Trading Members of the Exchange are hereby informed that, ONE INTERNATIONAL CENTER PRIVATE LIMITED has fixed the Record Dates for Redemption and Payment of Interest of the following Bonds of the Company. Trading Members of the Exchange are hereby advised not to deal in the Debentures of the Company as mentioned under:
COMPANY NAME
CODE
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RECORD
DATE
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PURPOSE
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NO DEALINGS FROM
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ONE INTERNATIONAL CENTER PRIVATE LIMITED
OICPL-11%-28-01-23-PVT
INE065I07015
(959262)
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27/07/2021
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Redemption of Bonds
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26/07/2021
DR-080/2021-2022
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Mangesh Tayde
Assistant General Manager – Listing Operations (CRD)
July 22, 2021
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