24-Mar-2017 23-Mar-2036 1-1166567
150 22-Jul-2013 22-Jul-2032 1-901388
100 03-May-2017 02-May-2027 3531-4430
100 31-Mar-2017 30-Mar-2027 1-3530
100 22-Mar-2017 21-Mar-2027 1-3354
100 24-Mar-2017 23-Mar-2027 3355-4561
100 30-Sep-2003 01-Jan-2010 1 TO 4200000
10 30-May-2007 01-Apr-2015 01 TO 1550000
10 30-May-2007 01-Apr-2015 01 TO 2130000
10 08-Aug-2016 09-Feb-2018 1-26677011
10 23-Oct-2012 22-Oct-2032 1 - 21068427
10 02-Mar-2017 02-Sep-2018 2500001-7232433
100 20-Mar-2013 20-Mar-2033 4150001-4350000
100 29-Mar-2012 29-Mar-2032 100001-178795
100 11-Mar-2010 11-Mar-2030 1-100000
100 14-Mar-2012 14-Mar-2032 107326-249825
10 28-Apr-2016 28-Mar-2036 SA1 TO SA-1394186
10 24-Apr-2015 23-Apr-2034 30671-61340
10 06-Feb-2015 05-Feb-2034 1-30670
10 05-Jun-2015 04-Jun-2034 1-84345
10 22-Apr-2016 21-Apr-2035 92716-111766
10 31-Dec-2015 30-Dec-2034 1-92715
10 16-Sep-2016 15-Sep-2035 1-29793
10 15-Jun-2017 14-Jun-2036 1-102956
10 08-Feb-2018 07-Feb-2037 48175-80280
10 16-Jan-2018 15-Jan-2037 1-48174
10 28-Mar-2015 27-Mar-2035 1-265000005
5 15-May-2009 14-May-2019 1-538766
5 22-Mar-2010 21-Mar-2020 538767-714119
10 25-Jan-2018 25-Jan-2028 1-7260000
10 27-Jul-2007 26-Jul-2020 14250001-23250000
2 02-May-2016 02-May-2031 50000001-61059866
10 29-Mar-2016 28-Mar-2036 1-16544335
IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA
![Page 63: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/63.jpg)
10 29-Mar-2014 28-Mar-2024 1-17000000
20 03-Feb-2016 02-Feb-2035 P2422978-P3038494
100 27-Oct-2016 26-Oct-2036 1-2904000
5 01-Sep-2016 31-Aug-2035 1-369135
10 25-Apr-2014 24-Apr-2034 10359-10570
10 23-Jun-2014 22-Jun-2034 10571-14418
10 19-Nov-2014 18-Nov-2034 16067-17871
10 04-Dec-2014 03-Dec-2034 17872-18474
10 31-Dec-2014 30-Dec-2034 18475-18509
10 02-Jan-2016 01-Jan-2036 30507-31615
10 29-Mar-2014 28-Mar-2034 1-10358
10 22-Oct-2014 21-Oct-2034 14419-15615
10 15-Jan-2015 14-Jan-2025 18510-29013
10 31-Mar-2015 30-Mar-2035 29014-30506
50 16-Mar-2016 15-Mar-2036 74115-74613
10 27-Jan-2016 26-Jan-2023 31616-34923
50 16-Mar-2016 15-Mar-2036 34924-70551, 74614-76394
50 31-Mar-2016 30-Mar-2036 70552-74114
10 06-Feb-2016 05-Feb-2021 1-71755740
100 29-Nov-2017 28-Nov-2036 1-389243
100 03-Jul-2017 01-Jul-2037 754378-1128107
100 15-Nov-2017 14-Nov-2037 1303858-1559345
100 20-Feb-2017 30-Jun-2035 1-9096
100 30-Mar-2017 24-Sep-2019 1-150000
10 13-Oct-2016 12-Oct-2036 1-91647073
7000 24-Aug-2011 23-Aug-2021 6392-11628
7000 07-May-2010 06-May-2020 1-6391
10 05-Jul-2017 05-Jun-2036 1-50439200
10 18-Dec-2014 17-Dec-2034 1-3156000
100 18-Dec-2014 17-Dec-2034 1-14344000
100 26-May-2017 25-May-2038 1-1000000
10 18-Apr-2007 14-Apr-2021 1-15169995
10 18-Jan-2016 18-Jan-2026 P1-P29392000
100 20-May-2016 20-May-2035 1-205681
910 29-Mar-2017 31-Mar-2021 1-1000
10 10-Mar-2017 09-Mar-2027 1-7000000
10 10-Mar-2017 09-Mar-2027 1-18774300
10 10-Mar-2017 09-Mar-2027 1-138451300
100 12-Apr-2007 11-Apr-2027 P001-P1000000
10 31-May-2010 31-May-2020 1 - 4080000
8 06-Mar-2014 05-Mar-2022 1-2016942312
10 24-Jul-2017 23-Jul-2020 B-1 to B-3949105
5 26-Mar-2017 25-Mar-2022 1-2020000000
100 08-May-2003 07-Mar-2019 402844-1198258
10 24-Feb-2017 23-Aug-2017 1-2618447
10 19-Jul-2013 19-Jul-2023 1-25290000
10 19-Jul-2013 19-Jul-2023 1-31380000
10 17-Mar-2017 16-Mar-2020 1-30000
IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA
![Page 64: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/64.jpg)
10 26-Oct-2015 25-Oct-2025 1-1637676
10 17-Mar-2017 16-Mar-2027 1-120000
10 17-Mar-2017 16-Mar-2027 1-25000
10 27-Jun-2011 26-Jun-2021 28614-186138
10 25-Mar-2011 24-Mar-2021 1-28613
10 09-Nov-2010 08-Nov-2020 1-25940
10 25-Mar-2011 24-Mar-2021 25941-67712
10 23-Sep-2011 22-Sep-2021 100515-226663
10 31-Mar-2011 30-Mar-2021 67713-100514
10 07-Aug-2008 13-Oct-2017 01 TO 43471090
100 01-Dec-2014 01-Dec-2034 5700001-5800000
100 26-Feb-2014 26-Feb-2034 4350001-5600000
100 30-Sep-2010 30-Sep-2030 1-450000
100 29-Mar-2011 29-Mar-2031 450001-890000
100 28-Sep-2011 28-Sep-2031 890001-1930000
100 30-Mar-2012 30-Mar-2032 1930001-2750000
100 14-Feb-2013 14-Feb-2033 2750001-4150000
100 27-Mar-2014 27-Mar-2034 5600001-5700000
10 11-May-2005 11-May-2025 PREF I TO PREF 92670
10 18-May-2006 17-May-2026 PREFII 001 TO PREFII 9000
5 21-Nov-2008 20-Nov-2028 1-919243
10 21-Oct-2015 20-Oct-2034 1-5219
10 03-Nov-2017 03-Nov-2027 1-3710000
10 28-Feb-2018 28-Feb-2028 00000001-85350000
20 15-Nov-2008 14-Nov-2028 1-5555056
10 26-Aug-2015 25-Aug-2035 23557-25968
10 20-May-2015 19-May-2035 1-23556
10 29-Aug-2016 19-Aug-2019 1-15000000
100 05-Apr-2015 05-Apr-2025 1-75000
100 22-Apr-2016 22-Apr-2026 125001-180000
100 10-Nov-2015 10-Nov-2025 75001-125000
100 15-Jun-2016 15-Jun-2026 33001-54000
100 10-Nov-2015 10-Nov-2025 1-20000
100 22-Apr-2016 22-Apr-2026 20001-33000
2 22-Mar-2016 22-Mar-2031 1-1509854
2 10-Nov-2015 10-Nov-2030 1-2204166
2 02-Sep-2016 02-Sep-2031 61059867-62965400
10 29-Mar-2014 28-Mar-2024 1-22000000
10 23-Mar-2016 22-Mar-2026 1-130000000
100 16-Feb-2011 15-Feb-2018 304171-597720
100 22-Mar-2011 21-Mar-2018 597721-683720
100 14-Mar-2013 13-Mar-2023 735721-1263220
100 26-Mar-2009 25-Mar-2019 232001-250200
100 24-Mar-2010 23-Mar-2019 250201-304170
100 27-Feb-2009 26-Feb-2019 1-232000
100 28-Mar-2012 27-Mar-2019 683721-735720
10 23-Mar-2016 22-Mar-2026 1-85000000
10 21-Jan-2008 20-Jan-2018 1-25000000
IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA
![Page 65: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/65.jpg)
20 28-Mar-2014 27-Mar-2033 P001-P02422977
10 23-Mar-2018 23-Mar-2021 1-8333334
10 22-Mar-2011 21-Mar-2021 1-33150000
10 13-Jul-2015 13-Jul-2025 32709315-80205147
10 17-Dec-2014 17-Dec-2024 9400001-24400000
10 14-Feb-2014 14-Feb-2024 437401-9400000
10 29-Jan-2014 29-Jan-2024 1-437400
10 27-Mar-2015 27-Mar-2025 24400001-32709314
10 23-Mar-2016 23-Mar-2026 80205148-169935147
10 14-Mar-2018 14-Mar-2028 169935148-219151221
7000 25-Jun-2013 24-Jun-2033 1-5470
7000 15-May-2014 14-May-2034 1-1761
7000 26-Feb-2015 25-Feb-2035 1-14051
7000 30-Nov-2011 29-Nov-2031 1-15148
7000 15-Jun-2017 14-Jun-2037 1-8621
10 31-Oct-2014 30-Oct-2034 15616-16066
100 11-Mar-2017 10-Mar-2037 1-1500000
100 26-Feb-2018 25-Feb-2038 5460001-6460000
100 12-Jul-2013 11-Jul-2033 1-1474262
10 15-Dec-2009 14-Dec-2019 102001-1236000
10 23-Sep-2008 22-Sep-2018 1-1020000
100 30-Apr-2016 29-Apr-2028 1-900000
10 23-Mar-2016 22-Mar-2026 1-30000000
10 29-Mar-2014 28-Mar-2024 1-16000000
100 24-Sep-2015 23-Sep-2034 1-380274
100 05-Mar-2015 04-Mar-2034 1-243307
100 29-Jan-2014 28-Jan-2033 1-317592
100 14-Jul-2014 13-Jul-2033 317593-347285
100 15-Mar-2010 14-Mar-2020 1-70000
68 20-Mar-2017 20-Jul-2018 1-55844179
10 15-Sep-2016 14-Sep-2036 1-12500000
100 16-Oct-2017 15-Oct-2037 1128108-1303857
100 02-Dec-2017 01-Dec-2037 1559363-1693523
100 25-Jan-2018 20-Jan-2038 1693524-1889165
100 05-Feb-2018 04-Feb-2038 1889166-1921772
100 28-Jan-2016 30-Jun-2035 1-5810
10 18-Mar-2013 17-Mar-2033 1-142265000
100 05-Feb-2018 05-Feb-2028 1-114814
10 15-Feb-2018 14-Feb-2028 1-1550000
20 26-Aug-2015 25-Aug-2025 1-78400
20 08-Feb-2016 07-Feb-2026 78401-183000
20 16-Oct-2017 15-Oct-2027 223781-239780
2 26-May-2017 31-Mar-2022 1-142830637
2000 26-Jun-2014 25-Jun-2034 46371-59870
2000 27-Oct-2016 26-Oct-2036 114681-115651
2000 27-Mar-2015 26-Mar-2035 96461-97960
2000 21-Sep-2016 20-Sep-2036 97961-114680
2000 23-Mar-2015 22-Mar-2035 59871-96460
IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA
![Page 66: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/66.jpg)
100 22-Apr-2013 30-Apr-2018 1-100000
10 06-Feb-2006 17-Aug-2014 01 TO 5110002
1 29-Aug-2011 30-Mar-2016 1-469927620
10 10-Feb-2015 09-Feb-2025 1-1524753
100 23-May-2011 22-May-2031 1-3700000
10 28-Mar-2014 27-Mar-2024 15000001-30000000
10 16-Mar-2013 15-Mar-2023 1-15000000
7500 30-Mar-2016 30-Mar-2021 1-166666
10 18-Mar-2011 17-Mar-2021 1-19350000
10 29-Mar-2012 28-Mar-2022 19350001-19450000
10 30-Mar-2013 29-Mar-2023 19450001-19500000
10 20-Jun-2014 19-Jun-2024 19650001 TO 19900000
10 25-Sep-2014 24-Sep-2034 1-30000000
10 28-Oct-2015 27-Oct-2035 86190001-86605000
100 30-Mar-1999 29-Mar-2019 1 - 1340
2000 25-Sep-2013 25-Sep-2033 30001 - 46370
2000 11-Jul-2013 11-Jul-2033 1 - 30000
10 12-Apr-2007 11-Apr-2027 1-1000000
100 02-Sep-2015 01-Aug-2035 190281-222010
100 06-Jan-2017 05-Dec-2036 276817-601458
10 30-May-2011 29-Mar-2021 1-2550000
10 31-Mar-2015 30-Mar-2020 01-75038000
10 31-Mar-2015 31-Mar-2035 1-450884
100 18-Nov-2013 17-Nov-2033 475001-975000
100 31-Mar-2013 30-Mar-2033 1-475000
1000 23-Feb-2011 22-Feb-2031 1-140000
1000 23-Feb-2011 22-Feb-2031 1-140000
10 07-Jun-2014 06-Jun-2029 01-190620000
10 04-Aug-2014 03-Jun-2025 1-1864198
10 31-Mar-2014 30-Mar-2034 1-18550000
10 30-Jun-2015 29-Jun-2035 18550001-18560000
100 29-Mar-2010 28-Mar-2020 1-2000000
100 03-Jun-2010 02-Jun-2020 2000001-4000000
100 17-Mar-2011 16-Mar-2021 4000001-5000000
10 14-Aug-2014 13-Aug-2026 1-20000000
10 31-Mar-2011 30-Mar-2031 1-100000
10 22-May-2015 21-May-2030 55000001-107938314
10 05-Aug-2009 04-Aug-2021 1-20000000
10 07-Jan-2011 06-Jan-2023 20000001-40000000
10 30-Mar-2012 29-Mar-2024 40000001-55000000
10 06-Jun-2011 05-Jun-2023 1-15400000
10 20-Oct-2014 19-Oct-2033 1-375000000
100 04-Oct-2016 04-Oct-2028 PF 01 - PF 1070000
10 15-Nov-2012 15-Nov-2024 1-2300000
10 20-Jun-2014 19-Jun-2024 3750000-3900000
10 15-Nov-2011 14-Nov-2031 I-CCP-1-I-CCP-20000
10 31-Jan-2012 30-Jan-2032 II-CCP-1 TO II-CCP-39850
10 12-Feb-2016 11-Feb-2019 1-4046
IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA
![Page 67: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/67.jpg)
100 07-Mar-2012 06-Mar-2022 4000001-6700000
10 24-Jun-2015 23-Jun-2022 01-100000000
10 13-Oct-2014 10-Jan-2023 1-36590000
10 21-Aug-2015 20-Aug-2035 1-66666667
10 08-Sep-2017 08-Sep-2027 1-609524
100 30-Apr-2015 29-Apr-2025 1-604500
100 31-Mar-2017 31-Mar-2037 1-146375
10 06-Oct-2015 05-Oct-2035 P1-P28870500
1 29-Dec-2015 28-Dec-2034 1586329-3232958
10 28-Aug-2015 27-Aug-2035 42237959-59306300
2 04-Oct-2011 04-Oct-2026 1-6408450
2 06-Feb-2013 06-Feb-2028 1-5796298
100 27-Nov-2015 26-Oct-2035 222011-253740
100 23-Dec-2013 23-Dec-2020 1-1098192
10 05-Nov-2009 04-Nov-2012 1 TO 70000
10 16-Jul-2010 15-Jul-2030 380001 TO 425000
10 23-Dec-2009 22-Dec-2012 70001 TO 160000
10 10-Feb-2012 10-Feb-2019 1 - 4508580
10 10-Feb-2012 10-Feb-2019 1 - 7500000
10 29-Mar-2012 29-Mar-2019 1 - 7500000
10 28-Feb-2012 28-Feb-2019 1 - 456318
10 26-Feb-2013 26-Feb-2020 1 - 7668315
10 27-May-2014 27-May-2021 1-1000000
10 19-Sep-2017 19-Sep-2024 1-5000000
10 31-Oct-2014 30-Oct-2029 1-17500000
10 11-Sep-2015 10-Sep-2023 18000001-20000000
10 10-Sep-2015 09-Sep-2023 10000001-18000000
10 09-Sep-2015 08-Sep-2023 1-10000000
10 13-Jan-2011 12-Jan-2031 P01 TO P13500000
1000000 19-Sep-2014 30-Sep-2022 1-1003
100 15-Oct-2013 15-Oct-2018 1-25000000
100 30-Jun-2014 30-Jun-2019 1 - 50000000
100 13-Aug-2014 13-Aug-2019 1-10000000
100 06-May-2015 06-May-2020 1-60000000
10 28-Feb-2017 31-Mar-2041 0000001-26259000
10 21-Nov-2016 20-Nov-2035 375000001-680200000
10 26-May-2015 25-May-2035 1-130250
10 24-Jul-2015 09-Aug-2035 1-499010
10 10-Jun-2016 22-Apr-2021 1-25000000
10 17-Mar-2017 16-Mar-2036 680200001-685650000
10 05-Feb-2018 31-Mar-2018 2382837-2484029
100 07-Sep-2015 06-Sep-2035 1-5918
10 12-May-2017 12-May-2027 1-119047619
10 15-Dec-2017 14-Dec-2019 1-5000
10 29-Jun-2007 22-Sep-2025 1-20000000
10 17-May-2010 16-May-2020 1-91278200
10 30-Jul-2010 29-Jul-2020 91278201-462716600
100 12-Jun-2014 12-May-2034 1-101436
IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA
![Page 68: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/68.jpg)
100 12-May-2015 11-Apr-2035 145859-190280
100 29-Jan-2015 28-Dec-2034 101437-145858
100 06-Jan-2017 05-Dec-2036 253741-483377
10 29-Sep-2015 28-Sep-2020 1-100043160
10 03-Jun-2015 03-Jun-2025 1-12443436
10 01-Sep-2015 31-Aug-2025 15400001-31264300
10 15-Jan-2014 14-Jan-2024 1-16000000
10 12-Feb-2010 11-Feb-2020 1-220000
100 20-Mar-2015 19-Mar-2027 1-130000
100 21-Nov-2014 20-Nov-2034 1-80000
100 29-Mar-2002 27-Mar-2022 1-3700000
10 15-Nov-2013 14-Nov-2023 1-2500000
10 30-Mar-2013 29-Mar-2023 3600001-3650000
10 29-Mar-2012 28-Mar-2022 3500001-3600000
10 29-Mar-2011 28-Mar-2021 1-3500000
10 15-Jan-2014 14-Jan-2024 3650001-3750000
27 07-Dec-2017 06-Dec-2036 1-6775505
10 23-Dec-2015 22-Dec-2030 1-40000000
100 17-Mar-2011 16-Mar-2021 1-4000000
10 23-Dec-2015 18-Dec-2034 1-68170967
1 31-Dec-2011 30-Dec-2031 1-1200000
100 29-May-2015 28-May-2035 40001-80000
100 02-Aug-2016 01-Aug-2036 80001-94666
100 29-Apr-2015 28-Apr-2035 1-40000
10 04-Sep-2017 03-Sep-2024 1-11553980
100 30-Mar-2009 29-Mar-2019 1-105000
100 16-Jun-1997 13-Jun-2022 1-10000
100 31-Mar-2014 30-Mar-2024 105001-557000
100 26-Mar-2014 25-Mar-2024 1-11405500
10 03-Aug-2015 01-Aug-2035 CCP-1 TO CCP-133333333
10 05-Jan-2016 04-Jan-2036 1-29760000
100 29-Jan-2016 28-Jan-2036 1-1722047
328 24-Nov-2008 31-Dec-2027 P00001-P1493903
10 28-Mar-2014 27-Mar-2024 1000001-4530000
10 30-Mar-2012 29-Mar-2022 1-1000000
100 02-Mar-2012 31-Mar-2029 1-10956496
1000000 29-Aug-2016 29-Aug-2024 1-50
10 04-Aug-2010 03-Aug-2030 3199981-5999980
10 29-Apr-2010 28-Apr-2030 1-3199980
10 20-May-2014 19-May-2034 21399199-42237958
10 10-May-2011 09-May-2031 5999981-9999980
10 01-Aug-2012 31-Jul-2032 9999981-21399198
1 22-Jun-2015 21-Jun-2034 1-1586328
10 19-Dec-2013 19-Dec-2020 1-10820739
10 19-Sep-2017 19-Sep-2024 1-5000000
10 26-Dec-2011 26-Dec-2031 1 TO 250000
100 09-Nov-2011 28-Apr-2015 500001 - 550000
100 29-Apr-2009 28-Apr-2015 1 - 500000
IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA
![Page 69: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/69.jpg)
100 10-Mar-2009 09-Mar-2029 1 - 4750
20 02-Jun-2012 01-Jun-2032 1 - 4126424
20 02-Jun-2012 01-Jun-2032 1 - 70000
10 10-Aug-2017 09-Aug-2018 1-1230098
10 28-Dec-2017 28-Jun-2019 1-1343283
10 22-Aug-2011 22-Aug-2018 1 TO 17380205
10 07-Feb-2012 31-Jan-2022 1-144224
10 13-Dec-2012 31-Dec-2022 144225-991056
100 01-Mar-2016 29-Feb-2036 1840001-2240000
100 06-Dec-2015 05-Dec-2035 1700001-1840000
100 24-Jul-2015 23-Jul-2035 1-1700000
100 17-May-2017 16-May-2037 2240001-3140000
10 11-Jul-2011 11-Jul-2021 1-1718900
100 25-Aug-2009 11-Dec-2029 01 TO 3500000
10 30-Sep-2005 29-Sep-2025 01 TO 50000
10 19-Aug-2016 19-Aug-2035 1-1000000
10 16-Jul-2013 15-Jul-2023 192000001-266000000
10 24-Jul-2014 23-Jul-2024 P-556000001-P-586000000
10 02-Jan-2014 01-Jan-2023 143860001-201424000
10000 24-Nov-2009 04-Mar-2031 01 TO 100
10 29-Mar-2014 28-Mar-2029 001-510170000
10 20-Feb-2014 19-Feb-2023 201424001-412971703
10 17-Oct-2016 13-Sep-2035 1000001-6621622
10 02-Dec-2011 01-Dec-2021 1 TO 34660767
10 05-Jul-2012 05-Jul-2032 1 - 5000000
7500 16-May-2014 16-May-2021 615377-800000
7500 24-Sep-2015 24-Sep-2022 1-101884
7500 30-Sep-2015 30-Sep-2022 117245-175339
7500 05-Oct-2015 05-Oct-2022 175340-208673
7500 30-Oct-2015 30-Oct-2022 298975-333000
100 02-Dec-2010 31-Dec-2022 1-53925
100 31-Mar-2011 28-Nov-2032 1 - 744300
100 29-Nov-2012 30-Nov-2017 580001-624300
5 11-Feb-2010 31-Dec-2018 B00000001 - B19507036
5 22-Mar-2010 31-Dec-2018
10 30-Oct-2015 30-Oct-2033 1-833333
10 17-Dec-2015 17-Dec-2033 1388890-2083333
10 02-Dec-2015 02-Dec-2033 1250001-1388889
10 01-Dec-2015 01-Dec-2033 833334-1250000
10 01-Mar-2016 01-Mar-2034 2819445-3625000
10 03-Feb-2016 03-Feb-2034 2083334-2819444
10 28-Mar-2016 28-Mar-2034 4458334-5000000
10 23-Mar-2016 23-Mar-2034 3625001-4458333
10 29-Apr-2017 29-Mar-2035 1-600000
1 09-Oct-2002 31-Dec-9999
1 16-Mar-2017 15-Mar-2037 1-11683770
10 01-Aug-2011 30-Jul-2014 01 TO 1500000
10 06-Sep-2011 05-Sep-2014 1500001 TO13500000
IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA OB00000001-OB81894967,
OB184283256 - IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA
![Page 70: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/70.jpg)
10 30-Sep-2005 29-Sep-2025 01 TO 725000
10 24-Sep-2004 23-Sep-2012 1 TO 3160000
10 31-Mar-2003 30-Mar-2013 1 TO 1300000
100 11-Mar-2003 10-Mar-2023 1 to 153000
100 11-Mar-2003 10-Mar-2023 1 to 195000
100 11-Mar-2003 10-Mar-2023 1 to 192500
100 10-Mar-2003 09-Mar-2023 1 to 192650
10 31-Oct-2000 31-Oct-2020 1 TO 2000000
10 03-Mar-2001 03-Mar-2021 52000001 TO 60000000
10 15-Sep-1998 15-Sep-2018
10 31-Mar-1999 31-Mar-2019 82000001 TO 112000000
10 17-Sep-1998 17-Sep-2018 159500001 TO 209500000
10 01-Mar-2001 01-Mar-2021 12000001 TO 22000000
1 21-Mar-2014 21-Sep-2015 1-6979131
7500 28-Mar-2014 28-Mar-2021 595017-675016
10 29-Mar-2012 28-Mar-2017 1-1000000
10 14-Aug-2012 13-Aug-2017 1-1000000
100 20-Mar-2010 20-Mar-2021 P-001 TO P-430000
10 31-Mar-2001 31-Mar-2021 1 TO 2000000
10 02-Mar-2001 02-Mar-2021
10 06-Apr-2010 05-Apr-2030 P1 TO P4340000
10 28-Mar-2014 27-Mar-2032 1-25000000
10 30-Mar-2013 29-Mar-2023 28955001-29105000
10 29-Mar-2012 28-Mar-2022 28950001-28955000
10 22-Mar-2011 21-Mar-2021 1-28950000
10 23-Jan-2014 22-Jan-2024 29105001-29355000
10 20-Jun-2014 19-Jun-2024 29355001 TO 29605000
10 30-Sep-2013 30-Sep-2033 1-1641000
10 18-Jun-2011 18-Jun-2018 1-3300000
10 11-Feb-2009 10-Feb-2019 1-120000
10 25-Mar-2011 24-Mar-2021 120001-12620000
10 29-Mar-2012 28-Mar-2022 12620001-12750000
10 30-Mar-2013 29-Mar-2023 12750001-24150000
10 11-Mar-2014 10-Mar-2024 24150001-31420000
10 28-Jun-2013 27-Jun-2022 22500001-54070000
10 28-Mar-2013 27-Mar-2022 1-22500000
10 22-Jul-2013 21-Jul-2022 54070001-63090000
10 02-Sep-2013 01-Sep-2022 63140001-117210000
10 01-Oct-2013 30-Sep-2022 117210001-143860000
10 30-Sep-2014 26-Mar-2016 1-82867157
100 31-Oct-2009 31-Dec-2018 01 to 750000
7500 14-Mar-2014 14-Mar-2021 1 - 240000
7500 25-Mar-2014 25-Mar-2021 240001-595016
7500 29-Sep-2015 29-Sep-2022 101885-117244
7500 15-Oct-2015 15-Oct-2022 208674-333000
7500 19-Oct-2015 19-Oct-2022 284825-301490
5 11-Feb-2010 31-Dec-2018 C0000001-C503086106
10 04-May-2016 02-May-2034 1-6299996
IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA 100001 TO 2100000,
5100001 TO 6100000, IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA 22000001 TO 27000000,
27000001 TO 52000000IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA
![Page 71: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/71.jpg)
1000 15-Mar-2018 14-Mar-2021 1-2500000
10 29-Mar-2012 28-Mar-2017 1-1800000
10 29-Mar-2011 30-Apr-2020 1 TO 20200000
1 15-Jan-2010 14-Jan-2025 1-6800000
10 19-Mar-2003 31-Dec-9999
1000 28-Aug-2008 27-May-2018 01 TO 400000
100 10-Mar-2003 09-Mar-2023 1 to 49920
10 28-Jun-2004 11-Jan-2008
10 29-Mar-2007 28-Mar-2012 166055-458333
10 29-Mar-2007 28-Mar-2012 1-166054
10 31-Jan-2008 30-Jan-2012 132855-531416
10 12-Nov-2007 11-Nov-2011 1-132854
10 15-May-2002 31-Dec-9999
10 29-Dec-2007 30-Sep-2019 1 TO 32520500
100 29-Apr-2006 31-Mar-2024 01 TO 11784570
100 30-Jul-2001 01-Mar-2022 1 TO 17930858
100 16-Apr-2004 01-Mar-2022
100 15-Mar-2002 30-Jul-2012
5 31-Mar-2003 31-Dec-9999
100 15-Mar-2002 30-Jan-2012
10 07-Jan-2016 07-Jan-2036 1-30944164
100 28-Dec-2007 27-Dec-2016 P-001 TO P-1643000
100 28-Dec-2007 27-Dec-2016 P-001 TO P-1842000
100 31-Mar-2007 30-Mar-2018 001 TO 5600000
100 10-Apr-2004 01-Mar-2022
100 21-Mar-2001 26-Mar-2008
100 21-Mar-2001 23-Nov-2007
10 24-Sep-2003 23-Sep-2004
100 30-Mar-2010 24-Mar-2030 1-100000
10 17-Jun-2009 16-Jun-2013 1 TO 95,50,000
10 30-May-2003 29-May-2023 1 TO 22560000
100 19-Dec-2008 18-Dec-2011 1-10864825
10 24-Sep-2013 31-Mar-2026 1-25104500
1 15-Jan-2010 14-Jan-2025 1-6850000
100 16-Mar-2013 15-Mar-2018 1-761867
100 16-May-2013 15-May-2018 761868-1697767
100 26-Jul-2013 25-Jul-2018 1697768-2135667
100 12-Aug-2013 11-Aug-2018 2135668-3105900
100 01-Oct-2013 30-Sep-2018 3105901-3943005
100 12-Feb-2014 11-Feb-2019 3943006-4293155
100 31-Mar-2015 30-Mar-2020 4293156-4582504
10 20-Dec-2013 19-Dec-2018 1800001-3600000
10 29-Mar-2012 28-Mar-2017 1-1800000
1 31-Mar-2013 05-May-2014 1 TO 247080232
10 01-Mar-2011 01-Apr-2020 1-27269700
100 23-Mar-2012 23-Mar-2020 1 TO 2500000
10 15-Nov-2010 14-Nov-2030 1-1000000
24.65 23-Aug-2010 23-Aug-2029 1-120000000
IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA
![Page 72: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/72.jpg)
100 18-Apr-2016 17-Apr-2021 4582505-5598613
100 21-Oct-2010 31-Dec-2022 1-56405
100 30-Jun-2015 29-Jun-2025 1-89379
100 18-Sep-2015 17-Sep-2025 89380-100000
100 15-Nov-2011 14-Nov-2016 1 TO 160000
50 16-Jun-2008 01-Jul-2022 1-1377849
10 06-May-2011 05-May-2031 01 TO 614327
100 26-Jun-2015 25-Jun-2025 01-7100000
100 18-Jan-2017 17-Jan-2027 9800001-11800000
100 28-Dec-2016 27-Dec-2026 9300001-9800000
100 25-Nov-2016 24-Nov-2026 7100001-9300000
10 05-Aug-2015 04-Aug-2033 OCPS 01 TO OCPS 100000
10 31-Mar-2015 30-Mar-2033 CP 01 TO CP 17448
10 30-May-2015 29-May-2033 CP 17449 TO CP 17598
10 04-Dec-2015 20-Jun-2035 1-2947
100 30-Sep-2016 29-Sep-2036 1-2114000
100 17-Aug-2005 16-Aug-2025 1-2439500
10 30-May-2015 29-May-2033 CP 17448 TO CP 17547
10 29-Jul-2017 28-Jul-2037 1-21000000
10 30-May-2015 20-May-2035
10 31-Mar-2015 26-Mar-2035 OCPS- 01 TO OCPS-34340
10 30-Dec-2015 29-Dec-2033 CP 120030 TO CP 799929
10 30-Oct-2015 29-Oct-2033 CP 50030 TO CP 120029
10 31-Mar-2015 30-Mar-2033 CP 01 TO CP 29
10 29-Oct-2015 28-Oct-2033 CP 30 TO CP 50029
10 02-Apr-2016 01-Apr-2034 CP 799930 TO CP 809929
100 16-Aug-2012 15-Aug-2032 1-850000
10 31-Mar-2015 30-Mar-2033 CP 01 TO CP 17447
10 31-Mar-2015 30-Mar-2033 CP 01 TO CP 17697
10 14-Jul-2017 01-Apr-2018 1-1022182
10 31-Mar-2015 26-Mar-2035 OCPS-1 TO OCPS-387531
10 30-May-2015 20-May-2035
10 29-Dec-2016 31-Dec-2018 1-7200000
10 19-Mar-2018 19-Mar-2028 1-25000000
10 31-Mar-2015 30-Mar-2033 CP 01- CP 17759
10 31-Mar-2010 31-Mar-2021 NA
10 26-Aug-2010 26-Aug-2021 NA
10 09-Oct-2014 09-Oct-2022 RPS A 1 - RPS A 750000
10 24-Dec-2015 23-Dec-2035 2566443-3015799
10 24-Dec-2015 23-Dec-2035 2341764-2566442
10 02-May-2016 01-May-2036
10 26-Aug-2016 25-Aug-2034 OCPS 01 TO CPS 450000
10 31-Mar-2015 30-Mar-2033 CCPS 1 TO CCPS 2759
10 31-Mar-2015 30-Mar-2033 CP 01 TO CP 254820
10 31-Mar-2015 30-Mar-2033 CP 01TO CP 3185
10 30-May-2015 29-May-2033 CP 1131- CP 50986
10 31-Mar-2015 30-Mar-2033 CP 01 TO CP 1130
10 31-Mar-2010 31-Mar-2018 1481501-4569260
IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200094 LINK INTIME INDIA IN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDOCPS - 34341 TO OCPS-
1458080IN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDOCPS-387532 TO OCPS-
5835540IN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDCLASS B OCPS-01 TO
CLASS B OCPS - 500000IN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITED
![Page 73: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/73.jpg)
2070 26-Aug-2010 26-Aug-2028 B01-B5430169
2070 07-Apr-2011 07-Apr-2029 B5430170-B6516203
10 26-Feb-2014 25-Feb-2034 1-1513905
10 19-Jul-2007 18-Jul-2022 1 - 1500000
10 22-Dec-2008 21-Dec-2022 28150573 - 45900572
10 18-Dec-2008 16-Dec-2022 3905001 - 28150572
10 29-Nov-2007 28-Nov-2022 3150601 - 3905000
10 10-Sep-2007 09-Sep-2022 1500001 - 3150600
10 20-Nov-2006 01-Apr-2018 1 - 5551980
10 05-Sep-2008 04-Sep-2023 10097101 - 24077335
10 24-Jan-2008 23-Jan-2023 6200001 - 9447100
10 07-Jul-2008 06-Jul-2023 9447101 - 10097100
10 22-Dec-2008 21-Dec-2023 24077336 - 26077335
10 30-Mar-2011 29-Mar-2021 CP 01 - CP 79500
10 31-Aug-2009 31-Aug-2017 1-1481500
10 26-Aug-2010 26-Aug-2018 C01-C1775045
10 31-Aug-2009 31-Aug-2020 NA
10 28-Aug-2014 27-Aug-2034 1513906-1892406
10 02-Jun-2015 01-Jun-2035 1892407-2341763
10 30-May-2015 29-May-2033 CCPS 01 TO CCPS 5285
10 31-Mar-2015 30-Mar-2033 OCPS 01 TO OCPS 7967324
10 04-May-2016 03-May-2036
10 23-May-2016 22-May-2036
10 29-May-2015 28-May-2033 CP 4443 TO CP 5232
10 31-Mar-2015 30-Mar-2033 CP 01 TO CP 4442
10 05-Aug-2015 04-Aug-2033 OCPS 01 - OCPS 100000
100 12-Nov-2012 11-Nov-2019 1-2606417
100 07-Mar-2013 06-Mar-2020 2606418-4686417
100 24-Jan-2014 23-Jan-2021 4686418-13906417
100 18-Nov-2014 17-Nov-2021 13906418-14471417
10 23-Mar-2009 22-Mar-2024 1 - 916872
100 16-Aug-2012 15-Aug-2032 1-850000
10 19-Jul-2007 18-Jul-2022 1 - 710000
10 27-Feb-2007 01-Apr-2019 1 - 1313400
10 25-Mar-2013 24-Mar-2028 1-6500000
10 06-May-2011 05-May-2026 CP 01 -CP 93670
10 20-Jun-2013 19-Jun-2028 6500001-7654838
100 06-Jan-2011 06-Jan-2031 PB-1 TO PB - 10703000
100 04-Feb-2011 04-Feb-2031 PA-1 TO PA - 1150000
10 17-Feb-2011 17-Feb-2030 1-6250000
100 04-May-2007 04-May-2017 7740275-9270274
100 30-Mar-2002 29-Mar-2012 9566450 TO 10179854
100 31-Mar-2001 30-Mar-2011 7800081 TO 9566449
100 30-May-2000 29-May-2010 6753024 TO 7800080
100 01-Feb-2006 31-Jan-2016 10179855 TO 12182349
100 15-Mar-2000 14-Mar-2010 4756086 TO 6753023
10 10-Sep-2007 09-Sep-2022 710001 - 1282600
10 05-Dec-2007 04-Dec-2022 1282601 - 1778400
IN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDCLASS B OCPS-500001 TO
CLASS B OCPS -3500000IN200133 MAS SERVICES LIMITEDCLASS OCPS -3500001 TO
CLASS B OCPS -7727475IN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITED
![Page 74: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/74.jpg)
10 06-Dec-2008 05-Dec-2023 1778401 - 12339218
10 22-Dec-2008 21-Dec-2023 12339219 - 14339218
10 13-Jan-2015 12-Jan-2020 1-61907
10 23-Aug-2013 22-Aug-2028 7654839-24487096
19 08-Jul-2013 07-Jul-2028 1-629632
10 31-Mar-2015 30-Mar-2033 CP 01 TO CP 50582
10 30-May-2015 29-May-2033 CP 50583 TO CP 71000
10 31-Mar-2015 30-Mar-2033 CP 01 TO CP 68818
10 30-May-2015 29-May-2033 CP 68819 TO CP 123610
100 30-Jul-2014 29-Jul-2034 C01-C3000000
1 21-Apr-2011 20-Apr-2031 CP 01 TO CP 15069920
10 21-Apr-2011 20-Apr-2031 RP 01 TO RP 3020000
10 20-May-2011 20-May-2031 RP-1 TO RP-1500000
100 31-Oct-2006 30-Oct-2016 1-600000
100 24-Sep-2002 31-Dec-9999
10 30-May-2015 29-May-2025 PS63910001-PS71910000
10 30-Mar-2015 29-Mar-2025 PS1-PS63910000
100 09-Feb-2008 09-Feb-2015 11032277-11965201
100 04-May-2007 04-May-2014
100 31-May-2007 31-May-2014 9270277-11032276
10 07-Oct-2014 06-Oct-2026 CP 262771-CP 852588
10 30-Jun-2016 30-Dec-2016 1-282172
100 16-Oct-2004 31-Mar-2024 P-001-P-6500000
10 10-Aug-2011 31-Mar-2018 1 - 38502384
10 20-Sep-2013 19-Sep-2033 357142-714286
10 26-Apr-2012 25-Apr-2032 1-357141
100 29-Mar-2011 28-Mar-2031 47075 - 85818
100 30-Mar-2012 29-Mar-2032 85819 - 89603
100 26-Mar-2010 25-Mar-2030 1 - 47074
10 30-Jun-2006 30-Jun-2024 7000001-7750000
10 30-Sep-2005 30-Sep-2023 1-7000000
100 02-Feb-2018 01-Feb-2023 1-1500000
5 12-May-2010 29-Sep-2018 1-233884055
5 30-Jun-2006 30-Jun-2021 1-548800
100 08-Jul-2013 07-Jul-2033 1-300000
100 08-Jul-2013 07-Jul-2033 1-750000
10 22-Nov-2010 22-Nov-2014 1 - 60000000
10 14-Jan-2008 13-Jan-2013 01 TO 250000000
10 14-Jan-2008 13-Jan-2019 1 - 250000000
10 22-Mar-2014 22-Mar-2019 1-100000000
10 14-May-2008 31-Mar-2018 1 - 1210965
10 06-Jun-2008 31-Mar-2018 1210965 - 1424715
10 29-Nov-2010 28-Nov-2020 775865041-1004467040
10 17-May-2010 16-May-2020 1-775865040
10 10-Jan-2011 09-Jan-2021 1004467041-1095306040
10 10-Feb-2011 09-Feb-2021 1095306041-1323463540
10 27-Dec-2011 26-Dec-2021 1323463541-1533856340
10 19-Jan-2012 18-Jan-2022 1533856341-1584166340
IN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITED1-90000,290001 TO
6190000, 6690001 TO IN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200133 MAS SERVICES LIMITEDIN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV
![Page 75: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/75.jpg)
10 09-Feb-2012 08-Feb-2022 1584166341-1608817590
10 30-Mar-2011 31-Mar-2020 1-125000000
10 06-Aug-2012 12-Oct-2023 1-9735
100 27-Dec-2013 26-Dec-2023 1-20000000
100 10-Mar-2014 09-Mar-2024 20000001-30000000
100 16-Oct-2004 31-Mar-2014 P-001 TO P-6500000
10 27-Jul-2006 01-Mar-2019 1 TO 17971396
10 04-Aug-2008 04-Aug-2013 1 TO 20000000
100 31-Jan-2011 31-Jan-2026 010062 TO 0394126
62 23-Oct-2015 22-Oct-2034 1-1808582
62 12-Sep-2016 11-Sep-2034 1808583-1940688
62 06-Jun-2017 05-Jun-2036 2374151-2506261
62 14-Jul-2017 13-Jul-2036 2506262-2615840
62 24-Dec-2016 23-Dec-2035 1940689-2072794
62 17-Feb-2017 16-Feb-2036 2072795-2242039
62 17-Apr-2017 16-Apr-2036 2242040-2374150
100 09-Jan-2012 08-Dec-2015 150001 - 300000
100 25-Feb-2014 24-Feb-2015 150001-300000
10 30-Mar-2007 30-Mar-2015 1 - 61000000
10 17-Jun-2005 16-Jun-2016 1-105000000
10 01-Jan-2008 15-Jan-2014 1 - 3000000
10 01-Mar-2008 15-Jan-2014 3000001 - 9000000
10 27-Jun-2016 25-Jun-2036 1-11332402
10 30-Mar-2015 29-Mar-2022 1-4333500
100 06-Mar-2017 05-Mar-2021 528704-586703
100 10-Feb-2017 09-Feb-2021 486704-528703
100 10-Jan-2017 09-Jan-2021 386704-486703
100 05-Oct-2016 04-Oct-2020 1-386703
10 01-Mar-2007 28-Feb-2015 1 TO 40000000
10 30-Dec-2006 29-Dec-2014 1 TO 55000000
10 23-Oct-2013 23-Oct-2033 1-99999950
10 29-Jun-2013 28-Jun-2020 9000001-11250000
100 08-Nov-2010 15-Mar-2020 1-8000000
170 28-Apr-2015 27-Apr-2020 1-929412
100 25-Jun-2007 25-Jun-2025 5955-10061
10 13-Jul-2010 11-Dec-2011 1-16561950
10 13-Jul-2010 11-Dec-2011 1-108436850
100 09-Nov-2010 01-Apr-2024 1-15984543
100 27-Sep-2006 27-Sep-2011 1-5954
100 26-Mar-2007 26-Mar-2017 1 TO 800000
10 29-Mar-2014 28-Mar-2022 72191601-72510300
10 29-Mar-2010 28-Mar-2018 1-72191600
10 28-Mar-2012 30-Jun-2022 864196001-1217296000
1000 31-Mar-2012 31-Mar-2032 1-584115
1000 31-Mar-2012 31-Mar-2032 1-740150
10 31-Dec-2010 31-Dec-2018 1-15200000
100 26-Sep-2011 25-Sep-2031 34000001 TO 39000000
10 31-Mar-2011 30-Mar-2017 1-160000000
IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200176 CAMEO CORPORATE SERV IN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTS
![Page 76: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/76.jpg)
10 31-Dec-2010 31-Dec-2018 1-15200000
10 31-Dec-2010 31-Dec-2018 1-15200000
10 31-Dec-2010 31-Dec-2016 1-15200000
10 31-Dec-2010 31-Dec-2018 1-15200000
10 24-Mar-2016 23-Mar-2019 1-4805000
10 30-Jan-2017 29-Jan-2020 1-3220000
10 29-Sep-2011 10-Mar-2018 1 TO 324270000
10 31-Dec-2010 31-Dec-2014 1-15250000
10 04-May-2011 03-May-2031
100 20-Oct-2009 19-Oct-2015 3900001-7800000
10 29-Mar-2012 28-Mar-2018 1 - 3780000
10 31-Mar-2012 30-Mar-2018 1 - 80000
10 28-Mar-2011 27-Mar-2017 1 - 44749900
10 28-Mar-2011 27-Mar-2017 1 - 30000
100 22-Jan-2010 21-Jan-2015 15600001-16700000
100 20-Oct-2009 19-Oct-2014 1-3900000
100 22-Jan-2010 21-Jan-2016 16700001-17800000
100 22-Jan-2010 20-Jan-2017 17800001-18900000
100 22-Jan-2010 20-Jan-2018 18900001-20000000
100 20-Oct-2009 19-Oct-2016 7800001-11700000
100 20-Oct-2009 19-Oct-2017 11700001-15600000
10 17-Aug-2011 16-Aug-2031
100 27-Sep-2012 27-Sep-2020 1 - 1423000
10 31-Dec-2010 31-Dec-2018 1-15250000
10 07-Dec-2011 06-Dec-2031
10 21-Sep-2011 20-Sep-2031
10 31-Dec-2010 31-Dec-2013 1-15200000
10 31-Dec-2010 31-Dec-2018 1-15200000
10 28-Mar-2011 27-Mar-2017 1 - 2649500
10 31-Mar-2011 30-Mar-2017 1 - 204641343
10 29-Mar-2012 28-Mar-2018 1 - 21694500
10 28-Mar-2009 27-Mar-2014 1 - 2000000
10 29-Mar-2012 28-Mar-2018 1 - 3020000
10 31-Mar-2012 30-Mar-2018 1 - 80000
10 28-Mar-2011 27-Mar-2017 1 - 10850000
10 23-Nov-2007 31-Mar-2019
10 27-Oct-2011 30-Jun-2025 1-552699600
10 29-Sep-2011 10-Mar-2018 1 to 60850000
100 20-Dec-2010 15-Dec-2030 1-34000000
10 29-Mar-2012 10-Jan-2028 1-119251099
10 29-Mar-2013 11-Jul-2019 1-23750000
10 02-May-2007 01-May-2010 PF 01 TO PF 18000000
10 30-Oct-2008 16-Oct-2014 1-27500000
10 08-Mar-2005 01-Jan-2019 1 TO 18882332
10 26-Feb-2008 26-Feb-2028
10 14-Jan-2008 14-Feb-2027 18500965-72507695
10 07-Aug-2009 06-Aug-2028 P-1 TO P-25770000
10 26-Aug-2015 25-Aug-2018 1-250000000
IN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSCCCPS-001 TO CCCPS-
34,47,39,500IN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSCCCPS-344739501 TO
CCCPS-420614900IN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSCCCPS-470614901 TO
CCCPS-550614900IN200256 AARTHI CONSULTANTSCCCPS-420614901 TO
470614900IN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTS1-330000000, 545960001-
635960000IN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSIN200256 AARTHI CONSULTANTSCCCPS 1 TO CCCPS
5333334IN200256 AARTHI CONSULTANTSIN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS
![Page 77: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/77.jpg)
10 01-Mar-2006 31-Mar-2015 00000001 TO 3637120
100 12-Nov-2012 11-Nov-2015 1 - 1000000
100 20-Jun-2011 28-Feb-2019 1 TO 4163127
100 10-Nov-2016 09-Nov-2025 1-2500000
100 10-Mar-2015 09-Mar-2024 1-3500000
100 07-Mar-2016 06-Mar-2025 1-1350000
100 20-Apr-2016 19-Apr-2025 1350001-3350000
10 29-Jul-2014 28-Jul-2034 1-6360000
100 26-May-2016 25-May-2025 1-1250000
100 28-Mar-2018 27-Mar-2038 1-10000000
10 16-Dec-2016 15-Dec-2029 1-8100000
10 05-Feb-2013 04-Feb-2023 1 - 35555556
10 26-Mar-2016 31-Dec-2023 1-4193
10 11-May-2011 31-Mar-2018 01 TO 668637
10 30-Mar-2012 29-Mar-2017 1-39100, 62851-70000
10 27-Apr-2012 26-Apr-2022 1-130000
10 27-Apr-2012 26-Apr-2022 1-75000
10 19-Jun-2013 17-Jun-2023 1-6000
10 26-Mar-2014 25-Mar-2019 1-125000
10 30-Mar-2015 29-Mar-2020 1-125000
100 27-Mar-2018 26-Mar-2038 1-10000000
10 25-Mar-2015 24-Mar-2035 9875001-19255000
10 16-Jun-2016 15-Jun-2036 9214611-13219610
10 29-Mar-2007 28-Mar-2017 803069-5803068
100 08-Feb-2012 07-Feb-2022 1 - 1475700
10 31-Mar-2008 30-Apr-2027 1-37500000
10 29-Jun-2013 28-Jun-2027 74000001-98462000
10 20-Sep-2008 30-Apr-2028 37500001-74000000
100 08-Feb-2012 07-Feb-2022 1 TO 05978298
100 29-Mar-2002 31-Dec-2015 1 to 1170790
10 20-Apr-2015 19-Apr-2029 98462001-118192000
100 03-Mar-2014 02-Mar-2034 1-48879000
10 27-Jan-2016 26-Jan-2026 1-9937586
10 27-Jan-2016 10-Sep-2027 1-33460086
10 17-Oct-2017 17-Oct-2037 1-23646
10 24-Nov-2017 23-Nov-2032 1-128887700
100 09-Aug-2001 08-Aug-2021 300001 - 600000
100 31-Mar-1998 30-Mar-2018 1-300000
1000 07-Aug-2015 07-Aug-2035 1-3762
1000 27-Oct-2017 27-Oct-2037 1-2943
1000 05-Apr-2016 05-Apr-2036 1-1294
50 28-Aug-2001 31-Dec-9999
40 28-Aug-2001 31-Dec-9999
10 18-Feb-2003 31-Dec-9999
10 18-Feb-2003 31-Dec-9999
10 18-Feb-2003 31-Dec-9999
5 30-Mar-2010 30-Mar-2025 1-12414353
10 12-Jun-2014 31-Mar-2018 1-4500000
IN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200490 NICHE TECHNOLOGIESIN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200537 VENTURE CAPITAL AND CORP IN200570 CANBANK COMPUTER SERVICEIN200615 ABS CONSULTANTS PVT IN200738 SATELLITE CORPORATE IN200738 SATELLITE CORPORATE IN200738 SATELLITE CORPORATE IN200738 SATELLITE CORPORATE IN200738 SATELLITE CORPORATE IN200826 R&D INFOTECH PRIVATE IN200826 R&D INFOTECH PRIVATE IN200906 MCS SHARE TRANSFER AGENT IN200906 MCS SHARE TRANSFER AGENT IN200906 MCS SHARE TRANSFER AGENT IN200906 MCS SHARE TRANSFER AGENT IN200906 MCS SHARE TRANSFER AGENT
![Page 78: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/78.jpg)
5 04-Sep-2008 03-Sep-2015 01 TO 59900000
5 04-Sep-2008 31-Mar-2026 01 TO 95886496
5 04-Sep-2008 03-Sep-2018 01 TO 15460000
5 31-Mar-2005 18-Nov-2008 1 TO 65050570
10 18-Jan-2018 17-Jan-2024 1-120000
10 22-Sep-2009 21-Sep-2024 5000001 - 50000000
10 17-Jun-2017 16-Jun-2037 1-1000000
10 17-Jun-2017 16-Jun-2037 1-2750000
100000 10-Feb-2012 09-Feb-2019 1 TO 1800
100 25-Jan-2008 31-Dec-2016 001 to 2921499
10 18-Mar-2014 18-Mar-2024 6320001-6470000
10 25-Feb-2013 25-Feb-2023 5200001-6320000
10 28-Feb-2011 28-Feb-2021 1-5200000
10 19-Mar-2014 19-Mar-2024 140500001-142200000
10 01-May-2012 01-May-2022 140100001-140500000
10 13-Mar-2012 13-Mar-2022 13900001-140100000
10 10-Feb-2012 10-Feb-2022 134952501-139300000
10 30-Nov-2011 30-Nov-2021 129000001-134952500
10 28-Feb-2011 28-Feb-2021 1-129000000
10 10-Feb-2012 10-Feb-2022 8050001-10000000
10 28-Feb-2011 28-Feb-2021 1-8050000
10 13-Mar-2012 13-Mar-2022 10000001-12550000
10 15-Mar-2012 15-Mar-2022 1-36000000
10 13-Jun-2016 13-Jun-2031 1-11500000
1 20-Apr-2010 19-Apr-2030 00000001-2695000
100 10-Sep-1998 24-Feb-2010 340001 TO 540000
100 30-Mar-2013 30-Mar-2022 1-17500000
10 28-Sep-2012 28-Sep-2022 225750001-260750000
10 20-Sep-2012 20-Sep-2022 162000001-225750000
10 13-Mar-2012 13-Mar-2022 82000001-162000000
10 30-Nov-2011 30-Nov-2021 33000001-82000000
10 14-Jun-2011 14-Jun-2021 32000001-33000000
10 28-Feb-2011 28-Feb-2021 1-32000000
100000 30-Mar-2017 29-Mar-2037 1-600
7.5 30-May-2015 31-Mar-2017 1-13665435
100 30-Sep-2009 31-Mar-2019 REFER IOM
100 31-Mar-2014 31-Mar-2023 1-1500000
100 15-Sep-2011 15-Sep-2026 1 TO 500000
100 05-Nov-2012 05-Dec-2027 500001 - 1000000
100 10-Aug-2017 09-Aug-2037 1-5000000
100 24-Feb-2014 24-Feb-2024 1050001-1200000
100 10-Dec-2013 10-Dec-2023 100001-1050000
100 10-Jan-2013 10-Jan-2023 1-100000
100 28-Mar-2017 27-Mar-2036 1-786068
10 07-Mar-2018 06-Mar-2028 1-150000000
10 09-Sep-2015 07-Sep-2035 1-2348
100 26-Dec-2016 24-Dec-2036 1-5754
100 16-Jan-2017 14-Jan-2037 5755-7191
IN200906 MCS SHARE TRANSFER AGENT IN200906 MCS SHARE TRANSFER AGENT IN200906 MCS SHARE TRANSFER AGENT IN200906 MCS SHARE TRANSFER AGENT IN200922 MCS SHARE TRANSFER AGENT IN200922 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200939 MCS SHARE TRANSFER AGENT IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE
![Page 79: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/79.jpg)
10 18-Feb-2016 16-Feb-2036 2513-4839
10 26-Oct-2015 24-Oct-2035 2349-2512
10 31-May-2016 29-May-2036 4840-5024
100 27-Mar-2017 25-Mar-2037 1-1244
10 25-Mar-2016 24-Mar-2026 1-45490000
10 06-Sep-2016 05-Sep-2026 45490001-93983483
10 26-Oct-2016 25-Oct-2026 93983484-106615780
10 23-Dec-2016 22-Dec-2026 106615781-109465780
10 24-Jan-2017 23-Jan-2027 109465781-113465780
10 03-Jul-2015 15-Dec-2029 129509801-259019600
10000000 17-Dec-2014 31-Mar-2019 1-900
10000000 17-Dec-2014 31-Dec-2020 1-100
2 11-May-2015 10-May-2030 1-363000000
100 29-Mar-2005 28-Mar-2017 1 TO 11842519
10 23-Apr-2007 22-Apr-2022 01 TO 2927368
5 10-Apr-2003 31-Mar-2022 1 - 130000000
5 29-Sep-2016 15-Mar-2026 1-434431627
10 06-Jun-2013 06-Jun-2023 1067571-404457570
10 31-Mar-2011 30-Mar-2021 1-9375000
10 13-May-2011 12-May-2021 9375001-12500000
10 28-Dec-2010 27-Dec-2020 1-10000000
40 03-Jan-2001 31-Dec-9999
10 04-Sep-2008 03-Sep-2013 01 TO 1055086
10 17-Aug-2010 17-Aug-2020 43500001-53005000
10 30-Jul-2010 30-Jul-2020 1-43500000
6.67 10-Aug-2006 07-Aug-2008
10 14-Aug-2008 13-Aug-2011 01 TO 10413676
10 29-Sep-2010 28-Sep-2018
100 14-Apr-2014 23-Sep-2035 1-4100000
100 13-Apr-2015 23-Sep-2035 1-4100000
10 26-Mar-2016 31-Mar-2018 1-5961369
1 22-Nov-2010 22-Nov-2029 105000001-126051126
5000000 01-Mar-2014 01-Mar-2024 1-25
10 04-May-2017 22-May-2018 CCPS 01-CCPS 15
10 27-Dec-2017 26-Dec-2036 1-560235
100 29-Sep-2017 29-Sep-2029 1-469016
100 22-Dec-2017 21-Dec-2036 1-212994
1 07-Nov-2011 07-Nov-2030 126051127-127482903
10 02-Nov-2015 02-Nov-2022 1-849482
10 01-Dec-2015 01-Dec-2022 849483-1315732
10 29-Apr-2016 29-Apr-2023 1315733-1780109
10 01-Jul-2016 01-Jul-2023 1780110-2022469
10 31-Mar-2016 30-Mar-2035 1-61142
10 03-Nov-2016 02-Nov-2035 1-8179859
10 07-May-2015 31-Mar-2019 1-7350
10 30-Jun-2015 30-Jun-2017 199951-3138075
10 27-Mar-2017 26-Mar-2026 3138076-8492045
1 20-Mar-2014 20-Mar-2024 1-79560000
IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN200963 NSDL DATABASE IN100358 LML LIMITED-SHRIN200027 3I INFOTECHIN200027 3I INFOTECHIN200027 3I INFOTECHIN200221 CB MGMT SERV PVT. LTDIN200221 CB MGMT SERV PVT. LTDIN200221 CB MGMT SERV PVT. LTDIN200221 CB MGMT SERV PVT. LTDIN200221 CB MGMT SERV PVT. LTDIN200221 CB MGMT SERV PVT. LTDIN200221 CB MGMT SERV PVT. LTDIN200221 CB MGMT SERV PVT. LTDIN200221 CB MGMT SERV PVT. LTDIN200221 CB MGMT SERV PVT. LTD01 TO 25000000 &
25000001 TO 50000000IN200221 CB MGMT SERV PVT. LTDIN200221 CB MGMT SERV PVT. LTDIN200221 CB MGMT SERV PVT. LTDIN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG.
![Page 80: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/80.jpg)
10 02-Feb-2017 02-Feb-2036 1-82493
10 27-Feb-2017 26-Feb-2036 82494-276492
10 27-Jul-2015 27-Jul-2034 98586-224086
10 25-Feb-2015 25-Feb-2034 1-98585
10 01-Sep-2016 01-Sep-2023 24236047-24836046
10 21-Sep-2013 31-Mar-2017 37903606-45743605
10 20-Nov-2015 20-Nov-2035 P02314707-P02524577
10 05-Jan-2018 30-Dec-2037 1-11174716
100 14-Jan-2016 13-Jan-2036 6000001-6780900
10 18-Dec-2014 18-Dec-2034 P02000001-P02314706
10 31-Mar-2016 31-Mar-2023 21036047-24236046
10 03-Feb-2016 03-Feb-2023 7911993-15036046
10 24-Dec-2015 24-Dec-2022 1-7911992
100 30-Nov-2011 01-Apr-2018 1 TO 1200806
10 29-Nov-2017 31-May-2019 1-31000000
10 28-Jan-2008 27-Jan-2018 PC-01-22000000
10 30-Jun-2008 29-Jun-2018 PC-22000001-44411193
10 15-Nov-2008 14-Nov-2018 PC-44411194-104282693
100000 13-Dec-2017 03-Jan-2023 1-50
100 29-Mar-2016 29-Mar-2028 1-4000000
10 19-Oct-2006 18-Oct-2026 P-01-12674834
10 17-Nov-2006 16-Nov-2026 P-12674835-23674834
10 31-Mar-2007 30-Mar-2027 P-23674835-36674834
10 18-Apr-2007 17-Apr-2027 P-36674835-44774835
10 20-Mar-2010 19-Mar-2020 1-4950000
10 17-Mar-2016 16-Mar-2036 1-117980
10 30-Mar-2009 29-Mar-2019 1-3310000
10 24-Mar-2011 23-Mar-2021 1-5000000
10 04-Nov-2008 03-Nov-2018 1-4540457
10 04-Nov-2008 03-Nov-2018 1-6810686
10 04-Nov-2008 03-Nov-2018 1-6518198
10 04-Nov-2008 03-Nov-2018 1-4345465
10 09-Sep-2015 31-Dec-2021 1-93156420
10 20-Feb-2009 19-Feb-2019 1-3810000
10 29-Mar-2011 28-Mar-2021 1-5800000
10 22-Feb-2012 21-Feb-2022 1-2000000
10 23-Mar-2010 22-Mar-2020 1-3330000
100 23-Feb-2012 22-Feb-2032 1-1400000
100 08-Feb-2013 07-Feb-2033 117649-369749
10 17-Aug-2012 16-Aug-2032 1798129-03258128
10 30-Mar-2009 29-Mar-2019 1-3430000
10 20-Mar-2012 19-Mar-2022 1-3750000
10 29-Mar-2011 28-Mar-2021 1-9200000
10 28-Feb-2013 27-Feb-2023 1-2000000
1 16-Dec-2011 15-Dec-2030 1-21623004
1 16-Dec-2011 15-Dec-2021 1-4278792
1 30-Mar-2012 29-Mar-2031 1-26987251
10 29-Mar-2010 28-Mar-2020 1-5075000
IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200264 INTEGRATED REG. IN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRY
![Page 81: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/81.jpg)
10 23-Mar-2010 22-Mar-2020 1-3350000
10 12-Mar-2012 11-Mar-2022 1-5700000
10 13-Mar-2012 12-Mar-2022 1-3350000
10 21-Mar-2012 20-Mar-2022 1-7500000
10 23-Feb-2012 22-Feb-2022 1-6000000
10 30-Mar-2009 29-Mar-2019 1-3310000
10 23-Mar-2010 22-Mar-2020 1-4025000
10 26-Mar-2010 25-Mar-2020 1-4900000
10 24-Mar-2011 23-Mar-2021 1-5000000
100 30-Nov-2012 29-Nov-2032 1-117648
10 19-Mar-2009 18-Mar-2019 1-3510000
10 23-Mar-2010 22-Mar-2020 1-4065000
10 23-Sep-2009 22-Sep-2019 1-32000000
1 15-Oct-2007 14-Oct-2026 1-102100
1 05-Nov-2008 04-Nov-2027 102101-2348300
100 17-Oct-2015 16-Oct-2027 OCCRP1-OCCRP16000000
100 14-Dec-2012 13-Dec-2024 P1 - P9000000
100 16-Apr-2011 15-Apr-2021 01 TO 15000000
100 10-Feb-2012 09-Feb-2022 1500001-52500000
100 13-Jul-2012 12-Jul-2022 52500001-5252000
100 15-Oct-2012 14-Oct-2021 1-1028177
100 14-Jan-2013 13-Jan-2023 1-26600000
100 30-Mar-2011 29-Mar-2021 1 TO 1500300
100 31-Mar-2010 30-Mar-2020 1 TO 2333500
100 29-Jan-2010 28-Jan-2020 1-1334800
100 25-Mar-2013 24-Mar-2023 1-333400
100 01-Mar-2013 28-Feb-2023 1-1276700
100 16-Dec-2015 16-Dec-2022 1-20100000
100 13-Apr-2007 12-Apr-2015
100 02-Apr-2013 01-Apr-2023 26600001-26900000
100 05-Mar-2012 04-Mar-2016 1 TO 366667
100 30-Mar-2012 29-Mar-2022 1-1800000
100 06-Dec-2002 31-Dec-2011
100 08-Nov-2007 07-Nov-2019
100000 18-May-2017 07-Nov-2019 1-4000
100 26-Jun-2006 25-Jun-2012
100 28-Mar-2011 27-Mar-2015 1-800000
100 23-Oct-2002 31-Dec-9999 IN200424 MCS LTD
350 15-Jan-2008 14-Jul-2009 0000001 TO 3000000 IN200424 MCS LTD
100000 05-Feb-2009 04-Feb-2016 P0001-P40000 IN200424 MCS LTD
10 19-Jun-2006 01-Apr-2009 1 TO 89161 IN200424 MCS LTD
100 15-Dec-2004 14-Dec-2019 01 TO 200000
100 30-Oct-2009 31-Mar-2016 7000001-7680650
100 07-May-2009 31-Mar-2018 4666501-7000000
100 30-Oct-2009 31-Mar-2018 8361301-9042000
100 07-May-2009 31-Mar-2017 2333241-4666500
100 30-Oct-2009 31-Mar-2017 7680651-8361300
100 07-May-2009 31-Mar-2016 1-2333240
IN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRY3933259-5899887,
15843966-20816005IN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRYIN200301 RCMC SHARE REGISTRY
IN200465 SKDC CONSULTANTS LTD.IN200465 SKDC CONSULTANTS LTD.IN200465 SKDC CONSULTANTS LTD.IN200465 SKDC CONSULTANTS LTD.IN200465 SKDC CONSULTANTS LTD.IN200465 SKDC CONSULTANTS LTD.IN200465 SKDC CONSULTANTS LTD.
![Page 82: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/82.jpg)
10 21-Oct-2010 31-Mar-2017 1-275681588
10 15-Mar-2013 31-Mar-2017 1-300000000
1000 22-Mar-2007 21-Mar-2027 1-63735
100 13-Aug-2011 12-Aug-2031 2066813 TO 2149902
100 27-Aug-2011 26-Aug-2031 2137837 TO 2441000
100 22-Jul-2010 21-Jul-2030 1513335-1803834
100 25-Aug-2008 24-Aug-2028 1-733664
100 15-Jan-2009 14-Jan-2029 733665-740364
100 28-Mar-2009 27-Mar-2029 740365-814114
100 13-Jul-2009 12-Jul-2029 814115-880814
100 02-Nov-2009 01-Nov-2029 880815-1018484
100 23-Jan-2010 22-Jan-2030 1018485-1398334
100 31-Mar-2010 30-Mar-2030 1398335-1513334
100 30-Mar-2010 29-Mar-2020 1-775000
10 09-Oct-2014 31-Aug-2018 1-932237
10 12-Apr-2005 31-Mar-2017 1 TO 24743030
100 04-Mar-2011 03-Mar-2031 1980087-2086136
100 04-Mar-2011 03-Mar-2031 1716278-2064312
100 30-Mar-2010 29-Mar-2020 1-1300000
100 31-Jul-2010 30-Jul-2030 1433028 TO 1559277
100 31-Mar-2010 30-Mar-2030 1740876-2198375
100 25-Mar-2008 24-Mar-2028 1002241-1168375
100 02-Nov-2009 01-Nov-2029 1108028-1280527
100 28-Oct-2009 27-Oct-2029 1420876-1740875
100 01-Jul-2007 30-Jun-2027 1-1002240
100 31-Mar-2010 30-Mar-2030 1339278-1433027
100 28-Feb-2009 27-Feb-2029 1074403-1074777
100 07-Jul-2009 06-Jul-2029 1245876-1420875
100 23-Jan-2010 22-Jan-2030 1280528-1339277
100 29-Jul-2008 28-Jul-2028 546451-1074402
100 30-Mar-2009 29-Mar-2029 1168376-1245875
100 13-Jul-2009 12-Jul-2029 1074778-1108027
100 14-Mar-2008 13-Mar-2028 1-546450
10 07-Aug-2007 06-Aug-2009 17461517 TO 24049465
10 05-Oct-2015 04-Oct-2025 2575001-14300000
10 05-Jan-2009 04-Jan-2021 1-4000000
100 31-Mar-2011 30-Mar-2031 2064313 TO 2066812
100 31-Mar-2011 30-Mar-2031 2086137 TO 2137836
10 21-Sep-2015 20-Sep-2025 01-2575000
10 01-Apr-2016 31-Mar-2026 14300001-20800000
100 16-Dec-2010 15-Dec-2030 1559278-1716277
100 28-Mar-2015 28-Mar-2035 P0001 TO P1137000
10 07-Jan-2015 06-Jan-2020 1-107060
100 31-Mar-2011 30-Mar-2031 1-1519400
100 16-Aug-2011 15-Aug-2031 1519401-1750970
100 06-Dec-2011 05-Dec-2031 1750971-1865689
100 27-Mar-2012 26-Mar-2032 1865690-1932953
100 30-Jun-2012 29-Jun-2032 1932954-2932251
IN200465 SKDC CONSULTANTS LTD.IN200465 SKDC CONSULTANTS LTD.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.
![Page 83: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/83.jpg)
100 10-Nov-2012 09-Nov-2032 2932252-3172251
100 04-Dec-2012 03-Dec-2032 3172252-3345251
100 05-Jan-2013 04-Jan-2033 3345252-3683051
100 26-Mar-2013 25-Mar-2033 3973352-4227351
100 19-Jun-2013 18-Jun-2033 4227352-4557351
100 03-Sep-2013 02-Sep-2033 4677352-4777351
100 29-Mar-2014 28-Mar-2034 4777352-4832551
100 08-Oct-2014 07-Oct-2034 4832552-5538751
100 07-Feb-2015 06-Feb-2035 5538752-5919000
100 23-Mar-2015 22-Mar-2035 5919001-5935600
100 15-Oct-2015 14-Oct-2035 5935601-5946600
100 28-Feb-2013 27-Feb-2033 3683052-3973351
100 20-Aug-2013 19-Aug-2033 4557352-4677351
100 20-Mar-2017 19-Mar-2037 5946601-11014000
100 28-Dec-2010 27-Dec-2030 2198376-2301750
100 16-Dec-2010 15-Dec-2030 1803835-1980086
100 16-Mar-2015 16-Mar-2035 1-612242
10 27-Mar-2002 26-Mar-2022 1-7500000000
10 25-Mar-2013 24-Mar-2018 1-5000000
10 21-Jan-2015 16-Jan-2034 1-166216
100 28-Mar-2014 30-Sep-2018 1-9999000
100 12-May-2015 30-Sep-2018 9999001-11999000
10 19-Jan-2015 18-Jan-2035 1-65984
1 28-Aug-2014 24-Aug-2034 1-28970
10 30-Jul-2015 29-Jul-2035 81664-177385
10 19-Dec-2017 18-Dec-2037 8054-8434
10 07-Jun-2016 07-Jun-2036 1-8053
10 09-Jan-2015 11-Aug-2034 1-41130
10 11-Nov-2013 05-Nov-2033 1-55781
10 16-Mar-2012 08-Feb-2032 1-85892
10 24-Aug-2015 23-Aug-2035 1-181044
100 13-May-2016 30-Sep-2019 1-3097124
100 17-May-2016 30-Sep-2018 1-12902876
1 26-Nov-2014 28-Jul-2036 159557-371412
100 29-May-2014 29-May-2034 P0001-P4100000
100 06-Oct-2014 06-Oct-2034 P4100001-P6530000
100 31-Mar-2016 31-Mar-2036 P6530001-P10764770
100 30-May-2017 29-May-2036 P0001-P100000
10 25-Jan-2018 24-Jan-2038 8435-11116
30 29-Aug-2013 28-Aug-2023 1-1978713
10 26-Aug-2016 25-Aug-2036 1-7260000
2 03-May-2008 01-Apr-2009 01 TO 2032734
5 18-Oct-2012 17-Jan-2014 1 - 104760
10 24-Aug-2017 23-Aug-2024 PA1 TO PA4454763
10 24-Aug-2017 23-Aug-2024 PB1-PB4280067
10 22-Feb-2018 21-Feb-2025 PB1-PB490000
10 22-Feb-2018 21-Feb-2025 PA1-PA510000
10 26-Mar-2012 25-Mar-2021 304010001-308010000
IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200504 BEETAL FINAN.AND COMPU.IN200666 INDUS PORTFOLIO PVT LTDIN200666 INDUS PORTFOLIO PVT LTDIN200666 INDUS PORTFOLIO PVT LTDIN200703 GNSA INFOTECH LIMITEDIN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN200875 BGSE FINANCIALS IN100331 HINDALCO INDUSTRIES IN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHR
![Page 84: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/84.jpg)
10 21-Dec-2011 20-Dec-2020 292500001-304010000
10 24-Feb-2015 23-Feb-2024 458010001-483010000
10 29-Sep-2014 28-Sep-2023 433010001-458010000
10 18-Mar-2014 17-Mar-2023 383010001-408010000
10 12-Feb-2014 11-Jan-2023 358010001-383010000
10 21-Jan-2016 20-Jan-2025 558010001-583010000
10 25-Nov-2015 24-Nov-2024 533010001-558010000
10 31-Mar-2015 30-Mar-2024 483010001-508010000
10 20-Feb-2017 19-Feb-2026 611010001-613010000
10 23-Sep-2016 22-Sep-2025 608010001-611010000
10 30-Mar-2016 29-Mar-2025 583010001-608010000
10 22-Apr-2009 21-Apr-2018 1-1500000
10 13-Aug-2014 12-Aug-2023 408010001-433010000
10 14-Jul-2015 13-Jul-2024 508010001-533010000
10 23-Jun-2010 22-Jun-2019 150000001-155500000
10 01-Jun-2010 31-May-2019 1500001-150000000
10 03-Dec-2010 02-Dec-2019 174900001-203300000
10 13-Aug-2010 12-Aug-2019 155500001-166300000
10 10-Mar-2011 09-Mar-2020 203300001-238400000
10 25-Apr-2011 24-Apr-2020 238400001-249100000
10 29-Jun-2011 28-Jun-2020 249100001-269360000
10 21-Jul-2011 20-Jul-2020 269360001-277960000
10 14-Sep-2011 13-Sep-2020 277960001-292500000
10 25-Sep-2013 24-Sep-2022 333010001-358010000
10 25-Mar-2013 24-Mar-2022 308010001-333010000
10 22-Sep-2010 21-Sep-2019 166300001-174900000
100000 30-Jun-2005 01-Apr-2014 1 TO 542
100 30-Mar-2011 29-Mar-2016 1 TO 3500000
100 31-Mar-2012 31-Mar-2018 1-840500
10 26-Feb-2016 26-Feb-2036 1-3150000
100 28-Feb-2013 27-Feb-2017 1-10000
100 31-Mar-2013 31-Mar-2016 1 - 25000000
10 25-Mar-2013 24-Mar-2023 P1-P37137000
10 07-Mar-2003 31-Dec-9999
1000 15-Feb-2010 15-Feb-2030 01 TO 399900
10 25-Mar-2015 25-Mar-2035 1-7510000
10 10-Dec-2002 31-Dec-9999
10 05-Mar-2012 04-Mar-2022 3200001-4300000
10 30-Jul-2007 29-Jul-2017 1-2500000
10 15-Sep-2007 14-Sep-2017 2500001-3200000
10 30-Jul-2007 29-Jul-2017 1-2500000
10 05-Mar-2012 04-Mar-2022 25500001-3700000
10 30-Mar-2013 29-Mar-2023
1 28-Nov-2016 27-Nov-2036 412922-474525
1 26-Sep-2016 25-Sep-2036 338501-412921
1 07-Dec-2015 06-Dec-2035 205528-338500
1 16-Nov-2015 15-Nov-2035 171291-205527
1 08-Jul-2014 07-Jul-2034 1-171290
IN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN100454 SUNDARAM CLAYTON LTD-SHRIN200043 SHAREPRO SERVICES (INDIA) IN200043 SHAREPRO SERVICES (INDIA) IN200043 SHAREPRO SERVICES (INDIA) IN200043 SHAREPRO SERVICES (INDIA) IN200043 SHAREPRO SERVICES (INDIA) IN200043 SHAREPRO SERVICES (INDIA) IN200043 SHAREPRO SERVICES (INDIA) IN200043 SHAREPRO SERVICES (INDIA) IN200043 SHAREPRO SERVICES (INDIA) IN200043 SHAREPRO SERVICES (INDIA) IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD1-2410000, 3430001-
7270000IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD
![Page 85: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/85.jpg)
1 28-Jun-2013 27-Jun-2033 1-182000
1 29-Jun-2012 28-Jun-2032 1-269787
10 28-Jul-2017 27-Jul-2037 22302676-45297953
10 08-Dec-2017 07-Dec-2037 P-01 TO P-102
100 22-Jun-2011 31-Dec-2030 1-64168
100 22-Mar-2018 21-Mar-2038 P1-1 TO P1-3440000
100 13-Dec-2007 30-Sep-2017 3000001-4000000
10 18-May-2012 31-Mar-2023 1-21000000
10 11-Dec-2014 30-Sep-2022 PA01-PA8000000
10 11-Dec-2014 30-Sep-2022 PC-01 TO PC-4000000
10 18-Oct-2015 17-Oct-2027 01-6020000
10 07-Sep-2014 06-Sep-2029 1-152000000
10 05-Feb-2016 04-Feb-2031 10100001-11000000
10 01-Nov-2012 31-Oct-2027 7180001-9180000
10 10-Mar-2016 09-Mar-2031 11000001-11900000
1 15-May-2015 13-May-2035 P 1 TO P-795015
100 17-Oct-2016 31-Mar-2035 1872372-1920902
100 19-May-2017 19-Apr-2037 2561814-2722041
100 22-Mar-2017 22-Feb-2037 1920903-2561813
10 05-Jan-2016 04-Jan-2036 3000001-6000000
10 30-Sep-2015 29-Sep-2035 1-3000000
326.75 31-Jan-2017 30-Jan-2037 1-2460569
326.75 07-Mar-2017 06-Mar-2037 2460570-2670527
100 14-Feb-2018 13-Feb-2028 1-1298055
10 19-Feb-2013 18-Feb-2033 PA-01-PA-34714840
10 27-Jun-2014 27-May-2034 652- 4830
10 26-Sep-2013 26-Aug-2033 1-651
50 28-Jan-2016 28-Dec-2035 1-3456
50 29-Jan-2016 29-Dec-2035 3457-6029
50 27-May-2016 27-Apr-2036 1-8522
50 15-Jun-2016 15-May-2036 8523-8680
10 07-Aug-2014 06-Aug-2034 1-3571328
10 19-Nov-2014 18-Nov-2034 3714186-6095137
10 24-Feb-2016 23-Feb-2036 1-652868
10 24-Feb-2016 23-Feb-2036 1-180355
10 31-Oct-2017 30-Oct-2037
10 25-Apr-2017 24-Apr-2037 1-290164
10 16-May-2017 15-May-2037 1-609344
10 16-May-2017 15-May-2037 1-203113
100 18-Sep-2013 17-Sep-2033 1-2750000
100 07-Nov-2012 06-Nov-2032 2750001-4461800
500 10-Oct-2016 09-Oct-2019 472951-518050
500 13-Dec-2016 12-Dec-2019 518051-570150
100 18-Aug-2009 17-Aug-2024 1-28800
10 19-May-2011 18-May-2031 1-1100000
500 13-Feb-2015 12-Feb-2018 38131-44730
500 13-Feb-2015 12-Feb-2021 24131-38130
500 31-Mar-2015 30-Mar-2021
IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD203114-290163, 609345-
870492IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD92251-93250, 99251-101250,
102251-103250, 113251-IN200086 ALANKIT ASSIGNMENTS LTD
![Page 86: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/86.jpg)
500 31-Mar-2015 30-Mar-2018
500 30-Jun-2015 29-Jun-2021 AS PER ANNEXURE
500 30-Jun-2015 29-Jun-2018 AS PER ANNEXURE
500 31-Aug-2015 30-Aug-2018
500 31-Aug-2015 30-Aug-2021 252551-253950
500 31-Aug-2015 30-Aug-2018
500 30-Nov-2015 29-Nov-2018
500 30-Nov-2015 29-Nov-2018 275351-276350
500 30-Jan-2016 29-Jan-2019
500 30-Jan-2016 29-Jan-2019
10 14-Feb-2013 13-Feb-2033 PA-01TO PA-130418
1 12-Dec-2013 20-Oct-2018
1 12-Dec-2013 20-Oct-2018
10 06-Aug-2013 06-Aug-2016 1-400000
40 17-Mar-2016 31-Jul-2019 1-311871
10 30-Mar-2012 29-Mar-2027 170000001 - 171200000
10 30-Mar-2007 29-Mar-2027 1 TO 82851150
10 03-Sep-2007 02-Sep-2027 82851151 TO 86500000
10 30-Mar-2007 29-Mar-2027 1 TO 55568850
10 16-Aug-2008 15-Aug-2028 29050001 TO 30296500
10 03-Sep-2007 02-Sep-2027 1 TO 29050000
10 19-Mar-2008 18-Mar-2028 1 TO 33887760
10 26-Mar-2010 25-Mar-2030 1 TO 296000000
10 31-Mar-2010 30-Mar-2030 296000001 TO 393000000
10 31-Mar-2010 30-Mar-2030 105000001 TO 146000000
10 26-Mar-2010 25-Mar-2030 1 TO 105000000
10 22-Jun-2016 31-Dec-2022 1-119824000
10 11-Jan-2012 10-Jan-2027 1 - 890000
10 19-Jul-2012 18-Jul-2027 2040001 - 2290000
10 03-Mar-2012 02-Mar-2027 890001 - 2040000
10 30-Apr-2012 30-Mar-2032 1-132779
10 01-Nov-2012 01-Oct-2032 132780-291667
100 26-Sep-2013 29-Aug-2033 291668-740386
100 09-Sep-2014 09-Aug-2034 740387-1218820
100 08-May-2015 08-Apr-2035 1218821-1872371
100 20-Mar-2013 19-Mar-2033 1 - 50000000
500 03-Aug-2016 02-Aug-2019 397151-472950
500 31-Mar-2017 30-Mar-2020 601651-619050
500 28-Jun-2017 27-Jun-2019 619051-643250
100 25-Jul-2017 25-Jul-2027 1-24244644
1 31-Mar-2011 31-Mar-2031 1-17083500
1 20-Dec-2013 20-Dec-2033 1-10076073
100 10-Mar-2014 09-Mar-2034 R-01 TO R-12500000
500 30-Jun-2015 29-Jun-2018
500 30-Jun-2015 29-Jun-2021
500 30-Jun-2015 29-Jun-2018 AS PER ANNEXURE
500 30-Jun-2015 29-Jun-2021
500 31-Mar-2016 30-Mar-2019 353951-397150
93251-99250, 101251-102250, 103251-113250,
IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD238551-239550, 245551-
246550IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD225351-234550, 234551-
238550, 239551-245550, IN200086 ALANKIT ASSIGNMENTS LTD253951-275350, 276351-
289750IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD289751-290750, 299251-
300650IN200086 ALANKIT ASSIGNMENTS LTD290751-299250, 300651-
352550IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD65725528-119240501,
131901997-140725527IN200086 ALANKIT ASSIGNMENTS LTD119240502-131901996,
140725528-215725527IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD141051-142050,174051-
175050,200251-201650IN200086 ALANKIT ASSIGNMENTS LTD142051-152050,196051-
198250,210651-219650IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD128051-137050,154051-
162050,164051-IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD
![Page 87: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/87.jpg)
500 31-Mar-2016 30-Mar-2019 352551-353950
10 15-Jul-2011 14-Jul-2017 1-25234364
10 25-Jul-2011 24-Jul-2017 25234365-29901030
10 28-Jul-2011 27-Jul-2017 29901031-33394032
10 17-Jun-2016 17-Jun-2036 1-5000000
100 28-Mar-2013 27-Mar-2025 P01-P-100000000
10 31-Jul-2017 30-Jul-2022 1-4350000
10 03-Sep-2014 02-Sep-2029 1-107300000
10 28-Dec-2011 27-Dec-2031 1 - 16000000
100 27-Jun-2008 26-Jun-2028 1 - 5125000
100 23-Jul-2008 22-Jul-2028 5125001 - 5181000
100 18-Aug-2008 17-Aug-2028 5181001 - 8596000
100 25-Mar-2010 30-Jun-2015 CCPS1 - CCPS 628794
100 25-Mar-2010 30-Nov-2017 CCPS 01 TO CCPS 628794
100 05-Dec-2012 04-Dec-2022 1 - 2500000
10 27-Dec-2017 26-Dec-2025 1-51218500
100 19-Mar-2010 18-Mar-2020 1-16735564
10 27-Mar-2004 26-Mar-2014 1 TO 15700000
10 25-Mar-2003 24-Mar-2013 1 TO 2500000
100 28-Mar-2013 27-Mar-2033 1-34040000
10 24-Nov-2010 30-Jan-2019 1-76328696
10 25-Nov-2010 30-Jan-2019 1-1413076
10 24-Nov-2010 30-Jan-2019 1-15212115
10 22-Mar-2014 21-Mar-2019 46000001-81000000
10 23-May-2014 22-May-2019 81000001-90375000
10 27-Jun-2015 26-Jun-2020 90375001-142875000
10 31-Mar-2010 30-Mar-2025 01 TO 19750000
10 21-Feb-2011 20-Feb-2026 19750001 TO 65000000
10 31-Mar-2011 30-Mar-2026 65000001 TO 100000000
10 29-Sep-2011 28-Sep-2026 100000001 TO 170000000
10 28-Mar-2012 27-Mar-2022 39501 TO 790000
10 28-Mar-2012 27-Mar-2022 01 TO 14278000
1 23-Oct-2008 22-Oct-2018 01 TO 32779692
10 28-Dec-2013 27-Dec-2025 153474470-203474469
100 12-Dec-2002 11-Dec-2022 1 - 100
100 30-Jan-2004 29-Jan-2024 1 - 4000
10 20-Sep-2013 21-Sep-2025 73474470-91474469
10 08-Oct-2013 09-Oct-2025 91474470-153474469
10 12-Dec-2014 11-Dec-2026 253859470-303859469
100 13-Mar-2015 21-Apr-2020 1-35838640
100 31-Mar-2007 31-Mar-2014 1 TO 219360
10 29-Apr-2015 28-Apr-2030 1-60000000
10 28-Mar-2012 27-Mar-2027 1-14033000
10 28-Mar-2012 27-Mar-2027 1-57240200
10 22-Feb-2014 30-Jan-2019 1-26934146
10 06-Dec-2013 05-Dec-2033 1-250000000
10 11-Jan-2014 10-Jan-2034 250000001-260000000
10 26-Mar-2014 25-Mar-2034 260000001-270000000
IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTD
![Page 88: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/88.jpg)
10 28-Mar-2013 27-Mar-2018 30500001-46000000
10 31-Jul-2017 30-Jul-2022 142875001-151875000
10 31-Jul-2017 30-Jul-2022 1-3802100
100 30-Mar-2013 29-Mar-2033 P01-P012500000
100000 26-May-2005 25-May-2025 101 TO 10600
10 08-Jan-2013 07-Jan-2028 1-4000000
10 12-Jan-2013 11-Jan-2028 4000001-8800000
10 02-Mar-2013 01-Mar-2028 8800001-12400000
10 30-Mar-2013 29-Mar-2028 12400001-15800000
10 20-Apr-2013 19-Apr-2028 15800001-20000000
10 23-Sep-2008 31-Dec-9999 01 O 65000000
10000000 29-Oct-2003 28-Oct-2023 53 TO 100
10 12-Nov-2007 31-Dec-9999 01 TO 196450000
5 15-Mar-2004 31-Mar-2005
10 18-Mar-2009 15-Mar-2012 01 TO 66319700
10 14-Feb-2013 13-Feb-2033 1 - 1849575
10 31-Mar-2014 30-Mar-2034 PA-1849576-PA-1929575
100 14-Jun-2001 13-Jun-2011
10000000 26-Mar-2003 25-Mar-2023 01 TO 52
10 24-Apr-2015 23-Apr-2030
1 11-Jun-2015 10-Jun-2035 1-1177338
20 11-Jul-2012 11-Jul-2032 1-305235
20 03-Jul-2014 02-Jul-2034 1-155822
100 02-Mar-2016 02-Mar-2023 1-13000000
10 04-Aug-2007 04-Aug-2022
10 10-Aug-2015 09-Aug-2035 81456354-90256353
10 27-Feb-2015 26-Feb-2035 71648316-81456353
100 23-Mar-2012 23-Mar-2022 1 TO 8500000
20 11-Sep-2015 10-Sep-2035 1-61444
10 05-Nov-2014 04-Nov-2034 1-1235951
1000 22-Oct-2012 21-Oct-2019 1 - 411614
1000 10-Dec-2012 09-Dec-2019 1 - 166666
1000 21-Jan-2013 20-Jan-2020 1-104308
1000 27-Feb-2013 26-Feb-2020 1 - 200000
1000 28-Mar-2013 27-Mar-2020 1 - 204400
1000 09-Jul-2013 12-Oct-2017 1-996050
1000 05-Sep-2013 06-Sep-2017 1-369660
1000 19-Aug-2014 18-Aug-2021 1-2049891
1000 22-Apr-2015 21-Apr-2022 1-4648500
1000 07-Sep-2015 06-Sep-2022 1-351500
100 28-Mar-2014 27-Mar-2024 1-8700000
10 12-Aug-2009 25-Jun-2029 1-123600000
100 18-Oct-2016 17-Sep-2018 1-201800000
1000 16-Sep-2016 15-Sep-2023 1-1000000
1000 27-Oct-2016 26-Oct-2023 1-750000
1000 12-Jul-2017 11-Jul-2024 1-750000
1000 26-Jul-2017 25-Jul-2024 1-750000
1000 28-Jul-2017 27-Jul-2024 1-750000
IN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200086 ALANKIT ASSIGNMENTS LTDIN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW 01-25996310, 28306311-
71648315IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW
![Page 89: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/89.jpg)
1000 04-Aug-2017 03-Aug-2024 1-747500
1000 15-Sep-2017 14-Sep-2024 1-750000
1000 29-Sep-2017 28-Sep-2024 1-750000
1000 20-Apr-2018 19-Apr-2025 1-400000
100 07-Nov-2013 08-Nov-2018 7000001-8000000
100 21-Aug-2012 21-Aug-2018 1-5000000
100 21-Aug-2013 21-Aug-2018 5000001-7000000
1000 07-Oct-2016 06-Oct-2023 1-500000
1000 07-Jul-2017 06-Jul-2024 1-650000
100 18-Mar-2015 19-Mar-2021 10000001-12500000
100 21-Mar-2014 22-Mar-2019 9000001-10000000
100 27-Feb-2014 28-Feb-2019 8000001-9000000
1000 02-Sep-2016 01-Sep-2023 1-750000
1000 10-Mar-2017 09-Mar-2024 1-1350000
1000 10-May-2018 09-May-2025 1-400000
10 27-Mar-2010 26-Mar-2017 1-21000000
10 31-Dec-2001 31-Dec-9999
100 12-Mar-2001 11-Mar-2011 1 TO 2500000
10 02-Aug-2006 31-Mar-2019 1-50984968
1000 10-Aug-2012 09-Aug-2019 NA
10 31-Oct-2003 01-Jun-2024 01 TO 5000000
10 09-Sep-2014 10-Sep-2024 1-435000000
10 13-Oct-2014 14-Oct-2024 435000001-485000000
10 10-Dec-2014 11-Dec-2024 485000001-575000000
10 05-Jan-2015 06-Jan-2025 575000001-800000000
10 09-Mar-2015 08-Mar-2025 800000001-850000000
10 10-Nov-2015 09-Nov-2025 850000001-930000000
10 09-Sep-2014 09-Sep-2024 1-435000000
10 10-Dec-2014 11-Dec-2024 485000001-575000000
10 13-Oct-2014 12-Oct-2024 435000001-485000000
10 08-Dec-2014 07-Jun-2020 1-309262500
100 20-Aug-2004 31-Mar-2020 1 - 650000
10 31-Dec-2010 30-Dec-2015 1-221700000
10 31-Mar-2011 30-Mar-2026 NA
100 21-Aug-2015 21-Aug-2035 1-2628
10 03-Dec-2008 03-Dec-2028 901355-1126643
10 29-Feb-2008 29-Feb-2028 1-901354
10 24-Apr-2015 24-Apr-2034 1-527020
100 31-Aug-2017 30-Aug-2037 1-3572
100 23-Jul-2016 22-Jul-2036 1-4706
100 15-Jun-2015 14-Jun-2035 1-2512
100 05-Jul-2016 04-Jul-2031 1-1307
100 23-Jun-2015 22-Jun-2035 2513-5024
10 21-Jun-2018 21-Jun-2032 1-42668655
10 06-Apr-2016 01-Apr-2022 1-2611892
100 24-Nov-2016 24-Nov-2036 17500001-39350000
100 20-Jan-2017 19-Jan-2037 10375-11959
10 24-Nov-2017 23-Nov-2036 1-138954
IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200125 TSR DARASHAW IN200205 CIL SECURITIES LIMITEDIN200205 CIL SECURITIES LIMITEDIN200205 CIL SECURITIES LIMITEDIN200205 CIL SECURITIES LIMITEDIN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG.
![Page 90: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/90.jpg)
10 27-May-2011 26-May-2031 1-5629799
10 25-Oct-2013 24-Oct-2033 5629800-8784543
100 02-Sep-2015 01-Sep-2035 1-428212
100 22-Dec-2015 21-Dec-2035 1-2218270
1 28-Apr-2012 28-Apr-2032 1-468614
1 21-Nov-2014 21-Nov-2034 1-234870
1 26-Jun-2015 26-Jun-2035 272056-445426
1 21-Jul-2015 21-Jul-2035 445427-544114
1 15-Dec-2014 15-Dec-2034 234871-272055
100 14-Nov-2015 13-Nov-2034 1-13945
100 08-Sep-2017 07-Sep-2037 3573-9001
100 27-Jul-2016 26-Jul-2036 4707-8353
100 27-May-2016 26-May-2036 1-1090
10 25-Oct-2016 24-Oct-2036 1-235990
1 01-Feb-2016 13-Apr-2036 415438-584672
1 07-Oct-2014 17-Jun-2035
1 16-Aug-2016 16-Aug-2036 584673-644904
1 12-Feb-2015 12-Feb-2035 227063-285930
1 07-May-2015 07-May-2035 403663-403664
1 04-Dec-2017 04-Dec-2036 1-72201
100 30-Aug-2016 31-Aug-2036 5001-15972
100 24-Jul-2017 24-Jul-2037 1-9231
10 21-Apr-2008 20-Apr-2027 1-10767691
100 29-Sep-2016 29-Sep-2036 1-17500000
100 31-Mar-2016 31-Mar-2036 5256-10374
100 14-Nov-2015 04-Nov-2035 2629-3499
100 30-Dec-2015 30-Dec-2035 3500-5217
100 11-Feb-2017 11-Feb-2036 5218-5255
100 02-Mar-2017 01-Mar-2037 11960-18842
100 06-Sep-2011 06-Sep-2031 1-67080
100 11-Nov-2013 11-Nov-2033 1-49346
100 07-Oct-2014 07-Oct-2034 1-68221
100 24-Dec-2014 24-Dec-2034 1-22576
478 13-Aug-2009 13-Aug-2029 1-21467
100 18-Jul-2011 18-Jul-2031 1-3578
100 09-Mar-2013 09-Mar-2033 1-36054
10 01-Jul-2016 30-Jun-2035 3770318-4961307
10 17-Feb-2012 16-Feb-2031 1-609594
10 15-Jul-2013 14-Jul-2032 609595-796576
10 24-Mar-2014 23-Mar-2033 796577-885200
10 08-Aug-2014 07-Aug-2033
10 10-Jun-2014 09-Jun-2033 1287548-1594696
10 10-Jul-2015 09-Jul-2034 2353067-3770318
10 21-Feb-2018 20-Feb-2037 5711252-6109985
10000 27-Jan-2016 27-Jan-2036 A-PS 12501 TO APS 25168
10000 04-Dec-2015 04-Dec-2035 A-PS 01 TO A-PS-12500
10000 21-Mar-2016 21-Mar-2036 A-PS 42669-A-PS 42919
10000 26-Feb-2016 26-Feb-2036 A-PS-25169-A-PS 42668
IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. 1-227062, 285931-403662,
403665-415437IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. 885201-1287547, 1594697-
1804585IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG.
![Page 91: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/91.jpg)
10 18-Feb-2015 17-Feb-2034 7295-10252
10 22-Jan-2015 21-Jan-2034 4405-7294
100 27-Mar-2015 26-Sep-2016 1-600000
100 15-Oct-2013 14-Oct-2018 1-500000
30 09-Oct-2013 08-Oct-2023 3297214-4430818
30 30-Oct-2013 29-Oct-2023 4430819-4605622
10 02-Jul-2014 01-Jul-2034 1-2404
10 07-Jul-2014 06-Jul-2034 2405-4404
10 19-Jun-2015 18-Jun-2034 10253-15552
10 23-Jun-2016 26-Jul-2035 1-658353
100 27-Sep-2011 26-Sep-2031 P0001-P3265
100 29-Mar-2012 28-Mar-2032 P3266-P4625
100 24-Jan-2013 23-Jan-2033 P4626-P9048
100 17-Jun-2014 16-Jun-2034 P9049-P18952
100 08-Jun-2015 07-Jun-2035 P18953-P24073
100 03-Dec-2015 02-Dec-2022 P24074-P24256
100 19-Oct-2016 18-Oct-2036 P27949-P28083
100 07-Dec-2016 06-Dec-2036 P28084-P28606
100 15-Sep-2016 14-Sep-2036 P25098-P27948
10 22-Feb-2013 21-Feb-2033 01 TO 45000000
10 24-Feb-2015 24-Feb-2025 1-150000000
10 29-Oct-2015 29-Oct-2025 1-150000000
10 24-Feb-2016 24-Feb-2026 1-58170000
10 22-Mar-2017 22-Mar-2027 1-31000000
100 21-Jun-2016 20-Jun-2036 P24257-P25097
10 01-Jun-2011 31-May-2021 1599391 TO 2093747
10 10-Sep-2014 29-Sep-2033 1-757637
100 22-May-2012 30-Apr-2032 1-56000000
10 04-Jan-2011 03-Jan-2031 664322 TO 953206
10 09-Nov-2009 08-Nov-2029 01 TO 433672
10 21-Jul-2010 20-Jul-2030 0433673 TO 0664321
10 14-Feb-2012 13-Feb-2022
30 13-Aug-2012 12-Aug-2022 1 - 2747661
30 22-Nov-2012 21-Nov-2022
30 26-Aug-2014 25-Aug-2024 1-1436091
100 25-Apr-2012 15-Mar-2018 SAP 01 - SAP 126
100 26-Apr-2012 15-Mar-2018 SAP 127 - SAP 308
1000 30-Nov-2009 01-Dec-2029 1-84515
10 08-Nov-2010 07-Nov-2020 1 - 5350000
10 26-Sep-2003 25-Sep-2008 70000001 TO 170000000
10 10-Jun-2003 09-Jun-2008 1 TO 70000000
10 26-Aug-2009 25-Aug-2024 1-45960000
10 31-Mar-2010 30-Mar-2025 45960001-53210000
10 28-Feb-2012 27-Feb-2027 53210001-55210000
100 30-Mar-2010 01-May-2022 1-12346040
1 28-Mar-2007 27-Mar-2017 01 TO 273393065
10 08-Mar-2014 07-Mar-2024 9500001-16175000
100 03-Dec-2012 02-Dec-2032 1-2500000
IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. 2093748 - 2115603,2115604
- 2663668, 2663669 - IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. 2747662 - 3140198, 3140199
- 3297213IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG.
![Page 92: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/92.jpg)
100 30-Mar-2010 15-Oct-2026 1-4450000
10 03-Dec-2008 03-Dec-2028 1-13480000
10000 18-Dec-2007 18-Dec-2012 1 TO 19700
100 27-Mar-2010 01-Oct-2024 1-200000
100 27-May-2010 01-Jun-2026 1-4650000
100000 09-Apr-2012 26-Apr-2023 1-50000
10 26-Sep-2013 25-Sep-2023 1-9500000
10 01-Mar-2016 24-Feb-2019
10 19-Apr-2005 31-Mar-2011
100 03-Jan-2007 30-Sep-2012 1 TO 900000
1 03-Jan-2007 30-Sep-2012 1 TO 3970222
1 31-Mar-2008 31-Mar-2014 1 - 365036400
1 31-Mar-2008 15-Sep-2014 01 - 365036400
1 31-Mar-2008 31-Oct-2014 1-365036400
100 06-Mar-2013 06-Mar-2020 1 - 785000
100 16-May-2007 16-May-2027 1 TO 500000
100 31-Aug-2006 31-Aug-2026 1 TO 1150000
100 11-Aug-2006 11-Aug-2026 1 TO 1100000
100 29-Dec-2016 29-Dec-2035 1-36291
100 31-Aug-2012 30-Aug-2032 1-3750000
10 31-Mar-2015 31-Mar-2034 1-355452673
10 13-Sep-2014 13-Sep-2029 1-19700000
100 16-Oct-2006 31-Mar-2024 01 TO 15888239
10 11-Mar-2015 11-Sep-2034 1-15579000
100 25-Jan-2007 01-Jan-2021 1-2934349
10 30-Mar-2017 29-Sep-2018 1-83287939
10 29-Mar-2018 28-Sep-2019 12000001-39419000
10 26-Mar-2018 25-Sep-2019 1-12000000
100 10-Jun-2013 10-Jun-2020 825001-975000
100 30-Mar-2013 30-Mar-2020 785001-825000
100 28-Mar-2013 27-Mar-2025 01-2000000
100 13-Aug-2013 12-Aug-2025 2000001-3500000
100 28-Mar-2014 27-Mar-2026 3980001-4250000
100 21-Jan-2014 20-Jan-2026 3500001-3980000
100 01-Aug-2014 31-Jul-2026 4250001-5000000
100 17-Sep-2014 16-Sep-2026 5000001-6125000
100 18-Mar-2013 17-Mar-2032 1-126568
10 30-Apr-2018 28-Feb-2038 1-1167873
10 21-Jun-2017 31-Mar-2024 1-71713426
10 31-Mar-2014 30-Mar-2034 1-36147500
10 05-Oct-2012 30-Jun-2021 1 - 259882735
100 12-Nov-2013 11-Nov-2033 CPF001-CPF2385000
10 10-Mar-2018 09-Mar-2025 771909-776608
10 10-Mar-2018 09-Mar-2025 1-771908
10 29-Mar-2007 29-Mar-2012 01 TO 8300000
10 02-Mar-2017 01-Mar-2020 1-166666666
100 31-Mar-2015 30-Mar-2018 1-102443292
100 28-May-2015 27-May-2018 1-99543545
IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. A-CCPS 01 TO A-CCPS
6270854IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200248 INTEGRATED REG. IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200369 MAHESHWARI IN200481 ANKIT CONSULTANCY PVT IN200481 ANKIT CONSULTANCY PVT IN200481 ANKIT CONSULTANCY PVT IN200481 ANKIT CONSULTANCY PVT IN200481 ANKIT CONSULTANCY PVT IN200481 ANKIT CONSULTANCY PVT IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS
![Page 93: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/93.jpg)
100 26-Apr-2017 25-Apr-2020 1-200393653
10 30-Jun-2010 29-Jun-2014 733152449-1113152448
300 22-Jul-2011 31-Dec-2026 1-10499895
100 19-Oct-2016 18-Oct-2019 1-220068680
10 05-Sep-2013 01-Jul-2021 1-247000000
100 17-Oct-2011 16-Oct-2016 01 TO 650000
50 29-Apr-2013 28-Apr-2033 01-17400000
10 19-Jan-2013 24-Oct-2017 1 - 35000000
100 17-Oct-2011 16-Jan-2025 1 - 650000
100 14-Nov-2012 15-Feb-2025 650001 - 950000
100 07-Nov-2017 06-Nov-2020 1-230000000
100 18-Mar-2008 17-Mar-2018 1-5000000
100 31-Mar-2012 30-Mar-2022 1-38595200
100 27-Mar-2014 26-Mar-2024 5340427-109251000
10 24-Aug-2015 23-Aug-2035 1-628000
100 17-Feb-2011 16-Feb-2031 1-160000
10 17-Jun-2008 16-Jun-2028 Class Z - 1404763-1454762
10 08-Mar-2008 07-Mar-2028 Class B - 1-305833
10 19-Jun-2008 18-Jun-2028 Clas C - 354289-1259050
10 17-Jun-2008 16-Jun-2028 Class A - 1259051 - 1404762
10 17-Mar-2008 16-Mar-2028 Class B - 305834-354288
10 08-Mar-2008 07-Mar-2028 Class A- 1-305833
10 17-Jun-2008 16-Jun-2028 Class B - 354289 - 500000
10 17-Mar-2008 16-Mar-2028 Class A - 305834-354288
10 31-Dec-2012 31-Dec-2032 1-3740000
1 10-Nov-2012 10-Nov-2019 1-1411147
1 10-Nov-2012 10-Nov-2019 1-1484436
1 24-Dec-2012 24-Dec-2019 1-953590
1 10-Nov-2012 10-Nov-2019 1-1401087
1 24-Dec-2012 24-Dec-2019 1-1425368
1 07-Dec-2013 07-Dec-2020 1-1348817
1 07-Dec-2013 07-Dec-2020 1-1348259
1 07-Dec-2013 07-Dec-2020 1-1358189
1 24-Dec-2012 24-Dec-2019 1-1163514
10 10-Sep-2015 09-Sep-2025 4250001-39550000
10 19-Aug-2015 18-Aug-2035 2250001-4250000
10 04-Jun-2015 03-Jun-2035 01-1250000
10 14-Jul-2015 13-Jul-2035 1250001-2250000
10 31-Mar-2014 26-Mar-2019 1-8000000
10 10-May-2015 09-May-2035 1-19700000
10 14-Sep-2015 13-Sep-2035 19700001-22920000
10 30-Nov-2015 29-Nov-2035 22920001-42920000
100 18-Jul-2016 17-Jul-2035 1-389875
10 28-Aug-2012 27-Aug-2031 01-40703297
10 30-Mar-2013 29-Mar-2032 01-38628715
10 30-Apr-2013 29-Apr-2032 01-14999000
10 04-Jul-2014 03-Jul-2033 01-4131000
100 22-Mar-2012 22-Mar-2022 1-6435
IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS IN200529 XL SOFTECH SYSTEMS IN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRY
![Page 94: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/94.jpg)
10 27-Mar-2009 27-Mar-2029 1 - 129900
10 30-Mar-2012 30-Mar-2032 1-50000
10 18-Feb-2011 18-Feb-2021 1 - 1000000
10 09-Sep-2015 08-Sep-2035 1-35500000
20 07-Dec-2015 07-Dec-2035 3281-7080
20 10-Nov-2015 10-Nov-2035 1618-3280
20 10-Oct-2015 10-Oct-2035 1-1617
10 31-Mar-2016 30-Mar-2031 1-17937000
10 14-Feb-2017 13-Feb-2036 1-17930
10 31-Mar-2008 31-Mar-2028 1 - 496930
10 29-Mar-2009 29-Mar-2029 1 - 12500
10 21-Dec-2009 21-Dec-2029 1 - 20000
10 08-Sep-2009 17-Sep-2029 1 - 282070
10 31-Mar-2008 31-Mar-2028 1 - 139000
100 26-Mar-2008 26-Mar-2028 1 - 3000
10 21-Dec-2009 21-Dec-2029 1 - 20500
10 21-Jan-2013 16-May-2026 20240201 - 36004677
10 20-Oct-2006 19-Oct-2026 1 - 25060000
10 12-Oct-2013 11-Oct-2033 1-16000000
10 28-Feb-2011 27-Feb-2026 1 - 17846400
10 17-Nov-2011 16-Nov-2026 17846401 - 20240200
10 08-Jun-2007 07-Jun-2027 1-6486486
10 03-Dec-2009 02-Dec-2029 6486487-20938173
10 08-Jul-2011 07-Jul-2031 20938174-39718691
10 11-Feb-2012 10-Feb-2028 1-7696608
10 23-Feb-2016 31-Mar-2022 1-125318590
10 20-Oct-2006 19-Oct-2009 0001 TO 25060000
10 11-Jun-2011 10-Jun-2031 01 TO 22524749
10 27-Feb-2012 26-Feb-2019 1 - 4999992
10 30-Apr-2012 29-Apr-2019 1 - 4999995
10 06-Jul-2012 05-Jul-2019 1 - 9999990
10 28-Mar-2014 27-Mar-2021 1-2000000
10 02-Sep-2013 01-Sep-2020 1-15000000
10 02-Sep-2013 01-Sep-2020 1-14999992
10 02-Sep-2013 01-Sep-2020 1-4999992
10 13-Aug-2012 12-Aug-2019 1 - 4999995
10 30-Aug-2013 29-Aug-2020 1-5000000
10 20-Mar-2012 19-Mar-2032 7000001 - 8700000
10 01-Dec-2008 30-Nov-2028 1 - 7000000
100 17-Sep-2007 17-Sep-2015 01 TO 4788750
10 01-Feb-2016 06-Jan-2036 90001-118224
100 26-Jun-2012 01-Apr-2019 1-1066300
10 20-Jul-2006 31-Mar-2013 1 - 2571006
10 19-Jul-2007 31-Mar-2013 1 TO 1579882
10 07-Aug-2008 31-Mar-2013 1 TO 3292723
10 09-Mar-2009 09-Mar-2022 1-2534335
10 24-Mar-2010 24-Mar-2023 2534336-5756835
10 29-Mar-2010 29-Mar-2023 5756836-16346726
IN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200561 PURVA SHAREGISTRYIN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200607 ADROIT CORPORATE SER.IN200762 SYSTEM SUPPORT SERVICES-IN200762 SYSTEM SUPPORT SERVICES-IN200762 SYSTEM SUPPORT SERVICES-IN200762 SYSTEM SUPPORT SERVICES-IN200762 SYSTEM SUPPORT SERVICES-IN200859 BTS CONSULTANCY IN200859 BTS CONSULTANCY IN200859 BTS CONSULTANCY IN100323 GTL LIMITED-SHRIN100323 GTL LIMITED-SHRIN100323 GTL LIMITED-SHR
![Page 95: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/95.jpg)
10 25-Mar-2014 25-Mar-2027 1-5560000
10 31-Dec-2013 31-Dec-2026 1-44690000
10 25-Mar-2009 25-Mar-2022 1-26400000
10 02-Nov-2010 02-Nov-2023 49782227-53740567
10 04-Feb-2011 04-Feb-2024 70407236 TO 91240570
10 12-Jan-2011 12-Jan-2024 53740568 TO 70407235
10 11-Apr-2007 10-Apr-2010 01 TO 162639880
10 20-Apr-2007 19-Apr-2010 162639881 TO 192144880
10 28-Sep-2012 28-Sep-2032 1-650000000
100 30-Mar-2010 29-Mar-2015 P20000001 - P40000000
10 23-Oct-2002 01-Oct-2005
10 21-Mar-2001 31-Dec-9999
1 01-Nov-2012 30-Oct-2021 1 - 12760000
100 03-Sep-2014 02-Sep-2015 1-50000000
100 22-May-2002 12-Sep-2003
100 22-May-2002 31-Dec-9999
100 22-May-2002 31-Dec-9999
100 16-Dec-2010 30-Mar-2019 1-30000000
100000 08-Dec-2017 21-Dec-2023 1-1600
10 30-Aug-2011 29-Aug-2019 75000001 - 100000000
10 30-Jun-2011 29-Jun-2019 1 - 75000000
11 30-Jul-2007 14-Aug-2014 1 - 12831880
10 19-Jul-2003 15-Sep-2018
100 31-Mar-2010 31-Mar-2019 1-3964110
100 23-Sep-2005 31-Mar-2017 25264683 TO 28098682
100 23-Sep-2005 22-Sep-2019 11140001 to 25264682
100 28-Nov-2002 18-May-2004
1 26-Nov-2007 25-Nov-2019 12402001-15000000
10 28-Apr-2017 27-Oct-2018 1-3010000000
10 18-Jun-2013 15-Mar-2020
10 18-Jun-2013 15-Mar-2020 1-485414604
10 29-Mar-2017 29-Mar-2022 1-400000000
1 18-Dec-2017 18-May-2019 1-1379857
10 25-Mar-2009 15-Feb-2026 1-594998620
1 10-Aug-2012 09-Aug-2022 1-82712100
10 27-Mar-2017 26-Mar-2027 1-510870000
10 09-Feb-2018 08-Feb-2028 1-15074626
10 19-May-2017 18-May-2022 1-10000000
10 05-Sep-2009 04-Sep-2029 01-15000000
10 08-Nov-2010 07-Nov-2030 15000001-40000000
10 14-Jan-2010 13-Jan-2025 1-6924200
10 06-Jan-2010 05-Jan-2025 1-5343000
10 25-Oct-2016 25-Oct-2026 1-4000000000
10 27-Oct-2016 27-Oct-2026 1-4000000000
10 25-Jun-2009 31-Dec-2026 1-4700000
10 25-Jun-2009 31-Dec-2026 1-4700000
10 25-Jun-2009 31-Dec-2026 1-4700000
10 25-Jun-2009 31-Dec-2026 1-4700000
IN100323 GTL LIMITED-SHRIN100323 GTL LIMITED-SHRIN100323 GTL LIMITED-SHRIN100323 GTL LIMITED-SHRIN100323 GTL LIMITED-SHRIN100323 GTL LIMITED-SHRIN100323 GTL LIMITED-SHRIN100323 GTL LIMITED-SHRIN100323 GTL LIMITED-SHRIN100323 GTL LIMITED-SHRIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200035 KARVY COMPUTERSHAREIN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE -
![Page 96: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/96.jpg)
10 25-Jun-2009 31-Dec-2026 1-4700000
10 25-Jun-2009 31-Dec-2026 1-4700000
10 25-Jun-2009 31-Dec-2026 1-4700000
10 25-Jun-2009 31-Dec-2026 1-4700000
10 31-Mar-2009 31-Mar-2029 1-750000000
10 01-Oct-2009 01-Oct-2019 10000001-13500000
1 31-Mar-2010 12-Jan-2030 17805771-18208570
10 03-Mar-2003 02-Mar-2023 1 TO 45000000
10 26-Sep-2012 26-Sep-2022 180108978-185051152
10 10-Aug-2007 10-Aug-2027 99998403-129558402
10 31-Oct-2009 30-Oct-2024 1-6346780
1 01-Oct-2010 30-Sep-2030 41587531-41597030
1 30-Jul-2010 29-Jul-2030 39787531-41587530
1 30-Jun-2010 29-Jun-2030 37267531-39787530
1 30-Mar-2010 29-Mar-2030 31291531-37267530
1 15-Feb-2010 14-Feb-2030 29994031-31291530
1 31-Dec-2009 29-Dec-2029 25556001-29994030
1 06-Jul-2009 05-Jul-2029 23216001-25556000
1 30-Jun-2009 29-Jun-2029 18945001-23216000
1 06-May-2009 05-May-2029 18940001-18945000
1 31-Mar-2009 30-Mar-2029 17140001-18940000
1 26-Mar-2009 25-Mar-2029 5040001-17140000
1 29-Jan-2009 28-Jan-2029 1-2340000
1 27-Feb-2009 26-Feb-2029 2340001-5040000
1 24-Nov-2010 23-Nov-2030 41597031-42757899
1 30-Dec-2010 29-Dec-2030 42757900-44122199
1 28-Feb-2011 27-Feb-2031 44122200-44831860
1 31-Mar-2011 30-Mar-2031 44831861-49585877
1 31-May-2011 30-May-2031 49585878-51068177
1 17-Sep-2013 17-Sep-2023 1-9000000
10 22-Nov-2014 31-Dec-2015 1-6650000
100 01-Mar-2006 28-Feb-2011 1 TO 1000000
10 03-Feb-2017 02-Feb-2037 P-G-1 TO P-G-3594499
10 14-Oct-2011 09-Oct-2013 01 TO 32636667
100 29-Nov-2011 31-Mar-2020 01 TO 1040658
100 29-Nov-2011 31-Mar-2020 01 TO 437402
10 26-Nov-2010 31-Dec-2014 PS1 - PS2000000
10 11-Aug-2015 10-Aug-2035 1-80
10 29-May-2015 28-May-2035 1-6
10 14-Mar-2015 13-Mar-2035 1-6127
10 30-Sep-2015 29-Sep-2035 1-3260
10 02-Sep-2015 02-Sep-2035 1-5020
10 23-Feb-2012 22-Feb-2027 1 TO 8700000
10 23-Feb-2012 22-Feb-2027 1 TO 8114000
10 23-Apr-2015 22-Apr-2035 1-1079205
100 31-Mar-2012 31-Mar-2032 1-400000
100 31-Mar-2012 31-Mar-2032 1-400000
100 31-Mar-2012 31-Mar-2032 1-400000
IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200078 KARVY COMPUTERSHARE - IN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICES
![Page 97: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/97.jpg)
100 31-Mar-2012 31-Mar-2032 1-400000
10 31-Aug-2012 30-Aug-2032 9545001 - 19695000
10 31-Mar-2012 30-Mar-2032 1 - 9545000
100 31-Mar-2012 31-Mar-2032 1-400000
100 05-Mar-2012 04-Mar-2019 1 TO 119940
10 27-Jul-2017 27-Jul-2027 13917206-25917205
100 31-Mar-2012 31-Mar-2032 1-400000
100 13-Mar-2015 11-Mar-2035 1-1800000
100 14-Mar-2013 13-Mar-2018 1 - 2500000
100 12-Mar-2015 11-Mar-2035 1-1100000
3 31-Aug-2010 30-Aug-2030 1-7207
10 13-Mar-2010 12-Mar-2020 5000001-15000000
10 15-Nov-2013 14-Nov-2023 15000001-25000000
10 29-Dec-2015 28-Dec-2025 25000001-32000000
10 06-Jan-2016 05-Jan-2026 32000001-35000000
10 08-Dec-2009 07-Dec-2029 P-1-P-1800000
10 11-Jan-2010 10-Jan-2030 P1800001TO P1932120
10 15-Dec-2010 14-Dec-2030 P-B-1 TO P-B-2770456
10 02-Sep-2011 01-Sep-2031 P-C-1 TO P-C-3657066
10 09-Oct-2014 08-Oct-2034 P-D-1 TO P-D-5964300
10 04-Aug-2015 03-Aug-2035 P-E-1 TO P-E-1508349
10 25-Aug-2015 24-Aug-2035 P-E-1 TO P-E-3519482
10 12-Jan-2016 11-Jan-2036 P-F-1 TO P-F-12879955
10 29-Apr-2016 28-Apr-2036 P-F1-1 TO P-F1-585437
10 29-Sep-2012 28-Sep-2032 1-3150000
10 31-Mar-2007 31-Mar-2014 1 - 10000000
10 11-Oct-2010 10-Oct-2030 P000001-P1058120
100 26-Mar-2013 25-Mar-2028 5600001 TO 9600000
10 26-Aug-2017 25-Aug-2037 1-1500000
10 13-Dec-2011 12-Dec-2031 1 TO 916667
100 31-Mar-2012 31-Mar-2032 1-300000
100 31-Mar-2012 31-Mar-2032 1-400000
100 31-Mar-2012 31-Mar-2032 1-400000
100 31-Mar-2012 31-Mar-2032 1-200000
100 31-Mar-2012 31-Mar-2032 1-400000
100 31-Mar-2012 31-Mar-2032 1-400000
10 05-Aug-2010 04-Aug-2025 1-520553
20 30-Aug-2011 29-Aug-2026 1-641000
10 28-Dec-2010 27-Dec-2025 520554-631013
20 02-Sep-2011 01-Sep-2026 641001-679000
20 21-Dec-2012 20-Dec-2027 679001-891200
20 09-Mar-2015 08-Mar-2030 01-271490
20 28-Oct-2015 27-Oct-2030 271491-956571
10 26-Sep-2013 25-Sep-2031 1-4315000
10 26-Sep-2013 25-Sep-2031 1-4365000
10 27-Dec-2012 26-Dec-2017 1-3000000
10 16-Jan-2012 15-Jan-2017 1 - 195653176
10 30-Mar-2012 29-Mar-2027 1 - 2650000
IN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICES
![Page 98: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/98.jpg)
20000 28-Mar-2012 27-Mar-2032 1-8657
10 30-May-2011 29-May-2031 1-1112
10 09-Dec-2011 08-Dec-2031 1113-2278
10 31-Jan-2012 30-Jan-2032 2279-3134
20000 04-Jul-2013 03-Jul-2033 1-4131
10 09-Jul-2014 08-Jul-2034 1-7900
10 24-Jul-2014 23-Jul-2034 7901-9150
10 12-Sep-2014 11-Sep-2034 9151-9420
10 18-Nov-2014 17-Nov-2034 1-23500
10 31-Mar-2015 30-Mar-2035 1-15873
10 10-Nov-2015 10-Nov-2035 1-1086
10 16-Nov-2016 16-Nov-2036 1-1297945
10 31-Mar-2017 30-Mar-2037 1-495526
10 26-Sep-2017 25-Sep-2037 666700-2574842
10 07-Jun-2017 06-Jun-2037 497527-666699
100 31-Oct-2002 30-Oct-2015 0376001- 0428500
100 30-Jul-2005 29-Jul-2019 0624501- 0722500
10 21-Mar-2016 31-Mar-2028 1-149997886
10 05-Dec-2013 04-Dec-2023 4372602-4679936
100 11-Jan-2012 10-Jan-2017 27457995 TO 35000000
100 06-Mar-2010 10-Jan-2022 1 TO 2499990
100 28-Oct-2010 10-Jan-2022 2499991 TO 13999990
100 17-Dec-2015 16-Dec-2020 1-1325356
100 02-May-2017 01-May-2037 683601-751550
10 31-Oct-2016 31-Oct-2021 1-1500000
10 28-Nov-2016 28-Nov-2021 1500001-2500000
10 11-Mar-2017 11-Mar-2022 4000001-5000000
10 28-Feb-2017 28-Feb-2022 3000001-4000000
10 27-Dec-2016 27-Dec-2021 2500001-3000000
100 13-Mar-2015 12-Mar-2035 1-14950000
100 20-Feb-2015 19-Feb-2035
100 10-Jun-2015 09-Jun-2035
100 22-Sep-2015 21-Sep-2035 9307-9408, 600253-605250
100 26-Jul-2015 25-Jul-2035 9256-9306, 597754-600252
100 12-Jul-2016 11-Jul-2036 9409-12105, 272786-404938
100 13-Dec-2016 12-Dec-2036 605251-673250
100 14-Dec-2016 13-Dec-2036 673251-683600
10 22-Feb-2018 21-Feb-2022 P26133935-P28837651
10 23-Apr-2018 22-Apr-2023 P45732561-P50083967
20000 12-Nov-2013 11-Nov-2033 4132-11983
10 19-Feb-2013 18-Feb-2023 1 - 40242857
10 28-Jan-2015 27-Jan-2035 35973-49953
10 28-Mar-2016 27-Mar-2036
100 28-Mar-2002 27-Mar-2015 000001- 0376000
100 30-Jan-2003 29-Jan-2016 0428501 - 0624500
10 17-Feb-2015 16-Feb-2035 1-222500
100 10-Jan-2006 30-Sep-2020 1 TO 4951309
10 22-Jan-2014 21-Jan-2034 1-20411938
IN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICES1-2143, 404939-498234,
571833-583543IN200117 BIGSHARE SERVICES2144-9255, 12106-272785,
498235-571832, 583544-IN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESB3-CCCPS-01 TO B3-
CCCPS-11851IN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICES
![Page 99: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/99.jpg)
10 22-Jan-2014 21-Jan-2034 1-12757151
10 14-Dec-2009 13-Dec-2014 01 TO 135670000
10 04-Dec-2013 03-Dec-2023 2647554-2880829
100 11-Jan-2012 10-Jan-2022 1 TO 27457994
10 19-Sep-2013 01-Dec-2018 1-11777865
10 09-Aug-2007 09-Aug-2027 1-3259800
100 22-Mar-2016 21-Mar-2021 1325357-1395356
10 04-Nov-2016 03-Nov-2036 1-20500000
10 02-Apr-2016 01-Apr-2036 10000001-24000000
10 31-Mar-2015 30-Mar-2035 01-4901961
10 23-Aug-2014 22-Aug-2026 1-30400000
10 08-Nov-2017 07-Nov-2038 658711-6423329
10 23-Mar-2018 22-Mar-2023 P28837652-P39443001
10 17-Apr-2018 16-Apr-2023 P39443002-P45732560
10 05-May-2016 05-May-2036 37816-38231
10 01-Apr-2016 01-Apr-2036 31326-37815
10 05-Dec-2013 05-Dec-2033 20001-26998
10 20-Jun-2014 20-Jun-2034 26999-28581
10 10-Jul-2015 10-Jul-2035 28582-30735
10 29-Jan-2016 29-Jan-2036 30736-31325
10 05-Sep-2017 05-Sep-2037 38232-38286
100 03-Sep-2016 30-Aug-2036 1-4656
100 14-Feb-2017 09-Feb-2037 1-25625
10 10-Jan-2018 09-Jan-2023 11388881-46388880
10 16-Jul-2007 30-Jun-2018 1-13577506
10 06-Feb-2017 31-Mar-2025 1-2500000
100 28-Feb-2014 31-Aug-2015 1-85000
20 29-Jan-2013 29-Jan-2032 91401-173617
10 23-Dec-2014 22-Dec-2033 1-887906
10 29-Jan-2007 29-Mar-2027 01-5000000
10 09-Aug-2007 09-Aug-2027 1-3404100
100 30-Aug-2017 29-Aug-2037 751551-764265
100 01-Sep-2017 31-Aug-2037 764266-815127
10 18-Apr-2017 17-Apr-2037 1-233600000
10 29-Mar-2014 28-Mar-2034 1-36804100
10 16-Dec-2015 15-Dec-2035 1-6422
10 25-May-2017 24-May-2037 1-1271
10 14-Feb-2018 14-Feb-2021 200001-221455
100 25-Mar-2015 25-Sep-2016 1-45000
10 23-Jul-2015 22-Jul-2035 1-1234440
100000 30-Nov-2017 30-Jun-2019 1-1201
10 29-Oct-2015 28-Oct-2027 01-32000000
100 09-May-2015 09-Nov-2019 1-500000
100 28-Apr-2017 27-Apr-2037 1-3657486
100 26-Sep-2017 25-Sep-2037 3657487-7477527
10 03-Jul-2012 03-Jul-2031 1 - 91400
100 23-Jan-2018 22-Jan-2019 730848-1953125
100 19-Jan-2018 18-Jan-2019 1-730847
IN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICES
![Page 100: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/100.jpg)
100 17-Jan-2015 16-Jan-2035 02487001-2787000
100 18-Oct-2005 23-Mar-2008 1 TO 1350000
10 05-Feb-2016 04-Feb-2036 1-52862
10 13-Jan-2012 12-Jan-2016 1 - 129665000
10 05-Dec-2017 04-Dec-2022 P11392377-P26133934
10 03-Jun-2016 02-Jun-2026 1-24009990
10 22-Aug-2016 21-Aug-2026 24009991-27929990
100 23-Mar-2007 30-Jun-2013 500000001-507000000
100 29-Apr-2006 28-Apr-2020 0722501- 0804500
100 07-Mar-2013 06-Mar-2033 1784501-2109500
10 24-Oct-2017 23-Oct-2022 P1-P1 1392376
21 24-Dec-2014 31-Mar-2016 1-1624620
10 30-Apr-2013 30-Apr-2023 1-1100000
10 09-May-2013 09-May-2023 1100001-1500000
10 04-Jul-2013 04-Jul-2023 1500001-1750000
10 25-Nov-2013 23-Nov-2033 CP00001-CP30338
10 26-Sep-2014 24-Sep-2034 1-24270
10 26-Sep-2014 24-Sep-2034 30339-45507
10 24-Jan-2015 23-Jan-2035 1-163
10 27-Jan-2015 26-Jan-2035 164-35972
10 30-Mar-2016 29-Mar-2036
10 20-Dec-2017 31-Mar-2019 1-750000
10 10-Nov-2014 09-Nov-2024 1-1000000
10 19-Nov-2014 18-Nov-2024 1000001-1500000
10 28-Nov-2014 27-Nov-2024 1500001-2000000
10 08-Jan-2015 07-Jan-2025 2000000-2250000
10 18-Mar-2015 17-Mar-2025 2250001-2500000
10 14-Apr-2015 13-Apr-2025 2500001-2750000
10 11-May-2015 10-May-2025 2750001-3000000
10 20-Jul-2017 19-Jul-2019 P1500001-P3000000
10 20-Jul-2017 19-Jul-2019 P1500001-P3000000
10 25-Jun-2010 31-Dec-2024
100 10-Dec-2003 15-Nov-2019
21667 08-Aug-2017 07-Feb-2019 1-43747
21667 08-Aug-2017 07-Aug-2018 1-37747
20 22-Mar-2013 21-Mar-2023 2386981694 TO 2396147165
10 20-Nov-2015 19-Nov-2035 1563990001-1735230000
10 25-Mar-2016 24-Mar-2036 1735230001-1869488300
10 20-Nov-2015 19-Nov-2022 14000001-14500000
10 30-Sep-2014 30-Sep-2034 1-118925000
10 24-Aug-2015 24-Aug-2035 1-92090000
10 28-Mar-2012 27-Mar-2032 1-9000000
10 18-Nov-2015 18-Nov-2035 1-37780720
10 30-Mar-2015 30-Mar-2035 1-31750000
10 20-Dec-2012 19-Dec-2032 1 - 13950000
10 28-Mar-2012 27-Mar-2032 1 - 50000000
10 22-Mar-2013 21-Mar-2033 273460001 TO 311210000
10 28-Mar-2012 27-Mar-2032 1 - 78073630
IN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESB3-CCCPS-11852 TO B3-
CCCPS-15346IN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200117 BIGSHARE SERVICESIN200192 FREEDOM REGISTRY LIMITEDIN200192 FREEDOM REGISTRY LIMITEDIN200192 FREEDOM REGISTRY LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITED
![Page 101: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/101.jpg)
20 08-Oct-2012 07-Oct-2022 2344408550 - 2386981693
10 20-Jan-2017 19-Jan-2037 1869488301-2117853055
10 10-Apr-2014 09-Apr-2034 1-1535200000
10 05-Aug-2015 04-Aug-2035 1535200001-1563990000
10 31-Oct-2017 30-Oct-2037 2117853056-2139553055
10 21-Apr-2014 01-Apr-2027 1-250000000
10 26-Jun-2014 25-Jun-2021 1-14000000
10 30-Mar-2012 29-Mar-2032 251060001 TO 273460000
10 27-Mar-2017 26-Mar-2037 1-32305000
10 28-Mar-2012 27-Mar-2032 1 TO 129984850
20 26-Sep-2011 25-Sep-2021 2187026412 TO 2260772199
20 30-Mar-2012 29-Mar-2022 2260772200 TO 2344408549
10 05-Dec-2005 01-Sep-2018 1 TO 43598951
10 18-Mar-2009 18-Mar-2025 1-260000000
10 18-Mar-2009 18-Mar-2022 260000001-350000000
20 27-Mar-2017 26-Mar-2027 2478353785-2480017507
10 31-Mar-2016 31-Mar-2036 400000001-875000000
10 16-Sep-2013 15-Sep-2033 171150001-233040000
10 16-Sep-2013 15-Sep-2033 311210001-394160000
10 21-Jun-2014 20-Jun-2034 473280001-489370000
10 01-Sep-2014 31-Aug-2034 489370001-491070000
10 30-Mar-2015 29-Mar-2035 352863681-355753680
10 30-Mar-2015 29-Mar-2035 491070001-502780000
10 19-May-2015 18-May-2035 355753681-455753680
10 19-May-2015 18-May-2035 502780001-504780000
10 05-Aug-2015 04-Aug-2035 504780001 TO 521780000
10 20-Nov-2015 19-Nov-2035 365753681-367023680
10 20-Nov-2015 19-Nov-2035 521780001-538035000
10 04-Jan-2017 03-Jan-2037 540145001-570000000
20 16-Sep-2013 15-Sep-2023 2396147166-2447961229
20 30-Dec-2015 29-Dec-2025 2478200560-2478353784
10 28-Mar-2014 27-Mar-2034 233040001-349140000
20 17-Mar-2014 16-Mar-2024 2447961230-2475320799
20 20-Sep-2014 31-Mar-2034 1-512500000
10 30-May-2016 29-May-2036 367023681-367373680
10 30-Mar-2016 29-Mar-2036 538035001-540145000
10 30-Sep-2015 29-Sep-2035 1-400000000
20 01-Sep-2014 31-Aug-2024 2475320800-2478200559
10 29-Jun-2010 28-Jun-2030 1-201060000
10 31-Mar-2011 30-Mar-2031 201060001-251060000
10 28-Mar-2007 27-Mar-2017 00000001 TO 44500000
20 26-Apr-2010 25-Apr-2020 792931988 - 1124939901
20 31-Mar-2010 30-Mar-2020 768429222-792931987
20 19-Mar-2010 18-Mar-2020 601598377-768429221
20 20-Apr-2009 19-Apr-2019 461461145-601598376
20 18-Mar-2009 17-Mar-2019 433011051-461461144
20 01-Aug-2008 31-Jul-2018 38540001-433011050
20 26-May-2010 25-May-2020 1124939902-1433744901
IN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITED
![Page 102: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/102.jpg)
20 27-Sep-2010 26-Sep-2020 1433744902-1646887933
20 31-Mar-2011 30-Mar-2021 1646887934-2187026411
10 29-Jun-2010 28-Jun-2030 1-148150000
10 27-Sep-2010 26-Sep-2030 148150001-171150000
10 13-Nov-2010 12-Nov-2030 1-127000000
10 12-Nov-2007 12-Nov-2017 00000001 TO 82015150
10 30-Dec-2010 29-Dec-2030 1-391998000
10 22-Dec-2010 21-Dec-2030 1-66000000
10 28-Mar-2014 27-Mar-2034 394160001-473280000
10 30-May-2016 29-May-2036 538035001-540145000
10 18-May-2005 30-Apr-2010 1 TO 202924832
10 09-Jan-2015 08-Jan-2035 1-3690000
10 22-Sep-2016 21-Sep-2036 1-9000000
10 24-Aug-2015 24-Aug-2035 1-13580000
10 30-Mar-2015 30-Mar-2035 1-13637000
10 02-Mar-2015 02-Mar-2035 1-71260000
100 20-Aug-2001 31-Dec-9999
100 10-Feb-1998 09-Feb-2008 14870001 TO 17585500
100 16-Jan-1998 15-Jan-2008 10685501 TO 14870000
100 12-May-1997 11-May-2007 1 to 10685500
3 24-Sep-2011 23-Sep-2031 1-430400 IN200393 SHAREX
3 03-Aug-2012 02-Aug-2032 430401-2002015 IN200393 SHAREX
3 20-Jan-2012 19-Jan-2032 430401-660000 IN200393 SHAREX
1 26-Nov-2013 25-Nov-2033 1-4311737 IN200393 SHAREX
3 10-Dec-2015 09-Dec-2035 3300001-3489993 IN200393 SHAREX
3 03-Aug-2012 02-Aug-2032 2381601-3300000 IN200393 SHAREX
100 29-Mar-2017 28-Mar-2037 1-18000000 IN200393 SHAREX
100 28-Jul-2017 28-Jul-2037 NA IN200393 SHAREX
100 30-Nov-2017 30-Nov-2027 1-266968 IN200393 SHAREX
10 16-Mar-2007 15-Mar-2027 1-23000000 IN200393 SHAREX
100 21-Aug-2017 21-Aug-2037 24384-30885 IN200393 SHAREX
100 14-Aug-2017 14-Aug-2037 13005-24383 IN200393 SHAREX
10 07-Apr-2012 07-Apr-2018 1-10880000 IN200393 SHAREX
100 23-May-2016 22-May-2036 1-73595 IN200393 SHAREX
100 20-Mar-2016 19-Mar-2036 3168225-3179262 IN200393 SHAREX
100 30-Jan-2016 29-Jan-2036 2649394-2947444 IN200393 SHAREX
100 15-Oct-2015 14-Oct-2035 1-2649393 IN200393 SHAREX
100 19-Feb-2016 18-Feb-2036 2947445-3168224 IN200393 SHAREX
10 27-Mar-2014 26-Mar-2024 1-3065000 IN200393 SHAREX
10 29-Oct-2014 01-Nov-2024 1-4000000 IN200393 SHAREX
10 22-Sep-2014 21-Sep-2021 1-1116667 IN200393 SHAREX
10 23-Jul-2012 22-Jul-2032 1-463247 IN200393 SHAREX
10 07-May-2013 06-May-2033 463248-488195 IN200393 SHAREX
10 15-Nov-2013 14-Nov-2033 488196-790712 IN200393 SHAREX
125 17-Feb-2014 16-Feb-2034 126001-186000 IN200393 SHAREX
100 09-Aug-2017 08-Aug-2027 1-2500000 IN200393 SHAREX
10 03-Mar-2010 02-Mar-2030 P000001-P97900 IN200393 SHAREX
10 02-May-2014 01-May-2034 1-41000000 IN200393 SHAREX
IN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200230 DSRC LIMITEDIN200310 COMPUTECH IN200352 SATHGURU MGMT CONSULTANTIN200352 SATHGURU MGMT CONSULTANTIN200352 SATHGURU MGMT CONSULTANT
![Page 103: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/103.jpg)
100 01-Mar-2003 30-Jun-2018 1-571750 IN200393 SHAREX
125 01-Oct-2013 30-Sep-2033 1 - 126000 IN200393 SHAREX
100 18-Jan-2006 18-Jan-2026 1-87752 IN200393 SHAREX
10 03-Mar-2010 02-Mar-2030 P0000001-P4038473 IN200393 SHAREX
100000 20-Jan-2007 19-Jan-2024 1-2400 IN200393 SHAREX
100000 08-Mar-2007 07-Mar-2024 1-2400 IN200393 SHAREX
1000000 13-Nov-2007 23-Nov-2010 1-240 IN200393 SHAREX
405000 29-Mar-2017 25-Mar-2037 1-1496 IN200393 SHAREX
10 01-Dec-2006 30-Nov-2026 33401 TO 73300 IN200393 SHAREX
10 31-Mar-2006 30-Mar-2026 10001 TO 33400 IN200393 SHAREX
10 31-Mar-2006 30-Mar-2026 20001 TP 43400 IN200393 SHAREX
10 01-Dec-2006 30-Nov-2026 43401 TO 83250 IN200393 SHAREX
10 30-May-2014 29-May-2034 1-515351102 IN200393 SHAREX
1000 24-Dec-2010 24-Dec-2025 40445201-40795100 IN200393 SHAREX
1000 30-Mar-2009 30-Mar-2029 1-32224600 IN200393 SHAREX
1000 27-May-2009 27-May-2024 34739601-35593400 IN200393 SHAREX
1000 30-Mar-2009 30-Mar-2024 32224601-34739600 IN200393 SHAREX
1000 01-Oct-2009 01-Oct-2024 35593401-35968400 IN200393 SHAREX
1000 30-Oct-2009 30-Oct-2024 35968401-36788400 IN200393 SHAREX
1000 30-Nov-2009 30-Nov-2024 36788401-37463400 IN200393 SHAREX
1000 26-Feb-2010 26-Feb-2025 37463401-37713400 IN200393 SHAREX
1000 21-Apr-2010 21-Apr-2025 37713401-38227000 IN200393 SHAREX
1000 25-May-2010 25-May-2025 38227001-39406400 IN200393 SHAREX
1000 13-Jul-2010 13-Jul-2025 39406401-39830400 IN200393 SHAREX
1000 19-Nov-2010 19-Nov-2025 39830401-40445200 IN200393 SHAREX
10 23-Apr-2007 22-Apr-2027 1-425670000 IN200393 SHAREX
10 22-Mar-2004 21-Sep-2005 1 TO 294117 IN200393 SHAREX
10 12-Dec-1999 12-Dec-2011 IN200393 SHAREX
650 29-Mar-2017 25-Mar-2037 1-1268326 IN200393 SHAREX
100000 22-Dec-2006 21-Dec-2023 1-2400 IN200393 SHAREX
10 10-Apr-2013 09-Apr-2033 P749999991-P814889980 IN200393 SHAREX
10 28-Mar-2012 27-Mar-2032 P599999991-P749999990 IN200393 SHAREX
10 26-Apr-2011 25-Apr-2031 P 106087659-P 599999990 IN200393 SHAREX
10 26-Apr-2013 20-Oct-2024 IN200393 SHAREX
10 29-Aug-2008 28-Aug-2028 1 TO 318300 IN200393 SHAREX
1 21-Oct-2016 20-Oct-2036 P 000001 - P 59999999 IN200393 SHAREX
1 21-Oct-2016 20-Oct-2036 P 60000000 - P 81488998 IN200393 SHAREX
1 21-Oct-2016 20-Oct-2024 P 81488999- P 156488998 IN200393 SHAREX
100 12-Dec-2013 11-Dec-2028 1-990000
10 12-Dec-2017 31-Mar-2037 16650001-17050000
10 12-Dec-2017 31-Mar-2037 7550001-14940000
10 12-Dec-2017 31-Mar-2037 8220001-11220000
10 03-Jul-2017 02-Jul-2024 20063497-30063496
10 31-Mar-2015 30-Mar-2020 1-1952380
10 31-May-2017 31-May-2019 1-3000000
100 08-Oct-2014 07-Oct-2029 1-8999950
10 09-Aug-2016 08-Aug-2023 1952381-15452380
100 21-Jul-2012 20-Jul-2032 1 - 3500000
P 881194768 - P 1189889980, P 1256194768-
IN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTD
![Page 104: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/104.jpg)
10 21-Feb-2017 20-Feb-2024 15452381-20063496
10 07-Nov-2013 06-Nov-2033 1-1530844
100 22-Mar-2012 21-Mar-2032 2500001 - 3000000
100 30-Aug-2008 29-Aug-2023 366434-716433
100 16-Aug-2011 10-Aug-2031 1500001 TO 2500000
100 19-Jul-2011 30-Jun-2015 01 TO 1000000
10 14-Jan-2016 20-Dec-2035 20270001-33270000
100 06-Nov-2017 05-Nov-2018 1-5000
10 14-Jun-2011 01-Apr-2020 1-25000000
100 08-Dec-2017 08-Dec-2036 1-17235
100 13-Dec-2017 13-Dec-2036 17236-185605
10 15-May-2014 31-Mar-2034 1-28570000
10 27-Mar-2015 31-Mar-2034 1-16650000
10 28-Jul-2017 31-Mar-2037 1-19500000
10 09-Feb-2008 31-Mar-2014 1-513799
10 25-Oct-2014 01-Oct-2034 1-7000000
10 31-Mar-2015 01-Mar-2035 7000001-10270000
10 12-Jun-2015 01-May-2035 10270001-15270000
10 31-Oct-2015 01-Oct-2035 15270001-20270000
10 09-Oct-2017 08-Oct-2037 1-36954
100 02-Dec-2014 01-Dec-2021 1-90000
10 22-Nov-2006 21-Nov-2011 00001 TO 58368044
10 20-Nov-2006 19-Nov-2011 00001 TO 54012939
100 30-Jul-2010 26-Jul-2030 1-1500000
100 27-Jul-2017 26-Jul-2022 1-9214
10 31-Mar-2017 30-Mar-2036 1-1091338
100 05-Jan-2017 04-Jan-2037 2183-4363
100 14-Dec-2016 13-Dec-2036 1165-2182
100 25-Nov-2016 24-Nov-2036 1-1164
10 03-Oct-2017 02-Oct-2037 2759401-5573055
10 28-Sep-2011 27-Sep-2021 1-34989993
10 31-Mar-2012 24-Feb-2032 P-2502-P-3859
10 30-Jun-2008 29-Jun-2027 P-1-P-2501
1000 31-Mar-2009 31-Mar-2029 PC 1 - PC 383
1000 16-Aug-2010 16-Aug-2030 PE 49901-PE 99900
10 05-Feb-2009 05-Feb-2029 PA 1 - PA 1865
1000 31-Mar-2009 31-Mar-2029 PD 1 TO OD 499000
1000 31-Mar-2009 31-Mar-2029 PE 1 TO PE 49900
10 05-Feb-2009 05-Feb-2029 PB 1 TO PB 4800
1000 16-Aug-2010 16-Aug-2030 PD 49901-PD 99900
100 05-Dec-2015 04-Dec-2035 6702-26226
100 22-Jan-2016 21-Jan-2036 26227-28373
100 27-Oct-2015 26-Oct-2035 1-6701
10 15-Feb-2018 15-Feb-2038 1-2576
100 07-Nov-2016 06-Nov-2036 5491-5943
100 07-Dec-2016 06-Dec-2036 13811-23410
100 11-Jan-2017 10-Jan-2037 5944-7782
100 09-Feb-2017 08-Feb-2037 8133-8843
IN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTD
![Page 105: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/105.jpg)
100 12-Jun-2017 11-Jun-2037 8844-24784
15 29-Mar-2017 28-Mar-2037 1-5299380
15 29-Mar-2017 28-Mar-2037 1-3094668
15 29-Mar-2017 28-Mar-2037 1-1043474
15 10-Aug-2017 09-Aug-2037 1-1874248
15 10-Aug-2017 09-Aug-2037 1-1073
15 11-Sep-2017 10-Sep-2037 1-242555
100 11-Jun-2016 10-Jun-2036 1-7672
100 03-Jun-2016 02-Jun-2036 2148-5104
100 09-Jul-2016 08-Jul-2036 5105-5490
100 21-Jun-2016 20-Jun-2036 7673-13810
10 31-Mar-2017 30-Mar-2022 1-153000000
100 23-May-2017 22-May-2030 1-2500000
20 29-Sep-2016 28-Sep-2036 1-7908512
20 19-May-2017 18-May-2037 1-7419322
10 22-Jan-2016 31-Mar-2034 1-7550000
100 01-Feb-2017 31-Jan-2037 23141-44910
100 01-Feb-2017 31-Jan-2037 7783-8132
10 24-Jan-2018 23-Jan-2037 2749857-4764585
10 29-Apr-2016 31-Mar-2034 1-8110000
10 12-Sep-2016 11-Sep-2036 2524385-4102186
10 08-Oct-2016 07-Oct-2036 4102187-5595649
10 14-Jul-2015 13-Jul-2022 1-31666000
10 10-Aug-2010 31-Jul-2029 1-571328
10 03-Aug-2012 25-Jul-2032 571329-1364968
100 10-Oct-2014 10-Oct-2034 1-48287
100 10-Jan-2014 10-Jan-2034 1-1106006
10 08-Oct-2014 07-Oct-2034 1-10000000
10 30-Sep-2014 29-Mar-2016 1-1325000
10 17-Oct-2002 31-Dec-9999
10 28-Sep-2012 28-Sep-2031 1-77311742
10 14-Jan-2013 14-Jan-2032 77311743-146005230
10 29-Mar-2014 29-Mar-2033 146005231-246005230
1 21-May-2015 20-May-2035 01-1000000
16.27 08-Mar-2018 07-Sep-2019 1-481843884
100 09-Mar-2018 08-Sep-2019 1-42808858
100 09-Mar-2018 31-Mar-2037 1-74388207
10 20-Jun-2017 19-Jun-2037 1-79222
100000 25-Jan-2016 24-Jan-2026 1-8520
20 23-Jan-2015 22-Jan-2034 1-300000
20 23-Oct-2017 22-Oct-2036 50001-130000
20 27-Sep-2017 26-Sep-2036 1-50000
20 06-Sep-2017 05-Sep-2036 1-11000
20 30-Mar-2017 29-Mar-2036 1-217933
20 16-Oct-2013 15-Oct-2032 1-314364
20 21-Feb-2014 20-Feb-2033 1-338000
10 25-Oct-2012 30-Sep-2026 P001-P460738616
10 29-Dec-2015 29-Jun-2017 1-15000000
IN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200432 SKYLINE FIN.SERV PVT LTDIN200512 UNIVERSAL CAPITAL IN200512 UNIVERSAL CAPITAL IN200512 UNIVERSAL CAPITAL IN200512 UNIVERSAL CAPITAL IN200512 UNIVERSAL CAPITAL IN200512 UNIVERSAL CAPITAL IN200512 UNIVERSAL CAPITAL IN200512 UNIVERSAL CAPITAL IN200512 UNIVERSAL CAPITAL IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 106: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/106.jpg)
500 06-Nov-2012 05-Nov-2022 01 TO 661515
2 11-May-2015 17-Jul-2029 1-817800000
10 22-Mar-2011 22-Mar-2021 3415071 TO 4001610
10 31-Dec-2009 31-Dec-2019 3000001 TO 3415070
10 15-Mar-2012 15-Mar-2022 4001611 - 5001610
100 15-Mar-2011 14-Mar-2031 PS1 TO PS5698708
100 23-Sep-2015 22-Sep-2035 36479001-37449000
10 26-Dec-2016 26-Dec-2026 P1-P4316358
10 31-Aug-2017 31-Aug-2027 P4316359-P5624345
10 24-Mar-2018 24-Mar-2028 P8676317-P11292291
10 20-Feb-2017 24-Feb-2022 1-271081818
100 03-Aug-2016 02-Aug-2036 01-20635000
10 28-Sep-2017 08-Oct-2025 1-50000000
10 30-Jun-2017 29-Jun-2037 987000001-1137000000
20 30-Nov-2015 29-Nov-2034 551373-834478
20 23-Mar-2016 22-Mar-2035 1277402-1902972
10 09-Apr-2012 08-Apr-2031 359333-1250000
20 14-Oct-2015 13-Oct-2034 1-551372
10 15-Feb-2012 14-Feb-2031 1-359332
20 25-Feb-2015 24-Feb-2034 1-300000
20 20-Oct-2014 19-Oct-2033 1-660000
20 18-Mar-2016 17-Mar-2035 834479-1277401
20 24-Jan-2018 23-Jan-2037 1-1967500
10 25-Oct-2012 24-Oct-2022 1-95050000
10 04-May-2017 31-Mar-2035 1-42245764
20 14-Oct-2016 14-Oct-2035 1-7918937
20 18-Jan-2018 18-Jan-2037 17075128-17481889
20 16-Jan-2018 16-Jan-2037 13363176-17075127
10 04-Aug-2008 22-Mar-2023 1-18735
10000 04-Aug-2008 22-Mar-2023 1-18000
10 10-Apr-2006 18-Aug-2017 1-50963855
10 29-Jul-2013 28-Jul-2033 1-1
10 29-Jul-2013 28-Jul-2025 1-1
10 30-May-2014 23-Apr-2024 1-718960
10 31-Mar-2017 31-Dec-2017 1-5000000
10 27-Oct-2017 25-Nov-2020 1-43131
10 27-Oct-2017 25-Nov-2020 1-995000
10 28-Sep-2017 25-Nov-2020 1-345398
100 05-Sep-2008 05-Sep-2023 1-5051500
100 19-Oct-2016 18-Oct-2036 1-24214000
10 20-Jun-2017 20-Jun-2036 14941-19993
1 01-Oct-2013 01-Oct-2033 1-101104
1 01-Mar-2016 01-Mar-2036 1-25290
1 29-Mar-2016 29-Mar-2036 1-93525
10 16-Jun-2017 16-Jun-2037 1-150968
1000 27-Sep-2013 28-Sep-2033 1-70746
1000 21-Dec-2016 20-Dec-2036 1-58955
1000 20-Feb-2018 19-Feb-2038 1-30117
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 107: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/107.jpg)
10 02-Dec-2016 31-Aug-2017 1-1413071
3327.61 17-Mar-2017 16-Mar-2027 1413072-1416076
10 19-Dec-2017 19-Dec-2027 P5624346-P8676316
100 11-Aug-2014 11-Aug-2033 1-47435
100 20-Aug-2015 20-Aug-2034 47436-55606
10 17-Apr-2017 31-Mar-2027 1-158004397
20 15-Dec-2016 15-Dec-2035 7918938-13363175
10 24-Oct-2016 24-Oct-2036 1-3328000
100 29-Sep-2015 28-Sep-2035 1-10642
100 15-Nov-2010 14-Nov-2030 1-31800
100 04-Dec-2012 03-Dec-2032 60601-113154
100 13-Nov-2013 12-Nov-2033 113155-118200
6388 14-Apr-2016 14-Apr-2035 70618-70766
6388 04-Nov-2016 04-Nov-2035 70767-76084
100 01-Dec-2015 01-Dec-2034 55607-56858
100 10-May-2017 10-May-2037 1-294366
100 23-Mar-2016 21-Mar-2036 1-1290000
100 01-Mar-2014 28-Feb-2034 1499001-6130000
100000 29-Jun-2017 29-Jun-2022 1-10
100000 29-Jun-2017 29-Jun-2022 1-100000
10 22-Mar-2014 21-Mar-2024 1-28698
13 12-Jun-2014 11-Jun-2024 1-19048
10 25-Sep-2014 24-Sep-2024 54104-108206
10 10-Jul-2014 09-Jul-2024 1-54103
10 08-Dec-2014 07-Dec-2024 108206-162207
100 19-Mar-2015 18-Mar-2025 1-561759
100 20-May-2016 19-May-2026 1-436581
100 30-Aug-2017 30-Aug-2027 1-1186973
10 24-Apr-2018 24-Mar-2038 P01-P14084407
100 22-Nov-2017 21-Nov-2027 1-100000
10 03-May-2018 02-May-2038 1-272661
100 17-Apr-2018 16-Apr-2028 1-80000
10 30-Jul-2011 30-Jul-2017 13921908-35554566
10 31-Mar-2012 31-Mar-2018 35554567-39565952
10 29-Jun-2012 29-Jun-2018 39565953-43647852
10 16-Jun-2014 16-Jun-2020 59961717-68777910
10 06-Sep-2012 06-Sep-2018 43647853-59961716
10 16-Dec-2014 16-Dec-2020 68777911-77945726
10 24-Feb-2016 24-Feb-2022 77945727-81271059
10 31-Mar-2012 30-Mar-2027 1100001-1167000
10 27-Apr-2013 26-Apr-2033 2000001-3000000
10 17-Feb-2014 16-Feb-2034 24670001-25020000
10 28-Jan-2014 27-Jan-2034 24170001-24670000
10 23-Jan-2014 22-Jan-2034 23670001-24170000
10 15-Jan-2014 14-Jan-2034 22670001-23670000
10 09-Jan-2014 08-Jan-2034 21670001-22670000
10 27-Dec-2013 26-Dec-2033 20670001-21670000
10 20-Dec-2013 19-Dec-2033 19670001-20670000
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 108: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/108.jpg)
10 07-Dec-2013 06-Dec-2033 18670001-19670000
10 03-Dec-2013 02-Dec-2033 17870001-18670000
100 31-Mar-2017 31-Mar-2027 1-10049969
100 28-Feb-2017 27-Feb-2037 1-4600000
10 30-Mar-2006 29-Mar-2026 1-5238610
10 30-Jun-2017 29-Jun-2027 1-68254134
10 11-Oct-2017 10-Oct-2027 68254135-176254134
100 31-Mar-2016 30-Mar-2036 40030101-40780100
100 05-May-2016 04-May-2036 40780101-41230100
10 13-Dec-2016 13-Dec-2026 217000001-327000000
10 16-Dec-2004 24-Mar-2019
10 31-Mar-2009 31-Mar-2019 1-10000000
10 26-Mar-2013 26-Mar-2018 178137256 TO 203137255
10 31-Oct-2012 30-Oct-2022 1471501 - 1915000
6388 30-Mar-2016 30-Mar-2035 1-70617
100 22-Mar-2018 22-Mar-2037 51213-57321
100 27-Mar-2018 27-Mar-2037 57322-60148
100 20-Mar-2018 20-Mar-2037 1-51212
10 09-Nov-2017 10-Nov-2037 3328001-3840000
1000 15-Oct-2013 14-Oct-2023 1-280000
100 11-Jun-2014 10-Jun-2034 118201-147000
100 17-Oct-2011 16-Oct-2031 31801-60600
100 28-Mar-2018 27-Mar-2038 294367-1794366
130.41 15-Jul-2010 15-Jul-2030 1-1150227
100 31-Mar-2012 30-Mar-2027 1-395000
100 31-Mar-2012 30-Mar-2027 1-250000
100 31-Mar-2012 30-Mar-2027 1-250000
100 31-Mar-2012 30-Mar-2027 1-250000
100 31-Mar-2012 30-Mar-2027 1-250000
100 31-Mar-2012 30-Mar-2027 1-250000
100 21-Jun-2017 19-Jun-2027 5963568-7020167
1200 31-Mar-2017 31-Mar-2037 1-16595322
1200 31-Mar-2017 31-Mar-2027 1-16328548
10 14-Nov-2017 13-Nov-2020 1-6500000
10 31-Jan-2018 30-Jan-2021 6500001-6813000
10 31-Jan-2018 30-Jan-2021 6500001-6813000
10 04-Jan-2011 03-Jan-2026 1-2100000
100 22-Sep-2009 22-Sep-2019 1-77500
50 30-Oct-2015 31-Oct-2035 4763-4984
50 15-Oct-2016 14-Oct-2036 4985-5243
50 26-Aug-2015 25-Aug-2035 4005-4762
50 27-Aug-2015 26-Aug-2035 2642-4004
50 27-Oct-2014 26-Oct-2034 526-2641
50 03-Mar-2014 02-Mar-2034 01-525
50 09-Mar-2017 08-Mar-2037 1-2143
10 24-Oct-2017 23-Oct-2026 1-1233500
10 05-Aug-2016 04-Aug-2036 1-104263158
10 05-Oct-2011 04-Oct-2026 1-1100000
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-41-1010000 (DATEOF
ALLOT 16.12.2004, IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 109: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/109.jpg)
10 13-Oct-2017 13-Jan-2036 CCPS 01- CCPS 1495750
10 31-Mar-2015 30-Mar-2018 1-5000000
10 08-Nov-2012 07-Nov-2022 4430904-4939913
10 14-Jun-2012 13-Jun-2022 3883124-4430903
10 11-Feb-2012 10-Feb-2022 3583124-3883123
10 28-Nov-2011 27-Nov-2021 3380766-3583123
10 09-Feb-2011 08-Feb-2021 2678276-3380765
10 23-Sep-2010 22-Sep-2020 2445870-2678275
10 30-Aug-2010 29-Aug-2020 2169145-2445869
10 24-May-2010 23-May-2020 1946550-2169144
10 30-Mar-2009 29-Mar-2019 1-972097
10 10-Aug-2009 09-Aug-2019 972098-1796549
10 08-Mar-2010 07-Mar-2020 1796550-1946549
10 12-Nov-2013 11-Nov-2033 17370001-17870000
10 11-Nov-2013 10-Nov-2033 16370001-17370000
10 23-Oct-2013 22-Oct-2033 15720001-16370000
10 10-Oct-2013 09-Oct-2033 14720001-15720000
10 30-Aug-2013 29-Aug-2033 12070001-14720000
10 19-Aug-2013 18-Aug-2033 10070001-12070000
10 03-Aug-2013 02-Aug-2033 6420001-10070000
10 04-Jul-2013 03-Jul-2033 4420001-6420000
10 25-May-2013 24-May-2033 3500001-4420000
10 11-May-2013 10-May-2033 3000001-3500000
10 25-Mar-2013 24-Mar-2033 1000001-2000000
10 15-Feb-2013 14-Feb-2033 1-1000000
10 31-Mar-2017 31-Mar-2027 1-40000000
10 29-Jan-2016 31-Mar-2035 1-1085000
10 31-Jan-2007 30-Jan-2027 28146114-29687619
10 12-Dec-2006 11-Dec-2026 19510001-28146113
10 27-Mar-2017 27-Mar-2037 1-48500000
10 18-Jul-2017 17-Jul-2037 48500001-152500000
100 06-Jun-2016 05-Jun-2036 41230101-41630100
10 07-Jan-2017 07-Jan-2027 1-5000000
10 13-Apr-2015 13-Apr-2025 1-60000000
10 01-Jun-2015 01-Jun-2025 60000001-80000000
10 22-Sep-2015 22-Sep-2025 80000001-105000000
10 07-Nov-2015 07-Nov-2025 105000001-115000000
10 03-Dec-2015 03-Dec-2025 115000001-125000000
10 28-Mar-2016 28-Mar-2026 125000001-217000000
10 07-Jan-2017 07-Jan-2027 327000001-347000000
10 31-Mar-2017 31-Mar-2019 347000001-352000000
10 28-Jun-2017 28-Jun-2019 352000001-364000000
10 13-Nov-2009 31-Mar-2016 1-10200000
10 29-Aug-2011 31-Mar-2020 10200001-14700000
10 25-Mar-2010 24-Mar-2020 1 TO 90500000
100 31-Mar-2005 31-Mar-2016 1 - 500000
100 31-Mar-2006 31-Mar-2017 500001 - 1620000
100 01-Apr-2007 01-Apr-2018 1620001 - 1997635
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 110: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/110.jpg)
10 02-Apr-2008 31-Mar-2026 01 TO 93679550
100 03-Oct-2016 02-Oct-2036 42830101-43130100
100 21-Nov-2016 20-Nov-2036 43130101-43430100
100 22-Dec-2016 21-Dec-2036 43430101-43592100
10 30-Sep-2013 29-Sep-2023 01-4141500
10 29-Aug-2015 28-Aug-2035 3059601-5935600
10 23-Jun-2014 22-Jun-2034 1-3030123
10 31-Oct-2012 30-Oct-2027 1 - 4000000
10 23-Jun-2014 22-Jun-2029 7000001-7419187
10000 03-Jul-2014 03-Jul-2024 1-1000000
100 19-Jan-2017 18-Jan-2037 43592101-43756100
100 08-Jun-2017 07-Jun-2037 45285101-45485100
10 04-Feb-2015 31-Mar-2030 1-2207600
10 04-Feb-2015 31-Mar-2030 1-1881220
10 28-Mar-2011 15-Mar-2016 1-319687255
10 30-Jun-2014 30-Jun-2019 282637256-303537255
10 30-Sep-2014 30-Sep-2019 303537256-319687256
100000 17-Sep-2012 16-Sep-2019 1-625
1000 05-Jul-2014 05-Jul-2033 PB0001A-PB3157
1000 14-Sep-2012 14-Sep-2031 PA001-PA2782
1000 12-Jul-2016 12-Jul-2035 PC4775-PC4802
1000 07-Jul-2016 07-Jul-2035 PC0001-PC4774
10 31-Mar-2017 06-Jul-2035 B1PC01 TO B1PC631400
10 31-Mar-2017 06-Jul-2035 A1PC000001 - A1PC556400
10 31-Mar-2017 06-Jul-2035
100 15-Jan-2018 14-Jan-2023 1-42000
10 30-Apr-2012 29-Apr-2032 1 - 47750000
100 31-Aug-2006 30-Aug-2026 204001 TO 2749000
10 05-Jan-2010 05-Jan-2020 10000001-14400000
10 15-Feb-2006 15-Feb-2016 1-3514634
1 20-Sep-2012 19-Sep-2032 180100001 - 185700000
10 06-Dec-2010 05-Dec-2020 37200001-57200000
10 30-Mar-2011 29-Mar-2021 57200001-66200000
10 20-Sep-2016 19-Sep-2036 13297000001-1334700000
10 27-Feb-2017 26-Feb-2037 1334700001-1344700000
10 31-Jan-2015 31-Mar-2030 1-17634990
10 04-Feb-2015 31-Mar-2030 1-4798000
10 04-Feb-2015 31-Mar-2030 1-16198850
10 04-Feb-2015 03-Feb-2035 1-380510
10 23-Jun-2014 22-Jun-2034 1-2892167
10 04-Feb-2015 31-Mar-2030 1-9602580
25 30-Mar-2012 29-Mar-2032 1 - 10000000
10 30-Nov-2012 29-Nov-2022 1915001 - 2175000
10 13-Dec-2012 12-Dec-2022 2175001 - 2890000
10 20-Dec-2012 19-Dec-2022 2890001 - 3340000
10 07-Feb-2013 06-Feb-2023 3940001 - 4070000
10 27-Feb-2013 26-Feb-2023 4070001 - 4390000
10 20-Mar-2013 19-Mar-2023 4390001-5154000
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4C1PC000001 TO
C1PC960400IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 111: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/111.jpg)
10 22-Mar-2013 21-Mar-2023 5154001-5912000
10 28-Mar-2013 27-Mar-2023 5912001-6000000
10 27-Jun-2013 26-Jun-2023 A0001-A259200
10 27-Mar-2014 26-Mar-2024 A3300779-A3433500
10 18-Dec-2015 17-Dec-2025 B0118701-B1463700
10 21-Jan-2016 20-Jan-2026 B1463701-2192000
10 16-Nov-2016 15-Nov-2026 D0001-D159400
10 24-Jan-2017 23-Jan-2027 D212381-D280080
10 14-Feb-2017 13-Feb-2027 D280081-D330080
10 17-May-2017 16-May-2027 D425381-D553380
10000 05-Jun-2017 31-Mar-2021 0001-5217
10 05-Jun-2017 04-Jun-2027 D553381-D585380
10 09-Sep-2016 08-Sep-2020 1-369
100 07-Jul-2016 06-Jul-2036 41630100-41930100
100 04-Aug-2016 03-Aug-2036 41930101-42230100
100 06-Sep-2016 05-Sep-2036 42230101-42830100
100 28-Feb-2017 27-Feb-2037 43756101-44546100
100 27-Mar-2017 26-Mar-2037 44546101-44811100
100 18-Apr-2017 17-Apr-2037 44811101-45285100
100 14-Jul-2017 13-Jul-2037 45485101-48485100
100 24-Aug-2017 23-Aug-2037 48485101-48835100
100 26-Mar-2015 25-Mar-2035 11479001-36479000
10 02-Jan-2014 01-Jan-2034 1-3059600
10 23-Jun-2014 22-Jun-2034 1-2304000
10 23-Jun-2014 22-Jun-2034 1-6838814
10 31-Dec-2014 31-Mar-2030 1-9400000
100 23-Dec-2013 22-Dec-2023 1-5110320
100 24-Jun-2015 22-May-2025 6912811-6947810
100 19-Aug-2015 16-Jul-2025 6947811-7022810
100 16-Nov-2015 24-Aug-2025 7022811-7147810
10 22-Mar-2013 21-Mar-2032 1-2490530
10 09-Apr-2013 08-Apr-2032 2490531-3609375
10 24-May-2013 23-May-2032 3609376-5468750
10 30-Aug-2016 29-Aug-2021 56100001-81100000
100 27-Jul-2015 27-Jul-2022 1-1009409
100 22-Aug-2013 21-Aug-2016 1-1000000
10 28-Jun-2013 28-Jun-2018 203137256 - 223137255
10 27-Sep-2013 27-Sep-2018 223137256-248137255
10 30-Dec-2013 30-Dec-2018 248137256-275137255
10 28-Mar-2014 28-Mar-2019 275137256-282637255
10 31-Oct-2008 31-Oct-2018 1-50000000
10 15-Nov-2012 14-Nov-2032 1 - 529000
100 28-Feb-2017 27-Feb-2037 43756101-44546100
10 23-Nov-2012 22-Nov-2031 1 - 473600
10 24-Feb-2015 31-Mar-2035 1-11610000
445 28-Jun-2007 26-Jun-2027 1 - 912048
10 25-Nov-2010 03-Nov-2030 - 1 - 419717
10 26-Aug-2011 27-Oct-2031 1 - 10800000
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 112: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/112.jpg)
100 20-Sep-2005 19-Sep-2025 1 TO 204000
1 27-Mar-2012 26-Mar-2032 106700001 TO 111700000
1 04-Jun-2012 03-Jun-2032 111700001 - 119700000
1 27-Feb-2013 26-Feb-2033 197200001 - 197500000
1 28-Mar-2013 27-Mar-2033 198000001 - 198800000
1 25-Mar-2013 24-Mar-2033 197500001 - 198000000
1 14-Feb-2014 13-Feb-2034 1327800001-1328400000
1 25-Apr-2014 24-Apr-2034 1328400001-1329700000
10 28-Mar-2013 27-Mar-2033 698800001-1318800000
10 28-Mar-2013 27-Mar-2033 698800001-1318800000
10 17-Jan-2012 16-Jan-2022 96700001-106700000
10 27-Dec-2011 26-Dec-2021 91200001-96700000
10 01-Feb-2013 31-Jan-2023 3450001 - 3940000
10 11-Jan-2013 10-Jan-2023 3340001 - 3450000
10 20-Aug-2013 19-Aug-2023 A259201-A1122300
10 24-Sep-2013 23-Sep-2023 A1122301-A1478800
10 25-Dec-2013 24-Dec-2023 A1478801-A1682090
10 20-Feb-2014 19-Feb-2024 A1682091 - A1886230
10 20-Mar-2014 19-Mar-2024 A1886231-A3300778
10 16-May-2014 15-May-2024 A3433501-A3577800
10 20-May-2014 19-May-2024 A3577801-A3864470
10 01-Dec-2015 30-Nov-2025 B000001-B118700
10 07-Jun-2016 06-Jun-2026 B2192001-B2245700
10 18-Jul-2016 17-Jul-2026 C00001-C1224500
10 26-Dec-2016 25-Dec-2026 D159400-D212380
10 27-Mar-2017 26-Mar-2027 D330081-D362080
10 03-Apr-2017 02-Apr-2027 D362081-D377080
10 27-Apr-2017 26-Apr-2027 D377081-D425380
10 20-Sep-2017 19-Sep-2027 D768731-D790730
10 10-Sep-2012 09-Sep-2022 1 - 1471500
10 13-Jun-2017 12-Jun-2027 D585381-D635380
10 26-Jul-2017 25-Jul-2027 D635381-D731730
10 22-Aug-2017 21-Aug-2027 D73131-D758730
10 29-Aug-2017 28-Aug-2027 D758731-D768730
10 24-Mar-2011 23-Mar-2029 1-1390063
10 12-Mar-2011 29-Jun-2030 NA
10 03-Oct-2016 03-Oct-2026 1-3000000000
10 06-Feb-2017 06-Feb-2027 1-6000000000
10 20-Feb-2008 19-Feb-2013 01 TO 9002982
10 26-May-2008 25-May-2013 152250089 TO 154715163
100 23-Mar-2015 23-Mar-2032 1-447704
100 12-Jan-2016 12-Jan-2033 1-1241000
150 15-May-2008 14-May-2013
10 02-May-2011 01-May-2020 27250001 TO 37249997
10 22-Mar-2011 31-Aug-2017 1-257000000
100 25-Jun-2009 24-Jun-2029 3815001-6000000
100 02-Feb-2008 01-Feb-2023 1-4000000
100 21-Dec-2004 20-Dec-2024 1-500000
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 113: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/113.jpg)
10 22-Nov-2007 31-Dec-2015 1-1053466
10 09-Dec-2015 08-Dec-2035 1-525000000
10 14-Sep-2015 14-Sep-2025 1-987000000
10 22-Sep-2003 03-Aug-2005
100 30-May-2014 30-May-2033 26700001-37200000
10 28-Sep-2011 27-Sep-2031 01 TO 10000000
100 28-Mar-2012 28-Mar-2029 1 - 1680715
100 30-Sep-2011 30-Sep-2018 1 TO 347900
100 27-Dec-2013 26-Dec-2020 1-494640
100 27-Jan-2014 26-Jan-2021 1-742140
10 10-Mar-2010 09-Mar-2030 1-7230000
10 28-Mar-2017 31-Mar-2027 1-791007721
10 25-Sep-2009 24-Sep-2019 1 TO 2439024
100 07-Jan-2010 08-Jan-2025 1-5000000
10 12-Nov-2007 11-Nov-2022 01 TO 176476890
10 03-Jul-2008 25-Jun-2013 1-25000000
10 12-Jan-2004 12-Jan-2023
200 15-May-2008 03-Apr-2013 01 TO 10296451
10 17-Jun-2010 17-Jun-2017 PO1-PO220488
31 22-May-2006 30-Nov-2006 1 TO 14820206
10 25-Apr-2012 31-Mar-2013 P-001 - P-449000
100 02-Dec-2011 02-Dec-2018 01 TO 823830
10 29-Jun-2016 28-Jun-2026 B2245701-B2289700
10 26-May-2008 25-May-2013 9002983 TO 139332549
10 20-Feb-2008 19-Feb-2013 150000001 TO 152250088
100 30-Oct-2012 30-Oct-2029 1-840000
100 24-Mar-2014 23-Mar-2031 1-190400
10 03-Sep-2012 02-Sep-2017 15000001 - 19000000
10 01-Aug-2013 31-Jul-2018 19000001-21600000
10 03-Oct-2002 30-Jan-2022 1--27000000
10 06-Jun-2006 05-Jun-2023 27000001-27250000
10 28-Mar-2011 28-Mar-2016 1-22000000
100 14-Mar-2012 08-Mar-2031 10200001 TO 19200000
100 30-May-2014 30-May-2033 19200001-26700000
10 03-Apr-2008 04-Apr-2018 1-2241344
100 13-Dec-2013 12-Dec-2020 1-615500
10 11-Nov-2006 10-Nov-2016 01 TO 60000000
10 30-May-2006 30-May-2019 1-14098944
10 28-Sep-2006 28-Sep-2019 14098945-17099998
10 31-Mar-2017 31-Mar-2027 1-110000008
10 04-Dec-2017 03-Dec-2027 110000009-234999997
10 08-Mar-2018 07-Mar-2028 1-119212760
10 19-Feb-2009 18-Feb-2029 19992039-700000000
10 31-Mar-2015 31-Mar-2020 1-2000000
100 28-Mar-2011 28-Mar-2018 1-943136
100 28-Mar-2011 28-Mar-2028 1-2737368
10 30-Dec-2009 29-Dec-2028 0677741-0864871
10 29-Jun-2011 29-Jun-2016 22000001 TO 44000000
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 114: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/114.jpg)
10 29-Sep-2011 29-Sep-2016 44000001 TO 65137255
10 30-Dec-2011 30-Dec-2016 65137256 TO 91137255
10 29-Mar-2012 29-Mar-2017 91137256 TO 114137255
10 26-Jun-2012 26-Jun-2017 114137256 - 135137255
10 28-Sep-2012 28-Sep-2017 135137256 - 155137255
10 27-Dec-2012 27-Dec-2017 155137256 - 178137255
100 17-Apr-2009 07-May-2014 PS01 TO PS71145
10 16-Sep-2008 15-Sep-2023 PS001 TO PS19165700
10 25-Apr-2006 31-Mar-2010 P 1 - 30000000
10 23-Mar-2010 22-Mar-2015 1-5000000
5 22-Aug-2005 31-Mar-2016 1 TO 16649119
10 28-Apr-2006 27-Apr-2009 P1 TO P2000000
10 31-Dec-2008 31-Dec-2028 1 - 269000000
10 29-Dec-2006 28-Dec-2014 1-34000000
1000 15-Nov-2002 14-Nov-2022 1 TO 210000
1000 20-Dec-2000 19-Dec-2020 1 TO 280000
10 14-Feb-2002 13-Feb-2022 1 TO 24185000
10 15-Dec-2009 31-Oct-2011 90907-150090906
10 29-Oct-2009 28-Oct-2028 1-4600000
10 27-Sep-2010 26-Sep-2015 5000001-15000000
10 18-Aug-2007 14-Feb-2008 01 TO 22500000
11 30-Jul-2007 14-Aug-2012 1-7864700
10 30-Oct-2009 30-Oct-2029 1-156455750
10 26-Apr-2010 25-Apr-2030 1-4410000
10 22-May-2014 21-May-2024 5998001-6038000
10 09-Jul-2015 08-Jul-2025 6038001-6078000
10 28-Mar-2014 27-Mar-2024 5830001-5998000
10 20-Mar-2014 19-Mar-2024 5125001-5830000
10 28-Mar-2013 27-Mar-2023 1-5125000
10 21-Sep-2015 20-Sep-2025 6078001-6247000
10 05-Jun-2013 04-Jun-2033 1-486617
10 17-Jul-2015 16-Jul-2035 625000-999899
10 31-Mar-2009 30-Mar-2028 1-0677740
696.15 28-Nov-2007 27-Nov-2017 1 TO 161410
10 03-Jan-2011 02-Jan-2023 1-553100000
100 08-Mar-2002 30-Jan-2022 1-100000
100 30-Sep-2011 29-Sep-2016 100001-300000
100 28-Jun-2013 27-Jun-2018 300001-345000
100 26-Sep-2013 25-Sep-2018 345001-395000
100 31-Dec-2014 30-Dec-2019 395001-500000
10 11-Feb-2012 10-Feb-2027 PD01 - PD 15780000
10 07-May-2014 06-May-2034 1-200000000
10 02-Mar-2016 01-Mar-2036 1-9000000
100 29-Apr-2015 28-Apr-2035 1-40000
100 27-May-2016 26-May-2036 40001-171250
10 18-Sep-2015 01-Apr-2023 P-01 TO P-64627452
10 30-Mar-2013 01-Apr-2023 1-50000000
10 31-May-2014 01-Apr-2023 1-15000000
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 115: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/115.jpg)
10 22-Aug-2014 01-Apr-2034 C0001-C40000000
100 21-Nov-2014 20-Nov-2034 1-80000
10 22-Oct-2012 21-Oct-2027 1-401769
1000 15-Mar-2016 14-Mar-2036 1-20000
10 18-Nov-2010 17-Nov-2029 1-266846
10 27-Jun-2012 26-Jun-2031 266847-426965
100 10-Sep-2012 10-Sep-2027 1-900000
100 30-Mar-2013 30-Mar-2028 900001-1470000
100 05-Sep-2013 05-Sep-2028 1470000-1645000
2 22-Aug-2016 21-Feb-2018 1-17900190
2 28-Dec-2017 27-Dec-2020 1-18000000
100000 02-Mar-2015 01-Mar-2025 1-250
10 31-Mar-2012 31-Mar-2029 1-61547445
1000 07-Feb-2018 06-Feb-2038 1-1030000
10 21-Oct-2010 20-Oct-2015 1-10000000
100 04-Nov-2016 04-Nov-2035 1-291
100 09-Jan-2017 09-Jan-2036 292-868
10 04-Mar-2016 31-Mar-2035 34780144-45534243
10 25-Sep-2014 24-Oct-2021 1-1007497263
10 09-Feb-2012 08-Feb-2018 300001-500000
10 06-Feb-2012 24-Jan-2018 1-300000
10 05-Mar-2012 05-Mar-2027 1-1500000
10 21-Sep-2012 20-Sep-2017 1-905000
10 15-Jul-2015 14-Jul-2035 1-2095
10 31-Mar-2012 31-Mar-2027 1-4000000
10 05-Mar-2012 05-Mar-2027 1-1500000
10 26-May-2015 25-May-2031 1-75000000
10 04-Jul-2014 03-Jul-2019 27000001-28000000
10 29-Jul-2015 28-Jul-2020 28000001-30000000
10 29-Apr-2016 28-Apr-2021 30000001-32000000
10 30-Sep-2016 29-Sep-2021 32000001-33000000
10 31-Oct-2016 30-Oct-2021 33000001-34500000
100 07-Aug-2014 07-Aug-2034 S1P001-S1P00218670
10 07-Jul-2013 30-Dec-2022 7199-18646
1000 11-Apr-2008 10-Apr-2013 01 TO 547632
1000 28-Mar-2013 27-Mar-2033 238501-283500
1000 12-Oct-2013 11-Oct-2033 283501-348500
1000 25-Jul-2012 24-Jul-2032 210001-238500
100 21-Dec-2011 20-Dec-2031 1-450000
1000 28-Mar-2012 27-Mar-2032 1-210000
500 23-Sep-2015 22-Sep-2025 1-200027
10 19-May-2010 20-May-2020 1-198148
10 27-Jan-2016 31-Mar-2035 10136308-10219807
10 02-Apr-2012 01-Apr-2027 PD74550001-PD84550000
10 13-Feb-2012 12-Feb-2027 PD01-PD74550000
10 30-Apr-2014 29-Apr-2019 24100001-25000000
10 05-Mar-2014 04-Mar-2019 21600001-22600000
10 02-Jun-2014 01-Jun-2019 26000001-27000000
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 116: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/116.jpg)
10 05-May-2014 04-Apr-2019 25000001-26000000
100 14-Dec-2015 14-Dec-2035
10 05-Dec-2009 13-Oct-2019 1-3058
10 05-Jul-2010 27-May-2020 3059-4709
10 20-Sep-2010 11-Aug-2020 4710-7198
480 22-Mar-2011 22-Mar-2021 1-165123
10 05-Nov-2015 04-Nov-2030 84550001-92550000
10 11-Jan-2012 10-Jan-2022 1 TO 8389000
10 02-Dec-2013 01-Dec-2029 P84189320-P111267903
10 21-Mar-2014 20-Mar-2030 P111267904-P179618903
100 03-Jul-2015 02-Jul-2035 1-2519043
10 05-Jan-2017 05-Jan-2036 1-74071397
10 20-Dec-2012 19-Dec-2019 1-2500000
10 25-Mar-2016 30-Sep-2040 1-374316
10 08-Mar-2014 07-Mar-2024 2000001-3000000
10 30-Mar-2013 29-Mar-2023 1-36040769
10 04-Nov-2016 03-Nov-2036 1-7120000
1000 24-Mar-2008 30-Nov-2013 1-170284
1000 24-Mar-2008 30-Nov-2013 1-592664
10 31-Mar-2011 31-Mar-2031 1-12919412
10 24-May-2011 31-Dec-2020 1-7000000
1000 24-Mar-2008 30-Nov-2013 1-355627
1000 24-Mar-2008 30-Nov-2013 1-391519
1000 24-Mar-2008 30-Nov-2013 1-314099
1000 24-Mar-2008 30-Nov-2013 1-191844
1000 24-Mar-2008 30-Nov-2018 1-191844
10 30-Jan-2013 29-Jan-2033 19429-19803
10 11-Jan-2013 10-Jan-2033 17040-19428
10 23-Nov-2011 22-Nov-2031 10001-17039
15 23-Dec-2014 22-Dec-2034 19802-22587
652 31-Oct-2011 31-Oct-2031 1-524995
10 06-May-2015 05-May-2018 1-20000000
10 22-Nov-2011 21-Nov-2026 1-390094
10 14-Dec-2012 13-Dec-2027 390095-800743
10 19-May-2014 18-May-2029 800744-1059139
10 21-Sep-2016 20-Sep-2036 1660961-1885079
10 27-Mar-2006 30-Nov-2013 1-20633954
1000 24-Mar-2008 30-Nov-2014 1-592664
10 27-Mar-2006 30-Nov-2014 1 - 20633954
10 04-May-2017 03-May-2036 10799901-14025709
100 21-Dec-2016 20-Dec-2021 1-10000000
10 14-Jan-2016 13-Jan-2024 1-191895
10 28-Mar-2016 31-Mar-2035 1-2450000
10 31-Mar-2007 30-Mar-2027 18370071-22962587
10 04-Dec-2006 03-Dec-2026 1-18370070
10 22-Mar-2016 21-Mar-2028 1-6194250
10 22-Mar-2016 21-Mar-2028 1-9996000
10 21-Sep-2015 20-Sep-2022 1-2000000
IN200800 KARVY COMPUTERSHARE-4S 1 P00311535-S 1
P00397254IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 117: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/117.jpg)
10 20-Apr-2016 20-Apr-2023 1-2000000
10 12-Jan-2015 12-Jan-2035 10001-30779
10 26-Nov-2009 23-Jul-2026 1-12941850
1000 24-Feb-2014 23-Feb-2034 357901-369400
1000 09-Jan-2015 08-Jan-2035 389401-419400
1000 10-Oct-2014 09-Oct-2034 379401-389400
1000 12-Jul-2014 11-Jul-2034 369401-379400
1000 30-Dec-2013 29-Dec-2033 340001-357900
1000 10-Oct-2013 09-Oct-2033 332501-340000
1000 29-May-2013 28-May-2033 312501-332500
1000 18-Mar-2013 17-Mar-2033 302501-312500
1000 15-Jan-2013 14-Jan-2033 298501-302500
1000 14-Nov-2012 13-Nov-2032 278501-298500
1000 13-Sep-2012 12-Sep-2032 267501-278500
1000 13-Aug-2012 12-Aug-2032 255001-2675000
1000 19-Jun-2012 18-Jun-2032 110001-255000
1000 09-May-2012 08-May-2032 1-110000
1000 25-May-2016 25-May-2036 419401-429400
10 07-Apr-2015 24-Feb-2030 1-5000000
10 23-Jul-2014 01-Aug-2019 1-1198024866
10 30-Jul-2014 01-Aug-2019 1-409098008
10 31-Mar-2009 31-Mar-2028 P00000001-P02360000
1000 05-Nov-2008 04-Nov-2028 132305-134293
1000 23-Mar-2007 22-Mar-2027 1-132304
10 09-Feb-2012 08-Feb-2027 1-78000
1000 14-Jan-2016 14-Jan-2036 80001-95000
1000 01-Jul-2013 01-Jul-2033 39501-80000
1000 18-Oct-2012 18-Oct-2032 1-39500
1000 03-Sep-2012 03-Sep-2032 1-56000
1000 18-Oct-2012 18-Oct-2032 56001-299900
10 30-Mar-2013 29-Mar-2028 1-10371140
100 28-Jul-2011 28-Jul-2019 1 - 82999999
10 29-Jan-2016 31-Mar-2035 1-2027305
10 09-Sep-2015 08-Sep-2035 22729-28460
10 07-Sep-2015 06-Sep-2035 1-22728
10 30-Apr-2015 29-Apr-2035 1-27327
10 06-Feb-2015 05-Feb-2035 16397-32791
10 04-Dec-2014 03-Dec-2034 1-16396
10 06-Nov-2013 05-Nov-2033 1-78791
1 31-Mar-2017 30-Mar-2037 1-930551391
2 31-Mar-2017 30-Mar-2037 1-190653540
6700 05-Feb-2018 04-Feb-2038 1-10885
6700 28-Feb-2018 27-Feb-2038 1-83425
10 31-Mar-2012 31-Mar-2017 PF00000001-PF10000000
1000 24-Mar-2008 30-Nov-2014 1-170284
1000 24-Mar-2008 30-Nov-2014 1-355627
1000 24-Mar-2008 30-Nov-2014 1-391519
1000 24-Mar-2008 30-Nov-2014 1-314099
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 118: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/118.jpg)
1000 24-Mar-2008 30-Nov-2014 1-191844
10 31-Oct-2013 31-Oct-2023 PF19000001-PF28000000
10 26-Sep-2013 25-Sep-2023 1-2000000
100000 24-Jul-2013 23-Jul-2032 1-5775
10 02-Sep-2016 01-Sep-2017 1-257372912
10 04-Feb-2015 31-Mar-2030 1-4167020
10 11-Oct-2017 10-Oct-2027 1-2188006
10 12-Jan-2015 12-Jan-2035 10001-30779
10 07-Dec-2010 06-Dec-2020 1-5000000
10 31-Mar-2011 30-Mar-2021 5000001-9000000
10 16-Dec-2014 15-Dec-2024 908695-1353138
10 13-Mar-2018 12-Mar-2037 1353139-3032668
100 08-Oct-2013 07-Oct-2033 1-484496
100 14-Jul-2014 13-Jul-2034 484497-498915
10 02-Aug-2014 31-Jul-2024 45000001-45000674
10 28-Mar-2014 27-Mar-2024 1-45000000
10 11-Apr-2016 31-Mar-2020 1-272071073
100 28-Mar-2015 27-Mar-2035 1-80000
341.52 11-Jan-2013 10-Jan-2033 1-586667
10 23-Aug-2004 22-Aug-2024 5004001-5304000
10 02-Sep-2014 01-Sep-2024 5304001-5604000
10 20-Sep-2004 19-Sep-2024 5604001-6004000
10 25-Sep-2004 24-Sep-2024 6004001-6404000
10 19-Feb-2005 18-Feb-2025 6954001-7179000
10 01-Jul-2005 30-Jun-2025 7404001-8004000
10 05-Nov-2005 04-Nov-2025 8404001-8544000
10 02-Mar-2005 01-Mar-2025 7179001-7404000
10 22-Jul-2005 21-Jul-2025 8004001-8404000
10 18-Nov-2005 17-Nov-2025 8544001-8684000
10 31-Mar-2006 30-Mar-2026 8684001-8934000
10 07-Apr-2006 06-Apr-2026 8934001-9184000
10 30-Mar-2007 29-Mar-2027 9299001-10024000
10 08-Aug-2006 07-Aug-2026 9184001-9299000
10 07-Feb-2005 06-Feb-2025 6404001-6954000
10 27-Mar-2014 26-Mar-2019 22600001-24100000
10 29-Nov-2013 28-Nov-2029 P01-P37074000
10 14-Jan-2011 13-Jan-2031 1-408183
10 14-Mar-2012 13-Mar-2032 408184-826366
10 25-Mar-2013 24-Mar-2033 826367-1600004
100 17-Feb-2010 13-Feb-2020 1-345500
10 29-Jan-2016 31-Mar-2035 1-1625000
10 26-Dec-2011 25-Dec-2016 1-295133
10 31-Oct-2013 31-Mar-2015 PF10000001-PF19000000
10 11-Feb-2012 10-Feb-2027 PD01-PD142162570
10 12-Jan-2012 11-Jan-2032 1 TO 1195770
10 28-Mar-2014 27-Mar-2023 1-495602500
10 02-Jul-2013 01-Jul-2033 1-49190000
100 29-Aug-2013 31-Oct-2018 1-740000
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4
![Page 119: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/119.jpg)
10 05-Feb-2016 31-Mar-2035 1-2000000
10 21-Jun-2016 31-Mar-2035 1-1000000
10 18-Sep-2013 18-Sep-2032 1-354115
10 18-Sep-2013 18-Sep-2032 1-1423371
10 19-Nov-2010 31-Dec-2020 1-22000000
10 09-Dec-2009 08-Dec-2019 1-20500000
10 05-Aug-2013 04-Aug-2016 1-24000000
10 05-Aug-2013 04-Aug-2019 1-24000000
10 05-Aug-2013 04-Aug-2023 1-32000000
10 19-Jun-2014 18-Jun-2024 32000001-52000000
10 19-Jun-2014 18-Jun-2017 24000001-39000000
10 19-Jun-2014 18-Jun-2020 24000001-39000000
1000 14-Sep-2015 14-Sep-2035 1-349900
1000 14-Sep-2015 14-Sep-2035 1-349900
10 22-May-2013 21-May-2033 1-7462587
10 31-Mar-2015 30-Mar-2035 10291787-14972538
10 21-Jun-2016 21-Jun-2036 17343421-26831692
10 23-Jan-2018 22-Jan-2038 26831693-37492004
10 01-Aug-2013 01-Aug-2033 1-1720052
10 17-Apr-2015 16-Apr-2035 1-1000000
10 14-May-2015 13-May-2035 1000001-1600000
10 01-Jul-2015 30-Jun-2035 1600001-2000000
10 26-Aug-2016 25-Aug-2036 1-793912
1000 04-Mar-2013 03-Mar-2033 P01-P120000
10 03-Nov-2017 02-May-2018 1-421542
10 28-Sep-2017 27-Sep-2036 695641-1523784
10 11-Feb-2012 10-Feb-2027 PD01-PD41292800
100 07-Nov-2003 07-Nov-2023 01 TO 450000
100 24-Mar-2005 24-Mar-2025 1126401 TO 8724025
100 19-Jan-2004 19-Jan-2024 450001 TO 900000
100 27-Aug-2004 27-Aug-2024 900001 TO 1126400
100 15-Dec-2010 14-Dec-2029 10000001 TO 10200000
100 18-Jan-2010 17-Jan-2029 5000001 TO 10000000
100 18-Feb-2009 17-Feb-2028 1 TO 5000000
10 07-Jan-2011 01-Apr-2015 1-1325000
48 13-Aug-2013 12-Aug-2031 1-1146771
48 04-Feb-2016 03-Feb-2034 1-1133309
10 27-Feb-2008 26-Feb-2018 1 - 39705010
10 27-Feb-2008 26-Feb-2018 1 - 86628090
100 31-Mar-2011 30-Sep-2019 7500001-11250000
100 29-Sep-2011 30-Sep-2019 450001-675000
10 02-Aug-2016 01-Aug-2035 1-695640
10 31-Mar-2011 31-Mar-2023 5000001 TO 40000000
10 24-Feb-2010 24-Feb-2022 4500001 TO 5000000
10 21-Nov-2016 20-Nov-2036 860072-992389
10 14-Nov-2016 13-Nov-2036 793913-860071
10 03-Nov-2017 03-Nov-2047 1-1000000
10 03-Nov-2017 03-Nov-2047 1-1000000
IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200800 KARVY COMPUTERSHARE-4IN200842 KARVY COMPUTERSHARE IN200842 KARVY COMPUTERSHARE
![Page 120: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/120.jpg)
10 16-Dec-2014 15-Dec-2024 1-345000000
1 01-Jul-2010 30-Jun-2020 16075601-18450600
1 28-Mar-2016 27-Mar-2026 1-6627235722
1 17-Dec-2007 17-Dec-2027 250001-29509375
1 16-Nov-2009 15-Nov-2014 1-10000000
10 29-Jan-2010 29-Jan-2020 1 TO 1000000
10 31-Mar-2010 31-Mar-2020 1000001 TO 4750000
--------------------End of Report---------------------
IN200842 KARVY COMPUTERSHARE IN200842 KARVY COMPUTERSHARE IN200842 KARVY COMPUTERSHARE IN200842 KARVY COMPUTERSHARE IN200842 KARVY COMPUTERSHARE IN200842 KARVY COMPUTERSHARE IN200842 KARVY COMPUTERSHARE
![Page 121: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/121.jpg)
Address where Physical Securities is to be sent Remarks
MR. JUVENIL ASHWINKUMAR JANI AUTHORISED SGINATORY GREEN INFRA
CONTACT ISSUER FOR MR. JUVENIL ASHWINKUMAR JANI
AUTHORISED SGINATORY GREEN INFRA CONTACT ISSUER FOR MR. JUVENIL ASHWINKUMAR JANI
AUTHORISED SIGNATORY GREEN INFRA MR. JUVENIL ASHWINKUMAR JANI AUTHORISED SIGNATORY GREEN INFRA MR. AVINASH SACHAN COMPANY SECRETARY DLF ASSETS PRIVATE
CONTACT ISSUER FOR MR. SHYAM LAL SHARMA AUTHORISED
SIGNATORY GREEN INFRA WIND POWER MR. SHYAM LAL SHARMA AUTHORISED SIGNATORY GREEN INFRA WIND POWER MR. SHYAM LAL SHARMA AUTHORISED SIGNATORY GREEN INFRA WIND POWER MR. SHYAM LAL SHARMA AUTHORISED SIGNATORY GREEN INFRA WIND MR. SHYAM LAL SHARMA AUTHORISED SIGNATORY GREEN INFRA WIND MR. SHYAM LAL SHARMA AUTHORISED SIGNATORY GREEN INFRA WIND MR. SHYAM LAL SHARMA AUTHORISED SIGNATORY GREEN INFRA WIND Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5
CONTACT ISSUER FOR Mr. Krishan Kant Asst Manager Zuari
Investments Limited Corporate One, Ist Floor, 5 SHARES WERE ALSO MR. JUVENIL ASHWINKUMAR JANI
AUTHORISED SIGNATORY GREEN INFRA MR. JUVENIL ASHWINKUMAR JANI AUTHORISED SIGNATORY GREEN INFRA MR. JUVENIL ASHWINKUMAR JANI AUTHORISED SIGNATORY GREEN INFRA MR. JUVENIL ASHWINKUMAR JANI AUTHORISED SIGNATORY GREEN INFRA MR. JUVENIL ASHWINKUMAR JANI AUTHORISED SIGNATORY GREEN INFRA MR. AVINASH SACHAN COMPANY SECRETARY DLF ASSETS PRIVATE
CONTACT ISSUER FOR Mr. Krishan Kant Asst Manager Zuari
Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 Mr. Krishan Kant Asst Manager Zuari Investments Limited Corporate One, Ist Floor, 5 MR. KRISHAN KANT COMPLIANCE OFFICER ZUARI INVESTMENTS LIMITED MR. KRISHAN KANT COMPLIANCE OFFICER ZUARI INVESTMENTS LIMITED
CONTACT ISSUER FOR MR. KRISHAN KANT COMPLIANCE
OFFICER ZUARI INVESTMENTS LIMITED CONTACT ISSUER FOR Mr. Harish Kapoor DGM Zuari Investments
Limited Corporate One 5, Commercial Centre, CONTACT ISSUER FOR Mr. Harish Kapoor DGM Zuari Investments
Limited Corporate One 5, Commercial Centre, CONTACT ISSUER FOR
![Page 122: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/122.jpg)
SEBI ISIN:
MR. RAHUL AGRAWAL DGM FINANCE BUSYBEES LOGISTICS SOLUTIONS
CONTACT ISSUER FOR MR. GANESH JADHAV AVP DEPOSIROTY
OPERATION LINK INTIME INDIA PRIVATE MR. GANESH JADHAV AVP DEPOSIROTY OPERATION LINK INTIME INDIA PRIVATE MR. GANESH JADHAV AVP DEPOSIROTY OPERATION LINK INTIME INDIA PRIVATE MR. RAJESH RAMAIAH GROUP CFO - FINANCE & ACCOUNTS TARISH
CONTACT ISSUER FOR Mr. Subhash Jadhav Team Leader - Processing
Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247 MR. MAHABIR SWAMI DIRECTOR JINDAL UNITED STEEL LIMITED HNO. 107 MR. KETAN GOGRI DIRECTOR ASHFORD INVESTMENT AND TRADING CO PRIVATE
CONTACT ISSUER FOR MR. KETAN GOGRI DIRECTOR ASHFORD
INVESTMENT AND TRADING CO PRIVATE CONTACT ISSUER FOR MS. SHEETAL MARATHE COMPANY
SECRETARY DIVGI TORQTRANSFER CONTACT ISSUER FOR MR. SUDHAKAR SHETTY MANAGER -
FINANCE OPUS SOFTWARE CONTACT ISSUER FOR MR. KOUSTUBH SHAHA CHIEF
FINANCIAL OFFICER WHEELSEMI CONTACT ISSUER FOR MS. NISHA JOLY COMPANY SECRETARY
SURYA CHILDREN'S MEDICARE PRIVATE CONTACT ISSUER FOR MR. RAJESH RAMAIAH GROUP CFO
PRAZIM TRADING AND INVESTMENT CONTACT ISSUER FOR MR. RAJESH RAMAIAH GROUP CFO
PRAZIM TRADING AND INVESTMENT CONTACT ISSUER FOR MR. RAJESH RAMAIAH GROUP CFO
PRAZIM TRADING AND INVESTMENT MR. RAJESH RAMAIAH GROUP CFO PRAZIM TRADING AND INVESTMENT Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247
MATURE ALSO ON Mr. Subhash Jadhav Team Leader - Processing
Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247
CONTACT ISSUER FOR Mr. Subhash Jadhav Team Leader - Processing
Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247
CONTACT ISSUER FOR Mr. Jagdish Mehta Sr. General Manager
( Finance)& Company Secretary ALIDAC CONTACT ISSUER FOR Mr.Sudam Rajiwade Authorised Signatory
VEENA INVESTMENTS PRIVATE LIMITED CONTACT ISSUER FOR Mr.Sudam Rajiwade Authorised Signatory
VEENA INVESTMENTS PRIVATE LIMITED CONTACT ISSUER FOR Mr.Sudam Rajiwade Authorised Signatory
BRIGGS TRADING COMPANY PRIVATE CONTACT ISSUER FOR MS. VANDANA SANTOSH PRABHU
DIRECTOR ROCKDUDE IMPEX PRIVATE CONTACT ISSUER FOR MS. SRIHARSHA MAJETY DIRECTOR
BUNDL TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. SRIHARSHA MAJETY DIRECTOR
BUNDL TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. SRIHARSHA MAJETY DIRECTOR
BUNDL TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. SRIHARSHA MAJETY DIRECTOR
BUNDL TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. SRIHARSHA MAJETY DIRECTOR
BUNDL TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. SRIHARSHA MAJETY DIRECTOR
BUNDL TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. SRIHARSHA MAJETY DIRECTOR
BUNDL TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. SRIHARSHA MAJETY DIRECTOR
BUNDL TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. SRIHARSHA MAJETY DIRECTOR
BUNDL TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. ALPA GANDHI COMPANY
SECRETARY MIDCO LIMITED METRO MR. SAMIR RAVAL COMPANY SECRETARY & ACP (LEGAL) BHARAT
CONTACT ISSUER FOR MR. SAMIR RAVAL COMPANY
SECRETARY & ACP (LEGAL) BHARAT CONTACT ISSUER FOR MR. RAJIV GANDHI DIRECTOR MA
MULTI-TRADE PRIVATE LIMITED 106-107, MR. KAMALJEET KAUR SIDDHU COMPANY SECRETARY CITY
SHARES WERE ALSO MS. NEHA BANSAL DIRECTOR
LENSKART SOLUTIONS PRIVATE LIMITED CONTACT ISSUER FOR MR. SANTOSH N. DIWANE COMPANY
SECRETARY MANAS AGRO INDUSTRIES
![Page 123: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/123.jpg)
MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MERIL ENDO MS. RUBI CHATURVEDI COMPANY SECRETARY STAR AGRIWAREHOUSING
CONTACT ISSUER FOR MR. YOGESH KOLWALKAR AUTHORISED
REPRESENTATIVE KANDLA MR. SAMIR RAVAL COMPANY SECRETARY & ACP (LEGAL) BHARAT
CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. JASMINDER GULATI CEO
NOWFLOATS TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. S A K NARAYANAN VICE PRESIDENT
& COMPANY SECRETARY D B REALTY MR. K.M. ASWIN KUMAR CHIEF FINANCIAL OFFICER HEALTHVISTA MR. VIREN M SHAH ACCOUNTS & FINANCE CLEAN MAX ENVIRO ENERGY
CONTACT ISSUER FOR MR. VIREN M SHAH ACCOUNTS &
FINANCE CLEAN MAX ENVIRO ENERGY CONTACT ISSUER FOR MR. ANKIT SIGNH LEGAL ADVISOR
91STREETS MEDIA TECHNOLOGIES CONTACT ISSUER FOR MR. SANTOSH KUMAR PODDAR
DIRECTOR GANGES SECURITIES LIMITED MR. MAHABIR PRASHAD SWAMI DIRECTOR JINDAL COKE LIMITED HNO. MR. ARVIND KR. KHATER MANAGER - COMPANY SECRETARY & LEGAL EYE-Q
CONTACT ISSUER FOR MR. ARVIND KR. KHATER MANAGER -
COMPANY SECRETARY & LEGAL EYE-Q CONTACT ISSUER FOR MR. NISHANT PARHAD COMPLIANCE
OFFICER BAIDYANATH RENEWABLES CONTACT ISSUER FOR MR. RAJESH PATHAK AUTHORISED
SIGNATORY RYKA COMMERCIAL CONTACT ISSUER FOR MR. RAJESH PATHAK AUTHORISED
SIGNATORY RYKA COMMERCIAL MS. ANAAYA KHUSHALANI COMPANY SECRETARY PERLCON PREMIX PRIVATE MS. ADITI BHOR COMPANY SECRETRY MAHARASHTRA SAFE CHEMISTS & MR. SUDHAKAR SHETTY MANAGER - FINANCE OPUS SOFTWARE
CONTACT ISSUER FOR MR. ASHISH SHARMA DIRECTOR
BRIDGEI2I ANALYTICS SOLUTIONS CONTACT ISSUER FOR MR. SANJAY KUMAR MUTHA DIRECTOR
FUTURE SPECIALITY RETAIL LIMITED CONTACT ISSUER FOR MR. RAJEEV JAIN FINANCE
DEPARTMENT OPJ TRADING PRIVATE CONTACT ISSUER FOR MR. RAJEEV JAIN FINANCE
DEPARTMENT OPELINA FINANCE AND CONTACT ISSUER FOR MR. RAJEEV JAIN FINANCE
DEPARTMENT GAGAN INFRAENERGY CONTACT ISSUER FOR MR. PRAKASH KHEMANI MANAGER -
ACCOUNTS ANILINE CONSTRUCTION CONTACT ISSUER FOR Mr. Subhash Jadhav Team Leader - Processing
Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247 Mr. Subhash Jadhav Team Leader - Processing Link Intime India Private Limited C 101, 247 MR. VINOD JADHAV EXECUTIVE - ACCOUNTS DURABUILD TECHNOLOGIES
![Page 124: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/124.jpg)
MS. MANISHA VHATKAR COMPANY SECRETARY SUNGRO SEEDS PRIVATE MR. SANTOSH PAWAR ASSOCIATE COMPANY SECRETARY KIRAN ENERGY
CONTACT ISSUER FOR MR. SANTOSH PAWAR ASSOCIATE
COMPANY SECRETARY KIRAN ENERGY CONTACT ISSUER FOR MR. SANTOSH PAWAR ASSOCIATE
COMPANY SECRETARY KIRAN ENERGY CONTACT ISSUER FOR MR. SANTOSH PAWAR ASSOCIATE
COMPANY SECRETARY KIRAN ENERGY CONTACT ISSUER FOR MR. SANTOSH PAWAR ASSOCIATE
COMPANY SECRETARY KIRAN ENERGY CONTACT ISSUER FOR MR. SANTOSH PAWAR ASSOCIATE
COMPANY SECRETARY KIRAN ENERGY CONTACT ISSUER FOR MR. SANTOSH PAWAR ASSOCIATE
COMPANY SECRETARY KIRAN ENERGY CONTACT ISSUER FOR MR. SANTOSH PAWAR ASSOCIATE
COMPANY SECRETARY KIRAN ENERGY CONTACT ISSUE FOR Mr. Subhash Jadhav Team Leader - Processing
Link Intime India Private Limited C 101, 247 THE SHARES WOULD BE Mr. Jagdish Mehta Sr. General Manager
( Finance)& Company Secretary ALIDAC CONTACT ISSUER FOR Mr. Jagdish Mehta Sr. General Manager
( Finance)& Company Secretary ALIDAC CONTACT ISSUER FOR Mr. Jagdish Mehta Sr. General Manager
( Finance)& Company Secretary ALIDAC CONTACT ISSUER FOR Mr. Jagdish Mehta Sr. General Manager
( Finance)& Company Secretary ALIDAC CONTACT ISSUER FOR Mr. Jagdish Mehta Sr. General Manager
( Finance)& Company Secretary ALIDAC CONTACT ISSUER FOR Mr. Jagdish Mehta Sr. General Manager
( Finance)& Company Secretary ALIDAC CONTACT ISSUER FOR Mr. Jagdish Mehta Sr. General Manager
( Finance)& Company Secretary ALIDAC CONTACT ISSUER FOR Mr. Jagdish Mehta Sr. General Manager
( Finance)& Company Secretary ALIDAC CONTACT ISSUER FOR MR. A. NARAYAN ATHORISED
REPRESENTATIVE PIRAMAL ESTATES MR. A. NARAYAN ATHORISED REPRESENTATIVE PIRAMAL ESTATES MR. SAMIR RAVAL COMPANY SECRETARY & ACP (LEGAL) BHARAT
CONTACT ISSUER FOR MR. MANOHAR NAGULA FINANCE
HYGIENIC RESEARCH INSTITUTE CONTACT ISSUER FOR MR. RAJIV GANDHI DIRECTOR MA
MULTI-TRADE PRIVATE LIMITED 106-107, MR. RAJIV GANDHI DIRECTOR MA MULTI-TRADE PRIVATE LIMITED 106-107, MR. VISHWA JOSHI VP NORTH INDIA OPERATIONS LINK INTIME INDIA
CONTACT ISSUER FOR MR. SIDDHARTH MANGHARAM
DIRECTOR FLOH NETWORK PRIVATE CONTACT ISSUER FOR MR. SIDDHARTH MANGHARAM
DIRECTOR FLOH NETWORK PRIVATE CONTACT ISSUER FOR Mr. Sunil Malik Company Secretary S V
Creditline Private Limited 5th Floor, Tower B, S MS. MUKTA KHETERPAL HEAD - SECRETARIAL OSTRO ENERGY PRIVATE
CONTACT ISSUER FOR MS. MUKTA KHETERPAL HEAD -
SECRETARIAL OSTRO ENERGY PRIVATE CONTACT ISSUER FOR MS. MUKTA KHETERPAL HEAD -
SECRETARIAL OSTRO ENERGY PRIVATE CONTACT ISSUER FOR MS. MUKTA KHETERPAL HEAD -
SECRETARIAL OSTRO ENERGY PRIVATE CONTACT ISSUER FOR MS. MUKTA KHETERPAL HEAD -
SECRETARIAL OSTRO ENERGY PRIVATE CONTACT ISSUER FOR MS. MUKTA KHETERPAL HEAD -
SECRETARIAL OSTRO ENERGY PRIVATE CONTACT ISSUER FOR MS. NEHA BANSAL DIRECTOR
LENSKART SOLUTIONS PRIVATE LIMITED CONTACT ISSUER FOR MS. NEHA BANSAL DIRECTOR
LENSKART SOLUTIONS PRIVATE LIMITED CONTACT ISSUER FOR MS. NEHA BANSAL DIRECTOR
LENSKART SOLUTIONS PRIVATE LIMITED CONTACT ISSUER FOR MR. HIMMAT LODHA GROUP SENIOR
GENERAL MANAGER MERIL MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MERIL MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MICRO LIFE MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MICRO LIFE MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MICRO LIFE MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MICRO LIFE MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MICRO LIFE MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MICRO LIFE MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MICRO LIFE MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MERIL ENDO MS. BELA RAJPUT DIRECTOR TORUS BUILDCON PRIVATE LIMITED 106, 1ST
![Page 125: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/125.jpg)
MS. RUBI CHATURVEDI COMPANY SECRETARY STAR AGRIWAREHOUSING
CONTACT ISSUER FOR MR. NITIN AGARWAL DIRECTOR BEE
SECURE HOME FINANCE PRIVATE CONTACT ISSUER FOR MR. HIMMAT LODHA GROUP SENIOR
GENERAL MANAGER MERIL LIFE MS. KASTURI S MANAGER - LEGAL & COMPANY SECRETARY GLOBAL
CONTACT ISSUER FOR MS. KASTURI S MANAGER - LEGAL &
COMPANY SECRETARY GLOBAL CONTACT ISSUER FOR MS. KASTURI S MANAGER - LEGAL &
COMPANY SECRETARY GLOBAL CONTACT ISSUER FOR MS. KASTURI S MANAGER - LEGAL &
COMPANY SECRETARY GLOBAL CONTACT ISSUER FOR MS. KASTURI S MANAGER - LEGAL &
COMPANY SECRETARY GLOBAL CONTACT ISSUER FOR MS. KASTURI S MANAGER - LEGAL &
COMPANY SECRETARY GLOBAL CONTACT ISSUER FOR MS. KASTURI S MANAGER - LEGAL &
COMPANY SECRETARY GLOBAL CONTACT ISSUER FOR MR. ARVIND KR. KHATER MANAGER -
COMPANY SECRETARY & LEGAL EYE-Q CONTACT ISSUER FOR MR. ARVIND KR. KHATER MANAGER -
COMPANY SECRETARY & LEGAL EYE-Q CONTACT ISSUER FOR MR. ARVIND KR. KHATER MANAGER -
COMPANY SECRETARY & LEGAL EYE-Q CONTACT ISSUER FOR MR. ARVIND KR. KHATER MANAGER -
COMPANY SECRETARY & LEGAL EYE-Q CONTACT ISSUER FOR MR. ARVIND KR. KHATER MANAGER -
COMPANY SECRETARY & LEGAL EYE-Q MR. JASMINDER GULATI CEO NOWFLOATS TECHNOLOGIES PRIVATE
CONTACT ISSUER FOR MR. YOGESH KOLWALKAR AUTHORISED
REPRESENTATIVE PARADIP MR. YOGESH KOLWALKAR AUTHORISED REPRESENTATIVE PARADIP MR. PARIMAL PAREKH MANAGING DIRECTOR TERRAM GEOSYNTHETICS
CONTACT ISSUER FOR MS. RITU KUMAR DIRECTOR KEYMAN
FINANCIAL SERVICES PRIVATE LIMITED CONTACT ISSUER FOR MS. RITU KUMAR DIRECTOR KEYMAN
FINANCIAL SERVICES PRIVATE LIMITED CONTACT ISSUER FOR MR. KEDAR NATU SECRETARIAL
CHITRALI PROPERTIES PRIVATE LIMITED MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MERIL MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MERIL MR. K.M. ASWIN KUMAR CHIEF FINANCIAL OFFICER HEALTHVISTA
CONTACT ISSUER FOR MR. K.M. ASWIN KUMAR CHIEF
FINANCIAL OFFICER HEALTHVISTA CONTACT ISSUER FOR MR. K.M. ASWIN KUMAR CHIEF
FINANCIAL OFFICER HEALTHVISTA CONTACT ISSUER FOR MR. K.M. ASWIN KUMAR CHIEF
FINANCIAL OFFICER HEALTHVISTA CONTACT ISSUER FOR MR. DEEPAK POSWAL DIRECTOR
ZOLTON PROPERTIES PRIVATE LIMITED MR. VISHWANATH SHET CHIEF FINANCIAL OFFICER 3D PLM SOFTWARE MR. NISHANT PARHAD COMPLIANCE OFFICER DEV-DWARKA WINDPROJECT
CONTACT ISSUER FOR MR. VIREN M SHAH ACCOUNTS &
FINANCE CLEAN MAX ENVIRO ENERGY CONTACT ISSUER FOR MR. VIREN M SHAH ACCOUNTS &
FINANCE CLEAN MAX ENVIRO ENERGY CONTACT ISSUER FOR MR. VIREN M SHAH ACCOUNTS &
FINANCE CLEAN MAX ENVIRO ENERGY CONTACT ISSUER FOR MR. VIREN M SHAH ACCOUNTS &
FINANCE CLEAN MAX ENVIRO ENERGY CONTACT ISSUER FOR MR. ANKIT SIGNH LEGAL ADVISOR
91STREETS MEDIA TECHNOLOGIES CONTACT ISSUER FOR MR. KETAN GOGRI DIRECOR ASHFORD
CONSTRUCTIONS PRIVATE LIMITED 10, CONTACT ISSUER FOR MR. SURESH MAHESHWARI DIRECTOR
BAJAJ CAPIAL VENTURES PRIVATE MR. SANDEEP NAIR GENERAL MANAGER - OPERATIONS ARINNA LIFESCIENCES
CONTACT ISSUER FOR MR. PRASHANT KAMAT CHIEF
EXECUTIVE OFFICER ALLYGROW CONTACT ISSUER FOR MR. PRASHANT KAMAT CHIEF
EXECUTIVE OFFICER ALLYGROW CONTACT ISSUER FOR MR. PRASHANT KAMAT CHIEF
EXECUTIVE OFFICER ALLYGROW CONTACT ISSUER FOR Mr. Vishwa Joshi Vice President North India
Operations Link Intime India Private Limited CONTACT ISSUER FOR MR. RAVI RAJAGOPALAN DIRECTOR
EMPAYS PAYMENT SYSTEMS INDIA CONTACT ISSUER FOR MR. RAVI RAJAGOPALAN DIRECTOR
EMPAYS PAYMENT SYSTEMS INDIA CONTACT ISSUER FOR MR. RAVI RAJAGOPALAN DIRECTOR
EMPAYS PAYMENT SYSTEMS INDIA CONTACT ISSUER FOR MR. RAVI RAJAGOPALAN DIRECTOR
EMPAYS PAYMENT SYSTEMS INDIA CONTACT ISSUER FOR MR. RAVI RAJAGOPALAN DIRECTOR
EMPAYS PAYMENT SYSTEMS INDIA CONTACT ISSUER FOR
![Page 126: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/126.jpg)
MR. PRASHANT KAMATH MANAGING DIRECTOR AUTOCAL SOLUTIONS
PLEASE CONTACT MR. ASHISH TIWARI COMPANY
SECRETARY RSB TRANSMISSIONS (I) PURSUANT TO THE MR. ANUJ KALIA AUTHORISED PERSON
ANSAL URBAN CONDOMINIUMS PRIVATE SHARES WERE ALSO MR. SANDEEP NAIR GENERAL MANAGER
- OPERATIONS ARINNA LIFESCIENCES CONTACT ISSUER FOR MR. TANSUKH DHAKAN HEAD
ACCOUNTS ECOOL GAMING SOLUTIONS MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MERIL LIFE MR. HIMMAT LODHA GROUP SENIOR GENERAL MANAGER MERIL LIFE MS. NEELAM DESAI COMPANY SECRETARY IL&FS FINANCIAL SERVICES MR. HEMANT DHINGRA AUTHORISED SIGNATORY VISTAS COMPLEXES MR. HEMANT DHINGRA AUTHORISED SIGNATORY VISTAS COMPLEXES MR. HEMANT DHINGRA AUTHORISED SIGNATORY VISTAS COMPLEXES MR. HEMANT DHINGRA AUTHORISED SIGNATORY VISTAS COMPLEXES MR. MAYUR MAHESHWARI SECRETARIAL CLEAN WIND POWER MR. MAYUR MAHESHWARI SECRETARIAL CLEAN WIND POWER MR. ANIL CHINTAMAN KULKARNI DIRECTOR PRAKAR INVESTMENTS MR. RAVI RAJAGOPALAN DIRECTOR EMPAYS PAYMENT SYSTEMS INDIA
CONTACT ISSUER FOR MR. RAVI RAJAGOPALAN DIRECTOR
EMPAYS PAYMENT SYSTEMS INDIA CONTACT ISSUER FOR MR. PRANAY DOKANIA GM - FINANCE
JCB SALONS PRIVATE LIMITED 1ST MR. PRABHU MAMIDI HEAD - FINANCE AMAGI MEDIA LABS PRIVATE LIMITED
CONTACT ISSUER FOR MR. PRABHU MAMIDI HEAD - FINANCE
AMAGI MEDIA LABS PRIVATE LIMITED Mr. Hemant Dhingra Director White Feather Estates Private Limited 54, Janpath, New Delhi - MR. SAMIR RAHEJA SAVP & COMPANY SECRETARY IFCI FACTORS LIMITED IFCI MR. BHARAT JOSHI DIRECTOR MERITON INFOTECH PRIVATE LIMITED 21 FREE
CONTACT ISSUER FOR MR. NACHIKET S SHELGIKAR DIRECTOR
MOBILE SEARCH ENGINE PRIVATE MR. NACHIKET S SHELGIKAR DIRECTOR MOBILE SEARCH ENGINE PRIVATE MR. NACHIKET S SHELGIKAR DIRECTOR MICRO HOUSING SOLUTIONS INDIA MR. NACHIKET S SHELGIKAR DIRECTOR BLACK SWAN VENTURE CAPITAL MR. MAYANK KAKKAR COMPANY SECRETARY JINDAL INDIA POWERTECH MR. KOTLA STYANARAYANA HEAD - FINANCE ECOM EXPRESS PRIVATE
SHARES WERE ALSO MR. MAYUR MAHESHWARI
SECRETARIAL CLEAN WIND POWER MR. MAYUR MAHESHWARI SECRETARIAL CLEAN WIND POWER MR. KALPESH BAMBHAROLIA CHAIRMAN & DIRECTOR MAHARASHTRA MR. KALPESH BAMBHAROLIA CHAIRMAN & DIRECTOR MAHARASHTRA MR. KALPESH BAMBHAROLIA CHAIRMAN & DIRECTOR MAHARASHTRA MR. MUNIR MOHANTY DIRECTOR ORISSA SPONGE IRON AND STEEL LTD MR. RAVINDRA GUPTA AUTHORISED SIGNTORY RUDRAPRATAP DEVELOPERS MS. SHEETAL NAIK AUTHORISED OFFICER KOHINOOR HOSPITALS MS. SHEETAL NAIK AUTHORISED OFFICER KOHINOOR HOSPITALS MS. SHEETAL NAIK AUTHORISED OFFICER KOHINOOR HOSPITALS MS. SHEETAL NAIK AUTHORISED OFFICER KOHINOOR HOSPITALS MS. SHEETAL NAIK AUTHORISED OFFICER KOHINOOR ELITE HOTELS MR. DEEPAK MODI SECRETARIAL & COMPLIANCE WELSPUN ENERGY
CONTACT ISSUER FOR MS. MADHAVI KULKARNI ACCOUNTANT
NEOGEN CHEMICALS LIMITED 115 MR. JAYESH N. MEHTA DIRECTOR NAVKAR CORPORATION LIMITED 205-206, MR. HEMANT DHINGRA DIRECTOR BINDAS REALTORS PRIVATE LIMITED 54, MR. A. NARAYAN DIRECTOR PIRAMAL REALTY PRIVATE LIMITED PIRAMAL
CONTACT ISSUER FOR MR. A. NARAYAN DIRECTOR PIRAMAL
REALTY PRIVATE LIMITED PIRAMAL CONTACT ISSUER FOR MR. TARIQ CHINOY CHIEF FINANCIAL
OFFICER INDIA ALTERNATIVES COTNACT ISSUER FOR
![Page 127: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/127.jpg)
MR. HIMMAT LODHA GROUP SR. G.M. (ACCOUNTS & TAXATION) MEXUS Ms. NEHA VERMA COMPANY SECRETARY ACULIFE HEALTHCARE MR. ASHISH BATRA COMPANY SECRETARY MILLENNIUM CITY
CONTACT ISSUER FOR MR. A. NARAYAN AUTHORISED
REPRESENTATIVE PRL DEVELOPERS CONTACT ISSUER FOR MR. KOTLA STYANARAYANA HEAD -
FINANCE ECOM EXPRESS PRIVATE Mr. Sanjeev Kumar Singhal Sr. Manager-Secretarial & Finance RHC Holding Private MS. NEHA MITTAL COMPANY SECRETARY INDIAMART INTERMESH
SHARES WERE ALSO MR. PRASHANT HEGDE CFO SYNERGY
PROPERTY DEVELOPMENT SERVICES MR. SUDESH CHINCHEWADI HEAD-FINANCE & COMPANY SECRETARY
CONTACT ISSUER FOR MR. SUDESH CHINCHEWADI HEAD-
FINANCE & COMPANY SECRETARY CONTACT ISSUER FOR MS. NEHA BANSAL DIRECTOR VALYOO
TECHNOLOGIES PRIVATE LIMITED T-27, ALLOTMENT ARE ALSO MS. NEHA BANSAL DIRECTOR VALYOO
TECHNOLOGIES PRIVATE LIMITED T-27, MR. PRABHU MAMIDI HEAD - FINANCE AMAGI MEDIA LABS PRIVATE LIMITED
CONTACT ISSUER FOR MS. AYUSHI ABHAY AUTHORISED
PERSON INDUS TREE CRAFTS PRIVATE CONTACT ISSUER FOR MR. SITESH JOSHI AUTHORISED
SIGNATORY/GOVERNANCE DEPT MR. SITESH JOSHI AUTHORISED SIGNATORY/GOVERNANCE DEPT MR. SITESH JOSHI AUTHORISED SIGNATORY/GOVERNANCE DEPT MR. JASPAL SINGH SABHARWAL DIRECTOR PAN INDIA FOOD SOLUTIONS
COMPULSORILY BE MR. JASPAL SINGH SABHARWAL
DIRECTOR PAN INDIA FOOD SOLUTIONS COMPULSORILY BE MR. JASPAL SINGH SABHARWAL
DIRECTOR PAN INDIA FOOD SOLUTIONS COMPULSORILY BE MR. JASPAL SINGH SABHARWAL
DIRECTOR PAN INDIA FOOD SOLUTIONS COMPULSORILY TO BE MR. JASPAL SINGH SABHARWAL
DIRECTOR PAN INDIA FOOD SOLUTIONS COMPULSORILY CE MR. JASPAL SINGH SABHARWAL
DIRECTOR PAN INDIA FOOD SOLUTIONS CONTACT ISSUER FOR MR. JASPAL SINGH SABHARWAL
DIRECTOR PAN INDIA FOOD SOLUTIONS CONTACT ISSUER FOR MR. GAURAV SOOD DIRECTOR
SOLAIREDIRECT PROJECTS INDIA CONTACT ISSUER FOR MR. SADANAND D. BAPAT DIRECTOR
ADLERS BIO-ENERGY LIMITED 1ST CONTACT ISSUER FOR MR. SADANAND D. BAPAT DIRECTOR
ADLERS BIO-ENERGY LIMITED 1ST CONTACT ISSUER FOR MR. SADANAND D. BAPAT DIRECTOR
ADLERS BIO-ENERGY LIMITED 1ST CONTACT ISSUER FOR Mr. Pankaj Thapar Director Everstone Capital
Advisors Private Limited One Indiabulls Center, MR. NAGARAAJAN IYER MANAGER - INVESTOR SERVICES L&T INFRA DEBT
33% EACH OF THE TOTAL MR. NAGARAJAN IYER MANAGER -
INVESTOR SERVICES L & T FINANCE MR. NAGARAJAN IYER MANAGER - INVESTOR SERVICES L & T FINANCE MR. NAGARAJAN IYER MANAGER - INVESTOR SERVICES L & T FINANCE MR. NAGARAJAN IYER MANAGER - INVESTOR SERVICES L & T FINANCE Mr.RAJESH PUNJANI GM (FINANCE & ACCOUNTS) & COMPANY SECRETARY B MR. DEEPAK MODI SECRETARIAL & COMPLIANCE WELSPUN ENERGY
CONTACT ISSUER FOR MR. MANISH PATEL DIRECTOR MSWIPE
TECHNOLOGIES PRIVATE LIMITED KT CONTACT ISSUER FOR MR. MANISH PATEL DIRECTOR MSWIPE
TECHNOLOGIES PRIVATE LIMITED KT CONTACT ISSUER FOR Mr. Vishwa Joshi Vice President-Corporate
Registry Link Intime India Private Limited 44 MR. DEEPAK MODI SECRETARIAL & COMPLIANCE WELSPUN ENERGY
CONTACT ISSUER FOR MR. THIRU P. REDDY SVP - BUSINESS
OPERATIONS STRAND LIFE SCIENCES CONTACT ISSUER FOR MR. DHARAMVIR MALIK DIRECTOR
AKUMENTIS HEALTHCARE LIMITED 206, CONTACT ISSUER FOR MR. SREEJITH RAJ P COMPANY
SECRETARY KALYAN JEWELLERS INDIA CONTACT ISSUER FOR MR. TARUN KHURANA AUTHORISED
SIGNATORY-GOVERNANCE DEPT. Ms. Jyotsana Herwadkar Company Secretary WEST GUJARAT EXPRESSWAY LIMITED Mr. K. RAMESH COMPANY SECRETARY AIRCEL CELLULAR LIMITED 5th Floor, Mr. K. RAMESH COMPANY SECRETARY AIRCEL CELLULAR LIMITED 5th Floor, MR. PRABHU MAMIDI HEAD - FINANCE AMAGI MEDIA LABS PRIVATE LIMITED
CONTACT ISSUER FOR
![Page 128: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/128.jpg)
MR. PRABHU MAMIDI HEAD - FINANCE AMAGI MEDIA LABS PRIVATE LIMITED
CONTACT ISSUER FOR MR. PRABHU MAMIDI HEAD - FINANCE
AMAGI MEDIA LABS PRIVATE LIMITED CONTACT ISSUER FOR MR. PRABHU MAMIDI HEAD - FINANCE
AMAGI MEDIA LABS PRIVATE LIMITED MR. SAMIR RAHEJA SAVP & COMPANY SECRETARY IFCI FACTORS LIMITED IFCI MR. KOTLA STYANARAYANA HEAD - FINANCE ECOM EXPRESS PRIVATE
CONTACT ISSEUR FOR MS. SHEETAL NAIK AUTHORISED
OFFICER KOHINOOR ELITE HOTELS MR. HEMANT DHINGRA DIRECTOR GREEN BIOFUELS FARMS PRIVATE MR. TARUN KHURANA AUTHORISED SIGNATORY EDELWEISS INVESTMENT MS. MADHAVI KULKARNI ACCOUNTANT NEOGEN CHEMICALS LIMITED 115
CONTACT ISSUER FOR MR. SUBRAHMANYA SRINIVAS SISTA
CHIEF FINANCIAL OFFICER ENERGON CONTACT ISSUER FOR MR. SANJEEV KUMAR SINGHAL
AUTHORISED SIGNATORY ORLANDO MR. HEMANT DHINGRA DIRECTOR - FINANCE FORTIS GLOBAL HEALTHCARE MR. HEMANT DHINGRA DIRECTOR BINDAS REALTORS PRIVATE LIMITED 54, MR. HEMANT DHINGRA DIRECTOR BINDAS REALTORS PRIVATE LIMITED 54, MR. HEMANT DHINGRA DIRECTOR BINDAS REALTORS PRIVATE LIMITED 54, MR. HEMANT DHINGRA DIRECTOR BINDAS REALTORS PRIVATE LIMITED 54, MR. PIYUSH NAGORI CFO BLUE SAPPHIRE HEALTHCARES PRIVATE
CONTACT ISSUER FOR MR. NISHANT PARHAD COMPANY
SECRETARY DEPT MARKDATA CONTACT ISSUER FOR MR. HIMMAT LODHA GROUP SR. G.M.
(ACCOUNTS & TAXATION) MEXUS MS. SARITA MOTE CLIENT CORDINATOR LINK INTIME INDIA PRIVATE LIMITED C-MR. ASHISH AGARWAL DIRECTOR RELIANCE MEDIAWORKS MR. SUBRAHMANYA SRINIVAS SISTA AUTHORISED SIGNATORTY ENERGON
CONTACT ISSUER FOR MR. SUBRAHMANYA SRINIVAS SISTA
AUTHORISED SIGNATORTY ENERGON CONTACT ISSUER FOR MR. SUBRAHMANYA SRINIVAS SISTA
AUTHORISED SIGNATORTY ENERGON CONTACT ISSUER FOR MR. VIVEK NIRMAL MANAGING
DIRECTOR SUNFRESH AGRO INDUSTRIES MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL & FINANCE MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL & FINANCE MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL & FINANCE MR. HEMANT DHINGRA DIRECTOR SHIMAL HEALTHCARE PRIVATE LIMITED MR. A. NARAYAN AUTHORISED REPRESENTATIVE PRL DEVELOPERS
CONTACT ISSUER FOR MR. A. NARAYAN AUTHORISED
REPRESENTATIVE PRL DEVELOPERS MS. NEHA MITTAL COMPANY SECRETARY INDIAMART INTERMESH
SHARES WERE ALSO MS. NEHA MITTAL COMPANY
SECRETARY INDIAMART INTERMESH CONTACT ISSUER FOR MR. RAMESH SHETTY AUTHORISED
SIGNATORY ALSPUN INFRASTRUCTURE MR. RAMESH SHETTY AUTHORISED SIGNATORY ALSPUN INFRASTRUCTURE MS. KANIKA MATHUR COMPANY SECRETARY EAST DELHI WASTE
SHARES WERE ALSO MR. NAGARAAJAN IYER MANAGER -
INVESTOR SERVICES L&T INFRA DEBT 33% WILL REDEEM ON MR. SUDESH CHINCHEWADI HEAD-
FINANCE & COMPANY SECRETARY CONTACT ISSUER FOR MR. SUDESH CHINCHEWADI HEAD-
FINANCE & COMPANY SECRETARY CONTACT ISSUER FOR MR. SUDESH CHINCHEWADI HEAD-
FINANCE & COMPANY SECRETARY CONTACT ISSUER FOR MR. SUDESH CHINCHEWADI HEAD-
FINANCE & COMPANY SECRETARY CONTACT ISSUER FOR MR. SUDESH CHINCHEWADI HEAD-
FINANCE & COMPANY SECRETARY CONTACT ISSUER FOR MR. SUDESH CHINCHEWADI HEAD-
FINANCE & COMPANY SECRETARY CONTACT ISSUER FOR MR. JASPAL SINGH SABHARWAL
DIRECTOR PAN INDIA FOOD SOLUTIONS CONTACT ISSUER FOR MR. JASPAL SINGH SABHARWAL
DIRECTOR PAN INDIA FOOD SOLUTIONS CONTACT ISSUER FOR MR. SITESH JOSHI AUTHORISED
SIGNATORY EDELWEISS BROKING MS. JIGNASHA CHETAN THAKKAR COMPANY SECRETARY RUNWAL
EACH CCPS SHALL BE MS. JIGNASHA CHETAN THAKKAR
COMPANY SECRETARY RUNWAL EACH CCPS SHALL BE
![Page 129: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/129.jpg)
SEBI ISIN:
MS. JIGNASHA CHETAN THAKKAR COMPANY SECRETARY RUNWAL MR. ANOOP TOGATAVEER MANAGER - FINANCE KALKI COMMUNICATION
{¿¿(TOTAL EQUITY MR. ANOOP TOGATAVEER MANAGER -
FINANCE KALKI COMMUNICATION SEREIS B PREFERENCE Mr. Vishwa Joshi Vice President-Corporate
Registry Link Intime India Private Limited 44 CONTACT ISSUER FOR Mr. Vishwa Joshi Vice President-Corporate
Registry Link Intime India Private Limited 44 CONTACT ISSUER FOR MR. PANKAJ THAPAR DIRECTOR PAN
INDIA FOOD SOLUTIONS PRIVATE PREFERENCE SHARES MS. POOJA DOSHI COMPANY SECRETARY
- GOVERNANCE DEPT. ALLIUM FINANCE CONTACT ISSUER FOR MS. POOJA DOSHI COMPANY SECRETARY
- GOVERNANCE DEPT. ALLIUM FINANCE CONTACT ISSUER FOR MR. YOGESH KOLWALKAR VICE
PRESIDENT - COMPLIANCE BOXCO MR. YOGESH KOLWALKAR VICE PRESIDENT - COMPLIANCE BOXCO MR. YOGESH KOLWALKAR VICE PRESIDENT - COMPLIANCE BOXCO MR. YOGESH KOLWALKAR VICE PRESIDENT - COMPLIANCE BOXCO MS. RICHA JAISWAL ASSISTANT MANAGER - CS DEPT. ABHIJEET MS. JYOTI KALLOLI COMPLIANCE OFFICER NEPTUNE VENTURES AND
OCPS WERE ALSO Mr. Vikas Oberoi Director I- Ven Realty
Limited Commerz, 3rd Floor, International MR. V. SRIDHAR CHIEF FINANCIAL OFFICER MAINI PRECISION PRODUCTS
CONTACT ISSUER FOR MR. ASHU C. SOOD COMPANY
SECRETARY & CHIEF FINANCIAL CONTACT ISSUER FOR MR. ASHU C. SOOD COMPANY
SECRETARY & CHIEF FINANCIAL CONTACT ISSUER FOR MR. VASUDEV RAO COMPANY
SECRETARY NSE STRATEGIC CONTACT ISSUER FOR MS. SMITA NAIR SENIOR EXECUTIVE
STUISH CAPITAL SERVICES PRIVATE PREFERENCE SHARES MR. PRAMOD CHAUHAN COMPANY
SECRETARY JINDAL INDIA POWERTECH MR. VASUDEV RAO COMPANY SECRETARY NSE STRATEGIC
CONTACT ISSUER FOR MR. V. SRIDHAR CHIEF FINANCIAL
OFFICER MAINI PRECISION PRODUCTS CONTACT ISSUER FOR MR. RAJPAL AHUJA COMPANY
SECRETARY IL&FS ENERGY PREFERENCE SHARES ARE MR. V SRINIVAS RAO SENIOR MANAGER
(CORPORATE SECRETARIAL) MR. V SRINIVAS RAO SENIOR MANAGER (CORPORATE SECRETARIAL) MR. V SRINIVAS RAO SENIOR MANAGER (CORPORATE SECRETARIAL) MR. V SRINIVAS RAO SENIOR MANAGER (CORPORATE SECRETARIAL) MR. V SRINIVAS RAO SENIOR MANAGER (CORPORATE SECRETARIAL) MR. V SRINIVAS RAO SENIOR MANAGER (CORPORATE SECRETARIAL) MR. MANOJ A. KULKARNI AUTHORISED PERSON ASHOKA SAMBALPUR MR. G.S. KALE MANAGING DIRECTOR SHRINIWAS ENGINEERING AUTO MR. G.S. KALE MANAGING DIRECTOR SHRINIWAS ENGINEERING AUTO
CONTACT ISSUER FOR MR. N MAHADEVAN IYER V.P.
CORPORATE REGISTRY LINK INTIME MR. N MAHADEVAN IYER V.P. CORPORATE REGISTRY LINK INTIME Mr. N Mahadevan Iyer VICE PRESIDENT- CORPORATE REGISTRY Link Intime India Mr. N Mahadevan Iyer VICE PRESIDENT- CORPORATE REGISTRY Link Intime India Mr. N Mahadevan Iyer VICE PRESIDENT- CORPORATE REGISTRY Link Intime India Mr. N Mahadevan Iyer VICE PRESIDENT- CORPORATE REGISTRY Link Intime India Mr. N Mahadevan Iyer VICE PRESIDENT- CORPORATE REGISTRY Link Intime India Mr. N Mahadevan Iyer VICE PRESIDENT- CORPORATE REGISTRY Link Intime India Mr. N Mahadevan Iyer VICE PRESIDENT- CORPORATE REGISTRY Link Intime India Mr. N Mahadevan Iyer VICE PRESIDENT- CORPORATE REGISTRY Link Intime India Mr. N Mahadevan Iyer VICE PRESIDENT- CORPORATE REGISTRY Link Intime India Mr. Sanjeev Nandu Chief Executive Link Intime India Private Limited C-13, Pannalal Silk MR. SANJAY K. SACHDEV COMPANY SECRETARY/AVP-CORPORATE LEGAL
CONTACT ISSUER FOR MR. JIGNESH SHAH GROUP COMPANY
SECRETARY- CORP.SECRETARIAL DEPT MR. JIGNESH SHAH GROUP COMPANY SECRETARY- CORP.SECRETARIAL DEPT
![Page 130: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/130.jpg)
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
Mr. Vikas Oberoi Director I- Ven Realty Limited Commerz, 3rd Floor, International Mr. S.P. Guha HEAD Link Intime India Private Limited 59 C, CHOWRINGHEE ROAD 3RD Mr. S.P. Guha HEAD Link Intime India Private Limited 59 C, CHOWRINGHEE ROAD 3RD Mr. Ramesh N Shanbhag Director Kamats Super Snacks Private Limited Kamats Klub 12 Mr. Ramesh N. Shanbhag Director Kamburger Foods Private Limited C/o The Orchid 70-C Mr. Ramesh N Shanbhag Director Kamat Eateries Private Limited C/o The Orchid 70-C Mr. Ramesh N Shanbhag Director Himco Financial Management Private Limited C/O The Mr. B.N. Nayak / Mr. D.L. Sharma Dy. General Manager/Asst. Manager IFCI Limited IFCI
0.10 % COUPON Mr. B.N. Nayak / Mr. D.L. Sharma Dy. General
Manager/Asst. Manager IFCI Limited IFCI 0.10 % COUPON Mr. B.N. Nayak / Mr. D.L. Sharma Dy. General
Manager/Asst. Manager IFCI Limited IFCI 0.10 % COUPON Mr. B.N. Nayak / Mr. D.L. Sharma Dy. General
Manager/Asst. Manager IFCI Limited IFCI 0.10 % COUPON Mr. B.N. Nayak / Mr. D.L. Sharma Dy. General
Manager/Asst. Manager IFCI Limited IFCI 0.10 % COUPON Mr. B.N. Nayak / Mr. D.L. Sharma Dy. General
Manager/Asst. Manager IFCI Limited IFCI 0.10 % COUPON Ms. Sobha Shetty Company Secretary PATEL
ENGINEERING LIMITED Patel Estate Road CONTACT ISSUER FOR MR. V SRINIVAS RAO SENIOR MANAGER
(CORPORATE SECRETARIAL) Mr. Ganesh Jadhav Asst. Vice President Link Intime India Private Limited C-13, Pannalal Silk Mr. Ganesh Jadhav Asst. Vice President Link Intime India Private Limited C-13, Pannalal Silk MR. AJAY MEHRA DIRECTOR ENERCON WIND FARMS (SAI) PRIVATE LIMITED Mr. B.N. Nayak / Mr. D.L. Sharma Dy. General Manager/Asst. Manager IFCI Limited IFCI
0.10 % COUPON Mr. B.N. Nayak / Mr. D.L. Sharma Dy. General
Manager/Asst. Manager IFCI Limited IFCI 0.10 % COUPON MS. SHRUTI CHAWLA ASST. COMPANY
SECRETARY DOOR SANCHAR HYDRO Mr. Ganesh Jadhav Asst. Vice President Link Intime India Private Limited C-13, Pannalal Silk MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL & FINANCE MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL & FINANCE MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL & FINANCE MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL & FINANCE MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL & FINANCE MR. TARUN KHURANA AUTHORISED SIGNATORY EDELWEISS BROKING
CONTACT ISSUER FOR MR. RAJESH HEGDE COMPANY
SECRETARY JYOTHY FABRICARE CONTACT ISSUER FOR MR. SANJEEV KUMAR SINGHAL SR.
MANAGER - SECRETARIAL AND FINANCE MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL AND FINANCE MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL AND FINANCE MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL AND FINANCE MR. SANJEEV KUMAR SINGHAL SR. MANAGER - SECRETARIAL AND FINANCE MR. VASUDEV RAO COMPANY SECRETARY NSE STRATEGIC MR. VASUDEV RAO COMPANY SECRETARY NSE STRATEGIC MR. VASUDEV RAO COMPANY SECRETARY NSE STRATEGIC MR. VASUDEV RAO COMPANY SECRETARY NSE STRATEGIC
1 EQUITY SHARE FOR 1 MR. VASUDEV RAO COMPANY
SECRETARY NSE STRATEGIC 1 EQUITY SHARE FOR 1 MR. SUNIL AGARWAL Company Secretary
ABG SHIPYARD LIMITED 5th Floor, Bhupati CONTACT ISSUER FOR MR. RAJESH KUMAR TRIPATHI
COMPANY SECRETARY GINNI FULLY REDEEMABLMR. V SRINIVAS RAO SENIOR MANAGER
(CORPORATE SECRETARIAL) MR. V SRINIVAS RAO SENIOR MANAGER (CORPORATE SECRETARIAL) MR. V SRINIVAS RAO SENIOR MANAGER (CORPORATE SECRETARIAL) MR. V SRINIVAS RAO SENIOR MANAGER (CORPORATE SECRETARIAL) MR. V SRINIVAS RAO SENIOR MANAGER (CORPORATE SECRETARIAL) MR. N MAHADEVAN IYER V.P. CORPORATE REGISTRY LINK INTIME Mr. N Mahadevan Iyer VICE PRESIDENT- CORPORATE REGISTRY Link Intime India
SHARES WERE ALSO
![Page 131: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/131.jpg)
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
MR. K. P. HARIHARAN COMPANY SECRETARY STERLING AND WILSON
CONTACT ISSUER FOR Mr. Ganesh Jadhav Asst. Vice President Link
Intime India Private Limited C-13, Pannalal Silk MR. AVINASH BAGUL MANAGER IL & FS RENEWABLE ENERGY LIMITED THE IL &
EACH CCCPS IS MR. JIGNESH SHAH CORPORATE
SECRETARIAL DEPT. DB PROJECTS THE SHARES ARE Mr. Vinaya Datar Assistant Company Secretary
Learnet India Limited IL & FS House, D Mr.Hitesh Patel SENIOR ASSISTANT Link Intime India Private Limited 211,SUDARSHAN
The holder of the CCPS shall Mr. Ramesh N. Shanbhag Director Kamburger
Foods Private Limited C/o The Orchid 70-C Mr. N Mahadevan Iyer V.P. Corporate Registry Link Intime Inida Pvt. Limited C-13 Pannalal MR. JIGNESH SHAH CORPORATE SECRETARIAL DEPT. M.K. MALLS & MR. JIGNESH SHAH CORPORATE SECRETARIAL DEPT. M.K. MALLS & MR. JIGNESH SHAH CORPORATE SECRETARIAL DEPT. M.K. MALLS & MR. JIGNESH SHAH CORPORATE SECRETARIAL DEPT. M.K. MALLS & Mr. R.K. Rao Director & Company Secretary Indsec Securities and Finance Limited 301/302, MR. N. MAHADEVAN IYER VICE PRESIDENT Link Intime India Private Limited Mr. N Mahadevan Iyer Vice President- Corporate Registry Link Intime India Private
CONVERSION DETAILS: Mr. N Mahadevan Iyer General Manager Link
Intime India Private Limited C/13, Pannalal Mills Allotment also on Mr. Surendra U. Tamboli Company Secretary
SWIL Limited Plot No 747, GIDC Industrial Mr. Surendra Tamboli Company Secretary SWIL Limited Plot No 747, GIDC Industrial Mr. Dilip Sawant General Manager Sharepro Services (India) Pvt. Limited 13AB, Samhita Mr. Surendra Tamboli Company Secretary SWIL Limited Plot No 747, GIDC Industrial Mr. N. Mahadevan Iyer Vice President- Corporate Registry Link Intime India Private MR. AJAY MEHRA DIRECTOR ENERCON WIND FARMS (RAJASTHAN) PRIVATE MR. AJAY MEHTA DIRECTOR ENERCON WIND FARMS (JAISALMER) PRIVATE MR. AJAY MEHTA DIRECTOR ENERCON WIND FARMS (HINDUSTAN) PRIVATE Mr. Surendra U. Tamboli Company Secretary SWIL Limited Plot No 747, GIDC Industrial Mr. N Mahadevan Iyer General Manager Intime Spectrum Registry Limited C/13, Pannalal Silk Mr. N Mahadevan Iyer General Manager Intime Spectrum Registry Limited C/13, Pannalal Silk Mr. N Mahadevan Iyer General Manager Intime Spectrum Registry Limited C/13, Pannalal Silk MR. PRADEEP S. JAIN DIRECTOR AVITEL POST STUDIOZ LIMITED A-7, VIMAL
CONTACT ISSUER FOR MR. VINEET GUPTA DIRECTOR
ROLASTAR PVT LTD WILHELM TEXTILE, Mr. Kaushik Desai Controller and Company Secretary Deutsche Equities India Private MR. D.R. RANADE COMPANY SECRETARY BIOTOR INDUSTRIES
THE PREFERENCE Mr. N Mahadevan Iyer General Manager Link
Intime India Private Limited C/13, Pannalal Mills MR. JIGNESH SHAH CORPORATE SECRETARIAL DEPT. DB PROJECTS
THE SHARES ARE Mr. Ganesh Jadhav Asst. Vice President Link
Intime India Private Limited C-13, Pannalal Silk CONTACT ISSUER FOR Mr. Ganesh Jadhav Asst. Vice President Link
Intime India Private Limited C-13, Pannalal Silk CONTACT ISSUER FOR Mr. Ganesh Jadhav Asst. Vice President Link
Intime India Private Limited C-13, Pannalal Silk CONTACT ISSUER FOR Mr. Ganesh Jadhav Asst. Vice President Link
Intime India Private Limited C-13, Pannalal Silk CONTACT ISSUER FOR Mr. Ganesh Jadhav Asst. Vice President Link
Intime India Private Limited C-13, Pannalal Silk CONTACT ISSUER FOR Mr. Ganesh Jadhav Asst. Vice President Link
Intime India Private Limited C-13, Pannalal Silk CONTACT ISSUER FOR Mr. Ganesh Jadhav Asst. Vice President Link
Intime India Private Limited C-13, Pannalal Silk CONTACT ISSUER FOR Mr. Ganesh Jadhav Asst. Vice President Link
Intime India Private Limited C-13, Pannalal Silk Mr. Ganesh Jadhav Asst. Vice President Link Intime India Private Limited C-13, Pannalal Silk Mr. G. R. Rao Managing Director Sharepro Services (India) Pvt. Ltd. 13 AB Samitha MR. SANTOSH JAISWAL EXECUTIVE - IT RESOURCES Link Intime India Private Limited
THE SHARES WILL BE MR. SANTOSH JAISWAL EXECUTIVE - IT
RESOURCES Link Intime India Private Limited MR. SANTOSH JAISWAL EXECUTIVE - IT RESOURCES Link Intime India Private Limited Mr. Ganesh Jadhav Asst. Vice President Link Intime India Private Limited C-13, Pannalal Silk
CONTACT ISSUER FOR
![Page 132: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/132.jpg)
Mr. Ganesh Jadhav Asst. Vice President Link Intime India Private Limited C-13, Pannalal Silk
CONTACT ISSUER FOR MR. MANOJ A. KULKARNI AUTHORISED
PERSON ASHOKA BELGAUM DHARWAD MR. AKASH KUMAH SAH COMPANY SECRETARY EDUCOMP
CONTACT ISSUER FOR MR. AKASH KUMAH SAH COMPANY
SECRETARY EDUCOMP CONTACT ISSUER FOR MS. JYOTI DIXIT GUPTA COMPANY
SECRETARY & COMPLIANCE OFFICER Mr. Ganesh Jadhav Asst. Vice President - Depository LINK INTIME INDIA PRIVATE
CONTACT ISSUER FOR Mr. Ganesh Jadhav Asst. Vice President -
Depository LINK INTIME INDIA PRIVATE FULLY CONVERTIBLMR. ARVIND AGGARWAL DIRECTOR
PIVETA ESTATES PRIVATE LIMITED MAX MR. ARVIND AGGARWAL DIRECTOR PIVETA ESTATES PRIVATE LIMITED MAX MR. ARVIND AGGARWAL DIRECTOR PIVETA ESTATES PRIVATE LIMITED MAX MR. ARVIND AGGARWAL DIRECTOR PIVETA ESTATES PRIVATE LIMITED MAX MR. GAURAV DUTTA AUTHORISED SIGNATORY SPINEL PROJECTS &
CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SPINEL PROJECTS & CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SPINEL PROJECTS & CONTACT ISSUER FOR MR. ABHINAV RASTOGI DIRECTOR ALL
ABOUT OUTDOOR PRIVATE LIMITED 6B, SHARES WERE ALSO MR. SANVIV MALIK DIRECTOR MAX
VENTURES INVESTMENT HOLDINGS MR. ARVIND AGGARWAL AUTHORISED SIGNATORY BOOM INVESTMENTS MR. GAURAV DUTTA AUTHORISED SIGNATORY VANITY TECHSTRUCTURES
CONTACT ISSUER FOR MR. SANJAYKUMAR GUPTA GM
FINANCE VIJAY PRINTING PRESS MR. VIKAS SRIVASTAVA AUTHORISED PERSON JANJGIR THERMAL POWER
CONTACT ISSUER FOR MR. VIKAS SRIVASTAVA AUTHORISED
PERSON JANJGIR THERMAL POWER CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY MAGNET BUILDTECH CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY MAGNET BUILDTECH CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY MAGNET BUILDTECH CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY MAGNET BUILDTECH CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY MAGNET BUILDTECH COTNACT ISSUER FOR MR. GAJENDRA GUPTA COMPANY
SECRETARY SURYA GLOBAL STEEL CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY VANITY TECHSTRUCTURES CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SOLITAIRE ACTIVE POWER CONTACT ISSUER FOR MR. SANDIP KHOSLA CFO PARAS
HEALTHCARE PRIVATE LIMITED PARAS CONTACT ISSUER FOR MR. VIKAS SRIVASTAVA DEPUTY
MANAGER - LEGAL & SECRETARIAL CONTACT ISSUER FOR MR. VIKAS SRIVASTAVA DEPUTY
MANAGER - LEGAL & SECRETARIAL CONTACT ISSUER FOR MR. MANISH GUPTA COMPANY
SECRETARY USHA INTERNATIONAL CONTACT ISSUER FOR MR. TILAK SETHI VP- LEGAL &
COMPANY SECRETARY FEEDBACK CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SOLITAIRE BTN SOLAR CONTACT ISSUER FOR MR. ASHOK GANESAN COMPANY
SECRETARY HINDUSTAN CONTACT ISSUER FOR MR. ASHOK GANESAN COMPANY
SECRETARY HINDUSTAN CONTACT ISSUER FOR MR. ASHOK GANESAN COMPANY
SECRETARY HINDUSTAN MR. ANIL KUMAR GUPTA DGM - FINANCE INDIAN CLOTHING LEAGUE
CONTACT ISSUER FOR MR. ANIL KUMAR GUPTA DGM -
FINANCE INDIAN CLOTHING LEAGUE CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY HINDUSTAN CLEANENERGY CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SPINEL ENERGY & CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY BHASKAR CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SUNMARK ENERGY CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SURYATAAP ENERGIES AND CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SOLITAIRE POWERTECH CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SOLITAIRE POWERTECH CONTACT ISSUER FOR MR. ASHOK GANESAN COMPANY
SECRETARY HINDUSTAN
![Page 133: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/133.jpg)
MR. ASHOK GANESAN COMPANY SECRETARY HINDUSTAN MR. ASHOK GANESAN COMPANY SECRETARY HINDUSTAN MR. ANIL KUMAR GUPTA DGM - FINANCE INDIAN CLOTHING LEAGUE
CONTACT ISSUER FOR MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (PUNE) PRIVATE LIMITED EACH CCPS SHALL GET MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (PUNE) PRIVATE LIMITED EACH CCPS SHALL GET MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (PUNE) PRIVATE LIMITED EACH CCPS SHALL GET MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (PUNE) PRIVATE LIMITED EACH CCPS SHALL GET MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (PUNE) PRIVATE LIMITED EACH CCPS SHALL GET MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (PUNE) PRIVATE LIMITED MR. SUDHIR GUPTA DIRECTOR DUET INDIA HOTELS (JAIPUR) PRIVATE
EACH CCPS SHALL GET MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (JAIPUR) PRIVATE EACH CCPS SHALL GET MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (JAIPUR) PRIVATE EACH CCPS SHALL GET MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (JAIPUR) PRIVATE EACH CCPS SHALL GET MR. SUMIT CHHIMWAL COMPANY
SECRETARY MOSER BAER ENGINEERING CONTACT ISSUER FOR MR. ASHOK GANESAN COMPANY
SECRETARY HINDUSTAN MR. ASHOK GANESAN COMPANY SECRETARY HINDUSTAN MR. ASHOK GANESAN COMPANY SECRETARY HINDUSTAN
CONTACT ISSUER FOR MR. ANIL KUMAR GUPTA DGM -
FINANCE INDIAN CLOTHING LEAGUE CONTACT ISSUER FOR MR. ANIL KUMAR GUPTA DGM -
FINANCE INDIAN CLOTHING LEAGUE CONTACT ISSUER FOR MR. AMAN AUTHORISED SIGNATORY
CINCH POWER AND INFRASTRUCTURE CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY HINDUSTAN CLEANENERGY CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY HINDUSTAN CLEANENERGY CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY HINDUSTAN CLEANENERGY CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SPINEL ENERGY & CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SPINEL ENERGY & CONTACT ISSUER FOR MR. GAURAV DUTTA AUTHORISED
SIGNATORY SURYATAAP ENERGIES AND CONTACT ISSUER FOR MS. DEEPA SOOD COMPANY SECRETARY
ANTARA SENIOR LIVING LIMITED MAX CONTACT ISSUER FOR MS. DEEPA SOOD COMPANY SECRETARY
ANTARA SENIOR LIVING LIMITED MAX CONTACT ISSUER FOR MS. DEEPA SOOD COMPANY SECRETARY
ANTARA SENIOR LIVING LIMITED MAX CONTACT ISSUER FOR MS. DEEPA SOOD COMPANY SECRETARY
ANTARA SENIOR LIVING LIMITED MAX CONTACT ISSUER FOR MR. SUDHIR GUPTA DIRECTOR DUET
JKM INDIA HOTELS (INDORE) LTD. 801, EACH CCPS SHALL BE MR. ARVIND BANSAL DIRECTOR SURYA
GLOBAL STEEL TUBES LIMITED 302, III CONTACT ISSUER FOR MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (AHMEDABAD) PRIVATE EACH CCPS SHALL GET MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (AHMEDABAD) PRIVATE MR. SUDHIR GUPTA DIRECTOR DUET INDIA HOTELS (HYDERABAD) PRIVATE MR. PARAMJEET SINGH MANAGER - SECRETARIAL OPTIMA
SHARES WERE ALSO MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (HYDERABAD) PRIVATE CONTACT ISSUER FOR MR. VIKAS SRIVASTAVA SECRETARIAL
& LEGAL MB POWER (MADHYA MATURITY DATE: 20 MR. VIKAS SRIVASTAVA SECRETARIAL
& LEGAL MB POWER (MADHYA MATURITY DATE:20 YRS MR. A.K. JHA FINANCE HEAD DEE
DEVELOPMENT ENGINEERS LTD. Mr. Shrawan Mangala General Manager (EDP) Mas Services Ltd. Plot No T -34 Okhla Industrial
THE SHARES ARE MR. SANDEEP AGGARWAL COMPANY
SECRETARY DELPHI AUTOMOTIVE INVESTOR HAS AN MR. SANDEEP AGGARWAL COMPANY
SECRETARY DELPHI AUTOMOTIVE INVESTOR HAS AN MR. SANDEEP AGGARWAL COMPANY
SECRETARY DELPHI AUTOMOTIVE INVESTOR HAS AN MR. SANDEEP AGGARWAL COMPANY
SECRETARY DELPHI AUTOMOTIVE INVESTOR HAS AN MR. SANDEEP AGGARWAL COMPANY
SECRETARY DELPHI AUTOMOTIVE INVESTOR HAS AN MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (AHMEDABAD) PRIVATE EACH CCPS SHALL GET MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (AHMEDABAD) PRIVATE EACH CCPS SHALL GET
![Page 134: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/134.jpg)
SEBI ISIN:
MR. SUDHIR GUPTA DIRECTOR DUET INDIA HOTELS (AHMEDABAD) PRIVATE
EACH CCPS SHALL GET MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (AHMEDABAD) PRIVATE EACH CCPS SHALL GET MR. AMAN AUTHORISED SIGNATORY
SOLITAIRE INDUSTRIAL CONTACT ISSUER FOR MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (HYDERABAD) PRIVATE CONTACT ISSUER FOR MR. SUDHIR GUPTA DIRECTOR DUET
INDIA HOTELS (JAIPUR) PRIVATE CONTACT ISSUER FOR MR. AMAN OFFICER - SECRETARIAL &
LEGAL SUNNYDAY GREEN ENERGY CONTACT ISSUER FOR MR. AMAN OFFICER - SECRETARIAL &
LEGAL SUNNYDAY GREEN ENERGY CONTACT ISSUER FOR MR. AMAN OFFICER - SECRETARIAL &
LEGAL GOLDENBEAM POWER PRIVATE CONTACT ISSUER FOR MR. AMAN OFFICER - SECRETARIAL &
LEGAL GOLDENBEAM POWER PRIVATE CONTACT ISSUER FOR MR. VIKAS SRIVASTAVA SECRETARIAL
& LEGAL MB POWER (MADHYA CONTACT ISSUER FOR MR. PANKAJ KUMAR MANAGER - LEGAL
& SECRETARIAL MOSER BAER CLEAN THE COMPULSORMR. PANKAJ KUMAR MANAGER - LEGAL
& SECRETARIAL MOSER BAER CLEAN ENTIRE LOT SHALL MR. VIKAS SRIVASTAVA DEPUTY
MANAGER - LEGAL & SECRETARIAL MS. VANDANA GUPTA COMPANY SECRETARY IST STEEL & POWER Mr. Sharwan Mangla AGM-EDP Mas Services Limited T-34, 2nd Floor, Okhla Industrial Area Mr. Sharwan Mangla General Manager MAS Services Limited T-34, 2nd Floor Okhla
CONTACT ISSUER FOR Mr. Sharwan Mangla General Manager MAS
Services Limited T-34, 2nd Floor Okhla CONTACT ISSUER FOR Mr. Sharwan Mangla General Manager MAS
Services Limited T-34, 2nd Floor Okhla Mr. Sharwan Mangla General Manager MAS Services Limited T-34, 2nd Floor Okhla Mr. Sharwan Mangla General Manager MAS Services Limited T-34, 2nd Floor Okhla Mr. Sharwan Mangla General Manager Mas Services Limited T- 34 2nd Floor Okhla
CONTACT ISSUER FOR Mr. Sharwan Mangla AGM-EDP MAS Services
Ltd. T-34, 2nd Floor, Okhla Industrial Area Ph MR. AMIT VERMA COMPANY SECRETARY QUADRANT TELEVENTURES MR. S. BALACHANDER MANAGING DIRECTOR DFL INFRASTRUCTURE
OCCRPS TO BE ISSUED MR. HEMANT LAKHOTIA FINANCE
CONTROLLER WWSTAY SERVICES INDIA CONTACT ISSUER FOR MR. HEMANT LAKHOTIA FINANCE
CONTROLLER WWSTAY SERVICES INDIA CONTACT ISSUER FOR MR. R. SATHEESH KUMAR AUTHORISED
SIGNATORY HI-TECH HOUSING MR. R. SATHEESH KUMAR AUTHORISED SIGNATORY HI-TECH HOUSING MR. R. SATHEESH KUMAR AUTHORISED SIGNATORY HI-TECH HOUSING Mr. Vivek Gupta Company Secretary Sahara Asset Management Company Pvt. Ltd. 9th Mr. Vivek Gupta Company Secretary Sahara Asset Management Company Pvt. Ltd. 9th Mr. P. Sundararajan Company Secretary Sundaram Asset Management Company Limited MR. ARVIND NANDAGOPAL MANAGING DIRECTOR BINNY LIMITED NO. 1, COOKS MR. ARVIND NANDAGOPAL MANAGING DIRECTOR BINNY LIMITED NO. 1, COOKS MR. N. RAJENDRA KRISHNAN ASST. GENERAL MANAGER SANSERA
CONTACT ISSUER FOR MR. N. RAJENDRA KRISHNAN ASST.
GENERAL MANAGER SANSERA CONTACT ISSUER FOR MS. PRIYA MANAGER - OPERATIONS
CAMEO CORPORATE SERVICES LIMITED CCPS SHALL HAPPEN ON Mr. R.D. Ramaswamy Director Cameo
Corporate Services Ltd Subramanian Building CONVERSION DETAILS : Mr.R.D. Ramasamy Director Cameo Corporate
Services Limited Subramanian Building, 1, Club CCPS SHALL BE Mr.R.D. Ramasamy Director Cameo Corporate
Services Limited Subramanian Building, 1, Club CONTACT ISSUER FOR Mr.R.D. Ramasamy Director Cameo Corporate
Services Limited Subramanian Building, 1, Club EACH PREFERENCE Mr.R.D. Ramasamy Director Cameo Corporate
Services Limited Subramanian Building, 1, Club EACH PREFERENCE MR. KRISHNAKUMAR BHOJANE
COMPANY SECRETARY DISHNET MR. KRISHNAKUMAR BHOJANE COMPANY SECRETARY DISHNET MR. KRISHNAKUMAR BHOJANE COMPANY SECRETARY DISHNET MR. KRISHNAKUMAR BHOJANE COMPANY SECRETARY DISHNET MR. KRISHNAKUMAR BHOJANE COMPANY SECRETARY DISHNET MR. KRISHNAKUMAR BHOJANE COMPANY SECRETARY DISHNET
![Page 135: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/135.jpg)
MR. KRISHNAKUMAR BHOJANE COMPANY SECRETARY DISHNET MR. P.R. KANNAN GENERAL MANAGER & COMPANY SECRETARY TEBMA MR. K. RADHA COMPANY SECRETARY - SECRETARIAL DEPT. ARUN EXCELLO
COTNACT ISSUER FOR Mr.R.D. Ramasamy Director Cameo Corporate
Services Limited Subramanian Building, 1, Club Mr.R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building, 1, Club Mr. Sanjeev Vashishta General Manager- Corporate & Legal HFCL Infotel Limited B-71, Mr. D.P. Parija Company Secretary Neelachal Ispat Nigam Limited 1st Floor, Annexe Building
EACH PREFERENCE Mr. R.D. Ramaswamy Director Cameo
Corporate Services Ltd Subramanian Building The Issuer has an option to Mr. R. D Ramasamy, General Manager Cameo
Corporate Services Limited Subramanian THE SERIES B Mr. R. D. Ramasamy Director Cameo
Corporate Services Limited Subramaniam Mr. R. D. Ramasamy Director Cameo Corporate Services Limited Subramaniam Mr. R. D. Ramasamy Director Cameo Corporate Services Limited Subramaniam Mr. R. D. Ramasamy Director Cameo Corporate Services Limited Subramaniam Mr. R. D. Ramasamy Director Cameo Corporate Services Limited Subramaniam Mr. R. D. Ramasamy Director Cameo Corporate Services Limited Subramaniam Mr. R. D. Ramasamy Director Cameo Corporate Services Limited Subramaniam Mr.R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building, 1, Club Mr.R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building, 1, Club Mr.R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building, 1, Club Mr.R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building, 1, Club Mr.R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building, 1, Club Mr.R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building, 1, Club Mr.R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building, 1, Club
CONTACT ISSUER FOR Mr. R.D. Ramaswamy Vice President Cameo
Corporate Services Ltd Subramanian Building Mr. R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building No.1 ,
CONTACT ISSUE FOR Mr. R.D. Ramasamy Director Cameo Corporate
Services Limited Subramanian Building No.1 , CONTACT ISSUER FOR Mr. R.D. Ramasamy Director Cameo Corporate
Services Limited Subramanian Building No.1 , CONTACT ISSUER FOR Mr. R.D. Ramasamy Director Cameo Corporate
Services Limited Subramanian Building No.1 , CONTACT ISSUER FOR Mr.R.D. Ramasamy Director Cameo Corporate
Services Limited Subramanian Building, 1, Club Mr.R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building, 1, Club Mr.R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building, 1, Club Mr.R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building, 1, Club Mr. R. D. Ramasamy General Manger Cameo Corporate Services Limited V Floor, Mr. R.D. Ramasamy Director Cameo Corporate Services Limited Subramanian Building No.1 ,
CONTACT ISSUER FOR Mr. R. D Ramasamy, General Manager Cameo
Corporate Services Limited Subramanian Mr. R.D. Ramaswamy Vice President - CA Cameo Corporate Services Limited Subramanian Mr. R.D. Ramaswamy Vice President - CA Cameo Corporate Services Limited Subramanian Mr. R.D. Ramaswamy Vice President - CA Cameo Corporate Services Limited Subramanian
REDEEMABLE OVER A Mr. R.D. Ramaswamy Vice President - CA
Cameo Corporate Services Limited Subramanian Mr. R.D. Ramaswamy Vice President - CA Cameo Corporate Services Limited Subramanian MR. G. V SATYANARAYANA AUTHORISED SIGNATORY LANCO
CONTACT ISSUER FOR MR. G. V SATYANARAYANA
AUTHORISED SIGNATORY LANCO SHARES WERE ALSO MR. SURJEET SHARMA COMPANY
SECRETARY LANCO ANPARA POWER MR. C.S. PRASAD DIRECTOR MEENAKSHI PROJECTS (INDIA) PRIVATE LIMITED NO.
SHARES WERE ALSO MR. C.S. PRASAD DIRECTOR MEENAKSHI
VENTURES AND HOLDINGS INDIA SHARES WERE ALSO MR. NAGA NEELENDRA NATH RAAVI
DIRECTOR ELECTROMECH MARITECH CONTACT ISSUER FOR MS. SANHYOT RANGNEKAR
COMPLIANCE OFFICER NAVABHARAT MR. PARVESH K. KHETERPAL AUTHORISED SIGNATORY LANCO SOLAR
![Page 136: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/136.jpg)
MR. AJAY KUMAR DIRECTOR VASAVI SOLAR POWER PRIVATE LIMITED H.NO.
CONTACT ISSUER FOR MR. SATYA GANGADHAR RAO VADAGA
DIRECTOR FINEHOPE ALLIED CONTACT ISSUER FOR MR. AJAY SHIVKUMAR MEHROTRA
DIRECTOR SAIDHAM OVERSEAS CONTACT ISSUER FOR MR. AJAY SHIVKUMAR MEHROTRA
DIRECTOR SAIDHAM OVERSEAS CONTACT ISSUER FOR MR. K. SRINIVASAN ASST. VICE
PRESIDENT MELIORA ASSET CONTACT ISSUER FOR MR. K. SRINIVASAN ASST. VICE
PRESIDENT MELIORA ASSET CONTACT ISSUER FOR MR. V. SURESH MANIAN VICE
PRESIDENT - FINANCE ASMITHA In case of company MS. KHYATI SUYAL COMPANY
SECRETARY NEWTON SOLAR PRIVATE CONTACT ISSUER FOR Ms. Kamna Tiwari Authorised Person Lanco
Vidarbha Thermal Power Limited Lanco House, CCCPS WILL BE MR. Y. SURENDER COMPANY
SECRETARY LANCO HILLS TECHNOLOGY CONTACT ISSUER FOR MS. KAMNA TIWARI AUTHORISED
PERSON MERCURY PROJECTS PRIVATE THE OPTIONALLY MR. ASHISH BHATT AUTHORISED
PERSON PORTIA PROPERTIES PRIVATE FULLY CONVERTIBLMR. ASHISH BHATT AUTHORISED
PERSON PORTIA PROPERTIES PRIVATE FULLY CONVERTIBLMS. KAMNA TIWARI AUTHORISED
PERSON PHOEBE TRADING PRIVATE FULLY CONVERTIBLMR. Y. SURENDER COMPANY
SECRETARY LANCO HILLS TECHNOLOGY CONTACT ISSUER FOR MR. Y. SURENDER COMPANY
SECRETARY LANCO HILLS TECHNOLOGY CONTACT ISSUER FOR MR. Y. SURENDER COMPANY
SECRETARY LANCO HILLS TECHNOLOGY CONTACT ISSUER FOR MR. Y. SURENDER COMPANY
SECRETARY LANCO HILLS TECHNOLOGY CONTACT ISSUER FOR MR. Y. SURENDER COMPANY
SECRETARY LANCO HILLS TECHNOLOGY CONTACT ISSUER FOR MR. Y. SURENDER COMPANY
SECRETARY LANCO HILLS TECHNOLOGY CONTACT ISSUER FOR MR. Y. SURENDER COMPANY
SECRETARY LANCO HILLS TECHNOLOGY CONTACT ISSUER FOR Ms. Kamna Tiwari Authorised Person Lanco
Vidarbha Thermal Power Limited Lanco House, COMPULSORILY MR. I RAJA BABU DIRECTOR
SHALIVAHANA WIND ENERGY LIMITED 7 MS. KHYATI SUYAL COMPANY SECRETARY NEWTON SOLAR PRIVATE
CONTACT ISSUER FOR Ms. Kamna Tiwari Authorised Person Lanco
Vidarbha Thermal Power Limited Lanco House, COMPULSORILY Ms. Kamna Tiwari Authorised Person Lanco
Vidarbha Thermal Power Limited Lanco House, COMPULSORILY MR. MANOHAR BUDARAPU DIRECTOR
DDE RENEWABLE ENERGY PRIVATE CONTACT ISSUER FOR MR. MANOHAR BUDARAPU DIRECTOR
DDE RENEWABLE ENERGY PRIVATE CONTACT ISSUER FOR MR. ASHISH BHATT AUTHORISED
PERSON MIMAS TRADING PRIVATE THE OPTIONALLY MS. KAMNA TIWARI AUTHORISED
PERSON MERCURY PROJECTS PRIVATE THE OPTIONALLY MR. ASHISH BHATT AUTHORISED
PERSON PORTIA PROPERTIES PRIVATE FULLY CONVERTIBLMR. ASHISH BHATT AUTHORISED
PERSON PORTIA PROPERTIES PRIVATE THE PREFERENCE MS. KAMNA TIWARI AUTHORISED
PERSON PHOEBE TRADING PRIVATE FULLY CONVERTIBLMS. KAMNA TIWARI AUTHORISED
PERSON PHOEBE TRADING PRIVATE FULLY CONVERTIBLMR. VIVEK JAIN COMPANY SECRETARY
CHARON TRADING PRIVATE LIMITED FULLY CONVERTIBLMR. K.N. VIJAYA BHASKAR COMPANY
SECRETARY LANCO ANPARA POWER SHARES WERE ALSO MR. THIRUPATHI VODNALA COMPANY
SECRETARY HIMAVAT POWER PRIVATE CONTACT ISSUER FOR MR. B.B. SANKARA RAO VICE
PRESIDENT - FINANCE SHARE MICROFIN In case of company MS. SANJYOT RANGNEKAR COMPLIANCE
OFFICER NAVABHARAT POWER PVT. MR. JAYADEC POLAVARAPU DIRECTOR MEENAKSHI ENERGY & INFRA.
SHARES WERE ALSO MR. JAYADEC POLAVARAPU DIRECTOR
MEENAKSHI ENERGY & INFRA. SHRAES WERE ALSO Mr.G.Bhaskar Murthy Manager AARTHI
CONSULTANTS 1-2-285 Domalguda OCCRPS HOLDERS MR. C. DWARAKA NATH ACHARYA
CHIEF FINANCIAL OFFICER The holders of CCPS will Mr. G. Bhaskara Murthy GM & Compliance
Officer Aarthi Consultants Pvt. Ltd 1-2-285, MATURED ALSO ON Mr. G. Bhaskar Murthy General Manager
Aarthi Consultants Private Limited GAGAN EACH CCCPS SHALL BE MS. SHALINI BAIGH COMPLIANCE
OFFICER DATAMATICS FINANCIAL SHARES WERE ALSO Ms. Shalini Baigh Compliance Officer
Datamatics Financial Services Limited Plot No. THE OCCPs shall be Ms. Shalini Baigh Compliance Officer
Datamatics Financial Services Limited Plot No.
![Page 137: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/137.jpg)
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
Mr. Seema Bhuwalka Senior Officer NICHE TECHNOLOGIES PVT. LTD. D-511, Bagree MR. GIRISH BHATIA COMPANY SECRETARY MAGMA FINCORP LTD. Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree
1) THE CCPS ARE, Mr. S. Abbas Senior Manager - Systems Niche
Technologies Private Limited D-511, Bagree CONTACT ISSUER FOR Mr. S. Abbas Senior Manager - Systems Niche
Technologies Private Limited D-511, Bagree CONTACT ISSUER FOR Mr. S. Abbas Senior Manager - Systems Niche
Technologies Private Limited D-511, Bagree Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree
CONTACT ISSUER FOR Mr. S. Abbas Senior Manager - Systems Niche
Technologies Private Limited D-511, Bagree Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree
PREFERENCE SHARES Mr. S. Abbas Senior Manager - Systems Niche
Technologies Private Limited D-511, Bagree CONTACT ISSUER FOR Mr. S. Abbas Senior Manager - Systems Niche
Technologies Private Limited D-511, Bagree CCPPS WILL BE Mr. S. Abbas Senior Manager - Systems Niche
Technologies Private Limited D-511, Bagree Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree Mr. S. Abbas Senior Manager - Systems Niche Technologies Private Limited D-511, Bagree MR. BIMAL KUMAR AGRAWAL EXECUTIVE VICE PRESIDENT & CHIEF
SHARES WERE ALSO MR. BIMALKUMAR AGRAWAL
EXECUTIVE VICE PRESIDENT SNS MR. K.S. CHANDRASHEKAR DIRECTOR - FINANCE AFTON CHEMICAL Mr. Suresh Vaishraj Company Secretary (Group) People Combine Bengaluru Knowledge MR. M. KISHORE KUMAR CORPORATE LAISON MANAGER BIOMAX FUELS MR. M. KISHORE KUMAR CORPORATE LAISON MANAGER BIOMAX FUELS MR. M. KISHORE KUMAR CORPORATE LAISON MANAGER BIOMAX FUELS Mr. Suresh Vaishraj Company Secretary (Group) People Combine Educational Initiatives
CCPS ARE CONVERTIBLMR.AJAYA BABU NANDAMURI
COMPANY SECRETARY KIRBY BUILDING MR. M. KISHORE KUMAR CORPORATE LAISON MANAGER BIOMAX FUELS MR. N. THIRUPATHI RAO HEAD OF FINANCE DEPT. WESTERN U.P. POWER MR. I.V. LAKSHMI AUTHORISED SIGNATORY GAYATRI HI-TECH HOTELS MR. I.V. LAKSHMI AUTHORISED SIGNATORY GAYATRI HI-TECH HOTELS
SHARES WERE ALSO Mr. K. Ravi Manager - RTA Canbank
Computer Services Limited 218, J.P.Royale, CONTACT ISSUER FOR MR. HANSRAJ JARIA DIRECTOR
RATNABALI INVESTMENT PRIVATE MR. MICHAEL MONTEIRO DIRECTOR SATELLITE CORPORATE SERVICES LTD B-MR. MICHAEL MONTEIRO DIRECTOR SATELLITE CORPORATE SERVICES LTD B-Mr. Michael Monteiro Managing Director Satellite Corporate Services Pvt. Ltd. B-302,
CONTACT ISSUER FOR Mr. Michael Monteiro Managing Director
Satellite Corporate Services Pvt. Ltd. B-302, CONTACT ISSUER FOR Mr. Michael Monteiro Managing Director
Satellite Corporate Services Pvt. Ltd. B-302, CONTACT ISSUR FOR Mr. Shankar Pal Manager R&D Infotech Private
Limited 7A, Beltala Road, 1st Floor, Kolkata 700 Mr. Shankar Pal Manager R&D Infotech Private Limited 7A, Beltala Road, 1st Floor, Kolkata 700 Mr. Subhash Bhattacharya Manager MCS Share Transfer Agent Limited 12/1/5, Manoharpukur Mr. Subhash Bhattacharya Manager MCS Share Transfer Agent Limited 12/1/5, Manoharpukur Mr. Subhash Bhattacharya Manager MCS Share Transfer Agent Limited 12/1/5, Manoharpukur Mr. Subhas Bhattacharya Secretarial Officer MCS Share Transfer Agent Limited 12/1/5
REDEEMABLE IN FULL Mr. S.M. Gandhi Administrative Manager MCS
Share Transfer Agent Limited Administrative CONTACT ISSUER FOR
![Page 138: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/138.jpg)
Mr. Subhas Bhattacharya Secretarial Officer MCS Share Transfer Agent Limited 12/1/5
THE PREFERENCE Mr. Subhas Bhattacharya Secretarial Officer
MCS Share Transfer Agent Limited 12/1/5 Mr. Subhas Bhattacharya Secretarial Officer MCS Share Transfer Agent Limited 12/1/5 Mr. Aloke Mukherjee / Mrs. B. Biswas Designation - General Manager / Designation - Mr. Ramesh Gawde Manager MCS Share Transfer Agent Limited, Mumbai 002, Kashiram
CONTACT ISSUER FOR Mr. Ramesh Gawde Manager MCS Share
Transfer Agent Limited, Mumbai 002, Kashiram MR.R AVI ARORA DGM CORPORATE LEGAL JBM SOLAR POWER
CONTACT ISSUER FOR MR. RAVI ARORA DGM CORPORATE
LEGAL JBM SOLAR ENERGY CONTACT ISSUER FOR Mr. AmarJit Senior Manager MCS Share
Transfer Agent Limited F-65, Okhla Industrial THE PREFERENCE MR. AMARJIT SENIOR MANAGER MCS
SHARE TRANSFER AGENT LIMITED, NEW MR. AYUSH KHANDELWAL COMPANY SECRETARY PRAGATI PARKS PRIVATE
CONTACT ISSUER FOR MR. AYUSH KHANDELWAL COMPANY
SECRETARY PRAGATI PARKS PRIVATE CONTACT ISSUER FOR MR. AYUSH KHANDELWAL COMPANY
SECRETARY PRAGATI PARKS PRIVATE CONTACT ISSUER FOR MR. RAJEEV JAGGI COMPANY
SECRETARY HERO MANAGEMENT CONTACT ISSUER FOR MR. RAJEEV JAGGI COMPANY
SECRETARY HERO MANAGEMENT CONTACT ISSUER FOR MR. RAJEEV JAGGI COMPANY
SECRETARY HERO MANAGEMENT CONTACT ISSUER FOR MR. RAJEEV JAGGI COMPANY
SECRETARY HERO MANAGEMENT CONTACT ISSUER FOR MR. RAJEEV JAGGI COMPANY
SECRETARY HERO MANAGEMENT CONTACT ISSUER FOR MR. RAJEEV JAGGI COMPANY
SECRETARY HERO MANAGEMENT CONTACT ISSUER FOR MS. GURPREET SALUJA COMPANY
SECRETARY HERO MINDMINE INSTITUTE CONTACT ISSUER FOR MS. GURPREET SALUJA COMPANY
SECRETARY HERO MINDMINE INSTITUTE CONTACT ISSUER FOR MS. GURPREET SALUJA COMPANY
SECRETARY HERO MINDMINE INSTITUTE CONTACT ISSUER FOR MS. POOJA DAMIR MIGLANI COMPANY
SECRETARY HERO STEELS LIMITED E-1, CONTACT ISSUER FOR MR. RAVI ARORA LEGAL &
SECRETARIAL DEPT. JBM SOLAR POWER MR. S. BISWAS DIRECTOR MCS Share Transfer Agent Limited F-65, Okhla Industrial Mr. Amarjeet Senior Manager MCS Limited F - 65, 1ST FLOOR, OKHLA INDUSTRIES MR. AMARJIT SENIOR MANAGER MCS SHARE TRANSFER AGENT LIMITED, NEW MR. SUDHIR GOENKA COMPANY SECRETARY HERO REALTY LIMITED E-2,
CONTACT ISSUER FOR MR. SUDHIR GOENKA COMPANY
SECRETARY HERO REALTY LIMITED E-2, CONTACT ISSUER FOR MR. SUDHIR GOENKA COMPANY
SECRETARY HERO REALTY LIMITED E-2, CONTACT ISSUER FOR MR. SUDHIR GOENKA COMPANY
SECRETARY HERO REALTY LIMITED E-2, CONTACT ISSUER FOR MR. SUDHIR GOENKA COMPANY
SECRETARY HERO REALTY LIMITED E-2, CONTACT ISSUER FOR MR. SUDHIR GOENKA COMPANY
SECRETARY HERO REALTY LIMITED E-2, CONTACT ISSUER FOR Mr. Subhas Bhattacharya Compliance Officer
MCS Share Transfer Agent Limited F-65, Okhla 30% SHARES WILL BE Mr. Ajay Singh Administrative Officer MCS
Share Transfer Agent Limited F - 65, Okhla CONTACT ISSUER FOR Mr. Ajay Singh Administrative Officer MCS
Share Transfer Agent Limited F - 65, Okhla MR. AMARJEET SENIOR MANAGER MCS LIMITED F-65, OKHLA INDUSTRIAL AREA, MR. AMARJEET SENIOR MANAGER MCS LIMITED F-65, OKHLA INDUSTRIAL AREA,
THE CCPS WILL BE MR. AMARJEET SENIOR MANAGER MCS
F -65, OKHLA INDUSTRIAL AREA PHASE I, CCPS SHALL BE Mr. Subhas Bhattacharya Compliance Officer
MCS Share Transfer Agent Limited F-65, Okhla SHARES WILL BE Mr. Atul Mittal Company Secretary Hero
Corporate Service Limited E-1 Qutab Hotel CONTACT ISSUER FOR Mr. Atul Mittal Company Secretary Hero
Corporate Service Limited E-1 Qutab Hotel CONTACT ISSUER FOR Mr. Atul Mittal Company Secretary Hero
Corporate Service Limited E-1 Qutab Hotel CONTACT ISSUER FOR MS. ARUNA SUBBARAMAN COMPLIANCE
OFFICER IFMR HOLDINGS PRIVATE CONTACT ISSUER FOR MR. PUNEET MOTWANI COMPANY
SECRETARY NITCO LIMITED NITCO MR. GAURAV AGARWAL DIRECTOR ZIPGO TECHNOLOGIES PRIVATE LIMITED
CONTACT ISSUER FOR MR. GAURAV AGARWAL DIRECTOR
ZIPGO TECHNOLOGIES PRIVATE LIMITED CONTACT ISSUER FOR MR. GAURAV AGARWAL DIRECTOR
ZIPGO TECHNOLOGIES PRIVATE LIMITED CONTACT ISSUER FOR
![Page 139: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/139.jpg)
SEBI ISIN:
MR. GAURAV AGARWAL DIRECTOR ZIPGO TECHNOLOGIES PRIVATE LIMITED
CONTACT ISSUER FOR MR. GAURAV AGARWAL DIRECTOR
ZIPGO TECHNOLOGIES PRIVATE LIMITED MR. GAURAV AGARWAL DIRECTOR ZIPGO TECHNOLOGIES PRIVATE LIMITED
CONTACT ISSUER FOR MR. GAURAV AGARWAL DIRECTOR
ZIPGO TECHNOLOGIES PRIVATE LIMITED CONTACT ISSUER FOR Mr. K. C. Raman Authorised Signatory L & T
Vadodara Bharuch Tollway Limited P B No. CONTACT ISSUER FOR Mr. K. C. Raman Authorised Signatory L & T
Vadodara Bharuch Tollway Limited P B No. CONTACT ISSUER FOR Mr. K. C. Raman Authorised Signatory L & T
Vadodara Bharuch Tollway Limited P B No. Mr. K. C. Raman Authorised Signatory L & T Vadodara Bharuch Tollway Limited P B No.
CONTACT ISSUER FOR Mr. K. C. Raman Authorised Signatory L & T
Vadodara Bharuch Tollway Limited P B No. CONTACT ISSUER FOR Mr.K. C.Raman Authorized Signatory L&T
HALOL-SHAMLAJI TOLLWAY LIMITED P CONTACT ISSUER FOR Mr.K. C.Raman Company Secretary L & T
INFRASTRUCTURE DEVELOPMENT CONTACT ISSUER FOR Mr.K. C.Raman Company Secretary L & T
INFRASTRUCTURE DEVELOPMENT CONTACT ISSUER FOR MR. URVIL DESAI COMPANY SECRETARY
NABHA POWER LIMITED L & T HOUSE, CONTACT ISSUER FOR Mr. Sanjeev Kumar Senior Manager Secretarial
LML Limited LML Shares Registry C - 1, Panki REDEMPTION WILL ALSO Mr. L.N. Rajan General Manager 3i Infotech
Limited Tower No. 5, 3rd Floor, International CONVERSION DETAILS : Mr. Shivanand Shettigar Company Secretary -
Legal & Secretarial 3I INFOTECH LIMITED Mr. Shivanand Shettigar Company Secretary - Legal & Secretarial 3I INFOTECH LIMITED MR. SAIKAT BARDHAN COMPLIANCE OFFICER INDIA POWER CORPORATION MR. KUNTAL MUSTAFI DEPUTY MANAGER C B MANAGEMENT SERVICES MR. KUNTAL MUSTAFI DEPUTY MANAGER C B MANAGEMENT SERVICES MR. KUNTAL MUSTAFI DEPUTY MANAGER C B MANAGEMENT SERVICES Mr. S. Ghosh Vice President C B Management Services (P) Ltd. P-22, Bondel Road 2nd Floor Mr. S. Ghosh Vice President CB MGMT SERV PVT. LTD P-22 , Bondel Road Kolkata - Mr. S. Ghosh Vice President CB MGMT SERV PVT. LTD P-22 , Bondel Road Kolkata - MR. S. GHOSH SENIOR MANAGER - OPERATIONS CB MGMT SERV PVT. LTD S Ghosh Manager- Operation C.B. Management Services (P) Limited P-22 Bondel Road MR. T. K. BISWAS SENIOR MANAGER CB MGMT SERV PVT. LTD P -22, BONDEL MR. SHANKAR GHOSH VICE PRESIDENT CB MGMT SERV PVT. LTD CB
THE PREFERENCE Mr.S.Ghosh Senior Vice President CB
Management Services Private Limited P-22, SHARES WERE ALSO Mr.S.Ghosh Senior Vice President CB
Management Services Private Limited P-22, SHARES WERE ALSO MR. M K RAMA KRISHNA COMPANY
SECRETARY TVS AUTOMOBILE SHARES WERE ALSO MR. A GANESAN DIRECTOR MAXIVISION
EYE HOSPITALS PRIVATE LIMITED NO. 6-CONTACT ISSUER FOR MR. SURESH RAO V.R. CHIEF FINANCIAL
OFFICER SUNTEC INFRASTRUCTURE MS. SONAL MUGATLAL DIRECTOR SPECSMAKERS OPTICIANS PRIVATE
SHARES WERE ALSO MR. ANIL KUMAR S.G. DIRECTOR & CEO
SAMUNNATI FINANCIAL CONTACT ISSUER FOR MR. ENEBEZER DANIEL MANAGING
DIRECTOR ORANGE RETAIL FINANCE CONTACT ISSUER FOR MS. SONAL MUGATLAL DIRECTOR
SPECSMAKERS OPTICIANS PRIVATE CONTACT ISSUER FOR MR. A GANESAN DIRECTOR MAXIVISION
EYE HOSPITALS PRIVATE LIMITED NO. 6-CONTACT ISSUER FOR MR. SRIRAM S. COMPANY SECRETRY
TECHNOLOGY FRONTIERS (INDIA) CONTACT ISSUER FOR MR. SRIRAM S. COMPANY SECRETRY
TECHNOLOGY FRONTIERS (INDIA) CONTACT ISSUER FOR MR. SRIRAM S. COMPANY SECRETRY
TECHNOLOGY FRONTIERS (INDIA) CONTACT ISSUER FOR MR. SRIRAM S. COMPANY SECRETRY
TECHNOLOGY FRONTIERS (INDIA) CONTACT ISSUER FOR Mr. Suresh Babu K Director Integrated Registry
Management Services Pvt. Ltd. 2nd Floor, CONTACT ISSUER FOR MR. NAJMUNNISSA J COMPANY
SECRETARY GHO AGRO PRIVATE CONTACT ISSUER FOR MR. N.R. MANIGANTAN MANAGING
DIRECTOR OMSHAKTHY REALTIES CONTACT ISSUER FOR MR. P U. ARAVIND DIRECTOR SANMAR
HOLDINGS LIMITED 9 CATHEDRAL ROAD, CONTACT ISSUER FOR MR. P U. ARAVIND DIRECTOR SANMAR
HOLDINGS LIMITED 9 CATHEDRAL ROAD, CONTACT ISSUER FOR MS. JOTHY RAJEEP SR. MANAGER -
FINANCE & CCOUNTS MODUS LOGISTICS
![Page 140: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/140.jpg)
MR. ANIL KUMAR S.G. DIRECTOR & CEO SAMUNNATI FINANCIAL
CONTACT ISSUER FOR MR. ANIL KUMAR S.G. DIRECTOR & CEO
SAMUNNATI FINANCIAL CONTACT ISSUER FOR MR. ANIL KUMAR S.G. DIRECTOR & CEO
SAMUNNATI FINANCIAL CONTACT ISSUER FOR MR. ANIL KUMAR S.G. DIRECTOR & CEO
SAMUNNATI FINANCIAL CONTACT ISSUER FOR MR. S. VARADARAJ COMPANY
SECRETARY KAMACHI SPONGE & CONTACT ISSUER FOR MR. S. SRINIVASA RAGHAVAN VICE
PRESIDENT & HEAD COMPLIANCE & CONTACT ISSUER FOR MR. SANDEEP KUMAR SINGH CHIEF
OPERATING OFFICER SPALON INDIA COTACT ISSUER FOR MR. I. SYED SAJAN DIRECTOR
SOUTHERN HEALTH FOODS PRIVATE CONTACT ISSUER FOR MR. S. RAMANUJAM FINANCE DR.
AGARWAL'S HEALTH CARE LIMITED 19, CONTACT ISSUER FOR MR. SANDEEP KUMAR SINGH CHIEF
OPERATING OFFICER SPALON INDIA CONTACT ISSUER FOR MR. S. VARADARAJ COMPANY
SECRETARY KAMACHI SPONGE & CONTACT ISSUER FOR MR. S. VARADARAJ COMPANY
SECRETARY KAMACHI SPONGE & CONTACT ISSUER FOR MR. S. VARADARAJ COMPANY
SECRETARY KAMACHI SPONGE & CONTACT ISSUER FOR MS. R SOWMITHRI COMPANY
SECRETARY EL FORGE LIMITED 338, Conversion option to be MR. SURESH BABU K. ASSISTANT VICE
PRESIDENT INTEGRATED ENTP. (I) LTD Mr. Vivek Sachdeva Company Secretary Uppals IT Projects Private Limited Unit No.
CONTACT ISSUER FOR Mr. Vivek Sachdeva Company Secretary
Uppals IT Projects Private Limited Unit No. CONTACT ISSUER FOR Mr. Vivek Sachdeva Company Secretary
Uppals IT Projects Private Limited Unit No. CONTACT ISSUER FOR MR. RAVINDER DUA MANAGER -
SYSTEMS RCMC SHARE REGISTRY CONTACT ISSUER FOR MR. SUNIL KUMAR JAIN AUTHORISED
SIGNATORY JINDAL FITTINGS LIMITED CONTACT ISSUER FOR Mr. Vivek Sachdeva Company Secretary
Uppals IT Projects Private Limited Unit No. Mr. Vivek Sachdeva Company Secretary Uppals IT Projects Private Limited Unit No. Mr. Vivek Sachdeva Company Secretary Uppals IT Projects Private Limited Unit No. Mr. Vivek Sachdeva Company Secretary Uppals IT Projects Private Limited Unit No. MR. NEERAJ SINGAL DIRECTOR ROBUST TRANSPORTATION PRIVATE LIMITED 608, MR. OM PRAKASH JAIN DIRECTOR AGARWAL PACKERS AND MOVERS
CONTACT ISSUER FOR MR. BRIJ BHUSHAN SINGAL DIRECTOR
NUCLEUS STEEL PRIVATE LIMITED MR. BRIJ BHUSHAN SINGAL DIRECTOR NUCLEUS STEEL PRIVATE LIMITED MR. SANJIV KUMAR JAIN DIRECTOR UMANG NOIDA SEZ PRIVATE LIMITED C-
CONTACT ISSUER FOR MR. SANJIV KUMAR JAIN DIRECTOR
UMANG NOIDA SEZ PRIVATE LIMITED C-CONTACT ISSUER FOR MR. SANJIV KUMAR JAIN DIRECTOR
UMANG CO-DEVELOPERS PRIVATE CONTACT ISSUER FOR MR. SANJIV KUMAR JAIN DIRECTOR
UMANG CO-DEVELOPERS PRIVATE CONTACT ISSUER FOR MS. AMRITA LEEKHA COMPANY
SECRETARY GOLD PLUS GLASS MR. SHAILENDRA SINGH BHADORIA DIRECTOR KBN INFRASTRUCTURE MR. SHAILENDRA SINGH BHADORIA DIRECTOR KBN INFRASTRUCTURE MR. SHAILENDRA SINGH BHADORIA DIRECTOR KBN INFRASTRUCTURE MR. KISHI SAXENA DIRECTOR BHUSHAN BUILDWELL PRIVATE LIMITED 211, MS. MANJU COMPANY SECRETARY GUARDIAN NUTRITION & HEALTH
CONTACT ISSUER FOR MS. MANJU COMPANY SECRETARY
GUARDIAN NUTRITION & HEALTH CONTACT ISSUER FOR MS. MANJU COMPANY SECRETARY
GUARDIAN NUTRITION & HEALTH CONTACT ISSUER FOR MR. HARSH KHANNA DIRECTOR
DHENKANAL FINVEST LIMITED 211, MR. HARSH KHANNA DIRECTOR DHENKANAL FINVEST LIMITED 211, MR. HARSH KHANNA DIRECOTR BNR CONSULTANCY SERVICES PVT LTD FLAT MR. HARSH KHANNA DIRECOTR BNR CONSULTANCY SERVICES PVT LTD FLAT MR. VIKAS WADHAWAN CHIEF FINANCIAL OFFICER PROPTIGER REALTY
FULLY CONVERTIBLMR. VIKAS WADHAWAN CHIEF
FINANCIAL OFFICER PROPTIGER REALTY FULLY CONVERTIBLMR. VIKAS WADHAWAN CHIEF
FINANCIAL OFFICER PROPTIGER REALTY FULLY CONVERTIBLMR. BRIJ BHUSHAN SINGAL DIRECTOR
BHUSHAN EXPORTS PRIVATE LIMITED
![Page 141: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/141.jpg)
SEBI ISIN:
SEBI ISIN:
MR. NEERAJ SINGH DIRECTOR BHUSHAN INFRASTRUCTURE PRIVATE LIMITED MR. NEERAJ SINGH DIRECTOR BHUSHAN INFRASTRUCTURE PRIVATE LIMITED MR. NEERAJ SINGH DIRECTOR BHUSHAN INFRASTRUCTURE PRIVATE LIMITED MR. NEERAJ SINGH DIRECTOR BHUSHAN INFRASTRUCTURE PRIVATE LIMITED MR. NEERAJ SINGH DIRECTOR BHUSHAN INFRASTRUCTURE PRIVATE LIMITED MR. RAHUL SEN GUPTA DIRECTOR BHUSHAN NATURAL RESOURCES MR. RAHUL SEN GUPTA DIRECTOR BHUSHAN NATURAL RESOURCES MR. BRIJ BHUSHAN SINGAL DIRECTOR SRN MINERALS & MINING PRIVATE MR. BRIJ BHUSHAN SINGAL DIRECTOR SRN MINERALS & MINING PRIVATE MS. MANJU COMPANY SECRETARY GUARDIAN NUTRITION & HEALTH
CONTACT ISSUER FOR MR. NEERAJ SINGAL DIRECTOR
AAYUSHI CREDIT AND CAPITAL MR. NEERAJ SINGAL DIRECTOR AAYUSHI CREDIT AND CAPITAL MR. RAJESH ADHANA MANAGER SECRETARIAL RCMC SHARE REGISTRY MR. VIKAS WADHAWAN CHIEF FINANCIAL OFFICER PROPTIGER REALTY
FULLY CONVERTIBLMR. VIKAS WADHAWAN CHIEF
FINANCIAL OFFICER PROPTIGER REALTY FULLY CONVERTIBLMR. SANDEEP PATHAK SECRETARIAL
DEPARTMENT KORBA WEST POWER CONTACT ISSUER FOR MR. SANDEEP PATHAK SECRETARIAL
DEPARTMENT KORBA WEST POWER MR. NARESH GUPTA DIRECTOR RCMC SHARE REGISTRY PRIVATE LIMITED B-
SCHEME OF AMALGAMAMR. NARESH GUPTA DIRECTOR RCMC
SHARE REGISTRY PRIVATE LIMITED B-MR. NARESH GUPTA DIRECTOR RCMC SHARE REGISTRY PRIVATE LIMITED B-MR. NARESH GUPTA DIRECTOR RCMC SHARE REGISTRY PRIVATE LIMITED B-MR. NARESH GUPTA DIRECTOR RCMC SHARE REGISTRY PRIVATE LIMITED B-Mr. O.P. Davra Company Secretary BHUSHAN STEEL LIMITED F-Block, 1st Mr. O.P. Davra Company Secretary BHUSHAN STEEL LIMITED F-Block, 1st Mr. O.P. Davra Company Secretary BHUSHAN STEEL LIMITED F-Block, 1st Mr. O.P. Davra Company Secretary BHUSHAN STEEL LIMITED F-Block, 1st Mr. O.P. Davra Company Secretary BHUSHAN STEEL LIMITED F-Block, 1st MS. MEGHA GUPTA COMPANY SECRETARY JINDAL ITF LIMITED JINDAL MS. SONU CHADHA COMPANY SECRETARY SOLARIS CHEMTECH
CONTACT ISUER FOR MR. NARESH GUPTA DIRECTOR RCMC
SHARE REGISTRY PRIVATE LIMITED B-Mr. O.P. Davra Company Secretary BHUSHAN STEEL LIMITED F-Block, 1st Mr. O.P. Davra Company Secretary BHUSHAN STEEL LIMITED F-Block, 1st Mr. Rakesh Adhana Sr. Vice President RCMC Share Registry Private Limited B -106, Sector 2 MR. RAVINDER DUA MANAGER - SYSTEMS RCMC SHARE REGISTRY PVT. MR. RAVINDER DUA MANAGER - SYSTEMS RCMC SHARE REGISTRY PVT. MR. RAVINDER DUA MANAGER - SYSTEMS RCMC SHARE REGISTRY PVT. Mr. O.P. Davra Company Secretary BHUSHAN STEEL LIMITED ( FORMERLY Mr. Amarjeet Senior Manager MCS Limited F - 65, 1ST FLOOR, OKHLA INDUSTRIES Mr. Amarjeet Senior Manager MCS Limited F - 65, 1ST FLOOR, OKHLA INDUSTRIES
THE HOLDERS OF MR. ISHWAR CHAND SINGHVI VICE
PRESIDENT & COMPANY SECRETARY EACH PREFERENCE Mr. Subhabrata Biswas General Manager MCS
Limited F-65, Okhla Industrial Area Phase I Mr. K. Narendra Managing Director SKDC Consultants Limited Kanapathy Towers, 3rd Mr. K. Narendra Managing Director SKDC Consultants Limited Kanapathy Towers, 3rd Mr. K. Narendra Managing Director SKDC Consultants Limited Kanapathy Towers, 3rd Mr. K. Narendra Managing Director SKDC Consultants Limited Kanapathy Towers, 3rd Mr. K. Narendra Managing Director SKDC Consultants Limited Kanapathy Towers, 3rd Mr. K. Narendra Managing Director SKDC Consultants Limited Kanapathy Towers, 3rd Mr. K. Narendra Managing Director SKDC Consultants Limited Kanapathy Towers, 3rd
![Page 142: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/142.jpg)
Mr. K. Narendra Managing Director SKDC Consultants Limited Kanapathy Towers, 3rd
SHARES WERE ALSO Mr. K. Narendra Managing Director SKDC
Consultants Limited Kanapathy Towers, 3rd CONTACT ISSUER FOR MS. MEENAKSHI GUPTA COMPANY
SECRETARY AAPC INDIA HOTEL MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND Mr. Punit Mittal General Manager BEETAL FINANCIAL AND COMPUTER SERVICES MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND Mr S P Gupta Vice President BEETAL FINANCIAL AND COMPUTER SERVICES Mr. Punit Mittal General Manager Beetal Financial & Computer Services (P) Ltd. Beetal
CONTACT ISSUER FOR Mr. Punit Mittal Manager Beetal Financial &
Computers Services Private Limited Beetal MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL & MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND Mr S P Gupta Vice President BEETAL FINANCIAL AND COMPUTER SERVICES Mr. Punit Mittal General Manager BEETAL FINAN.AND COMPU. Beetal House, 3 rd Floor MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND MR. PUNEET MITTAL GENERAL MANAGER BEETAL FINANCIAL AND Mr. Punit Mittal General Manager Beetal Financial & Computer Services (P) Ltd. Beetal
PREFERENCE SHARES ARE Mr. Punit Mittal General Manager Beetal
Financial and Computer Services Limited Beetal CONTACT ISSUER FOR Mr. Punit Mittal General Manager Beetal
Financial and Computer Services Limited Beetal CONTACT ISSUER FOR Mr. Punit Mittal Manager Beetal Financial and
Computer Services Limited Beetal House, 3rd Mr. Punit Mittal Manager Beetal Financial and Computer Services Limited Beetal House, 3rd Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal
CONTACT ISSUER FOR Mr. Punit Mittal General Manager Beetal
Financial and Computer Services Limited Beetal CONTACT ISSUER FOR Mr. Punit Mittal General Manager Beetal
Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal
CONTACT ISSUER FOR Mr. Punit Mittal General Manager Beetal
Financial and Computer Services Limited Beetal CONTACT ISSUER FOR Mr. Punit Mittal General Manager Beetal
Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal
![Page 143: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/143.jpg)
Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Punit Mittal Manager Beetal Financial and Computer Services Limited Beetal House, 3rd Mr. Punit Mittal General Manager Beetal Financial and Computer Services Limited Beetal Mr. Bharat Bhushan Manager Indus Portfolio Private Limited G-65, Bali Nagar, New Delhi - Mr. Bharat Bhushan Sharma Manager - R & T Indus Portfolio Private Limited G-65 Bali Nagar Mr. Bharat Bhushan Sharma Manager - R & T Indus Portfolio Private Limited G-65 Bali Nagar
CONTACT ISSUER FOR MR. DEVASAHAYAM R HEAD STA GNSA
INFOTECH LIMITED STA DEPARTMENT, CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE SHARES WERE ALSO MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE SHARES WERE ALSO MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE SHARES WERE ALSO MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE SHARES WERE ALSO MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE SHARES WERE ALSO MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE SHARES WERE ALSO MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR MR. NAGESH RAO R AVP -RTA BGSE
FINANCIALS LIMITED STOCK EXCHANGE CONTACT ISSUER FOR Mr. Anil Malik Company Secretary
HINDALCO INDUSTRIES LIMITED Ahura Mr. K. Raman Manager (Shares) Sundaram Clayton Limited Jayalakshmi Estates, I Floor, 29, MR. K RAMAN MANAGER - SHARES SUNDARAM-CLAYTON LIMITED
CONTACT ISSUER FOR MR. K RAMAN MANAGER - SHARES
SUNDARAM-CLAYTON LIMITED CONTACT ISSUER FOR MR. K RAMAN MANAGER - SHARES
SUNDARAM-CLAYTON LIMITED CONTACT ISSUER FOR MR. K RAMAN MANAGER - SHARES
SUNDARAM-CLAYTON LIMITED CONTACT ISSUR FOR Mr. K Raman Senior Executive - Shares
Sundaram Clayton Limited JAYALAKSHMI
![Page 144: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/144.jpg)
SEBI ISIN:
SEBI ISIN:
Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. K Raman Senior Executive - Shares Sundaram Clayton Limited JAYALAKSHMI Mr. Roopam Asthana Chief Executive Officer SBI CARDS & PAYMENT SERVICES Mr. Subhas Bhattacharya Secretarial Officer MCS Share Transfer Agent Limited 12/1/5 MR. R. S. DUBEY DIRECTOR SAHARA INDIA REAL ESTATE CORPORATION MR. JITENDRA R. JAIN DIRECTOR KAMLA LANDMARC REALESTATE MR. SHAILESH T. SHAH DIRECTOR FLORA PROJECTS CONSULTANCY
CONTACT ISSUER FOR MS. ARUNA SUBBARAMAN COMPLIANCE
OFFICER IFMR INVESTMENT ADVISER MR. NAGARAJAN IYER MANAGER - INVESTOR SERVICES L & T FINANCE MR. ANUPAM SRIVASTAVA ASST. MANAGER - STATUTORY SAHARA INDIA
CONTACT ISSUER FOR Mr. N P Achuthan General Manager, Finance &
Company Secretary Sandvik Asia Limited MR. L.C. JAIN SR. MANAGER - ACCOUNTS ANUPAM INDUSTRIES LIMITED 138, GIDC Mr. G. R. Rao Managing Director Sharepro Services (India) Pvt. Ltd. 13 AB Samitha
MR. BIPIN AGARWAL DIRECTOR URVASHI FINVEST PRIVATE LIMITED 501-
CONTACT ISSUER FOR MR. BIPIN AGARWAL DIRECTOR
URVASHI FINVEST PRIVATE LIMITED 501-CONTACT ISSUER FOR MR. BIPIN AGARWAL DIRECTOR
URVASHI FINVEST PRIVATE LIMITED 501-CONTACT ISSUER FOR MR. BIPIN AGARWAL DIRECTOR GUPTA
FINCAPS PRIVATE LIMITED 501-501A, 5TH CONTACT ISSUER FOR MR. BIPIN AGARWAL DIRECTOR GUPTA
FINCAPS PRIVATE LIMITED 501-501A, 5TH CONTACT ISSUER FOR MS. PRIYA SHARMA COMPANY
SECRETARY N.N. FINANCIAL SERVICES CONTACT ISSUER FOR MR. DEEPAK GUPTA V.P. FINANCE
POWER2SME PRIVATE LIMITED PLOT NO CONTACT ISSUER FOR MR. DEEPAK GUPTA V.P. FINANCE
POWER2SME PRIVATE LIMITED PLOT NO CONTACT ISSUER FOR MR. DEEPAK GUPTA V.P. FINANCE
POWER2SME PRIVATE LIMITED PLOT NO CONTACT ISSUER FOR MR. DEEPAK GUPTA V.P. FINANCE
POWER2SME PRIVATE LIMITED PLOT NO CONTACT ISSUER FOR MR. DEEPAK GUPTA V.P. FINANCE
POWER2SME PRIVATE LIMITED PLOT NO SHARES WERE ALSO
![Page 145: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/145.jpg)
MR. DEEPAK GUPTA V.P. FINANCE POWER2SME PRIVATE LIMITED PLOT NO
CONTACT ISSUER FOR MR. DEEPAK GUPTA V.P. FINANCE
POWER2SME PRIVATE LIMITED PLOT NO SHARES WERE ALSO MR. DEEPAK GUPTA V.P. FINANCE
POWER2SME PRIVATE LIMITED PLOT NO SHARES WERE ALSO MR. PARVEEN KUMAR GOYAL DIRECTOR
JSPL LIFE SCIENCE SERVICES AND MR. BRAJ MOHAN SINGH SENIOR MANAGER - LEGAL ETECHACES
SHARES WERE ALSO MR. BIDU BHUSAN DASH SECRETARIAL
DEPT. JUBILANT CONSUMER PRIVATE MR. MAYUR CHHABRA COMPANY SECRETARY OM LOGISTICS LIMITED 130,
CONTACT ISSUER FOR MS. GEETU AGGARWAL COMPLIANCE
OFFICER MAGIC EYE DEVELOPERS SHARES WERE MS. GEETU AGGARWAL COMPLIANCE
OFFICER MAGIC EYE DEVELOPERS MS. GEETU AGGARWAL COMPLIANCE OFFICER MAGIC EYE DEVELOPERS MR. RUPENDER DHIMAN COMPANY SECRETARY VAYAM TECHNOLOGIES Mr. Amitkumar Mundhe Company Secretary Shapoorji Pallonji Infrastructure Capital
SHARES WERE ALSO MR. LALIT AGARWAL DIRECTOR
NIMBUS PROPMART PRIVATE LIMITED CONTACT ISSUER FOR MR. LALIT AGARWAL DIRECTOR
NIMBUS PROPMART PRIVATE LIMITED CONTACT ISSUER FOR MR. LALIT AGARWAL DIRECTOR
NIMBUS PROPMART PRIVATE LIMITED CONTACT ISSUER FOR MR. NITIN SALUJA DIRECTOR SUNSHINE
TEAHOUSE PRIVATE LIMITED 17-A, CONTACT ISSUER FOR MR. TARUN SHARMA COMPANY
SECRETARY DELHIVERY PRIVATE CONTACT ISSUER FOR MR. TARUN SHARMA COMPANY
SECRETARY DELHIVERY PRIVATE CONTACT ISSUER FOR MR. TARUN SHARMA COMPANY
SECRETARY DELHIVERY PRIVATE CONTACT ISSUER FOR MR. SANJEEV JAIN DIRECTOR ANNIKA
PROMOTERS PRIVATE LIMITED 805 CONTACT ISSUER FOR MR. SANJEEV JAIN DIRECTOR ANNIKA
PROMOTERS PRIVATE LIMITED 805 CONTACT ISSUER FOR MR. PIYUSH BORTHA DIRECTOR
SQUARE DOTCOM PRIVATE LIMITED CONTACT ISSUER FOR MR. PIYUSH BORTHA DIRECTOR
SQUARE DOTCOM PRIVATE LIMITED CONTACT ISSUER FOR MR. SANJAY CHOWDHARY DIRECTOR
ABHITECH DEVELOPERS PRIVATE MR. PRAVEEN KUMAR GOYAL AUTHORISED SIGNATORY JUBILANT MR. ALEXANDER JOHN SOUTER DIRECTOR EXIT10 MARKETING PRIVATE
CONTACT ISSUER FOR MR. ALEXANDER JOHN SOUTER
DIRECTOR EXIT10 MARKETING PRIVATE CONTACT ISSUER FOR MR. ALEXANDER JOHN SOUTER
DIRECTOR EXIT10 MARKETING PRIVATE CONTACT ISSUER FOR MR. ALEXANDER JOHN SOUTER
DIRECTOR EXIT10 MARKETING PRIVATE CONTACT ISSUER FOR MR. ALEXANDER JOHN SOUTER
DIRECTOR EXIT10 MARKETING PRIVATE CONTACT ISSUER FOR MR. ALEXANDER JOHN SOUTER
DIRECTOR EXIT10 MARKETING PRIVATE CONTACT ISSUER FOR MR. SAGAR GROVER COMPANY
SECRETARY LEIXIR RESOURCES CONTACT ISSUER FOR MR. SAGAR GROVER COMPANY
SECRETARY LEIXIR RESOURCES CONTACT ISSUER FOR MR. SAGAR GROVER COMPANY
SECRETARY LEIXIR RESOURCES CONTACT ISSUER FOR MR. SAGAR GROVER COMPANY
SECRETARY LEIXIR RESOURCES CONTACT ISSUER FOR MR. SAGAR GROVER COMPANY
SECRETARY LEIXIR RESOURCES CONTACT ISSUER FOR MR. SAGAR GROVER COMPANY
SECRETARY LEIXIR RESOURCES CONTACT ISSEUR FOR MR. SAGAR GROVER COMPANY
SECRETARY LEIXIR RESOURCES CONTACT ISSUER FOR MR. SAGAR GROVER COMPANY
SECRETARY LEIXIR RESOURCES CONTACT ISSUER FOR MR. UMESH SHARMA DIRECTOR
JUBILANT MOTORWORKS PRIVATE MR. UMESH SHARMA DIRECTOR JUBILANT MOTORWORKS PRIVATE MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR MR. P.N. WAHAL DIRECTOR ARTEMIS HEALTH SCIENCES LIMITED ARTEMIS MR. SURENDRA KUMAR SHARMA COMPANY SECRETARY BAJAJ
CONTACT ISSUER FOR MS. KANIKA SHARMA EXECUTIVE -
COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG
![Page 146: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/146.jpg)
MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MR. TAKESH MATHUR DIRECTOR INDIAN COUNTRY HOMES PRIVATE MS. RENU AGRAWAL COMPANY SECRETARY CARNATION AUTO INDIA
CONTACT ISSUER FOR MS. RENU AGRAWAL COMPANY
SECRETARY CARNATION AUTO INDIA CONTACT ISSUER FOR MR. BHAGWATI PRASAD SINGH
COMPANY SECRETARY RASHI STEEL CONTACT ISSUER FOR MR. ANIL AGARWAL CHIEF FINANCIAL
OFFICER SWASTIK ROADLINES PRIVATE CONTACT ISSUER FOR MR. ANKIT JAIN COMPANY SECRETARY
A2Z INFRASTRUCTURE LIMITED PLOT NO MR. ROHIT KASHYAP COMPANY SECRETARY MOSER BAER PHOTO
1. EACH PREFERENCE MR. ROHIT KASHYAP COMPANY
SECRETARY MOSER BAER PHOTO 1. EACH PREFERENCE MR. ROHIT KASHYAP COMPANY
SECRETARY MOSER BAER PHOTO MR. ROHIT KASHYAP COMPANY SECRETARY MOSER BAER PHOTO MR. ROHIT KASHYAP COMPANY SECRETARY MOSER BAER PHOTO MR. ROHIT KASHYAP COMPANY SECRETARY MOSER BAER PHOTO MR. ROHIT KASHYAP COMPANY SECRETARY MOSER BAER PHOTO MR. ROHIT KASHYAP COMPANY SECRETARY MOSER BAER PHOTO MR. SAURABH MATHUR COMPANY SECRETARY MOSER BAER SOLAR
REDEEMABLE WIHIN 20 MR. SAURABH MATHUR COMPANY
SECRETARY MOSER BAER SOLAR REEDEEMABLE WITHIN Mr. Sanjay Jain Director TRN Energy Limited
18, Vasant Enclave, Rao Tula Ram Marg, New CONTACT ISSUER FOR MR. AMIT SARDANA DIRECTOR A2Z E
WASTE MANAGEMENT LIMITED VATIKA MR. AMIT SARDANA DIRECTOR A2Z E WASTE MANAGEMENT LIMITED VATIKA MR. AMIT SARDANA DIRECTOR A2Z E WASTE MANAGEMENT LIMITED VATIKA MR. MOHIT TANDON DIRECTOR SSN LOGISTICS PRIVATE LIMITED REGD.
CONTACT ISSUER FOR MR. MOHIT TANDON DIRECTOR SSN
LOGISTICS PRIVATE LIMITED REGD. CONTACT ISSUER FOR MR. MOHIT TANDON DIRECTOR SSN
LOGISTICS PRIVATE LIMITED REGD. CONTACT ISSUER FOR MR. MOHIT TANDON DIRECTOR SSN
LOGISTICS PRIVATE LIMITED REGD. CONTACT ISSUER FOR MR. MOHIT TANDON DIRECTOR SSN
LOGISTICS PRIVATE LIMITED REGD. CONTACT ISSUER FOR MR. AJAY KALSIE COMPANY
SECRETARY TATA POWER DELHI MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR
CONTACT ISSUER FOR MS. KANIKA SHARMA EXECUTIVE -
COMPLIANCE & COMPANY AFFAIR MR. SURESH MAHESHWARI DIRECTOR LAMBODAR PROJECTS PRIVATE LIMITED MR. NIRPINDER SINGH GM - FINANCE IPROF LEARNING SOLUTIONS INDIA
SHARES WERE ALSO MR. NIRPINDER SINGH GM - FINANCE
IPROF LEARNING SOLUTIONS INDIA SHARES WERE ALSO MR. R.P. PUNJANI COMPANY SECRETARY
DLF CYBER CITY DEVELOPERS LIMITED MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG
![Page 147: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/147.jpg)
MS. KANIKA SHARMA EXECUTIVE -COMPLIANCE & COMPANY AFFAIR TCG MR. TUHINA DEY CS & LEGAL PLG PHOTOVOLTAIC LIMITED UNIT - 101, 1ST
CONTACT ISSUER FOR MR. TUHINA DEY CS & LEGAL PLG
PHOTOVOLTAIC LIMITED UNIT - 101, 1ST CONTACT ISSUER FOR MR. TUHINA DEY CS & LEGAL PLG
PHOTOVOLTAIC LIMITED UNIT - 101, 1ST CONTACT ISSUER FOR MR. ANIL SACHDEVA SR. MNAGER -
FINANCE & COMPLIANE PARIJAT CONTACT ISSUER FOR Mr. Sameer Gaur Director Jaypee Cement
Corporation Limited Sector - 128, Noida - MR. SUDHIR RANA ADDITIONAL GENERAL MANAGER JAYPEE
CONTACT ISSUER FOR MR. AMITKUMAR MUNDHE COMPANY
SECRETARY SHAPOORJI PALLONJI SHARES WERE ALSO MR. K.K.CHATURVEDI COMPANY
SECRETARY MOSER BAER SOLAR MR. R. P. PUNJANI GENERAL MANAGER (CORPORATE AFFAIRS) RIVERIA MR. R. P. PUNJANI GENERAL MANAGER (CORPORATE AFFAIRS) RIVERIA MR. R. P. PUNJANI GENERAL MANAGER (CORPORATE AFFAIRS) RIVERIA MR. R.S. TIWARI COMPANY SECRETARY SARLA HOLDINGS PRIVATE LIMITED 2,
THE CONVERSIOMR. R.S. TIWARI COMPANY SECRETARY
SARLA HOLDINGS PRIVATE LIMITED 2, ALLOTMENT WAS ALSO MS. PALLAVI VARDHAN COMPANY
SECRETARY HIMALYAN EXPRESSWAY Mr. Sanjay Jain Director TRN Energy Limited 18, Vasant Enclave, Rao Tula Ram Marg, New MR. J.K. SINGLA SENIOR MANAGER ALANKIT ASSIGNMENTS LIMITED
CONTACT ISSUER FOR Mr. V. D. Wadhwa Timex Watches Limited
Company Secretary 117, Ground Floor World THE BOARD OF Mr. V. D. Wadhwa Timex Watches Limited
Company Secretary 117, Ground Floor World THE BOARD OF MR. SAMEER GAUR CHAIRMAN JAYPEE
AGRA VIKAS LIMITED SECTOR 128, MR. J.K. SINGHLA SENIOR MANAGER ALANKIT ASSIGNMENT LIMITED
THE MATURITY MR. J.K. SINGHLA SENIOR MANAGER
ALANKIT ASSIGNMENT LIMITED MATURITY DATE: 9TH MR. J.K. SINGHLA SENIOR MANAGER
ALANKIT ASSIGNMENT LIMITED THE MATURITY MS. SUMAN LATA COMPANY
SECRETARY KANPUR FERTILIZERS & CONTACT ISSUER FOR MS. SUMAN LATA COMPANY
SECRETARY KANPUR FERTILIZERS & MS. SUMAN LATA COMPANY SECRETARY KANPUR FERTILIZERS &
CONTACT ISSUER FOR MR. UTKARSH TRIVEDI COMPANY
SECRETARY - SECRETARIAL & LEGAL MR. UTKARSH TRIVEDI COMPANY SECRETARY - SECRETARIAL & LEGAL MR. UTKARSH TRIVEDI COMPANY SECRETARY - SECRETARIAL & LEGAL MR. UTKARSH TRIVEDI COMPANY SECRETARY - SECRETARIAL & LEGAL MR. YASHESH BHATT SECRETARIAL & LEGAL SHAPOORJI PALLONJI ROADS
THE PREFERENCE MR. YASHESH BHATT & MR. RAJESH RAJ
SECRETARIAL & LEGAL SP PORTS THE PREFERENCE MS. BINDU SHARMA COMPANY
SECRETARY CARNATION AUTO INDIA ONE PREFERENCE MR. NARSH KUMAR AGGARWAL
DIRECTOR ACTION ISPAT & POWER MR. NILESH RAMJIYANI DIRECTOR RICHMOND PARK PROPERTY MR. NILESH RAMJIYANI DIRECTOR RICHMOND PARK PROPERTY MR. NARSH KUMAR AGGARWAL DIRECTOR ACTION ISPAT & POWER MR. NARSH KUMAR AGGARWAL DIRECTOR ACTION ISPAT & POWER MR. NARSH KUMAR AGGARWAL DIRECTOR ACTION ISPAT & POWER MR. J.K. SINGLA SENIOR MANAGER ALANKIT ASSIGNMENTS LIMITED MR. TAKESH MATHUR DIRECTOR TOWER PROMOTERS PRIVATE LIMITED MR. YASHESH BHATT / MR. RAJESH RAJ SECRETARIAL & LEGAL SIMAR PORT
CONTACT ISSUER FOR MR. YASHESH BHATT / MR. RAJESH RAJ
SECRETARIAL & LEGAL SIMAR PORT CONTACT ISSUER FOR MR. RAJESH RAJ/ MR. YASHESH BHATT
SECRETARIAL & LEGAL SHAPOORJI SHARES WERE ALSO MR. J.K. SINGHLA SENIOR MANAGER
ALANKIT ASSIGNMENT LIMITED MR. RAJEEV KUMAR COMPANY SECRETARY PRAYAGRAJ POWER
CONTACT ISSUER FOR MR. RAJEEV KUMAR COMPANY
SECRETARY PRAYAGRAJ POWER CONTACT ISSUER FOR MR. RAJEEV KUMAR COMPANY
SECRETARY PRAYAGRAJ POWER CONTACT ISSUER FOR
![Page 148: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/148.jpg)
SEBI ISIN:
MS. SUMAN LATA COMPANY SECRETARY KANPUR FERTILIZERS &
SHARES WILL BE MS. SUMAN LATA COMPANY
SECRETARY KANPUR FERTILIZERS & CONTACT ISSUER FOR MR. S.D. NAILWAL DIRECTOR JAYPEE
UTTAR BHARAT VIKAS PRIVATE LIMITED CONTACT ISSUER FOR MR. P. N. KUMAR COMPANY SECRETARY
JAYPEE SPORTS INTERNATIONAL MR. GOVIND SINGH / MR. SANJAY SHRIVASTAVA COMPANY SECRETARY / Mr. Mahesh Jairath Vice President Alankit Assignments Limited 2E/8 First Floor Mr. Mahesh Jairath Vice President Alankit Assignments Limited 2E/8 First Floor Mr. Mahesh Jairath Vice President Alankit Assignments Limited 2E/8 First Floor Mr. Mahesh Jairath Vice President Alankit Assignments Limited 2E/8 First Floor Mr. Mahesh Jairath Vice President Alankit Assignments Limited 2E/8 First Floor Mr. Mahesh Jairath Vice President ALANKIT ASSIGNMENTS LTD ALANKIT HOUSE
CONTACT ISSUER FOR MR. GOVIND SINGH / MR. SANJAY
SHRIVASTAVA COMPANY SECRETARY / Mr. Mahesh Jairath Vice President ALANKIT ASSIGNMENTS LTD ALANKIT HOUSE
CONTACT ISSUER FOR Mr. Mahesh Jairath Vice President Alankit
Assignments Limited 2E/8 First Floor MR. RAJ KUMAR GUPTA AUTHORISED SIGNATORY PAN PARAG INDIA LIMITED Mr. Mukesh Gupta Authorised Signatory Jubilant Capital Private Limited Plot 1A, Mr. Mukesh Gupta Authorised Signatory Jubilant Capital Private Limited Plot 1A, Mr. Mahesh Jairath Vice President Alankit Assignments Limited 2E/8 First Floor MR. GOVIND SINGH / MR. SANJAY SHRIVASTAVA COMPANY SECRETARY / MR. YASHESH BHATT & MR. RAJESH RAJ SECRETARIAL & LEGAL SP PORTS
CONTACT ISSUER FOR MR. AMIT SHRISHRIMAL FINANCIAL
CONTROLLER HANSA CUSTOMER CONTACT ISSUER FOR MR. DEVANG JANI GENERAL MANAGER
HUNGAMA .COM PRIVATE LIMITED F-1, CONTACT ISSUER FOR MR. DEVANG JANI GENERAL MANAGER
HUNGAMA .COM PRIVATE LIMITED F-1, CONTACT ISSUER FOR Ms. Nandini Nair Chief Manager TSR
Darashaw Limited 6-10, Haji Moosa Patrawala CONTACT ISSUER FOR Ms. S. R. Billimoria Senior Manager TSR
Darashaw Limited 6-10, Haji Moosa Patrawala CONTACT ISSUER FOR Ms. S. R. Billimoria Senior Manager TSR
Darashaw Limited 6-10, Haji Moosa Patrawala CONTACT ISSUER FOR Ms. S. R. Billimoria Senior Manager TSR
Darashaw Limited 6-10, Haji Moosa Patrawala CONTACT ISSUER FOR MR. PRASHANT KUMAR COMPANY
SECRETARY & COMPLIANCE OFFICER MR. DEVANG JANI GENERAL MANAGER HUNGAMA .COM PRIVATE LIMITED F-1,
CONTACT ISSUER FOR MR. SURESH KUMAR M.P. AUTHORISED
PERSON FINANCIAL SOFTWARE AND CONTACT ISSUER FOR MR. NILESH BHANDARE SENIOR
MANAGER - DEPOSITORY SHAREPRO MR. NILESH BHANDARE SENIOR MANAGER - DEPOSITORY SHAREPRO MR. NILESH BHANDARE SENIOR MANAGER - DEPOSITORY SHAREPRO MR. NILESH BHANDARE SENIOR MANAGER - DEPOSITORY SHAREPRO MR. NILESH BHANDARE SENIOR MANAGER - DEPOSITORY SHAREPRO MR. NILESH BHANDARE SENIOR MANAGER - DEPOSITORY SHAREPRO MR. NILESH BHANDARE SENIOR MANAGER - DEPOSITORY SHAREPRO MR. NILESH BHANDARE SENIOR MANAGER - DEPOSITORY SHAREPRO MR. NILESH BHANDARE SENIOR MANAGER - DEPOSITORY SHAREPRO MR. NILESH BHANDARE SENIOR MANAGER - DEPOSITORY SHAREPRO MR. PRASHANT KUMAR COMPANY SECRETARY & COMPLIANCE OFFICER MR. ASHOK BARAT DIRECTOR SCI FORBES LIMITED GROUND FLOOR, Ms. Nandini Nair Senior Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa
![Page 149: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/149.jpg)
SEBI ISIN:
Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa Ms. Nandini Nair Senior Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandini Nair Senior Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandini Nair Senior Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa Ms. Nandini Nair Senior Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandini Nair Senior Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandini Nair Senior Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa Ms. Nandani Iyer Chief Manager TSR Darashaw Limited 6-10, 1st Floor, Haji Moosa
CONTACT ISSUER FOR Ms. Nandani Iyer Chief Manager TSR
Darashaw Limited 6-10, 1st Floor, Haji Moosa CONTACT ISSUER FOR MR. D. RAVI SHANKAR SENIOR VICE
PRESIDENT - FINANCE NANDI The preference shares will be Mr. Kiran Y Acharya Sr. Manager (Finance) &
Company Secretary Sandvik Steel Asia Private Mr. Abadaan Viccaji Head Of Compliance HSBC Securities And Capital Markets (India)
REDEEMABLE AT PAR ON Ms. Anandhi T. Asst. Manager Legal
Microland Limited 1B, Ecospace Belandur Outer SHARES WERE ALSO Mr. Dilip Sawant General Manager Sharepro
Services (India) Private Limited 13AB, Samhita MR. MIHIR DAMNIWALA FINANCIAL CONTROLLER / INFORMATION OFFICER
CONVERSION DETAILS : Ms. Nandini Nair Chief Manager TSR
Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandini Nair Chief Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandini Nair Chief Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandini Nair Chief Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandini Nair Chief Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandini Nair Chief Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala Ms. Nandini Nair Chief Manager TSR Darashaw Limited 6-10, Haji Moosa Patrawala
CONTACT ISSUER FOR Ms. Nandini Nair Chief Manager TSR
Darashaw Limited 6-10, Haji Moosa Patrawala CONTACT ISSUER FOR Ms. Nandini Nair Chief Manager TSR
Darashaw Limited 6-10, Haji Moosa Patrawala CONTACT ISSUE FOR MR. Y. MUTHURAMAN AGM- FINANCE &
ACCOUNTS UNITED SEAMLESS CONTACT ISSUER FOR Mr. K. K. Maheshwari Managing Director CIL
Securities Limited 214, Raghava Ratna Towers MR. B.M. MAHESHWARI PRESIDENT CIL SECURITIES LIMITED 214, RAGHAVA Mr. B. M. Maheshwari President CIL Securities Limited 214, Raghava Ratna Towers Chirag Ali
SHARES WERE ALSO CONTACT ISSUER FOR MR. BADRI NARAYAN CHIEF FINANCIAL
OFFICER AD2PRO MEDIA SOLUTIONS CONTACT ISSUER FOR MR. BADRI NARAYAN CHIEF FINANCIAL
OFFICER AD2PRO MEDIA SOLUTIONS CONTACT ISSUER FOR MS. SHILPA SHENOY GENERAL
MANAGER FINANCE UNILOG CONTENT CONTACT ISSUER FOR MR. ALOK AGRAWAL FINANCE
CONTROLLER RUPTUB SOLUTIONS CONTACT ISSUER FOR MR. ALOK AGRAWAL FINANCE
CONTROLLER RUPTUB SOLUTIONS CONTACT ISSUER FOR MR. ALOK AGRAWAL FINANCE
CONTROLLER RUPTUB SOLUTIONS CONTACT ISSUER FOR MR. ALOK AGRAWAL FINANCE
CONTROLLER RUPTUB SOLUTIONS CONTACT ISSUER FOR MR. ALOK AGRAWAL FINANCE
CONTROLLER RUPTUB SOLUTIONS CONTACT ISSUR FOR MR. PRANAV BHUTA DIRECTOR
IENERGY WIND FARMS (THENI) PRIVATE MR. V. VEERAPPAN DIRECTOR TESSOLVE SEMICONDUCTOR PRIVATE
SHARES WERE ALSO MR. KARAN BAGARIA DIRECTOR
RECIPHARM PHARMASERVICES PRIVATE CONTACT ISSUER FOR MR. B.G. SHRIRAM ASSISTANT FINANCE
CONTROLLER 63IDEAS INFOLABS CONTACT ISSUER FOR MR. GULSHAN BAKHTIANI DIRECTOR
WELLNESS FOREVER MEDICARE
![Page 150: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/150.jpg)
MR. AJIT BISTANGOUDAR COMPANY SECRETARY KIDS CLINIC INDIA PRIVATE
CONTACT ISSUE FOR MR. AJIT BISTANGOUDAR COMPANY
SECRETARY KIDS CLINIC INDIA PRIVATE CONTACT ISSUER FOR MR. AJIT BISTANGOUDAR COMPANY
SECRETARY KIDS CLINIC INDIA PRIVATE CONTACT ISSUER FOR MR. AJIT BISTANGOUDAR COMPANY
SECRETARY KIDS CLINIC INDIA PRIVATE CONTACT ISSUER FOR MR. RAJESH NAHAR MANAGING
DIRECTOR NET AVENUE TECHNOLOGIES CONTACT ISSUER FOR MR. RAJESH NAHAR MANAGING
DIRECTOR NET AVENUE TECHNOLOGIES CONTACT ISSUER FOR MR. RAJESH NAHAR MANAGING
DIRECTOR NET AVENUE TECHNOLOGIES CONTACT ISSUER FOR MR. RAJESH NAHAR MANAGING
DIRECTOR NET AVENUE TECHNOLOGIES CONTACT ISSUER FOR MR. RAJESH NAHAR MANAGING
DIRECTOR NET AVENUE TECHNOLOGIES CONTACT ISSUER FOR MR. G. THULASIDHARAN FINANCE
CONTOLLER MUBBLE NETWORKS CONTACT ISSUER FOR MR. ALOK AGRAWAL FINANCE
CONTROLLER RUPTUB SOLUTIONS CONTACT ISSUER FOR MR. ALOK AGRAWAL FINANCE
CONTROLLER RUPTUB SOLUTIONS CONTACT ISSUER FOR MR. ALOK AGRAWAL FINANCE
CONTROLLER RUPTUB SOLUTIONS CONTACT ISSUR FOR MR. KISHORE KANCHAN ACCOUNTS
MANAGER IMONITOR SOLUTIONS INDIA CONTACT ISSUER FOR MR. ANKIT SARAWAGI MANAGER -
FINANCE AEON LEARNING PRIVATE SHARES WERE ALSO MR. ANKIT SARAWAGI MANAGER -
FINANCE AEON LEARNING PRIVATE SHARES WERE ALSO MR. ANKIT SARAWAGI MANAGER -
FINANCE AEON LEARNING PRIVATE CONTACT ISSUER FOR MR. ANKIT SARAWAGI MANAGER -
FINANCE AEON LEARNING PRIVATE CONTACT ISSUER FOR MR. ANKIT SARAWAGI MANAGER -
FINANCE AEON LEARNING PRIVATE CONTACT ISSUER FOR MR. ANKIT SARAWAGI MANAGER -
FINANCE AEON LEARNING PRIVATE CONTACT ISSUER FOR MR. RAMPRASAD PATRO MANAGER -
FINANCE & CONTROL 10I COMMERCE SHARES WERE ALSO MR. RAMPRASAD PATRO MANAGER -
FINANCE & CONTROL 10I COMMERCE SHARES WERE ALSO MR. V. VEERAPPAN DIRECTOR
TESSOLVE SEMICONDUCTOR PRIVATE SHARES WERE ALSO MR. KARAN BAGARIA DIRECTOR
RECIPHARM PHARMASERVICES PRIVATE CONTACT ISSUER FOR MR. B.G. SHRIRAM ASSISTANT FINANCE
CONTROLLER 63IDEAS INFOLABS CONTACT ISSUER FOR MR. B.G. SHRIRAM ASSISTANT FINANCE
CONTROLLER 63IDEAS INFOLABS CONTACT ISSUER FOR MR. B.G. SHRIRAM ASSISTANT FINANCE
CONTROLLER 63IDEAS INFOLABS COTNACT ISSUER FOR MR. B.G. SHRIRAM ASSISTANT FINANCE
CONTROLLER 63IDEAS INFOLABS CONTACT ISSUER FOR MR. B.G. SHRIRAM ASSISTANT FINANCE
CONTROLLER 63IDEAS INFOLABS CONTACT ISSUER FOR MR. SUBRAMANIAN RAMACHANDRAN
VP - FINANCE DEPT. MAXHEAP CONTACT ISSUER FOR MR. SUBRAMANIAN RAMACHANDRAN
VP - FINANCE DEPT. MAXHEAP CONTACT ISSUER FOR MR. SUBRAMANIAN RAMACHANDRAN
VP - FINANCE DEPT. MAXHEAP CONTACT ISSUER FOR MR. SUBRAMANIAN RAMACHANDRAN
VP - FINANCE DEPT. MAXHEAP CONTACT ISSUER FOR MR. SUBRAMANIAN RAMACHANDRAN
VP - FINANCE DEPT. MAXHEAP CONTACT ISSUER FOR MR. SUBRAMANIAN RAMACHANDRAN
VP - FINANCE DEPT. MAXHEAP CONTACT ISSUER FOR MR. SUBRAMANIAN RAMACHANDRAN
VP - FINANCE DEPT. MAXHEAP CONTACT ISSUER FOR MR. PRASHANTH V S ASSISTANT VICE
PRESIDENT - FINANCE & ACCOUNTS SHARES WERE ALSO MR. PRASHANTH V S ASSISTANT VICE
PRESIDENT - FINANCE & ACCOUNTS CONTACT ISSUER FOR MR. PRASHANTH V S ASSISTANT VICE
PRESIDENT - FINANCE & ACCOUNTS CONTACT ISSUER FOR MR. PRASHANTH V S ASSISTANT VICE
PRESIDENT - FINANCE & ACCOUNTS CONTACT ISSUER FOR MR. PRASHANTH V S ASSISTANT VICE
PRESIDENT - FINANCE & ACCOUNTS SHARES WERE ALSO MR. PRASHANTH V S ASSISTANT VICE
PRESIDENT - FINANCE & ACCOUNTS CONTACT ISSUER FOR MR. PRASHANTH V S ASSISTANT VICE
PRESIDENT - FINANCE & ACCOUNTS CONTACT ISSUER FOR MR. PRASHANTH V S ASSISTANT VICE
PRESIDENT - FINANCE & ACCOUNTS CONTACT ISSUER FOR MR. RAJESH R. PILLAI HEAD - FINANCE
TRINITY MOBILITY PRIVATE LIMITED NO. CONTACT ISSUER FOR MR. RAJESH R. PILLAI HEAD - FINANCE
TRINITY MOBILITY PRIVATE LIMITED NO. CONTACT ISSUER FOR MR. RAJESH R. PILLAI HEAD - FINANCE
TRINITY MOBILITY PRIVATE LIMITED NO. CONTACT ISSUER FOR MR. RAJESH R. PILLAI HEAD - FINANCE
TRINITY MOBILITY PRIVATE LIMITED NO. CONTACT ISSUER FOR
![Page 151: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/151.jpg)
MS. PANKHURI SRIVASTAVA DIRECTOR CRYPTOPY TECHNOLOGIES PRIVATE
CONTACT ISSUER FOR MS. PANKHURI SRIVASTAVA DIRECTOR
CRYPTOPY TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. SWAPNA LATHA COMPANY
SECRETARY KIRLOSKAR ELECRIC CONTACT ISSUER FOR MR. SHIVANANDA HEGDE FINANCE
CONTROLLER & COMPANY SECRETARY MR. S PRABHAKAR SENIOR MANAGER INTEGRATED ENTERPRISES (INDIA) LTD
CONTACT ISSUER FOR MR. S PRABHAKAR SENIOR MANAGER
INTEGRATED ENTERPRISES (INDIA) LTD CONTACT ISSUER FOR MS. PANKHURI SRIVASTAVA DIRECTOR
CRYPTOPY TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. PANKHURI SRIVASTAVA DIRECTOR
CRYPTOPY TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MS. PANKHURI SRIVASTAVA DIRECTOR
CRYPTOPY TECHNOLOGIES PRIVATE CONTACT ISSUER FOR MR. J. GOPINATH CHIEF MANAGER
INTEGRATED ENTP.(I) LTD, BANGALORE CONTACT ISSUER FOR MR. J. GOPINATH CHIEF MANAGER
INTEGRATED ENTP.(I) LTD, BANGALORE CONTACT ISSUER FOR MR. J. GOPINATH CHIEF MANAGER
INTEGRATED ENTP.(I) LTD, BANGALORE CONTACT ISSUER FOR MR. J. GOPINATH CHIEF MANAGER
INTEGRATED ENTP.(I) LTD, BANGALORE CONTACT ISSUER FOR MR. J. GOPINATH CHIEF MANAGER
INTEGRATED ENTP.(I) LTD, BANGALORE CONTACT ISSUER FOR MR. J. GOPINATH CHIEF MANAGER
INTEGRATED ENTP.(I) LTD, BANGALORE CONTACT ISSUER FOR MR. J. GOPINATH CHIEF MANAGER
INTEGRATED ENTP.(I) LTD, BANGALORE CONTACT ISSUER FOR MR. J. GOPINATH CHIEF MANAGER
INTEGRATED ENTP.(I) LTD, BANGALORE CONTACT ISSUER FOR MR. J. GOPINATH CHIEF MANAGER
INTEGRATED ENTP.(I) LTD, BANGALORE CONTACT ISSUER FOR MR. J. GOPINATH CHIEF MANAGER
INTEGRATED ENTP.(I) LTD, BANGALORE CONTACT ISSUER FOR MS. ANANYA SANYAL COMPANY
SECRETARY GLOBAL GREEN COMPANY PLEASE CONTACT MS. ANANYA SANYAL COMPANY
SECRETARY GLOBAL GREEN COMPANY CONTACT ISSUER FOR MS. ANANYA SANYAL COMPANY
SECRETARY GLOBAL GREEN COMPANY CONTACT ISSUER FOR MS. ANANYA SANYAL COMPANY
SECRETARY GLOBAL GREEN COMPANY CONTACT ISSUER FOR MS. ANANYA SANYAL COMPANY
SECRETARY GLOBAL GREEN COMPANY MR. J. GOPINATH CHIEF MANAGER INTEGRATED ENTP.(I) LTD, BANGALORE
CONTACT ISSUER FOR MR. DINESH SINGH COMPANY
SECRETARY NOVA MEDICAL CENTERS EACH PREFERENCE MR. J. GOPINATH CHIEF MANAGER
INTEGRATED ENTP.(I) LTD, BANGALORE CONTACT ISSUER FOR MR. SREENIVAS SRIPADA COMPLIANCE
OFFICER GMR KISHANGARH UDAIPUR CONTACT ISSUER FOR MR. V S SEKAR CHIEF FINANCIAL
OFFICER DUSTERS TOTAL SOLUTIONS 0.01% PREFERENCE MR. V S SEKAR CHIEF FINANCIAL
OFFICER DUSTERS TOTAL SOLUTIONS 0.01% PREFERENCE MR. V S SEKAR CHIEF FINANCIAL
OFFICER DUSTERS TOTAL SOLUTIONS 0.01% PREFERENCE MR. S PRABHAKAR SENIOR MANAGER
INTEGRATED ENTERPRISES (INDIA) LTD EACH PREFERENCE MR. S PRABHAKAR SENIOR MANAGER
INTEGRATED ENTERPRISES (INDIA) LTD EACH PREFERENCE MR. S PRABHAKAR SENIOR MANAGER
INTEGRATED ENTERPRISES (INDIA) LTD EACH PREFERENCE MR. S PRABHAKAR SENIOR MANAGER
INTEGRATED ENTERPRISES (INDIA) LTD CONTACT ISSUER FOR MR. S VIJAYAGOPAL ASST. VICE
PRESIDENT INTEGRATED ENTP.(I) LTD, CONTACT ISSUER FOR MR. S VIJAYAGOPAL ASST. VICE
PRESIDENT INTEGRATED ENTP.(I) LTD, CONTACT ISSUER FOR MS. ANKITA TIWARI COMPANY
SECRETARY MANIPAL ACUNOVA CONTACT ISSUER FOR Mr. S Vijayagopal Associate Vice President
Integrated Enterprises (India) Limited 30, Mr. S. Sridhar, Asst. Vice President Integrated Enterprises (India) Limited, Bangalore. 30, Mr. S. Sridhar, Asst. Vice President Integrated Enterprises (India) Limited, Bangalore. 30, Mr. S Vijayagopal Associate Vice President Integrated Enterprises (India) Limited 30, Mr. S Vijayagopal Associate Vice President Integrated Enterprises (India) Limited 30, Mr. S Vijayagopal Associate Vice President Integrated Enterprises (India) Limited 30, MR. GANESH KUMAR M. COMPANY SECRETARY GMR AMBALA-MS. ANUSHREE KESHAV COMPANY SECRETARY TYCO ELECTRONICS MR. S VIJAYAGOPAL ASST. VICE PRESIDENT INTEGRATED ENTP.(I) LTD, Mr. S Vijayagopal Associate Vice President Integrated Enterprises (India) Limited 30,
CONTACT ISSUER FOR
![Page 152: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/152.jpg)
MR. RAJEEV KHANNA COMPANY SECRETARY GMR POCHANPALLI Mr. S. Vijaya Gopal Asst. Vice-President ALPHA SYSTEMS PVT. LTD. 30 Ramana MR. SADANANDA POOJARY COMPANY SECRETARY AMALGAMATED BEAN
PREFERENCE SHARES ARE MS. MANGAL KULKARNI COMPLIANCE
OFFICER GMR HYDERABAD VIJAYWADA MS. MANGAL KULKARNI COMPLIANCE OFFICER GMR CHENNAI OUTER RING Mr. S. Sridhar, Asst. Vice President Integrated Enterprises (India) Limited 30, Ramana
SHARES WERE ALSO Mr. S. Sridhar, Asst. Vice President Integrated
Enterprises (India) Limited 30, Ramana Mr. S. Sridhar, Asst. Vice President Integrated Enterprises (India) Limited 30, Ramana
SHARES WERE ALSO MR. S. PRABHAKAR MANAGER ALPHA
SYSTEMS PVT. LTD. 30, RAMANA Mr. K HARISH MANAGER Integrated Enterprises (India) Limited 30, Ramana
IFC SUBSCRIBED Mr. K HARISH MANAGER Integrated
Enterprises (India) Limited 30, Ramana IFC SUBSCRIBED Mr. K HARISH MANAGER Integrated
Enterprises (India) Limited 30, Ramana ON OR AFTER Mr. K HARISH MANAGER Integrated
Enterprises (India) Limited 30, Ramana CONTACT ISSUER FOR Mr. K HARISH MANAGER Integrated
Enterprises (India) Limited 30, Ramana CONTACT ISSUER FOR Mr. R S Jhanwar Director Maheshwari
Datamatics Private Limited 23 R. N. Mukherjee Mr. S. Rajagopal Vice President Maheshwari Datamatics Private Limited 23, R.N.
COMPULSORILY Mr. S. Rajagopal Vice President Maheshwari
Datamatics Private Limited 23, R.N. COMPULSORILY Mr. S. Rajagopal Vice President Maheshwari
Datamatics Private Limited 23, R.N. COMPULSORILY Mr. S. Rajagopal Vice President Maheshwari
Datamatics Private Limited 23, R.N. CONTACT ISSUER FOR Mr. R S Jhanwar Director Maheshwari
Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee
CONTACT ISSUER FOR Mr. R S Jhanwar Director Maheshwari
Datamatics Private Limited 23 R. N. Mukherjee CONTACT ISSUER FOR Mr. R S Jhanwar Director Maheshwari
Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee Mr. R S Jhanwar Director Maheshwari Datamatics Private Limited 23 R. N. Mukherjee
CONTACT ISSUER FOR Mr. S Rajagopal Vice President Maheshwari
Datamatics Private Limited 23, R.N. Mukherjee CONTACT ISSUER FOR Mr. Ram Kishor Kejriwal Director Maheshwari
Datamatics Private Limited 29, Ganesh Chandra MR. SHAILENDRA SINGHAL DIRECTOR AGROH BIAORA TOLLWAYS PRIVATE
SHARES WERE ALSO MR. ANKIT JAIN COMPANY SECRETARY
K S OILS LIMITED JIWAJI GANJ, MORENA MR. DEEPAK ARORA DIRECTOR ARYAVRAT TOLLWAYS PRIVATE
CONTACT ISSUER FOR Ms. Savita Bhatnagar Manager (Operation)
Ankit Consultancy Private Limited 60, Electronic Ms. Savita Bhatnagar Manager (Operation) Ankit Consultancy Private Limited 60, Electronic Mr. Rajendra Goel General Manager - Projects D B MALLS PRIVATE LIMITED 6, Dwarka MS. GEETA PURI SETH COMPANY SECRETARY ATC TELECOM Mr.K.Ramesh Manager XL Softech Systems Limited Plot No. 3, Sagar Society Road No. 2,
CONTACT ISSUER FOR Mr.K.Ramesh Manager XL Softech Systems
Limited Plot No. 3, Sagar Society Road No. 2, CONTACT ISSUER FOR
![Page 153: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/153.jpg)
Mr.K.Ramesh Manager XL Softech Systems Limited Plot No. 3, Sagar Society Road No. 2, Mr. R Ram Prasad Manager XL SOFTECH SYSTEMS LTD 3, Sagar Society, Road No. 2,
THE PREFERENCE Mr.R Ram Prasad Manager XL Softech
Systems Limited 3, Sagar Society, Road No.2, CONTACT ISSUER FOR Mr.K.Ramesh Manager XL Softech Systems
Limited Plot No. 3, Sagar Society Road No. 2, CONTACT ISSUER FOR Mr.Ram Prasad Manager XL Softech Systems
Limited 3, Sagar Society Road No.2 Banjara CONTACT ISSUER FOR Mr.R Ram Prasad Manager XL Softech
Systems Limited 3, Sagar Society Road No. 2, Mr.R Ram Prasad Manager XL Softech Systems Limited 3, Sagar Society Road No. 2, Mr.R Ram Prasad Manager XL Softech Systems Limited 3, Sagar Society Road No. 2, Mr.R Ram Prasad Manager XL Softech Systems Limited 3, Sagar Society Road No. 2, Mr.R Ram Prasad Manager XL Softech Systems Limited 3, Sagar Society Road No. 2, Mr.R Ram Prasad Manager XL Softech Systems Limited 3, Sagar Society Road No. 2,
CONTACT ISSUER FOR MR. YASH SHETH COMPANY SECRETARY
SINTEX-BAPL LIMITED 7TH FLOOR, Mr. Rajesh Shah Director Purva Sharegistry (India) Private Limited 9 Shiv Shakti Industrial Mr. Rajesh Shah Director Purva Sharegistry (India) Private Limited 9 Shiv Shakti Industrial Mr. Rajesh Shah Director Purva Sharegistry (India) Private Limited 9 Shiv Shakti Industrial
CONTACT ISSUER FOR Mr.Rajesh Shah Director Purva Sharegistry
(India) Limited 9, Shiv Shakti Industrial Estate CONTACT ISSUER FOR MR. RAJESH SHAH DIRECTOR PURVA
SHAREGISTRY 9 SHIV SHAKTI IND. ESTT. MR. RAJESH SHAH DIRECTOR PURVA SHAREGISTRY 9 SHIV SHAKTI IND. ESTT. MR. RAJESH SHAH DIRECTOR PURVA SHAREGISTRY 9 SHIV SHAKTI IND. ESTT. MR. RAJESH SHAH DIRECTOR PURVA SHAREGISTRY 9 SHIV SHAKTI IND. ESTT. MR. RAJESH SHAH DIRECTOR PURVA SHAREGISTRY 9 SHIV SHAKTI IND. ESTT. MR. RAJESH SHAH DIRECTOR PURVA SHAREGISTRY 9 SHIV SHAKTI IND. ESTT. MR. RAJESH SHAH DIRECTOR PURVA SHAREGISTRY 9 SHIV SHAKTI IND. ESTT. MR. RAJESH SHAH DIRECTOR PURVA SHAREGISTRY 9 SHIV SHAKTI IND. ESTT. Mr.Rajesh Shah Director - Operation Purva Sharegistry (India) Limited 9, Shiv Shakti Mr.Rajesh Shah Director - Operation Purva Sharegistry (India) Limited 9, Shiv Shakti Mr.Rajesh Shah Director - Operation Purva Sharegistry (India) Limited 9, Shiv Shakti Mr.Rajesh Shah Director - Operation Purva Sharegistry (India) Limited 9, Shiv Shakti Mr.Rajesh Shah Director - Operation Purva Sharegistry (India) Limited 9, Shiv Shakti Mr.Rajesh Shah Director - Operation Purva Sharegistry (India) Limited 9, Shiv Shakti Mr.Rajesh Shah Director - Operation Purva Sharegistry (India) Limited 9, Shiv Shakti Mr.Rajesh Shah Director - Operation Purva Sharegistry (India) Limited 9, Shiv Shakti Mr.Rajesh Shah Director - Operation Purva Sharegistry (India) Limited 9, Shiv Shakti Mr.Rajesh Shah Director - Operation Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti
CONTACT ISSUER FOR Mr. Rajesh Shah Managing Director Purva
Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti
CONTACT ISSUER FOR Mr. Rajesh Shah Managing Director Purva
Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti
CONTACT ISSUER FOR Mr. Rajesh Shah Managing Director Purva
Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti
![Page 154: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/154.jpg)
Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Director Purva Sharegistry (India) Limited 9, Shiv Shakti Industrial Estate Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti
CONTACT ISSUER FOR Mr. Rajesh Shah Managing Director Purva
Sharegistry (India) Limited 9, Shiv Shakti CONTACT ISSUER FOR Mr. Rajesh Shah Managing Director Purva
Sharegistry (India) Limited 9, Shiv Shakti CONTACT ISSUER FOR Mr. Rajesh Shah Managing Director Purva
Sharegistry (India) Limited 9, Shiv Shakti CONTACT ISSUER FOR Mr. Rajesh Shah Managing Director Purva
Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti Mr. Rajesh Shah Managing Director Purva Sharegistry (India) Limited 9, Shiv Shakti MR. SAURABH MATHUR COMPANY SECRETARY AIR WORKS INDIA
PREFERENCE SHARES IS MR. ALIASGAR M LOKHANDWALA
DIRECTOR LOKHANDWALA KATARIA MR. GAUTAM KIRTIKUMAR SHAH DIRECTOR SAUJALYA CONSULTANTS
CONTACT ISSUER FOR MR. SAURABH MATHUR COMPANY
SECRETARY AIR WORKS INDIA EACH CCPS WILL BE MR. SAURABH MATHUR COMPANY
SECRETARY AIR WORKS INDIA EACH CCPS WILL BE Mr.Sadashiva Shetty Director ADROIT
CORPORATE SERVICES PRIVATE LIMITED CONTACT ISSUER FOR Mr.Sadashiva Shetty Director ADROIT
CORPORATE SERVICES PRIVATE LIMITED CONTACT ISSUER FOR Mr.Sadashiva Shetty Director ADROIT
CORPORATE SERVICES PRIVATE LIMITED CONTACT ISSUER FOR Ms. Veena S. Shetty Director Adroit Corporate
Services Pvt. Limited 19/20 Jaferbhoy Industrial Mr.Sadashiva Shetty Director ADROIT CORPORATE SERVICES PVT LTD 19,
CONTACT ISSUER FOR Mr. Aliasgar M. Lokhandwala Director
Lokhandwala Kataria Construction Private Optionally convertible into Ms. Veena S. Shetty Director Adroit Corporate
Services Pvt. Limited 19/20 Jaferbhoy Industrial THE CONVERSIOMs. Veena S. Shetty Director Adroit Corporate
Services Pvt. Limited 19/20 Jaferbhoy Industrial THE CCPS ROUND IV Ms. Veena S. Shetty Director Adroit Corporate
Services Pvt. Limited 19/20 Jaferbhoy Industrial A) MATURITY Ms. Veena S. Shetty Director Adroit Corporate
Services Pvt. Limited 19/20 Jaferbhoy Industrial A) MATURITY Ms. Veena S. Shetty Director Adroit Corporate
Services Pvt. Limited 19/20 Jaferbhoy Industrial Mr. Sadashiv S Shetty Managing Director Adroit Corporate Services Private Limited 17/20
CONTACT ISSUER FOR Mr. Sadashiv S Shetty Managing Director
Adroit Corporate Services Private Limited 17/20 CONTACT ISSUER FOR Mr. Sadashiv S Shetty Managing Director
Adroit Corporate Services Private Limited 17/20 CONTACT ISSUER FOR Ms. Veena S. Shetty Director Adroit Corporate
Services Pvt. Limited 19/20 Jaferbhoy Industrial A) MATURITY Ms. Veena S. Shetty Director Adroit Corporate
Services Pvt. Limited 19/20 Jaferbhoy Industrial CONTACT ISSUER FOR Mr. Mahendra Mehta Partner System Support
Services Limited 209, Shivai Ind.Estate, Near CONVERTBLE AT THE Mr. Mahendra Mehta Partner System Support
Services Limited 209, Shivai Ind.Estate, Near CONVERTBLE AT THE Mr. Mahendra Mehta Partner System Support
Service 209, Shivai Industrial Estate Near Parke Mr. Mahendra Mehta/Mr. Zoeb Sutarwala Partner System Support services 209, Shivai Ind.
CONTACT ISSUER FOR Mr. Mahendra Mehta Partner System Support
Services 209, Shivai Ind Estate 89, Andheri FIRST REDEMPTIOMr. S. Ramesh Babu Director BTS Consultancy
Services Private Limited M S Complex, Plot No. THE PREFERENCE Mr. S. Ramesh Babu Director BTS Consultancy
Services Private Limited M S Complex, Plot No. THE PREFERENCE Mr. S. Ramesh Babu Director BTS Consultancy
Services Private Limited M S Complex, Plot No. THE PREFERENCE Mr. Divesh Sawant Manager - ISC GTL
Limited - Investor Service Centre Global Vision, THE OCPS SHALL BE Mr. Divesh Sawant Manager - ISC GTL
Limited - Investor Service Centre Global Vision, THE CONVERSIOMr. Divesh Sawant Manager - ISC GTL
Limited - Investor Service Centre Global Vision, THE CONVERSIO
![Page 155: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/155.jpg)
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
SEBI ISIN:
MR. RAJESH PATEL DIRECTOR EUROPEAN PROJECTS & AVIATION LTD MR. RAJESH PATEL DIRECTOR EUROPEAN PROJECTS & AVIATION LTD
CONTACT ISSUER FOR Mr. Divesh Sawant Manager - ISC GTL
Limited - Investor Services Centre Global THE OCPS SHALL BE Mr. Divesh Sawant Manager - ISC GTL
Limited - Investor Services Centre Global The conversion ratio shall be Mr. Divesh Sawant Manager - ISC GTL
Limited - Investor Services Centre Global THE CONVERSIOMr. Divesh Sawant Manager - ISC GTL
Limited - Investor Services Centre Global THE CONVERSIOMr. Divesh Sawant Manager - ISC GTL
Limited - Investor Services Centre Global Mr. Divesh Sawant Manager - ISC GTL Limited - Investor Services Centre Global Mr. Divesh Sawant Manager - ISC GTL Limited Investor Service Centre Global Vision ,
CONTACT ISSUER FOR MR. NAGARAAJAN IYER GENERAL
MANAGER - INVESTOR SERVICE CENTRE
MR. J SIVAKUMAR DEPUTY GENERAL MANANGER KARVY COMPUTERSHARE Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND
CONTACT ISSUER FOR Mr. P. A Varghese General Manager Karvy
Computershare Private Limited 46, Avenue 4, Mr. P. A Varghese General Manager Karvy Computershare Private Limited 46, Avenue 4, Mr. P. A Varghese General Manager Karvy Computershare Private Limited 46, Avenue 4, MR. S. RAMPRASAD COMPANY SECRETARY TRIL INFOPARK LIMITED
SHARES WERE ALOS Mr. Ramesh M. Valecha Executive Director
Chalet Hotels Private Limited Raheja Tower, MR. P.A. VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT. LTD. MR. P.A. VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT. LTD. MR. P.A. VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT. LTD. Mr. S. Kannan / Mr. Prasanna Kumar Asst. General Manager / Asst. Manager Karvy MR. VIVECK ATRI CFO & COMPANY SECRETARY AGRO DUTCH INDUSTRIES MR. P.A. VERGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT. LTD. MR. P.A. VERGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT. LTD. Mr. P. A Varghese General Manager Karvy Computershare Private Limited Karvy House, 46, Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A. Varghese Zonal Head Karvy Computershare Private Limited Plot No. 17 24 Mr. P.A. Varghese Zonal Head Karvy Computershare Private Limited Plot No. 17 24 Mr. Praveen Chaturvedi General Manager Karvy Computershare Private Limited Karvy Mr. Praveen Chaturvedi General Manager Karvy Computershare Private Limited Karvy MR. S.P. VENUGOPAL DEPUTY GENRAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S.P. VENUGOPAL DEPUTY GENRAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S.P. VENUGOPAL DEPUTY GENRAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. VENUGOPAL S P GENERAL
MANNAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. ALOK SHARMA VICE PRESIDENT
KARVY COMPUTERSHARE PRIVATE MR. ALOK SHARMA VICE PRESIDENT KARVY COMPUTERSHARE PRIVATE Mr. S Venkatachalam / Mr. S P Venugopal General Manager / Dy. General Manager Karvy
CONTACT ISSUER FOR Mr. S Venkatachalam / Mr. S P Venugopal
General Manager / Dy. General Manager Karvy CONTACT ISSUER FOR Mr. S Venkatachalam / Mr. S P Venugopal
General Manager / Dy. General Manager Karvy CONTACT ISSUER FOR Mr. S Venkatachalam / Mr. S P Venugopal
General Manager / Dy. General Manager Karvy CONTACT ISSUER FOR Mr. S Venkatachalam / Mr. S P Venugopal
General Manager / Dy. General Manager Karvy Mr. S Venkatachalam / Mr. S P Venugopal General Manager / Dy. General Manager Karvy Mr. S Venkatachalam / Mr. S P Venugopal General Manager / Dy. General Manager Karvy Mr. S Venkatachalam / Mr. S P Venugopal General Manager / Dy. General Manager Karvy
![Page 156: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/156.jpg)
Mr. S Venkatachalam / Mr. S P Venugopal General Manager / Dy. General Manager Karvy Mr. S Venkatachalam / Mr. S P Venugopal General Manager / Dy. General Manager Karvy Mr. S Venkatachalam / Mr. S P Venugopal General Manager / Dy. General Manager Karvy Mr. S Venkatachalam / Mr. S P Venugopal General Manager / Dy. General Manager Karvy Mr. S Venkatachalam / Mr. S P Venugopal General Manager / Dy. General Manager Karvy Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. S Venkatachalam / Mr. S P Venugopal General Manager / Dy. General Manager Karvy
CONTACT ISSUER FOR Mr. Gaurang Shah Dy. Company Secretary
Reliance Telecom Limited C Block, 1st Floor Mr. Alok Sharma / Mr. Praveen Chaturvedi Vice President / General Manager Karvy
CONTACT ISSUER FOR Mr. Alok Sharma / Mr. Praveen Chaturvedi Vice
President / General Manager Karvy MR. VENKATACHALAM GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR Mr. J Sivakumar Deputy General Manager
Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. J Sivakumar Deputy General Manager Karvy Computershare Private Limited - RIL Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, EACH CCPS WILL BE Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
THE PREFERENCE Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
![Page 157: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/157.jpg)
Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
FULLY CONVERTIBLMr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT THE ISSUER Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTCT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUSER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, THE OCPS SHALL BE Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, THE CCPS SHALL BE Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor,
![Page 158: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/158.jpg)
Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, SHARES WERE ALSO Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
REDEMPTION OF Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
FULLY CONVERTIBLMr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, EVERY 1.871278 Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, EVERY 5.91315 Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Krishana Sharma Compliance Officer
Arunachal Hydro Power Limited 18 th Floor, A - SHARES WERE ALSO Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR MR. BABU RAPHEAL C AGM BIGSHARE
SERVICES BIGSHARE SERVICES PRIVATE MR. BABU RAPHEAL C AGM BIGSHARE SERVICES BIGSHARE SERVICES PRIVATE
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR
![Page 159: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/159.jpg)
Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, THE CCPS SHALL BE Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, EVERY 15.068529 Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, SHARES WERE ALSO Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, CONTACT ISSUER FOR Mr. Ashok S Shetty Compliance Officer
Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor, Mr. Ashok S Shetty Compliance Officer Bigshare Services Private Limited 1st Floor,
SHARES WILL BE MR. BABU RAPHEAL C AGM BIGSHARE
SERVICES BIGSHARE SERVICES PRIVATE CONTACT ISSUER FOR MR. BABU RAPHEAL C AGM BIGSHARE
SERVICES BIGSHARE SERVICES PRIVATE CONTACT ISSUER FOR MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES BHARAT TIN CONTACT ISSUER FOR MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES BHARAT TIN CONTACT ISSUER FOR MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES BHARAT TIN CONTACT ISSUER FOR MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES BHARAT TIN CONTACT ISSUER FOR MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES BHARAT TIN CONTACT ISSUER FOR MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES BHARAT TIN CONTACT ISSUER FOR MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES BHARAT TIN CONTACT ISSUER FOR MR. S. D. PRABHAKAR DEPUTY GENERAL
MANAGER BIGSHARE SERVICES PVT LTD CONTACT ISSUER FOR MR. S. D. PRABHAKAR DEPUTY GENERAL
MANAGER BIGSHARE SERVICES PVT LTD CONTACT ISSUER FOR MR. S. D. PRABHAKAR DEPUTY GENERAL
MANAGER BIGSHARE SERVICES PVT LTD MR. S. D. PRABHAKAR DEPUTY GENERAL MANAGER BIGSHARE SERVICES PVT LTD
SHARES WERE ALSO MR. PREM KUMAR SR. MANAGER
BIGSHARE SERVICES PVT LTD 4E/8, FIRST MR. SANKARI MUTHURAJ COMPANY SECRETARY KJMC FINANCIAL SERVICES MR. A.J. PRASAD CHAIRMAN BEAVER ENGINEERING & HOLDINGS LIMITED 8-2-
CONTACT ISSUER FOR MR. SANJAY SHIWALKAR DGM
BIGSHARE SERVICES PVT LTD E-2/3, CONTACT ISSUER FOR MR. SANJAY SHIWALKAR DGM
BIGSHARE SERVICES PVT LTD E-2/3, RCCPS WERE ALSO MR. SANJAY SHIWALKAR DGM
BIGSHARE SERVICES PVT LTD E-2/3, ORPS WERE ALSO MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES PVT LTD E-2/3, CONTACT ISSUSER FOR MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES PVT LTD E-2/3, CONTACT ISSUER FOR MR. PREM KUMAR SR. MANAGER
BIGSHARE SERVICES PVT LTD 4E/8, FIRST CONTACT ISSUER FOR MS. NIKITA PEDHDIYA COMPANY
SECRETARY CREST STEEL AND POWER MR. T.P. RAJU ASST. VICE PRESIDENT BIGSHARE SERVICES PRIVATE LTD. 306,
CONTACT ISSUER FOR MR. T.P. RAJU ASST. VICE PRESIDENT
BIGSHARE SERVICES PRIVATE LTD. 306, CONTACT ISSUER FOR MR. Y K SINGHAL VICE PRESIDENT
BIGSHARE SERVICES PRIVATE LIMITED CONTACT ISSUER FOR MR. SANKARI MUTHURAJ COMPANY
SECRETARY KJMC FINANCIAL SERVICES CONTACT ISSUER FOR MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES PVT LTD E-2/3, CONTACT ISSUER FOR MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES PVT LTD E-2/3, CONTACT ISSUR FOR MR. VIPIN GUPTA ASST. MANAGER
BIGSHARE SERVICES PVT LTD E-2/3, MR. VIPIN GUPTA ASST. MANAGER BIGSHARE SERVICES PVT LTD E-2/3,
CONTACT ISSUER FOR MR. Y K SINGHAL VICE PRESIDENT
BIGSHARE SERVICES PRIVATE LIMITED CONTACT ISSUER FOR MR. Y K SINGHAL VICE PRESIDENT
BIGSHARE SERVICES PRIVATE LIMITED CONTACT ISSUER FOR MR. BOJIMON K.H ASST GENERAL
MANAGER BIGSHARE SERVICES 306, 3RD CCPS WILL BE Mr. Bojimon K H Assistant General Manager
Bigshare Services Private Limited 306, Right CONTACT ISSUER FOR Mr. Bojimon K H Assistant General Manager
Bigshare Services Private Limited 306, Right CONTACT ISSUER FOR
![Page 160: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/160.jpg)
SEBI ISIN:
MR. ASHOK SHETTY VICE PRESIDENT BIGSHARE SERVICES LTD E-2/3, ANSA Mr.N. V. K.Mohan Managing Director Bigshare Services Private Limited E-2, Ansa Industrial MR. BABU RAPHAEL ASST. GENERAL MANAGER Bigshare Services Pvt. Limited,
CONTACT ISSUER FOR Mr. K H Bojimon Asst. General Manager
Bigshare Services Pvt. Limited G-10, Left Wing EACH CCP IS FULLY Mr. Babu Rapheal C. ASST. GENERAL
MANAGER BIGSHARE SERVICES E/2-3, CONTACT ISSUER FOR MR. T.P. RAJU ASST. VICE PRESIDENT
BIGSHARE SERVICES PRIVATE LTD. 306, CONTACT ISSUER FOR MR. T.P. RAJU ASST. VICE PRESIDENT
BIGSHARE SERVICES PRIVATE LTD. 306, CONTACT ISSUER FOR MR. AJAY SINGH CHAIRMAN/DIRECTOR
PAN INDIA MOTORS PRIVATE LTD. B-1, MR. ASHOK SHETTY VICE PRESIDENT BIGSHARE SERVICES LTD E-2/3, ANSA MR. ASHOK SHETTY VICE PRESIDENT BIGSHARE SERVICES LTD E-2/3, ANSA Mr. Babu Rapheal C. ASST. GENERAL MANAGER BIGSHARE SERVICES E/2-3,
CONTACT ISSUER FOR MR. BABU RAPHAEL ASST. GENERAL
MANAGER Bigshare Services Pvt. Limited, CONTACT ISSUER FOR MR. BABU RAPHAEL ASST. GENERAL
MANAGER Bigshare Services Pvt. Limited, CONTACT ISSUER FOR MR. BABU RAPHAEL ASST. GENERAL
MANAGER Bigshare Services Pvt. Limited, CONTACT ISSUER FOR MR. BABU RAPHAEL ASST. GENERAL
MANAGER Bigshare Services Pvt. Limited, CONTACT ISSUER FOR MR. BABU RAPHAEL ASST. GENERAL
MANAGER Bigshare Services Pvt. Limited, CONTACT ISSUER FOR MR. BABU RAPHAEL ASST. GENERAL
MANAGER Bigshare Services Pvt. Limited, CONTACT ISSUER FOR MR. BABU RAPHAEL ASST. GENERAL
MANAGER Bigshare Services Pvt. Limited, CONTACT ISSUER FOR MR. BABU RAPHAEL ASST. GENERAL
MANAGER Bigshare Services Pvt. Limited, CONTACT ISSUER FOR MR. BABU RAPHAEL ASST. GENERAL
MANAGER Bigshare Services Pvt. Limited, CONTACT ISSUER FOR MR. BABU RAPHAEL ASST. GENERAL
MANAGER Bigshare Services Pvt. Limited, CONTACT ISSUER FOR Mr. Bojimon k h Asst. Gen. Manager Bigshare
Services Private Limited 306, Right Wing, CONTACT ISSUER FOR Mr. Babu Rapheal C. ASST. GENERAL
MANAGER BIGSHARE SERVICES E/2-3, Mr. Babu Rapheal C. ASST. GENERAL MANAGER BIGSHARE SERVICES E/2-3, Mr. Babu Rapheal C. ASST. GENERAL MANAGER BIGSHARE SERVICES E/2-3, Mr. Babu Rapheal C. ASST. GENERAL MANAGER BIGSHARE SERVICES E/2-3, Mr. Babu Rapheal C. ASST. GENERAL MANAGER BIGSHARE SERVICES E/2-3, Mr. Babu Rapheal C. ASST. GENERAL MANAGER BIGSHARE SERVICES E/2-3, Mr. Babu Rapheal C. ASST. GENERAL MANAGER BIGSHARE SERVICES E/2-3, MR. BABU RAPHAEL ASST. GENERAL MANAGER Bigshare Services Pvt. Limited,
CONTACT ISSUER FOR MR. BABU RAPHAEL ASST. GENERAL
MANAGER Bigshare Services Pvt. Limited, BIGSHARE SERVICES LTD C2 POOJA PLAZA VIKRAMPURI SECUNDERABAD Mr. Girish G. Paralikar Director Amtrac Management Services Limited Plot No. 101/102, Mr. Bhushan P. Chandratre Assistant Manager Freedom Registry Limited Plot No. 101 / 102 Mr. Bhushan P. Chandratre Assistant Manager Freedom Registry Limited Plot No. 101 / 102 MS. SANJYOT RANGNEKAR COMPANY SECRETARY ESSAR POWER LIMITED
EACH CCPS WILL BE MR. CHANDRACHID D. PALIWAL
AUTHORISED SIGNATORY ESSAR POWER CONTACT ISSUER FOR MR. CHANDRACHID D. PALIWAL
AUTHORISED SIGNATORY ESSAR POWER CONTACT ISSUER FOR MR. SANJYOT RANGNEKAR COMPANY
SECRETARY ESSAR POWER CONTACT ISSUER FOR MR. BENJAMIN RAJARATNAM GENERAL
MANAGER ( CAPITAL ISSUES DIVISION) CONTACT ISSUER FOR MR. BENJAMIN RAJARATNAM GENERAL
MANAGER ( CAPITAL ISSUES DIVISION) CONTACT ISSUER FOR MR. BENJAMIN RAJARATNAM GENERAL
MANAGER ( CAPITAL ISSUES DIVISION) CONTACT ISSUER FOR MR. BENJAMIN RAJARATNAM GENERAL
MANAGER ( CAPITAL ISSUES DIVISION) CONTACT ISSUER FOR MR. BENJAMIN RAJARATNAM GENERAL
MANAGER ( CAPITAL ISSUES DIVISION) CONTACT ISSUER FOR MR. BENJAMIN RAJARATNAM GENERAL
MANAGER ( CAPITAL ISSUES DIVISION) EACH CCPS WILL BE MR. BENJAMIN RAJARATNAM GENERAL
MANAGER ( CAPITAL ISSUES DIVISION) EACH CCCPPS MS. SANJYOT RANGNEKAR COMPLIANCE
OFFICER/SECRETARIAL ESSAR POWER EACH PREFERENCE MR. BENJAMIN RAJARATNAM GENERAL
MANAGER ( CAPITAL ISSUES DIVISION) EACH CCCPPS
![Page 161: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/161.jpg)
MS. SANJYOT RANGNEKAR COMPANY SECRETARY ESSAR POWER LIMITED
EACH CCPS WOULD BE MR. CHANDRACHID D. PALIWAL
AUTHORISED SIGNATORY ESSAR POWER CONTACT ISSUER FOR MR. CHANDRACHID D. PALIWAL
AUTHORISED SIGNATORY ESSAR POWER MR. CHANDRACHID D. PALIWAL AUTHORISED SIGNATORY ESSAR POWER
CONTACT ISSUER FOR MR. CHANDRACHID D. PALIWAL
AUTHORISED SIGNATORY ESSAR POWER CONTACT ISSUER FOR MR. CHANDRACHID D. PALIWAL
AUTHORISED SIGNATORY ESSAR POWER MR. SANJYOT RANGNEKAR COMPANY SECRETARY ESSAR POWER
CONTACT ISSUER FOR MS. SANJYOT RANGNEKAR COMPLIANCE
OFFICER/SECRETARIAL ESSAR POWER EACH PREFERENCE MR. BENJAMIN RAJARATNAM GENERAL
MANAGER ( CAPITAL ISSUES DIVISION) COTNACT ISSUER FOR MR. BENJAMIN RAJARATNAM GENERAL
MANAGER ( CAPITAL ISSUES DIVISION) EACH CCCPPS MS. SANJYOT RANGNEKAR COMPANY
SECRETARY ESSAR POWER LIMITED EACH CCPS WOULD BE MS. SANJYOT RANGNEKAR COMPANY
SECRETARY ESSAR POWER LIMITED EACH CCPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH PREF SHARE WILL Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research CONTACT ISSUER FOR Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research CONTACT ISSUER FOR Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research CONTACT ISSUER FOR Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research MR. CHANDRACHUD PALIWAL COMPLIANCE OFFICER - SECRETARIAL
CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPANY SECRETARY - SECRETARIAL CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPANY SECRETARY - SECRETARIAL CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPANY SECRETARY - SECRETARIAL CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPLIANCE OFFICER - SECRETARIAL CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPANY SECRETARY - SECRETARIAL CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPLIANCE OFFICER - SECRETARIAL CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPANY SECRETARY - SECRETARIAL CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPANY SECRETARY - SECRETARIAL CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPLIANCE OFFICER - SECRETARIAL CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPANY SECRETARY - SECRETARIAL CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPANY SECRETARY - SECRETARIAL MS. SANJYOT RANGNEKAR COMPANY SECRETARY ESSAR POWER LIMITED
EACH CCPS WILL BE MS. SANJYOT RANGNEKAR COMPANY
SECRETARY ESSAR POWER LIMITED CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPLIANCE OFFICER - SECRETARIAL CONTACT ISSUER FOR MS. SANJYOT RANGNEKAR COMPANY
SECRETARY ESSAR POWER LIMITED CONTACT ISSUER FOR MS. SANJYOT RANGNEKAR COMPANY
SECRETARY ESSAR POWER LIMITED REDEMPTION WILL BE MR. CHANDRACHUD PALIWAL
COMPLIANCE OFFICER - SECRETARIAL CONTACT ISSUER FOR MR. CHANDRACHUD PALIWAL
COMPANY SECRETARY - SECRETARIAL CONTACT ISSUER FOR Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research CONTACT ISSUER FOR MS. SANJYOT RANGNEKAR COMPANY
SECRETARY ESSAR POWER LIMITED CONTACT ISSUER FOR Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH PREFERENCE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH PPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research CONTACT ISSUER FOR Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH CCPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH CCPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH CCPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH CCPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH CCPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH CCPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH PREF SHARE
![Page 162: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/162.jpg)
SEBI ISIN:
Mr. Benjamin Rajaratnam General Manager-Capital Issues Division Data Software Research
EACH CCPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH CCPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH PREFERENCE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH PPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH CCCPPS Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research CONTACT ISSUER FOR Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research EACH PPS WOULD BE Mr. Benjamin Rajaratnam General Manager-
Capital Issues Division Data Software Research THE PREF. SHARES MR. CHANDRACHUD PALIWAL
COMPANY SECRETARY - SECRETARIAL MR. CHANDRACHUD PALIWAL COMPANY SECRETARY - SECRETARIAL
CONTACT ISSUER FOR Mr.H.Krishnamoorthy General Manager
(Operations) Data Software Research Company MATURED ALSO ON Mr. H Krishnamoorthy General Manager-
Operation Data Software Research Company CONTACT ISSUER FOR Mr. H Krishnamoorthy General Manager-
Operation Data Software Research Company CONTACT ISSUER FOR Mr. H Krishnamoorthy General Manager-
Operation Data Software Research Company CONTACT ISSUER FOR Mr. H Krishnamoorthy General Manager-
Operation Data Software Research Company CONTACT ISSUER FOR Mr. H Krishnamoorthy General Manager-
Operation Data Software Research Company CONTACT ISSUER FOR Mr. Polaad K. Dadyburjor Executive Director
Computech Sharecap Limited 147, Mahatma Mr. R. Chandrasekhar Divisional Manager Sathguru Management Consultants Private Mr. R. Chandrasekhar Divisional Manager Sathguru Management Consultants Private Mr. R. Chandrasekhar Divisional Manager Sathguru Management Consultants Private MR. MOHIT KEWALYA DEPUTY MANAGER - ACCOUNT CITRUS PAYMENT
CONTACT ISSUER FOR MR. MOHIT KEWALYA DEPUTY
MANAGER - ACCOUNT CITRUS PAYMENT CONTACT ISSUER FOR MR. MOHIT KEWALYA DEPUTY
MANAGER - ACCOUNT CITRUS PAYMENT CONTACT ISSUER FOR MR. MOHIT KEWALYA DEPUTY
MANAGER - ACCOUNT CITRUS PAYMENT CONTACT ISSUER FOR MR. MOHIT KEWALYA DEPUTY
MANAGER - ACCOUNT CITRUS PAYMENT CONTACT ISSUER FOR MR. MOHIT KEWALYA DEPUTY
MANAGER - ACCOUNT CITRUS PAYMENT CONTACT ISSUER FOR MS. YOGITA PUROHIT AUTHORISED
PERSON EPC OFFSHORE SUBSEA CONTACT ISSUER FOR MR. VISHWAS PATEL MANAGING
DIRECTOR AVENUES (INDIA) PRIVATE SHARES WERE ALSO MR. MANJUNATHA DEVADIGA ACCOUNT
EXECUTIVE TUNGA INFRASTRUCTURES Mr. A. Narayan Authorised Representative Neptune Realtors Private Limited 8th Floor, MR. VISHWAS PATEL MANAGING DIRECTOR AVENUES (INDIA) PRIVATE
CONTACT ISSUER FOR MR. VISHWAS PATEL MANAGING
DIRECTOR AVENUES (INDIA) PRIVATE CONTACT ISSUR FOR MR. GIRISH K SATHE AUTHORISED
SIGNATORY IMPERIAL CONSULTANTS CONTACT ISSUE FOR Ms. HINAL CHHEDA COMPANY
SECRETARY BACKWATER CONTACT ISSUER FOR Ms. HINAL CHHEDA COMPANY
SECRETARY BACKWATER CONTACT ISSUER FOR Ms. HINAL CHHEDA COMPANY
SECRETARY BACKWATER CONTACT ISSUER FOR Ms. HINAL CHHEDA COMPANY
SECRETARY BACKWATER CONTACT ISSUER FOR Ms. HINAL CHHEDA COMPANY
SECRETARY BACKWATER CONTACT ISSUER FOR MR. D.J. SHAH SR. VICE PRESIDENT &
COMPANY SECRETARY KESAR CONTACT ISSUER FOR MR. RAJESH NANALAL SHAH DIRECTOR
EURO PANEL PRODUCTS PRIVATE CONTACT ISSUER FOR MR. MAHESH JALAN EXECUTIVE
DIRECTOR GAYATRISHAKTI PAPER & CONTACT ISSUER FOR MS. RASHMI DOSHI COMPANY
SECRETARY GROVER ZAMPA CONTACT ISSUER FOR MS. RASHMI DOSHI COMPANY
SECRETARY GROVER ZAMPA CONTACT ISSUER FOR MS. RASHMI DOSHI COMPANY
SECRETARY GROVER ZAMPA CONTACT ISSUER FOR MR. SUNIL CHIEF ACCOUNTANT
MOSHE'S FINE FOODS PRIVATE LIMITED CONTACT ISSUER FOR Mr. K.C AjitKumar Managing Director Sharex
Dynamic (India) Private Limited Unit No.1, MS. NEELAM VYAS AUTHORISED SIGNATORY THE MOBILESTORE MS. NEELAM VYAS AUTHORISED SIGNATORY THE MOBILESTORE
![Page 163: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/163.jpg)
SEBI ISIN:
MR. MANOJ A. KULKARNI AUTHORISED PERSON VIVA INFRASTRUCTURE MR. SUNIL CHIEF ACCOUNTANT MOSHE'S FINE FOODS PRIVATE LIMITED
CONTACT ISSUER FOT MR. TARUQ VAIDYA DIRECTOR NV
REALTY PRIVATE LIMITED THE GREAT COTNACT ISSUER FOR MS. NEELAM VYAS COMPANY
SECRETARY THE MOBILESTORE LIMITED Mr. K.C. Ajit Kumar Managing Director Sharex Dynamic (India) Pvt. Ltd. Unit No. 1, Luthra Ind. Mr. K.C. Ajit Kumar Managing Director Sharex Dynamic (India) Pvt. Ltd. Unit No. 1, Luthra Ind. Mr. K.C. Ajit Kumar Managing Director Sharex Dynamic (India) Pvt. Ltd. Unit No. 1, Luthra Ind. Mr. K.C. Ajit Kumar Managing Director Sharex Dynamic (India) Pvt. Ltd. Unit No. 1, Luthra Ind.
CONTACT ISSUER FOR Mr. Virendra Jain Director Honest Realtors
Private Limited 82, Maker Chambers Iii Nariman The OCPS holder shall Mr. Virendra Jain Director Honest Realtors
Private Limited 82, Maker Chambers Iii Nariman The OCPS holder shall Mr. Virendra Jain Director Ambitious Realtors
Private Limited 82, Maker Chambers Iii Nariman The OCPS holder shall Mr. Sunil Agarwal Director Ambitious Realtors
Private Limited 82, Maker Chambers Iii Nariman The OCPS holder shall MS. NEELAM VYAS COMPANY
SECRETARY THE MOBILESTORE LIMITED SHARES WERE ALSO Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR MR. JITENDRA GANDHI COMPANY
SECRETARY & GENERAL MANAGER - ISSUER HAS THE RIGHT Mr. B. S. Baliga Director Sharex Dynamic
(India) Pvt. Ltd. Unit No1, Luthra Industrial Mr. Pranvesh Tripathi Authorised Person Ashoka Info Private Limited 1/2 River View MR. K.C. AJIT KUMAR 0MANAGING DIRECTOR SHAREX DYNAMIC (INDIA)
CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit DIVIDEND @ Re. 1/- PER Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit SHARES WERE ALSO Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit PREFERENCE SHARES ARE Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. K. C. Ajitkumar Chairman & Managing
Director Sharex Dynamic (India) Pvt. Ltd. Unit CONTACT ISSUER FOR Mr. Subhash Dhingreja Head - Business
Development Skyline Financial Services Private CONTACT ISSUER FOR MR. VIRENDER RANA DIRECTOR
SKYLINE FIN.SERV PVT LTD D-153A, 1ST MR. VIRENDER RANA DIRECTOR SKYLINE FIN.SERV PVT LTD D-153A, 1ST MR. VIRENDER RANA DIRECTOR SKYLINE FIN.SERV PVT LTD D-153A, 1ST MS. AASHI G ROVER COMPANY SECRETARY QRG MEDICARE LIMITED MS. AASHI GROVER COMPANY SECRETARY ORG MEDICARE LIMITED MR. CHINTAN DESAI CHIEF FINANCIAL OFFICER PAHAL FINANCIAL SERVICES MR. RAJESH CHOPRA DIRECTOR RJ CORP LIMITED RAJ CORP HOUSE, PLOT
CONTACT ISSUER FOR MS. AASHI GROVER COMPANY
SECRETARY ORG MEDICARE LIMITED MS. TRIPTI JAIN COMPANY SECRETARY INDIA SHELTER FINANCE CORPORATION
CCPS WILL BE
![Page 164: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/164.jpg)
MS. AASHI GROVER COMPANY SECRETARY ORG MEDICARE LIMITED MR. GAURI SHANKAR AGARWALA DIRECTOR CENTURY METAL RECYCLING
CONTACT ISSUER FOR MS. TRIPTI JAIN COMPANY SECRETARY
INDIA SHELTER FINANCE CORPORATION EACH CCPS SHALL GET Mr. Virender Rana Vice President Skyline
Financial Services Private Limited D-153/A, 1st MR. RAMAN GARG CFO INDIA SHELTER FINANCE CORPORATION LIMITED INDO
DIVIDEND : RS. 100 PER Mr. Virendra Kumar Rana Vice President
Skyline Financial Services Private Limited D-OCPS SHALL BE Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st
NO OF SHARES Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st
SHARES WERE ALSO Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st SHARES WERE ALSO Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR MR. SANJEEB KUMAR MISHRA COMPANY
SECRETARY WORLDS WINDOW CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st
CONTACT ISSUER FOR Mr. Virendra Kumar Rana Vice President
Skyline Financial Services Private Limited D-CONVERSION DETAILS : Mr. Virendra Kumar Rana Vice President
Skyline Financial Services Private Limited D-CONVERSION DETAILS : MR. C.P. SANADHYA DIRECTOR INDIA
SHELTER FINANCE CORPORATION Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st
CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st
CONTAT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st SHARES WERE ALSO Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st
CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUE FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR
![Page 165: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/165.jpg)
SEBI ISIN:
Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st
CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st COONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st
CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st SHARES WERE ALSO Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st
SHARES WERE ALSO Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st Mr. Virender Kumar Rana Director Skyline Financial Services Private Limited D-153A, 1st
ALLOTMENT WAS ALSO Mr. Virender Kumar Rana Director Skyline
Financial Services Private Limited D-153A, 1st CONTACT ISSUER FOR MS. MADHULIKA RAWAT COMPANY
SECRETARY THRILL PARK LIMITED 9TH CONTACT ISSUER FOR MR. YOGESH DAVE ASS.
GM/SECRETARIAL FAERY ESTATES CONTACT ISSUER FOR MR. RAVINDRA UTEKAR VICE
PRESIDENT UNIVERSAL CAPITAL CONTACT ISSUER FOR MR. RAVINDRA UTEKAR VICE
PRESIDENT UNIVERSAL CAPITAL CONTACT ISSUER FOR Mr. Ravi Utekar General Manager Mondkar
Computers Private Limited 21, Shakil Niwas, MR. MUKESH JAISANI COMPANY SECRETARY UTTAM GALVA METALLICS MR. MUKESH JAISANI COMPANY SECRETARY UTTAM GALVA METALLICS MR. MUKESH JAISANI COMPANY SECRETARY UTTAM GALVA METALLICS
CONTACT ISSUER FOR MR. ANTHONY DSOUZA ADDITIONAL
VICE PRESIDENT DRIVE INDIA MR. MUKHERJI YENUGU KARVY COMPUTERSHARE PRIVATE LIMITED
CONTACT ISSUER FOR MR. MUKHERJI YENUGU KARVY
COMPUTERSHARE PRIVATE LIMITED CONTACT ISSUER FOR MR. MUKHERJI YENUGU KARVY
COMPUTERSHARE PRIVATE LIMITED Mr. P.A. Varghese Zonal Head-Corporate Registry Karvy Computershare Private Limited MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
Erroneously generated in Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy COANTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy Mr. S. P. Venugopal Deputy General Manager Karvy Computershare Private Limited Karvy
![Page 166: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/166.jpg)
Mr. P. A. Varghese Zonal Head - Corporate Registry Karvy Computershare Private Limited
SHARES CAN BE Ms. Shalaka Koparkar Company Secretary L&T
UTTARANCHAL HYDROPOWER LIMITED CONTACT ISSUER FOR Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Private Limited THE PREFERENCE Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Private Limited THE PREFERENCE Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Private Limited THE PREFERENCE Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Private Limited MR. VAIBHAV S. BAKHARE COMPANY SECRETARY INTERNATIONAL CARGO MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
ALLOTMENT DATE- MR. AMANDEEP SINGH DIRECTOR
GODREJ SKYLINE DEVELOPERS PRIVATE SHARES WERE ALSO Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy Mr. S. P. Venugopal Deputy General Manager Karvy Computershare Private Limited Karvy
CONTACT ISSUR FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy SHARES WERE ALSO Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy Mr. S. P. Venugopal Deputy General Manager Karvy Computershare Private Limited Karvy Mr. S. P. Venugopal Deputy General Manager Karvy Computershare Private Limited Karvy
CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR Mr. S. P. Venugopal Deputy General Manager
Karvy Computershare Private Limited Karvy CONTACT ISSUER FOR MR. P SAI KRISHNA COMPANY
SECRETARY HYDERABAD MENZIES AIR CONTACT ISSUER FOR MR. P SAI KRISHNA COMPANY
SECRETARY HYDERABAD MENZIES AIR CONTACT ISSUER FOR Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Private Limited CONTACT ISSUSER FOR Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Private Limited CONTACT ISSUER FOR Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Private Limited CONTACT ISSUER FOR Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Private Limited SHARES WERE ALSO Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Private Limited COTNACT ISSUER FOR MR. S.P. VENUGOPAL DGM-CORPORATE
REGISTRY KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S.P. VENUGOPAL DGM-CORPORATE
REGISTRY KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S.P. VENUGOPAL DGM-CORPORATE
REGISTRY KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE SHARES WERE ALSO MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE SHARES WERE ALSO MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE SHARES WERE ALSO MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE SHARES WERE ALSO MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR
![Page 167: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/167.jpg)
MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE SHARES WERE ALSO MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
DIVIDEND : RS. 10000/-MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTAT ISSUER OR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE COTNACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
![Page 168: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/168.jpg)
MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE SHARES WERE ALSO MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT MR. SANJAY GUPTA COMPANY SECRETARY JSW TECHNO PROJECTS MR. MANISH SHETH COMPLIANCE OFFICER J.M.FINANCIAL AND MR. MOHAN KUMAR A. CORPORATE REGISTRY KARVY COMPUTERSHARE MR. BHARAT SANGHAVI COMPANY SECRETARY & DEPUTY GENERAL MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISUSER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE SHARES WERE ALSO MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE COTNACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE
![Page 169: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/169.jpg)
MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE SHARES WERE ALSO MR. S. P VENUGOPAL DY. GENERAL
MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE MR. S. P VENUGOPAL DY. GENERAL MANAGER KARVY COMPUTERSHARE Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT MR. SANJAY GUPTA COMPANY SECRETARY JSW TECHNO PROJECTS
CONTACT ISSUER FOR MR. SANJAY GUPTA COMPANY
SECRETARY JSW TECHNO PROJECTS MR. SANJAY GUPTA COMPANY SECRETARY JSW TECHNO PROJECTS MR. SANJAY GUPTA COMPANY SECRETARY JSW TECHNO PROJECTS MR. SANJAY GUPTA COMPANY SECRETARY JSW TECHNO PROJECTS MR. SANJAY GUPTA COMPANY SECRETARY JSW TECHNO PROJECTS MR. SANJAY GUPTA COMPANY SECRETARY JSW TECHNO PROJECTS MR. SANJAY GUPTA COMPANY SECRETARY JSW TECHNO PROJECTS MR. SANJAY GUPTA COMPANY SECRETARY JSW TECHNO PROJECTS MR. SANJAY GUPTA COMPANY SECRETARY JSW TECHNO PROJECTS MR. ANUPAM MUDGAL SR. MANAGER - ACCOUNTS GILL ACQUA HYDRO POWER
SHARES WERE ALSO MR. ANUPAM MUDGAL SR. MANAGER -
ACCOUNTS GILL ACQUA HYDRO POWER SHARES WERE ALSO MR. BALWANT RANKA DIRECTOR JSW
INVESTMENTS PRIVATE LIMITED JINDAL MR. P.A. VARGHESE ZONAL HEAD - CORPORATE REGISTRY KARVY MR. P.A. VARGHESE ZONAL HEAD - CORPORATE REGISTRY KARVY MR. P.A. VARGHESE ZONAL HEAD - CORPORATE REGISTRY KARVY
![Page 170: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/170.jpg)
Mr. P. A. Varghese Zonal Head - Corporate Registry Karvy Computershare Private Limited Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT MR. SUMIT BHATNAGAR JT. MANAGING DIRECTOR DIAMOND POWER MR. RAMACHANDRA MANAGER CORPORATE REGISTRY KARVY
CONTACT ISSUER FOR MR. RAMACHANDRA MANAGER
CORPORATE REGISTRY KARVY MR. RAMACHANDRA MANAGER CORPORATE REGISTRY KARVY MR. RAMACHANDRA MANAGER CORPORATE REGISTRY KARVY MR. SANJEEV KUMAR SINGH DIRECTOR GVK AIRPORT DEVELOPERS PRIVATE
SHARES WERE ALSO Mr. M.R.V. Subrahmanyam Deputy General
Manager KARVY COMPUTERSHARE PVT Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT MR. ASHISH JAIN AUTHORISED SIGNATORY - SECRETARIAL DEPT.
CONTACT ISSUER FOR MR. ASHISH JAIN SECRETARIAL
DEPARTMENT RENEW WIND ENERGY CONTACT ISSUER FOR MR. BHARAT SANGHAVI COMPANY
SECRETARY & DEPUTY GENERAL SHARES WERE ALSO MR. BHARAT SANGHAVI COMPANY
SECRETARY & DEPUTY GENERAL MR. BHARAT SANGHAVI COMPANY SECRETARY & DEPUTY GENERAL MR. P.A. VARGHESE ZONAL HEAD - CORPORATE REGISTRY KARVY MR. P.A. VARGHESE ZONAL HEAD - CORPORATE REGISTRY KARVY
CONTACT ISSUER FOR MR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY CONTACT ISSUER FOR MR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY CONTACT ISSUER FOR MR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY CONTACT ISSUER FOR MR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY CONTACT ISSUER FOR MR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY CONTACT ISSUER FOR MR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY CONTACT ISSUER FOR MR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY CONTACT ISSUER FOR MR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY Mr. P. A. Varghese Zonal Head - Corporate Registry Karvy Computershare Private Limited MR. MOHAN KUMAR A. CORPORATE REGISTRY KARVY COMPUTERSHARE Mr. P. A. Varghese Zonal Head - Corporate Registry Karvy Computershare Private Limited
CONTACT ISSUER FOR MR. SATISH KUMAR NIRANKAR
COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. ASHISH JAIN AUTHORISED SIGNATORY RENEW SOLAR POWER
CONTACT ISSUER FOR MR. ASHISH JAIN AUTHORISED
SIGNATORY RENEW WIND ENERGY (MP CONTACT ISSUER FOR MR. ASHISH JAIN AUTHORISED
SIGNATORY RENEW WIND ENERGY CONTACT ISSUER FOR MR. ASHISH JAIN AUTHORISED
SIGNATORY RENEW WIND ENERGY MR. SUMANT SINHA DIRECTOR RENEW WIND ENERGY (VAREKARWADI) MR. SUMANT SINHA DIRECTOR RENEW WIND ENERGY (RAJASTHAN) PRIVATE MR. P.A. VARGHESE ZONAL HEAD - CORPORATE REGISTRY KARVY
(I) THE OCCURENCE MR. VISHAL KOHLI COMPANY
SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM
![Page 171: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/171.jpg)
MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. P A VARGHESE ZONAL HEAD- CORPORATE REGISTRY KARVY
CONTACT ISSUER FOR MR. SAMARTH GOVILA COMPANY
SECRETARY SISTEMA SHYAM Mr. P. A. Varghese General Manager Karvy Computershare Private Limited Plot No. 17 to
CONTACT ISSUER FOR Mr. M.R.V. Subrahmanyam Deputy General
Manager KARVY COMPUTERSHARE PVT Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT Mr. M.R.V. Subrahmanyam Deputy General Manager KARVY COMPUTERSHARE PVT MR. VAIBHAV S. BAKHARE COMPANY SECRETARY BOXTRANS LOGISTICS MR. RAMACHANDRA MANAGER CORPORATE REGISTRY KARVY
THE SECOND ALLOTMENT MR. RAMACHANDRA MANAGER
CORPORATE REGISTRY KARVY MR. RAMACHANDRA MANAGER CORPORATE REGISTRY KARVY MR. RAMACHANDRA MANAGER CORPORATE REGISTRY KARVY
CONTACT ISSUER FOR MR. S RAM DIRECTOR ASIANET NEWS
NETWORK PRIVATE LIMITED NO. 54, CONTACT ISSUER FOR MR. S RAM DIRECTOR ASIANET NEWS
NETWORK PRIVATE LIMITED NO. 54, CONTACT ISSUER FOR MR. S RAM DIRECTOR ASIANET NEWS
NETWORK PRIVATE LIMITED NO. 54, CONTACT ISSUER FOR MR. S RAM DIRECTOR ASIANET NEWS
NETWORK PRIVATE LIMITED NO. 54, CONTACT ISSUER FOR Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Pvt. Limited Plot CONTACT ISSUER FOR Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Pvt. Limited Plot CONTACT ISSUER FOR Mr. P.A. Varghese Zonal Head-Corporate
Registry Karvy Computershare Pvt. Limited Plot CONTACT ISSUER FOR MR. MOHIT MAHESHWARI SVP -
COMPLIANCE RELIGARE ENTERPRISES MR. R. CHANDRASHEKHAR KARVY COMPUTERSHARE PVT LTD.-4 PLOT NO.
CONTACT ISSUER FOR Mr. R Narayanan Head Finance & Company
Secretary COROMANDEL ENGINEERING MR. BHARAT SANGHAVI COMPANY SECRETARY & DEPUTY GENERAL MR. BHARAT SANGHAVI COMPANY SECRETARY & DEPUTY GENERAL MR. BHARAT SANGHAVI COMPANY SECRETARY & DEPUTY GENERAL MR. BHARAT SANGHAVI COMPANY SECRETARY & DEPUTY GENERAL MR. SUDHAKAR SHETTY DIRECTOR - COMPLIANCE & SECRETARY RELIGARE MR. P.A. VARGHESE ZONAL HEAD - CORPORATE REGISTRY KARVY
THE CCPS SHALL MR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY MR. P.A. VARGHESE ZONAL HEAD - CORPORATE REGISTRY KARVY
SHARES ARE CONVERTIBLMR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY MR. P.A. VARGHESE ZONAL HEAD - CORPORATE REGISTRY KARVY
PREFERENCE SHARES MR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY PREFERNCE SHARES MR. P.A. VARGHESE ZONAL HEAD -
CORPORATE REGISTRY KARVY PREFERNCE SHARES
![Page 172: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/172.jpg)
Mr. P. A. Varghese Zonal Head - Corporate Registry Karvy Computershare Private Limited MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. SATISH KUMAR NIRANKAR COMPANY SECRETARY RELIGARE MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. VISHAL KOHLI COMPANY SECRETARY SISTEMA SHYAM MR. SAMARTH GOVILA COMPANY SECRETARY SISTEMA SHYAM MR. SAMARTH GOVILA COMPANY SECRETARY SISTEMA SHYAM MR. SAMARTH GOVILA COMPANY SECRETARY SISTEMA SHYAM MR. SAMARTH GOVILA COMPANY SECRETARY SISTEMA SHYAM MR. SAMARTH GOVILA COMPANY SECRETARY SISTEMA SHYAM Mr. P. A. Varghese General Manager Karvy Computershare Private Limited Plot No. 17 to
CONTACT ISSUER FOR Mr. S Venkatachalam / Mr. S P Venugopal
General Manager / Dy. General Manager Karvy CONTACT ISSUER FOR Mr. S Venkatachalam / Mr. S P Venugopal
General Manager / Dy. General Manager Karvy CONTACT ISSUER FOR Mr. S Venkatachalam / Mr. S P Venugopal
General Manager / Dy. General Manager Karvy CONTACT ISSUER FOR Mr. S Venkatachalam / Mr. S P Venugopal
General Manager / Dy. General Manager Karvy CONVERSION DETAILS : Mr. S Venkatachalam / Mr. S P Venugopal
General Manager / Dy. General Manager Karvy MR. S KRISHNAN SENIOR MANAGER KARVY COMPUTERSHARE PVT LTD PLOT MR. S KRISHNAN SENIOR MANAGER KARVY COMPUTERSHARE PVT LTD PLOT Mr. P A Varghese General Manager Karvy Computershare Private Limited Plot No. 17 to
Conversion Details: Each MR. VENKATESAN ARUNACHALAM
COMPANY SECRETARY LAVASA THE PREFERENCE MR. BHARAT SANGHAVI COMPANY
SECRETARY HYPERCITY RETAIL (INDIA) 5 CCPS OF RS.10/- EACH MR. P.A. VARGHESE GENERAL MANAGER
KARVY COMPUTERSHARE PVT. LTD. MR. P.A. VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT. LTD. MR. P.A. VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT. LTD.
![Page 173: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/173.jpg)
SEBI ISIN:
SEBI ISIN:
Mr. M.R.V. Subrahmanyam Deputy General Manager Karvy Computershare Private Limited
THE SHARES WERE ALSO MR. VENKATESAN ARUNACHALAM
COMPANY SECRETARY LAVASA CONTACT ISSUER FOR Mr. M.R.V. Subrahmanyam Deputy General
Manager Karvy Computershare Private Limited Mr M R V Subrahmanyam Deputy Genaral Manager Karvy Computershare Pvt. Ltd Plot MR. P.A. VARGHESE ZONAL HEAD KARVY COMPUTERSHARE PRIVATE
CONTACT ISSUER FOR MR. TARUN RASTOGI AVP & COMPANY
SECRETARY DION GLOBAL SOLUTIONS MR. S. KRISHNAN SENIOR MANAGER KARVY COMPUTERSHARE PRIVATE MR. S. KRISHNAN SENIOR MANAGER KARVY COMPUTERSHARE PRIVATE
PREF SHARES OF MR. S. KRISHNAN SENIOR MANAGER
KARVY COMPUTERSHARE PRIVATE CONTACT ISSUER FOR MR. S. KRISHNAN SENIOR MANAGER
KARVY COMPUTERSHARE PRIVATE CONTACT ISSUER FOR Mr. P. A. Varghese General Manager Karvy
Computershare Private Limited Plot No. 17 to MR. S.D. PRABHAKAR ASST. GENERAL MANAGER - RIS KARVY
CONTACT ISSUER FOR MS. G. MALLESWARI COMPANY
SECRETARY VNR INFRASTRUCTURES MR. M. UMA SHANKER COMPANY SECRETARY SALEM TOLLWAYS LIMITED MR. D. SIVARAM COMPANY SECRETARY SPECTRUM POWER GENERATION Mr. P A Varghese General Manager Karvy Computershare Private Limited Plot No. 17-24,
THE INVESTOR Mr. P.A.Varghese General Manager Karvy
Computershare Private Limited Plot No. 17 to MR. MAHESH JAIRATH VICE PRESIDENT ALANKIT ASSIGNMENTS LTD ALANKIT
Conversion Details: Each MR. ANUPAM GARG D.G.M. CORPORATE
SECRETARIAL CENTUM LEARNING CONTACT ISSUER FOR Mr. I.D. Chauhan Asst. General Manager Karvy
Computershare Private Limited 46, Avenue 4, THE COMPANY MR. K.N. VIJAI SHANKAR RAJA
MANAGING DIRECTOR CURA FULLY CONVERTIBLMR. S. KRISHNAN SENIOR MANAGER
KARVY COMPUTERSHARE PVT. LTD. PREF SHARES OF MR. VISHAL KOHLI COMPANY
SECRETARY SISTEMA SHYAM Mr. S Venkatachalam / Mr. S P Venugopal General Manager / Dy. General Manager Karvy
EACH SERIES A Mr. S Venkatachalam / Mr. S P Venugopal
General Manager / Dy. General Manager Karvy REDEMPTION DETAILS: MR. S KRISHNAN SENIOR MANAGER
KARVY COMPUTERSHARE PVT LTD PLOT MR. S KRISHNAN SENIOR MANAGER KARVY COMPUTERSHARE PVT LTD PLOT
REDEEMABLE AT PAR IN MS. REENA JAYARA COMPANY
SECRETARY RELIGARE MACQUARIE THE CONVERSIOMS. REENA JAYARA COMPANY
SECRETARY RELIGARE MACQUARIE CONTACT ISSUER FOR MR. VENKATESAN ARUNACHALAM
COMPANY SECRETARY LAVASA SHARES WERE ALSO MR. VENKATESAN ARUNACHALAM
COMPANY SECRETARY LAVASA 20% OF THE PAID UP MR. BHARAT SANGHAVI COMPANY
SECRETARY HYPERCITY RETAIL (INDIA) MR. P.A. VARGHESE ZONAL HEAD KARVY COMPUTERSHARE PRIVATE
SERIES D CCPS MR. P.A. VARGHESE ZONAL HEAD
KARVY COMPUTERSHARE PRIVATE CONTACT ISSUER FOR MR. KOSHAL KAYAL GENERAL
MANAGER - FINANCE UNIQUE PREF SHARES MR. S. KRISHNAN SENIOR MANAGER
KARVY COMPUTERSHARE PRIVATE CONTACT ISSUER FOR Mr. P. A. Varghese General Manager Karvy
Computershare Private Limited Plot No. 17 to Mr. P. A. Varghese General Manager Karvy Computershare Private Limited Plot No. 17 to
CONTACT ISSUER FOR Mr. P. A. Varghese General Manager Karvy
Computershare Private Limited Plot No. 17 to CONTACT ISSUER FOR MR. S.D. PRABHAKAR ASST. GENERAL
MANAGER - RIS KARVY CONTACT ISSUER FOR MR. S.D. PRABHAKAR ASST. GENERAL
MANAGER - RIS KARVY CONTACT ISSUR FOR MR. S.D. PRABHAKAR ASST. GENERAL
MANAGER - RIS KARVY CONTACT ISSUER FOR MR. C. VISWESWARA RAO CHAIRMAN &
MANAGING DIRECTOR COTNACT ISSUR FOR MR. S.V. RAJU Vice President KARVY
COMPUTERSHARE PVT LTD.-4 PLOT NO. CONTACT ISSUER FOR MR. S. KRISHNAN SENIOR MANAGER
KARVY COMPUTERSHARE PVT. LTD. MR. S. KRISHNAN SENIOR MANAGER KARVY COMPUTERSHARE PVT. LTD.
REDEEMABL IN 3 ANNUAL Mr. M.R.V. Subrahmanyam Deputy General
Manager Karvy Computershare Private Limited MR. BHARAT SANGHAVI COMPANY SECRETARY HYPERCITY RETAIL (INDIA)
![Page 174: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/174.jpg)
MR. BHARAT SANGHAVI COMPANY SECRETARY HYPERCITY RETAIL (INDIA) MR. BHARAT SANGHAVI COMPANY SECRETARY HYPERCITY RETAIL (INDIA) MR. BHARAT SANGHAVI COMPANY SECRETARY HYPERCITY RETAIL (INDIA) MR. BHARAT SANGHAVI COMPANY SECRETARY HYPERCITY RETAIL (INDIA) MR. BHARAT SANGHAVI COMPANY SECRETARY HYPERCITY RETAIL (INDIA) MR. BHARAT SANGHAVI COMPANY SECRETARY HYPERCITY RETAIL (INDIA) MR. P.A. VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT. LTD.
THE COUPON RATE WILL MR. Y.R. NAGARAJA DIRECTOR RAMKY
ELSAMEX HYDERABAD RING ROAD CONVERSION DETAILS: MR. P.A. VARGHESE GENERAL MANAGER
KARVY COMPUTERSHARE PVT. LTD. The shares may be redeemed MR. P.A. VARGHESE GENERAL MANAGER
KARVY COMPUTERSHARE PRIVATE LTD. Mr. P A Varghese General Manager Karvy Computershare Private Limited Plot No. 17-24,
REDEMPTION SCHEDULE Mr. Mukesh Manglik Company Secretary JM
Financial Asset Management Private Limited. 5th THE COMPANY MR. P.A. VERGHESE GENERAL MANAGER
KARVY COMPUTERSHARE PVT. LTD. THE PREF. SHARES ARE MR. P.A. VARGHESE GENERAL MANAGER
KARVY COMPUTERSHARE PVT. LTD. AS MENTIONED MR. P.A. VARGHESE GENERAL MANAGER
KARVY COMPUTERSHARE PVT LTD.-4 MR. P.A. VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD.-4 MR. P.A. VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD.-4 MR. P.A.VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD.-4 MR. M.A. SATTAR DIRECTOR GENEXX ENPOWER CORPORATION PRIVATE MR. P.A. VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT. LTD. Mr. M.R.V. Subrahmanyam Deputy General Manager Karvy Computershare Private Limited
CONVERSION DETAILS : MR. P.A. VARGHESE GENERAL MANAGER
KARVY COMPUTERSHARE PVT. LTD. CALL OPTION FOR MR. P.A.VARGHESE GENERAL MANAGER
KARVY COMPUTERSHARE PVT LTD. PLOT THE PREFERENCE MR. P.A. VARGHESE GENERAL MANAGER
KARVY COMPUTERSHARE PVT. LTD. Mr. M.R.V. Subrahmanyam Deputy General Manager Karvy Computershare Private Limited
CONTACT ISSUER FOR Mr. M.R.V. Subrahmanyam Deputy General
Manager Karvy Computershare Private Limited CONTACT ISSUER FOR Mr. M.R.V. Subrahmanyam Deputy General
Manager Karvy Computershare Private Limited CONTACT ISSUER FOR Mr. M.R.V. Subrahmanyam Deputy General
Manager Karvy Computershare Private Limited CONTACT ISSUER FOR Mr. M.R.V. Subrahmanyam Deputy General
Manager Karvy Computershare Private Limited CONTACT ISSUER FOR Mr. N. Mahadevan Iyer Vice President-
Corporate Registry Link Intime India Private CONTACT ISSUER FOR MR. G. SRINIVASAN DIRECTOR
RURALSHORES BUSINESS SERVICES FULLY CONVERTIBLMR. G. SRINIVASAN DIRECTOR
RURALSHORES BUSINESS SERVICES CONTACT ISSUER FOR Mr. M.R.V. Subrahmanyam Deputy General
Manager Karvy Computershare Private Limited Mr. M.R.V. Subrahmanyam Deputy General Manager Karvy Computershare Private Limited MR. A. PHANINDRA KUMAR ASST. GENERAL MANAGER KARVY Mr. Vinod Dixit Chief Manager Escorts Limited Corporate Secretariat 15/5, Mathura Road Mr. Vinod Dixit Chief Manager Escorts Limited Corporate Secretariat 15/5, Mathura Road Mr. Vinod Dixit Chief Manager Escorts Limited Corporate Secretariat 15/5, Mathura Road Mr. Vinod Dixit Chief Manager Escorts Limited Corporate Secretariat 15/5, Mathura Road Mr. Vinod Dixit Chief Manager Escorts Limited Corporate Secretariat 15/5, Mathura Road Mr. P A Varghese General Manager Karvy Computershare Pvt. Ltd. Plot No. 17 to 24
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR
![Page 175: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/175.jpg)
Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
SHARES WERE ALSO Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
SHARES WERE ALSO Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
PLEASE CONTACT Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM THE CCPS ARE Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM SHARES WERE ALSO Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
![Page 176: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/176.jpg)
Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTCT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTCT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM SHARES WERE ALSO Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM THE ALLOTMENT Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM ALLOTMENT WAS ALSO Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
SHARES WERE ALSO Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM SHARES WERE ALSO Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
SHARES WILL ALSO
![Page 177: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/177.jpg)
Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
SHARES WILL Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
SHARES WERE ALSO Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
SHARES WERE ALSO Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM SHARES WERE ALSO Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR
![Page 178: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/178.jpg)
Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUR FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
SHARES WERE ALOS Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTCT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM THE PREFERENCE Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM THE PREFERENCE Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM ONE COMPULSORMr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR
![Page 179: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/179.jpg)
Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM ALLOTMENT WAS ALSO Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese General Manager Karvy
Computershare Pvt. Ltd. Plot No. 17 to 24, Mr. P.A.Varghese General Manager Karvy Computershare Pvt. Ltd. Plot No. 17 to 24, Mr. P.A.Varghese General Manager Karvy Computershare Pvt. Ltd. Plot No. 17 to 24, Mr. P.A.Varghese General Manager Karvy Computershare Pvt. Ltd. Plot No. 17 to 24, Mr. P.A.Varghese General Manager Karvy Computershare Pvt. Ltd. Plot No. 17 to 24,
SERIES C CCPS Mr. P.A.Varghese General Manager Karvy
Computershare Pvt. Ltd. Plot No. 17 to 24, SERIES B CCPS Mr. P.A.Varghese General Manager Karvy
Computershare Pvt. Ltd. Plot No. 17 to 24, SERIES A CCPS MR. P.A. VARGHESE GENERAL MANAGER
KARVY COMPUTERSHARE PVT LTD.-4 CONVERTIBLE AFTER 2 Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR MR. P.A. VARGHESE GENERAL MANAGER
KARVY COMPUTERSHARE PVT LTD.-4 MR. P.A. VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD.-4 MR. S.V. RAJU Vice President KARVY COMPUTERSHARE PVT LTD.-4 PLOT NO.
CONTACT ISSUER FOR MR. S.V. RAJU Vice President KARVY
COMPUTERSHARE PVT LTD.-4 PLOT NO. Mr. P.A.Varghese Zonal Head Karvy Computershare Pvt. Ltd. KARVY SELENIUM
CONTACT ISSUER FOR Mr. P. A Varghese General Manager Karvy
Computershare Private Limited Karvy House, 46, COMPULSORILY Mr. P. A Varghese General Manager Karvy
Computershare Private Limited Karvy House, 46, CCP WILL CONVERT Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR Mr. P.A.Varghese Zonal Head Karvy
Computershare Pvt. Ltd. KARVY SELENIUM CONTACT ISSUER FOR MR. PRAVEEN CHATURVEDI GM -
CORPORATE REGISTRY KARVY MR. PRAVEEN CHATURVEDI GM - CORPORATE REGISTRY KARVY
CONTACT ISSUER FOR
![Page 180: nsdl.co.in of...Sr. No. Company ISIN Name of Instrument Description in NSDL Face Value Issue Date/Allotment Date Redemption Certificate Nos/(Dist. No) From-To Registrar With BP ID](https://reader031.vdocument.in/reader031/viewer/2022030801/5b0a41ea7f8b9a0c4b8bc39d/html5/thumbnails/180.jpg)
--------------------End of Report---------------------
MR. J. SHIVAKUMAR DEPUTY GENERAL MANAGER KARVY COMPUTERSHARE MR. J. SHIVAKUMAR DEPUTY GENERAL MANAGER KARVY COMPUTERSHARE
CONTACT ISSUER FOR MR. J. SHIVAKUMAR DEPUTY GENERAL
MANAGER KARVY COMPUTERSHARE MR. J. SHIVAKUMAR DEPUTY GENERAL MANAGER KARVY COMPUTERSHARE MR. J. SHIVAKUMAR DEPUTY GENERAL MANAGER KARVY COMPUTERSHARE MR. PRAVEEN CHATURVEDI GENERAL MANAGER KARVY COMPUTERSHARE
THE COMPANY MR. PRAVEEN CHATURVEDI GENERAL
MANAGER KARVY COMPUTERSHARE THE COMPANY