Notices
Notice No20190111-19Notice Date11 Jan 2019
CategoryCompany relatedSegmentDebt
SubjectListing of new debt securities of Edelweiss Finvest Pvt. Ltd.
Content

 

Trading Members of the Exchange are hereby informed that with effect from Monday, January 14, 2019, the under mentioned new securities issued by Edelweiss Finvest Pvt. Ltd. on private placement basis shall be listed and admitted to dealings on the Exchange in the list of F GROUP - DEBT INSTRUMENTS

 

1) Securities Description

Secured Redeemable Non-Convertible Debentures Series L1A801A01 issued on private placement basis of Rs.1,00,000/- each.

Quantity

2,246

Market Lot

10

Scrip Code

958507

Scrip ID on the Bolt System

EFPL211218

Detail Name on the Bolt System

EFPL-NIFTY-24-6-22-PVT

ISIN Number

INE241O07FW3

Credit Rating

PP-MLD [ICRA] AA

Face Value

Rs.1,00,000/-

Paidup Value

Rs.1,00,000/- (Issue Price: Rs. 1,00,000/-)

Rate of Interest

As per Schedule I Disclosure Document

Date(s) of Payment of Interest

24/06/2022

Actual/Deemed Date of allotment

28/12/2018

Date of Redemption

24/06/2022

Put / Call option

Put option: None,

Call option: None,

except in the case of Early Redemption Option

 

2) Securities Description

Secured Redeemable Non-Convertible Debentures Series - C1D801A21 issued on private placement basis of Rs.1,00,000/- each fully paid up.

Quantity

48

Market Lot

10

Scrip Code

957842

Scrip ID on the Bolt System

EFPLC1D801A

Detail Name on the Bolt System

EPFL-NIFTY-28-9-21-PVT

ISIN Number

INE241O07FH4 (Further listing under same ISIN)

Credit Rating

PP-MLD [ICRA] AA

Face Value

Rs.1,00,000/-

Paid up Value

Rs.1,00,000/- (Issue Price: Rs.1,04,872/-)

Rate of Interest

As per Schedule I of Disclosure Document

Date(s) of Payment of Interest

28/09/2021

Actual/Deemed Date of allotment

28/12/2018

Date of Redemption

28/09/2021

Put / Call option

Put option: None

Call option: None,

except in the case of Early Redemption Option

 

3) Securities Description

Secured Redeemable Non- Convertible Debentures Series – H1I801A30 issued on private placement basis of Rs.1,00,000/- each.

Quantity

26

Market Lot

10

Scrip Code

958236

Scrip ID on the Bolt System

EFPL30AUG18

Detail Name on the Bolt System

EFPL-NIFTY-3-3-22-PVT

ISIN Number

INE241O07FS1 (Further listing under same ISIN)

Credit Rating

PP-MLD ICRA AA

Face Value

Rs.1,00,000/-

Paid up Value

Rs. 97,500/- (Issue Price: Rs. 97,383/-)

Rate of Interest

As per Schedule I of Disclosure Document

Date(s) of Payment of Interest

03/03/2022

Actual/Deemed Date of allotment

28/12/2018

Date of Redemption

03/03/2022

Put / Call option

Put Option: None

Call option: None,

except in the case of Early Redemption Option

 

4) Securities Description

Secured Redeemable Non-Convertible Debentures Series L1A801A04 issued on private placement basis of Rs.1,00,000/- each.

Quantity

2464

Market Lot

10

Scrip Code

958507

Scrip ID on the Bolt System

EFPL211218

Detail Name on the Bolt System

EFPL-NIFTY-24-6-22-PVT

ISIN Number

INE241O07FW3 (Further listing under same ISIN)

Credit Rating

CRISIL PP-MLD AAr/Stable

Face Value

Rs.1,00,000/-

Paidup Value

Rs.1,00,000/- (Issue Price: Rs. 96,500/-)

Rate of Interest

As per Schedule I Disclosure Document

Date(s) of Payment of Interest

24/06/2022

Actual/Deemed Date of allotment

31/12/2018

Date of Redemption

24/06/2022

Put / Call option

Put option: None,

Call option: None,

except in the case of Early Redemption Option

 

 

 

5) Securities Description

Secured Redeemable Non-Convertible Debentures Series J9J802A04 issued on private placement basis of Rs.1,00,000/- each.

Quantity

25

Market Lot

10

Scrip Code

958346

Scrip ID on the Bolt System

EFPL30OCT18

Detail Name on the Bolt System

EFPL-NIFTY-31-3-20-PVT

ISIN Number

INE241O07FU7 (Further listing under same ISIN)

Credit Rating

PP-MLD [ICRA] AA

Face Value

Rs.1,00,000/-

Paid up Value

Rs.1,00,000/- (Issue Price: Rs.1,01,473/-)

Rate of Interest

Market Linked

Date(s) of Payment of Interest

Coupon, if any will be paid on Redemption Date i.e., 31/03/2020

Actual/Deemed Date of allotment

28/12/2018

Date of Redemption

31/03/2020

Put / Call option

Put option: None

Call Option: None

except in the case of early redemption option

 

 

The trading members may also note as under:

a) The aforesaid securities of the company will be traded only in dematerialised form under the ISIN Number as mentioned above.

b)  The trading shall take place in standard denomination of Rs.10 Lakhs

c)  The tick size for the securities is 1 paise

 

The Registrars and transfer agent is:

 

Karvy Computershare Private Limited

Karvy Selenium Tower B, Plot 31-32,

Gachibowli, Financial District, Nanakramguda,

Hyderabad - 500 032

 

In case the trading members require any clarification; they may please contact Ms. Rupal Khandelwal on 22728352/8597/8995.

 

Bhushan Mokashi

Additional General Manager

January 11, 2019