Notices
Notice No20150519-5Notice Date19 May 2015
CategoryCorporate ActionsSegmentDebt
SubjectPart Redemption of Listed Non-Convertible Debentures of Chaitanya India Fin Credit Private Limited.
Content

 Trading Members of the Exchange are hereby informed that, the following company have now informed the Exchange that it had fixed 13th May, 2015 for the purpose of payment of Interest and part redemption of the following Non-Convertible Debentures of the company: 

 

COMPANY NAME

SCRIP CODE

PARTICULARS

REDEEMED VALUE

REDUCED FACE VALUE

(Rs.)

Chaitanya India Fin Credit Private Limited

INE140R07025

(950676)

Non-Convertible Debentures

 

Rs.41,667/- per Debenture

Rs.5,83,334/-per Debenture

Chaitanya India Fin Credit Private Limited

INE140R07017

(950678)

Non-Convertible Debentures

 

Rs.66,667/- per Debenture

Rs.6,66,666/-per Debenture

 

Hence, Trading Members are advised that the above mentioned Debentures will be traded with reduced face values with effect from May 20, 2015 (DR-034/2015-2016).

 

Trading Members of the Exchange are requested to take note of it.

 

 

Abhijit Pai

AGM – CRD & Listing Compliance

 

May 19, 2015