Information regarding timely payment of interest to the bond holders for Unsecured Redeemable Non-Convertible subordinated Bonds, Upper Tier II Series II - ISIN: INE565A09173 <BR> <BR> In terms of Regulations 57(1) of Chapter V of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, it is hereby certified that Interest payment to the Debenture holders of Upper Tier II Series II (11.05%) due on 17.09.2017 has been released on 18.09.2017 as 17.09.2017 was a holiday and details are as under:<BR> <BR> S.<BR> No. Series Due date of payment of interest Actual date of payment of<BR> interest Interest amount due (Rs.) Mode of payment Remarks<BR> 1 Upper Tier II Series II 17.09.2017 18.09.2017 72,41,06,500/- NEFT / RTGS / CBS NIL<BR>
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