Intimation of Payment of Partial Redemption for ISIN- INE216P07209 on September 30, 2024 |
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Intimation of Payment of Interest for ISIN- INE216P07209 on September 30, 2024 |
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Certificate of Payment of Interest and Redemption for ISIN- INE216P07209 on September 30, 2024 |
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Intimation of Payment of Partial Redemption for ISIN- INE216P07225 on September 25, 2024 |
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Intimation of Payment of Interest for ISIN- INE216P07225 on September 25, 2024 |
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Certificate of Payment of Interest and Redemption for ISIN- INE216P07225 on September 25, 2024 |
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Intimation of Payment of Partial Redemption for ISIN- INE216P07233 on July 20, 2024 |
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Intimation of Payment of Interest for ISIN- INE216P07233 on July 20, 2024 |
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Certificate of Payment of Interest and Redemption for ISIN- INE216P07233 on July 20, 2024 |
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Intimation of Payment of Partial Redemption for ISIN- INE216P07209 on June 28, 2024 |
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Intimation of Payment of Interest for ISIN- INE216P07209 on June 28, 2024 |
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Certificate of Payment of Interest and Redemption for ISIN- INE216P07209 on June 28, 2024 |
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Intimation of Payment of Partial Redemption for ISIN- INE2160P07225 on June 25, 2024 |
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Intimation of Payment of Interest for ISIN- INE2160P07225 on June 25, 2024 |
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Certificate of Payment of Interest and Redemption for ISIN- INE2160P07225 on June 25, 2024 |
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Intimation of Payment of Partial Redemption for ISIN- INE216P07233 on April 20, 2024 |
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Intimation of Payment of Interest for ISIN- INE216P07233 on April 20, 2024 |
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Certificate of Payment of Interest and part Redemption for ISIN-INE216P07233 on April 20, 2024 |
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Disclosure in terms of the SEBI Operational circular dated May 13, 2022 - Chapter XIV – Centralised Database for Corporate Bonds/Debentures |
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Statement as per SEBI Circular for Specifications related to ISIN as on March 31, 2024 |
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Intimation of Payment of Partial Redemption for ISIN- INE216P07209 on March 28, 2024.pdf |
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Intimation of Payment of Interest for ISIN- INE216P07209 on March 28, 2024 |
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Certificate of Payment of Interest and Redemption for ISIN- INE216P07209 on March 28, 2024 |
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Certificate of Payment of Interest and Redemption for ISIN-INE216P07225 on March 22, 2024 |
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Intimation of Payment of Interest for ISIN- INE216P07225 on March 22, 2024 |
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Intimation of Payment of Partial Redemption for ISIN- INE216P07225 on March 22, 2024 |
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Intimation of Payment of Partial Redemption for INE216P07233 on January 20, 2024 |
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Intimation of Payment of Interest for ISIN- INE216P07233 on January 20, 2024 |
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Certificate of Payment of Interest and Redemption for ISIN-INE216P07233 on January 20, 2024 |
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Intimation of Payment of Partial Redemption for ISIN- INE216P07209 on December 29, 2023 |
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Intimation of Payment of Interest for ISIN- INE216P07209 on December 29, 2023 |
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Certificate of Payment of Interest and Redemption for ISIN- INE216P07209 on December 29, 2023 |
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Intimation of Payment of Partial Redemption for ISIN- INE216P07225 on December 22, 2023 |
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Intimation of Payment of Interest for ISIN- INE216P07225 on December 22, 2023 |
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Certificate of Payment of Interest and Part Redemption for ISIN- INE216P07225 on December 22, 2023 |
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Intimation of Payment of Full Redemption for ISIN- INE216P08017 on December 22, 2023 |
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Intimation of Payment of Interest for ISIN- INE216P08017 on December 22, 2023 |
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Certificate of Payment of Interest and Redemption for ISIN- INE216P08017 on December 22, 2023 |
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Outcome of Meeting of Executive Committee to approve issuance of NCDs |
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Intimation of Meeting of Executive Committee to approve issuance of NCDs |
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Intimation of Payment of Interest for ISIN- INE216P07217 on November 28, 2023 |
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Certificate of Payment of Interest for ISIN- INE216P07217 on November 28, 2023 |
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Certificate of utilization of issue proceeds of NCDs |
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Intimation of Part Redemption for ISIN- INE216P07233 on October 20, 2023 |
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Intimation of Payment of Interest for ISIN- INE216P07233 on October 20, 2023 |
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Certificate of Payment of Interest and Part Redemption for ISIN- INE216P07233 on October 20, 2023 |
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Statement as per SEBI Circular for Specifications related to ISIN as on September 30, 2023 |
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Intimation of Part Redemption for ISIN- INE216P07209 on September 30, 2023 |
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Intimation of Payment of Interest for ISIN- INE216P07209 on September 30, 2023 |
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Certificate of Payment of Interest and Part Redemption for ISIN- INE216P07209 on September 30, 2023 |
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Intimation of Part Redemption for ISIN- INE216P07225 on September 25, 2023 |
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Intimation of Payment of Interest for ISIN- INE216P07225 on September 25, 2023 |
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Certificate of Payment of Interest and Part Redemption for ISIN- INE216P07225 on September 25, 2023 |
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Intimation for allotment of NCDs |
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Intimation of Part Redemption for ISIN- INE216P07209 on June 30, 2023 |
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Intimation of Payment of Interest for ISIN- INE216P07209 on June 30, 2023 |
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Certificate of Payment of Interest and Part Redemption for ISIN- INE216P07209 on June 30, 2023 |
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Intimation of Meeting of Executive Committee to approve issuance of NCDs |
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Intimation of Part Redemption for ISIN- INE216P07225 on June 23, 2023 |
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Intimation of Payment of Interest for ISIN- INE216P07225 on June 23, 2023 |
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Certificate of Payment of Interest and Part Redemption for ISIN- INE216P07225 on June 23, 2023 |
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Disclosure in terms of the SEBI Operational circular dated May 13, 2022 - Chapter XIV – Centralised Database for Corporate Bonds/Debentures |
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Certificate under Regulation 61(4) read with Regulation 40(9) of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 |
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Statement as per SEBI Circular for Specifications related to ISIN as on March 31, 2023 |
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Intimation of Part Redemption for ISIN- INE216P07209 on March 31, 2023 |
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Intimation of Payment of Interest for ISIN- INE216P07209 on March 31, 2023 |
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Certificate of Payment of Interest and Part Redemption for ISIN- INE216P07209 on March 31, 2023 |
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Intimation of Part Redemption for ISIN- INE216P07225 on March 24, 2023 |
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Intimation of Payment of Interest for ISIN- INE216P07225 on March 24, 2023 |
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Certificate of Payment of Interest and Part Redemption for ISIN- INE216P07225 on March 24, 2023 |
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Certificate of Payment of Interest and Part Redemption for ISIN- INE216P07209 on December 30, 2022 |
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Intimation of Redemption Payment for ISIN- INE216P07209 on December 30, 2022 |
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Intimation of Interest Payment for ISIN- INE216P07209 on December 30, 2022 |
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Certificate of Payment of Interest for ISIN- INE216P08017 on December 22, 2022 |
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Certificate of Payment of Interest and Part Redemption for ISIN- INE216P07225 on December 23, 2022 |
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Intimation of redemption payment for ISIN- INE216P07225 on December 23, 2022 |
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Intimation of interest payment for ISIN- INE216P07225 on December 23, 2022 |
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Intimation of Interest Payment for ISIN- INE216P08017 on December 22, 2022 |
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Intimation of Interest Payment for ISIN- INE216P07217 on November 28, 2022 |
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Statement as per SEBI Circular for Specifications related to ISIN as on September 30, 2022 |
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Certificate of Interest Payment/Principal for ISIN-INE216P07209 |
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Intimation of redemption payment for ISIN- INE216P07209 on September 30, 2022 |
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Intimation of interest payment for ISIN- INE216P07209 on September 30, 2022 |
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Intimation of redemption payment for ISIN- INE216P07225 on September 23, 2022 |
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Intimation of interest payment for ISIN- INE216P07225 on September 23, 2022 |
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Intimation of redemption payment for ISIN- INE216P07209 on June 30, 2022 |
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Intimation of interest payment for ISIN- INE216P07209 on June 30, 2022 |
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Intimation of redemption payment for ISIN- INE216P07225 on June 24, 2022 |
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Intimation of interest payment for ISIN- INE216P07225 on June 24, 2022 |
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Intimation of redemption payment for ISIN- INE216P07134 on May 18, 2022 |
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Intimation of interest payment for ISIN- INE216P07134 on May 18, 2022 |
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Disclosure in terms of the SEBI Operational circular dated August 10, 2021 - Chapter XIV – Centralised Database for Corporate Bonds/Debentures |
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Statement as per SEBI Circular for Specifications related to ISIN as on March 31, 2022 |
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Intimation of redemption payment for ISIN- INE216P07209 on March 31, 2022 |
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Intimation of interest payment for ISIN- INE216P07209 on March 31, 2022 |
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Intimation of interest payment and part principal repayment for ISIN- INE216P07209 on March 31, 2022 |
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Intimation for allotment of NCDs |
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Offering Circular for issuance of RDBs |
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Intimation for allotment of Rupee Denominated Bonds |
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Intimation of Outcome of Meeting of Executive Committee to approve issuance of NCDs |
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Intimation of Meeting of Executive Committee to approve issuance of NCDs |
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Intimation of Meeting of Executive Committee to consider the issue of External Commercial Borrowing in the form of RDBs |
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Intimation of interest payment for ISIN- INE216P07209 on December 31, 2021 |
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Intimation of redemption payment for ISIN- INE216P07209on December 31, 2021 |
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Intimation of redemption payment for ISIN- INE216P07183 on December 22, 2021 |
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Intimation of interest payment for ISIN- INE216P08017 & ISIN- INE216P07183 on December 22, 2021 |
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Intimation for allotment of NCDs |
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Outcome of Executive Committee Meeting- Raising of Funds |
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Intimation of interest payment for ISIN- INE216P07134 on November 18, 2021 |
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Intimation of Meeting of Executive Committee to approve issuance of NCDs |
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Intimation of interest payment for ISIN- INE216P07191 on November 03, 2021 |
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Statement as per SEBI Circular for Specifications related to ISIN as on September 30, 2021 |
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Intimation of Record Date for Early Principal Repayment- INE216P07191 |
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Intimation of interest payment for ISIN- INE216P07209 on September 30, 2021 |
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Intimation of part principal repayment for ISIN- INE216P07209 on September 30, 2021 |
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Intimation of interest payment and part principal repayment for ISIN- INE216P07209 on June 30, 2021 |
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Intimation of Interest Payment for ISIN- INE216P07183 on June 22, 2021 |
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Intimation of Record Date under Regulation 50 (1) and 60 (2) of SEBI LODR Regulations- ISIN INE216P07209 |
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Event based NCD Disclosures with heading "Intimation of Record Date under Regulation 50 (1) and 60 (2) of SEBI LODR Regulations - ISIN INE216P07183" |
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Intimation of Interest Payment for ISIN- INE216P07134 on May 18, 2021 |
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Intimation of Record date under Regulation 50(1) and 60(2) of SEBI LODR Regulations |
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Payment of Interest and Principal amount w.r.t Non- Convertible Debentures bearing ISIN: INE216P07159 |
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Exercise of Call option w.r.t Debentures bearing ISIN: INE216P07159 |
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Intimation of Record Date under Regulation 50(1) and 60(2) of SEBI LODR Regulations |
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Intimation of interest payment for ISIN INE216P08017 and INE216P07183 on December 22, 2020 |
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Intimation of Record Date under Regulation 50(1) and 60(2) of SEBI LODR Regulations |
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Intimation of interest payment for ISIN INE216P07134 on November 18, 2020 |
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Intimation of interest payment for ISIN INE216P07159 on October 17, 2020 |
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Intimation of interest payment for ISIN INE216P07134 on May 18, 2020 |
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Intimation of interest payment for ISIN INE216P07159 on April 17, 2020 |
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Intimation of interest payment for INE216P07100 on March 20, 2020 |
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Intimation of interest payment for INE216P08017 on December 23, 2019 |
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Intimation of interest payment for INE216P07126 on December 20, 2019 |
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Intimation of interest payment for INE216P07134 on November 18, 2019 |
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Intimation of interest payment for INE216P07159 on October 17, 2019 |
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Intimation of interest payment for INE216P07134 on May 20, 2019 |
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Intimation of interest payment for INE216P07159 on April 17, 2019 |
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Allotment of 4,444 NCDs aggregating up to Rs. 444.40 crore to ADB March 30 2020 |
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Allotment of 1000 NCDs aggregating upto Rs. 100 crore to ICICI Prudential Ultra Short Term Fund_November 04 2020 |
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Allotment of 1000 NCDs aggregating upto Rs. 100 crore to Kotak Mahindra Bank Limited_December 31 2020 |
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Allotment of 1500 NCDs aggregating up to Rs. 150 Crore to Central Bank of India_June 22 2020 |
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Allotment of Non-Convertible Debentures aggregating up to Rs. 345 crore to International Finance Corporation_Sep 16 2019 |
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Approval for Issuance of RDBs under ECB route upto INR 360 crore_February 09 2022 |
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Intimation of Issuance of Masala Bond_Dec 20 2018 |
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Intimation of Meeting for NCD issue_June 17, 2020 |
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Outcome of Executive Committee Meeting_December 25, 2020 |
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Outcome of Executive Committee Meeting_June 17, 2020 |
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Outcome of Executive Committee Meeting_October 20, 2020 |
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Press Release for $60 Million ADB loan to aavas_March 30 2020 |
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Press Release on Issuance of Masala Bond_Dec 20, 2018 |
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Press Release on issuance of Rs. 345 crore NCDs to International Finance Corporation_Sep 16 2019 |
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