Trading Members of the Exchange are hereby informed that, ECL Finance Ltd has fixed the Record Dates
for Redemption of the following Non-Convertible Debentures of the Company and Payment of Interest.
Trading Members of the Exchange are hereby advised not to deal in the Debentures of the Company as
mentioned under:
COMPANY NAME
CODE
|
RECORD
DATE
|
PURPOSE
|
NO DEALINGS FROM
|
ECL Finance Ltd
ECL-B9L501A-NIFTY-5-12-18-PVT
INE804I07G57
(953089)
|
20/11/2018
|
Payment of interest & Redemption of Debentures
|
19/11/2018
DR-160/2018-2019
|
ECL Finance Ltd
ECL-NIFTY-10-12-18-PVT
INE804I073G6
(954871)
|
22/11/2018
|
Payment of interest & Redemption of Debentures
|
20/11/2018
DR-161/2018-2019
|
ECL Finance Ltd
ECL-NIFTY-10-12-18-PVT
INE804I075G1
(954874)
|
22/11/2018
|
Payment of interest & Redemption of Debentures
|
20/11/2018
DR-161/2018-2019
|
ECL Finance Ltd
ECL-NIFTY-10-12-18-PVT
INE804I072G8
(954870)
|
22/11/2018
|
Payment of interest & Redemption of Debentures
|
20/11/2018
DR-161/2018-2019
|
Trading Members are requested to take note of it.
Mangesh Tayde
Senior Manager –Listing Operations (CRD)
November 15, 2018
|