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From Date To Date Announcement
07-Apr-2026 NA Non Conv Deb Payment of Interest
27-Mar-2026 NA Non Conv Deb Payment of Interest
16-Mar-2026 NA Non Conv Deb Payment of Interest
11-Mar-2026 NA Non Conv Deb Payment of Interest
05-Mar-2026 NA Trading Members are hereby informed that the new securities, as detailed in the annexure and issued on a private placement basis, have been listed and are now admitted to trading on the BSE Debt Segment effective today 2. Listing of Debt Securities (Privately Placed Debt Instrument) The trading members may note as under: a) The aforesaid securities of the company will be traded only in dematerialised form under the ISIN Number as mentioned below. b) The tick size for the securities is 1 paise. c) For further details, please refer the Placement Memorandum on. https://www.bseindia.com/markets/debt/memorandum_data.aspx Trading Members are hereby informed that the new securities, as detailed in the annexure and issued on a private placement basis, have been listed and are now admitted to trading on the BSE Debt Segment effective today 2. Listing of Debt Securities (Privately Placed Debt Instrument) The trading members may note as under: a) The aforesaid securities of the company will be traded only in dematerialised form under the ISIN Number as mentioned below. b) The tick size for the securities is 1 paise. c) For further details, please refer the Placement Memorandum on. https://www.bseindia.com/markets/debt/memorandum_data.aspx Name of the Company Hinduja Leyland Finance Limited Quantity 225 Market Lot 1 Scrip Code 977493 Scrip ID 960HLFLPRP Detail Name HLFL-9.60%-PERPETUAL-PVT ISIN Number INE146O08407 Credit Rating CARE AA/Stable,CRISIL AA/Stable Face Value (Rs.) 10000000.00 Paidup Value (Rs.) 10000000.00 Issue Price (Rs.) 10094684.93 Date of Allotment 04/03/2026 Rate of Interest 9.60 % p.a Date(s) of Payment of Interest Annually 27/01/2027 To 31/12/2999 Date of Redemption 31/12/2999 Put / Call option As per Disclosure Document

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