Update regarding debt securities of VITP Private Limited |
In continuation to the Exchange Notice No. 20181120-5 dated 20 November 2018, regarding debt securities of VITP Private Limited, Trading Members are requested to note that w.e.f. Thursday, 21 February 2019 the following Scrip Code bearing following ISIN would be available for trading under the revised terms as below:
Scrip Code
|
Existing ISIN
|
Revised ISIN
|
955630
|
INE743G08035
|
INE743G08068
|
955723
|
INE743G08043
|
INE743G08050
|
Particulars
|
Existing
|
Revised
|
Coupon payment frequency
|
Interest on NCD for a particular financial year shall be payable within May 30th of the subsequent financial year.
|
Interest on NCD for the period April 1, 2018 to March 31, 2022 shall be payable within a period of 2 years and 11 months from the date of accrual. Subsequently, the interest shall be payable within May 30th of the subsequent financial year
|
Trading Members may contact the following Officials for further details if any:
Rupal Khandelwal
Manager
February 20, 2019 |