Trading Members of the Exchange are hereby informed that, ECL Finance Limited 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 Limited
ECL-NIFTY-04-03-19-PVT
INE804I079F5
(954845)
|
15/02/2019
|
Payment of interest & Redemption of Debentures
|
14/02/2019
DR-221/2018-2019
|
ECL Finance Limited
ECL-NIFY-05-03-19-PVT INE804I078F7
(954844)
|
18/02/2019
|
Payment of interest & Redemption of Debentures
|
15/02/2019
DR-222/2018-2019
|
ECL Finance Limited
ECL-NIFTY-K8L604A-7-3-19-PVT
INE804I077N3
(955424)
|
20/02/2019
|
Payment of interest & Redemption of Debentures
|
18/02/2019
DR-223/2018-2019
|
ECL Finance Limited
ECL-NIFTY-L9E601B-8-3-19-PVT
INE804I079N9
(955422)
|
21/02/2019
|
Payment of interest & Redemption of Debentures
|
20/02/2019
DR-225/2018-2019
|
Trading Members are requested to take note of it.
Mangesh Tayde
Senior Manager –Listing Operations (CRD)
February 12, 2019
|