Notices
Notice No20191115-18Notice Date15 Nov 2019
CategoryCorporate ActionsSegmentDebt
SubjectPart Redemption of Bonds of CSJ Infrastructure Private Limited
Content

 Trading Members of the Exchange are hereby informed that CSJ Infrastructure Private Limited has informed the Exchange that the company has fixed Record Date for the purpose of Payment of Interest and Partial Redemption of Bonds of the company. 

Trading Members are requested to note that trading in following Bonds of the company will be with reduced paid up value with effect from the below mentioned date : 

COMPANY NAME 

CODE

RECORD

DATE  

PURPOSE

REDUCED PAID-UP VALUE

(Rs.)

EFFECTIVE DATE & SETT. NO. OF REDUCED PAID-UP VALUE

(Rs.)

 

CSJ Infrastructure Private Limited

CIPL-8.85%-16-07-29-PVT

INE116K07012

(956729)

25/11/2019

Part Redemption of Bonds & Payment of Interest for Bonds

Rs. 9,42,245/- per bond.

22/11/2019 

DR-159/2019-2020

 Trading Members are requested to take note of it.      

Marian D'souza

Manager –Listing Operations-CRD

November 15, 2019