Further to our letter dated November 12 2021 and pursuant to the provisions of Regulation 60 of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations 2015 as amended the terms of an issue as enumerated in the Information Memorandum dated February 18 2019 and any other applicable laws the Company hereby intimates the record date and date of payment of interest/redemption premium and the principal amount in respect of early redemption of the said NCDs as under:
ISIN: INE193E08012
No. of securities: 750 NCDs
Record Date: November 25 2021
Date of Payment of Interest / Redemption Premium: December 10 2021
Date of Redemption of Principal Amount: December 10 2021