Notices
Notice No20180829-14Notice Date29 Aug 2018
CategoryCompany relatedSegmentMutual Fund
SubjectListing of Units of ICICI Prudential FMP - Series 83 - 1111 Days - Plan Y a scheme under ICICI Prudential Mutual Fund
Content

 

Trading Members of the Exchange are hereby informed that with effect from Thursday, August 30, 2018 the units of ICICI Prudential FMP - Series 83 - 1111 Days - Plan Y, close-ended Debt Scheme having a duration of 1111 days, are listed and admitted to dealings on the Exchange in the list of F Group.

Name of the Mutual Fund: ICICI Prudential Mutual Fund

Name of the Investment Manager: ICICI PRUDENTIAL ASSET MANAGEMENT COMPANY LIMITED

 

Registered and Corporate Office:

12th floor, Narain Manzil 23,

Barakhamba Road, New Delhi- 110001

 

1)  Securities: Units of  ICICI Prudential Fixed Maturity Plan Series 83 -1111Days Plan Y - Cumulative

No. of units

11755949 Units

Scrip Code

541808

Group

F

Market Lot

1

Face value

Rs.10.00 per unit

Issue Price

Rs.10.00 per unit

Date of Allotment

23/08/2018

Date of Redemption

06/09/2021

Scrip ID on BOLT System

IPRU3176

Abbreviated name on BOLT System

IPRU3176

Detail Name

ICICI Prudential Fixed Maturity Plan Series 83 - 1111Days Plan Y - Cumulative

ISIN No.

INF109KC1JR5

 

2)  Securities: Units of  ICICI Prudential Fixed Maturity Plan Series 83 -1111Days Plan Y - Quarterly Dividend Payout Option

 

No. of units

75000 Units

Scrip Code

541810

Group

F

Market Lot

1

Face value

Rs.10.00 per unit

Issue Price

Rs.10.00 per unit

Date of Allotment

23/08/2018

Date of Redemption

06/09/2021

Scrip ID on BOLT System

IPRU3177

Abbreviated name on BOLT System

IPRU3177

Detail Name

ICICI Prudential Fixed Maturity Plan Series 83 - 1111Days Plan Y - Quarterly Dividend Payout Option

ISIN No.

INF109KC1JS3

 

3)  Securities: Units of  ICICI Prudential Fixed Maturity Plan Series 83 -1111Days Plan Y - Half Yearly Dividend Payout

No. of units

16000 Units

Scrip Code

541811

Group

F

Market Lot

1

Face value

Rs.10.00 per unit

Issue Price

Rs.10.00 per unit

Date of Allotment

23/08/2018

Date of Redemption

06/09/2021

Scrip ID on BOLT System

IPRU3178

Abbreviated name on BOLT System

IPRU3178

Detail Name

ICICI Prudential Fixed Maturity Plan Series 83 -1111Days Plan Y - Half Yearly Dividend Payout

ISIN No.

INF109KC1JT1

 

4)  Securities: Units of  ICICI Prudential Fixed Maturity Plan Series 83 -1111Days Plan Y - Direct Plan Cumulative

No. of units

55658473 Units

Scrip Code

541812

Group

F

Market Lot

1

Face value

Rs.10.00 per unit

Issue Price

Rs.10.00 per unit

Date of Allotment

23/08/2018

Date of Redemption

06/09/2021

Scrip ID on BOLT System

IPRU9378

Abbreviated name on BOLT System

IPRU9378

Detail Name

ICICI Prudential Fixed Maturity Plan Series 83 - 1111Days Plan Y - Direct Plan Cumulative

ISIN No.

INF109KC1JU9

 

Trading Members may note that as per the guidelines issued by SEBI dated 16th February, 2000, units of the Mutual Fund will only be traded in dematerialized form. Trades effected in this scrip will be in unit market lot (i.e. One unit).

        Given below is the address of the office of Registrar and Transfer Agents:

                                           Computer Age Management Systems Private Limited

New No.10 (Old No.178), MGR Salai,

Nungambakkam, Chennai – 600034.

Contact Person : Mr. K.M. Narayanan

Tel : 044 – 39115645, Fax : 04428283619

Email : km_narayanan@camsonline.com

 

In case members require any further clarification, they may contact the under mentioned persons

            At the AMC:              

            At the Exchange:                 

 Rakesh Shetty – Company Secretary

Mr. Atul Dhotre

Sr. Manager- Listing Operations

ICICI PRUDENTIAL ASSET MANAGEMENT COMPANY LIMITED

Tel. No: 022 - 2272 8934

12th Floor, Narain Manzil, 23, Barakhamba Road, New Delhi 110001

Tel : 022 – 42090579

direct.listing@bseindia.com

 

For BSE Ltd.

 

Atul Dhotre

Senior Manager

Wednesday, August 29, 2018