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21-May-2019
NA
Non Conv Deb Payment of Interest
18-Feb-2019
NA
Non Conv Deb Payment of Interest
22-Sep-2016
NA
Trading Members of the Exchange are hereby informed that with effect from Thursday, September 22, 2016 under mentioned new securities issued on private placement basis L&T Infrastructure Finance Company Limited are admitted to dealing on the Exchange in the list of securities of F GROUP - DEBT INSTRUMENTS Securities Description Secured Redeemable Non Convertible Debenture Series R FY 2016-17 issued on private placement basis of Rs.25,00,000/- each fully paid up. Quantity 400 Market Lot 1 Scrip Code 954884 Scrip ID on the Bolt System 80973LTFC19 Detail Name on the Bolt System LTFC-8.0973%-27-9-19-PVT ISIN Number INE691I07DU0 Credit Rating CARE AA+, ICRA AA+ Face Value Rs.25,00,000/- Paidup Value Rs.25,00,000/- Rate of Interest 8.0973%p.a Date(s) of Payment of Interest Annual Coupon & At Maturity 18/09/2017 To 27/09/2019 Actual/Deemed Date of allotment 16/09/2016 Date of Redemption 27/09/2019 Put / Call option N.A. The trading members may also note as under: a) The aforesaid securities of the company will be traded only in dematerialised form under the ISIN Number as mentioned above. b) The trading shall take place in standard denomination of Rs.25 Lakhs c) The tick size for the securities is 1 paise The Registrar and Transfer Agent is: M/s. Link Intime (India) Private limited C-13, Pannalal Silk Mills Compound, L.B.S. Marg, Bhandup (West), Mumbai 400 078
23-Nov-2015
NA
Conv Deb Payment of Interest Sc_Code : 946808
23-Nov-2015
NA
Trading Members of the Exchange are hereby informed that the further new securities issued by the under mentioned companies are listed and admitted for trading on the Exchange with effect from Monday,November 23, 2015. Name of the Company ESSAR PORTS LTD ISIN INE282A01024 Scrip code 500630 No of shares 184134 Face Value 10 Dist. Nos From To 428072132 428256265