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NOTICES |
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Notice No. |
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20170426-20 |
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Notice Date |
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26 Apr 2017 |
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Category |
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Corporate Actions |
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Segment |
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Debt |
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Subject |
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Part Redemption and payment of interest on Non Convertible Debentures of Satin Creditcare Network Limited. |
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Content |
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Trading Members of the Exchange are hereby informed that, Satin Creditcare Network Limited has fixed Record Dates for the purpose of Part Redemption of Non-Convertible Debentures of the company and payment of interest thereon.
Trading Members are requested to note that trading in the Non-Convertible Debentures of the company will be with reduced face value with effect from the below mentioned date:
COMPANY NAME
CODE
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RECORD
DATE
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PURPOSE
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REDUCED FACE VALUE
(Rs.)
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EFFECTIVE DATE & SETT. NO. OF REDUCED FACE VALUE
(Rs.)
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Satin Creditcare Network Ltd. Non-Convertible Debentures INE836B07188 (952669)
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19/05/2017
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Part Redemption and payment of interest
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Rs. 1,24,991/- per debenture
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18/05/2017
DR-033/2017-2018
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Satin Creditcare Network Ltd. Non-Convertible Debentures INE836B07261 (955050)
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30/04/2017
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Part Redemption and payment of interest
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Rs. 7,08,334/- per debenture
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27/04/2017
DR-019/2017-2018
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Trading Members are requested to take note of it.
Mangesh Tayde
Senior Manager –Listing Operations (CRD)
Contact No. 2272 8846
26th April, 2017 |
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