Notices
Notice No20181019-25Notice Date19 Oct 2018
CategoryCorporate ActionsSegmentDebt
SubjectRedemption of Debentures of AXIS Bank Ltd.
Content

 

Trading Members of the Exchange are hereby informed that, AXIS Bank Ltd. has fixed Record Date for the purpose of Payment of Interest and Redemption of the following Debentures. Trading Members of the Exchange are hereby advised not to deal in the Debentures of the Bank as mentioned under:

 

COMPANY NAME

CODE

RECORD

DATE

PURPOSE

NO DEALINGS FROM

AXIS Bank Ltd.

AXISBANK-11.75%-07-11-2018-PVT

INE238A08294

(945921)

26/10/2018

 

Redemption of Debentures and Payment of Interest

25/10/2018

DR-144/2018-2019

 

Trading Members are requested to take note of it.

 

 

 

Marian D’souza

Associate Manager –Listing Operations (CRD)

 

October 19, 2018