Notices
Notice No20190313-27Notice Date13 Mar 2019
CategoryCorporate ActionsSegmentDebt
Subject Redemption of Bonds of United Bank of India.
Content

Trading Members of the Exchange are hereby informed that, United Bank of India has now informed the following Record Date for the purposes of Redemption and Payment of Interest on below mentioned Bonds of the company.

 

SCRIP CODE

ISIN

Record Date

United Bank of India.

UNITEDBANK-SRVI-25-3-19-PVT

INE069A09079

(972473)

10 March, 2019

 

Hence, Trading Members are advised not to deal in aforesaid Bonds of the company with effect from March 15, 2019 (DR-241/2018-2019).

 

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

  

Mangesh Tayde

Senior Manager – Listing Operations (CRD)

 

March 13, 2019