Beruflich Dokumente
Kultur Dokumente
ISIN Number
INE655L07017
11.75% Secured Optionally Convertible Debenture. Date of Maturity 15/09/2016 8.50% Secured Redeemable NonConvertible Debentures. Letter of Allotment. Date of Redemption : 04/12/2014 9.70% Secured Redeemable, Taxable Non-Convertible Debentures. Letter of Allotment. Date of Redemption : 14/07/2016 8.40% Unsecured Redeemable Non Convertible Debentures.Letter of Allotment.Series B.Date of Maturity: 12/10/2012 6.90% Unsecured Redeemable NonConvertible Sub-ordinated Bonds issued in the form of Promissory Notes.Series-IV Option-I7.05 % Unsecured bond in form of promissory notes Series VII. Letter of allotment. Date of maturity: 18.05.2014 6.75% Unsecured Redeemable NonConvertible Bonds in the form of Promissory Notes .Series -VI. Letter Of Allotment. 7.40% Unsecured Non Convertible bonds in form of promissory notes. Series VIII. Letter of allotment. Date of Maturity: 29.04.2015 8.15 % Unsecured Non Convertible bonds in form of promissory notes. Series IX . Letter of allotment. Date of Maturity: 01/05/2015 8.85% Unsecured Redeemable NonConvertible Bonds in the form of Promissory note Letter of allotment .Series -IXA. Date of maturity: 15/09/2016. 9.90% Unsecured Redeemable NonConvertible Bonds in the form of Promissory note. Letter of allotment .Tier II Series - X Date of maturity: 30.03.2017 9.00% Unsecured Redeemable NonConvertible Bonds in the form of Promissory note. Letter of allotment .Tier II Series - XI Date of maturity: 09.01.2018 8.08% Unsecured Redeemable NonConvertible Bonds in the form of Promissory note. Letter of allotment .Tier II Series - XII Date of maturity: 16.01.2019
INE010B07057
INE010B07065
INE910H08020
CANARA BANK
INE476A09074
CANARA BANK
INE476A09116
CANARA BANK
INE476A09108
CANARA BANK
INE476A09124
CANARA BANK
INE476A09132
CANARA BANK
INE476A09140
CANARA BANK
INE476A09173
CANARA BANK
INE476A09181
CANARA BANK
INE476A09199
CANARA BANK
INE476A09157
CANARA BANK
INE476A09165
CANARA BANK
INE476A09231
9.00% Unsecured Redeemable NonConvertible Bonds in the form of Promissory note. Letter of allotment .Series - I (Upper Tier II). Date of maturity: 16/09/2021. 10.00% Unsecured Redeemable NonConvertible Bonds in the form of Promissory note. Letter of allotment .Series - II (Upper Tier II). Date of maturity: 23.03.2022 Reset Rate Unsecured Non-Convertible Upper tier II Bond. Letter of Allotment . Series - III Date of Maturity 29/09/2025 Reset rate Unsecured Redeemable NonConvertible Perpetual Bonds in the form of Promissory note. Letter of allotment .Tier I Series -I 9.10% (Refer remark) Unsecured Redeemable Non-Convertible Perpetual Bonds in the form of Promissory note. Letter of allotment .Tier I Series -II Reset rate Unsecured Non-Convertible perpetual Bond in the form of promissory note. Letter of Allotment. Tier I Series - III 11.70% Secured Non-Convertible Debenture. Letter of allotment. Date Of final Redemption: 01/01/2014. Zero Coupon Unsecured Optionally Convertible Debentures. Date of Maturity : 30/09/2015 7.05% Unsecured Subordinated Redeemable Bonds (Tier-II, Series IX), in the form of Promissory Notes. Letter Of Allotment 8.15% Unsecured Redeemable Subordinated Bonds in the form of Promissory Notes .Tier-II Series X. Letter Of Allotment. Date of Maturity 28/06/2015 8.95% Unsecured Redeemable Subordinated Bonds in the form of Promissory Notes .Tier-II Series XI. Letter Of Allotment. Date of Maturity 04/10/2016 9.20% Unsecured Redeemable Non Convertible Bonds in the form of Promissory Notes .Tier-II Series XII. Letter Of Allotment. Date of Maturity 03/05/2017 9.35% Unsecured Redeemable Non Convertible Bonds in the form of Promissory Notes .Lower Tier-II Series XIII. Letter of Allotment. Date of Maturity 10/04/2018 11.45% Unsecured Redeemable Non Convertible Bonds in the form of Promissory Notes .Upper Tier-II Series I. Letter of Allotment. Date of Maturity 14/11/2023
CANARA BANK
INE476A09207
CANARA BANK
INE476A09215
CANARA BANK
INE476A09223
INE120A07064
INE833J08012
INE483A09138
INE483A09146
INE483A09153
INE483A09161
INE483A09187
INE483A09179
INE483A09195
INE483A09203
INE483A09211
INE483A09229
INE483A08015
INE483A09245
Reset rate Unsecured Redeemable Non Convertible Bonds in the form of Promissory Notes .Upper Tier-II Series II. Letter of Allotment. Date of Maturity 17/02/2024 Reset rate Unsecured Redeemable Non Convertible Bonds in the form of Promissory Notes .Upper Tier-II Series III. Letter of Allotment. Date of Maturity 23/06/2024 Reset rate Unsecured Redeemable Non Convertible Subordinated Upper Tier-II Bonds in the form of Promissory Notes . Series IV. Letter of Allotment. Date of Maturity 20/01/2025 Reset rate Unsecured Redeemable Non Convertible Subordinated Upper Tier-II Bonds in the form of Promissory Notes . Series V. Letter of Allotment. Date of Maturity 11/06/2025 9.20% Unsecured Non-Convertible Upper Tier II Bonds Series VI (Debt Capital Instrument). Letter of Allotment.Date of Maturity: 21/01/2026 9.33% Unsecured Redeemable Non Convertible Lower Tier-II Bonds. Series XIV. Date of Maturity 21/12/2026 Reset Rate Unsecured Non-Convertible Innovative Perpetual Debt Instruments. Letter of Allotment. 7.05% Unsecured Redeemeable Subordinated Bonds in the nature of Promissory Notes / Debentures. Series B. 8.75 % Unsecured Non Convertible , Redeemable Suboridianted bonds in nature of debenture . Series E . Letter of Allotment. Date of Maturity: 25.05.2014 8.75 % Unsecured Non Convertible , Redeemable Suboridianted bonds in nature of debenture . Series E . Letter of Allotment. Date of Maturity: 25.05.2014 16.5% Secured Non-Convertible Debenture. Letter of Allotment Date of Maturity 13/08/2013 19% Secured Unlisted, Unrated, NonConvertible Debenture. Date of Maturity 28/11/2014 18.75% Secured Unlisted, Unrated, NonConvertible Debenture. Date of Maturity 28/11/2014 20%Secured Non-Convertible Debenture, Letter of Allotment. Date of Maturity 16/02/2015
INE483A09237
INE484A09029
INE484A08047
INE484A08047
INE422L07012
INE422L07038
INE422L07046
INE422L07020
INE447G09015
5.45% Unsecured bonds in nature of promissory notes. Final date of Redemption: 31.12.2012 16% Secured Non Convertible Debenture Series - A.Date of Maturity: 11/11/2012 16% Secured Non Convertible Debenture Series - B.Date of Maturity: 11/04/2013 16% Secured Non Convertible Debenture Series - C.Date of Maturity: 11/11/2013 16% Secured Non Convertible Debenture Series - D.Date of Maturity: 11/04/2014 16% Secured Non Convertible Debenture Series - E.Date of Maturity: 11/11/2014 8.60% Secured Redeemable Nonconvertible Debentures.Series 254.Letter of Allotment.Date of Maturity : 14/08/2012 12.00% Unsecured Non Convertible Debentues. Letter of allotment. SeriesSD2. Date of Maturity: 26/08/2012 8.55% Secured Redeemable Nonconvertible Debentures.Series 259.Letter of Allotment.Date of Maturity : 27/08/2012 12.00% Unsecured Non Convertible Debentues. Letter of allotment. SD-3. Date of Maturity: 28/08/2012 12.00% Secured Non-Convertible Debenture Series 249 Letter of Allotment Date of Maturity : 24/09/2012 9.90% Secured Non Convertible Debenture Letter of Allotment.Date of Maturity : 25/09/2012 11.50% Unsecured Redeemable Nonconvertible Debentures.Series SD8 Letter of Allotment.Date of Maturity : 30/04/2013 8.75% Secured Redeemable Nonconvertible Debentures.Series 253.Letter of Allotment.Date of Maturity : 13/05/2013
INE762M07019
INE762M07027
INE762M07035
INE762M07043
INE762M07050
CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD)
INE121A07CR3
INE121A08HZ3
INE121A07CW3
INE121A08IC0
INE121A07CM4
INE121A07CN2
INE121A08KJ1
INE121A07CQ5
CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD
INE121A08KK9
10.85% Unsecured Redeemable Nonconvertible Debentures.Series SD9 Letter of Allotment.Date of Maturity : 07/06/2013 10.90% Secured Non Convertible Debenture Letter of Allotment.Date of Maturity : 25/09/2014 10.90% Secured Redeemable Nonconvertible Debentures.Series 252.Letter of Allotment.Date of Maturity : 20/11/2014 12.65% Unsecured Redeemable Nonconvertible Debentures.Series SD13.Letter of Allotment.Date of Maturity : 24/12/2014 11.25% Unsecured Redeemable Nonconvertible Debentures.Series SD14.Letter of Allotment.Date of Maturity : 20/02/2015 11.15% Unsecured Redeemable Nonconvertible Debentures.Series SD15.Letter of Allotment.Date of Maturity : 22/02/2017 11.25% Unsecured Redeemable Nonconvertible Debentures.Series SD16.Letter of Allotment.Date of Maturity : 27/03/2017 10.55% Unsecured Redeemable Nonconvertible Debentures.Series SD11 & SD12.Letter of Allotment.Date of Maturity : 01/06/2018 10.55% Unsecured Redeemable Nonconvertible Debentures.Series SD10.Letter of Allotment.Date of Maturity : 13/11/2018 11.00% Unsecured Redeemable Nonconvertible Debentures.Series SD17.Letter of Allotment.Date of Maturity : 28/04/2020 11.00% Unsecured Redeemable Nonconvertible Debentures.Series SD18.Letter of Allotment.Date of Maturity : 06/05/2020 10.70% Unsecured Redeemable Nonconvertible Debentures.Series SD19.Letter of Allotment.Date of Maturity : 06/07/2020 10.6499% Secured Non-Convertible Debenture. Letter of Allotment. Series310. Date of Maturity 30/04/2013 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series300. Date of Maturity 03/02/2014
INE121A07CO0
INE121A07CP7
INE121A08LO9
INE121A08LP6
INE121A08LQ4
INE121A08LR2
INE121A08LK7
INE121A08LJ9
INE121A08LS0
INE121A08LT8
INE121A08LU6
INE121A07EV1
INE121A07EL2
INE121A07EX7
10.70% Secured Non-Convertible Debenture. Letter of Allotment. Series312. Date of Maturity 24/02/2014 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series311. Date of Maturity 01/06/2015 Reset Rate Unsecured Non-Convertible Perpetual Debenture. Letter of Allotment. Series- PDI 9 10.70% Secured Non-Convertible Debenture. Letter of Allotment. Series265. Date of Maturity 05/10/2012 10.40% Secured Non-Convertible Debenture. Letter of Allotment. Series280. Date of Maturity 22/02/2013 10.40% Secured Non-Convertible Debenture. Letter of Allotment. Series283. Date of Maturity 19/03/2013 10.45% Secured Non-Convertible Debenture. Letter of Allotment. Series268. Date of Maturity 29/03/2013 Zero Coupon Secured Redeemable Nonconvertible Debentures.Series 307 Letter of Allotment.Date of Maturity : 03/04/2013 10.45% Secured Non-Convertible Debenture Series - 289.Letter of Allotment. Date of Maturity 04/04/2013 10.80% Secured Non-Convertible Debenture. Letter of Allotment. Series290. Date of Maturity 15/04/2013 10.6467% Secured Redeemable Nonconvertible Debentures.Series 302 Letter of Allotment.Date of Maturity : 30/04/2013 10.6375% Secured Redeemable Nonconvertible Debentures.Series 303 Letter of Allotment.Date of Maturity : 15/05/2013 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series291. Date of Maturity 20/05/2013 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series313. Date of Maturity 30/05/2013
INE121A07EW9
INE121A08ML3
CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD)
INE121A07DE9
INE121A07DR1
INE121A07DU5
INE121A07DF6
INE121A07ES7
INE121A07EA5
INE121A07EB3
INE121A07EN8
INE121A07EO6
INE121A07EC1
INE121A07EY5
CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD)
INE121A07EZ2
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series314. Date of Maturity 31/05/2013 10.59% Secured Non-Convertible Debenture. Letter of Allotment. Series269. Date of Maturity 17/06/2013 ZERO COUPON SECURED NON CONVERTIBLE DEBENTURES. SR-325. LETTER OF ALLOTMENT. DATE OF MATURITY 08.07.2013 10.59% Secured Non-Convertible Debenture. Letter of Allotment. Series270. Date of Maturity 22/07/2013 10.35% Secured Non-Convertible Debenture. Letter of Allotment. Series273. Date of Maturity 26/07/2013 10.40% Secured Non-Convertible Debenture.Letter of Allotment. Series275. Date of Maturity 29/07/2013 10.35% Secured Non-Convertible Debenture. Letter of Allotment. Series274. Date of Maturity 02/08/2013 10.35% Secured Non-Convertible Debenture. Letter of Allotment. Series276. Date of Maturity 09/08/2013 10.35% Secured Non-Convertible Debenture. Letter of Allotment. Series277. Date of Maturity 12/08/2013 Zero Coupon Secured Redeemable Nonconvertible Debentures.Series 308 Letter of Allotment.Date of Maturity : 13/08/2013 10.35% Secured Non-Convertible Debenture. Letter of Allotment. Series278. Date of Maturity 16/08/2013 10.30% Secured Non-Convertible Debenture. Letter of Allotment. Series281. Date of Maturity 23/08/2013 10.30% Secured Non-Convertible Debenture. Letter of Allotment. Series284. Date of Maturity 19/09/2013 10.45% Secured Non-Convertible Debenture. Letter of Allotment. Series286. Date of Maturity 20/09/2013
INE121A07DG4
INE121A07FL9
INE121A07DH2
INE121A07DK6
INE121A07DM2
INE121A07DL4
INE121A07DN0
INE121A07DO8
INE121A07ET5
INE121A07DP5
INE121A07DS9
INE121A07DV3
INE121A07DX9
CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD)
INE121A07ED9
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series292. Date of Maturity 11/10/2013 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment.Series296. Date of Maturity 25/11/2013 10.6723% Secured Redeemable Nonconvertible Debentures.Series 304 Letter of Allotment.Date of Maturity : 26/12/2013 10.6729% Secured Redeemable Nonconvertible Debentures.Series 305 Letter of Allotment.Date of Maturity : 27/12/2013 10.70% Secured Redeemable Nonconvertible Debentures.Series 309 Letter of Allotment.Date of Maturity : 14/02/2014 10.7106% Secured Redeemable Nonconvertible Debentures.Series 306 Letter of Allotment.Date of Maturity : 21/02/2014 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series315. Date of Maturity 17/03/2014 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series317. Date of Maturity 08/04/2014 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series318. Date of Maturity 30/04/2014 Zero Coupon Secured Non Convertible Debenture. Letter of Allotment. Series 322. Date of Maturity: 08.05.2014 10.90% Secured Non-Convertible Debenture. Letter of Allotment. Series266. Date of Maturity 10/06/2014 10.95% Secured Non-Convertible Debenture. Letter of Allotment. Series267. Date of Maturity 23/06/2014 10.55% Secured Non-Convertible Debenture. Letter of Allotment. Series271. Date of Maturity 08/07/2014 Reset Rate Secured Non-Convertible Debenture. Letter of Allotment. Series279. Date of Maturity 22/08/2014
INE121A07EH0
INE121A07EP3
INE121A07EQ1
INE121A07EU3
INE121A07ER9
INE121A07FA2
INE121A07FC8
INE121A07FD6
INE121A07FI5
INE121A07DC3
INE121A07DD1
INE121A07DI0
INE121A07DQ3
CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD)
INE121A07DT7
10.55% Secured Non-Convertible Debenture. Letter of Allotment. Series282. Date of Maturity 22/08/2014 10.55% Secured Non-Convertible Debenture. Letter of Allotment. Series285. Date of Maturity 19/09/2014 10.70% Secured Non-Convertible Debenture. Letter of Allotment. Series287. Date of Maturity 19/09/2014 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment.Series294. Date of Maturity 10/11/2014 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment.Series295. Date of Maturity 25/11/2014 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series297. Date of Maturity 29/12/2014 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series299. Date of Maturity 23/01/2015 Zero Coupon Secured Non-Convertible Debenture.Letter of Allotment. Series301. Date of Maturity 09/02/2015 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series319. Date of Maturity 02/03/2015 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series320. Date of Maturity 02/04/2015 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series316. Date of Maturity 06/04/2015 10.20% Secured Non-Convertible Debenture. Letter of Allotment. Series321. Date of Maturity 23/04/2015 10.67% SECURED NON CONVERTIBLE DEBENTURES SERIES-326. LETTER OF ALLOTMENT. DATE OF MATURITY 05.06.2015 12.75% Unsecured Non-Convertible Debenture. Letter of Allotment. SeriesSD23. Date of Maturity 21/11/2017
INE121A07DW1
INE121A07DY7
INE121A07EF4
INE121A07EG2
INE121A07EI8
INE121A07EK4
INE121A07EM0
INE121A07FE4
INE121A07FF1
INE121A07FB0
INE121A07FG9
INE121A07FK1
INE121A08MC2
CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD)
INE121A08LX0
12.25% Unsecured Redeemable NonConvertible Debenture. Letter of Allotment. Date of Maturity:30/06/2018 12.25% Unsecured Non-Convertible Debenture.Letter of Allotment. SeriesSD21. Date of Maturity 01/08/2018 12.25% Unsecured Non-Convertible Debenture. Letter of Allotment.SeriesSD22. Date of Maturity 09/08/2018 11.40% UNSECURED NON CONVERTIBLE DEBENTURES SERIES-SD26. LETTER OF ALLOTMENT. DATE OF MATURITY 07.06.2019 11.40% UNSECURED NON CONVERTIBLE DEBENTURES . SERIES-SD27. LETTER OF ALLOTMENT. DATE OF MATURITY. 26/06/2019 11.70% Unsecured Non Convertible Debentues. Letter of allotment. SeriesSD-25. Date of Maturity: 17/05/2019 Reset Rate Unsecured Redeemable Non-Convertible Perpetual Debenture. Letter of Allotment. Series- PDI- 1. Reset Rate Unsecured Redeemable Non-Convertible Perpetual Debenture. Letter of Allotment. Series- PDI- 2. Reset Rate Unsecured Non-Convertible Perpetual Debenture. Letter of Allotment. Series- PDI-4. Reset Rate Unsecured Non-Convertible Perpetual Debenture. Letter of Allotment. Series- PDI 8. Reset Rate Unsecured Non-Convertible Perpetual Debenture. Letter of Allotment. Series- PDI- 3. Reset rate Unsecured Non-Convertible Perpetual Debenture. Letter of Allotment.Series- PDI 5. Reset rate Unsecured Non-Convertible Perpetual Debenture. Letter of Allotment. Series- PDI 6. Reset rate Unsecured Non-Convertible Perpetual Debenture. Letter of Allotment. Series- PDI 7
INE121A08LZ5
INE121A08MA6
INE121A08MJ7
INE121A08MK5
INE121A08MI9
INE121A08LV4
INE121A08LW2
INE121A08MB4
INE121A08MG3
INE121A08LY8
INE121A08MD0
INE121A08ME8
INE121A08MF5
INE136E07FK1
Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 270. Date of maturity: 20/08/2012 Equity Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 310. Date of Maturity 24/08/2012 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 305. Date of Maturity 30/08/2012 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 304. Date of Maturity 30/08/2012 Equity Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 308. Date of Maturity 31/08/2012 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 309. Date of Maturity 07/09/2012 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment . Series - 312. Date of Maturity 13/09/2012 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 315. Date of Maturity 13/09/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 273. Date of maturity: 25/09/2012 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 314. Date of Maturity 28/09/2012. Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 313. Date of Maturity 28/09/2012. Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment Series - 318 ALT 1. Date of Maturity 28/09/2012 Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment Series - 318 ALT 2. Date of Maturity 28/09/2012 Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment Series - 316. Date of Maturity 28/09/2012
INE136E07HH3
INE136E07HC4
INE136E07HD2
INE136E07HI1
INE136E07HG5
INE136E07HJ9
INE136E07HL5
INE136E07FQ8
INE136E07HM3
INE136E07HN1
INE136E07HO9
INE136E07HP6
INE136E07HQ4
INE136E07HR2
Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment Series - 317. Date of Maturity 28/09/2012 Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment Series - 319 ALT 1. Date of Maturity 28/09/2012 Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment Series - 319 ALT 2. Date of Maturity 28/09/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 271. Date of maturity: 01/10/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 272. Date of maturity: 01/10/2012 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series323. Date of Maturity 29/10/2012 Equity Linked Secured Non-Convertible Debenture Letter of Allotment Series- 300. Date of Maturity 30/10/2012 Equity Linked Secured Non-Convertible Debenture Letter of Allotment Series- 301. Date of Maturity 30/10/2012 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series325. Date of Maturity 02/11/2012 Nifty Linked Secured Non-Convertible Debenture.Series- 324. Date of Maturity 02/11/2012 Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment.Series326. Date of Maturity 05/11/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 265. Date of maturity: 07/11/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 268. Date of maturity: 20/11/2012 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series330.Date of Maturity 23/11/2012
INE136E07HS0
INE136E07HT8
INE136E07FR6
INE136E07FS4
INE136E07HX0
INE136E07GY0
INE136E07GZ7
INE136E07HY8
INE136E07HZ5
INE136E07IA6
INE136E07FJ3
INE136E07FL9
INE136E07ID0
INE136E07FN5
Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 266 Alt - 1. Date of maturity: 30/11/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 266 Alt - 2. Date of maturity: 30/11/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 275. Date of maturity: 30/11/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 276 Alt - 2. Date of maturity: 30/11/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 276 Alt - 1. Date of maturity: 30/11/2012 Nifty Linked Secured Non- Convertible Debenture. Letter of Allotment. series328 ALT-1. Date of Maturity 30/11/2012 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series328 ALT 2. Date of Maturity 30/11/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 329. Date of maturity: 30/11/2012 Nifty Linked Secured Non- Convertible Debenture. Letter of Allotment. series327 ALT-1. Date of Maturity 30/11/2012 Nifty Linked Secured Non- Convertible Debenture. Letter of Allotment. series327 ALT-2. Date of Maturity 30/11/2012 Equity Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 311. Date of Maturity 07/12/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 269. Date of maturity: 10/12/2012 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment Series- 320. Date of Maturity 24/12/2012 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 274. Date of maturity: 05/01/2013
INE136E07FO3
INE136E07FV8
INE136E07FX4
INE136E07FW6
INE136E07IB4
INE136E07IC2
INE136E07IE8
INE136E07IG3
INE136E07IH1
INE136E07HK7
INE136E07FP0
INE136E07HU6
INE136E07FT2
INE136E07FY2
Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 278. Date of maturity: 08/01/2013 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 279 Alt-1. Date of maturity: 29/01/2013 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 279 Alt-2. Date of maturity: 29/01/2013 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 280 Alt-1. Date of maturity: 29/01/2013 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 280 Alt-2. Date of maturity: 29/01/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series322. Date of Maturity 29/01/2013 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 281. Date of maturity: 26/02/2013 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 282. Date of maturity: 26/02/2013 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 283. Date of maturity: 26/02/2013 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 331. Date of maturity: 28/02/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series352 ALT 1. Date of Maturity 29/04/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series352 ALT 2. Date of Maturity 29/04/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series353. Date of Maturity 29/04/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series356 ALT-1. Date of Maturity 30/05/2013
INE136E07FZ9
INE136E07GA0
INE136E07GB8
INE136E07GC6
INE136E07HW2
INE136E07GD4
INE136E07GE2
INE136E07GF9
INE136E07IF5
INE136E07JL1
INE136E07JM9
INE136E07JN7
INE136E07JR8
INE136E07JS6
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series356 ALT-2. Date of Maturity 30/05/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment.Series357 ALT1. Date of Maturity 31/05/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment.Series357 ALT2. Date of Maturity 31/05/2013 Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment. Series358. Date of Maturity 07/06/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series364. Date of Maturity 17/06/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series363 ALT 1. Date of Maturity 17/06/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series363 ALT 2. Date of Maturity 17/06/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series365 ALT 1. Date of Maturity 24/06/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series365 ALT 2. Date of Maturity 24 /06/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series360. Date of Maturity 28/06/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series359 ALT 1. Date of Maturity 28/06/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series359 ALT 2. Date of Maturity 28/06/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series362. Date of Maturity 28/06/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series366. Date of Maturity 29/07/2013
INE136E07JT4
INE136E07JU2
INE136E07JV0
INE136E07JW8
INE136E07JX6
INE136E07JY4
INE136E07JZ1
INE136E07KA2
INE136E07KD6
INE136E07KB0
INE136E07KC8
INE136E07KJ3
INE136E07KF1
INE136E07KG9
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series367. Date of Maturity 30/07/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series368. Date of Maturity 30/07/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series369. Date of Maturity 05/08/2013 Nifty Linked Secured Non-Convertible Debenture Letter of Allotment Series- 303. Date of Maturity 13/08/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series371. Date of Maturity 29/08/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series372 ALT 1. Date of Maturity 29/08/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series372 ALT 2. Date of Maturity 29/08/2013 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 292 Date of maturity: 16/09/2013 Nifty Linked Secured Non Convertible Debentures .Letter of Allotment.Series 295 Date of maturity: 16/09/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series375. Date of Maturity 24/09/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series377. Date of Maturity 24/09/2013 Equity Linked Secured Non-Convertible Debenture. Letter of Allotment. Series382. Date of Maturity 27/09/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series361. Date of Maturity 30/09/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series378. Date of Maturity 30/09/2013
INE136E07KH7
INE136E07KI5
INE136E07HB6
INE136E07KL9
INE136E07KM7
INE136E07KN5
INE136E07GP8
INE136E07GQ6
INE136E07KR6
INE136E07KT2
INE136E07KZ9
INE136E07KE4
INE136E07KU0
INE136E07LD4
Gold Linked Secured Non-Convertible Debenture. Letter of Allotment.Series387. Date of Maturity 04/10/2013 Stock Linked Secured Non-Convertible Debenture. Letter of Allotment.Series385. Date of Maturity 07/10/2013 Equity Linked Secured Non-Convertible Debenture. Letter of Allotment. Series389. Date of Maturity 28/10/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series390 ALT 1. Date of Maturity 28/10/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series390 ALT 2. Date of Maturity 28/10/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series394. Date of Maturity 28/10/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment.Series321. Date of Maturity 29/10/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series370. Date of Maturity 29/10/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series373. Date of Maturity 29/10/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series393 ALT- 1. Date of Maturity 11/11/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series393 ALT- 2. Date of Maturity 11/11/2013 Equity Linked Secured Non-Convertible Debenture. Letter of Allotment. Series379. Date of Maturity 29/11/2013 Gold Linked Secured Non-Convertible Debenture. Letter of Allotment.Series394. Date of Maturity 02/12/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series397. Date of Maturity 06/01/2014
INE136E07LE2
INE136E07LG7
INE136E07LH5
INE136E07LI3
INE136E07LM5
INE136E07HV4
INE136E07KK1
INE136E07KP0
INE136E07LN3
INE136E07LO1
INE136E07KV8
INE136E07LP8
INE136E07LS2
INE136E07LR4
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series396. Date of Maturity 06/01/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series388. Date of Maturity 28/01/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series403. Date of Maturity 31/01/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series402. Date of Maturity 17/02/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series376. Date of Maturity 28/02/2014 Equity Linked Secured Non-Convertible Debenture. Letter of Allotment. Series406. Date of Maturity 28/02/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series404. Date of Maturity 03/03/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series409. Date of Maturity 21/03/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series380 ALT 2. Date of Maturity 31/03/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series381. Date of Maturity 31/03/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series380 ALT 1. Date of Maturity 31/03/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series380 ALT 1. Date of Maturity 31/03/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series410. Date of Maturity 04/04/2014 Equity Linked Secured Non-Convertible Debenture. Letter of Allotment. Series413. Date of Maturity 25/04/2014
INE136E07LF9
INE136E07LT0
INE136E07MA8
INE136E07KS4
INE136E07MC4
INE136E07MD2
INE136E07ME0
INE136E07KX4
INE136E07KY2
INE136E07KW6
INE136E07KW6
INE136E07MH3
INE136E07MI1
INE136E07JJ5
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series348 ALT 1. Date of Maturity 29/04/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series348 ALT 2. Date of Maturity 29/04/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series414. Date of Maturity 30/04/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series412. Date of Maturity 30/04/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series398. Date of Maturity 08/05/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series399. Date of Maturity 08/05/2014 Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment. Series355 ALT-1. Date of Maturity 30/05/2014 Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment. Series355 ALT-2. Date of Maturity 30/05/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series416 ALT 1. Date of Maturity 30/05/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series416 ALT 2. Date of Maturity 30/05/2014 Equity Linked Secured NonConvertible Debenture. Letter of Allotment. Series- 422. Date of Maturity 26/06/2014 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE LETTER OF ALLOTMENT SERIES NCD 426 DATE OF MATURITY 29.06.2014 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE LETTER OF ALLOTMENT SERIES NCD 419/ALT 1 DOM 30.06.2014 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE LETTER OF ALLOTMENT SERIES NCD 419/ALT 2 DOM 30.06.2014
INE136E07JK3
INE136E07ML5
INE136E07MK7
INE136E07LY0
INE136E07LZ7
INE136E07JP2
INE136E07JQ0
INE136E07MM3
INE136E07MN1
INE136E07MS0
INE136E07MX0
INE136E07MT8
INE136E07MU6
INE136E07MR2
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series418. Date of Maturity 07/07/2014 EQUITY LINKED SECURED NON CONVERTIBLE DEBENTURE . SERIES 428LETTER OF ALLOTMENT. DATE OF MATURITY 07/07/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series354. Date of Maturity 29/07/2014 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES 2012/01/424. LETTER OF ALLOTMENT. DATE OF MATURITY 30/07/2014 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE. SERIES 423. LETTER OF ALLOTMENT. DATE OF MATURITY 18/08/2014. Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series392. Date of Maturity 28/10/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series393. Date of Maturity 28/10/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series374. Date of Maturity 24/11/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment.Series386. Date of Maturity 30/12/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series383. Date of Maturity 31/12/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series384. Date of Maturity 31/12/2014 Gold Linked Secured Non-Convertible Debenture. Letter of Allotment. Series391. Date of Maturity 30/01/2015 Gold Linked Secured Non-Convertible Debenture. Letter of Allotment. Series395. Date of Maturity 06/04/2015 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE LETTER OF ALLOTMENT SERIES NCD 420 DATE OF MATURITY 29/06/2015
INE136E07MZ5
INE136E07JO5
INE136E07ND0
INE136E07NB4
INE136E07LK9
INE136E07LL7
INE136E07KO3
INE136E07LC6
INE136E07LA0
INE136E07LB8
INE136E07LJ1
INE136E07LQ6
INE136E07MV4
INE136E07MG5
Gold Linked Secured Non-Convertible Debenture. Letter of Allotment. Series408. Date of Maturity 30/06/2015 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES 2012/01/430. LETTER OF ALLOTMENT. DATE OF MATURITY 30/07/2015 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES 2012/01/431. LETTER OF ALLOTMENT. DATE OF MATURITY 30/07/2015 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series401. Date of Maturity 29/01/2016 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series411. Date of Maturity 29/04/2016 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series415 ALT 1. Date of Maturity 30/05/2016 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series415 ALT 2. Date of Maturity 30/05/2016 GOLD LINKED SECURED NON CONVERTIBLE DEBENTURE LETTER OF ALLOTMENT SERIES NCD 421. DATE OF MATURITY 28/07/2016 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE LETTER OF ALLOTMENT SERIES NCD 425 DATE OF MATURITY 05/08/2016 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE. SERIES 427. LETTER OF ALLOTMENT. DATE OF MATURITY 08/08/2016. NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES 2012/01/432 ALT 1. LETTER OF ALLOTMENT. DATE OF MATURITY 30/09/2016 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES 2012/01/432 ALT 2. LETTER OF ALLOTMENT. DATE OF MATURITY 30/09/2016 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES. SERIES 2012/01/429. LETTER OF ALLOTMENT. DATE OF MATURITY 30/09/2016 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series405. Date of Maturity 28/02/2017
INE136E07NE8
INE136E07NF5
INE136E07LW4
INE136E07MJ9
INE136E07MO9
INE136E07MP6
INE136E07MW2
INE136E07MY8
INE136E07NA6
INE136E07NG3
INE136E07NH1
INE136E07NC2
INE136E07MB6
INE136E07MF7
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series407. Date of Maturity 30/03/2017 Equity Linked Secured Non-Convertible Debenture. Letter of Allotment. Series417. Date of Maturity 19.05.2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series337. Date of Maturity 04/01/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 335. Date of Maturity 07/01/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 333, ALT 1. Date of Maturity 07/01/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 333, ALT 2. Date of Maturity 07/01/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series336. Date of Maturity 07/01/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series343. Date of Maturity 25/02/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series341 ALT 1. Date of Maturity 25/02/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series341 ALT 2. Date of Maturity 25/02/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 345. Date of Maturity 28/02/2013 Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment. Series332. Date of Maturity 25/03/2013 Nifty Linked Secured Non-Convertible Debenture.Letter of Allotment.Series349. Date of Maturity 28/03/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series351. Date of Maturity 29/03/2013
INE136E07MQ4
INE136E07IN9
INE136E07IM1
INE136E07IJ7
INE136E07IK5
INE136E07II9
INE136E07IV2
INE136E07IS8
INE136E07IT6
INE136E07IX8
INE136E07JD8
INE136E07JF3
INE136E07JI7
INE136E07JB2
Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment.Series346 ALT 1. Date of Maturity 29/03/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment.Series346 ALT 2. Date of Maturity 29/03/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series342. Date of Maturity 14/05/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series - 334. Date of Maturity 07/01/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series339. Date of Maturity 31/01/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series344. Date of Maturity 14/02/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series350. Date of Maturity 31/03/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series347. Date of Maturity 31/03/2014 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series338 Alt 1. Date of Maturity 31/01/2013 Nifty Linked Secured Non-Convertible Debenture. Letter of Allotment. Series338 Alt 2. Date of Maturity 31/01/2013 8.85% Secured Non-Convertible Debenture. Letter of Allotment. Series - 472. Date of Maturity 17/09/2012 Nifty Linked Secured Redeemable Non Convertible debentures. Series 416 Letter of Allotment Date of Maturity: 01/10/2012 Nifty Linked Secured Redeemable Non Convertible debentures. Series 445 Letter of Allotment Date of Maturity: 01/10/2012 Equity Linked Secured Redeemable Non Convertible debentures. Series 423 Letter of Allotment Date of Maturity: 03/10/2012
INE136E07JC0
INE136E07IU4
INE136E07IL3
INE136E07IO7
INE136E07IW0
INE136E07JH9
INE136E07JG1
INE136E07IP4
INE136E07IQ2
CITIFINANCIAL CONSUMER FINANCE INE915D07OU1 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07MO8 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07NQ1 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07MP5 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV
CITIFINANCIAL CONSUMER FINANCE INE915D07MU5 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07MR1 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07NN8 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07NP3 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07IG2 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07OB1 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07IK4 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07OP1 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07OW7 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07OR7 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07OS5 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV CITIFINANCIAL CONSUMER FINANCE INE915D07LB7 INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV City Union Bank Limited INE491A08018
Nifty Linked Secured Redeemable Non Convertible debentures. Series 427 Letter of Allotment Date of Maturity: 06/10/2012 Nifty Linked Secured Redeemable Non Convertible debentures. Series 424 Letter of Allotment Date of Maturity: 08/10/2012 Nifty Linked Secured Redeemable Non Convertible debentures. Series 437 Letter of Allotment Date of Maturity: 30/11/2012 Nifty Linked Secured Redeemable Non Convertible debentures. Series 443 Letter of Allotment Date of Maturity: 11/12/2012 9.50% Secured Non Convertible Debenture Letter of Allotment . Series 317 Date of Maturity : 12/12/2012 Nifty Linked Secured Redeemable Non Convertible debentures. Series 455 Letter of Allotment Date of Maturity: 05/01/2013 9.48% Secured Non Convertible Debenture Letter of Allotment . Series 320 Date of Maturity : 30/01/2013 8.60% Secured Non Convertible debentures. Series 467 Letter of Allotment Date of Maturity: 11/02/2013 9.00% Secured Non-Convertible Debenture. Letter of Allotment. Series - 473. Date of Maturity 05/03/2013 Nifty Linked Secured Non Convertible debentures. Series 468. Letter of Allotment Date of Maturity: 17/05/2013 Nifty Linked Secured Non Convertible debentures. Series 469. Letter of Allotment Date of Maturity: 22/05/2013. Index Linked Secured Redeemable Non Convertible debentures. Series 388 Letter of Allotment Date of Maturity: 08/11/2013 8.90% Unsecured Redeemable Non Convertible Subordinated Bonds.Date of Maturity 30/04/2016 10.00% Unsecured Redeemable Non Convertible Subordinated Bonds.Date of Maturity 30/04/2017
INE491A08026
INE495N07014
ZERO COUPON SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 04/06/2017. Pass through Certificates. Series A (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series A (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series A (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series B (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series A (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series A (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series A (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series A3 (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series A4 (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series A2 (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series A (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series A (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series B (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd).
INE204L15017
INE335L15019
INE128L15018
INE128L15026
INE201L15013
INE196L15015
INE197L15013
INE892K15037
INE892K15045
INE892K15029
INE200L15015
INE017L15013
INE017L15021
INE202L15011
Pass through Certificates. Series A (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). Pass through Certificates. Series A (Trustee: Axis Bank Limited, Receivables: Loan Receivables of Kotak Mahindra Prime Ltd). 14% Unsecured Fully Convertible Debenture.Date of Maturity 31/03/2013 14.38% Unsecured Fully Convertible Debenture.Date of Maturity 30/06/2014 11% Secured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity 25/12/2015 12.75% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 24/08/2013 12.75% Secured Non-Convertible Debenture. Letter of Allotment.Series II Date of Maturity 24/08/2013 13.75% Secured Non Convertible Debenture. LOA. Date of Maturity: 02.05.2015 14% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 31.05.2015 Unsecured Fully and Compulsorily Convertible Debenture. Date of Maturity 30/03/2020 Reset Rate Unsecured Fully and Compulsorily Convertible Debenture. Date of Maturity 31/03/2020 13% Secured Non-Convertible Debenture in the form of STRPPs Letter of Allotment. Series- VII. Date of Maturity 30/12/2014 13% Secured Non-Convertible Debenture in the form of STRPPs Letter of Allotment.Series- VIII. Date of Maturity 30/12/2015 13% Secured Non-Convertible Debenture in the form of STRPPs Letter of Allotment. Series- IX. Date of Maturity 30/12/2016
INE203L15019
INE407J08015
INE407J08023
INE634N07018
INE335K07018
INE335K07026
INE335K07034
INE335K07042
INE335K08024
INE335K08016
INE247G07070
INE247G07088
INE247G07096
INE247G07013
11.75% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs- Series- I. Date of Maturity 30/03/2014 12.75% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs- Series- IV. Date of Maturity 17/06/2014 11.75% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs- Series- II. Date of Maturity 30/03/2015 12.75% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs- Series- V. Date of Maturity 17/06/2015 11.75% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs- Series- III. Date of Maturity 30/03/2016 12.75% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs- Series- VI. Date of Maturity 17/06/2016 9% UNSECUERED NON CONVERTIBLE BONUS DEBENTURE. LETTER OF ALLOTMENT. DATE OF MATURITY 23/07/2016. Reset rate Unsecured Non Convertible Bonds in the Nature of promissory Note. Upper Tier II .Letter of Allotment. Date of Maturity : 29/04/2025 7.90% Unsecured Non Convertible Bonds in the Nature of promissory Note. Tier II . Date of Maturity 24/03/2016 5.45 % Unsecured Non convertible Taxfree bonds. Final date of Redemption : 15.05.2015 9.30% Unsecured Non Convertible Subordinated Bonds in the Nature of promissory Note. Tier II . Letter of Allotment . Date of Maturity 19/03/2018 9.40% Unsecured Non Convertible Subordinated Bonds in the Nature of promissory Note. Tier II . Letter of Allotment . Date of Maturity 27/03/2018 10.80% Unsecured Non Convertible Subordinated Bonds in the Nature of promissory Note. Tier II . Letter of Allotment . Date of Maturity 03/12/2018 8.85% Unsecured Non Convertible Subordinated Bonds in the Nature of promissory Note. Lower Tier II . Letter of Allotment. Date of Maturity : 31/05/2019
INE247G07047
INE247G07021
INE247G07054
INE247G07039
INE247G07062
CORPORATION BANK
INE112A09166
CORPORATION BANK
INE112A09018
CORPORATION OF CHENNAI
INE983G08011
CORPORATIONBANK
INE112A09026
CORPORATIONBANK
INE112A09034
CORPORATIONBANK
INE112A09042
CORPORATIONBANK
INE112A09083
CORPORATIONBANK
INE112A09059
CORPORATIONBANK
INE112A09075
CORPORATIONBANK
INE112A09091
CORPORATIONBANK
INE112A09109
CORPORATIONBANK
INE112A09125
CORPORATIONBANK
INE112A09133
CORPORATIONBANK
INE112A09067
Reset rate Unsecured Non Convertible Subordinated Bonds in the Nature of promissory Note. Tier II . Letter of Allotment . Date of Maturity 12/12/2023 Reset Rate Unsecured Non Convertible Subordinated Bonds in the Nature of promissory Note. Upper Tier II . Letter of Allotment. Date of Maturity : 24/02/2024 Reset rate Unsecured Non Convertible Subordinated Bonds in the Nature of promissory Note. Upper Tier II Series III . Letter of Allotment. Date of Maturity : 06/05/2024 Reset rate Unsecured Non Convertible Subordinated Bonds in the Nature of promissory Note. Upper Tier II Series IV . Letter of Allotment. Date of Maturity : 28/05/2024 Reset rate Unsecured Non Convertible Subordinated Bonds in the Nature of promissory Note. Upper Tier II Series V . Letter of Allotment. Date of Maturity : 10/08/2024 Reset rate Unsecured Non Convertible Subordinated Bonds in the Nature of promissory Note. Upper Tier II Series VI . Letter of Allotment. Date of Maturity : 11/08/2024 Reset Rate Unsecured Non Convertible Subordinated Perpetual Bonds in the Nature of promissory Note. Tier I . Letter of Allotment. Reset Rate Unsecured Non Convertible Perpetual Bonds in the Nature of promissory Note. Tier I . Letter of Allotment. Reset Rate Unsecured Non Convertible Perpetual Bonds in the Nature of promissory Note. Tier I Series III. Letter of Allotment. Reset Rate Unsecured Non Convertible Perpetual Bonds in the Nature of promissory Note. Series IV. Letter of Allotment. 10.60% Unsecured Non convertible Debentures . Letter of allotment. Date of Maturity: 09/06/2014 10.60% Unsecured Non convertible Debentures . Letter of allotment. Date of Maturity: 09/06/2015 11.25% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 25/07/2014 11.25% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 06/10/2014
CORPORATIONBANK
INE112A09117
CORPORATIONBANK
INE112A09141
CORPORATIONBANK
INE112A09158
COX & KINGS (INDIA) LIMITED ( FORMERLY COX & KINGS (INDIA) PRIVATE LIMITED) COX & KINGS (INDIA) LIMITED ( FORMERLY COX & KINGS (INDIA) PRIVATE LIMITED) COX AND KINGS LIMITED
INE008I08013
INE008I08021
INE008I07221
INE008I07262
INE008I07288
11.70% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 28/11/2014 11.25% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 25/07/2015 11.70% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 28/11/2015 11.25% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 25/07/2016 11.30% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 31/10/2016 11.70% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 28/11/2016 Index Linked Secured Redeemable Principal Protected Non-Convertible Debenture. Date of Maturity 22/03/2013 Index Linked Secured Rated, Listed,Redeemable, Principal Protected, Non-Convertible Debenture. Date of Maturity 24/06/2013 Index Linked Secured Rated, Listed,Redeemable, Principal Protected, Non-Convertible Debenture. Date of Maturity 19/08/2013 Index Linked Secured, Rated, Listed, Principal Protected, Non-Convertible Debenture.Series-5. Date of Maturity 05/05/2014 Nifty Index Linked Secured Rated, Listed, Non-Convertible Debenture.Date of Maturity 08/09/2014 Shares Linked Secured Rated, Listed, Non-Convertible Debenture.Date of Maturity 08/10/2014 8.00% Secured Non Convertiable Debenture. Letter of allotment. Final Date of Redemption: 18.12.2014 8.10% Secured Redeemable non convertible debenture . Letter of allotment. Final Date of Maturity : 18.12.2014
INE008I07239
INE008I07296
INE008I07247
INE008I07270
INE008I07304
INE996L07015
INE996L07064
INE996L07072
INE996L07056
INE996L07031
INE996L07049
INE495A07151
INE495A07169
INE495A07177
8.00% Secured redeemable non convertible debentures . Letter of allotment. Final date of redemption: 16.05.2015 8.10% p.a for the first five years with reset at the end of fifth year Secured redeemable non convertible debentures . Letter of allotment. Date of Maturity: 15.10.2015 10.35% Secured redeemable non convertible debentures . Letter of allotment. Final Redemption Date : 08/05/2016 9.25% Secured redeemable non convertible debentures . Letter of allotment. Final Redemption Date : 30/09/2016 8.95% Secured Non Convertible Bonds 2017 Series 13. Letter of Allotment. Date of Maturity : 26/02/2017 9.30% Secured Non-Convertible Partly paid Bond. Letter of Allotment. Series14A. Date of Maturity 30/03/2027 9.30% Secured Non-Convertible Bond. Letter of Allotment. Series- 14B. Date of Maturity 30/03/2027 9.30% Secured Non-Convertible Fully paid Bond. Letter of Allotment. Series14A. Date of Maturity 30/03/2027 7.70% Taxable Secured Redeemable Bonds in the form of Debentures. Series-12.Date of Final Redemption: 03/01/2013. Letter of Allotment Zero Coupon Unsecured Compulsorily Convertible Debenture. Letter of Allotment. Date of Maturity 14/04/2015. 11.50% Unsecured Non-Convertible Debenture. Letter of Allotment.Date of Maturity 19/09/2012 10.00% Secured Taxable Redeemable Non Convertible Debentures . Letter of allotment. Date of Maturity: 17/12/2012 12.00% Secured Taxable Redeemable Non Convertible Debentures . Letter of allotment. Date of Maturity: 14/11/2013 10.00% Secured Taxable Redeemable Non Convertible Debentures . Letter of allotment. Date of Maturity: 17/12/2013
INE495A07185
INE495A07201
INE495A07193
INE753F07012
INE753F07020
INE753F07038
INE753F07046
INE753F08010
INE520L08011
8.25 % Secured Non cconvertible Redeemable Taxable debentures. Letter of allotment. Final Date of Redemption : 14.09.2015 Zero Coupon Unsecured Fully & mandatorily Convertible Debentures.Letter of Allotment.Date of Maturity : 30/05/2018 8.35% Secured Redeemable Nonconvertible Debentures. Date of Maturity : 09/02/2013 9.31% Secured Non-Convertible Debenture. Date of Maturity 15/07/2015 9.75% Secured Redeemable Non Convertible Debenture. Final Date of Redemption: 25/11/2015 10.00% Secured Redeemable Non Convertible Debenture. Final Date of Redemption: 25/11/2015 10.80% Secured Redeemable Non Convertible Debenture. Final Date of Redemption: 01/09/2014. 9.50% Secured Redeemable Non Convertible Taxable Bonds in the nature of Debenture.Series - I STRPP A.Letter of Allotment.Date of Maturity : 02/03/2016 9.50% Secured Redeemable Non Convertible Taxable Bonds in the nature of Debenture.Series - I STRPP B.Letter of Allotment.Date of Maturity : 02/03/2017 9.50% Secured Redeemable Non Convertible Taxable Bonds in the nature of Debenture.Series - I STRPP C.Letter of Allotment.Date of Maturity : 02/03/2018 9.50% Secured Redeemable Non Convertible Taxable Bonds in the nature of Debenture.Series - I STRPP D.Letter of Allotment.Date of Maturity : 02/03/2019. 9.50% Secured Redeemable Non Convertible Taxable Bonds in the nature of Debenture.Series - I STRPP E.Letter of Allotment.Date of Maturity : 02/03/2020. 9.50% Secured Redeemable Non Convertible Taxable Bonds in the nature of Debenture.Series - I STRPP F.Letter of Allotment.Date of Maturity : 02/03/2021. 9.50% Secured Redeemable Non Convertible Taxable Bonds in the nature of Debenture.Series - I STRPP G.Letter of Allotment.Date of Maturity : 02/03/2022.
INE148L08011
INE501A07099
INE501A07107
INE501A07073
INE501A07081
INE501A07065
DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED)
INE491F07019
INE491F07027
INE491F07035
INE491F07043
INE491F07050
INE491F07068
INE491F07076
DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) DENA BANK
INE491F07084
INE491F07092
INE491F07100
INE077A09021
9.50% Secured Redeemable Non Convertible Taxable Bonds in the nature of Debenture.Series - I STRPP H.Letter of Allotment.Date of Maturity : 02/03/2023. 9.50% Secured Redeemable Non Convertible Taxable Bonds in the nature of Debenture.Series - I STRPP I.Letter of Allotment.Date of Maturity : 02/03/2024. 9.50% Secured Redeemable Non Convertible Taxable Bonds in the nature of Debenture.Series - I STRPP J.Letter of Allotment.Date of Maturity : 02/03/2025. 6.20% Unsecured Redeemable Nonconvertible Subordinated Bonds in the form of Promissory Notes- Series VII. 7.30 % Unsecured redeemable non convertible subordinated bonds in form of promissory notes. Series -VIII. Date of Maturity: 30.04.2014 9.25% Unsecured Redeemable NonConvertible Subordinated Bonds in the form of promissory note (Lower Tier-II, Series-IX ).Date of Maturity: 24/05/2018. 9.50% Unsecured Redeemable NonConvertible Subordinated Bonds in the form of promissory note (Lower Tier-II, Series-XI ).Date of Maturity: 29/01/2019 11.20% Unsecured Redeemable NonConvertible Subordinated Bonds in the form of promissory note (Lower Tier-II, Series-X ).Date of Maturity: 30/04/2019 9.20% Unsecured Redeemable NonConvertible Subordinated Bonds in the form of promissory note (Upper Tier-II, Series-I ).Date of Maturity: 30/09/2021. 9.23% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED LOWER TIER II BONDS - SERIES XII. DATE OF MATURITY 25/06/2027 10.05% Unsecured Non Convertible Subordinated Perpetual Bonds in nature of promissory notes Tier-I Series. I. Reset Rate Unsecured Non Convertible Perpetual Bonds in nature of promissory notes Series. II. Nifty Linked Secured Non-Convertible Debenture. Series- GE- 0133.Date of Maturity 27/08/2012 Nifty Linked Secured Non Convertible Debentures. Series GE0056.Date of Maturity: 29/08/2012
DENA BANK
INE077A09039
DENA BANK
INE077A09062
DENA BANK
INE077A09088
DENA BANK
INE077A09070
DENA BANK
INE077A09047
DENA BANK
INE077A09104
DENA BANK
INE077A09054
DENA BANK
INE077A09096
INE144H07BI1
INE144H07614
INE144H07945
Nifty Linked Secured Non-Convertible Debenture. Series - GE0092. Date of Maturity 06/09/2012 Nifty Linked Secured Non Convertible Debentures. Series GE0077.Date of Maturity: 11/10/2012. Nifty Linked Secured Non-Convertible Debenture. Series- GE0136. Date of Maturity 12/11/2012 Nifty Linked Secured Non-Convertible Debenture. Series- GE0146. Date of Maturity 12/11/2012 Nifty Linked Secured Non-Convertible Debenture. Series- GE0137. Date of Maturity 19/11/2012 Nifty Linked Secured Non-Convertible Debenture. Series- GE0142. Date of Maturity 23/11/2012 Nifty Linked Secured Non-Convertible Debenture.Series-GE 0149. Date of Maturity 26/11/2012 Nifty Linked Secured Non Convertible Debentures. Series GE0063.Date of Maturity: 30/11/2012 Nifty linked Secured Non-Convertible Debenture. Series - GE0091. Date of Maturity 30/11/2012. Nifty linked Secured Non-Convertible Debenture. Series - GE0138. Date of Maturity 30/11/2012. Nifty linked Secured Non-Convertible Debenture. Series - GE0152. Date of Maturity 06/12/2012. Nifty linked Secured Non-Convertible Debenture. Series - GE0150. Date of Maturity 07/12/2012. Nifty Linked Secured Non-Convertible Debenture. Series - GE0094. Date of Maturity 17/12/2012 Nifty Linked Secured Non Convertible Debentures. Series GE0067.Date of Maturity: 15/01/2013
INE144H07796
INE144H07BS0
INE144H07BT8
INE144H07BU6
INE144H07BX0
INE144H07BY8
INE144H07630
INE144H07937
INE144H07BZ5
INE144H07CB4
INE144H07CC2
INE144H07960
INE144H07697
INE144H07986
Nifty Linked Secured Non Convertible Debentures. Series GE0096.Date of Maturity: 15/01/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE 0159. Date of Maturity 24/01/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE 0160. Date of Maturity 24/01/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE 0162. Date of Maturity 28/01/2013 Nifty Linked Secured Non Convertible Debentures. Series GE0065.Date of Maturity: 01/02/2013 Nifty Linked Secured Non Convertible Debentures. Series GE0069.Date of Maturity: 04/02/2013 Nifty Linked Secured Non Convertible Debentures. Series GE0098.Date of Maturity: 04/02/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE0102. Date of Maturity 25/02/2013 Nifty Linked Secured Non Convertible Debentures. Series GE0080.Date of Maturity: 04/09/2013. Nifty Linked Secured Non Convertible Debentures. Series GE0081.Date of Maturity: 04/10/2013. Nifty Linked Secured Non-Convertible Debenture. Series- GE 0154. Date of Maturity 25/04/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE 0161. Date of Maturity 25/04/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE0104. Date of Maturity 06/09/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE0086 Date of Maturity 06/11/2013
INE144H07CJ7
INE144H07CK5
INE144H07CM1
INE144H07671
INE144H07713
INE144H07AA0
INE144H07AE2
INE144H07820
INE144H07838
INE144H07CG3
INE144H07CL3
INE144H07AI3
INE144H07887
INE144H07978
Nifty Linked Secured Non-Convertible Debenture. Series - GE0095. Date of Maturity 24/06/2013 Nifty Linked Secured Non Convertible Debentures. Series GE0074.Date of Maturity: 29/07/2013. Nifty Linked Secured Non-Convertible Debenture.Series- GE- 0139. Date of Maturity 05/08/2013 Nifty Linked Secured Non Convertible Debentures. Series GE0071.Date of Maturity: 12/08/2013 Nifty Linked Secured Non Convertible Debentures. Series GE0072.Date of Maturity: 12/08/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE0105. Date of Maturity 26/08/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE0106. Date of Maturity 26/08/2013 Nifty Linked Secured Non Convertible Debentures. Series GE0075.Date of Maturity: 30/08/2013. Nifty Linked Secured Non-Convertible Debenture. Series- GE- 0132.Date of Maturity 02/09/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE- 0135. Date of Maturity 23/09/2013 Nifty Linked Secured Non Convertible Debentures. Series GE0078.Date of Maturity: 26/09/2013. Nifty Linked Secured Non-Convertible Debenture. Series- GE0084 Date of Maturity 30/09/2013 Nifty Linked Secured Non Convertible Debentures. Series GE0082.Date of Maturity: 10/10/2013. Nifty Linked Secured Non-Convertible Debenture. Series GE0083 Date of Maturity 29/10/2013
INE144H07762
INE144H07BP6
INE144H07739
INE144H07747
INE144H07AF9
INE144H07AG7
INE144H07770
INE144H07BK7
INE144H07BL5
INE144H07812
INE144H07853
INE144H07846
INE144H07861
INE144H07879
Nifty Linked Secured Non-Convertible Debenture. Series GE0085 Date of Maturity 30/10/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE-0145. Date of Maturity 08/11/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE0087 Date of Maturity 18/11/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE0088 Date of Maturity 18/11/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE0148. Date of Maturity 18/11/2013 Nifty Linked Secured Non-Convertible Debenture. Series - GE0089. Date of Maturity 23/12/2013 Nifty Linked Secured Non-Convertible Debenture. Series - GE0090. Date of Maturity 26/12/2013 Nifty Linked Secured Non-Convertible Debenture. Series - GE0093. Date of Maturity 07/01/2014 Nifty linked Secured Non-Convertible Debenture. Series - GE0157. Date of Maturity 20/01/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE 0158. Date of Maturity 24/01/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE0101. Date of Maturity 10/02/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE0097. Date of Maturity 24/02/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE0099. Date of Maturity 04/03/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE0103. Date of Maturity 03/04/2014
INE144H07BQ4
INE144H07895
INE144H07903
INE144H07BV4
INE144H07911
INE144H07929
INE144H07952
INE144H07CF5
INE144H07CI9
INE144H07AD4
INE144H07994
INE144H07AB8
INE144H07AH5
INE144H07AC6
Nifty Linked Secured Non-Convertible Debenture. Series- GE0100. Date of Maturity 10/03/2014 Nifty Linked Secured Non Convertible Debentures.Series :GE0044.Date of Maturity: 12/03/2014 Nifty Linked Secured Non Convertible Debentures.Series :GE0047.Date of Maturity: 12/03/2014 Nifty Linked Secured Non Convertible Debentures.Series :GE0059.Date of Maturity: 08/04/2014 Nifty Linked Secured Non Convertible Debentures.Series :GE0060.Date of Maturity: 08/04/2014 Nifty Linked Secured Non-Convertible Debenture.Series- GE0122. Date of Maturity 15/04/2014 Nifty Linked Secured Non-Convertible Debenture.Series- GE0123. Date of Maturity 20/08/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE- 0131.Date of Maturity 20/08/2014 Nifty Linked Secured Non-Convertible Debenture.Series- GE0124. Date of Maturity 21/08/2014 Nifty Linked Secured Non-Convertible Debenture.Series- GE- 0126. Date of Maturity 28/08/2014 Nifty Linked Secured Non-Convertible Debenture.Series- GE- 0127. Date of Maturity 01/09/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE 0129. Date of Maturity 04/09/2014 Nifty Linked Secured Non -Convertible Debenture. Series- GE 0130. Date of Maturity 22/09/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE- 0134.Date of Maturity 29/09/2014
INE144H07481
INE144H07499
INE144H07523
INE144H07531
INE144H07AY0
INE144H07AZ7
INE144H07BH3
INE144H07BA8
INE144H07BC4
INE144H07BD2
INE144H07BF7
INE144H07BG5
INE144H07BJ9
INE144H07BM3
Nifty Linked Secured Non-Convertible Debenture. Series- GE- 0140. Date of Maturity 24/11/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE-0144. Date of Maturity 02/12/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE-0147. Date of Maturity 03/12/2014 Nifty linked Secured Non-Convertible Debenture. Series - GE0153. Date of Maturity 08/12/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE 0141. Date of Maturity 22/12/2014 Nifty linked Secured Non-Convertible Debenture. Series - GE0151. Date of Maturity 30/12/2014. Nifty linked Secured Non-Convertible Debenture. Series - GE0155. Date of Maturity 20/02/2015 Nifty Linked Secured Non-Convertible Debenture. Series- GE 0156. Date of Maturity 23/02/2015 Nifty Linked Secured Non-Convertible Debenture. Series- GE-0143.Date of Maturity 11/05/2015 Nifty Linked Secured Non-Convertible Debenture. Series - GE0111. Date of Maturity 21/08/2012 Nifty Linked Secured Non-Convertible Debenture. Series- GE0120. Date of Maturity 17/04/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE0119. Date of Maturity 28/06/2013 Nifty Linked Secured Non-Convertible Debenture. Series- GE0109. Date of Maturity 03/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE0108. Date of Maturity 26/05/2014
INE144H07BN1
INE144H07BO9
INE144H07CD0
INE144H07BW2
INE144H07CA6
INE144H07CE8
INE144H07CH1
INE144H07BR2
INE144H07AN3
INE144H07AV6
INE144H07AW4
INE144H07AL7
INE144H07AK9
INE144H07AO1
Nifty Linked Secured Non-Convertible Debenture. Series- GE 0112. Date of Maturity 23/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE 0114. Date of Maturity 23/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE 0113. Date of Maturity 23/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series - GE0117. Date of Maturity 10/07/2014 Nifty Linked Secured Non-Convertible Debenture. Series - GE0117. Date of Maturity 10/07/2014 Nifty Linked Secured Non-Convertible Debenture. Series - GE0118. Date of Maturity 11/07/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE 0121. Date of Maturity 31/07/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE0110.Date of Maturity 12/05/2014 Nifty Linked Secured Non-Convertible Debenture. Series- GE0107. Date of Maturity 18/10/2012 Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series - L/042. Date of Maturity 30/08/2012 Zero Cupon Secured Non-Convertible Debenture. Letter of Allotment. Series - L/044. Date of Maturity 20/09/2012 9.97% Unsecured Non Convertible Debentures. Letter of Allotment. Date of Maturity : 29/04/2016 10.10% Unsecured Non Convertible Debentures. Letter of Allotment. Date of Maturity : 14/10/2016 10.10% Unsecured Non Convertible Debentures. Letter of Allotment. Date of Maturity : 10/11/2016
INE144H07AQ6
INE144H07AP8
INE144H07AT0
INE144H07AT0
INE144H07AU8
INE144H07AX2
INE144H07AM5
INE144H07AJ1
DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED)
INE564G07409
INE564G07425
INE564G08050
INE564G08068
INE564G08076
DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) DEVELOPMENT CREDIT BANK LTD
INE564G07334
9.80% Secured Non Convertible Redeemable Debentures Letter of Allotment. Date of Maturity : 13/11/2019 9.97% Unsecured Non Convertible Debentures. Letter of Allotment. Date of Maturity : 08/01/2020 9.97% Unsecured Non Convertible Debentures. Letter of Allotment. Date of Maturity : 15/01/2020 9.80% Unsecured Non Convertible Debentures. Sub Debt - DPHFL/007. Letter of Allotment. Date of Maturity : 21/02/2020 9.85% Unsecured Non Convertible Debentures. Sub Debt - DPHFL/008. Letter of Allotment. Date of Maturity : 27/04/2020 9.40% Secured Redeemable NonConvertible Debenture. Letter of Allotment. Series - NCD - DPHF/L/041. Date of Maturity 16/08/2020 9.40% Secured Non-Convertible Debenture. Letter of Allotment. SeriesL/043. Date of Maturity 15/09/2020 11.35% Unsecured Non Convertible Debentures. Letter of Allotment. Date of Maturity : 23/10/2023. 11.25% Unsecured Redeemable NonConvertible Subordinated Lower Tier II Bonds in the nature of Promissory Notes.Series IV Letter of Allotment . Date of Maturity : 30/04/2015 11.00% Unsecured Redeemable NonConvertible Subordinated Debenture. Series- II (10-11) Date of Maturity 31/03/2021 10.35% Secured Redeemable Non Convertible Debentures. Date of Maturity: 28.09.2012 7.95% Secured Redeemable Non Convertible debentures in the form of Separately Transferable Redeemable Principal Parts (STRPP's). Series - I. Letter of Allotment.Date of Maturity: 8.00% Unsecured Non Convertible Subordinated debentures. Tier II. Date of Maturity: 28/12/2012 7.95% Secured Redeemable Non Convertible debentures.in the form of Separately Transferable Redeemable Principal Parts (STRPP's). Series II.Letter of Allotment. Date of
INE564G08084
INE564G08092
INE564G08100
INE564G08118
INE564G07391
INE564G07417
INE564G08043
INE503A09067
INE202B07357
INE202B07472
INE202B08116
INE202B07480
INE202B07373
9.90% Secured Redeemable Non Convertible debentures. Date of Maturity: 27/03/2013. 7.95% Secured Redeemable Non Convertible debentures. in the form of Separately Transferable Redeemable Principal Parts (STRPP's). Series - III Letter of Allotment. Date of Maturity: 10.20% Secured Redeemable Non Convertible debentures. Date of Maturity: 15/06/2013. 10.80% Secured Redeemable Non Convertible debentures. Date of Maturity: 08/07/2013. 9.60 % Unsecured Redeemable Non Convertible debentures. Date of Maturity: 17/08/2013 9.60 % Unsecured Redeemable Non Convertible debentures. Date of Maturity: 23/08/2013 9.40 % Secured Redeemable Non Convertible debentures. Date of Maturity: 12.10.2013 10.55 % Secured Redeemable Non Convertible debentures.Letter of Allotment.Date of Maturity: 16.05.2014 11.00% Secured Non-Convertible Debenture.Date of Maturity 29/07/2014 11%Secured Non-Convertible Debenture. Date of Maturity 12/08/2014 9.57% Secured Redeemable Non Convertible debentures. Date of Maturity: 14/09/2014. 9.95% Secured Redeemable Non Convertible debentures. Date of Maturity: 27/03/2015. 10.25% Secured Redeemable Non Convertible debentures. Date of Maturity: 15/06/2015. 10.9% Secured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity 29/06/2015
INE202B07498
INE202B07407
INE202B07423
INE202B08181
INE202B08199
INE202B07290
INE202B07324
INE202B07514
INE202B07548
INE202B07464
INE202B07381
INE202B07415
INE202B07571
INE202B07522
11.15% Secured Non-Convertible Debenture.Date of Maturity 29/07/2016 9.50 % Secured Redeemable Non Convertible debentures. Date of Maturity: 11.10.2016 11% Secured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity 29/06/2017 10% Unsecured Redeemable NonConvertible Subordinated Debenture. Series- I (10-11) Date of Maturity 24/09/2017 RESET RATE SECURED, REDEEMABLE, NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 01/08/2019. 10.05% Secured Redeemable Non Convertible debentures. Date of Maturity: 14/09/2019 9.70% Secured Non-Convertible Debenture. Letter of Allotment .Date of Maturity 21/10/2020 10.40% Unsecured Redeemable NonConvertible Subordinated Debenture. Series- I (10-11) Date of Maturity 24/11/2020 11.00% Secured Non-Convertible Debenture.Date of Maturity 29/07/2021 11% Secured Non-Convertible Debenture. Date of Maturity 12/08/2021 10.65% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 21/09/2021 11% Unsecured Non-Convertible Debenture. Series- 5. Date of Maturity 27/03/2022 11% Secured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity 29/06/2022 Reset rate Unsecured, Subordinated, Perpetual Hybrid Securities in the form of Non-Convertible Debenture.Letter of Allotment.
INE202B07308
INE202B07589
INE202B08355
INE202B07605
INE202B07456
INE202B07506
INE202B08363
INE202B07530
INE202B07555
INE202B07563
INE202B08405
INE202B07597
INE202B08389
INE202B08397
Reset rate Unsecured,Subordinated, Perpetual Hybrid Securities in the form of Non-Convertible Debenture. 11.5 % Secured Non Convertible Debenture, Date of final Redemption: 17/03/2018 11.90% Unsecured Redeemable Non Convertible Subordinated bonds in the nature of Debentures. Series XA. Letter of Allotment. Date of Maturity: 29/04/2018 11.90% Unsecured Redeemable Non Convertible Subordinated Bonds in the nature of Debentures. Series XI A. Letter of Allotment. Date of Maturity: 03/05/2018 11.95% Unsecured Reddemable Non Convertible Subordinated Bonds in the nature of Debentures. Series XB. Letter of Allotment. Date of Maturity: 29/05/2019 11.95% Unsecured Redeemable Non Convertible Subordinated Bonds in the nature of Debentures. Series XI B. Letter of Allotment. Date of Maturity: 03/08/2019 11.15% Secured Listed, Rated, NonConvertible Debenture. Date of Maturity 31/12/2017 Zero Coupon Secured Non-Convertible Debenture. Date of Maturity 28/09/2012 12.35% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs Series- IV. Date of Maturity 29/09/2014 12.00% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs Series- VIII. Date of Maturity 30/09/2014 12.25% Secured Non-Convertible Debenture in the form of STRPPsSeries XII Letter of Allotment.Date of Maturity 30/09/2014 12.50% Secured Non-Convertible Debenture in the form of STRPPs. Letter of Allotment., Series-XVI. Date of Maturity 01/12/2014 12.75% Secured Non-Convertible Debenture in the form of STRPPs. Letter of Allotment., Series-XX. Date of Maturity 01/12/2014 12.35% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs Series- V. Date of Maturity 29/03/2015
INE202B07084
INE680A09030
INE680A09055
INE680A09048
INE680A09063
INE818L07011
INE036M07067
INE989C07050
INE989C07092
INE989C07134
INE989C07175
INE989C07217
INE989C07068
INE989C07100
12.00% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs Series- IX. Date of Maturity 30/03/2015 12.25% Secured Non-Convertible Debenture in the form of STRPPsSeries XIII Letter of Allotment.Date of Maturity 30/03/2015 12.50% Secured Non-Convertible Debenture in the form of STRPPs. Letter of Allotment., Series-XVII. Date of Maturity 01/06/2015 12.75% Secured Non-Convertible Debenture in the form of STRPPs. Letter of Allotment., Series-XXI. Date of Maturity 01/06/2015 12.35% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs Series- VI. Date of Maturity 29/09/2015 12.00% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs Series- X. Date of Maturity 30/09/2015 12.25% Secured Non-Convertible Debenture in the form of STRPPsSeries XIV Letter of Allotment.Date of Maturity 30/09/2015 12.50% Secured Non-Convertible Debenture in the form of STRPPs. Letter of Allotment., Series-XVIII. Date of Maturity 01/12/2015 12.75% Secured Non-Convertible Debenture in the form of STRPPs. Letter of Allotment., Series-XXII. Date of Maturity 01/12/2015 12.25% Secured Non-Convertible Debenture. Letter of Allotment. STRPP, Series- I. Date of Maturity 21/03/2016 12.35% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs Series- VII. Date of Maturity 29/03/2016 12.00% Secured Non-Convertible Debenture.Letter of Allotment. STRPPs Series- XI. Date of Maturity 30/03/2016 12.25% Secured Non-Convertible Debenture in the form of STRPPsSeries XV Letter of Allotment.Date of Maturity 30/03/2016 12.50% Secured Non-Convertible Debenture in the form of STRPPs. Letter of Allotment., Series-XIX. Date of Maturity 01/06/2016
INE989C07142
INE989C07183
INE989C07225
INE989C07076
INE989C07118
INE989C07159
INE989C07191
INE989C07233
INE989C07027
INE989C07084
INE989C07126
INE989C07167
INE989C07209
INE989C07241
12.75% Secured Non-Convertible Debenture in the form of STRPPs. Letter of Allotment., Series-XXIII. Date of Maturity 01/06/2016 12.25% Secured Non-Convertible Debenture. Letter of Allotment. STRPP, Series- II. Date of Maturity 21/03/2017 12.25% Secured Non-Convertible Debenture. Letter of Allotment. STRPP, Series-III. Date of Maturity 21/03/2018 10.35% Secured Redeemable Non Convertible Debentures in the form of Separately Transferable Redeemable Principal Parts (STRPPs) - Series - I Letter of Allotment. Date of Maturity : 9.65% Secured Redeemable Non Convertible Debentures in the form of Separately Transferable Redeemable Principal Parts (STRPPs) - Series - I Letter of Allotment. Date of Maturity : 10.35% Secured Redeemable Non Convertible Debentures in the form of Separately Transferable Redeemable Principal Parts (STRPPs) - Series - II Letter of Allotment. Date of Maturity : 9.65% Secured Redeemable Non Convertible Debentures in the form of Separately Transferable Redeemable Principal Parts (STRPPs) - Series - II Letter of Allotment. Date of Maturity : 10.35% Secured Redeemable Non Convertible Debentures in the form of Separately Transferable Redeemable Principal Parts (STRPPs) - Series - III Letter of Allotment. Date of Maturity : 10.35% Secured Redeemable Non Convertible Debentures in the form of Separately Transferable Redeemable Principal Parts (STRPPs) - Series - IV Letter of Allotment. Date of Maturity : ZERO COUPON COMPULSORY CONVERTIBLE DEBENTURES. DATE OF CONVERSION: 28.03.2019 10.24% Secured Non Convertible Debenture.Letter of allotment.Date of Maturity : 18/11/2012 10.50% Secured Non Convertible Debenture.Letter of allotment.Date of Maturity : 17/02/2013 10.24% Secured Non Convertible Debenture.Letter of allotment.Date of Maturity : 18/02/2013 10.24% Secured Non Convertible Debenture.Letter of allotment.Date of Maturity : 18/05/2013
INE989C07035
INE989C07043
INE353G07019
INE353G07050
INE353G07027
INE353G07068
INE353G07035
INE353G07043
INE673N08014
INE271C07061
INE271C07053
INE271C07079
INE271C07087
INE271C07012
13.70% Secured Non Convertible Debenture.Letter of Allotment.Date of Maturity : 18/08/2013 14.00% Secured Non Convertible Debenture.Date of Maturity : 29/01/2014 10.75% Secured Non-Convertible Bond, Date of Maturity 03/11/2016
INE271C07038
INE089A08051
9.25% Unsecured Non-Convertible Debenture.Date of Maturity 24/03/2014 Index Linked Secured Non-Convertible Debenture 2011 Series -D. Letter of Allotment. Date of Maturity 27/08/2012 Secured Non-Convertible Principal Protected Debenture.2011 Series-C. Letter of Allotment. Date of Maturity 10/09/2013. Index Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 10/03/2013.Series E. Index Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 10/05/2013.Series C. Index Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 21/01/2014 Index Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 28/01/2014
INE090H07LJ3
INE090H07LI5
INE090H07LE4
INE090H07LD6
INE090H07LB0
INE090H07LC8
INE090H07LF1
Index Linked Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 23/04/2014.Series D. Index Linked Secured Non-Convertible Principal Protected Debenture.2011 Series-B. Letter of Allotment. Date of Maturity 12/08/2014. Index Linked Secured Redeemable NonConvertible Debenture. Letter of Allotment. Date of Maturity 14/09/2015 Index Linked Secured Redeemable NonConvertible Debenture. Letter of Allotment. Series 2012 - A Date of Maturity 31/07/2015 8.65% Secured Redeemable Non Convertible Debenture.Letter of Allotment. Date of Maturity : 04/09/2012 10.25% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 11/07/2014 10.40% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 04/01/2015 9.40% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 26/01/2014 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - D2E003) Date of Maturity : 14/08/2012 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - E2E002) Date of Maturity : 21/08/2012 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - D2E001) Date of Maturity : 31/08/2012 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - E2E001) Date of Maturity : 31/08/2012 Nifty Linked Secured Non-Convertible Debenture. Series-G1E101. Date of Maturity 31/08/2012 7.635% Secured Non Convertible Debenture.Tranche - III.Date of Maturity : 05/09/2012.
INE090H07LH7
INE090H07LL9
INE090H07LK1
INE126A07160
INE126A07194
INE126A07202
INE126A07186
INE804I07256
INE804I07223
INE804I07264
INE804I07272
INE804I07BC1
INE804I07066
INE804I07BF4
Nifty Linked Secured Non-Convertible Debenture. Series- F2H101. Date of Maturity 21/09/2012 Nifty Linked Secured Non-Convertible Debenture. Series- H2F101. Date of Maturity 24/09/2012 Nifty Linked Secured Non-Convertible Debenture. Series - D2B101. Date of Maturity 10/08/2012. Nifty Linked Secured Non-Convertible Debenture. Series - G2J001. Date of Maturity 10/11/2012 Nifty Linked Secured Non-Convertible Debenture. Series- J2H101. Date of Maturity 12/11/2012 NIfty Linked Secured Non-Convertible Debenture.Series- J2G101. Date of Maturity 19/11/2012 Nifty Linked Secured Non-Convertible Debenture. Series- J2G102.Date of Maturity 27/11/2012 Nifty Linked Secured Non-Convertible Debenture. Series- J2G103. Date of Maturity 29/11/2012 Commodity Linked (Gold) Secured NonConvertible Debenture. Series H2H001. Date of Maturity 03/12/2012 Variable -Linked to CNX Bank Index Secured Non-Convertible Debenture. Series - H2I003 Date of Maturity 03/12/2012 Nifty Linked Secured Non-Convertible Debenture.Series- H2K101. Date of Maturity 13/12/2012 Commodity Linked (Gold) Secured NonConvertible Debenture. Series- I2I005. Date of Maturity 21/12/2012 Commodity Linked (Gold) Secured NonConvertible Debenture. Series - I2I006. Date of Maturity 27/12/2012 Nifty Linked Secured Non-convertible Debenture. Series- I2I004. Date of Maturity 31/12/2012
INE804I07BG2
INE804I07926
INE804I07371
INE804I07CC9
INE804I07BP3
INE804I07BT5
INE804I07BX7
INE804I07421
INE804I07447
INE804I07CS5
INE804I07470
INE804I07504
INE804I07546
INE804I07728
Nifty Linked Secured Non-Convertible Debenture. Series - K2L001. Date of Maturity 01/03/2013 Nifty Linked Secured Non-Convertible Debenture. Series - L2H101. Date of Maturity 07/01/2013 Nifty Linked Secured Non-Convertible Debenture. Series- I2I003. Date of Maturity 08/01/2013 Nifty Linked Secured Non-Convertible Debenture. Series- I2I002. Date of Maturity 08/01/2013 Nifty Linked Secured Non-Convertible Debenture.Series- L2G101. Date of Maturity 11/01/2013 Nifty Linked Secured Non-Convertible Debenture. Series- J2J002. Date of Maturity 15/01/2013 Nifty Linked Secured Non-Convertible Debenture.Series- J2L101. Date of Maturity 18/01/2013 Nifty Linked Secured Non-Convertible Debenture. Series- L2J101. Date of Maturity 21/01/2013 Nifty Linked Secured Non-Convertible Debenture, Series- J2J001. Date of Maturity 29/01/2013 Nifty Linked Secured Non-Convertible Debenture. Series- A3G101. Date of Maturity 08/02/2013 Nifty Linked Secured Non-Convertible Debenture.Series- A3H101. Date of Maturity 12/02/2013 Nifty Linked Secured Non-Convertible Debenture.Series- K2H101. Date of Maturity 25/02/2013 Nifty Linked Secured Non-Convertible Debenture. Series - K2K001. Date of Maturity 28/02/2013 Nifty Linked Secured Non-Convertible Debenture. Series - A3H102. Date of Maturity 28/02/2013
INE804I07CQ9
INE804I07512
INE804I07520
INE804I07BN8
INE804I07587
INE804I07DI4
INE804I07DC7
INE804I07611
INE804I07BU3
INE804I07CB1
INE804I07CJ4
INE804I07694
INE804I07CO4
INE804I07017
7.635% Secured Non Convertible Debenture.Date of Maturity : 05/03/2013 Nifty Linked Secured Non-Convertible Debenture. Series- B3C101. Date of Maturity 03/06/2013 Nifty Linked Secured Non-Convertible Debenture. Series-L2I101.Date of Maturity 20/03/2013 Nifty Linked Secured Non-Convertible Debenture. Series- L2I103. Date of Maturity 29/03/2013 Nifty Linked Secured Non-Convertible Debenture. Series- B3L102. Date of Maturity 09/04/2013 Nifty Linked Secured Non-Convertible Debenture. Series- K3A101. Date of Maturity 29/04/2013 Nifty Linked Secured Non-Convertible Debenture. Series- C3L101. Date of Maturity 29/04/2013 Nifty Linked Secured Non-Convertible Debenture. Series- L2A101. Date of Maturity 01/05/2013 Nifty Linked Secured Non-Convertible Debenture. Series- D3A201. Date of Maturity 13/05/2013 Nifty Linked Secured Non-Convertible Debenture.Series- D3L101. Date of Maturity 22/05/2013 Nifty Linked Secured Non-Convertible Debenture. Series- D3A203. Date of Maturity 22/05/2013 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - B3B001) Date of Maturity : 24/05/2013 Nifty Linked Secured Non-Convertible Debenture. Series- D3L102. Date of Maturity 27/05/2013 Nifty Linked Secured Non-Convertible Debenture. Series- D3L103. Date of Maturity 28/05/2013
INE804I07983
INE804I07CU1
INE804I07CX5
INE804I07DQ7
INE804I07884
INE804I07DX3
INE804I07EK8
INE804I07EG6
INE804I07DO2
INE804I07EL6
INE804I07025
INE804I07DT1
INE804I07DU9
INE804I07EP7
Nifty Linked Secured Non-Convertible Debenture. Series- D3B201. Date of Maturity 31/05/2013 Nifty Linked Secured Non-Convertible Debenture. Series - K2L002. Date of Maturity 06/03/2013 Nifty Linked Secured Non-Convertible Debenture. Series- B3F101. Date of Maturity 10/06/2013 10.60% Secured Non-Convertible Debenture. Letter of Allotment Date of Maturity 12/06/2013 Nifty Linked Secured Non-Convertible Debenture. Series- B3B201. Date of Maturity 21/06/2013 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - C3C002) Date of Maturity : 26/06/2013 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - D3E001) Date of Maturity : 07/08/2013 Nifty Linked Secured Non Convertible Debentures. Series C3D201. Date of Maturity 15/07/2013 Nifty Linked Secured Non-Convertible Debenture. Series-G3C201. Date of Maturity 22/07/2013 Nifty Linked Secured Non Convertible Redeemable Debentures (Disclosure Document Series F3D201) Date of Maturity: 26/07/2013 Nifty Linked Secured Non Convertible Redeemable Debentures (Disclosure Document Series D3D204) Date of Maturity: 26/07/2013 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - D3D001) Date of Maturity : 29/07/2013 Nifty Linked Secured Non-Convertible Debenture. Series- D3D101. Date of Maturity 29/07/2013 Nifty Linked Secured Non-Convertible Debenture. Series- F3B201. Date of Maturity 29/07/2013
INE804I07702
INE804I07BD9
INE804I07ED3
INE804I07FA6
INE804I07082
INE804I07181
INE804I07FL3
INE804I07FE8
INE804I07FN9
INE804I07FO7
INE804I07108
INE804I07AS9
INE804I07EX1
INE804I07FP4
Nifty Linked Secured Non Convertible Debenture. Series D3D201. Date of Maturity 30/07/2013 Nifty Linked Secured Non Convertible Debenture. Series D3D202. Date of Maturity 02/08/2013 Nifty Linked Secured Non Convertible Debenture. Series D3D203. Date of Maturity 02/08/2013 Nifty Linked Secured Non-Convertible Debenture. Series- K2L003. Date of Maturity 08/03/2013 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - D3E004) Date of Maturity : 05/08/2013 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - D3D002) Date of Maturity : 05/08/2013 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - D3E005) Date of Maturity : 06/08/2013 Nifty Linked Secured Redeemable NonConvertible Debenture. (Disclosure Document Series - E3E001) Date of Maturity 28/08/2013. NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE D3E201.DATE OF MATURITY 02/09/2013 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURES E3E202.DATE OF MATURITY 02/09/2013 NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES G3F201. DATE OF MATURITY 06/09/2013 Nifty Linked Secured Non-Convertible Debenture. Series- G3H102. Date of Maturity 09/09/2013 Nifty Linked Secured Redeemable NonConvertible Debenture. (Disclosure Document Series - E3E003) Date of Maturity 09/10/2013. Nifty Linked Secured Non-Convertible Debenture. Series- H3B201. Date of Maturity 12/09/2013
INE804I07FJ7
INE804I07FK5
INE804I07736
INE804I07157
INE804I07165
INE804I07173
INE804I07298
INE804I07FS8
INE804I07FT6
INE804I07GC0
INE804I07BY5
INE804I07280
INE804I07EQ5
INE804I07FR0
NIFTY LINKED SECURED NONCONVERTIBLE DEBENTURES SERIES I2E201. DATE OF MATURITY 17.09.2013 Nifty Linked Secured Non-Convertible Debenture. Series- H3C201. Date of Maturity 20/09/2013 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE. DATE OF MATURITY : 23/09/2013 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - D3E003) Date of Maturity : 25/09/2013 Nifty Linked Secured Non Convertible Debenture. Series F3F001. Date of Maturity 30/09/2013 Nifty Linked Secured Non-Convertible Debenture. Series- F3F101. Date of Maturity 30/09/2013 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE. SERIES E3E201. DATE OF MATURITY 30/09/2013 NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES H3F201. DATE OF MATURITY 30/09/2013 NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I2F201. DATE OF MATURITY 07/10/2013 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - D3E006) Date of Maturity : 10/09/2013 Nifty Linked Secured Non Convertible Debenture.(Disclosure Document Series - D3E002) Date of Maturity : 10/09/2013 14.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES J3F201. DATE OF MATURITY 14/10/2013 NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E3F201. DATE OF MATURITY 14/10/2013 Nifty Linked Secured Non-Convertible Debenture. Series - G3G001. Date of Maturity 26/10/2013
INE804I07EW3
INE804I07FU4
INE804I07231
INE804I07306
INE804I07BH0
INE804I07FY6
INE804I07GJ5
INE804I07GB2
INE804I07199
INE804I07207
INE804I07GF3
INE804I07GK3
INE804I07330
INE804I07314
Nifty Linked Secured Non-Convertible Debenture. Series- G3I002. Date of Maturity 15/11/2013 Nifty Linked Secured Non-Convertible Debenture. Series- G3I001. Date of Maturity 19/11/2013 Nifty Linked Secured Non-Convertible debenture.Series - F3G001. Date of Maturity 21/11/2013 Nifty Linked Secured Non-Convertible debenture.Series - G3G003. Date of Maturity 23/11/2013 Nifty Linked Secured Non-Convertible Debenture. Series - G3G002 Date of Maturity 30/11/2013 Nifty Linked Secured Non-Convertible Debenture.Series- H3I101. Date of Maturity 02/12/2013 Nifty Linked Secured Non-Convertible Debenture. Series - H3J001. Date of Maturity 03/12/2013 Nifty Linked Secured Non-Convertible Debenture. Series - G3H001. Date of Maturity 09/12/2013 11.50% Secured Non-Convertible Debenture. Letter of Allotment Date of Maturity 18/12/2013 Nifty Linked Secured Non-Convertible Debenture. Series- I3K001. Date of Maturity 20/12/2013 17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES L3F201. DATE OF MATURITY 23/12/2013 Nifty Linked Secured Non-Convertible Debenture. Series - H3K001. Date of Maturity 27/12/2013 Nifty Linked Secured Non-Convertible Debenture. Series - H3H001. Date of Maturity 30/12/2013 17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES L3F203. DATE OF MATURITY 30/12/2013
INE804I07322
INE804I07355
INE804I07348
INE804I07363
INE804I07CN6
INE804I07439
INE804I07389
INE804I07DW5
INE804I07462
INE804I07GH9
INE804I07496
INE804I07413
INE804I07GL1
INE804I07405
CNX Bank Index Linked Secured NonConvertible Debenture. Series H3H003. Date of Maturity 31/12/2013 17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A4G201. DATE OF MATURITY 06/01/2014 Nifty Linked Secured Non-Convertible Debenture. Series - H3H002. Date of Maturity 09/01/2014 ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A4G203. DATE OF MATURITY 17/01/2014. Nifty Linked Secured Non-Convertible Debenture.Series- J3J102. Date of Maturity 20/01/2014 Nifty Linked Secured Non-Convertible Debenture.Series- L3J102. Date of Maturity 20/01/2014 Nifty Linked Secured Non-Convertible Debenture.Series- L3J103. Date of Maturity 20/01/2014 Nifty Linked Secured Non-Convertible Debenture.Series- J3J101. Date of Maturity 20/01/2014 Nifty Linked Secured Non-Convertible Debenture. Series- I3I001. Date of Maturity 29/01/2014 Commodity Linked Secured NonConvertible Debenture. Series- I3I002. Date of Maturity 30/01/2014 Nifty Linked Secured Non-Convertible Debenture. Series- I3J001. Date of Maturity 03/02/2014 Commodity Linked (Gold) Secured NonConvertible Debenture. Series- J3J002. Date of Maturity 14/02/2014 Nifty Linked Secured Non-Convertible Debenture. Series - K3K005. Date of Maturity 19/02/2014 Commodity Linked (Gold) Secured NonConvertible Debenture, Series- J3J003. Date of Maturity 21/02/2014
INE804I07GR8
INE804I07454
INE804I07GW8
INE804I07DH6
INE804I07DJ2
INE804I07DL8
INE804I07DK0
INE804I07553
INE804I07538
INE804I07561
INE804I07579
INE804I07652
INE804I07603
INE804I07645
Nifty Linked Secured Non-Convertible Debenture. Series - K3K006. Date of Maturity 24/02/2014 Nifty Linked Secured Non-Convertible Debenture. Series - K3K002. Date of Maturity 24/02/2014 Nifty Linked Secured Non-Convertible Debenture, Series- J3J001. Date of Maturity 28/02/2014 Commodity Linked (Gold) Secured Non-Convertible Debenture, SeriesJ3J004. Date of Maturity 28/02/2014 Nifty Linked Secured Non-Convertible Debenture. Series- K3K003. Date of Maturity 28/02/2014 Commodity Linked (Gold) Secured NonConvertible Debenture. SeriesK3K007. Date of Maturity 31/03/2014 Commodity Linked Secured NonConvertible Debenture. SeriesC4F101. Date of Maturity 04/08/2014 Nifty Linked Secured Non-Convertible Debenture. Series- L3L101. Date of Maturity 14/04/2014 Commodity Linked Secured NonConvertible Debenture. SeriesK3A001. Date of Maturity 21/04/2014 Commodity Linked Secured NonConvertible Debenture. SeriesK3A002. Date of Maturity 22/04/2014 Commodity Linked (Silver) Secured Non-Convertible Debenture. SeriesL3L001. Date of Maturity 24/04/2014 Nifty Linked Secured Non-Convertible Debenture. Series- L3A001. Date of Maturity 25/04/2014 Nifty Linked Secured Non-Convertible Debenture. Series- A4C001. Date of Maturity 21/05/2014 Nifty Linked Secured Non-Convertible Debenture. Series- A4F101. Date of Maturity 21/05/2014
INE804I07660
INE804I07595
INE804I07629
INE804I07686
INE804I07678
INE804I07918
INE804I07EF8
INE804I07793
INE804I07801
INE804I07785
INE804I07876
INE804I07850
INE804I07868
INE804I07637
Nifty Linked Secured Non-Convertible Debenture. Series - A4A001. Date of Maturity 23/05/2014 Nifty Linked Secured Non-Convertible Debenture. Series- B4B102. Date of Maturity 26/05/2014 Commodity Linked (Silver) Secured Non-Convertible Debenture.SeriesA4J101. Date of Maturity 28/05/2014 Nifty Linked Secured Non-Convertible Debenture.Series- D4D102. Date of Maturity 29/05/2014 Nifty Linked Secured Non-Convertible Debenture. Series- A4C101. Date of Maturity 30/05/2014 Nifty Linked Secured Non-Convertible Debenture. Series- A4A002. Date of Maturity 06/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series-D4E102. Date of Maturity 06/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series-B4C103. Date of Maturity 11/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series- A4A003. Date of Maturity 16/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series- E4E105. Date of Maturity 19/06/2014 23.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F4F201. DATE OF MATURITY 19/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series- B4D102. Date of Maturity 20/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series-E4E106.Date of Maturity 20/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series-E4E101.Date of Maturity 20/06/2014
INE804I07975
INE804I07892
INE804I07AT7
INE804I07900
INE804I07751
INE804I07AU5
INE804I07AD1
INE804I07769
INE804I07AW1
INE804I07GE6
INE804I07934
INE804I07AX9
INE804I07AV3
INE804I07777
Nifty Linked Secured Non-Convertible Debenture. Series- B4A001. Date of Maturity 23/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series-E4E104. Date of Maturity 23/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series-E4E107. Date of Maturity 27/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series- C4C101. Date of Maturity 30/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series-E4E102. Date of Maturity 30/06/2014 23.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F4F202. DATE OF MATURITY 30/06/2014 Nifty Linked Secured Non-Convertible Debenture. Series - K3L001. Date of Maturity 07/03/2014 Nifty Linked Secured Non-Convertible Debenture. Series- K3L002. Date of Maturity 07/03/2014 Nifty Linked Secured Non-Convertible Debenture. Series - B4C102. Date of Maturity 04/07/2014 Nifty Linked Secured Non-Convertible Debenture. Series - B4C102. Date of Maturity 04/07/2014 Commodity Linked (Silver) Secured Non-Convertible Debenture. Series B4I101. Date of Maturity 07/07/2014 Commodity Linked (Silver) Secured Non-Convertible Debenture. Series B4I101. Date of Maturity 07/07/2014 21.75 % SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F4F203. DATE OF MATURITY 07/07/2014 Commodity Linked (silver) Secured Nonconvertible Debenture. Series- B4E102. Date of Maturity 08/07/2014
INE804I07AY7
INE804I07AZ4
INE804I07AH2
INE804I07BB3
INE804I07GM9
INE804I07710
INE804I07744
INE804I07991
INE804I07991
INE804I07AA7
INE804I07AA7
INE804I07GQ0
INE804I07AB5
INE804I07827
Nifty Linked Secured Non-Convertible Debenture.Series- B4B101. Date of Maturity 14/07/2014 Nifty Linked Secured Non-Convertible Debenture. Series- C4D102. Date of Maturity 15/07/2014 Nifty Linked Secured Non-Convertible Debenture. Series-C4B101. Date of Maturity 17/07/2014 Commodity Linked (Gold) Secured NonConvertible Debenture.Series- A4E101. Date of Maturity 29/07/2014 Commodity Linked (Sliver) Secured Non-Convertible Debenture.SeriesC4E102. Date of Maturity 29/07/2014 Nifty Linked Secured Non-Convertible Debenture. Series- D4D106. Date of Maturity 29/07/2014 Nifty Linked Secured Non-Convertible Debenture. Series- F4F102. Date of Maturity 30/07/2014 Nifty Linked Secured Non-Convertible Debenture. Series- F4G102. Date of Maturity 13/08/2014 Nifty Linked Secured Non-Convertible Debenture.Series - C4D101. Date of Maturity 18/08/2014 Nifty Linked Secured Non-Convertible Debenture.Series- D4D104.Date of Maturity 20/08/2014 Nifty Linked Secured Non-Convertible Debenture. Series- G4G104. Date of Maturity 22/08/2014 Nifty Linked Secured Non-Convertible Debenture.Series- D4D107. Date of Maturity 29/08/2014 Nifty Linked Secured Non-Convertible Debenture. Series-E4E109. Date of Maturity 29/08/2014 Nifty Linked Secured Non-Convertible Debenture. Series- G4G109. Date of Maturity 29/08/2014
INE804I07AO8
INE804I07843
INE804I07AI0
INE804I07AJ8
INE804I07AQ3
INE804I07BJ6
INE804I07BO6
INE804I07942
INE804I07AP5
INE804I07BQ1
INE804I07AR1
INE804I07BA5
INE804I07BW9
INE804I07CF2
Nifty Linked Secured Non-Convertible Debenture. Series- G4H102. Date of Maturity 12/09/2014 Nifty Linked Secured Non-Convertible Debenture. Series- H4H103. Date of Maturity 16/09/2014 Nifty Linked Secured Non-Convertible Debenture. Series- H4H107. Date of Maturity 17/09/2014 Nifty Linked Secured Non-Convertible Debenture. Series- G4G105. Date of Maturity 26/09/2014 Nifty Linked Secured Non-Convertible Debenture. Series- G4G108. Date of Maturity 29/09/2014 Nifty Linked Secured Non-Convertible Debenture. Series- F4H101. Date of Maturity 30/09/2014 Commodity Linked (Silver) Secured Non-Convertible Debenture. SeriesC4I101. Date of Maturity 08/10/2014 Nifty Linked Secured Non-Convertible Debenture. Series- E4H102. Date of Maturity 13/10/2014 Nifty Linked Secured Non-Convertible Debenture. Series- H4H110. Date of Maturity 24/10/2014 Nifty Linked Secured Non-Convertible Debenture. Series- G4I101. Date of Maturity 29/10/2014 Nifty Linked Secured Non-Convertible Debenture. Series- F4H102. Date of Maturity 30/10/2014 Nifty Linked Secured Non-Convertible Debenture. Series- F4H103. Date of Maturity 30/10/2014 Nifty Linked Secured Non-Convertible Debenture.Series- F4I101. Date of Maturity 04/11/2014 Nifty Linked Secured Non-Convertible Debenture. Series- I4I101. Date of Maturity 04/11/2014
INE804I07CE5
INE804I07CD7
INE804I07BR9
INE804I07BS7
INE804I07BI8
INE804I07AN0
INE804I07BE7
INE804I07CG0
INE804I07BV1
INE804I07BK4
INE804I07BL2
INE804I07BM0
INE804I07DB9
INE804I07DD5
Nifty Linked Secured Non-Convertible Debenture. Series- I4J103. Date of Maturity 10/11/2014 Nifty Linked Secured Non-Convertible Debenture.Series- H4H109. Date of Maturity 24/11/2014 Nifty Linked Secured Non-Convertible Debenture.Series- G4G101. Date of Maturity 05/12/2014 Nifty Linked Secured Non-Convertible Debenture.Series- G4G102. Date of Maturity 05/12/2014 Nifty Linked Secured Non-Convertible Debenture.Series- H4J101. Date of Maturity 23/12/2014 Nifty Linked Secured Non-Convertible Debenture.Series- H4H105. Date of Maturity 24/12/2014 Nifty Linked Secured Non-Convertible Debenture.Series- H4J102. Date of Maturity 24/12/2014 Nifty Linked Secured Non-Convertible Debenture.Series- H4H114. Date of Maturity 29/12/2014 Nifty Linked Secured Non-Convertible Debenture. Series - H4H112. Date of Maturity 30/12/2014 Nifty Linked Secured Non-Convertible Debenture. Series - H4I101. Date of Maturity 05/01/2015 Nifty Linked Secured Non-Convertible Debenture. Series- J4J102. Date of Maturity 19/01/2015 Nifty Linked Secured Non-Convertible Debenture.Series- J4J104. Date of Maturity 19/01/2015 Nifty Linked Secured Non-Convertible Debenture. Series- L4L106. Date of Maturity 23/01/2015 Nifty Linked Secured Non-Convertible Debenture. Series- I4I104. Date of Maturity 29/01/2015
INE804I07CL0
INE804I07BZ2
INE804I07CA3
INE804I07CH8
INE804I07CI6
INE804I07CK2
INE804I07CM8
INE804I07CP1
INE804I07CR7
INE804I07DG8
INE804I07DM6
INE804I07DZ8
INE804I07CV9
INE804I07CW7
Nifty Linked Secured Non-Convertible Debenture. Series- I4K103. Date of Maturity 29/01/2015 Nifty Linked Secured Non-Convertible Debenture. Series- I4I103. Date of Maturity 30/01/2015 Nifty Linked Secured Non-Convertible Debenture. Series- I4I102. Date of Maturity 30/01/2015 Nifty Linked Secured Non-Convertible Debenture. Series- I4K102. Date of Maturity 04/02/2015 Nifty Linked Secured Non-Convertible Debenture. Series- I4L101. Date of Maturity 10/02/2015 Nifty Linked Secured Non-Convertible Debenture. Series- I4K101. Date of Maturity 11/02/2015 Nifty Linked Secured Non-Convertible Debenture. Series - I4J101. Date of Maturity 16/02/2015 Nifty Linked Secured Non-Convertible Debenture.Series- K4K102. Date of Maturity 02/03/2015 Nifty Linked Secured Non-Convertible Debenture. Series- K4L105. Date of Maturity 05/03/2015 Nifty Linked Secured Non-Convertible Debenture. Series- K4L106. Date of Maturity 09/03/2015 Nifty Linked Secured Non-Convertible Debenture. Series- K4L104. Date of Maturity 09/03/2015 Nifty Linked Secured Non-Convertible Debenture. Series- L4L102. Date of Maturity 30/03/2015 Nifty Linked Secured Non-Convertible Debenture. Series- B5B203. Date of Maturity 30/03/2015 Nifty Linked Secured Non-Convertible Debenture. Series- K4L103. Date of Maturity 02/04/2015
INE804I07CY3
INE804I07CZ0
INE804I07DA1
INE804I07DF0
INE804I07DE3
INE804I07CT3
INE804I07DN4
INE804I07DV7
INE804I07DP9
INE804I07DR5
INE804I07EC5
INE804I07ET9
INE804I07DS3
INE804I07EE1
Nifty Linked Secured Non-Convertible Debenture. Series- L4A103. Date of Maturity 03/04/2015 Monthly fixed coupon rate @0.50% for period from 29/06/2012 to 31/12/2014 & final coupon on redemption date will be paid base on performance of Nifty. Secured Non-Convertible Nifty Linked Secured Non-Convertible Debenture. Series- L4L103. Date of Maturity 29/04/2015 Nifty Linked Secured Non-Convertible Debenture. Series- K4L101. Date of Maturity 30/04/2015 Nifty Linked Secured Non-Convertible Debenture. Series- L4A102. Date of Maturity 13/05/2015 Nifty Linked Secured Non-Convertible Debenture. Series- L4A105. Date of Maturity 18/05/2015 Nifty Linked Secured Non-Convertible Debenture. Series- D5B201. Date of Maturity 18/05/2015 Nifty Linked Secured Non-Convertible Debenture. Series- D5A102. Date of Maturity 18/05/2015 Nifty Linked Secured Non-Convertible Debenture. Series- D5B202. Date of Maturity 25/05/2015 Nifty Linked Secured Non-Convertible Debenture. Series- A5A101. Date of Maturity 01/06/2015 Nifty Linked Secured Non-Convertible Debenture. Series- E5C201. Date of Maturity 22/06/2015 Nifty Linked Secured Non-Convertible Debenture. Series- A5B201. Date of Maturity 23/06/2015 Nifty Linked Secured Non-Convertible Debenture. Series- E5B201. Date of Maturity 29/06/2015 Nifty Linked Secured Non-Convertible Debenture. Series- B5C201. Date of Maturity 06/07/2015
INE804I07EB7
INE804I07DY1
INE804I07EA9
INE804I07EH4
INE804I07EI2
INE804I07EN2
INE804I07EM4
INE804I07EO0
INE804I07EJ0
INE804I07EV5
INE804I07ER3
INE804I07ES1
INE804I07EU7
INE804I07FB4
Nifty Linked Secured Non-Convertible Debenture. Series- F5C204. Date of Maturity 16/07/2015 Nifty Linked Secured Non-Convertible Debenture. Series-F5C202. Date of Maturity 20/07/2015 Nifty Linked Secured Non-Convertible Debenture. Series- C5E201. Date of Maturity 22/07/2015 Nifty Linked Secured Non-Convertible Debenture.Series- F5C203. Date of Maturity 27/07/2015 Nifty Linked Secured Non-Convertible Debenture. Series- F5C201. Date of Maturity 06/08/2015 Nifty Linked Secured Non-Convertible Debenture. Series- B5C202. Date of Maturity 06/08/2015 Nifty Linked Secured Non-Convertible Debenture. Series G5D201, Date of Maturity 20/08/2015 Nifty Linked Secured Non Convertible Redeemable Debentures (Disclosure Document Series C5C201) Date of Maturity: 24/08/2015 Nifty Linked Secured Non-Convertible Debenture. Series-G5C201. Date of Maturity 31/08/2015 Nifty Linked Secured Redeemable NonConvertible Debentures. Series D5G201. Date of Maturity: 08.09.2015 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE. SERIES E5E205. DATE OF MATURITY 29/09/2015 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE. SERIES E5E201. DATE OF MATURITY 30/09/2015 NIFTY LINKED SECURED NON CONVERTIBLE DEBENTURE. SERIES E5E210. DATE OF MATURITY 01/10/2015 NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E5F201. DATE OF MATURITY 05/10/2015.
INE804I07FG3
INE804I07FC2
INE804I07FD0
INE804I07EY9
INE804I07EZ6
INE804I07FI9
INE804I07FM1
INE804I07FF5
INE804I07FQ2
INE804I07FW0
INE804I07FV2
INE804I07FX8
INE804I07FZ3
INE804I07GA4
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E5E202. DATE OF MATURITY 07/10/2015. NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E5F206. DATE OF MATURITY 08/10/2015 SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E5F202. DATE OF MATURITY 15/10/2015. NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F5F201. DATE OF MATURITY 22/10/2015. NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F5H201. DATE OF MATURITY 29/10/2015 NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES H5F201. DATE OF MATURITY 29/10/2015 NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F5F203. DATE OF MATURITY 29/10/2015 NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I5G202. DATE OF MATURITY 06/11/2015 NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F5G201. DATE OF MATURITY 06/11/2015 NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES F5G204. DATE OF MATURITY 10/11/2015. NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES G5G201. DATE OF MATURITY 18/11/2015. NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F5G202. DATE OF MATURITY 23/11/2015 NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES J5G201. DATE OF MATURITY 27/11/2015. NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES J5G203. DATE OF MATURITY 01/12/2015.
INE804I07GD8
INE804I07GI7
INE804I07GG1
INE804I07GP2
INE804I07GN7
INE804I07GO5
INE804I07GU2
INE804I07GS6
INE804I07GZ1
INE804I07GX6
INE804I07GT4
INE804I07HA2
INE804I07GY4
INE804I07GV0
NIFTY LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I5G201. DATE OF MATURITY 04/12/2015. Nifty Linked Secured Non Convertible Debentures .(Term Sheet Note-F2F901) Date of maturity: 25/10/2012 Nifty Linked Secured Non Convertible Debentures .(Term Sheet NoteF2G901) Date of maturity: 06/11/2012 Nifty Linked Secured Non Convertible Debentures .(Series -I2J905) Date of maturity: 06/11/2012 Nifty Linked Secured Non Convertible Debentures .(Term Sheet NoteF2G905) Date of maturity: 08/11/2012 Nifty Linked Secured Non Convertible Debentures .(Term Sheet NoteF2G907) Date of maturity: 16/11/2012 Nifty Linked Secured Non Convertible Debentures .(Term Sheet NoteH2H904) Date of maturity: 28/11/2012 Nifty Linked Secured Non Convertible Debentures .(Term Sheet NoteG2G906) Date of maturity: 30/11/2012 Nifty Linked Secured Non Convertible Debentures .(Term Sheet NoteG2H902) Date of maturity: 03/12/2012 Nifty Linked Secured Non Convertible Debentures .(Term Sheet NoteG2H903) Date of maturity: 03/12/2012 Nifty Linked Secured Non Convertible Debentures .(Term Sheet NoteG2H905) Date of maturity: 14/12/2012 Nifty Linked Secured Non Convertible Debentures .(Term Sheet NoteH2H908) Date of maturity: 26/12/2012 Nifty Linked Secured Non Convertible Debentures .Series-I2J901 Date of maturity: 31/12/2012 Nifty Linked Secured Non Convertible Debentures .(Series -J2K904) Date of maturity: 18/02/2013
INE532F07713
INE532F07747
INE532F07945
INE532F07739
INE532F07770
INE532F07879
INE532F07838
INE532F07820
INE532F07846
INE532F07853
INE532F07861
INE532F07903
INE532F07994
INE532F07AF9
HDFC (Underlying shares) & Nifty Linked Secured Non Convertible Debentures .(Series -J2K911) Date of maturity: 28/02/2013 10.60% Secured Non-Convertible Debenture.Letter of Allotment. Date of Maturity 29/07/2013 12.77778% Unsecured Fully Convertible Debenture. Date of Maturity 21/01/2014 11.12% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 16/04/2013. 10.60% Secured Non-Convertible Debenture.Letter of Allotment. Date of Maturity 12/06/2013 11.00% Rated, Listed, Secured Taxable Redeemable Non-Convertible Debentures. Letter of Allotment. Date of Maturity 08/12/2012 13.40% Secured Rated, Listed,Taxable Non-Convertible Debenture. Letter of Allotment. Date of Maturity 20/12/2016 13.50% Secured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity: 24.05.2019 13.25% Secured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity 20/07/2019 10.75% Secured Redeemable Non Convertible Debentures.Letter of Allotment.Date of Maturity: 23/12/2015 11.25% Secured Non-Convertible Debenture Debenture. Letter of Allotment. Date of Maturity 30/03/2018 Zero Coupon Unsecured Compulsorily Convertible Debentures. Letter of Allotment. Date of Conversion : 03/10/2018 9.15% Secured Non-Convertible Debentures. Date of final redemption:08/02/2013 10.75% Secured Non-Convertible Debenture. Date of Maturity 11/04/2017
INE532F07AK9
INE532F08810
INE532F07AM5
INE532F07AL7
INE216H07016
INE216H07024
INE975A07012
INE975A07020
INE086A07059
INE086A07117
EMAAR MGF LAND LIMITED (FORMERLY INE451H07142 EMAAR MGF LAND PRIVATE LIMITED)
16.5% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 01/09/2014 11.25% Secured Redeemable Non Convertible Debentures. Series 3. Date of Maturity: 31.05.2019 8.80% Secured Non Convertible Debenture.Final Date of Maturity : 15/12/2012 8.80% Secured Non Convertible Debenture.Final Date of Maturity : 15/06/2013 8.80% Secured Non Convertible Debenture.Final Date of Maturity : 15/12/2013 8.80% Secured Non Convertible Debenture.Final Date of Maturity : 15/06/2014 8.80% Secured Non Convertible Debenture.Final Date of Maturity : 15/12/2014 8.80% Secured Non Convertible Debenture.Final Date of Maturity : 15/06/2015 Resat Rate Secured Non-Convertible Debenture. Date of Maturity 31/01/2019 12.50% Secured Redeemable Non Convertible Debenture.Letter of Allotment.Date of Maturity : 23/12/2013 15% Secured Non Convertible Debenture.Date of Maturity: 26/09/2016 12.50% Secured Redeemable Non Convertible Debentures. Final Date of Maturity: 20/09/2013 14.00% Secured Non-Convertible Debenture. Date of Maturity 30/12/2013 11.00% Secured Redeemable Non Convertible Debentures.Series : VII .Letter of allotment. Final Date of Redemption: 24/12/2012
EMAAR MGF LAND LIMITED (FORMERLY INE451H07217 EMAAR MGF LAND PRIVATE LIMITED)
INE177L07046
INE177L07053
INE177L07061
INE177L07079
INE177L07087
INE177L07095
INE003L07010
INE078A07015
INE560L07019
INE560L07035
INE039E07068
ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) ESS DEE ALUMINIUM LIMITED
INE039E07118
11.15% Secured Redeemable Non Convertible Debentures Series - A STRPP- I Letter of Allotment. Dt of Maturity : 12/04/2013 11.15% Secured Redeemable Non Convertible Debentures Series - B STRPP- I. Letter of Allotment. Dt of Maturity : 01/05/2013 11.15% Secured Redeemable Non Convertible Debentures Series - A STRPP- II Letter of Allotment. Dt of Maturity : 12/10/2013 11.15% Secured Redeemable Non Convertible Debentures Series - B STRPP- II. Letter of Allotment. Dt of Maturity : 31/10/2013 13.00% Secured Redeemable Non Convertible Debentures.Letter of allotment. Final Date of Redemption: 24/03/2014 11.15% Secured Redeemable Non Convertible Debentures Series - A STRPP- III Letter of Allotment. Dt of Maturity : 12/04/2014 11.15% Secured Redeemable Non Convertible Debentures Series - B STRPP- III. Letter of Allotment. Dt of Maturity : 01/05/2014 11.25% Secured Redeemable Non Convertible Debentures Letter of Allotment Final Dt of Maturity : 31.07.2014 11.15% Secured Redeemable Non Convertible Debentures Series - A STRPP- IV Letter of Allotment. Dt of Maturity : 12/10/2014 11.15% Secured Redeemable Non Convertible Debentures Series - B STRPP- IV. Letter of Allotment. Dt of Maturity : 31/10/2014 11.15% Secured Redeemable Non Convertible Debentures Letter of Allotment. Dt of Maturity : 27/11/2014 10.50% Secured Redeemable Non Convertible Debentures Letter of Allotment. Dt of Maturity : 20/12/2014 13.00% Secured Redeemable Non Convertible Debentures Letter of Allotment Final Dt of Maturity : 04.06.2016 9.30% Secured Non-Convertible Debenture. Date of Maturity 30/07/2013
INE039E07159
INE039E07126
INE039E07167
INE039E07076
INE039E07134
INE039E07175
INE039E07092
INE039E07142
INE039E07183
INE039E07209
INE039E07191
INE039E07100
INE825H07022
INE825H07014
9.65% Secured Non-Convertible Debenture. Date of Maturity 30/07/2017 9.25 % (Compounded quarterly) Secured Redeemable Non convertible debentures. Final Redemption date: 20.04.2016 12.50% Secured Redeemable Non convertible debentures. Final Date of Redemption: 23.07.2018 11.25% Secured Non Convertible Debentures. Letter of Allotment. Date of Maturity : 31.03.2018 10.25% Secured Non-Convertible, Non Cumulative Debenture. Letter of Allotment. Date of Maturity 31/03/2018 Secured Redeemable Non Convertible Debenture. Date of Maturity : 07/06/2013 13.10% Unsecured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity : 23/06/2017 13.10% Unsecured Redeemable Non Convertible Debentures. Series II Letter of Allotment. Date of Maturity : 28/06/2017 11.35% Secured Non Convertible Debentures. Letter of Allotment. Date of Maturity : 22/06/2019 11.35% Secured Non Convertible Debentures. Letter of Allotment. Date of Maturity : 25/03/2020 8.00% Unsecured Rupee Notes. Date of Final redemption :31.03.2018
INE011A07065
INE011A07073
INE538F07116
INE538F07124
INE214L07013
INE122M08014
INE122M08022
INE282A07039
INE282A07047
INE127A08018
INE127A07234
13.40 % Secured Non Convertible Debentures. Letter of Allotment.Date of Final Redemption: 13/06/2018 13% Secured Non-Convertible Debenture. Date of Maturity 21/03/2013 12.00% Secured Redeemable Non Convertible Debenture.Letter of allotment.Date of Maturity : 06/01/2015
INE098J07022
INE514E09306
7.85% Unsecured Non-Convertible Bonds in the form of Promissory Notes. Series F6. Date of Maturity:11/09/2012 7.30% Unsecured Non-Convertible Bonds in the form of Promissory Notes. Series F9. Date of Maturity:21/11/2012 6.45% Unsecured Non-Convertible Bonds in the form of Promissory Notes. Series F23. Date of Maturity : 15/12/2012 Zero Coupon Unsecured NonConvertible Bonds in the form of Promissory Notes. Series F26. Date of Maturity: 21/01/2013.Letter of Allotment 6.35% Unsecured Non-Convertible Bonds in the form of Promissory Notes. Series G6. 6.35% Unsecured Non-Convertible Bonds in the form of Promissory Notes. Series G8. 6.31% Unsecured Non-Convertible Bonds in the form of Promissory Notes. Series G9. 6.08% Unsecured Non-Convertible Bonds in the form of Promissory Notes. Series G13. 9.35% Unsecured Non-Convertible Bond. Series- N-25. Date of Maturity 17/03/2014 9.38% Unsecured Non-Convertible Bond. Series- N-27. Date of Maturity 22/03/2014 9.20% Unsecured Non-Convertible Bond. Series- N-29. Date of Maturity 06/03/2016 9.02% Unsecured Non-Convertible Bond. Series- N- 22. Date of Maturity 08/02/2016 8.90% Unsecured Non-Convertible Bond. Series- N- 21. Date of Maturity 11/01/2016 8.66% Unsecured Non-Convertible Bonds in the form of Promissory Notes. Series F5. Date of Maturity:05/08/2017
INE514E09330
INE514E09462
INE514E09520
INE514E09587
INE514E09603
INE514E09611
INE514E09645
INE514E08944
INE514E08969
INE514E08985
INE514E08910
INE514E08902
INE514E09298
INE514E09314
8.40% Unsecured Non-Convertible Bonds in the form of Promissory Notes. Series F7. Date of Maturity:12/09/2017. 9.15% Unsecured Non-Convertible Bond. Series- N- 23. Date of Maturity 25/02/2021 9.15% Unsecured Non-Convertible Bond. Series- N-26. Date of Maturity 18/03/2021 9.15% Unsecured Non-Convertible Bond. Series- N-28. Date of Maturity 30/03/2021 9.15% Unsecured Non-Convertible Bond. Series- N- 24. Date of Maturity 08/03/2021 9.25% Unsecured Non Convertible bonds. Series K-08. Date of Maturity: 13/12/2012 9.25% Unsecured Non Convertible bonds. Series K-09. Date of Maturity: 26/12/2012 9.15% Unsecured Non Convertible bonds. Series K-10. Date of Maturity: 03/01/2013 9.20% Unsecured Non Convertible bonds. Series K-12. Date of Maturity: 04/03/2013 9.25% Unsecured Non Convertible bonds. Series K-13. Date of Maturity: 18/03/2013 10.80% Unsecured Non Convertible Bonds Series L- 02 . Date of Maturity: 22/07/2013 7.70% Unsecured Non-Convertible Bond. Series - N-10. Date of Maturity 27/08/2013 7.80% Unsecured Non-Convertible Bond. Series - N 14. Date of Maturity 15/09/2013 8.00% Unsecured Non-Convertible Bond. Series - N-15. Date of Maturity 28/09/2013
INE514E08928
INE514E08951
INE514E08977
INE514E08936
INE514E08464
INE514E08472
INE514E08480
INE514E08506
INE514E08514
INE514E08530
INE514E08795
INE514E08837
INE514E08845
INE514E08878
8.75% Unsecured Non-Convertible Bond. Series- N- 18. Date of Maturity 10/12/2013 8.20% Unsecured Non-Convertible Bond. Series- N- 17. Date of Maturity 10/11/2013 9.50% Unsecured Non Convertible Bonds Series L- 07 . Date of Maturity: 12/12/2013 9.25% Unsecured Non Convertible Bonds Series L-08 Date of Maturity 18/12/2013 9.45% Unsecured Non-Convertible Bond. Series- O-01. Date of Maturity 15/06/2014 9.10% Unsecured Non-Convertible Bond. Series- O-03. Date of Maturity 02/08/2014 9.40% Unsecured Non-Convertible Bond. Series- O-09.Date of Maturity 07/10/2014 9.40% Unsecured Non-Convertible Bond. Series- O-10.Date of Maturity 10/10/2014 9.55% Unsecured Non-Convertible Bond. Series- O-11. Date of Maturity 03/11/2014 9.50% Unsecured Non-Convertible Bond. Series- O-12. Date of Maturity 04/11/2014 9.60% Unsecured Non-Convertible Bond. Series- O-13. Date of Maturity 11/11/2014 9.45% Unsecured Non-Convertible Bond. Series- O- 14. Date of Maturity 27/11/2014 9.44% Unsecured Non-Convertible Bond. Series- O- 16. Date of Maturity 05/12/2014 9.60% Unsecured Non-Convertible Bond. Series- O- 15. Date of Maturity 09/12/2014
INE514E08860
INE514E08589
INE514E08597
INE514E08993
INE514E08AB7
INE514E08AH4
INE514E08AI2
INE514E08AJ0
INE514E08AK8
INE514E08AL6
INE514E08AM4
INE514E08AO0
INE514E08AN2
INE514E08AR3
9.25% Unsecured Non-Convertible Bond. Series- O-19. Date of Maturity 09/02/2015 9.50% Unsecured Non-Convertible Bond 2012-13. Series- P-04. Date of Maturity 16/05/2022 9.55% UNSECURED NON CONVERTIBLE BONDS SERIES 2012-13 P-05. DATE OF MATURITY 12.06.2015. 9.4% Unsecured Non-Convertible BondS. Series- P-07. Date of Maturity 29/06/2015 9.32% Unsecured Non Convertible Bonds 2012-13 Series P-08. Date of Maturity 06/07/2015 9.25% UNSECURED NON CONVERTIBLE BONDS SERIES P-11. DATE OF MATURITY 10/07/2015. 8.10% Unsecured Non-Convertible Bonds 2010-11. Series- N-04. Date of Maturity 15/07/2015 9.35% UNSECURED NON CONVERTIBLE BONDS SERIES P-10. DATE OF MATURITY 16/07/2015. 9.25% UNSECURED NON CONVERTIBLE BONDS SERIES P-12. DATE OF MATURITY 17/07/2015 9.15% UNSECURED NON CONVERTIBLE BONDS SERIES P-14. DATE OF MATURITY 20/07/2015 9.16% UNSECURED NON CONVERTIBLE BONDS SERIES P-13. DATE OF MATURITY 23/07/2015 8.45% Unsecured Non-Convertible Bond. Series - N- 11. Date of Maturity 08/09/2015 8.45% Unsecured Non-Convertible Bond. Series - N 16. Date of Maturity 15/10/2015 8.92% Unsecured Non-Convertible Bond. Series- N- 19. Date of Maturity 22/12/2015
INE514E08AY9
INE514E08AZ6
INE514E08BB5
INE514E08BC3
INE514E08BD1
INE514E08738
INE514E08BF6
INE514E08BG4
INE514E08BH2
INE514E08BI0
INE514E08811
INE514E08852
INE514E08886
INE514E08AC5
Floating (Annualised Benchmark (Refer remark) Plus100bps) Unsecured NonConvertible Bond. Series- O-04. Date of Maturity 09/08/2016 9.15% Unsecured Non-Convertible Bond. Series- O-05. Date of Maturity 16/09/2016 9.15% Unsecured Non-Convertible Bond. Series- O-06. Date of Maturity 21/09/2016 9.35% Unsecured Non-Convertible Bond.Series- O-07. Date of Maturity 27/09/2016 9.85% Unsecured Non Convertible bonds. Series J-11. Date of Maturity: 15/03/2017 9.85% Unsecured Non Convertible bonds. Series J-12. Date of Maturity: 21/03/2017 9.85% Unsecured Non Convertible bonds. Series J-13. Date of Maturity: 26/03/2017 9.20% Unsecured Non-Convertible Bond. Series- P-02. Date of Maturity 27/04/2017 9.00% Unsecured Non-Convertible Bond. Series- O- 17. Date of Maturity 10/01/2019 8.70% Unsecured Non-Convertible Bond. Series - N -09. Date of Maturity 25/08/2020 8.70% Unsecured Non-Convertible Bond. Series - N- 12. Date of Maturity 09/09/2020 8.68% Unsecured Non-Convertible Bond. Series - N 13. Date of Maturity 13/09/2020 9.38% Unsecured Non-Convertible Bond. Series- O-08.Date of Maturity 29/09/2021 9% Unsecured Non-Convertible Bond. Series- O-18. Date of Maturity 07/02/2022
INE514E08AD3
INE514E08AE1
INE514E08AF8
INE514E08357
INE514E08365
INE514E08373
INE514E08AW3
INE514E08AP7
INE514E08779
INE514E08803
INE514E08829
INE514E08AG6
INE514E08AQ5
INE514E08AS1
9.05% Unsecured Non-Convertible Bond. series- O-20. Date of Maturity 22/02/2022 9.30% Unsecured Non-Convertible Bond. Series- O-21. Date of Maturity 21/03/2022 9.30% Unsecured Non-Convertible Bond. Series- O-22. Date of Maturity 28/03/2022 9.25% Unsecured Non-Convertible Bond. Series- P-01. Date of Maturity 18/04/2022 9.30% Unsecured Non-Convertible Bond 2012-13. Series- P-03. Date of Maturity 11/05/2022 9.25% UNSECURED NON CONVERTIBLE BONDS SERIES P-09. DATE OF MATURITY 12/07/2022. 8.68% Unsecured Non-Convertible Bond 2010-11. Series - N - 05. Date of Maturity 23/07/2022 8.68% Unsecured Non-Convertible Bond 2010-11. Series- N- 06. Date of Maturity 28/07/2022 9.14% UNSECURED NON CONVERTIBLE BONDS. SERIES P - 15. DATE OF MATURITY 01/08/2022. 8.72% Unsecured Non-Convertible Bond.Series - N 07. Date of Maturity 16/08/2022 7.89% Unsecured Non Convertible bonds series I-11. Date Of Maturity: 17/02/2013 9.04% Unsecured Non Convertible bonds. Series J-08. Date of Maturity: 29/01/2014 7.65 % Unsecured Non Convertible Bonds. Series I-07. Date of Maturity: 12/01/2016 7.65% Unsecured Non Convertible bonds. Series I-08 . Date of Maturity: 16/01/2016
INE514E08AT9
INE514E08AU7
INE514E08AV5
INE514E08AX1
INE514E08BE9
INE514E08746
INE514E08753
INE514E08BJ8
INE514E08761
INE514E08225
INE514E08324
INE514E08183
INE514E08191
INE514E08209
7.60% Unsecured Non Convertible bonds series I-09. Date Of Maturity: 20/01/2016 8.21 % Unsecured Non Convertible bonds. Series I-13. Date of Maturity: 17/03/2016
INE514E08241
Description In NSDL
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1000000
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1000000
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DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED SR-GE0085 BR NCD 30OT13 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR- GE0145 BR NCD 08NV13 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED SR-GE0087 BR NCD 18NV13 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED SR-GE0088 BR NCD 18NV13 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE-0148 BR NCD 18NV13 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED SR-GE0089 BR NCD 23DC13 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED SR- GE0090 BR NCD 26DC13 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED SR- GE0093 BR NCD 07JN14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0157 BR NCD 20JN14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR- GE0158 BR NCD 24JN14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED BR NCD 10FB14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED SR-GE0097 BR NCD 24FB14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED SR- GE0099 BR NCD 04MR14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED SR- GE0103 BR NCD03AP14 FVRS1LAC
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
DEUTSCHE INVESTMENTS INDIA 1000000 PRIVATE LIMITED SR-GE0044 BR NCD 12MR14 FVRS10LAC DEUTSCHE INVESTMENTS INDIA 1000000 PRIVATE LIMITED SR-GE0047 BR NCD 12MR14 FVRS10LAC DEUTSCHE INVESTMENTS INDIA 1000000 PRIVATE LIMITED SR-GE0059 BR NCD 08AP14 FVRS10LAC DEUTSCHE INVESTMENTS INDIA 1000000 PRIVATE LIMITED SR-GE0060 BR NCD 08AP14 FVRS10LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0122 BR NCD 15AP14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR- GE0123 BR NCD 20AG14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE-0131 BR NCD 20AG14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR- GE0124 BR NCD 21AG14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0126 BR NCD 28AG14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0127 BR NCD 01SP14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE 0129 BR NCD 04SP14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE-0130 BR NCD 22SP14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE-0134 BR NCD 29SP14 FVRS1LAC 100000
1000000
1000000
1000000
1000000
100000
100000
100000
99250
100000
100000
100000
100000
100000
100000
100000
100000
100000
99500
100000
100000
100000
DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE-0140 BR NCD 24NV14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE- 0144 BR NCD 02DC14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE-0147 BR NCD 03DC14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE-0153 BR NCD 08DC14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0141 BR NCD 22DC14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE-0151 BR NCD 30DC14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0155 BR NCD 20FB15 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0156 BR NCD 23FB15 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0143 BR NCD 11MY15 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0111 BR NCD 21AG12 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0120 BR NCD 17AP13 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR- GE0119 BR NCD 28JU13 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR- GE0109 BR NCD 03JU14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0108 BR NCD 26MY14 FVRS1LAC
100000
100000
100000
100000
100000
100000
100000
100000
99500
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
99000
100000
100000
100000
100000
100000
DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0112 BR NCD 23JU14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0114 BR NCD 23JU14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0113 BR NCD 23JU14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0117 BR NCD 10JL14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0117 BR NCD 10JL14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0118 BR NCD 11JL14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0121 BR NCD 31JL14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR-GE0110 BR NCD 12MY14 FVRS1LAC DEUTSCHE INVESTMENTS INDIA PVT LTD SR- GE0107 BR NCD 18OT12 FVRS1LAC DEUTSCHE POSTBANK HOME FINANCE LTD LOA 30AG12 FVRS10LAC DEUTSCHE POSTBANK HOME FINANCE LTD SR- L/044 LOA 20SP12 FVRS10LAC DEUTSCHE POSTBANK HOME FINANCE LTD 9.97 LOA 29AP16 FVRS10LAC DEUTSCHE POSTBANK HOME FINANCE LTD 10.1 LOA 14OT16 FVRS10LAC DEUTSCHE POSTBANK HOME FINANCE LTD 10.1 LOA 10NV16 FVRS10LAC
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
99000
100000
100000
100000
100000
100000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
DEUTSCHE POSTBANK HOME FINANCE LTD 9.8 LOA 13NV19 FVRS10LAC DEUTSCHE POSTBANK HOME FINANCE LTD 9.97 LOA 08JN20 FVRS10LAC DEUTSCHE POSTBANK HOME FINANCE LTD 9.97 LOA 15JN20 FVRS10LAC DEUTSCHE POSTBANK HOME FINANCE LTD 9.8 LOA 21FB20 FVRS10LAC DEUTSCHE POSTBANK HOME FINANCE LTD 9.85 LOA 27AP20 FVRS10LAC DEUTSCHE POSTBANK HOME FINANCE LTD 9.4 LOA 16AG20 FVRS10LAC DEUTSCHE POSTBANK HOME FINANCE LTD 9.4 LOA 15SP20 FVRS10LAC DEUTSCHE POSTBANK HOME FINANCE LTD 11.35 LOA 23OT23 FVRS10LAC DEVELOPMENT CREDIT BANK LTD 11.25 LOA 30AP15 FVRS10LAC
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
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100000
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100000
100000
1000000
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100000
100000
1000000
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100000
100000
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1000000
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1000000
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100000
100000
1000000
1000000
1000000
1000000
1000000
1000000
DEWAN HOUSING FINANCE CORP. LTD. 1000000.000 10.9 LOA 29JU15 FVRS10LAC
1000000
DEWAN HOUSING FINANCE CORP. LTD. 100000 11.15 NCD 29JL16 FVRS1LAC
100000
1000000
1000000
1000000
100000
100000
1000000
1000000
1000000
1000000
1000000
100000
100000
100000
100000
DEWAN HOUSING FINANCE CORP. LTD. 100000 10.65 LOA 21SP21 FVRS1LAC
100000
100000
1000000
1000000
1000000
1000000
1000000
1000000.000
1000000
1000000
1000000
1000000.000
1000000
1000000
1000000
10000000
100000
100000
100000
100000
DIAMOND POWER INFRASTRUCTURE LTD SR- XII 12.25 LOA 30SP14 FVRS1LAC
100000
100000
DIAMOND POWER INFRASTRUCTURE 100000 LTD SR-XVI 12.5 LOA 01DC14 FVRS1LAC
100000
DIAMOND POWER INFRASTRUCTURE 100000 LTD SR-XX 12.75 LOA 01DC14 FVRS1LAC
100000
100000
100000
100000
100000
100000
100000
DIAMOND POWER INFRASTRUCTURE 100000 LTD SR-XVII 12.5 LOA 01JU15 FVRS1LAC
100000
DIAMOND POWER INFRASTRUCTURE LTD SR-XXI 12.75 LOA 01JU15 FVRS1LAC DIAMOND POWER INFRASTRUCTURE LTD 12.35 LOA 29SP15 FVRS1LAC
100000
100000
100000
100000
100000
100000
DIAMOND POWER INFRASTRUCTURE LTD SR-XIV 12.25 LOA 30SP15 FVRS1LAC DIAMOND POWER INFRASTRUCTURE LTD SR-XVIII 12.5 LOA 01DC15 FVRS1LAC DIAMOND POWER INFRASTRUCTURE LTD SR-XXII 12.75 LOA 01DC15 FVRS1LAC DIAMOND POWER INFRASTRUCTURE LTD SR-I 12.25 LOA 21MR16 FVRS1LAC
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
DIAMOND POWER INFRASTRUCTURE 100000 LTD SR-XIX 12.5 LOA 01JU16 FVRS1LAC
100000
100000
100000
DIAMOND POWER INFRASTRUCTURE 100000 LTD SR-II 12.25 LOA 21MR17 FVRS1LAC
100000
DIAMOND POWER INFRASTRUCTURE 100000 LTD SR-III 12.25 LOA 21MR18 FVRS1LAC
100000
DISHMAN PHARMACEUTICALS AND CHEMICALS LTD 10.35 LOA 18FB14 FVRS10LAC DISHMAN PHARMACEUTICALS AND CHEMICALS LTD 9.65 LOA 16JU14 FVRS1LAC DISHMAN PHARMACEUTICALS AND CHEMICALS LTD 10.35 LOA 18FB15 FVRS10LAC DISHMAN PHARMACEUTICALS AND CHEMICALS LTD 9.65 LOA 16JU15 FBRS1LAC DISHMAN PHARMACEUTICALS AND CHEMICALS LTD 10.35 LOA 18FB16 FVRS10LAC DISHMAN PHARMACEUTICALS AND CHEMICALS LTD 10.35 LOA 18FB17 FVRS10LAC DIWAN CHAND MEDICAL SERVICES PRIVATE LIMITED CCD 28MR19 FVRS10
1000000
1000000
100000
100000
1000000
1000000
100000
100000
1000000
1000000
1000000
1000000
10.000
10
1000000
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200000
200000
200000
200000
200000
200000
200000
200000
200000
200000
100000
100000
100000
100000
97500
100000
101500
100000
100000
100000
102000
100000
DSP MERRILL LYNCH CAPITAL LTD SR-D 102000 BR LOA 23AP14 FVRS1LAC
100000
100000
100000
102000.000
100000
102000.000
100000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
100000
100000
25000000
25000000
100000
100000
100000
100000
100000
100000
1000000
1000000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
99300
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
98700
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
1000000
1000000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
99250
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
1000000
99550.000
100000
100000
100000
100000
100000
100000
100000
100000.000
100000
100000.000
100000
100000.000
100000
100000
100000
100000
100000
100000
100000
100000.000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000.000
100000
100000.000
100000
100000.000
100000
100000
100000
100000
100000
100000
100000
100000.000
100000
100000
100000
100000.000
100000
100000
100000
100000
100000
100000
100000
100000.000
100000
98800
100000
100000.000
100000
100000
100000
100000
100000
100000
100000.000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
99000
100000
100000
100000
100000
100000
1000000
100000
100000
100000.000
100000
100000
100000
100000
100000
100000.000
100000
100000
100000
100000.000
100000
100000
100000
100000.000
100000
100000
100000
100000
100000
100000
100000
98400
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
98400
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000.000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000.000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
99000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
BR
100000
100000
100000
100000
100000
100000
100000
100000
BR 100000
100000
100000
100000
98500
100000
100000
100000
BR
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000.000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000.000
100000
100000.000
100000
100000.000
100000
100000.000
100000
100000.000
100000
94000.000
100000
100000.000
100000
100000.000
100000
100000.000
100000
10000000.000
10000000
100000.000
100000
100000.000
100000
100000.000
100000
100000.000
100000
100000.000
100000
100000.000
100000
5000000.000
5000000
100000.000
100000
100000.000
100000
100000.000
100000
100000.000
100000
100000.000
100000
EDELWEISS CAPITAL LIMITED NOTE-F2F901 BR NCD 25OT12 FVRS1LAC EDELWEISS CAPITAL LIMITED NOTE F2G901 BR NCD 06NV12 FVRS1LAC EDELWEISS CAPITAL LIMITED SR-I2J905 BR NCD 06NV12 FVRS1LAC
100000
100000
100000
100000
100000
100000
EDELWEISS CAPITAL LIMITED NOTE-F2G905 BR NCD 08NV12 FVRS1LAC EDELWEISS CAPITAL LIMITED NOTE- F2G907 BR NCD 16NV12 FVRS1LAC EDELWEISS CAPITAL LIMITED BR NCD 28NV12 FVRS1LAC
100000
100000
100000
100000
100000
100000
EDELWEISS CAPITAL LIMITED NOTE-G2G906 BR NCD 30NV12 FVRS1LAC EDELWEISS CAPITAL LIMITED NOTE-G2H902 BR NCD 03DC12 FVRS1LAC EDELWEISS CAPITAL LIMITED SR-G2H903 BR NCD 03DC12 FVRS1LAC
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
1000000
1000000
100
100
1000000
1000000
1000000
1000000
1000000
EDUCOMP INFRASTRUCTURE & SCHOOL 1000000 MGMT. LTD. 13.4 LOA 20DC16 FVRS10LAC EDUCOMP SOLUTIONS LIMITED 13.50 LOA 24MY19 FVRS10LAC 1000000.000
1000000
1000000
1000000.000
1000000
1000000
1000000
1000000
1000000
1000
1000000
1000000
1000000.000
1000000
1000000
1000000
1000000.000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
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1000000
1000000
1000000
1000000
1000000
10000000
10000000
1000000
1000000
1000000
ERA HOUSING & DEVELOPERS (INDIA) LTD 12.5 NCD 20SP13 FVRS1CR ERA HOUSING & DEVELOPERS (INDIA) LIMITED 14 NCD 30DC13 FVRS1CR
10000000
10000000
10000000
10000000
1000000
1000000
100000
100000
100000
100000
100000
100000
100000
100000
1000000
1000000
100000
100000
100000
100000
1000000
1000000
100000
100000
100000
100000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
105
105
105
105
1000000
1000000
1000000
1000000
750000
1000000
1000000.000
1000000
1000000.000
1000000
ESSAR SHIPPING PORTS & LOGISTICS LTD 11.35 LOA 22JU19 FVRS10LAC ESSAR SHIPPING PORTS & LOGISTICS LTD 11.35 LOA 25MR20 FVRS10LAC ESSAR STEEL 8 URN 31MR18 FV RS 46940
1000000
1000000
1000000
1000000
46,940.000
46,940.000
1000000
1000000
10000000
1000000
1000000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
54,00,160
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
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1000000
1000000
1000000
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1000000
1000000
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1000000
1000000
1000000
1000000
1000000
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1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
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1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
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1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000.000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
1000000
Redemption
Coupon Rate
9/9/2011
9/15/2016
11.75%
12/4/2009
12/4/2014
8.50%
7/14/2011
7/14/2016
9.70%
10/12/2010
10/12/2012
8.40%
3/22/2003
4/22/2013
6.90%
2/18/2005
5/18/2014
7.05%
9/30/2004
5/31/2014
6.75%
9/29/2005
4/29/2015
7.40%
3/1/2006
5/1/2015
8.15%
9/15/2006
9/15/2016
8.85%
3/30/2007
3/30/2017
9.90%
1/9/2008
1/9/2018
9.00%
1/16/2009
1/16/2019
8.08%
9/16/2006
9/16/2021
3/23/2007
3/23/2022
9/29/2010
9/29/2025
RESET RATE
3/30/2009
12/31/2099
8/21/2009
12/31/2099
8/3/2010
12/31/2099
1/1/2009
1/1/2014
11.70%
10/23/2008
9/30/2015
Zero Coupon
10/8/2004
6/8/2014
7.05%
3/28/2006
6/28/2015
8.15%
10/4/2006
10/4/2016
8.95%
3/3/2008
5/3/2017
9.20%
2/10/2009
4/10/2018
9.35%
11/14/2008
11/14/2023
11.45%
2/17/2009
2/17/2024
6/23/2009
6/23/2024
1/20/2010
1/20/2025
11/6/2010
11/6/2025
1/21/2011
1/21/2026
12/21/2011
12/21/2026
9.33%
3/30/2009
PERPETUAL
6/16/2004
5/16/2014
7.05%
1/25/2005
5/25/2014
8.75%
1/25/2005
5/25/2014
8.75%
8/9/2010
8/13/2013
16.50%
11/28/2011
11/28/2014
19%
11/28/2011
11/28/2014
18.75%
2/17/2011
2/16/2015
20.00%
3/31/2005
12/31/2012
5.45%
11/10/2011
11/11/2012
16%
11/10/2011
4/11/2013
16%
11/10/2011
11/11/2013
16%
11/10/2011
4/11/2014
16%
11/10/2011
11/11/2014
16%
5/14/2010
8/14/2012
8.60%
2/26/2007
8/26/2012
12.00%
5/26/2010
8/27/2012
8.55%
2/28/2007
8/28/2012
12.00%
9/24/2009
9/24/2012
12.00%
9/25/2009
9/25/2012
9.90%
10/31/2007
4/30/2013
11.50%
5/13/2010
5/13/2013
8.75%
12/7/2007
6/7/2013
10.85%
9/25/2009
9/25/2014
10.90%
11/20/2009
11/20/2014
10.90%
9/24/2009
12/24/2014
12.65%
11/20/2009
2/20/2015
11.25%
2/22/2010
2/22/2017
11.15%
3/26/2010
3/27/2017
11.25%
6/2/2008
6/1/2018
10.55%
5/13/2008
11/13/2018
10.55%
4/28/2010
4/28/2020
11.00%
5/6/2010
5/6/2020
11.00%
6/7/2010
6/7/2020
10.70%
2/28/2012
4/30/2013
10.6499%
2/7/2012
2/3/2014
ZERO COUPON
2/28/2012
2/24/2014
10.70%
2/28/2012
6/1/2015
ZERO COUPON
8/6/2012
6/24/2011
10/5/2012
10.70%
8/23/2011
2/22/2013
10.40%
9/19/2011
3/19/2013
10.40%
7/5/2011
3/29/2013
10.45%
2/23/2012
4/3/2013
ZERO COUPON
10/14/2011
4/4/2013
10.45%
10/20/2011
4/15/2013
10.80%
2/22/2012
4/30/2013
10.6467%
2/22/2012
5/15/2013
10.6375%
10/20/2011
5/20/2013
ZERO COUPON
3/16/2012
5/30/2013
ZERO COUPON
3/16/2012
5/31/2013
ZERO COUPON
7/5/2011
6/17/2013
10.59%
6/6/2012
7/8/2013
ZERO COUPON
7/14/2011
7/22/2013
10.59%
8/2/2011
7/26/2013
10.35%
8/10/2011
7/29/2013
10.40%
8/2/2011
8/2/2013
10.35%
8/18/2011
8/9/2013
10.35%
8/22/2011
8/12/2013
10.35%
2/23/2012
8/13/2013
ZERO COUPON
8/22/2011
8/16/2013
10.35%
8/23/2011
8/23/2013
10.30%
9/19/2011
9/19/2013
10.30%
9/29/2011
9/20/2013
10.45%
10/21/2011
10/11/2013
ZERO COUPON
11/30/2011
11/25/2013
ZERO COUPON
2/22/2012
12/26/2013
10.6723%
2/22/2012
12/27/2013
10.6729%
2/23/2012
2/14/2014
10.70%
2/22/2012
2/21/2014
10.7106%
3/21/2012
3/17/2014
ZERO COUPON
4/3/2012
4/8/2014
ZERO COUPON
4/3/2012
4/30/2014
ZERO COUPON
5/16/2012
5/8/2014
ZERO COUPON
6/24/2011
6/10/2014
10.90%
6/24/2011
6/23/2014
10.95%
7/26/2011
7/8/2014
10.55%
8/22/2011
8/22/2014
8/23/2011
8/22/2014
10.55%
9/19/2011
9/19/2014
10.55%
9/29/2011
9/19/2014
10.70%
11/29/2011
11/10/2014
ZERO COUPON
11/29/2011
11/25/2014
ZERO COUPON
1/6/2012
12/29/2014
ZERO COUPON
1/30/2012
1/23/2015
ZERO COUPON
2/22/2012
2/9/2015
ZERO COUPON
4/20/2012
3/2/2015
ZERO COUPON
4/20/2012
4/2/2015
ZERO COUPON
3/21/2012
4/6/2015
ZERO COUPON
4/23/2012
4/23/2015
10.20%
6/6/2012
6/5/2015
10.67%
11/21/2011
11/21/2017
12.75%
6/30/2011
6/30/2018
12.25%
8/1/2011
8/1/2018
12.25%
8/9/2011
8/9/2018
12.25%
6/8/2012
6/7/2019
11.4%
6/26/2012
6/26/2019
11.40%
18-05-2012
17-05-2019
11.70%
10/11/2010
perpetual
6/29/2011
PERPETUAL
8/18/2011
Perpetual
3/1/2012
Perpetual
7/22/2011
12/7/2011
12/26/2011
1/6/2012
8/20/2009
8/20/2012
Nifty Linked
8/24/2010
8/24/2012
EQUITY LINKED
8/30/2010
8/30/2012
NIFTY LINKED
8/30/2010
8/30/2012
NIFTY LINKED
8/31/2010
8/31/2012
EQUITY LINKED
9/7/2010
9/7/2012
NIFTY LINKED
9/13/2010
9/13/2012
NIFTY LINKED
9/13/2010
9/13/2012
NIFTY LINKED
9/25/2009
9/25/2012
Nifty Linked
9/29/2010
9/28/2012
NIFTY LINKED
9/29/2010
9/28/2012
NIFTY LINKED
9/29/2010
9/28/2012
NIFTY LINKED
9/29/2010
9/28/2012
NIFTY LINKED
9/29/2010
9/28/2012
Nifty Linked
9/29/2010
9/28/2012
NIFTY LINKED
9/29/2010
9/28/2012
NIFTY LINKED
9/29/2010
9/28/2012
NIFTY LINKED
9/30/2009
10/1/2012
Nifty Linked
9/30/2009
10/1/2012
Nifty Linked
10/29/2010
10/29/2012
NIFTY LINKED
7/30/2010
10/30/2012
EQUITY LINKED
7/30/2010
10/30/2012
EQUITY LINKED
11/3/2010
11/2/2012
NIFTY LINKED
11/3/2010
11/2/2012
NIFTY LINKED
11/4/2010
11/5/2012
NIFTY LINKED
8/7/2009
11/7/2012
Nifty Linked
8/20/2009
11/20/2012
Nifty Linked
11/23/2010
11/23/2012
NIFTY LINKED
8/31/2009
11/30/2012
Nifty Linked
8/31/2009
11/30/2012
Nifty Linked
11/30/2009
11/30/2012
11/30/2009
11/30/2012
11/30/2009
11/30/2012
Nifty Linked
11/30/2010
11/30/2012
NIFTY LINKED
11/30/2010
11/30/2012
NIFTY LINKED
11/30/2010
11/30/2012
NIFTY LINKED
11/30/2010
11/30/2012
NIFTY LINKED
11/30/2010
11/30/2012
NIFTY LINKED
9/7/2010
12/7/2012
EQUITY LINKED
9/10/2009
12/10/2012
Nifty Linked
9/22/2010
12/24/2012
NIFTY LINKED
10/6/2009
1/5/2013
Nifty Linked
1/8/2010
1/8/2013
Nifty Linked
1/29/2010
1/29/2013
Nifty Linked
1/29/2010
1/29/2013
Nifty Linked
1/29/2010
1/29/2013
Nifty Linked
1/29/2010
1/29/2013
Nifty Linked
10/29/2010
1/29/2013
NIFTY LINKED
2/26/2010
2/26/2013
Nifty Linked
2/26/2010
2/26/2013
Nifty Linked
2/26/2010
2/26/2013
Nifty Linked
11/29/2010
2/28/2013
NIFTY LINKED
4/29/2011
4/29/2013
NIFTY LINKED
4/29/2011
4/29/2013
NIFTY LINKED
4/29/2011
4/29/2013
NIFTY LINKED
5/30/2011
5/30/2013
NIFTY LINKED
5/30/2011
5/30/2013
NIFTY LINKED
5/31/2011
5/31/2013
NIFTY LINKED
5/31/2011
5/31/2013
NIFTY LINKED
6/7/2011
6/7/2013
NIFTY LINKED
6/17/2011
6/17/2013
NIFTY LINKED
6/17/2011
6/17/2013
NIFTY LINKED
6/17/2011
6/17/2013
NIFTY LINKED
6/24/2011
6/24/2013
NIFTY LINKED
6/24/2011
6/24/2013
NIFTY LINKED
6/29/2011
6/28/2013
NIFTY LINKED
6/29/2011
6/28/2013
NIFTY LINKED
6/29/2011
6/28/2013
NIFTY LINKED
6/30/2011
6/28/2013
NIFTY LINKED
6/28/2011
7/29/2013
NIFTY LINKED
6/30/2011
7/30/2013
NIFTY LINKED
6/30/2011
7/30/2013
NIFTY LINKED
7/4/2011
8/5/2013
NIFTY LINKED
8/13/2010
8/13/2013
NIFTY LINKED
7/29/2011
8/29/2013
NIFTY LINKED
7/29/2011
8/29/2013
NIFTY LINKED
7/29/2011
8/29/2013
NIFTY LINKED
6/14/2010
9/16/2013
Nifty Linked
6/15/2010
9/16/2013
Nifty Linked
8/24/2011
9/24/2013
NIFTY LINKED
8/30/2011
9/24/2013
NIFTY LINKED
9/29/2011
9/27/2013
EQUITY LINKED
6/29/2011
9/30/2013
NIFTY LINKED
8/30/2011
9/30/2013
NIFTY LINKED
10/4/2011
10/4/2013
GOLD LINKED
10/5/2011
10/7/2013
STOCK LINKED
10/28/2011
10/28/2013
EQUITY LINKED
10/28/2011
10/28/2013
NIFTY LINKED
10/28/2011
10/28/2013
NIFTY LINKED
10/28/2011
10/28/2013
NIFTY LINKED
10/29/2010
10/29/2013
NIFTY LINKED
7/29/2011
10/29/2013
NIFTY LINKED
7/29/2011
10/29/2013
NIFTY LINKED
11/9/2011
11/11/2013
NIFTY LINKED
11/9/2011
11/11/2013
NIFTY LINKED
8/30/2011
11/29/2013
EQUITY LINKED
11/30/2011
12/2/2013
Gold Linked
1/6/2012
1/6/2014
NIFTY LINKED
1/6/2012
1/6/2014
NIFTY LINKED
10/28/2011
1/28/2014
NIFTY LINKED
1/31/2012
1/31/2014
NIFTY LINKED
2/15/2012
2/17/2014
NIFTY LINKED
8/30/2011
2/28/2014
NIFTY LINKED
2/29/2012
2/28/2014
EQUITY LINKED
3/1/2012
3/3/2014
NIFTY LINKED
3/21/2012
3/21/2014
NIFTY LINKED
9/29/2011
3/31/2014
NIFTY LINKED
9/29/2011
3/31/2014
NIFTY LINKED
9/29/2011
3/31/2014
NIFTY LINKED
9/29/2011
3/31/2014
NIFTY LINKED
4/4/2012
4/4/2014
NIFTY LINKED
4/25/2012
4/25/2014
EQUITY LINKED
4/29/2011
4/29/2014
NIFTY LINKED
4/29/2011
4/29/2014
NIFTY LINKED
4/30/2012
4/30/2014
NIFTY LINKED
4/30/2012
4/30/2014
NIFTY LINKED
2/8/2012
5/8/2014
NIFTY LINKED
2/8/2012
5/8/2014
NIFTY LINKED
5/30/2011
5/30/2014
NIFTY LINKED
5/30/2011
5/30/2014
NIFTY LINKED
5/30/2012
5/30/2014
NIFTY LINKED
5/30/2012
5/30/2014
NIFTY LINKED
6/26/2012
6/26/2014
NIFTY LINKED
6/29/2012
6/29/2014
NIFTY LINKED
6/28/2012
6/30/2014
NIFTY LINKED
6/28/2012
6/30/2014
NIFTY LINKED
6/7/2012
7/7/2014
NIFTY LINKED
7/6/2012
7/7/2014
EQUITY LINKED
4/29/2011
7/29/2014
NIFTY LINKED
7/30/2012
7/30/2014
NIFTY LINKED
7/18/2012
8/18/2014
NIFTY LINKED
10/28/2011
10/28/2014
NIFTY LINKED
10/28/2011
10/28/2014
NIFTY LINKED
7/22/2011
11/24/2014
NIFTY LINKED
9/30/2011
12/30/2014
NIFTY LINKED
9/30/2011
12/31/2014
NIFTY LINKED
9/30/2011
12/31/2014
NIFTY LINKED
10/31/2011
1/30/2015
GOLD LINKED
1/6/2012
4/6/2015
GOLD LINKED
6/28/2012
6/29/2015
NIFTY LINKED
3/30/2012
6/30/2015
GOLD LINKED
7/30/2012
7/30/2015
NIFTY LINKED
7/30/2012
7/30/2015
NIFTY LINKED
1/30/2012
1/29/2016
NIFTY LINKED
4/30/2012
4/29/2016
NIFTY LINKED
5/30/2012
5/30/2016
NIFTY LINKED
5/30/2012
5/30/2016
NIFTY LINKED
6/28/2012
7/28/2016
GOLD LINKED
7/5/2012
8/5/2016
NIFTY LINKED
7/6/2012
8/8/2016
NIFTY LINKED
7/30/2012
9/30/2016
NIFTY LINKED
7/30/2012
9/30/2016
NIFTY LINKED
7/30/2012
9/30/2016
NIFTY LINKED
2/29/2012
2/28/2017
NIFTY LINKED
3/30/2012
3/30/2017
NIFTY LINKED
17-05-2012
19-05-2014
EQUITY LINKED
1/4/2011
1/4/2013
NIFTY LINKED
1/7/2011
1/7/2013
NIFTY LINKED
1/7/2011
1/7/2013
NIFTY LINKED
1/7/2011
1/7/2013
NIFTY LINKED
1/7/2011
1/7/2013
NIFTY LINKED
2/23/2011
2/25/2013
NIFTY LINKED
2/25/2011
2/25/2013
NIFTY LINKED
2/25/2011
2/25/2013
NIFTY LINKED
2/28/2011
2/28/2013
NIFTY LINKED
3/25/2011
3/25/2013
NIFTY LINKED
3/28/2011
3/28/2013
NIFTY LINKED
3/31/2011
3/29/2013
NIFTY LINKED
3/30/2011
3/29/2013
NIFTY LINKED
3/30/2011
3/29/2013
NIFTY LINKED
2/14/2011
5/14/2013
NIFTY LINKED
1/7/2011
1/7/2014
NIFTY LINKED
1/31/2011
1/31/2014
NIFTY LINKED
2/14/2011
2/14/2014
NIFTY LINKED
3/31/2011
3/31/2014
NIFTY LINKED
3/30/2011
3/31/2014
NIFTY LINKED
31.1.2011
31.1.2013
NIFTY LINKED
31.1.2011
31.1.2013
NIFTY LINKED
9/3/2010
9/17/2012
8.85%
6/30/2009
10/1/2012
Nifty Linked
9/30/2009
10/1/2012
Nifty Linked
7/3/2009
10/3/2012
Equity Linked
7/6/2009
10/6/2012
Nifty Linked
7/7/2009
10/8/2012
Nifty Linked
8/31/2009
11/30/2012
Nifty Linked
9/11/2009
12/11/2012
Nifty Linked
12/12/2007
12/12/2012
9.50%
10/5/2009
1/5/2013
Nifty Linked
1/30/2008
1/30/2013
9.48%
2/11/2010
2/11/2013
8.60%
9/20/2010
3/5/2013
9.00%
2/18/2010
5/17/2013
Nifty Linked
2/22/2010
5/22/2013
Nifty Linked
8/8/2008
11/8/2013
3/31/2006
4/30/2016
8.90%
3/30/2007
4/30/2017
10.00%
6/4/2012
6/4/2017
ZERO COUPON
5/28/2010
11/27/2012
7/14/2010
7/16/2013
9.25% Yield
4/30/2010
5/2/2013
8.55%
4/30/2010
5/2/2013
8.55% Yield
5/26/2010
5/27/2013
5/26/2010
5/27/2013
5/26/2010
5/27/2013
2/25/2010
2/26/2013
9.36% Yield
2/25/2010
2/26/2013
9.15% Yield
2/25/2010
2/27/2013
8.76% Yield
5/26/2010
11/27/2012
3/29/2010
3/30/2015
9.25% Yield
3/29/2010
3/30/2015
9.25% Yield
5/26/2010
11/27/2012
5/26/2010
11/27/2012
3/31/2011
3/31/2013
14.00%
3/31/2011
6/30/2014
14.38%
3/31/2012
12/25/2015
11%
2/22/2012
8/24/2013
12.75%
2/28/2012
8/24/2013
12.75%
4/30/2012
5/2/2015
13.75%
5/31/2012
5/31/2015
14%
3/30/2010
3/30/2020
NA
3/31/2010
3/31/2020
12/30/2011
12/30/2014
13%
12/30/2011
12/30/2015
13%
12/30/2011
12/30/2016
13%
3/30/2011
3/30/2014
11.75%
6/17/2011
6/17/2014
12.75%
3/30/2011
3/30/2015
11.75%
6/17/2011
6/17/2015
12.75%
3/30/2011
3/28/2016
11.75%
6/17/2011
6/17/2016
12.75%
7/23/2012
7/23/2016
9%
4/29/2010
4/29/2025
3/24/2006
3/24/2016
7.90%
5/15/2005
5/15/2015
5.45%
3/19/2008
3/19/2018
9.30%
3/27/2008
3/27/2018
9.40%
12/3/2008
12/3/2018
10.80%
3/31/2009
5/31/2019
8.85%
12/12/2008
12/12/2023
2/24/2009
2/24/2024
5/6/2009
5/6/2024
5/28/2009
5/28/2024
8/10/2009
8/10/2024
8/11/2009
8/11/2024
1/19/2009
12/31/2099
7/10/2009
12/31/2099
8/11/2009
12/31/2099
8/26/2009
12/31/2099
6/9/2014
9/6/2014
10.60%
9/6/2015
9/6/2015
10.60%
7/25/2011
7/25/2014
11.25%
10/7/2011
10/6/2014
11.25%
11/29/2011
11/28/2014
11.70%
7/25/2011
7/25/2015
11.25%
11/29/2011
11/28/2015
11.70%
7/25/2011
7/25/2016
11.25%
11/1/2011
10/31/2016
11.30%
11/29/2011
11/28/2016
11.70%
3/22/2011
3/22/2013
2/24/2012
6/24/2013
INDEX LINKED
4/17/2012
8/19/2013
INDEX LINKED
2/3/2012
5/5/2014
INDEX LINKED
6/8/2011
9/8/2014
Interest to be calculated based on the performance of benchmark (S&P CNX NIFTY INDEX ) Interest to be calculated based on performance of reference shares
7/8/2011
10/8/2014
12/18/2004
12/18/2014
8.00%
12/18/2004
12/18/2014
8.10%
5/16/2005
5/16/2015
10/15/2005
10/15/2015
5/9/2008
5/8/2016
10.35%
11/4/2006
9/30/2016
2/26/2010
2/26/2017
8.95%
3/30/2012
3/30/2027
9.30%
3/30/2012
3/30/2027
9.30%
3/30/2012
3/30/2027
9.30%
1/3/2003
1/3/2013
7.7%
7/15/2010
4/14/2015
ZERO COUPON
9/21/2011
9/19/2012
11.50%
12/17/2007
12/17/2012
10.00%
11/14/2008
11/14/2013
12.00%
12/17/2007
12/17/2013
10.00%
9/14/2005
9/14/2015
8.25% p.a.
8/6/2010
5/30/2018
Zero Coupon
2/9/2010
2/9/2013
8.35%
7/15/2010
7/15/2015
9.31%
11/25/2009
11/25/2015
9.75%
11/25/2009
11/25/2015
10.00%
9/1/2008
9/1/2014
10.80%
3/2/2010
3/2/2016
9.50%
3/2/2010
3/2/2017
9.50%
3/2/2010
3/2/2018
9.50%
3/2/2010
3/2/2019
9.50%
3/2/2010
3/2/2020
9.50%
3/2/2010
3/2/2021
9.50%
3/2/2010
3/2/2022
9.50%
3/2/2010
3/2/2023
9.50%
3/2/2010
3/2/2024
9.50%
3/2/2010
3/2/2025
9.50%
3/31/2004
4/30/2013
6.20%
3/31/2005
4/30/2014
7.30%
3/25/2008
5/24/2018
9.25%
1/29/2009
1/29/2019
9.50%
9/30/2008
4/30/2019
11.20%
9/30/2006
9/30/2021
6/25/2012
6/25/2027
9.23%
12/31/2007
12/31/2099
5/28/2009
12/31/2099
5/27/2011
8/27/2012
NIFTY LINKED
5/29/2009
8/29/2012
Nifty Linked
9/6/2010
9/6/2012
NIFTY LINKED
5/11/2010
10/11/2012
Nifty Linked
8/12/2011
11/12/2012
NIFTY LINKED
8/12/2011
11/12/2012
NIFTY LINKED
8/17/2011
11/19/2012
NIfty Linked
8/23/2011
11/23/2012
NIFTY LINKED
8/26/2011
11/26/2012
NIFTY LINKED
7/30/2009
11/30/2012
Nifty Linked
8/30/2010
11/30/2012
NIFTY LINKED
8/30/2011
11/30/2012
NIFTY LINKED
9/6/2011
12/6/2012
NIFTY LINKED
9/7/2011
12/7/2012
NIFTY LINKED
9/17/2010
12/17/2012
NIFTY LINKED
10/15/2009
1/15/2013
Nifty Linked
10/15/2010
1/15/2013
NIFTY LINKED
10/24/2011
1/24/2013
NIFTY LINKED
10/24/2011
1/24/2013
NIFTY LINKED
10/28/2011
1/28/2013
NIFTY LINKED
10/1/2009
2/1/2013
Nifty Linked
11/3/2009
2/4/2013
Nifty Linked
11/3/2010
2/4/2013
NIFTY LINKED
11/23/2010
2/25/2013
NIFTY LINKED
4/6/2010
4/9/2013
Nifty Linked
4/6/2010
4/10/2013
Nifty Linked
10/24/2011
4/25/2013
NIFTY LINKED
10/25/2011
4/25/2013
NIFTY LINKED
6/12/2010
6/9/2013
NIFTY LINKED
2/7/2010
6/11/2013
Nifty Linked
9/22/2010
6/24/2013
NIFTY LINKED
4/29/2010
7/29/2013
Nifty Linked
8/3/2011
8/5/2013
NIFTY LINKED
4/9/2010
8/12/2013
Nifty Linked
4/9/2010
8/12/2013
Nifty Linked
11/24/2010
8/26/2013
NIFTY LINKED
11/25/2010
8/26/2013
NIFTY LINKED
4/30/2010
8/30/2013
Nifty Linked
5/31/2011
9/2/2013
NIFTY LINKED
6/23/2011
9/23/2013
NIFTY LINKED
5/26/2010
9/26/2013
Nifty Linked
6/29/2010
9/30/2013
Nifty Linked
10/6/2010
10/10/2013
Nifty Linked
6/29/2010
10/29/2013
Nifty Linked
6/30/2010
10/30/2013
Nifty Linked
8/8/2011
11/8/2013
NIFTY LINKED
7/16/2010
11/18/2013
Nifty Linked
7/16/2010
11/18/2013
Nifty Linked
8/18/2011
11/18/2013
NIFTY LINKED
8/23/2010
12/23/2013
NIFTY LINKED
8/25/2010
12/26/2013
NIFTY LINKED
9/7/2010
1/7/2014
NIFTY LINKED
10/20/2011
1/20/2014
NIFTY LINKED
10/24/2011
1/24/2014
NIFTY LINKED
11/10/2010
2/10/2014
NIFTY LINKED
10/22/2010
2/24/2014
NIfty Linked
11/4/2010
3/4/2014
NIFTY LINKED
3/12/2010
3/4/2014
NIFTY LINKED
11/8/2010
3/10/2014
Nifty Linked
3/12/2009
3/12/2014
Nifty Linked
3/12/2009
3/12/2014
Nifty Linked
4/8/2009
4/8/2014
Nifty Linked
4/8/2009
4/8/2014
Nifty Linked
4/15/2011
4/15/2014
NIFTY LINKED
4/20/2011
8/20/2014
NIFTY LINKED
5/20/2011
8/20/2014
NIFTY LINKED
4/21/2011
8/21/2014
NIFTY LINKED
4/29/2011
8/28/2014
NIFTY LINKED
4/29/2011
9/1/2014
NIFTY LINKED
5/4/2011
9/4/2014
NIFTY LINKED
5/20/2011
9/22/2014
NIFTY LINKED
5/27/2011
9/29/2014
NIFTY LINKED
7/22/2011
11/24/2014
NIFTY LINKED
8/2/2011
12/2/2014
NIFTY LINKED
8/3/2011
12/3/2014
NIFTY LINKED
9/8/2011
12/8/2014
NIFTY LINKED
8/22/2011
12/22/2014
NIFTY LINKED
8/30/2011
12/30/2014
NIFTY LINKED
10/20/2011
2/20/2015
NIFTY LINKED
10/21/2011
2/23/2015
NIFTY LINKED
8/11/2011
5/11/2015
NIFTY LINKED
2/18/2011
8/21/2012
NIFTY LINKED
3/17/2011
4/17/2013
NIFTY LINKED
30-MAR-211
6/28/2013
NIFTY LINKED
3/2/2011
3/6/2014
NIFTY LINKED
1/25/2011
5/26/2014
NIFTY LINKED
2/21/2011
6/23/2014
NIFTY LINKED
2/22/2011
6/23/2014
NIFTY LINKED
2/22/2011
6/23/2014
NIFTY LINKED
3/10/2011
7/10/2014
NIFTY LINKED
3/10/2011
7/10/2014
NIFTY LINKED
3/11/2011
7/11/2014
NIFTY LINKED
3/31/2011
7/31/2014
NIFTY LINKED
11/2/2011
12/5/2014
NIFTY LINKED
1/18/2011
18/102012
NIFTY LINKED
8/30/2010
8/30/2012
ZERO COUPON
10/8/2010
9/20/2012
ZERO COUPON
4/29/2009
4/29/2016
9.97%
10/15/2009
10/14/2016
10.10%
11/10/2009
11/10/2016
10.10%
11/13/2009
11/13/2019
9.80%
1/8/2010
1/8/2020
9.97%
1/15/2010
1/15/2020
9.97%
2/22/2010
2/21/2020
9.80%
4/27/2010
4/27/2020
9.85%
8/16/2010
8/16/2020
9.40%
9/15/2010
9/15/2020
9.40%
10/23/2008
10/23/2023
8/31/2009
4/30/2015
11.25%
3/31/2011
3/31/2021
11.00%
9/29/2007
9/28/2012
10.35%
6/2/2010
12/2/2012
7.95%
12/29/2005
12/28/2012
8.00%
6/2/2010
3/2/2013
7.95%
3/28/2008
3/27/2013
9.90%
6/2/2010
6/2/2013
7.95%
6/16/2008
6/15/2013
10.20%
7/9/2008
7/8/2013
10.80%
8/17/2006
8/17/2013
9.60%
8/23/2006
8/23/2013
9.60%
10/12/2006
10/12/2013
9.40%
5/17/2007
5/16/2014
10.55%
7/29/2011
7/29/2014
11.00%
8/12/2011
8/12/2014
11%
9/15/2009
9/14/2014
9.57%
3/28/2008
3/27/2015
9.95%
6/16/2008
6/15/2015
10.25%
6/29/2012
6/29/2015
10.9%
7/29/2011
7/29/2016
11.15%
10/12/2006
10/11/2016
9.50%
6/29/2012
6/29/2017
11%
11/24/2010
9/24/2017
10.00%
8/2/2012
8/1/2019
RESET RATE
9/15/2009
9/14/2019
10.05%
10/22/2010
10/21/2020
9.70%
11/24/2010
11/24/2020
10.40%
7/29/2011
7/29/2021
11.00%
8/12/2011
8/12/2021
11%
9/22/2011
9/21/2021
10.65%
3/27/2012
3/27/2022
11%
6/29/2012
6/29/2022
11%
9/23/2011
11/9/2011
3/18/2002
3/17/2018
11.50%
5/29/2012
4/29/2018
11.9%
8/3/2012
5/3/2018
11.9%
5/29/2012
5/29/2019
11.95%
8/3/2012
8/3/2019
11.95%
12/31/2010
12/31/2017
11.15%
3/28/2012
9/28/2012
ZERO COUPON
3/29/2011
9/29/2014
12.35%
3/30/2011
9/30/2014
12.00%
3/30/2011
9/30/2014
12.25%
6/1/2011
12/1/2014
12.50%
6/1/2011
12/1/2014
12.75%
3/29/2011
3/29/2015
12.35%
3/30/2011
3/30/2015
12.00%
3/30/2011
3/30/2015
12.25%
6/1/2011
6/1/2015
12.50%
6/1/2011
6/1/2015
12.75%
3/29/2011
9/29/2015
12.35%
3/30/2011
9/30/2015
12.00%
3/30/2011
9/30/2015
12.25%
6/1/2011
12/1/2015
12.50%
6/1/2011
12/1/2015
12.75%
3/21/2011
3/21/2016
12.25%
3/29/2011
3/29/2016
12.35%
3/30/2011
3/30/2016
12.00%
3/30/2011
3/30/2016
12.25%
6/1/2011
6/1/2016
12.50%
6/1/2011
6/1/2016
12.75%
3/21/2011
3/21/2017
12.25%
3/21/2011
3/21/2018
12.25%
2/18/2010
2/18/2014
10.35%
6/16/2010
6/16/2014
9.65%
2/18/2010
2/18/2015
10.35%
6/16/2010
6/16/2015
9.65%
2/18/2010
2/18/2016
10.35%
2/18/2010
2/18/2017
10.35%
3/29/2012
3/28/2019
ZERO COUPON
5/18/2010
11/18/2012
10.24%
2/17/2010
2/17/2013
10.50%
5/18/2010
2/18/2013
10.24%
5/18/2010
5/18/2013
10.24%
8/27/2008
8/18/2013
13.70%
1/29/2009
1/29/2014
14.00%
11/3/2010
11/3/2016
10.75%
11/3/2010
11/3/2017
10.75%
11/3/2010
11/3/2018
10.75%
11/3/2010
11/3/2019
10.75%
11/3/2010
11/3/2020
10.75%
3/24/2011
3/24/2014
9.25%
5/27/2011
8/27/2012
INDEX LINKED
5/10/2011
9/10/2013
INDEX LINKED
10/12/2010
10/3/2013
Index Linked
10/12/2010
10/5/2013
Index Linked
10/21/2010
1/21/2014
INDEX LINKED
10/28/2010
1/28/2014
INDEX LINKED
12/23/2010
4/23/2014
Index linked
5/12/2011
8/12/2014
INDEX LINKED
6/14/2012
9/14/2015
INDEX LINKED
18-05-2012
31-07-2015
INDEX LINKED
9/4/2009
9/4/2012
8.65%
7/12/2011
7/11/2014
10.25%
1/4/2012
1/4/2015
10.40%
1/27/2011
1/26/2014
9.40%
5/14/2010
8/14/2012
Nifty Linked
5/21/2010
8/21/2012
Nifty Linked
5/31/2010
8/31/2012
Nifty Linked
5/31/2010
8/31/2012
Nifty Linked
5/31/2011
8/31/2012
NIFTY LINKED
3/5/2010
9/5/2012
7.64%
6/22/2011
9/21/2012
NIFTY LINKED
6/24/2011
9/24/2012
NIFTY LINKED
11/2/2011
10/8/2012
NIFTY LINKED
8/10/2010
11/10/2012
NIFTY LINKED
8/10/2011
11/12/2012
NIFTY LINKED
7/18/2011
11/19/2012
NIFTY LINKED
7/27/2011
11/27/2012
NIFTY LINKED
7/29/2011
11/29/2012
NIFTY LINKED
9/6/2010
12/3/2012
9/3/2010
12/3/2012
INDEX LINKED
9/13/2011
12/13/2012
NIFTY LINKED
9/21/2010
12/21/2012
10/1/2010
12/27/2012
9/30/2010
12/31/2012
NIFTY LINKED
1/12/2010
1/3/2013
NIFTY LINKED
8/30/2011
1/7/2013
NIFTY LINKED
10/8/2010
1/8/2013
NIFTY LINKED
10/8/2010
1/8/2013
NIFTY LINKED
7/4/2011
1/11/2013
NIFTY LINKED
10/15/2010
1/15/2013
NIFTY LINKED
10/18/2011
1/18/2013
NIFTY LINKED
10/5/2011
1/21/2013
NIFTY LINKED
10/29/2010
1/29/2013
NIFTY LINKED
7/29/2011
2/8/2013
NIFTY LINKED
8/5/2011
2/12/2013
NIFTY LINKED
8/24/2011
2/25/2013
NIFTY LINKED
11/30/2010
2/28/2013
NIFTY LINKED
8/30/2011
2/28/2013
NIFTY LINKED
3/5/2010
3/5/2013
7.64%
3/3/2011
3/6/2013
NIFTY LINKED
9/20/2011
3/20/2013
NIFTY LINKED
9/30/2011
3/29/2013
NIFTY LINKED
12/9/2011
4/9/2013
NIFTY LINKED
1/28/2011
4/29/2013
NIFTY LINKED
12/29/2011
4/29/2013
NIFTY LINKED
1/31/2012
5/1/2013
NIFTY LINKED
1/12/2012
5/13/2013
NIFTY LINKED
12/1/2011
5/22/2013
NIFTY LINKED
1/31/2012
5/22/2013
NIFTY LINKED
2/24/2010
5/24/2013
Nifty Linked
12/5/2011
5/27/2013
NIFTY LINKED
12/7/2011
5/28/2013
NIFTY LINKED
2/10/2012
5/31/2013
NIFTY LINKED
6/12/2010
6/3/2013
NIFTY LINKED
6/10/2011
6/10/2013
NIFTY LINKED
1/11/2012
6/12/2013
10.60%
3/20/2012
6/21/2013
NIFTY LINKED
3/26/2010
6/26/2013
Nifty Linked
7/5/2010
7/8/2013
Nifty Linked
4/13/2012
7/15/2013
NIFTY LINKED
3/29/2012
7/22/2013
NIFTY LINKED
4/26/2012
7/26/2013
NIFTY LINKED
4/26/2012
7/26/2013
NIFTY LINKED
4/28/2010
7/29/2013
Nifty Linked
4/29/2011
7/29/2013
NIFTY LINKED
3/6/2012
7/29/2013
NIFTY LINKED
4/30/2012
7/30/2013
NIFTY LINKED
4/19/2012
8/2/2013
NIFTY LINKED
4/19/2012
8/2/2013
NIFTY LINKED
9/12/2010
8/3/2013
NIFTY LINKED
5/5/2010
8/5/2013
Nifty Linked
5/5/2010
8/5/2013
Nifty Linked
5/6/2010
8/6/2013
Nifty Linked
5/28/2010
8/28/2013
Nifty Linked
5/18/2012
9/2/2013
NIFTY LINKED
5/18/2012
9/2/2013
NIFTY LINKED
6/6/2012
9/6/2013
NIFTY LINKED
8/9/2011
9/9/2013
NIFTY LINKED
10/6/2010
9/10/2013
Nifty Linked
2/17/2012
9/12/2013
NIFTY LINKED
5/17/2012
9/17/2013
NIFTY LINKED
3/6/2012
9/20/2013
NIFTY LINKED
5/22/2012
9/23/2013
NIFTY LINKED
5/25/2010
9/25/2013
Nifty Linked
6/28/2010
9/30/2013
Nifty Linked
6/30/2011
9/30/2013
NIFTY LINKED
5/29/2012
9/30/2013
NIFTY LINKED
6/29/2012
9/30/2013
NIFTY LINKED
6/6/2012
10/7/2013
NIFTY LINKED
10/5/2010
10/9/2013
Nifty Linked
10/5/2010
10/9/2013
Nifty Linked
6/14/2012
10/14/2013
14.95%
6/29/2012
10/14/2013
NIFTY LINKED
7/26/2010
10/26/2013
NIFTY LINKED
7/15/2010
11/15/2013
Nifty Linked
7/19/2010
11/19/2013
NIFTY LINKED
7/21/2010
11/21/2013
NIFTY LINKED
7/23/2010
11/23/2013
NIFTY LINKED
7/30/2010
11/30/2013
NIFTY LINKED
9/2/2011
12/2/2013
NIFTY LINKED
9/6/2010
12/3/2013
NIFTY LINKED
8/9/2010
12/9/2013
NIFTY LINKED
12/19/2011
12/18/2013
11.50%
9/21/2010
12/20/2013
NIFTY LINKED
6/22/2012
12/23/2013
17%
10/1/2010
12/27/2013
NIFTY LINKED
8/31/2010
12/30/2013
NIFTY LINKED
6/29/2012
12/30/2013
17%
8/31/2010
12/31/2013
INDEX LINKED
7/6/2012
1/6/2014
17%
9/9/2010
1/9/2014
NIFTY LINKED
7/16/2012
1/17/2014
ZERO COUPON
10/18/2011
1/20/2014
NIFTY LINKED
10/18/2011
1/20/2014
NIFTY LINKED
10/19/2011
1/20/2014
NIFTY LINKED
10/19/2011
1/20/2014
NIFTY LINKED
9/29/2010
1/29/2014
NIFTY LINKED
9/30/2010
1/30/2014
COMMODITY LINKED
10/4/2010
2/3/2014
NIFTY LINKED
10/15/2010
2/14/2014
11/22/2010
2/19/2014
NIFTY LINKED
10/22/2010
2/21/2014
11/24/2010
2/24/2014
NIFTY LINKED
11/24/2010
2/24/2014
NIFTY LINKED
10/28/2010
2/28/2014
NIFTY LINKED
10/29/2010
2/28/2014
11/30/2010
2/28/2014
NIFTY LINKED
11/30/2010
3/31/2014
COMMODITY LINKED
4/2/2011
4/8/2014
1/12/2012
4/14/2014
NIFTY LINKED
12/21/2010
4/21/2014
COMMODITY LINKED
12/22/2010
4/22/2014
Commodity Linked
12/24/2010
4/24/2014
COMMODITY LINKED
1/25/2011
4/25/2014
NIFTY LINKED
1/21/2011
5/21/2014
NIFTY LINKED
1/21/2011
5/21/2014
NIFTY LINKED
11/23/2010
5/23/2014
NIFTY LINKED
2/25/2011
5/26/2014
NIFTY LINKED
1/28/2011
5/28/2014
4/29/2011
5/29/2014
NIFTY LINKED
1/31/2011
5/30/2014
NIFTY LINKED
8/12/2010
6/6/2014
NIFTY LINKED
5/6/2011
6/6/2014
NIFTY LINKED
3/11/2011
6/11/2014
NIFTY LINKED
12/15/2010
6/16/2014
NIFTY LINKED
5/19/2011
6/19/2014
NIFTY LIKED
6/19/2012
6/19/2014
23.2%
2/21/2011
6/20/2014
NIFTY LINKED
5/20/2011
6/20/2014
NIFTY LINKED
5/20/2011
6/20/2014
NIFTY LINKED
12/23/2010
6/23/2014
NIFTY LINKED
5/23/2011
6/23/2014
NIFTY LINKED
5/27/2011
6/27/2014
NIFTY LINKED
3/30/2011
6/30/2014
NIFTY LINKED
5/31/2011
6/30/2014
NIFTY LINKED
6/29/2012
6/30/2014
23.2%
7/12/2010
7/3/2014
NIFTY LINKED
8/12/2010
7/3/2014
NIFTY LINKED
3/4/2011
7/4/2014
NIFTY LINKED
3/4/2011
7/4/2014
NIFTY LINKED
3/7/2011
7/7/2014
COMMODITY LINKED
3/7/2011
7/7/2014
COMMODITY LINKED
7/6/2012
7/7/2014
21.75%
3/8/2011
7/8/2014
COMMODITY LINKED
1/13/2011
7/14/2014
NIFTY LINKED
4/15/2011
7/14/2014
NIFTY LINKED
1/17/2011
7/17/2014
NIFTY LINKED
3/29/2011
7/29/2014
3/29/2011
7/29/2014
4/29/2011
7/29/2014
NIFTY LINKED
6/30/2011
7/30/2014
NIFTY LINKED
7/13/2011
8/13/2014
NIFTY LINKED
2/18/2011
8/18/2014
NIFTY LINKED
4/20/2011
8/20/2014
NIFTY LINKED
7/22/2011
8/22/2014
NIFTY LINKED
4/29/2011
8/29/2014
NIFTY LINKED
5/30/2011
8/29/2014
NIFTY LINKED
7/29/2011
8/29/2014
NIFTY LINKED
8/12/2011
9/12/2014
NIFTY LINKED
8/16/2011
9/16/2014
NIFTY LINKED
8/17/2011
9/17/2014
NIFTY LINKED
7/26/2011
9/26/2014
NIFTY LINKED
7/28/2011
9/29/2014
NIFTY LINKED
6/30/2011
9/30/2014
NIFTY LINKED
4/8/2011
10/8/2014
6/13/2011
10/13/2014
NIFTY LINKED
8/24/2011
10/24/2014
NIFTY LINKED
7/29/2011
10/29/2014
NIFTY LINKED
6/30/2011
10/30/2014
NIFTY LINKED
6/30/2011
10/30/2014
NIFTY LINKED
7/4/2011
11/4/2014
NIFTY LINKED
10/4/2011
11/4/2014
NIFTY LINKED
10/10/2011
11/10/2014
NIFTY LINKED
8/26/2011
11/24/2014
NIFTY LINKED
8/4/2011
12/5/2014
NIFTY LINKED
8/4/2011
12/5/2014
NIFTY LINKED
8/23/2011
12/23/2014
NIFTY LINKED
8/24/2011
12/24/2014
NIFTY LINKED
8/25/2011
12/24/2014
NIFTY LINKED
8/29/2011
12/29/2014
NIFTY LINKED
8/30/2011
12/30/2014
NIFTY LINKED
9/5/2011
1/5/2015
NIFTY LINKED
10/17/2011
1/19/2015
NIFTY LINKED
10/19/2011
1/19/2015
NIFTY LINKED
12/23/2011
1/23/2015
NIFTY LINKED
9/29/2011
1/29/2015
NIFTY LINKED
9/29/2011
1/29/2015
NIFTY LINKED
9/30/2011
1/30/2015
NIFTY LINKED
9/30/2011
1/30/2015
NIFTY LINKED
10/4/2011
2/4/2015
NIFTY LINKED
10/10/2011
2/10/2015
NIFTY LINKED
11/11/2011
2/11/2015
NIFTY LINKED
9/14/2011
2/16/2015
NIFTY LINKED
11/30/2011
3/2/2015
NIFTY LINKED
12/5/2011
3/5/2015
NIFTY LINKED
12/8/2011
3/9/2015
NIFTY LINKED
12/7/2011
3/9/2015
NIFTY LINKED
12/30/2011
3/30/2015
NIFTY LINKED
2/29/2012
3/30/2015
NIFTY LINKED
12/5/2011
4/2/2015
NIFTY LINKED
1/3/2012
4/3/2015
NIFTY LINKED
12/23/2011
4/23/2015
12/29/2011
4/29/2015
Monthly fixed coupon rate @0.50% for period from 29/06/2012 to 31/12/2014 & final coupon on redemption date will be paid based on performance of Nifty NIFTY LINKED
12/30/2011
4/30/2015
NIFTY LINKED
1/13/2012
5/13/2015
NIFTY LINKED
1/16/2012
5/18/2015
NIFTY LINKED
1/31/2012
5/18/2015
NIFTY LINKED
1/31/2012
5/18/2015
NIFTY LINKED
2/10/2012
5/25/2015
NIFTY LINKED
1/31/2012
6/1/2015
NIFTY LINKED
3/6/2012
6/22/2015
NIFTY LINKED
2/23/2012
6/23/2015
NIFTY LINKED
2/28/2012
6/29/2015
NIFTY LINKED
3/5/2012
7/6/2015
NIFTY LINKED
3/20/2012
7/16/2015
NIFTY LINKED
3/28/2012
7/20/2015
NIFTY LINKED
3/22/2012
7/22/2015
NIFTY LINKED
3/27/2012
7/27/2015
NIFTY LINKED
3/6/2012
8/6/2015
NIFTY LINKED
3/6/2012
8/6/2015
NIFTY LINKED
4/17/2012
8/20/2015
NIFTY LINKED
4/24/2012
8/24/2015
NIFTY LINKED
3/28/2012
8/31/2015
NIFTY LINKED
5/8/2012
9/8/2015
NIFTY LINKED
5/29/2012
9/29/2015
NIFTY LINKED
5/30/2012
9/30/2015
NIFTY LINKED
5/31/2012
10/1/2015
NIFTY LINKED
6/5/2012
10/5/2015
NIFTY LINKED
6/7/2012
10/7/2015
NIFTY LINKED
6/8/2012
10/8/2015
NIFTY LINKED
6/15/2012
10/15/2015
NIFTY LINKED
6/22/2012
10/22/2015
NIFTY LINKED
6/29/2012
10/29/2015
NIFTY LINKED
6/29/2012
10/29/2015
NIFTY LINKED
6/29/2012
10/29/2015
NIFTY LINKED
7/6/2012
11/6/2015
NIFTY LINKED
7/6/2012
11/6/2015
NIFTY LINKED
7/10/2012
11/10/2015
NIFTY LINKED
7/18/2012
11/18/2015
NIFTY LINKED
7/6/2012
11/23/2015
NIFTY LINKED
7/27/2012
11/27/2015
NIFTY LINKED
7/31/2012
12/1/2015
NIFTY LINKED
7/17/2012
12/4/2015
NIFTY LINKED
6/25/2009
10/25/2012
Nifty Linked
7/7/2009
11/6/2012
Nifty Linked
10/8/2009
11/6/2012
Nifty Linked
7/8/2009
11/8/2012
Nifty Linked
7/20/2009
11/16/2012
Nifty Linked
8/28/2009
11/28/2012
Nifty Linked
7/31/2009
11/30/2012
Nifty Linked
8/4/2009
12/3/2012
Nifty Linked
8/12/2009
12/3/2012
Nifty Linked
8/17/2009
12/14/2012
Nifty Linked
8/25/2009
12/26/2012
Nifty Linked
10/1/2009
12/31/2012
Nifty Linked
11/19/2009
2/18/2013
Nifty Linked
11/30/2009
2/28/2013
8/5/2011
7/29/2013
10.60%
3/2/2007
1/21/2014
12.78%
2/7/2012
4/16/2013
11.12%
1/11/2012
6/12/2013
10.60%
8/12/2010
12/8/2012
11.00%
12/20/2011
12/20/2016
13.40%
5/24/2012
5/24/2019
13.50%
7/20/2012
7/20/2019
13.25%
12/23/2010
12/23/2015
10.75%
3/30/2011
3/30/2018
11.25%
10/4/2008
10/3/2018
Zero Coupon
2/8/2010
2/8/2013
9.15%
4/11/2012
4/11/2017
10.75%
9/2/2010
9/1/2014
16.50%
5/29/2012
5/31/2019
11.25%
6/15/2010
12/15/2012
8.80%
6/15/2010
6/15/2013
8.80%
6/15/2010
12/15/2013
8.80%
6/15/2010
6/15/2014
8.80%
6/15/2010
12/15/2014
8.80%
6/15/2010
6/15/2015
8.80%
31.1.2011
31.1.2019
12/24/2008
12/23/2013
12.50%
3/26/2012
9/26/2016
15%
9/17/2010
9/20/2013
12.50%
1/31/2011
12/30/2013
14.00%
12/24/2007
12/24/2012
11.00%
10/12/2009
4/12/2013
11.15%
10/31/2009
5/1/2013
11.15%
10/12/2009
10/12/2013
11.15%
10/31/2009
10/31/2013
11.15%
3/24/2009
3/24/2014
13.00%
10/12/2009
4/12/2014
11.15%
10/31/2009
5/1/2014
11.15%
7/31/2009
7/31/2014
11.25%
10/12/2009
10/12/2014
11.15%
10/31/2009
10/31/2014
11.15%
2/27/2010
11/27/2014
11.15%
12/21/2009
12/20/2014
10.50%
6/5/2009
6/4/2016
13.00%
7/30/2010
7/30/2013
9.30%
7/30/2010
7/30/2017
9.65%
4/21/2003
4/20/2016
4/21/2003
7/23/2018
12.50%
4/6/2010
3/31/2018
11.25%
8/4/2010
3/31/2018
10.25%
8/6/2010
7/6/2013
NA
6/23/2012
6/23/2017
13.1%
6/28/2012
6/28/2017
13.1%
6/22/2009
6/22/2019
11.35%
3/25/2010
3/25/2020
11.35%
10/10/2003
3/31/2018
8.00%
6/13/2011
6/13/2018
13.40%
3/20/2012
3/21/2013
13%
1/15/2010
1/6/2015
12.00%
9/11/2002
9/11/2012
7.85%
11/21/2002
11/21/2012
7.30%
1/15/2003
12/15/2012
6.45%
1/21/2003
1/21/2013
Zero Coupon
6/19/2003
6/19/2013
6.35%
6/23/2003
6/23/2013
6.35%
8/5/2003
8/5/2013
6.31%
9/22/2003
9/22/2013
6.08%
3/17/2011
3/17/2014
9.35%
3/22/2011
3/22/2014
9.38%
3/29/2011
3/6/2016
9.20%
8/2/2011
8/2/2016
9.02%
11/1/2011
11/1/2016
8.90%
8/5/2002
8/5/2017
8.66%
9/12/2002
9/12/2017
8.40%
2/25/2011
2/25/2021
9.15%
3/18/2011
3/18/2021
9.15%
3/30/2011
3/30/2021
9.15%
8/3/2011
8/3/2021
9.15%
12/13/2007
12/13/2012
9.25%
12/26/2007
12/26/2012
9.25%
1/3/2008
1/3/2013
9.15%
3/4/2008
3/4/2013
9.20%
3/18/2008
3/18/2013
9.25%
7/22/2008
7/22/2013
10.80%
8/27/2010
8/27/2013
7.70%
9/15/2010
9/15/2013
7.80%
9/28/2010
9/28/2013
8.00%
10/12/2010
10/12/2013
8.75%
11/10/2010
11/10/2013
8.20%
12/12/2008
12/12/2013
9.50%
12/18/2008
12/18/2013
9.25%
6/15/2011
6/15/2014
9.45%
8/2/2011
8/2/2014
9.10%
10/7/2011
10/7/2014
9.40%
10/10/2011
10/10/2014
9.40%
11/3/2011
11/3/2014
9.55%
11/4/2011
11/4/2014
9.50%
11/11/2011
11/11/2014
9.60%
11/25/2011
11/27/2014
9.45%
12/5/2011
12/5/2014
9.44%
12/9/2011
12/9/2014
9.60%
2/9/2012
2/9/2015
9.25%
5/16/2012
5/16/2015
9.50%
6/12/2012
6/12/2015
9.55%
6/29/2012
6/29/2015
9.40%
7/6/2012
7/6/2015
9.32%
7/10/2012
7/10/2015
9.25%
7/15/2010
7/15/2015
8.10%
7/16/2012
7/16/2015
9.35%
7/17/2012
7/17/2015
9.25%
7/20/2012
7/20/2015
9.15%
7/23/2012
7/23/2015
9.16%
9/8/2010
9/8/2015
8.45%
10/15/2010
10/15/2015
8.45%
12/22/2010
12/22/2015
8.92%
8/9/2011
8/9/2016
9/16/2011
9/16/2016
9.15%
9/21/2011
9/21/2016
9.15%
9/27/2011
9/27/2016
9.35%
3/15/2007
3/15/2017
9.85%
3/21/2007
3/21/2017
9.85%
3/26/2007
3/26/2017
9.85%
4/27/2012
4/27/2017
9.20%
1/10/2012
1/10/2019
9%
8/25/2010
8/25/2020
8.70%
9/9/2010
9/9/2020
8.70%
9/13/2010
9/13/2020
8.68%
9/29/2011
9/29/2021
9.38%
2/7/2012
2/7/2022
9.00%
2/22/2012
2/22/2022
9.05%
3/21/2012
3/21/2022
9.30%
3/28/2012
3/28/2022
9.30%
4/18/2012
4/18/2022
9.25%
5/11/2012
5/11/2022
9.30%
7/12/2012
7/12/2022
9.25%
7/23/2010
7/23/2022
8.68%
7/28/2010
7/28/2022
8.68%
8/1/2012
8/1/2022
9.14%
8/16/2010
8/16/2022
8.72%
2/17/2006
2/17/2013
7.89%
1/29/2007
1/29/2014
9.04%
1/12/2006
1/12/2016
7.65% pa
1/16/2006
1/16/2016
7.65% pa
1/20/2006
1/20/2016
7.60% pa
3/17/2006
3/17/2016
8.21%
Put: NA Call: NA
01 - 76
1-500
Semi-Annually on 14th January & 14th Put: NA 1 to 1750 July Call: The issuer at the end of 3 year from the deemed date of Allotment at PAR. Issuer shall give a notice of his intention to exercise the call option by Annually on 12th October Put: N.A. 1 TO 6250 Call:12/10/2011
N.A.
401692 to 403200
700001-705000
600001 to 602635
800001-805000
NA
91001-96750
101001 to 105000
110001 to 117000
120001 to 123250
UT 2 - 10001 to 15000
UT 2 - 210001 to 215000
Put: N.A. Call:Call option may be exercised after the instrument has run for at least 10 years with prior approval of RBI (DBOD) Put: N.A. 100001 to 100300 Call:30/03/2019, Exercisable only with the prior approval of RBI Put: N.A. 100001 to 106000 Call:Exercisable after the instrument has run for at least 10 years with prior approval of RBI (DBOD)
Put: N.A. 100001 to 108000 Call:Call option may be exercised after the instrument has run for at least 10 years with prior approval of RBI (DBOD) Quarterly on 31st March;30th Put: N.A. 1 ( 1 to 500) June;30th September & 31st December Call: N.A.
NA
01-5792305
0001 to 2000
NA
NA
NA
NA
NA
Put: N.A. Call:On 11th year with prior approval of RBI i.e.23/06/2020 Put: N.A. Call:20/01/2020 subject to RBI approval Put: N.A. Call:11/06/2020 subject to RBI approval Put: NA Call:on 21st January 2021 subject to prior approval of RBI Put: NA Call:21/12/2021 01 - 3000
ANNUALLY ON 21ST DECEMBER TILL MATURITY IF CALL OPTION NOT EXERCISED Annually on 30th March
01 - 5000
Put: NA Call: NA
1 ( 01 - 5830 )
1-40
1-40
001 to 100
Quarterly on 28th February, 28th May, Put: NA 28th August, 28th November Call:Contact issuer for call option details. Quarterly on 28th February, 28th May, Put: NA 28th August, 28th November Call:Contact issuer for call option details. Quarterly on 30th June,30th September, 31st December. 31st March & on maturity Put: NA Call: NA
1 - 650
1 - 350
1 to 2000
na
Quarterly on 07th January 2012, 07th April 2012,07th July 2012, 07th October 2012 onwards Quarterly on 07th January 2012, 07th April 2012,07th July 2012, 07th October 2012 onwards Quarterly on 07th January 2012, 07th April 2012,07th July 2012, 07th October 2012 onwards Quarterly on 07th January 2012, 07th April 2012,07th July 2012, 07th October 2012 onwards Quarterly on 07th January 2012, 07th April 2012,07th July 2012, 07th October 2012 onwards Annually on 14th May & on maturity
Put: NA Call:11/11/2012
0001 - 0300
Put: NA Call: NA
0001 - 0150
Put: NA Call: NA
0001 - 0150
Put: NA Call:11/04/2014
0001 - 0150
Put: NA Call:11/11/2014
0001 - 0150
1-1000
1-500
7/1-250
On Put: N.A. 24/03/2010,24/03/2011,26/03/2012 & Call: N.A. 24/03/2012 Annually on 27/09/2010,26/09/2011,25/09/2012 Put: N.A. Call: N.A.
1-500
1-500,501-600
16/1-300
1-200
Annually on Put: N.A. 06/12/2008;07/12/2009;07/12/2010;0 Call: N.A. 7/12/2011;07/12/2012 & 07/06/2013 Annually on Put: N.A. 27/09/2010,26/09/2011,25/09/2012,2 Call: N.A. 5/09/2013 & 25/09/2014 Annually on Put: N.A. 22/11/2010;21/11/2011;20/11/2012;2 Call: N.A. 0/11/2013 & 20/11/2014 On 24/03/2010,24/03/2011,26/03/2012, 25/03/2012,24/03/2014 & 24/12/2014 Put: N.A. Call: N.A.
17/1-1000
1-250;251-350
1-1000
On Put: N.A. 22/11/2010,21/11/2011,20/11/2012,2 Call: N.A. 0/11/2013,20/11/2014 & 20/02/2015 Annually on 22nd February Put: N.A. Call: N.A.
1-150;151-350;351-500;501-530;531560;561-710;711-760;761-820;821-1000
1-250; 251-350
On Put: N.A. 28/03/2011,26/03/2012,26/03/2013,2 Call: N.A. 6/03/2014,26/03/2015,28/03/2016 & 27/03/2017 Annually on Put: N.A. 02/06/2009,02/06/2010,02/06/2011;0 Call: N.A. 1/06/2012,31/05/2013,02/06/2014,02 /06/2015,02/06/2016, Annually on 13th May & on maturity Put: N.A. Call: N.A.
1-150
18/1-100
Annually on Put: N.A. 28/04/2011,30/04/2012,29/04/2013,2 Call: N.A. 8/04/2014,28/04/2015,28/04/2016,28 /04/2017,30/04/2018 Annually on Put: N.A. 06/05/2011,07/05/2012,06/05/2013,0 Call: N.A. 6/05/2014,06/05/2015,06/05/2016,08 /05/2017,07/05/2018, Annualy on 6th July Put: N.A. Call: N.A.
1-1000
1-30;31-35;36-55;56-56;57-63;64-75;76105;106-115
1-500
ON MATURITY
Put: NA Call: NA
1 -100
NA
Put: NA Call: NA
1 - 110
Put: NA Call: NA
1 - 250
NA
Put: NA Call: NA
1 - 180
06TH OF AUG EVERY YEAR - ANNUALLY Put: NA (EXCEPT IN CASES OF NON BANKING Call:AFTER 10TH YEAR WITH PRIOR DAYS, THE NEXT DAY WOULD BE APPROVAL FROM RBI CONSIDERED) Annually on 25th June & on Maturity Put: NA Call: NA
1 - 1000
1 - 100
Put: NA Call: NA
1 - 500
Put: NA Call: NA
1 - 500
Put: NA Call: NA
1 - 150
NA
Put: NA Call: NA
1 - 250
Put: NA Call: NA
Put: NA Call: NA
ON MATURITY
Put: NA Call: NA
1 - 500
ON MATURITY
Put: NA Call: NA
1 - 500
NA
Put: NA Call: NA
1 - 500
NA
Put: NA Call: NA
1 - 47
NA
Put: NA Call: NA
1 - 30
Put: NA Call: NA
1 - 100
N.A.
Put: NA Call: NA
1-160
Put: NA Call: NA
1 - 100
Put: NA Call: NA
1-170, 171-250
1 - 100
NA
Put: NA Call: NA
1 - 1000
1 - 250
Put: NA Call: NA
1 - 500
Put: NA Call: NA
1 - 500
1 - 250
NA
Put: NA Call: NA
NA
Put: NA Call: NA
1 - 250
ON MATURITY
Put: NA Call: NA
1 - 150
ON MATURITY
Put: NA Call: NA
1 - 100
Put: NA Call: NA
1 - 500
ON MATURITY
Put: NA Call: NA
1 - 250
NA
Put: NA Call: NA
1 - 40
NA
Put: NA Call: NA
1 - 150
NA
Put: NA Call: NA
1 - 180
NA
Put: NA Call: NA
1-330
Put: NA Call: NA
1 - 200
Annually on 25/06/2012,24/06/2013,23/06/2014
Put: NA Call: NA
1 - 800
Put: NA Call: NA
1-250
For 1st year interest is annually and thereafter semi annually (22/08/2012, 22/02/2013, 22/08/2013,24/02/2014, 22/08/2014)
Put:on or before the following date 1 - 3000 07/09/2012, 07/02/2013, 07/08/2013, 07/02/2014 Call: NA
1 - 500
Put: NA Call: NA
1 - 500
1 - 300
NA
Put: NA Call: NA
1 - 600
NA
Put: NA Call: NA
1 - 600
NA
Put: NA Call: NA
1 -150
NA
Put: NA Call: NA
1 - 50
NA
Put: NA Call: NA
1 - 300
NA
Put: NA Call: NA
1 - 137
NA
Put: NA Call: NA
NA
Put: NA Call: NA
1 - 97
Put: NA Call: NA
1 - 250
Put: NA Call: NA
1-250
1 - 750
Annually & on Maturity (subject to Put: NA business day convention) Call: NA 02/07/2012,02/07/2013,30/06/2014,3 0/06/2015,30/06/2016,30/06/2017 & 02/07/2018 Annually on 01August & on Maturity Put: NA Call: NA
1 - 605
1-100, 101-130, 131-180, 181-210, 211240, 241-390, 391-490, 491-640, 641643 1-252
Annually on 09/08/2012, 09/08/2013, Put: NA 11/08/2014, 10/08/2015, 09/08/2016, Call: NA 09/08/2017, 09/08/2018 PAYABLE ANNUALLY ON AND MATURITY Put: NA (10.06.2013, 09.06.2014, 08.06.2015, Call: NA 08.06.2016, 08.06.2017, 08.06.18 & 07.06.2017 ANNUALLY AND ON MATURITY Put: NA Call: NA
1-500
1-200
ANNUALLY 20/05/2013, 19/05/2014, Put: NA 18/05/2015, 18/05/2016, 18/05/2017, Call: NA 18/05/2018, 17/05/2019 Annually on 11th October (except in cases of non banking days,the next banking days would be conside Semi - Annually on 29th June & 29th December Put: N.A. Call:after 10th year with prior approval from RBI Put: NA Call:after 10th year with prior approval from RBI
1-500
1 - 3000
1 to 2021
Semi annually on 18th February & 18th Put: NA August Call:after 10th year with prior approval from RBI SEMI ANNUALLY ON 1ST MARCH & 1ST SEPTEMBER Put: NA Call:AFTER 10TH YEAR WITH PRIOR APPROVAL FROM RBI Put: NA Call:after 10th year with prior approval from RBI Put: NA Call:AFTER 10TH YEAR WITH PRIOR APPROVAL FROM RBI Put: NA Call:AFTER 10TH YEAR WITH PRIOR APPROVAL FROM RBI Put: NA Call:AFTER 10TH YEAR WITH PRIOR APPROVAL FROM RBI
1 - 320
1 - 200
1 - 413
1 - 1500
1 - 2000
1 - 700
On Maturity
On Maturity
Put: N.A. NA Call:The Issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date & one Put: N.A. NA Call:The issure wil have the option to call the Debenture in full, for redemption on any business day between the conversion date and the Put: N.A. NA Call: N.A.
On Maturity
On Maturity
On Maturity
Put: N.A. NA Call:The issuer will have option to call the Debenture in full, for redemption on any business day between the conversion Date and one day prior to Put: N.A. NA Call:The issure wil have the option to call the Debenture in full, for redemption on any business day between the conversion date and the Put: N.A. NA Call: N.A.
On Maturity
NA
On Maturity
On Maturity
Put: N.A. NA Call:The issuer will have the option to elect a call date and for the Debenture to be Redeemed in full, on the business day falling 30 days after Put: N.A. NA Call:The Issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date & one Put: N.A. NA Call: N.A.
On Maturity
On Maturity
Put: N.A. Call:The issure wil have the option to call the Debenture in full, for redemption on any business day between the conversion date and the Put: N.A. Call: N.A.
NA
NA
On Maturity
NA
On maturity
Put: N.A. NA Call:The issure will have option to elect a call date and for debenture to be redeem in full, on the business day failling 30 days after the call date
On Maturity
NA
On Maturity
On Maturity
On maturity
Put: N.A. Call:The issure will have option to elect a call date and for debenture to be redeem in full, on the business day failling 30 days after the call date Put: N.A. Call:The issure will have option to elect a call date and for debenture to be redeem in full, on the business day failling 30 days after the call date Put: N.A. Call:The Issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date & one Put: N.A. Call: N.A.
NA
NA
NA
NA
on Maturity
On maturity
Put:the issuer may, (with one business day prior written notice) elect any business day between annual date and 61days prior ti the redemption and maturity date (inclusive of both day ) Put: N.A. Call:The issuer will have the option to call the Debenture in full, for redemption on any business day between the conversion date and the Put: N.A. Call:The issuer will have the option to call the Debenture in full, for redemption on any business day between the conversion date and the Put: N.A. Call: N.A.
NA
NA
NA
NA
On maturity
NA
On Maturity
Put: N.A. NA Call:The issuer will have the option to elect a call date and for the debenture to be reedee in full , on the business day falling 60 days after the call date Put: N.A. NA Call:Issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date and one day prior to Put: N.A. NA Call: N.A.
ON MATURITY
NA
On maturity
NA
On maturity
On maturity
on Maturity
ON MATURITY
Put: N.A. NA Call:The issuer will have the option to call the debenture in full,for redemption on any business day between the conversion date and 1day Put: N.A. NA Call:The issuer will have the option to call the Debenture in full, for redemption on any on any business day between the conversion date and one Put: N.A. NA Call: N.A.
ON MATURITY
on Maturity
On Maturity
On Maturity
Nifty Linked
On Maturity
Put: N.A. Call:The Issure will have option to elect a call date and for the Debenture to be redeemed in full, on the business day falling 30 days after Put: N.A. Call:The issuer will have option to elect a call date and for the debenture to be redeemed in full, on the business day falling 60 days after call Put: N.A. Call:The issuer will have option to elect a call date and for the debenture to be redeemed in full, on the business day falling 60 days after call Put: N.A. Call:The issure wil have the option to call the Debenture in full, for redemption on any business day between the conversion date and the Put: N.A. Call:The Issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date & the Put: N.A. Call: N.A.
NA
NA
NA
NA
NA
NA
On maturity
NA
On maturity
On maturity
On maturity
On maturity
Put: N.A. Call:The issuer will have the option to call the debenture in full,for redemption on any business day between the conversion date and 1day Put: N.A. Call:The issuer will have the option to call the debenture in full,for redemption on any business day between the conversion date and 1day Put: N.A. Call:The issuer will have the option to call the debenture in full,for redemption on any business day between the conversion date and 1day Put: N.A. Call: N.A.
NA
NA
NA
NA
On maturity
NA
ON MATURITY
NA
On maturity
NA
On maturity
On maturity
ON MATURITY
Put: N.A. NA Call:The Issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date and one Put: N.A. NA Call:The Issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date and one Put: N.A. NA Call: N.A.
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA Call:the issuer will have the option, to elect call date and for the debenture to be redeemed in full, on the business day falling 60days after the Put: NA Call:the issuer will have the option, to elect call date and for the debenture to be redeemed in full, on the business day falling 60days after the Put: NA Call:the issuer will have the option, to elect call date and for the debenture to be redeemed in full, on the business day falling 60days after the Put: NA Call:the issuer will have the option, to elect call date and for the debenture to be redeemed in full, on the business day falling 60days after the
NA
NA
NA
NA
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA Call:the issuer will have the option, to elect call date and for the debenture to be redeemed in full, on the business day falling 60days after the Put: NA Call:the issuer will have the option, to elect call date and for the debenture to be redeemed in full, on the business day falling 60days after the Put: NA Call:the issuer will have the option, to elect call date and for the debenture to be redeemed in full, on the business day falling 60days after the Put: NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full , on the business day falling 30days after the Put: NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full , on the business day falling 60days after the Put: NA Call: NA
NA
NA
NA
NA
NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full , on the business day falling 60days after the Put: NA NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full , on the business day falling 60days after the Put: NA NA Call: NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full, on the business day falling 60days after the Put: NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full, on the business day falling 60days after the Put: NA Call:the issuer wil ahve option to call date and for the debenture to be redeemed in full, on the business day falling 30 days after the call date. the Put: NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full, on the business day falling 60days after the
NA
NA
NA
NA
ON MATURITY
ON MATURITY
ON MATURITY
On Maturity
Put: NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full, on the business day falling 60days after the Put: NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full, on the business day falling 60days after the Put: NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full, on the business day falling 60days after the Put: N.A. Call: N.A.
NA
NA
NA
NA
ON MATURITY
ON MATURITY
ON MATURITY
On maturity
Put: NA Call:the issuer will have the option to call the debenture in full, on the busiuness day falling 60 days after the call date. the issuer may, (with one Put: NA Call:the issuer will have the option to elect a call date and for the debentures to be redeemed in full, on the busiuness day falling 60 days after Put: NA Call:the issuer will have the option to elect a call date and for the debentures to be redeemed in full, on the busiuness day falling 60 days after Put: N.A. Call: N.A.
NA
NA
NA
NA
On maturity
NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA Call:The issuer will have the option , to elect a call date and for the debenture to be redeem in full , on the business day falling 60days after Put: NA Call:The issuer will have the option to elect a call date and for the debentures to be redeemed in full on the business day falling 60 days after Put: NA Call:The issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date and the Put: NA Call:the issuer will have the option, to call debenture in full for redemption on any business day between the conversion date and one day prior to Put: NA Call:The issuer will have the option to elect a call date and for the debentures to be redeemed in full on the business day falling 60 days after
NA
NA
NA
NA
NA
On maturity
Put: NA Call: NA
NA
On maturity
NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put:NA Call:The issuer will have the option, to call the debenture in full, for redemption on any business day between the conversion date and the Put:NA Call:The issuer will have the option, to elect a call date and for the debenture to be redeemed in full, on the business day falling 60 days after the Put:NA Call:The issuer will have the option, to elect a call date and for the debenture to be redeemed in full, on the business day falling 60 days after the Put: NA Call:The issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date and one Put: N.A. Call: N.A.
NA
NA
NA
NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA Call:the issuer will have the option to call the debenture in full, for redemption on any busiuness day between the conversion date and one Put: NA Call:The issuer may, (with one business day prior written notice) elect any business day between annual date and 61days prior to the Put: NA Call:The issuer may, (with one business day prior written notice) elect any business day between annual date and 61days prior to the Put: NA Call: NA
NA
NA
NA
NA
On maturity
Put: NA Call: NA
NA
on maturity
Put: NA NA Call:The issuer will have the option to elect a call date and for the debentures to be redeemed in full, on the business day falling 30 days after
on maturity
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
ON MATURITY
Put: NA Call:THE ISSUER MAY (WITH ONE BUSINESS DAY'S PRIOR WRITTEN NOTICE) ELECT ANY BUSINESS DAY BETWEEN ANNUAL DATE AND 31 DAYS Put: NA Call: NA
NA
NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA Call:THE ISSUER MAY (WITH ONE BUSINESS DAY'S PRIOR WRITTEN NOTICE) ELECT ANY BUSINESS DAY BETWEEN CONVERSION DATE AND ONE Put: NA Call:THE ISSUER MAY, (WITH ONE BUSINESS DAY'S PRIOR WRITTEN NOTICE) ELECT ANY BUSINESS DAY BETWEEN ANNUAL DATE AND 31 DAYS Put: NA Call:THE ISSUER MAY, (WITH ONE BUSINESS DAY'S PRIOR WRITTEN NOTICE) ELECT ANY BUSINESS DAY BETWEEN ANNUAL DATE AND 61 DAYS Put: NA Call: NA
NA
NA
NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
ON MATURITY
Put: NA Call:THE ISSUER MAY, (WITH ONE BUSINESS DAY'S PRIOR WRITTEN NOTICE ) ELECT ANY BUSINESS DAY BETWEEN ANNUAL DATE AND 31 DAYS Put: NA Call:
NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:The issuer may (with one business day's prior written notice) elect any business day between annual date and 31 days prior to the redemption and Put: NA NA Call:The issuer may (with one business day's prior written notice) elect any business day between conversion date and 31 days prior to the redemption Put: NA NA Call: NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:THE ISSUER MAY (WITH 1 BUSINESS DAYS PRIOR NOTICE ) ELECT ANY BUSINESS DAY BETWEEN CONVERSION DATE AND 61 DAYS PRIOR TO THE Put: NA NA Call:THE ISSUER MAY (WITH 1 BUSINESS DAYS PRIOR NOTICE ) ELECT ANY BUSINESS DAY BETWEEN CONVERSION DATE AND 61 DAYS PRIOR TO THE Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE. Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA NA Call:the issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date and one Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA Call: NA NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA Call: NA
NA
On maturity
Put: NA Call: NA
NA
ON MATURITY
Put: NA NA Call:The issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date and one Put: NA NA Call: NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
on maturity
Put: NA Call: NA
NA
ON MATURITY
Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA NA Call:Yes, Contact issuer for call option details Put: NA Call:The issuer may (with one business day's prior written notice) elect any business day between conversion date and 121 days prior to the redemption Put: NA Call:THE ISSUER MAY (WITH 1 BUSINESS DAYS PRIOR NOTICE ) ELECT ANY BUSINESS DAY BETWEEN CONVERSION DATE AND 121 DAYS PRIOR TO THE Put: NA Call:THE ISSUER MAY (WITH 1 BUSINESS DAYS PRIOR NOTICE ) ELECT ANY BUSINESS DAY BETWEEN CONVERSION DATE AND 121 DAYS PRIOR TO THE Put: NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA Call:THE ISSUER MAY (WITH ONE BUSINESS DAY'S PRIOR WRITTEN NOTICE) ELECT ANY BUSINESS DAY BETWEEN CONVERSION DATE AND NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:THE ISSUER MAY,(WITH ONE BUSINESS DAY'S PRIOR WRITTEN NOTICE) ELECT ANY BUSINESS DAY BETWEEN CONVERSION DATE AND 121 Put: NA NA Call:ISSUER WILL HAVE THE OPTION TO CALL THE DEBENTURE IN FULL, FOR REDEMPTION ON THE CALL DATE Put: NA Call: NA NA
ON MATURITY
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA Call:The issuer will have option to elect a call date and for the debenture to be redeemed in full, on the business day falling 60 days after call Put: NA Call:The issuer will have option to elect a call date and for the debenture to be redeemed in full, on the business day falling 60 days after call Put: NA Call:The issuer will have option to elect a call date and for the debenture to be redeemed in full, on the business day falling 60 days after call Put: NA Call:the issuer will have the option the call the debenture in full, for redemption on any business day between the conversion date and one Put: NA Call: NA
NA
NA
NA
NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
ON MATURITY
Put: NA NA Call:The issuer will have option, to elect a call date and for the debenture to be redeemed in full on the business day falling 30 days after the call date. Put: NA NA Call: NA
ON MATURITY
ON MATURITY
Put: NA NA Call:The issuer will have the option, to elect a call date and for the debenture to be redeemed in full ,on the business day falling 60days after the Put: NA NA Call: The issuer will have option to elect call date and for the debenture to be redeemed in full on the business day falling 60 days after the call date.
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:The issuer will have option to elect a call date and for the debenture to be redeemed in full, on the business day falling 60 days after the Put: NA NA Call:The issuer will have option to elect a call date and for the debenture to be redeemed in full, on the business day falling 60 days after the Put: NA NA Call: NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
On Redemption and Maturity date or such prior date on which the debenture is redeemed pursuant to the exercise of the issuer's call option subject to modified following business On Redemption and Maturity date or such prior date on which the debenture is redeemed pursuant to the exercise of the issuer's call option subject to modified following business Annually on 3rd September & On Maturity
Put: NA NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full, on the business day falling 60 days after the Put: NA NA Call:the issuer will have the option, to elect a call date and for the debenture to be redeemed in full, on the business day falling 60 days after the Put: N.A. NA Call: N.A.
On maturity
NA
On maturity
NA
On maturity
Put: N.A. NA Call:Issuer will have the option to call the debenture in full, for redemption on any business day between the conversion date & the redemption &
On maturity
NA
On maturity
NA
On maturity
On maturity
NA
NA
On maturity
NA
NA
Annually on 11thFebruary
NA
On maturity
NA
On maturity
NA
On maturity
NA
NA
NA
N.A.
Put: NA 01-750 Call:CALL OPTION IS AVAILABLE TO THE COMPANY BY GIVING ONE MONTHS NOTICE AT ANY TIME AFTER ONE YEAR Put: N.A. Call: N.A.
NA
NA
NA
Bullet Redemption
NA
NA
NA
NA
NA
001 to 1000
Put:two equal tranches at 30/04/2013 1001 TO 2000 & 30/04/2014 Call: NA 1 - 470
QUARTERLY ON 31ST MARCH, 30TH Put: NA JUNE, 30TH SEPTEMBER, 31ST Call: NA DECEMBER EVERY YEAR AND MATURITY 25/12/15 QUARTERLY ON 31ST MARCH, 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER QUARTERLY ON 31ST MARCH, 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER PAYABLE AT THE END OF EVERY FINANCIAL QUARTER Put: NA Call: NA
001 - 400
Put: NA Call: NA
001 - 350
Put:PUT OPTION COULD BE EXERECISED 1-1000 BY DEBENTURE HOLDER AT ANY OF THE FOLLOWING DATES 10/07/2013 AND EVERY 90 DAYS THEREAFTER Call:CALL OPTION COULD BE 30/06/2012, 30/09/2012, 31/12/2012, Put:CONTACT ISSUER FOR FURTHER 1-600 31/03/2013, 30/06/2013, 30/09/2013, DETAILS 31/12/2013, 31/03/2014, 30/0 Call:CONTACT ISSUER FOR FURTHER DETAILS N.A Put: N.A. Call: N.A. 01 (001 to 27160000)
02 (27160001 TO 63158232)
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
01 TO 282817658
0001 to 5500
Semi annually on 24th March and 24th Put: N.A. September Call: N.A.
NA
NA
NA
NA
1 to 2000
1 to 5000
1 to 3000
1 to 7000
Put: N.A. Call:At the end of 10th year from the date of allotment i.e.06/05/2019 Put: N.A. Call:At the end of 10th year from the date of allotment i.e.28/05/2019 Put: N.A. Call:At the end of 10th year from the date of allotment i.e.10/08/2019 (subject to prior approval from RBI) Put: N.A. Call:At the end of 10th year from the date of allotment i.e.11/08/2019 (subject to prior approval from RBI) Put: N.A. Call:After 10 years i.e.19/01/2019
1 to 5000
1 to 5000
1 to 2500
1 to 3000
1 to 150
Put: N.A. Call:At the end of 10th year from the date of allotment i.e.10/07/2019 (subject to prior approval from RBI) Put: N.A. Call:At the end of 10th year from the date of allotment i.e.11/08/2019 (subject to prior approval from RBI) Put: N.A. Call:At the end of 10th year from the date of allotment i.e.26/08/2019 (subject to prior approval from RBI) Put: N.A. Call: N.A.
1 to 3000
1 to 1000
1 to 1000
001 to 1000
001 to 1000
001 to 750
Quarterly on 1st January, 1st April, 1st Put: NA July, 1st October Call: NA
001 to 1000
Put:28/11/2014 Call:28/11/2014
001 - 400
001 TO 750
Put:28/11/2014 Call:28/11/2014
001 - 400
001 TO 1000
Put: NA Call: NA
001 - 1300
Put:28/11/2014 Call:28/11/2014
001 - 400
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
ON MATURITY
Put: NA Call: NA
ON MATURITY
Put: NA Call: NA
ON MATURITY
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
NA
na
Put:18-12-2009 Call option, if the na company does not accept the reset coupon rate at the end of the 5th year Call:18-12-2009 Call option, if the company does not accept the reset
Half Yearly 1st January & 1st July every year till redemption
Put: N.A. na Call:If the Company does not accept the reset coupon rate at the end of 5th year from the deemed date of allotment Half Yearly 01st January and 01st July Put: N.A. NA Call:if the company does not accept reset coupon rate at the end of 5th yr from the deemed date of allotment Quarterly on 09th August;09th November;09th February & 09th May Put: N.A. Call: N.A. NA
Quarterly on 31st March, 30th June, 30th September and 31st December
Put: N.A. Call:At the end of 6th year from the date of first disbursement i.e.30/10/2006 and thereafter on every reset date if the company does Put: N.A. Call: N.A.
NA
1-6400
Put: NA Call: NA
00001 - 30000
Put: NA Call: NA
30001 - 44000
Put: NA Call: NA
00001 - 30000
NA
01 TO 3047704
ON MATURITY
Put: NA Call: NA
NA
NA
Put:14/11/2011 Call:14/11/2011
NA
NA
Quarterly on 30th Sept, 31st Dec ,31st Put: N.A. March and June 30th Call: N.A.
NA
NA
1 to 3499
Quarterly on 1st January,1st April,1st July & 1st October every year
001-500
001 to 500
001 to 500
001 to 500
001 - 1250
Semi annually on 2nd September & 2nd Put: N.A. March Call: N.A.
Semi annually on 2nd September & 2nd Put: N.A. March Call: N.A.
Semi annually on 2nd September & 2nd Put: N.A. March Call: N.A.
Semi annually on 2nd September & 2nd Put: N.A. March Call: N.A.
Semi annually on 2nd September & 2nd Put: N.A. March Call: N.A.
Semi annually on 2nd September & 2nd Put: N.A. March Call: N.A.
Semi annually on 2nd September & 2nd Put: N.A. March Call: N.A.
Semi annually on 2nd September & 2nd Put: N.A. March Call: N.A.
Semi annually on 2nd September & 2nd Put: N.A. March Call: N.A.
Semi annually on 2nd September & 2nd Put: N.A. March Call: N.A.
N.A.
NA
NA
NA
NA
ANNUALLY ON APRIL 01
Put: NA NA Call:CALL OPTION AFTER 10 YEARS i.e. 25.06.2022 Put: N.A. Call:At the end of 10 years from the date of allotment i.e. on 31/12/2017 Put: N.A. Call:At the end of 10 years from the date of allotment i.e. on 28/05/2019 & every year thereafter on each anniversary date (subject to prior Put: NA Call: NA NA
NA
ON MATURITY
1 TO 1700
On maturity
1 to 2100
On Maturity
1 TO 1700
On maturity
1 to 400
ON MATURITY
Put: NA Call: NA
1 TO 400
ON MATURITY
Put: NA Call: NA
1 TO 450
On Maturity
Put: NA Call: NA
1 to 1350
ON MATURITY
Put: NA Call: NA
1 TO 400
ON MATURITY
Put: NA Call: NA
1 TO 550
On maturity
1 to 600
On Maturity
1 TO 1000
ON MATURITY
Put: NA Call: NA
1 TO 1150
ON MATURITY
Put: NA Call: NA
1 TO 700
ON MATURITY
Put: NA Call: NA
1 TO 1000
On Maturity
1 TO 500
On maturity
1 to 2500
ON MATURITY
1 TO 475
ON MATURITY
Put: NA Call: NA
1 TO 400
ON MATURITY
Put: NA Call: NA
1 TO 400
ON MATURITY
Put: NA Call: NA
1 - 650
On maturity
1 to 1000
On maturity
1 to 400
ON MATURITY
1 TO 1480
ON MATURITY
1 TO 609
On maturity
1 to 600
On maturity
1 to 500
ON MATURITY
Put: NA Call: NA
1 TO 3000
ON MATURITY
Put: NA Call: NA
1 TO 500
On Maturity
1 TO 400
On maturity
1 to 700
On Maturity
1 to 1000
On maturity
1 to 920
ON MATURITY
Put: NA Call: NA
1 TO 250
On maturity
1 to 1000
On maturity
1 to 500
ON MATURITY
1 TO 280
ON MATURITY
1 TO 560
On maturity
1 to 2000
ON MATURITY
Put: NA Call: NA
1 TO 300
ON MATURITY
Put: NA Call: NA
1 TO 600
On maturity
1 to 500
On maturity
1 to 200
On maturity
1 to 400
On maturity
1 to 500
On Maturity
1 to 1250
ON MATURITY
Put: NA Call: NA
1 TO 250
On Maturity
1 to 900
On Maturity
1 to 950
On maturity
Put: NA Call: NA
1 TO 250
On Maturity
1 TO 120
On Maturity
1 TO 500
On Maturity
1 TO 220
ON MATURITY
Put: NA Call: NA
1 TO 500
ON MATURITY
Put: NA Call: NA
1 TO 400
ON MATURITY
1 TO 285
On Maturity
1 to 1000
On Maturity
NA
On Maturity
1 TO 700
On Maturity
1 to 300
On maturity
1 to 150
On maturity
1 to 100
On maturity
1 to 100
On maturity
1 to 70
ON MATURITY
Put: NA Call: NA
1 TO 450
ON MATURITY
Put: NA Call: NA
1 TO 500
ON MATURITY
Put: NA Call: NA
1 TO 500
ON MATURITY
Put: NA Call: NA
1 TO 600
ON MATURITY
Put: NA Call: NA
1 TO 600
ON MATURITY
Put: NA Call: NA
1 TO 400
ON MATURITY
Put: NA Call: NA
1 TO 1600
ON MATURITY
Put: NA Call: NA
1 TO 260
ON MATURITY
Put: NA Call: NA
1 TO 200
1 TO 500
Put: NA Call: NA
NA
ON MATURITY
Put: NA Call: NA
1 TO 500
ON MATURITY
Put: NA Call: NA
1 TO 200
ON MATURITY
Put: NA Call: NA
1 TO 800
ON MATURITY
Put: NA Call: NA
1 TO 200
ON MATURITY
Put: NA Call: NA
1 TO 250
ON MATURITY
Put: NA Call: NA
1 TO 1000
ON MATURITY
Put: NA Call: NA
1 TO 500
ON MATURITY
Put: NA Call: NA
1 TO 500
ON MATURITY
Put: NA Call: NA
1 TO 600
ON MATURITY
Put: NA Call: NA
1 TO 375
ON MATURITY
Put: NA Call: NA
1 TO 1400
ON MATURITY
Put: NA Call: NA
1 TO 450
ON MATURITY
Put: NA Call: NA
1 TO 500
ON MATURITY
Put: NA Call: NA
1 TO 900
On Maturity
Put: NA Call: NA
1 to 125
On Maturity
Put: NA Call: NA
1 to 500
ON MATURITY
Put: NA Call: NA
1 TO 765
ON MATURITY
Put: NA Call: NA
1 TO 765
ON MATURITY
Put: NA Call: NA
1 TO 500
ON MATURITY
Put: NA Call: NA
1 TO 210
ON MATURITY
Put: NA Call: NA
1 TO 1700
ON MATURITY
Put: NA Call: NA
1 TO 750
NA
NA
On Maturity
NA
Annually on Put: N.A. 29/04/2010;29/04/2011;27/04/2012;2 Call: N.A. 9/04/2013;29/04/2014;29/04/2015 & 29/04/2016 Annually on 15th October ( in case of Put: N.A. bank holiday the interest payment will Call: N.A. be made on preceding b Annually on 10th Noveber ( in case of Put: N.A. bank holiday the interest payment will Call: N.A. be made on preceding b
NA
NA
Annually on 8th January (In case of Put: N.A. bank holiday the interest payment will Call: N.A. be on preceding business Annually on 15th January (In case of Put: N.A. bank holiday the interest payment will Call: N.A. be on preceding business Annually on 22nd February Put: N.A. Call: N.A.
NA
NA
NA
Annually on 27th April (In case of bank Put: N.A. holiday the interest payment will be Call: N.A. on preceding business Annually on 16th August Put: N.A. Call: N.A.
NA
NA
NA
Annually on 23rd October (in case of bank holiday & saturday/sunday,the int payment will be on subse Annually on 31st August
NA
001 to 800
Put: NA Call: NA
NA
30488 to 30887
35308 to 44907
11653 to 12152
44908 to 54507
30938 to 31007
54508 to 67307
31558 to 32007
32108 to 32607
13603 to 14052
13603 to 14052
28748 to 29317
30288 to 30337
Put: NA Call: NA
NA
Put: NA Call: NA
NA
34058 - 35307
31008 to 31057
32008 to 32107
Put: NA Call: NA
NA
Put: NA Call: NA
NA
28748 to 29317
Put: NA Call: NA
NA
31453 TO 48952
Put:AT THE END OF 3RD AND 5TH YEAR FROM THE DATE OF ISSUE Call: NA Put: N.A. Call: N.A.
N.A.
33058 - 34057
Semi-Annually on 31st March and 30th Put: N.A. September. Call: N.A.
67308 TO 69957
13953 to 31452
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call:can be exercised, at par, by the issuer only at the end of 10 year from the deemed date of allotment ( the first call option date ) and at the end
Put: NA Call:can be exercised, at par, by the issuer only at the end of 10 yr from the deemed date of allotment( the first call option date )and at the end N.A.
SEMI ANNUAL ON JUNE 30 AND DECEMBER 31 EACH YEAR AND ON MATURITY SEMI ANNUAL ON JUNE 30 AND DECEMBER 31 EACH YEAR AND ON MATURITY DATES SEMI ANNUAL ON JUNE 30 AND DECEMBER 31 EACH YEAR AND ON MATURITY SEMI ANNUAL ON JUNE 30 AND DECEMBER 31 EACH YEAR AND ON MATURITY DATES Quarterly on 31st March, 30th June, 30th September, 31st December
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
NA
Put:DATE FALLING ON THE 184TH DAY 001644 TO 001978 FROM THE CLOSING DATE I.E.28/09/2012 Call: NA Put: NA Call: NA
NA
Put: NA Call: NA
Put: NA Call: NA
Put: NA Call: NA
Put: NA Call: NA
Put: NA Call: NA
Put: NA Call: NA
Put: NA Call: NA
Put: NA Call: NA
Put: NA Call: NA
Put: NA Call: NA
Put: NA Call: NA
SEMI-ANNUALLY ON 31st March & 30th Put:At the end of 5th year from the September deemed date of Allotment Call:At the end of 5th year from the deemed date of Allotment Annually on 29th September Put: NA Call: NA
Put: NA Call: NA
Put: NA Call: NA
Put: NA Call: NA
SEMI-ANNUALLY ON 31st March & 30th Put:At the end of the 5th year from September the deemed date of Allotment Call:At the end of the 5th year from the deemed date of Allotment SEMI-ANNUALLY ON 31st MARCH & 30th Put:At the end of the 5th year from SEPTEMBER the deemed date of Allotment Call:At the end of the 5th year from the deemed date of Allotment Annually on 18th February & on maturity Put: N.A. Call: N.A. 1-150
Semi annually on 30th September, 31st Put: N.A. March & on maturity Call: N.A.
1-3750
151-300
Semi annually on 30th September, 31st Put: N.A. March & on maturity Call: N.A.
3751-7500
301-525
526-750
NA
Put: NA Call: NA
CCD-01
1-1500
1 to 7000
1-1500
1-2000
NA
NA
0001 TO 1000
0001 TO 1000
0001 TO 1000
0001 TO 1000
0001 TO 1000
Put: NA Call: NA
On Maturity
Put: NA Call: NA
NA
On Maturity
Put: NA Call: NA
NA
On maturity
NA
On maturity
NA
On Maturity
NA
On Maturity
NA
On maturity
Put: NA Call: NA
NA
On Maturity
Put: NA Call: NA
NA
ON MATURITY 14/09/2015
Put: NA Call: NA
NA
ON MATURITY - 31/07/2015
Put: NA Call: NA
NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
On maturity
Put: N.A. Call:None, Except in case of early redemption Put: N.A. Call:None, Except in case of early redemption Put: N.A. Call:None, Except in case of early redemption Put: N.A. Call:None, Except in case of early redemption Put: NA Call:None,except in the case of early Redemption option
NA
On maturity
NA
On maturity
NA
On maturity
NA
ON MATURITY
NA
Semi annually on 5th September & 5th Put: N.A. March Call: N.A.
NA
ON MATURITY
Put: NA NA Call:None, exccept in the case of early redemption option Put: NA Call:None,except in the case of early redemption option NA
ON MATURITY
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: N.A. Call:None, Except in the case of early Redemption option NA
On Maturity
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: N.A. Call:None Except in the case of early Redemption NA
ON MATURITY
ON MATURITY
ON MATURITY
On Maturity
40980
Put: N.A. NA Call:None, Except in the Case of Early Redemption Put: NA NA Call:None, except in the case of early redemption option Put: N.A. NA Call:None, except in the case of early Redemption Put: N.A. NA Call:None, except in the case of early Redemption Put: N.A. Call:None, Except in the case of early redemption option NA
ON MATURITY
On Maturity
On Maturity
On Maturity
On Maturity
NA
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: N.A. NA Call:None, except in the case of early Redemption Put: N.A. NA Call:None, except in the case of early Redemption Put: NA NA Call:None, except in the case of early redemption option Put: N.A. Call:None, Except in the case of early redemption Put: NA Call:None,except in the case of early redemption option NA
On Maturity
On Maturity
ON MATURITY
On Maturity
ON MATURITY
NA
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: N.A. Call:None, Except in the case of early redemption NA
On Maturity
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: N.A. Call:None, Except in the case of early redemption NA
ON MATURITY
ON MATURITY
On Maturity
ON MATURITY
Semi annually on 5th September & 5th Put: N.A. March Call: N.A.
NA
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:None, except in the case of early Redemption option Put: NA Call:NONE, IN THE CASE OF EARLY REDEMPTIONN OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: N.A. Call:None, Except in the case of early redemption option Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION NA
ON MATURITY
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
On maturity
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: N.A. Call:None, Except in the case of early redemption Put: NA Call:None,except in the case of early redemption option Put: NA Call: NA
NA
On Maturity
NA
ON MATURITY
NA
Annually (10/01/2013)
1 TO 50
ON MATURITY
Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: N.A. Call:None , Except in case of early redemption option Put: N.A. Call:None,Except in case of early redemption Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: N.A. Call:None , Except in case of early redemption option Put: NA Call:NONE, EXCEPT IN CASE OF EARLY REDEMPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION
NA
On maturity
NA
On maturity
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
On maturity
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: N.A. Call:None, Except in the case of early Redemption option Put: N.A. Call: N.A.
NA
ON MATURITY
NA
ON MATURITY
NA
On Maturity
NA
On maturity
NA
On maturity
Put: N.A. Call:None , Except in case of early redemption option Put: N.A. Call: N.A.
NA
On maturity
NA
On Maturity
Put: N.A. Call:None,Except in the case of early redemption Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION
N.A.
02/09/2013
N.A.
02/09/2013
N.A.
ON MATURITY - 06/09/2013
NA
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: N.A. Call:None,Except in the case of early redemption Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION N.A
On Maturity
ON MATURITY
NA
ON MATURITY i.e. SEPTEMBER 17, 2013 Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION ON MATURITY Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION
NA
NA
ON MATURITY
NA
On maturity
Put: N.A. Call:None, Except in case of early redemption Put: N.A. Call:None,Except in the case of early redemption Put: NA Call:None,except in the case of early redemption option Put: NA Call:IN CASE OF EARLY REDEMPTION
NA
On Maturity
NA
ON MATURITY
NA
ON MATURITY
NA
30/09/2013
Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION
NA
ON MATURITY 07/10/2013
NA
On maturity
NA
On maturity
NA
ON MATURITY 14/10/2013
Put: NA Call: NA
NA
14/10/2013
Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: N.A. Call:None, except inthe case of early Redemption option
NA
On Maturity
NA
On Maturity
Put: N.A. Call:None,Except in the case of Early Redemption option Put: N.A. Call:None Except in the case of Early Redemption.
N.A
On Maturity
NA
On Maturity
Put: N.A. NA Call:None, except in the case of early Redemption option Put: N.A. NA Call:None, except in case of the early Redemption option Put: N.A. NA Call:None, except in the case of early Redemption option Put: NA NA Call:None, except in the case of early redemption option Put: N.A. NA Call:None, Except in the Case of Early Redemption Put: N.A. NA Call:None, except in the case of early Redemption Option Put: NA Call: NA 1 TO 2000
On Maturity
On Maturity
On maturity
On maturity
On Maturity
On Maturity
Put: N.A. NA Call:None, except in the case of early Redemption Put: NA Call: NA NA
ON MATURITY 23/12/2013
On Maturity
Put: N.A. NA Call:None, except in the case of early Redemption Put: N.A. Call:None, Except in the case of early Redemption Put: NA Call: NA NA
On Maturity
30/12/2013
NA
On Maturity
Put: N.A. Call:None, except in the case of Early Redemption option Put: NA Call: NA
NA
ON MATURITY 06/01/2014
NA
On Maturity
Put: N.A. NA Call:None, except in the case of early Redemption Put: NA Call: NA NA
NA
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: N.A. Call:None, Except in the case of early redemption NA
ON MATURITY
ON MATURITY
ON MATURITY
On Maturity
On Maturity
Put: N.A. NA Call:None, except in the case of early Redemption Put: N.A. Call:None, Except in the case of early redemption Put: N.A. Call:None, Except in the case of early redemption Put: N.A. Call:None, except in the case of Redemption Option Put: N.A. Call:None, Except in the case of early redemption NA
On Maturity
On Maturity
NA
on Maturity
NA
On Maturity
NA
on Maturity
Put: N.A. NA Call:None, except in the case of early Redemption option Put: N.A. Call:None, Except in the case of early redemption Put: N.A. Call:None, Except in the case of early redemption Put: N.A. Call:None, Except in the case of early redemption Put: N.A. Call:None, Except in the case of early redemption Put: N.A. Call:None, Except in the case of early redemption Put: NA Call:None,except in the case of early redemption option Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:None, Except in the case of early redemption option Put: NA Call:None, Except in the case of early redemption option Put: NA Call:None, Except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option NA
On Maturity
On Maturity
NA
ON MATURITY
NA
On Maturity
NA
On Maturity
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
on Maturity
NA
ON MATURITY
NA
ON MATURITY
NA
on Maturity
NA
ON MATURITY
on Maturity
NA
ON MATURITY
Put: NA NA Call:None, except in the case of early Redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option Put: N.A. Call:None, Except in the case of early Redemption option NA
on Maturity
ON MATURITY
ON MATURITY
NA
On Maturity
NA
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA Call:None, except in case of early redemption NA
ON MATURITY
On maturity
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: NA Call: NA NA
ON MATURITY 19/06/2014
ON MATURITY
Put: NA NA Call:None , except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option NA
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:None, Except in the case of early redemption option Put: NA Call:None.except in the case of early redemption option Put: NA Call:None.except in the case of early redemption option Put: NA Call:None, except in the case early redemption option Put: NA Call:None,except in the case of early redemption option Put: NA Call: NA NA
On maturity
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
30/06/2014
NA
On Maturity
Put: N.A. Call:None, Except in the case of early redemption Put: N.A. Call:None, Except in the case of early Redemption option Put: NA Call:None,except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option Put: NA Call: NA
NA
On Maturity
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY 07/07/2014
NA
ON MATURITY
on Maturity
Put: NA NA Call:None, except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option NA
ON MATURITY
ON MATURITY
Put: NA NA Call:None, except inn the case of early Redemption option Put: NA Call:None,except in the case of early redemption option Put: NA Call:None,except in the case of early of redemption option Put: NA Call:None.except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option NA
ON MATURITY
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option NA
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None ,except in the case of early redemption option Put: NA Call:None.except in the case of early redemption option NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option. Put: NA NA Call:None, except in the case of early redemption option. Put: NA NA Call:None, except in the case of early redemption option. Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: NA Call:None,except in the case of early redemption NA
ON MATURITY
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option. Put: NA NA Call:None, except in the case of early redemption option Put: NA Call:None,except in the case of early redemption option Put: NA Call: NA NA
ON MATURITY
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA NA Call:None, except in the case of early redemption option Put: NA Call:NONE, EXCEPT IN CASE OF EARLY REDEMPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION NA
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
Monthly on last official working day of Put: NA every month start from 29/06/2012 to Call:NONE,EXCEPT IN THE CASE OF 31/12/2014 & 23/04/2015. EARLY REDEMPTION OPTION ON MATURITY Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE,EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION
NA
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:NONE, EXCEPT IN THE CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY 08.09.2015
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY
NA
ON MATURITY 05/10/2015
NA
ON MATURITY 07/10/2015
NA
ON MATURITY 08/10/2015
NA
ON MATURITY 15/10/2015
Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION
NA
ON MATURITY 22/10/2015
NA
29/10/2015
NA
29/10/2015
NA
29/10/2015
NA
ON MATURITY 06/11/2015
NA
ON MATURITY 06.11.2015
NA
ON MATURITY 10/11/2015
NA
ON MATURITY 18/11/2015
NA
ON MATURITY 23.11.2015
NA
ON MATURITY 27/11/2015
NA
ON MATURITY 01/12/2015
NA
ON MATURITY 04/12/2015
Put: NA Call:IN CASE OF EARLY REDEMPTION OPTION Put: N.A. Call: N.A.
NA
On maturity
NA
On maturity
NA
On maturity
NA
On maturity
NA
on maturity
NA
On Maturity
NA
On maturity
NA
On maturity
NA
On maturity
NA
On maturity
NA
On maturity
NA
On maturity
NA
On maturity
NA
On maturity
NA
ON MATURITY
Put: NA Call: NA
1 TO 100
ON MATURITY
Put: NA Call: NA
1 TO 70
Annually (10/01/2013)
Put: NA Call: NA
1 to 50
Quarterly on 8th March, 8th June, 8th Put:08/12/2011 September & 8th December Call:08/12/2011
0001 to 1300
QUARTERLY ON 20TH MARCH, 20TH JUNE, 20TH SEPTEMBER, 20TH DECEMBER ANNUALLY 24.05.2013, 24.05.2014, 24.05.2015, 24.05.2016, 24.05.2017, 24.05.2018 AND 24.05.2019
Put:20/12/2014 Call: NA
0001 TO 1050
Put:24/05/2017 Call:24/05/2017
001-350
ANNUAL - 20/07/2013, 20/07/2014, Put:20/07/2017 20/07/2015, 20/07/2016, 20/07/2017, Call:20/07/2017 20/07/2018, 20/07/2019 Semi annually on 23rd December & 23rd June Put: NA Call: NA
001-100
1--2250
Put: NA Call: NA
1 - 1050
NA
NA
N.A.
Put:11/4/2015 Call:11/04/2015
NA
Quarterly on 1st December,1st March, Put: N.A. 1st June, 1st September Call: N.A.
001 - 2500
FIRST COUPON PAYMENT SHALL BE MADE ON 01/01/2013 AND ON QUARTERLY BASIS THEREAFTER THE COUPON SHALL BE PAID ON QUARTERLY BASIS (VIZ APR 01, JUL 01, Semi annually on 15th December & 15th June
Put: NA Call: NA
001 - 13600
Put: N.A. Call:It is applicable in the event of termination of concession agreement by NHAI on certain contingencies. Put: N.A. Call:It is applicable in the event of termination of concession agreement by NHAI on certain contingencies. Put: N.A. Call:It is applicable in the event of termination of concession agreement by NHAI on certain contingencies. Put: N.A. Call:It is applicable in the event of termination of concession agreement by NHAI on certain contingencies. Put: N.A. Call:It is applicable in the event of termination of concession agreement by NHAI on certain contingencies. Put: N.A. Call:It is applicable in the event of termination of concession agreement by NHAI on certain contingencies.
04
05
06
07
08
09
Quarterly on 30th April, 31st July, 31st Put: NA October, 31st January Call: NA
Quarterly on 31st March, 30th June, 30th September & 31st December
1 (1-500)
QUARTERLY ON 26TH JUNE, 26TH SEPTEMBER, 26TH DECEMBER, 26TH MARCH Quarterly on 15th December, 15th March, 15th June,15th September,
Put:YES CONTACT ISSUER FOR FURTHER DETAILS Call: YES CONTACT ISSUER FOR FURTHER DETAILS Put:At the end of 18 months i.e.20/03/2012 Call:At the end of 18 months i.e.20/03/2012
1 - 3600
NA
Quarterly on 1st January, 1st April,1st Put:at the end of 12 month. July, 1st October & on Maturity e.g.31/01/2012 Call:at the end of 12 month. e.g.31/01/2012 Monthly on 3rd of every month Put: N.A. Call: N.A.
NA
NA
Quarterly on 24th June, 24th September,24th December & 24th March Annually on 11th October
NA
01 to 03 (01 to 390)
01 to 10 (01 to 1000)
Quarterly on 20th March,20th June,20th September & 20th December Quarterly on 4th September,4th December,4th March & 4th June
NA
NA
Quarterly on 30th January, 30th April, Put: N.A. 30th July & 30th October Call: N.A.
NA
Quarterly on 30th January, 30th April, Put: N.A. 30th July & 30th October Call: N.A.
NA
Annually on 20th April each year commencing from 20th April,2007 (Refer Remark)
Put: N.A. NA Call:20/04/2010 (Contact to issuer for further detail) Refer Remark
Int upto 29/12/03 will be paid in one Put: N.A. bullet payment on 31/03/06, int from Call:by giving 15 days prior written 30/12/03 to 30/09/04 will notice (Refer Remark) Monthly on last day of every month Put: N.A. Call: N.A.
1-2000
1 - 1000
NA
1 to 1500
QUARTERLY ON 5th SEP, 5th DEC , 5th Put: NA MARCH & 5th JUNE EACH YEAR Call: NA
NA
PAYABLE QTLY ON 18TH OF SEP, DEC, MAR & JUNE EACH YEAR
Put: NA Call: NA
N.A.
Quarterly On 22nd September, 22nd December, 22nd March & 22nd June
Put:22/06/2014 Call:22/06/2014
Quarterly on 25th June,25th September,25th December & 25th March Half Yearly, 30th Sept & 31st March
Put:25/03/2015 Call:25/03/2015
0000000001 to 2000000000
Put: NA 001 to 018, 1 to 41334 Call:The Co & any of its subsidiaries may at any time purchase in the open market or otherwise at any price. Any purchase by tender shall be made Monthly on the last date of the month Put:at the end of 36 month 001 ( 1 - 10000 ) (13/06/2014 from the deemed date of allotment (viz. 13/06/2011 ) Call:at the end of 36 month (13/06/2014 from the deemed date of ON MATURITY Put:OPTION AT THE END OF 6 MONTH. 1 TO 300 DT- 20/09/2012 Call:OPTION AT THE END OF 6 MONTH. DT- 20/09/2012 Quarterly on 31st March,30th Put: N.A. June,30th September & 31st December Call: N.A. 02 ; 1-500
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
NA
Put: NA Call: NA
NA
Put:22/03/2013 Call:22/03/2013
NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
N.A.
N.A.
N.A.
N.A.
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
NA
NA
NA
NA
NA
NA
Put:27/08/2012 Call:27/08/2012
NA
Put:2 year ( Sept 15, 2012 ) Call:2 year ( Sept 15, 2012 )
NA
Put:28/09/2012 Call:28/09/2012
NA
Put:10/12/2012 Call:10/12/2012
NA
NA
NA
NA
Put:15-09-2012 Call:15-09-2012
NA
Put:03/08/2012 Call:03/08/2012
NA
If put/call option is exercised, the Put:08/10/2012 interest will be paid on 08/10/2012. If Call:08/10/2012 no put/call option is exercised,the interest will be paid on 08/10/2012, 07/10/2013 & on Maturity If put/call option is exercised, the Put:11/10/2012 interest will be paid on 11/10/2012. If Call:11/10/2012 no put/call option is exercised,the interest will be paid on 11/10/2012, 10/10/2013 & on Maturity Annually on 3rd November Put:03/11/2013 Call:03/11/2013
NA
NA
NA
Put:04/11/2013 Call:04/11/2013
NA
If put/call option is exercised,the interest will be paid on 12/11/2012.If no put/call option is exercised,the interest will be paid on 12/11/2012, 11/11/2013 & 11/11/2014 Annually on 25th November
Put:12/11/2012 Call:12/11/2012
NA
Put: NA Call: NA
NA
Put:06/12/2012 Call:06/12/2012
NA
If put / call option are exercised, then Put:10/12/2012 interest payment will be on Call:10/12/2012 10/12/2012, if put/call option are not exercised,then interest payment will be on 10/12/2012,09/12/2013 &
NA
IF PUT/CALL OPTION IS EXERCISED, INTREST PAYMENT DATED WILL BE 09/02/2013 & 09/12/2013. IF PUT/CALL OPTION IS NOT EXERCISES, INTEREST PAYMENT DATES WILL BE IF PUT/CALL OTION EXERECISED, INT PYMT DT IS 17/05/2013. IF PUT/CALL OPTION NOT EXERECISED, INT PAYMENT DATES ARE 17/05/2013,16/05/2014 & 16/05/2015 IF PUT/CALL OTION EXERECISED, INT PYMT DT IS 13/06/2013. IF PUT/CALL OPTION NOT EXERECISED, INT PYMT IF PUT CALL OPTION IS EXERCISED THE INTEREST PAYMENT DATES IS 02/07/2013. IF PUT/CALL OPTION IS NOT EXERCISED, INTEREST PAYMENTS DATES ARE 02/07/2013, 29/06/2014 ANNUALLY ON 6TH JULY EVERY YEAR TILL MATURITY
Put:09/12/2013 Call:09/12/2013
NA
Put:MAY 17, 2013 ( 1 YEAR & 1 DAY). Call:MAY 17, 2013 ( 1 YEAR & 1 DAY).
NA
NA
N.A
Put: NA Call: NA
NA
ANNUALLY ON 10TH JULY EVERY YEAR Put:10/01/2014 (18 MONTHS) TILL MATURITY Call:10/01/2014 (18 MONTHS)
NA
N.A
NA
IF PUT/CALL OPTION IS EXERCISED, INTEREST PAYMENT DATE IS 17/07/2013. IF PUT/CALL OPTION IS NOT EXERCISED INTEREST PAYMENT DATES ARE 17/07/2013, 17/07/2014 IF PUT/CALL OPTION IS EXERCISED, INTEREST PAYMENT DATES ARE 20/07/2013, 20/07/2014, 20/01/2015. IF PUT/CALL IS NOT EXERCISED INTEREST PAYMENT DATES ARE ANNUALLY ON 23RD JULY EVERY YEAR TILL MATURITY
N.A.
NA
Put: NA Call: NA
NA
NA
NA
NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Annually on March 15
NA
NA
NA
Put: NA Call: NA
NA
SEMI-ANNUALLY ON 10TH JULY & 10TH Put: NA JANUARY TILL MATURITY Call: NA
NA
NA
NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
28TH MARCH
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
Put: NA Call: NA
NA
NA
NA
Put: NA Call: NA
N.A.
NA
NA
Semi Annually on 29th January & 29th Put: N.A. July Call: N.A.
NA
na
NA
na
Annually on March 17
NA
Credit Rating with name of Credit Rating Agency and Date of Credit Rating
Mr. N. V. K. Mohan Managing Director Bigshare Services Private Limited E 2, Ansa Industrial Estate Saki Vihar Road, Sakinaka, Andheri(E Mr. Upen H. Shah Company Secretary-Company Affairs Zydus Tower Satellite Cross Roads Ahmedabad 380 015 Mr. G. R. Rao Managing Director Sharepro Services (India) Pvt. Limited 13 AB Samitha Warehousing Complex 2nd Floor, Saki Naka Telephone Excha MS. NEERJA SHARMA COMPANY SECRETARY CAIRN INDIA LIMITED 4TH FLOOR, VIPUAL PLAZA, SUNCITY , SECTOR 54, V.P.Prathap, Vice President, Canbank Computer Services Limited, R & T Centre,Hotel Broadway Complex, Mr. K.K. Murthy Divisional Manager CANARA BANK T & I Division HO:112 J C Road Mr. V.P. Prathap Vice President Canbank Computer Services Ltd. R & T Centre Hotel Broadway Complex Mr. Avinash Mishra Manager CANARA BANK T & I Division 1st Floor Varma Chambers Mr. S.R. Krishnan Company Secretary CANARA BANK P&D Wing H.O. 112, J.C. Road Mr. S.R. Krishnan Company Secretary CANARA BANK P&D Wing H.O. 112, J.C. Road Mr. V Jaya Kumar Senior Manager CANARA BANK Treasury & Investment Div. 1st Floor, Varma Chambers Mr. V Jaya Kumar Senior Manager Treasury & Investment Div. 1st Floor, Varma Chambers Homji street Mr. V Jaya Kumar Senior Manager Treasury & Investment Div. 1st Floor, Varma Chambers Homji street
Mr. V Jaya Kumar Senior Manager CANARA BANK Treasury & Investment Div. 1st Floor, Varma Chambers Mr. V Jaya Kumar Senior Manager CANARA BANK Treasury & Investment Div. 1st Floor, Varma Chambers Mr. G Mohan Manager CANARA BANK Domestic Treasury 1st Floor, Varma Chambers Mr. G Mohan Manager Domestic Treasury 1st Floor, Varma Chambers Homji street Mr. G Mohan Manager Domestic Treasury 1st Floor, Varma Chambers Homji street Mr. G Mohan Manager CANARA BANK Domestic Treasury 1st Floor, Varma Chambers Mr. M.R.V. Subrahmanyam Deputy General Manager Plot No. 17 to 24 Vithalrao Nagar Madhapur MS. BINDU SHARMA COMPANY SECRETARY STUDIO NO. 205 INTERNATIONAL HOME DECO PARK SECTOR 127, PLOT NO. 7 Mr. Rajesh Satardekar/Mr. Ayan Chakraborty Manager/Company Secretary MCS Limtied Sri Venkatesh Bhavan, Plot No. 27 Mr. Rajesh Satardekar/Mr. Ayan Chakraborty Manager/Company Secretary Sri Venkatesh Bhavan, Plot No. 27 Road No. 11, MIDC Area, Andheri (Eas Mr. Sharath Shetty Manager Investor Services of India Ltd. IDBI Building,2nd Floor Rajiv Gandhi Marg,Sector 11 MR R.N.VADIVELU GENERAL MANAGER CHANDERMUKHI - 5TH FLOOR NARIMAN POINT MUMBAI 400021 MR K.A.SOMAYAJULU GENERAL MANAGER CHANDERMUKHI - 5TH FLOOR NARIMAN POINT MUMBAI 400021 MR K.A.SOMAYAJULU GENERAL MANAGER CHANDERMUKHI - 5TH FLOOR NARIMAN POINT MUMBAI 400021
MR K.A.SOMAYAJULU GENERAL MANAGER CHANDERMUKHI - 5TH FLOOR NARIMAN POINT MUMBAI 400021 MR K.A.SOMAYAJULU GENERAL MANAGER CHANDERMUKHI - 5TH FLOOR NARIMAN POINT MUMBAI 400021 MR K.A.SOMAYAJULU GENERAL MANAGER- TREASURY CENTRAL BANK OF INDIA CHANDERMUKHI - 5TH FLOOR NARIMAN POINT Mr. G.M.Palankar Asst General Manager CENTRAL BANK OF INDIA CHANDERMUKHI - 5TH FLOOR NARIMAN POINT MR. K.A. SOMAYAJULU CHIF GENERAL MANAGER CENTRAL BANK OF INDIA Chander Mukhi, 5th Floor Nariman Point MR. ANAND KUMAR DAS ASST. GENERAL MANAGER CENTRAL BANK OF INDIA CHANDER MUKHI, 16TH FLOOR NARIMAN POINT MR. K.A. SOMAYAJULU CHIF GENERAL MANAGER CENTRAL BANK OF INDIA Chander Mukhi, 5th Floor Nariman Point Mr. N.E. Venkitakrishnan Company Secretary CENTURION BANK LIMITED 1201, Raheja Centre, Nariman Point, Mumbai 400 021 Mr. N.E. Venkitakrishnan Company Secretary CENTURION BANK LIMITED 1201, Raheja Centre Nariman Point Mr. N.E. Venkitakrishnan Company Secretary CENTURION BANK LIMITED 1201, Raheja Centre Nariman Point MR.VIVEKANANDA NAYAK U Company Secretary CENTURY REAL ESTATE HOLDINGS PRIVATE LIMITED 10/1, LAKSHMINARAYANA COMPLEX, Mr. Ganesh Jadhav Asst. Vice President - Depository LINK INTIME INDIA PRIVATE LIMITED C/13, Panna Lal Silk Mill Compound LBS Marg, Bhandup (W) Mr. Ganesh Jadhav Asst. Vice President - Depository LINK INTIME INDIA PRIVATE LIMITED C/13, Panna Lal Silk Mill Compound LBS Marg, Bhandup (W) MR.VIVEKANANDA NAYAK U COMPANY SECRETARY CENTURY REAL ESTATE HOLDINGS PRIVATE LIMITED 10/1, LAKSHMINARAYANA COMPLEX
AA+,CRISIL,DT-21/01/2011
AA+,CRISIL,DT-13-12-2011
NA
NA
BWR BBB,BRICKWORK,18-1-11
Mr. R.D. Ramasamy General Manager CAMEO CORPORATE SERVICES LTD Subramaniam Building 1, Club House Road MR. S. SUBBARAO AVP - FINANCE CHINTALAPATI HOLDINGS PRIVATE LIMITED BUILDING - 3, iLABS CENTRE MR. S. SUBBARAO AVP - FINANCE CHINTALAPATI HOLDINGS PRIVATE LIMITED BUILDING - 3, iLABS CENTRE MR. S. SUBBARAO AVP - FINANCE CHINTALAPATI HOLDINGS PRIVATE LIMITED BUILDING - 3, iLABS CENTRE MR. S. SUBBARAO AVP - FINANCE CHINTALAPATI HOLDINGS PRIVATE LIMITED BUILDING - 3, iLABS CENTRE MR. S. SUBBARAO AVP - FINANCE CHINTALAPATI HOLDINGS PRIVATE LIMITED BUILDING - 3, iLABS CENTRE Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) Ms. P. Sujatha Company Secretary 'Dare House', No.2, NSC Bose Road Parrys, Chennai 600 001 Ms. P. Sujatha Company Secretary 'Dare House', No.2, NSC Bose Road Parrys, Chennai 600 001 Ms. P. Sujatha Company Secretary 'Dare House', No.2, NSC Bose Road Parrys, Chennai 600 001 Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD)
Ms. P. Sujatha Company Secretary 'Dare House', No.2, NSC Bose Road Parrys, Chennai 600 001 Ms. P. Sujatha Company Secretary 'Dare House', No.2, NSC Bose Road Parrys, Chennai 600 001 Ms. P. Sujatha Company Secretary 'Dare House', No.2, NSC Bose Road Parrys, Chennai 600 001 Ms. P. Sujatha Company Secretary 'Dare House', No.2, NSC Bose Road Parrys, Chennai 600 001 Ms. P. Sujatha Company Secretary 'Dare House', No.2, NSC Bose Road Parrys, Chennai 600 001 Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) Ms. P. Sujatha Company Secretary 'Dare House', No.2, NSC Bose Road Parrys, Chennai 600 001 Ms. P. Sujatha Company Secretary 'Dare House', No.2, NSC Bose Road Parrys, Chennai 600 001 Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2,
AA,ICRA,DT-13-02-2012
AA,ICRA,DT-01-11-2011
Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment Finance Company Limited Dare House, No.2,
AA,ICRA,DT13-02-2012 and AA,ICRA,DT-13-02-2012 and AA- ICRA DTD 30.07.2012 and LAA,ICRA,DT-31-05-2011 and AA,ICRA,DT-19-08-2011 and AA,ICRA,DT-19-08-2011 and AA,CARE,DT-27-05-2011 and AA,ICRA,DT-01-11-2011 and AA,CARE,DT-07-10-2011 and AA,CARE,DT-07-10-2011 and AA,ICRA,DT-01-11-2011 and AA,ICRA,DT-01-11-2011 and AA,CARE,DT-07-10-2011 and AA,ICRA,DT-13-02-2012 and
Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMA Dare HouseNo. 2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2,
AA,ICRA,DT-13-02-2012
AA,CARE,DT-27-05-2011
LAA,ICRA,DT-31-05-2011
AA+,ICRA,DT-18-07-2011
AA,CARE,DT-27-05-2011
AA+,ICRA,DT-18-07-2011
AA,CARE,DT-27-05-2011
AA,CARE,DT-27-05-2011
AA,ICRA,DT-01-11-2011
AA,CARE,DT-27-05-2011
AA,ICRA,DT-19-08-2011
AA,ICRA,DT-19-08-2011
AA,ICRA,DT-19-08-2011
Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMA Dare HouseNo. 2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2,
AA,CARE,DT-07-10-2011
AA,ICRA,DT-01-11-2011
AA,ICRA,DT-01-11-2011
AA,ICRA,DT-01-11-2011
AA,ICRA,DT-13-02-2012
AA,ICRA,DT-01-11-2011
AA,ICRA,DT-13-02-2012
AA,ICRA,DT-13-02-2012
AA,ICRA,DT-13-02-2012
LAA,ICRA,DT-31-05-2011
LAA,ICRA,DT-31-05-2011
AA,ICRA DT 18/07/2011
AA,ICRA,DT-18-07-2011
Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMA Dare HouseNo. 2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2,
AA,ICRA,DT-19-08-2011
AA,ICRA,DT-19-08-2011
AA,ICRA,DT-19-08-2011
AA,ICRA,DT-01-11-2011
AA,ICRA,DT-01-11-2011
AA,ICRA,DT-01-11-2011
AA,ICRA,DT-01-11-2011
AA,ICRA,DT-01-11-2011
AA,I9CRA,DT-13-02-2012
AA,ICRA,DT-13-02-2012
AA,ICRA,DT-13-02-2012
AA,ICRA,DT-13-02-2012
AA,ICRA,DT-01-11-2011
Ms. P. Sujatha Company Secretary Karvy Computershare Private Limited Dare House No. 2, N.S.C Bose Road Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMA Dare HouseNo. 2, Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMA Dare House No. 2, Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMA Dare HouseNo. 2, Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD (CHOLAMANDALAM DBS FINANCE LTD) Ms. P. Sujatha Company Secretary Karvy Computershare Private Limited Dare House No. 2, N.S.C Bose Road Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD Dare House Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2, Ms. P. Sujatha Company Secretary Cholamandalam Investment and Finance Company Limited Dare House, No.2,
LAA,ICRA,DT-31-05-2011
AA,ICRA,DT-31-05-2011
AA,ICRA,DT31-05-2011
AA ICRA DT 24.04.2012
LA+,ICRA
ICRA,A+
AA,ICRA,DT-12-12-2011
A+,ICRA
AA,ICRA,DT-01-11-2011
AA,ICRA,DT12-12-2011
AA,ICRA,DT-01-11-2011
Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012 Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012 Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod
Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012 Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012 Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012 Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012 Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod
Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012 Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012
Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012 Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012 Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012
Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60,
LAA+pp,ICRA,DT-31-08-2010
LAA+,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60,
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA.DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-10
LAA+pp,ICRA,DT-31-08-10
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-8-10
LAA+pp,ICRA,DT-31-8-10
LAA+pp,ICRA,DT-31-8-10
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60,
LAA+pp,ICRA,DT-31-8-10
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
AA+,ICRA,DT-28-07-2011
AA+pp,ICRA,DT-28-07-2011
AA+,ICRA,DT-28-07-2011
LAA+pp,ICRA,DT-31-8-10
AA+pp,ICRA,DT-28-07-2011
Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60,
AA+,ICRA,DT-28-07-2011
AA+,ICRA,DT-28-07-2011
AA+,ICRA,DT-28-07-2011
AA+,ICRA,DT-28-07-2011
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
AA+pp,ICRA,DT-28-07-2011
AA+,ICRA,DT-28-07-2011
AA+pp,ICRA,DT-28-07-2011
AA+ (NEGETIVE),ICRA
MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60,
AA+ NEGATIVE,ICRA
AA+,ICRA,DT-28-07-2011
PP-MLD,AA+,ICRA
PP-MLD AA+,ICRA
AA+,ICRA,DT-28-07-2011
PP-MLD,AA+,ICRA
PP-MLD AA+,ICRA
AA+,ICRA,DT-28-07-2011
AA+,ICRA,DT-28-07-2011
AA+,ICRA,DT-28-07-2011
AA+,ICRA,DT-28-07-2011
PP-MLD AA+,ICRA
PP-MLD AA+,ICRA
Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60,
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
PP-MLD AA+,ICRA
PP-MLD AA+,ICRA
PP-MLD AA+,ICRA
PP-MLD AA+,ICRA
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
PP-MLD AA+,ICRA
PP-MLD AA+,ICRA
PP-MLD AA+,ICRA
AA (NEGATIVE) ICRA
MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, Mr. Satchid Sargaonkar Assistant Vice President Citicorp Finace India Limited Trent House, 2nd Floor, G-Block, Plot No. 60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60,
PP-MLD AA+,ICRA
LAA+pp,ICRA,DT-31-08-2010
AA+,ICRA,DT-28-07-2011
AA+,ICRA,DT-28-07-2011
LAA+PP,ICRA,31/08/2010
AA+,ICRA,DT-28-07-2011
AA+,ICRA,DT-28-07-2011
AA+,ICRA,DT-28-07-2011
AA+r,CRISIL,DT-16-09-2011
MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60,
PP-MLD AA+,CRISIL
PP MLD AA+,ICRA
PP-MLD AA+,ICRA
PP-MLD AA+,ICRA
PP-MLD AA+,ICRA
AA+r/NEGATIVE CRISIL
PP-MLD AA+,ICRA
MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE INDIA LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE INDIA LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE INDIA LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE INDIA LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE INDIA LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60,
PP-MLD AA+,ICRA,
PP-MLD AA+,ICRA
LAA+pp,ICRA
LAA+pp,ICRA
LAA+PP,ICRA
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2013
MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE INDIA LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE INDIA LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, MR. SATCHID SARGAONKAR OPERATION & TECHNOLOGY HEAD CITICORP FINANCE (INDIA) LIMITED TRENT HOUSE, 2ND FLOOR, G - BLOCK PLOT NO-60, Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni VP Operations Ground Floor, Cititower 61, Dr. S.S. Rao Road Parel, Mumbai 400 012 Ms. Swati Kulkarni VP Operations Ground Floor, Cititower 61, Dr. S.S. Rao Road Parel, Mumbai 400 012 Ms. Swati Kulkarni VP Operations Ground Floor, Cititower 61, Dr. S.S. Rao Road Parel, Mumbai 400 012
LAA+pp,ICRA.DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
LAA+pp,ICRA,DT-31-08-2010
Ms. Swati Kulkarni VP Operations Ground Floor, Cititower 61, Dr. S.S. Rao Road Parel, Mumbai 400 012 Ms. Swati Kulkarni VP Operations Ground Floor, Cititower 61, Dr. S.S. Rao Road Parel, Mumbai 400 012 Ms. Swati Kulkarni VP Operations Ground Floor, Cititower 61, Dr. S.S. Rao Road Parel, Mumbai 400 012 Ms. Swati Kulkarni Operations & Technology Head Ground Floor, Cititower 61,Dr. S.S. Rao Raod Parel, Mumbai 400 012 Ms. Swati Kulkarni VP Operations Ground Floor, Cititower 61, Dr. S.S. Rao Road Parel, Mumbai 400 012 Ms. Swati Kulkarni VP Operations Ground Floor, Cititower 61, Dr. S.S. Rao Road Parel, Mumbai 400 012 Ms. Swati Kulkarni VP Operations Ground Floor, Cititower 61, Dr. S.S. Rao Road Parel, Mumbai 400 012 Ms. Swati Kulkarni VP Operations CITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni VP Operations CITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV Ms. Swati Kulkarni VP Operations CITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV Ms. Swati Kulkarni VP Operations Ground Floor, Cititower 61, Dr. S.S. Rao Road Parel, Mumbai 400 012 Mr. S. Balasubramanian DGM Accounts 149, TSR BIG STREET KUMBAKONAM - 612 001 TAMILNADU Mr. S. Balasubramanian DGM Accounts 149, TSR BIG STREET KUMBAKONAM - 612 001 TAMILNADU
MR. SANJEEV RANJAN COMPLIANCE OFFICER CLETA REAL ESTATE PRIVATE LIMITED 296, FOREST LANE, SAINIK FARMS,
Mr. Nikunj Daftary Head - Depository & IPO Intime Spectrum Registry Ltd. C13. pannalal Silk Mills Compound L.B.S Marg, Mr. Nikunj Daftary Head - Depository & IPO Intime Spectrum Registry Ltd. C13. pannalal Silk Mills Compound L.B.S Marg, Mr. Nikunj Daftary Head - Depository & IPO Intime Spectrum Registry Ltd. C13. pannalal Silk Mills Compound L.B.S Marg,
Mr. Nikunj Daftary Head - Depository & IPO Intime Spectrum Registry Ltd. C13. pannalal Silk Mills Compound L.B.S Marg, Mr. Nikunj Daftary Head - Depository & IPO Intime Spectrum Registry Ltd. C13. pannalal Silk Mills Compound L.B.S Marg, Mr. Nikunj Daftary Head - Depository & IPO Intime Spectrum Registry Ltd. C13. pannalal Silk Mills Compound L.B.S Marg,
Mr. Nikunj Daftary Head - Depository & IPO Intime Spectrum Registry Ltd. C13. pannalal Silk Mills Compound L.B.S Marg, Mr. Nikunj Daftary Head - Depository & IPO Intime Spectrum Registry Ltd. C13. pannalal Silk Mills Compound L.B.S Marg,
MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD-RIL PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD-RIL PLOT NO. 17-24 VITTAL RAO NAGAR Mr. K HARISH OFFICER Integrated Enterprises (India) Limited 30, Ramana Residency 4th Cross, Sampige Road, Mr. K HARISH OFFICER Integrated Enterprises (India) Limited 30, Ramana Residency 4th Cross, Sampige Road, Mr. K HARISH OFFICER Integrated Enterprises (India) Limited 30, Ramana Residency 4th Cross, Sampige Road, Mr. K HARISH OFFICER Integrated Enterprises (India) Limited 30, Ramana Residency 4th Cross, Sampige Road, Mr. K HARISH OFFICER Integrated Enterprises (India) Limited 30, Ramana Residency 4th Cross, Sampige Road, MR. S. PRABHAKAR MANAGER ALPHA SYSTEMS PVT. LTD. 30, RAMANA RESIDENCY 4TH CROSS, SAMPIGE ROAD MR. S. PRABHAKAR MANAGER ALPHA SYSTEMS PVT. LTD. 30, RAMANA RESIDENCY 4TH CROSS, SAMPIGE ROAD Ms. Veena S. Shetty Director Adroit Corporate Services Pvt. Limited 19/20 Jaferbhoy Industrial Estate 1st Floor, Makwana Road, Marol Naka Ms. Veena S. Shetty Director Adroit Corporate Services Pvt. Limited 19/20 Jaferbhoy Industrial Estate 1st Floor, Makwana Road, Marol Naka Ms. Veena S. Shetty Director Adroit Corporate Services Pvt. Limited 19/20 Jaferbhoy Industrial Estate 1st Floor, Makwana Road, Marol Naka
A+,CARE,DT-02-02-2011
A+,CARE,DT-02-02-2011
NA
BWR A+(SO),BRICKWORK,15-2
BWR A+(SO),BRICKWORKS,15-
BWR A+ SO 02/04/2012
A+,CARE,DT-29-09-2011
A+,CARE,DT-29-09-2011
A+,CARE,DT-29-09-2011
Mrs. Veena S. Shetty Adroit Corporate Services Pvt. Limited 19/20 Jaferbhoy Industrial Estate 1st Floor, Makwana Road, Marol Naka Andheri (East), Mrs. Veena S. Shetty Adroit Corporate Services Pvt. Limited 19/20 Jaferbhoy Industrial Estate 1st Floor, Makwana Road, Marol Naka Andheri (East), Mrs. Veena S. Shetty Adroit Corporate Services Pvt. Limited 19/20 Jaferbhoy Industrial Estate 1st Floor, Makwana Road, Marol Naka Andheri (East), Mrs. Veena S. Shetty Adroit Corporate Services Pvt. Limited 19/20 Jaferbhoy Industrial Estate 1st Floor, Makwana Road, Marol Naka Andheri (East), Mrs. Veena S. Shetty Adroit Corporate Services Pvt. Limited 19/20 Jaferbhoy Industrial Estate 1st Floor, Makwana Road, Marol Naka Andheri (East), Mrs. Veena S. Shetty Adroit Corporate Services Pvt. Limited 19/20 Jaferbhoy Industrial Estate 1st Floor, Makwana Road, Marol Naka Andheri (East), Mr. P. A Varghese General Manager Karvy Computershare Private Limited Karvy House, 46, Avenue 4, Street No Banjara Hills Mr S.K.Dash Company Secretary CORPORATION BANK Corporate Office Mangaladevi Temple Road Mr S.K.Dash Company Secretary CORPORATIONBANK Corporate Office Mangaladevi Temple Road Mr. P. Anna Malai Financial adviser Ripon Building 16, EVR Salai Chennai -600 003 Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar
A+,CARE,DT-18-01-2011
A+,CARE,DT-21-04-2011
A+,CARE,DT-18-01-2011
A+,CARE,DT-21-04-2011
A+,CARE.DT-18-01-2011
A+,CARE,DT-21-04-2011
AA+ CRISIL
Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Mr S.K.Dash Company Secretary Corporate Office Mangaladevi Temple Road Pandeshwar Ms Rashmi Jain Company Secretary COX & KINGS (INDIA) LIMITED ( FORMERLY COX & KINGS (INDIA) PRIVATE LIMITED) Ms Rashmi Jain Company Secretary COX & KINGS (INDIA) LIMITED ( FORMERLY COX & KINGS (INDIA) PRIVATE LIMITED) MS RASHMI JAIN COMPANY SECRETARY Cox and Kings Limited 1ST FLOOR TURNER MORRISON BUILDING MS RASHMI JAIN COMPANY SECRETARY Cox and Kings Limited 1ST FLOOR TURNER MORRISON BUILDING
AA,CARE,DT-27-04-2011
AA,CARE,DT-30-09-2011
MS RASHMI JAIN COMPANY SECRETARY Cox and Kings Limited 1ST FLOOR TURNER MORRISON BUILDING MS RASHMI JAIN COMPANY SECRETARY Cox and Kings Limited 1ST FLOOR TURNER MORRISON BUILDING MS RASHMI JAIN COMPANY SECRETARY Cox and Kings Limited 1ST FLOOR TURNER MORRISON BUILDING MS RASHMI JAIN COMPANY SECRETARY Cox and Kings Limited 1ST FLOOR TURNER MORRISON BUILDING MS RASHMI JAIN COMPANY SECRETARY Cox and Kings Limited 1ST FLOOR TURNER MORRISON BUILDING MS RASHMI JAIN COMPANY SECRETARY Cox and Kings Limited 1ST FLOOR TURNER MORRISON BUILDING MR. GURMEET SINGH MISSION COMPANY SECRETARY CREDIT SUISSE FINANCE (INDIA) PRIVATE LIMITED 9TH FLOOR, CEEJAY HOUSE MR. GURMEET SINGH MISSION COMPANY SECRETARY CREDIT SUISSE FINANCE (INDIA) PRIVATE LIMITED 9TH FLOOR, CEEJAY HOUSE MR. GURMEET SINGH MISSION COMPANY SECRETARY CREDIT SUISSE FINANCE (INDIA) PRIVATE LIMITED 9TH FLOOR, CEEJAY HOUSE MR. GURMEET SINGH MISSION COMPANY SECRETARY CREDIT SUISSE FINANCE (INDIA) PRIVATE LIMITED 9TH FLOOR, CEEJAY HOUSE MR. GURMEET SINGH MISSION COMPANY SECRETARY CREDIT SUISSE FINANCE (INDIA) PRIVATE LIMITED 9TH FLOOR, CEEJAY HOUSE MR. GURMEET SINGH MISSION COMPANY SECRETARY CREDIT SUISSE FINANCE (INDIA) PRIVATE LIMITED 9TH FLOOR, CEEJAY HOUSE Mr.V. Mahesh Vice President KARVY COMPUTERSHARE PVT. LTD. Karvy House, 46, Avenue 4, Street No Banjara Hills Mr.V. Mahesh Vice President KARVY COMPUTERSHARE PVT. LTD Karvy House, 46, Avenue 4, Street No Banjara Hills
AA,CARE,DT-30-09-2011
AA,CARE,DT-27-04-2011
AA,CARE,DT-30-09-2011
AA,CARE,DT-27-04-2011
AA,CARE,DT-30-09-2011
AA,CARE,DT-30-09-2011
AA+r-CRISIL,DT-05-01-2011
PP-MLD AA+r,CRISIL,24-11-
PP-MLD AA+r,CRISIL,24-11-
PP-MLD AA+r,CRISIL,24-11-
AA+r,CRISIL,DT-05-01-2011
AA+r,CRISIL,DT-21-06-2011
Mr. V. Mahesh Vice President Karvy House No. 46, Avenue, No. 4 Street No.1, Banjara Hills Mr. V. Mahesh Vice President KARVY COMPUTERSHARE PVT. LTD. 46, Avenue 4, Karvy House Street No-1 Mr. V. Mahesh Vice President Karvy House No. 46, Avenue, No. 4 Street No.1, Banjara Hills Mr. V. Mahesh Vice President Karvy Computershare Pvt. Ltd. Karvy House No. 46, Avenue, No. 4 Mr S Babu Ray Chaudhuri Registrar of Bonds,Central Accounts Office DAMODAR VALLEY CORPORATION DVC Towers, Mr. S Basu Ray Chaudhuri Registrar of Bonds,Central Accounts Office Damodar Valley Corporation DVC Towers, Mr. S Basu Ray Chaudhuri Registrar of Bonds,Central Accounts Office Damodar Valley Corporation DVC Towers, Mr. S Basu Ray Chaudhuri Registrar of Bonds,Central Accounts Office Damodar Valley Corporation DVC Towers, Mr. P. Kusari Registrar of Bonds Damodar Valley Corporation Central Accounts Office DVC Towers, V.I.P. Road MR. P.A. VARGHESE GENERAL MANAGER KARVY COMPUTERSHARE PVT. LTD. CYBER VILLE, PLOT NO. 17 TO 24 VITHALRAO NAGAR, NEAR IMAGE Mr. V.Shankar Company Secretary DECCAN CHRONICLE HOLDINGS LIMITED 36, Sarojini Devi Road, Secunderabad - 500 003 Mr. D. Giridhar Reddy Company Secretary 36, Sarojini Devi Road, Secunderabad - 500 003 Mr. D. Giridhar Reddy Company Secretary 36, Sarojini Devi Road, Secunderabad - 500 003 Mr. D. Giridhar Reddy Company Secretary 36, Sarojini Devi Road, Secunderabad - 500 003
AAA(SO),FITCH,CARE
AAA(SO), FITCH,CARE
A1+,CARE,DT-16-08-2011
Mr. V. Lakshamana Chary Company Secretary DECCAN CHRONICLE HOLDINGS LIMITED 36, S.D. Road, Secunderabad - 500 003
Mr. R. Sriraman Company Secretary DEEPAK FERTILISERS AND PETROCHEMICALS CORPORATION Opp. Golf Course, Shastri Nagar Mr. R. Sriraman Company Secretary DEEPAK FERTILISERS AND PETROCHEMICALS CORPORATION Opp. Golf Course, Shastri Nagar Mr. R. Sriraman Company Secretary Opp. Golf Course, Shastri Nagar Yerawada, Pune 411 006 Mr. R. Sriraman Company Secretary Opp. Golf Course, Shastri Nagar Yerawada, Pune 411 006 Mr. R. Sriraman Company Secretary & Chief (Law) Opp. Golf Course, Shastri Nagar Yerawada, Pune 411 006 Mr.P.K.Mallik Company Secretary DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) Mr.P.K.Mallik Company Secretary DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) Mr.P.K.Mallik Company Secretary DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) Mr.P.K.Mallik Company Secretary DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) Mr.P.K.Mallik Company Secretary DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) Mr.P.K.Mallik Company Secretary DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) Mr.P.K.Mallik Company Secretary DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED)
Mr.P.K.Mallik Company Secretary DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) Mr.P.K.Mallik Company Secretary DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) Mr.P.K.Mallik Company Secretary DELHI TRANSCO LIMITED (FORMERLY DELHI POWER SUPPLY COMPANY LIMITED) Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre, Free Press Journal Marg, Nariman Point, Mumbai - 400 Mr. G.R. Rao Managing Partner Sharepro Services (India)Pvt.Ltd 912, Raheja Centre Free Press Journal Marg Mr.G. R.Rao Managing Director Satam Estate, 3rd Floor Above Bank of Baroda, Chakala Cardinal Gracious Road, Andheri Mr S K Jain Deputy General Manager Dena Corporate Centre, G-10, C Block Banda Kurla Complex, Bandra (E), Mumbai - 400 051 Mr.G. R.Rao Managing Director Satam Estate, 3rd Floor Above Bank of Baroda, Chakala Cardinal Gracious Road, Andheri Mr.G. R.Rao Managing Director Sharepro Services (India)Pvt.Ltd. Satam Estate, 3rd Floor Above Bank of Baroda, Chakala MR. V.K. SUMBLY AA+ CRISIL DTD 14.06.2012 DEPUTY GENERAL MANAGER DENA BANK DENA CORPORATE CENTRE, C-10, G BLOCK, Mr. M. G. Sanghvi General Manafer Dena Corporate Centre, G-10, C Block Banda Kurla Complex, Bandra (E), Mumbai - 400 051 Mr. M. G. Sanghvi General Manafer Dena Corporate Centre, G-10, C Block Banda Kurla Complex, Bandra (E), Mumbai - 400 051 Mr. Dilip Sawant AA+r,CRISIL,DT-08-11-2010 General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Ms Indira Karkare Senior Manager 13 AB Samhita Warehousing Complex, 2nd Floor,Andheri Kurla Road, Andheri,
Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Ms Indira Karkare Senior Manager 13 AB Samhita Warehousing Complex, 2nd Floor,Andheri Kurla Road, Andheri, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner 912, Raheja Centre Free Press Journal Marg Nariman Point
AA+,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL dt 08/11/2010
AA+,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-201
Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. G.R. Rao Managing Partner 912, Raheja Centre Free Press Journal Marg Nariman Point Mr. G.R. Rao Managing Partner 912, Raheja Centre Free Press Journal Marg Nariman Point Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
Mr. G.R. Rao Managing Partner Sharepro Services 912, Raheja Centre Free Press Journal Marg Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road,
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL Dt 08/11/2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
Mr. G.R. Rao Managing Partner Sharepro Services 13 AB, Samhita Warehousing complex Sakinaka, Telephone Exchange Road, Mr. Dilip Sawant General Manager Satam Estate, 3rd Floor Cardinal Gracious Road Chakala, Andheri (East) Mr. Dilip Sawant General Manager Satam Estate, 3rd Floor Cardinal Gracious Road Chakala, Andheri (East) Mr. Dilip Sawant Deputy Manager Satam Estate, 3rd Floor Cardinal Gracious Road Chakala, Andheri (East) Mr. Dilip Sawant Deputy Manager Satam Estate, 3rd Floor Cardinal Gracious Road Chakala, Andheri (East) Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex,
AA+r/CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, MR. DILIP SAWANT GENERAL MANAGER SHAREPRO SERVICES (INDIA) PRIVATE LIMITED 13AB, SAMHITA WAREHOUSING Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. G. R. Rao Managing Director Sharepro Services (India) Pvt. Ltd. 13 AB Samitha Warehousing Complex 2nd Floor,
AA+r/STABLE,CRISIL08/11/1
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL DT 08/11/2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL DT 08/11/2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL.DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r/Stable,CRISIL
Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, MR. DILIP SAWANT GENERAL MANAGER SHAREPRO SERVICES (INDIA) PRIVATE LIMITED 13AB, SAMHITA WAREHOUSING MR. DILIP SAWANT GENERAL MANAGER SHAREPRO SERVICES (INDIA) PRIVATE LIMITED 13AB, SAMHITA WAREHOUSING Mr. G. R. Rao Managing Director Sharepro Services (India) Pvt. Ltd. 13 AB Samitha Warehousing Complex 2nd Floor, Mr. G. R. Rao Managing Director Sharepro Services (India) Pvt. Ltd. 13 AB Samitha Warehousing Complex 2nd Floor, MR. DILIP SAWANT GENERAL MANAGER SHAREPRO SERVICES (INDIA) PRIVATE LIMITED 13AB, SAMHITA WAREHOUSING Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, MR. DILIP SAWANT GENERAL MANAGER SHAREPRO SERVICES (INDIA) PRIVATE LIMITED 13AB, SAMHITA , WAREHOUSING Mr. Dilip Sawant General Manager Sharepro Services (India) Private Limited 13AB, Samhita Warehousing Complex, Mr. Ajay Jaiswal Company Secretary DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) Mr. Ajay Jaiswal Company Secretary DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) Mr. Ajay Jaiswal Company Secretary 202, 2nd & 3rd Floor Okhla Industrial Estate, Phase -III New Delhi -110020 Mr. Ajay Jaiswal Company Secretary 201, 2nd Floor Vipul Agora, M G Road, Gurgaon - 122002 Mr. Ajay Jaiswal Company Secretary 201, 2nd Floor Vipul Agora, M G Road, Gurgaon - 122002
AA+r,CRISIL,DT-08-11-2010
AA+r/stable,CRISIL,8/11/1
AA+r/Stable,CRISIL8/11/10
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL,DT-08-11-2010
AA+r,CRISIL, DT-08-11-10
Mr. Ajay Jaiswal Company Secretary 201, 2nd Floor Vipul Agora, M G Road, Gurgaon - 122002 Mr. Ajay Jaiswal Company Secretary DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) Mr. Ajay Jaiswal Company Secretary DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) Mr. Ajay Jaiswal Company Secretary DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) Mr. Ajay Jaiswal Company Secretary DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) Mr. Ajay Jaiswal Company Secretary DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) Mr. Ajay Jaiswal Company Secretary DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) Mr. Ajay Jaiswal Company Secretary 202, 2nd & 3rd Floor Okhla Industrial Estate, Phase -III New Delhi -110020 Mr. Nikunj Daftary Head - Depository & IPO C13. pannalal Silk Mills Compound L.B.S Marg, Bhandup West MR. S.Y.SANKHE COMPANY SECRETARY DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR, DHEERAJ ARMA, Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", Mr.P.K. Kumar Manager - Secretarial DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma",
Mr. S.Y.Sankhe Company Secretary 6th Floor, 'Dheeraj Arma", Anant Kanekar Marg, Station Road, Bandra (East) Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", Mr. S.Y.Sankhe Company Secretary 6th Floor, 'Dheeraj Arma", Anant Kanekar Marg, Station Road, Bandra (East) Mr. S.Y.Sankhe Company Secretary 6th Floor, 'Dheeraj Arma", Anant Kanekar Marg, Station Road, Bandra (East) Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA Mr. S.Y.Sankhe Company Secretary 6th Floor, 'Dheeraj Arma", Anant Kanekar Marg, Station Road, Bandra (East) Mr. S.Y.Sankhe Company Secretary 6th Floor, 'Dheeraj Arma", Anant Kanekar Marg, Station Road, Bandra (East) Mr. S.Y.Sankhe Company Secretary 6th Floor, 'Dheeraj Arma", Anant Kanekar Marg, Station Road, Bandra (East) MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA
AA+,CARE,DT-13-07-2011
AA+,CARE,DT-13-07-2011
MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA Mr. S.Y.Sankhe Company Secretary 6th Floor, 'Dheeraj Arma", Anant Kanekar Marg, Station Road, Bandra (East) Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", Mr. S.Y.Sankhe Company Secretary DEWAN HOUSING FINANCE CORPORATION LIMITED 6th Floor, 'Dheeraj Arma", MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA MR. S.Y.SANKHE COMPANY SECRETARY DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR, DHEERAJ ARMA,
AA+,CARE,DT-13-07-2011
AA+ CARE
AA+,CARE,DT-13-07-2011
AA,CARE,DT-13-07-2011
AA+,CARE,DT-02-05-2011
AAA,BWR,BRICKWORK,22-03-1
AA,CARE,DT-20-09-2011
MR. VIJAY S TAMBE DEPUTY MANAGER DEWAN HOUSING FINANCE CORPORATION LIMITED 6TH FLOOR , DHEERAJ ARMA Same as above
AA,CARE,DT-20-09-2011
IN200631 Mr. Sunil Bhoite UTI INFRASTRUCTURE TECHNOLOGY & Assistant Vice President SERVICES LTD. UTI Infrastructure Technology and Services Limited Plot No.3, IN200631 Mr. Sunil Bhoite UTI INFRASTRUCTURE TECHNOLOGY & Assistant Vice President SERVICES LTD. UTI Infrastructure Technology and Services Limited Plot No.3, IN200631 Mr. Sunil Bhoite UTI INFRASTRUCTURE TECHNOLOGY & Assistant Vice President SERVICES LTD. UTI Infrastructure Technology and Services Limited Plot No.3, IN200631 Mr. Sunil Bhoite UTI INFRASTRUCTURE TECHNOLOGY & Assistant Vice President SERVICES LTD. UTI Infrastructure Technology and Services Limited Plot No.3, IN200094 MR. A.B.SINGH LINK INTIME INDIA PRIVATE LIMITED COMPANY SECRETARY DHARAMPAL SATYAPAL LIMITED A- 85 - 86, NOIDA, 201301( U.P.) IN200762 MR. KAPIL WADHAWAN SYSTEM SUPPORT SERVICES-SHR DIRECTOR DHFL HOLDINGS PRIVATE LIMITED 6TH FLOOR , HDIL TOWER, ANANT KANEKAR MARG, IN200800 MR. ALOK SHARMA KARVY COMPUTERSHARE-4 GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD-RIL PLOT NO. 17-24 VITTAL RAO NAGAR IN200800 MR. ALOK SHARMA KARVY COMPUTERSHARE-4 GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD-RIL PLOT NO. 17-24 VITTAL RAO NAGAR IN200800 MR. ALOK SHARMA KARVY COMPUTERSHARE-4 GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD-RIL PLOT NO. 17-24 VITTAL RAO NAGAR IN200800 MR. ALOK SHARMA KARVY COMPUTERSHARE-4 GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD PLOT NO. 17-24 VITTAL RAO NAGAR IN200800 MR. ALOK SHARMA KARVY COMPUTERSHARE-4 GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD PLOT NO. 17-24 VITTAL RAO NAGAR IN200800 MR. ALOK SHARMA KARVY COMPUTERSHARE-4 GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD-RIL PLOT NO. 17-24 VITTAL RAO NAGAR
BBB+ CARE
BBB+ CARE
A1+(SO),CARE,DT-23-03-12
A,CARE,DTD-24-01-2011
A,CARE,DTD-24-01-2011
A,CARE,DT-24-01-2011
A,CARE,DT-11-04-2011
A,CARE,DT-11-04-2011
A,CARE,DT-24-01-2011
MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PLOT NO. 17-24 VITTAL RAO NAGAR
A,CARE,DTD-24-01-2011 PVT LTD-RIL A,CARE,DT-24-01-2011 PVT LTD-RIL A,CARE,DT-11-04-2011 PVT LTD A,CARE,DT-11-04-2011 PVT LTD A,CARE,DT-24-01-2011 PVT LTD-RIL A,CARE,DTD-24-01-2011 PVT LTD-RIL A,CARE,DTD-24-01-2011 PVT LTD-RIL A,CARE,DT-11-04-2011 PVT LTD A,CARE,DT-11-04-2011 PVT LTD A,CARE,DT-24-01-2011 PVT LTD-RIL A,CARE,DT-24-01-2011 PVT LTD-RIL A,CARE,DTD-24-01-2011 PVT LTD-RIL A,CARE,DT-24-01-2011 PVT LTD-RIL A,CARE,DT-11-04-2011 PVT LTD
MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD-RIL PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD-RIL PLOT NO. 17-24 VITTAL RAO NAGAR MR. HITESH PATEL SENIOR ASSISTANT LINK INTIME INDIA PRIVATE LIMITED 211, SUDARSHAN COMPLEX NEAR MITHAKHALI UNDER BRIDGE MR. HITESH PATEL SENIOR ASSISTANT LINK INTIME INDIA PRIVATE LIMITED 211, SUDARSHAN COMPLEX NEAR MITHAKHALI UNDER BRIDGE MR. HITESH PATEL SENIOR ASSISTANT LINK INTIME INDIA PRIVATE LIMITED 211, SUDARSHAN COMPLEX NEAR MITHAKHALI UNDER BRIDGE MR. HITESH PATEL SENIOR ASSISTANT LINK INTIME INDIA PRIVATE LIMITED 211, SUDARSHAN COMPLEX NEAR MITHAKHALI UNDER BRIDGE MR. HITESH PATEL SENIOR ASSISTANT LINK INTIME INDIA PRIVATE LIMITED 211, SUDARSHAN COMPLEX NEAR MITHAKHALI UNDER BRIDGE MR. HITESH PATEL SENIOR ASSISTANT LINK INTIME INDIA PRIVATE LIMITED 211, SUDARSHAN COMPLEX NEAR MITHAKHALI UNDER BRIDGE MS. ARCHANA VERMA FINANCIAL CONTROLLER DIWAN CHAND MEDICAL SERVICES PRIVATE LIMITED 3, FACTORY ROAD, Mr. Subhash C. Setia Company Secretary DLF LIMITED (FORMERLY DLF UNIVERSAL LIMITED) 1-E, Jhandewalan Extension Mr. Subhash C. Setia Company Secretary DLF LIMITED (FORMERLY DLF UNIVERSAL LIMITED) 1-E, Jhandewalan Extension Mr. Subhash C. Setia Company Secretary DLF LIMITED (FORMERLY DLF UNIVERSAL LIMITED) 1-E, Jhandewalan Extension Mr. Subhash C. Setia Company Secretary DLF LIMITED (FORMERLY DLF UNIVERSAL LIMITED) 1-E, Jhandewalan Extension
A,CARE,DT-11-04-2011
A,CARE,DT-24-01-2011
A,CARE,DT-24-01-2011
NA
Mr. Subhash C. Setia Company Secretary 1-E, Jhandewalan Extension Naaz Cinema Complex New Delhi 110 055 Mr. Subhash C. Setia Company Secretary 1-E, Jhandewalan Extension Naaz Cinema Complex New Delhi 110 055 Mr. Dilip Sawant General Manager Sharepro Services (India)Pvt.Ltd. 13AB, Samhita Warehousing Complex, 2 Mr. Dilip Sawant General Manager Sharepro Services (India)Pvt.Ltd. 13AB, Samhita Warehousing Complex, 2 Mr. Dilip Sawant General Manager Sharepro Services (India)Pvt.Ltd. 13AB, Samhita Warehousing Complex, 2 Mr. Dilip Sawant General Manager Sharepro Services (India)Pvt.Ltd. 13AB, Samhita Warehousing Complex, 2 Mr. Dilip Sawant General Manager Sharepro Services (India)Pvt.Ltd. 13AB, Samhita Warehousing Complex, 2 MR. BOJIMON H. ASST. GEN. MANAGER BIGSHARE SERVICES PRIVATE LIMITED G-10, LEFT WING, AMRUTHA VILLE OPP. YASHODA HOSPITAL MR. SANDEEP JOSHI VICE PRESIDENT, LAW & COMPLIANCE DSP MERRILL LYNCH CAPITAL LTD 8TH FLOOR MAFATLAL CENTER MR. SANDEEP JOSHI VICE PRESIDENT, LAW & COMPLIANCE DSP MERRILL LYNCH CAPITAL LTD 8TH FLOOR MAFATLAL CENTER Mr. Sandeep Joshi VP -Law & Compliance DSP MERRILL LYNCH CAPITAL LTD 10th Floor, Mafatlal Centre Nariman Point Mr. Sandeep Joshi VP -Law & Compliance DSP MERRILL LYNCH CAPITAL LTD 10th Floor, Mafatlal Centre Nariman Point Mr. Sandeep Joshi VP -Law & Compliance DSP MERRILL LYNCH CAPITAL LTD 10th Floor, Mafatlal Centre Nariman Point Mr. Sandeep Joshi VP -Law & Compliance DSP MERRILL LYNCH CAPITAL LTD 10th Floor, Mafatlal Centre Nariman Point
LAA+,ICRA,DT-19-11-2010
Mr. Sandeep Joshi VP -Law & Compliance DSP MERRILL LYNCH CAPITAL LTD 10th Floor, Mafatlal Centre Nariman Point MR. SANDEEP JOSHI VICE PRESIDENT, LAW & COMPLIANCE DSP MERRILL LYNCH CAPITAL LTD 8TH FLOOR MAFATLAL CENTER MR. SANDEEP JOSHI VICE PRESIDENT, LAW & COMPLIANCE DSP MERRILL LYNCH CAPITAL LTD 8TH FLOOR MAFATLAL CENTER MR. SANDEEP JOSHI VICE PRESIDENT, LAW & COMPLIANCE DSP MERRILL LYNCH CAPITAL LTD 8TH FLOOR MAFATLAL CENTER MR. ALOK SHARMA VICE PRESIDENT PLOT NO. 17-24 VITTAL RAO NAGAR MADHAPUR MR. ALOK SHARMA VICE PRESIDENT KARVY COMPUTERSHARE PVT LTD PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA VICE PRESIDENT KARVY COMPUTERSHARE PVT LTD PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA VICE PRESIDENT KARVY COMPUTERSHARE PVT LTD PLOT NO. 17-24 VITTAL RAO NAGAR Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point
AA,CRISIL.DT-30-06-2011
AA,CRISIL,DT-22-09-2011
AA/STABLE,CRISIL,06/01/11
LAA-pp(so),ICRA,18-1-2011
MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
LAA-pp, ICRA,DT-19-1-2010
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-10-12-2010
NA
NA
Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER
AA-r, CRISIL,DT-10-12-10
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-23-11-2010
AA,CRISIL,DT-21-10-2011
LAA-pp(SO),ICRA,19/01/10
PP MLD AA,CRISIL,DT-21-10
PP-MLD AA,CRISIL,21-10-11
PP-MLD AA,CRISIL,21-10-11
NA
NA
NA
NA
Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point
NA
NA
AA-,CRISIL
PP MLD AA,CRISIL,21-10-11
NA
PP-MLD AA-,CRISIL21-10-11
PP-MLD AA-,CRISIL21-10-11
PP-MLD AA,CRISIL,21-10-11
MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 4TH FLOOR, EDELWEISS HOUSE, Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point
AA-r,CRISIL,DT-10-12-2010
NA
Ms Preeti Chhabria Company Secretary ECL Finance Limited 3rd Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS NARIMAN POINT Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point
PP-MLD AA,CRISIL,21-10-11
AA-r,CRISIL,DT-28-01-2011
Ms Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS,
AA-r,CRISIL Dt 28/01/2011
AA,CRISIL,DT-
Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-20-07-2011
Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER
AA-r,CRISIL,DT-23-11-2010
PP-MLD AA,CRISIL,21-10-11
NA
NA
AA-r stab,CRISIL,10/12/10
Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER
NA
AA-r/Stab,CRISIL,23/11/10
AA-r,CRISIL,DT-10-12-2010
NA
LAA-pp(so),ICRA.18-1-11
LAA-pp(SO),ICRA,18-1-2011
NA
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. D P Jhawar Sr Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER
AA-r,CRISIL dt 28/01/2011
AA-r,CRISIL dt 28/01/2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-23-11-2010
AA-r,CRISIL,DT-23-11-2010
AA-r,CRISIL,DT-10-12-2010
AA-r,CRISIL,DT-10-12-2010
LAA-pp,ICRA,DT-19-01-2010
Ms. Preeti Chhabria Company Secretary ECL FINANCE LIMITED 3rd Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER
NA
AA-r,CRISIL,DT-10-12-2010
AA-r,CRISIL,DT-10-12-2010
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
NA
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-23-11-2010
AA-r,CRISIL,DT-28-01-2011
MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER
AA-r,CRISIL,DT-20-07-2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-10-12-2010
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-23-11-2010
AA-r,CRISIL,DT-28-01-2011
NA
NA
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
NA
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Ms. Preeti Chhabria Company Secretary ECL FINANCE LIMITED 4th Floor, Edelweiss House Off C.S.T Road MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-28-01-2011
AA-r,CRISIL,DT-10-12-2010
NA
NA
NA
NA
NA
NA
AA-r,CRISIL,DT-20-07-2011
AA-r,CRISIL,DT-20-07-2011
NA
AA-r,CRISIL,DT-28-01-2011
MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 3RD FLOOR, EXPRESS TOWER
NA
NA
AA-r,CRISIL,DT-20-07-2011
NA
NA
AA-r,CRISIL,DT-28-01-2011
NA
NA
NA
NA
PP-MLD AA,CRISIL,21-10-11
AA,CRISIL,DT-21-10-2011
Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point
NA
PP MLD AA,CRISIL,DT-21-10
PP MLD AA,CRISIL,DT-21-10
NA
PP-MLD AA,CRISIL,21-10-11
NA
NA
NA
PP-MLD AA-r,CRISIL,21-10-
NA
PP MLD AA,CRISIL,07-02-12
PP-MLD AA,CRISIL,07-02-12
Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point Mr. Prashant Mody Vice President ECL FINANCE LIMITED 14th Floor, Express Towers Nariman Point MS. PREETI CHHABRIA COMPANY SECRETARY ECL FINANCE LIMITED CORPORATE GOVERNANCE 4TH FLOOR, EDELWEISS HOUSE, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS,
NA
NA
PP MLD AA,CRISIL,21-10-11
NA
PP-MLD AA,CRISIL,21-10-11
PP-MLD AA,CRISIL,21-10-11
PP-MLD AA-,CRISIL21-10-11
PP-MLD AA,CRISIL,21-10-11
MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS,
NA
NA
NA
NA
MR.D P JHAWAR SR VICE PRESIDENT ECL FINANCE LIMITED 14TH FLOOR, EXPRESS TOWERS, Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021 Mr B Renganathan Company Secretary 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MUMBAI- 400021
Mr B Renganathan Company Secretary EDELWEISS CAPITAL LIMITED 20TH FLOOR, EXPRESS TOWERS NARIMAN POINT MR.D P JHAWAR SR VICE PRESIDENT EDELWEISS CAPITAL LIMITED 14TH FLOOR,EXPRESS TOWERS, NARIMAN POINT Mr.D P Jhawar Sr Vice President EDELWEISS CAPITAL LIMITED 14th Floor, Express Towers, NARIMAN POINT MR. PRASHANT MODY VICE PRESIDENT EDELWEISS FINANCIAL SERVICES LIMITED 14TH FLOOR,EXPRESS TOWERS, MR. PRASHANT MODY VICE PRESIDENT EDELWEISS FINANCIAL SERVICES LIMITED 14TH FLOOR,EXPRESS TOWERS, MR. SWAPAN K NASKAR ASST. VICE PRESIDENT INTIME SPECTRUM,DELHI A-40, 2ND FLOOR, NARAINA INDUSTRIAL MR. SWAPAN K NASKAR ASST. VICE PRESIDENT INTIME SPECTRUM,DELHI A-40, 2nd Floor, Naraina Industrial PHASE-II, NEAR BATRA BANQUET HALL Mr. Swapan K Naskar Asst. Vice President Link Intime India Private Limited A-40, Naraina Industrial Area Phase - II, Near Batra Banquet Hall, Mr. Swapan K Naskar Asst. Vice President Link Intime India Private Limited A-40, Naraina Industrial Area Phase II, Near Batra Banquet Hall, Mr. Nikunj Daftary Head - Depository & IPO Link Intime India Pvt Ltd. C13. pannalal Silk Mills Compound L.B.S Marg, Mr. S.P. Date Company Secretary ELDER PHARMACEUTICALS LTD Elder House, C-9, Dalia Industrial Estate Mr Vishwas Badkar Director Flat No 106, ' B ' Wing, 1st Floor, Narendra Park CHS, Anand Nagar , Near N.L.Complex, Mr. Jyoti Jain Company secretary ELECTROSTEEL CASTINGS LIMITED G.K.Tower 19, Camac Street Mr. Ramesh Kumar Laddha, Sr.Manager (F & A) , ElectroSteel Castings Limited 4, B.B.D. Bag (East) Kolkata-700001
AA,CRISIL,
AA-,CRISIL
A+,CARE,DT-
A+ CARE DT 20.02.2012
AA,CARE,DT-10-02-2015
MR. GANAPATHY SUBRAMANIAM VICE PRESIDEN KARVY COMPUTERSHARE PVT LTD.-4 PLOT NO 17-24 VITHALRAO NAGAR MR. ALOK SHARMA BB- CARE DTD 13.02.2012 GENERAL MANAGER KARVY COMPUTERSHARE PVT LTD-RIL PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA VICE PRESIDENT KARVY COMPUTERSHARE PVT LTD.-4 PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA VICE PRESIDENT KARVY COMPUTERSHARE PVT LTD.-4 PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA VICE PRESIDENT KARVY COMPUTERSHARE PVT LTD.-4 PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA VICE PRESIDENT KARVY COMPUTERSHARE PVT LTD.-4 PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA VICE PRESIDENT KARVY COMPUTERSHARE PVT LTD.-4 PLOT NO. 17-24 VITTAL RAO NAGAR MR. ALOK SHARMA VICE PRESIDENT KARVY COMPUTERSHARE PVT LTD.-4 PLOT NO. 17-24 VITTAL RAO NAGAR MR. P.A. VARGHESE LBBB,ICRA,28/12/2010 GENERAL MANAGER KARVY COMPUTERSHARE PVT. LTD. PLOT NO. 17 TO 24 VITHALRAO NAGAR, MADHAPUR HYDERABAD 500081 Mr. Sanjeev Nandu Director 13, Pannalal Silk Mills Compound LBS Marg, Bhandup (West) Mumbai 400 078 MR. SAGAR ISHWARDAS CHORDIA BBMANAGING DIRECTOR EON HADAPSAR INFRASTRUCTURE PVT. LTD. TECH PARK ONE,TOWER 'E'S.N MR. VAIBHAV BHARANA DIRECTOR ERA HOUSING & DEVELOPERS (INDIA) LIMITED 153, OKHLA INDUSTRIAL ESTATE, MR. VAIBHAV BHARANA DIRECTOR ERA HOUSING & DEVELOPERS (INDIA) LIMITED 153,OKHLA INDUSTRIAL ESTATE Ms. Gunjan Singh Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014
MR.RAJIV KUMAR Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014 MR.RAJIV KUMAR Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014 MR.RAJIV KUMAR Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014 MR.RAJIV KUMAR Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014 Ms. Gunjan Singh Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014 MR.RAJIV KUMAR Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014 MR.RAJIV KUMAR Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014 MR.RAJIV KUMAR Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014 MR.RAJIV KUMAR Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014 MR.RAJIV KUMAR Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014 MR.RAJIV KUMAR Company Secretary ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) MR.RAJIV KUMAR Company Secretary ERA INFRA ENGINEERING LIMITED (EARLIER ERA CONSTRUCTIONS INDIA LTD) MR.RAJIV KUMAR Company Secretary 370-371/2, Sahi Hospital Road Jangpura New Delhi - 110 014 Mr.N. V. K.Mohan Managing Director BIGSHARE SERVICES LTD E-2, Ansa Industrial Estate Saki Vihar Road, Sakinaka
Mr.N. V. K.Mohan Managing Director BIGSHARE SERVICES LTD E-2, Ansa Industrial Estate Saki Vihar Road, Sakinaka Mr. G. R. Rao Managing Director Sharepro Services (India)Pvt.Ltd. Satam Estate, 3rd Floor Above Bank of Baroda Mr. G. R. Rao Managing Director Satam Estate, 3rd Floor Above Bank of Baroda Cardinal Gracious Road MS SANJYOT RANGNEKAR COMPANY SECRETARY ESSAR POWER LIMITED 11 KESHAVRAO KHADYE MARG MAHALAXMI MS SANJYOT RANGNEKAR COMPANY SECRETARY ESSAR POWER LIMITED 11 KESHAVRAO KHADYE MARG MAHALAXMI
MR. VINAYAK JOSHI COMPANY SECRETARY ESSAR SHIPPING LIMITED EQUINOX BUSINESS PARK (PENINSULA TECHNO PARK), OFF BANDRA KURLA MR. VINAYAK JOSHI COMPANY SECRETARY ESSAR SHIPPING LIMITED EQUINOX BUSINESS PARK (PENINSULA TECHNO PARK), OFF BANDRA KURLA Mr.H.Krishnamoorthy General Manager (Operations) Sree Sovereign Complex No. 22, 4th Cross Street, Trustpuram Opp. Playground, Kodambakkam Mr.H.Krishnamoorthy General Manager (Operations) DSRC LIMITED Sree Sovereign Complex No. 22, 4th Cross Street, Trustpuram Mr.H.Krishnamoorthy General Manager (Operations) Data Software Research Co. Limited Sree Sovereign Complex, No. 22, 4th Cross Street, Trustpuram, Mr.H.Krishnamoorthy General Manager (Operations) Data Software Research Company Private Limited Sree Sovereign Complex, MR. DINESH KANODIA SR- MANAGER- FINANCE ESSEL CORPORATE RESOURCES PVT LIMITED CONTINENTAL BUILDING MS SHEETAL S CHITLANGE ASST COMPANY SECRETARY ETC NETWORKS LIMITED (ZEE INTERACTIVE LEARNING SYSTEMS LIMITED)
A+ CARE
A+ CARE
A(SO),CARE,DT-31-05-2011
A, BRICKWORKS,DT-16-03-12
DATAMATICS IN200336
DATAMATICS IN200336
DATAMATICS IN200336
DATAMATICS IN200336
IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED Datamatics Financial Software & Services Ltd.(IN200336)
Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Software & Services Ltd. Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Software & Services Ltd. Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Software & Services Ltd. Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Software & Services Ltd. Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Software & Services Ltd. Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Software & Services Ltd. Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Software & Services Ltd. Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Software & Services Ltd. Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Software & Services Ltd.
AAA,CRISIL,DT-01-03-2011
AAA,CRISIL,DT-01-03-2011
AAA,CRISIL DT 01/03/2011
CRISIL, ICRA,DT-27/09/10
Same as above
IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336
MR. S P SINGH DEPUTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. R.D. Kumbhar General Manager Plot No. A-16 &17, Part B Cross Lane Marol, MIDC Andheri (East) Mr. R.D. Kumbhar General Manager Plot No. A-16 &17, Part B Cross Lane Marol, MIDC Andheri (East) Mr. R.D. Kumbhar General Manager Plot No. A-16 &17, Part B Cross Lane Marol, MIDC Andheri (East) Mr. R.D. Kumbhar General Manager Plot No. A-16 &17, Part B Cross Lane Marol, MIDC Andheri (East) Mr. R.D. Kumbhar General Manager Plot No. A-16 &17, Part B Cross Lane Marol, MIDC Andheri (East) Mr. R.D. Kumbhar General Manager Plot No. A-16 &17, Part B Cross Lane Marol, MIDC Andheri (East) Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21
AAA,CRISIL,DT27/07/2010
AAA,CRISIL,DT-04-03-2011
AAA,CRISIL DT 01/03/2011
AAA,CRISIL,DT-23-07-2010
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED
Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. R.D. Kumbhar General Manager Plot No. A-16 &17, Part B Cross Lane Marol, MIDC Andheri (East) Mr. R.D. Kumbhar General Manager Plot No. A-16 &17, Part B Cross Lane Marol, MIDC Andheri (East) Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21
AAA,CRISIL,DT-01-03-2011
AAA,CRISIL,DT-01-03-2011
AAA,CRISIL,DT-20-9-2011
AAA,CRISIL,DT-20-09-2011
AAA,CRISIL,DT- 20-09-2011
AAA,CRISIL,DT-20-09-2011
AAA,CRISIL,DT-20-09-2011
AAA,CRISIL,DT-04-11-2011
AAA,CRISIL,DT-01-12-2011
IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336
Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21
AAA,CRISIL,DT-02-02-2012
IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED
Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd. Plot No. A-16 &17, Part B Cross Lane Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd. Plot No. A-16 &17, Part B Cross Lane Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd. Plot No. A-16 &17, Part B Cross Lane MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21,
AAA,CRISIL,DT-01-03-2011
AAA,CRISIL,DT-12-09-2011
AAA,CRISIL,DT-12-09-2011
AAA,CRISIL,DT-20-09-2011
AAA,CRISIL,DT-05-01-2012
AAA,CRISIL,DT-20-09-2011
AAA,CRISIL,DT-02-02-2012
IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED IN200336 DATAMATICS FINANCIAL SERVICES LIMITED DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 IN200336 DATAMATICS FINANCIAL SERVICES LIMITED DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336
Mr. S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 MS. MEENA VERMA DEUPTY GENERAL MANAGER CORPORATE FINANCE GROUP EXPORT-IMPORT BANK OF INDIA CENTRE ONE BUILDING, FLOOR 21, Mr S P Singh Deputy General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr.Deepak Phanse Senior Manager Datamatics Financial Software and Services Limited Plot No. A 16 & 17, MIDC Ms. Madhu Verma Dy. General Manager - Corporate Finance Group EXPORT-IMPORT BANK OF INDIA Centre One Building, Floor 21 Mr.Deepak Phanse Senior Manager Datamatics Financial Software and Services Limited Plot No. A 16 & 17, MIDC Mr.Deepak Phanse Senior Manager Datamatics Financial Software and Services Limited Plot No. A 16 & 17, MIDC
AAA,CRISIL,DT-02-02-2012
AAA,CRISIL,DT-13-03-2012
AAA,CRISIL,DT-13-03-2012
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336 DATAMATICS FINANCIAL SOFTWARE AND SERVICES LT IN200336
Mr.Deepak Phanse Senior Manager Datamatics Financial Software and Services Limited Plot No. A 16 & 17, MIDC Ms. Madhu Verma Dy. General Manager - Corporate Finance Group Centre One Building, Floor 21 World Trade Centre Complex
Remarks
Coupon shall stand stepped up to 9.50% w.e.f. 16/09/2016 if the call option is not exercised. Coupon shall stand stepped up to 10.50% w.e.f. 23/03/2017 if the call option is not exercised. 8.62% for first 10 years & step up to 9.12% for subsequent year if call option is not exercised by t 9.00% for first 10 years & step up to 9.50% for subsequent year if call option is not exercised by t Coupon rate will be step up to 9.60% , for subsequent years if call option is not exercised by the b Coupon rate will be step up to 9.55% , for subsequent years if call option is not exercised by the b Debenture will be redeemable in two installments. Rs.500000 on 01/01/2013 & Rs.500000 on 01/01/2014 Contact issuer for conversion details
9.40% p.a. with step up of 50bps from 11th year till maturity
8.80% upto 10th year & 9.30% from 11th year to 15th year if call option is not exercised Mr. G.M.Palankar Asst General Manager CENTRAL BANK OF INDIA CHANDERMUKHI - 5TH FLOOR NARIMAN POINT 8.57% p.a. for first 10 years & 9.07% p.a.for the last five years if call option is not exercised by 9.20% p.a. upto 15th year i.e.till date of redemption (21.01.2026)
Debenture will be redeemable in 8 equal installments starting from 13/11/2011 till 13/08/2013 NA Debenture will be redeemable in 6 installments starting from 28/08/2013 till 28/11/2014 Debenture will be redeemable in 6 installments starting from 28/08/2013 till 28/11/2014 NA
NA
Partial Redemption 6 instalment 30/06/2010 16.66%; 31/12/2010 16.66%; 30/06/2011- 16.66%; 31/12/2011-16.66%;30/06/2012 16.66% ; 31/12/2012- 16.70%
NA
Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD) Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD)
Ms. P. Sujatha Company Secretary CHOLAMANDALAM DBS FINANCE LTD (CHOLAMANDALAM INVESTMENT & FINANCE CO. LTD)
NA
12.90% IF THE CALL OPTION HAS NOT HAPPENED AT THE END OF 10TH YEAR, THEN THE INTEREST WILL CHANGED FROM 12.90% TO 13.90%
N.A.
NA
The debentures are redeemable (including premium) at Rs.13,49,068 per NCD) The debentures are redeemable (including premium) at Rs.13,54,707 per NCD) NA The debentures are redeemable (including premium ) of Rs. 13,35,731 per NCD
N.A.
NA
NA
N.A.
12.05%, if the call option has not happened at the end of 10th year, then the interest will be chang 12.50%, if the call option has not happened at the end of 10th year, then the interest will changed from 12.50% to 13.50% 12.50% if the call option has not happened at the end of 10th year, then the interest will changed from 12.50% to 13.50%. 12.50%, IF THE CALL OPTION HAS NOT HAPPENED AT THE END OF 10TH YEAR, THEN THE INTEREST WILL CHANGED FROM 12.50% TO 13.50% 12.50%,if the call option has not happened at the end of 10th year,then the interest will changed from 12.50% to 13.50%.
12.95%, IF THE CALL OPTION HAS NOT HAPPENED AT THE END OF 10TH YEAR,THEN THE INTEREST WILL CHANGED FROM 12.95% TO 13.95%. 12.50% IF THE CALL OPTION HAS NOT HAPPENED AT THE END OF 10TH YEAR THEN THE INTEREST WILL CHANGED FROM 12.50% TO 13.50%
Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Ms. Swati Kulkarni Operations & Technology Head CITICORP FINANCE (INDIA) LIMITED Ground Floor, Cititower 61,Dr. S.S. Rao Raod Refer Issuer for further details.
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Ms. Swati Kulkarni VP Operations CITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV
Ms. Swati Kulkarni VP Operations CITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV Refer issuer for further detail
08/11/2013 is subject to Modified following business day convention as defined by the ISDA definitions 2000 Refer issuer for further details
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Fixed Coupon: 7.00% p.a. for first 2 years from the date of issue and allotment.Floating Coupon:3 mo Arranger- A K CAPITAL SERVICES LTD
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MR. K. RAMDAS PRABHU ASST. GENERAL MANAGER CORPORATION BANK INVESTMENT & INTL. BANKING DIVISION 15, MITTAL CHAMBERS
10.10% p.a. for the 1st 10 years & step up coupon rate of 10.60% for the last 5 years if call option 9.15% p.a. for the 1st 10 years & step up coupon rate of 9.65% for last 5 years if call option is no 8.25% p.a. for the 1st 10 years & step up coupon rate of 8.75% for last 5 years if call option is no 8.37% p.a. for the 1st 10 years & step up coupon rate of 8.87% for last 5 years if call option is no 8.45% p.a. for the 1st 10 years & step up coupon rate of 8.95% for last 5 years if call option is 8.45% p.a. for the 1st 10 years & step up coupon rate of 8.95% for last 5 years if call option is 9.00% p.a. for the 1st 10 years & step up coupon rate of 9.50% for the remaining years if call optio 9.15% p.a. for the 1st 10 years & step up coupon rate of 9.65% for remaining years if call option is 9.05% p.a. for the 1st 10 years & step up coupon rate of 9.55% for remaining years if call option is 9.10% p.a. for the 1st 10 years & step up coupon rate of 9.60% for remaining years if call option is
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1st Redemption :18-12-2012 Rs.3 Lacs 2nd Redemption:18-12-2013 Rs. 3 Lacs 3rd Redemption: 18-12-2014 Rs. 4 Lacs per debenture
8% coupon for the first five years with reset at the end of 5th yr. 1st Redemption 16/05/2013 Rs.3.00Lacs; 2nd Redemption 16.5.2014 Rs. 3 Lacs; 3rd Redemption Coupon rate 8.10% p.a.-first 5 yrs with reset at the end of 5th yr. Partial Redemption: 1st Redemption: 15-10-2013-Rs.3 Lacs; 02nd Redemption: 15-10-2014-Rs.3 Lacs & 1st Redemption on 08.05.2014 of Rs.3.33 Lacs, 2nd on 08.05.2015 of Rs.3.33 Lacs and 3rd on 08.05.2016 of Rs.3.34 Lacs Debenture will be partially redeemable 1st Redemption on 30.09.2014 of Rs.3.33 Lacs, 2nd on 30.09.2015 of Rs.3.33 Lacs and 3rd on 30.09.2016 of
Arranger- SBI CAP, TRUST INVEST, ICICI BONDS WILL BE REDEEMABLE IN 3 BANK, AXIS BANK INSTALLMENTS 30% ON 30/03/2025,30% ON 30/03/2026 & 40% ON 30/03/2027 Remark on Redemption date : 30% on 03.01.2011 30% on 03.01.2012 40% on 03.01.2013
Redeemable in three equal installments at the end of 8th, 9th and 10th year, Ie. Redemption dates 14th Sept 2013, 14th Sept 2014 & 14th Sept 2015. Contact issuer for conversion terms & conditions
Mr. R. Sriraman Company Secretary DEEPAK FERTILISERS AND PETROCHEMICALS CORPORATION Opp. Golf Course, Shastri Nagar
Debenture will be redeemable in 3 equal installments on 25/11/2013,25/11/2014 & 25/11/2015. Debenture will be redeemable in 3 equal installments on 25/11/2013,25/11/2014 & 25/11/2015. Redeemable in 3 equal installments starting from Sept 01, 2012
9.20% for 1st 10 years and step up rate of 9.70% for last 5 year if call option is not exercised ARRANGER - A. K. CAPITAL SERVICES LIMITED, TRUST INVESTMENT ADVISORS LTD, AXIS BANK LTD, SBI CAPITAL MARKET LTD
9.00% for 1st 10 years and step up rate of 9.50% for subsequent years if call option is not exerci
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Mr. Ajay Jaiswal Company Secretary DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED) Mr. Ajay Jaiswal Company Secretary DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED)
Mr. Ajay Jaiswal Company Secretary DEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED)
The coupon shall be increased by 25bps for the remaining tenure if the call option is not exercised
27/10/2009 is Subject to Modified following business day convention as defined by the ISDA definitions 2000)Refer to issuer for further detail
COUPON RATE - 11% p.a. FOR FIRST 3 YEARS, 11.45% p.a. FOR 4TH & 5TH YEAR & 11.55% p.a.6TH & 7TH YEAR
12.75% p.a. payable annually for first 10 years.The Debentures shall have a step up option which shall be exercised only once during the life of the debentures,in conjunction with
12.75% p.a. payable annually for first 10 years.The Debentures shall have a step up option which shall be exercised only once during the life of the debenture, in conjunction with the Remark on Redemption date : 15 Equal annual instalments from 17th march, 2004 to 17th March, 2018. ARRANGER - A.K. CAPITAL SERVICES LTD
Debenture will be redeemable in three equal annual installment on 31/12/2015, 31/12/2016 & 31/12/2017
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Mr. Subhash C. Setia Company Secretary DLF LIMITED (FORMERLY DLF UNIVERSAL LIMITED) 1-E, Jhandewalan Extension
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Mr. Anurag Madan Director ECL FINANCE LIMITED 14th Floor, Express Towers, Nariman Point, Mumbai 400 021
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Mr. Anurag Madan Director ECL FINANCE LIMITED 14th Floor, Express Towers, Nariman Point, Mumbai 400 021 Refer issuer for further details
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Mr.D P Jhawar Sr Vice President EDELWEISS CAPITAL LIMITED 14th Floor, Express Towers, NARIMAN POINT
DEBENTURE WILL BE REDEEM IN 4 EQUAL INSTALMENT START FROM 20/06/2015- 25%, 20/12/2015-25%, 20/06/2016 - 25% & 20/12/2016 - 25%
Debenture will be convertible in to preference shares. Contact issuer for further details. Mr. Ramesh Kumar Laddha Sr. Manager (Finance & Accounts) ELECTROSTEEL CASTINGS LIMITED 4 B.B.D. Bag (East) Calcutta 700 001
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No interest for a period of 12 month, from 13 month till 42 month -17.1% p.a and thereafter from the 43rd month till the end of 96th month, the interest payable is that as agreed Debenture will be redeemable in 3 installments.33.34% on 23/12/2011,33.34% on 23/12/2012 & 33.32% on
Debenture will be redeemable in 5 quarterly installments starting from 20/09/2012 till 20/09/2013
Debenture will be Redeemable in 3 annual installments commencing from 24/12/2010 and ending on 24/12/2012
Debenture will be redeemable in 3 equal annual installments on 31/07/2012 , 31/07/2013 & 31/07/2014
Debenture will be redeemable in 3 equal monthly installments on 04/06/2014, 04/06/2015 & 04/06/2016
Debenture will be redeemable in 8 equal annual installments commencing from 20th April 2009 and final redemption date is 20th April,2016. Interest from 21/04/2003 to Debenture will be redeemable in 15 installments commencing from 23/01/2015 to 23/07/2018 Debenture will be redeemable in 8 installments starting from 31/03/2011 till 31/03/2018.Contact issu Debenture will be redeemable in 8 installments starting from 31/03/2011 till 31/03/2018.Contact issu
Remark on Redemption date : Redemption in 14 Instalments From 31/03/2005 to 31/03/2018. Arranger/Lead Manager- AXIS BANK LTD Debenture will be redeemable in 4 equal annual installments beginning from the end of 4th year (viz.13th June,2015) to the end of 7th year (viz.13th June,2018) from the date of
MR. RAHUL NEOGI COMPANY SECRETARY ETC NETWORKS LIMITED (ZEE INTERACTIVE LEARNING SYSTEMS LIMITED)
The Investors will have the option to hold bonds in the form of Promissory Note, an entry in an account with Exim Bank or in the dematerialised form The Investors will have the option to hold bonds in the form of Promissory Note, an entry in an account with Exim Bank or in the dematerialised form The Investors will have the option to hold bonds in the form of Promissory Note, an entry in an account with Exim Bank or in the dematerialised form The Investors will have the option to hold bonds in the form of Promissory Note, an entry in an account with Exim Bank or in the dematerialised form The Investors will have the option to hold bonds in the form of Promissory Note, an entry in an account with Exim Bank or in the dematerialised form The Investors will have the option to hold bonds in the form of Promissory Note, an entry in an account with Exim Bank or in the dematerialised form The Investors will have the option to hold bonds in the form of Promissory Note, an entry in an account with Exim Bank or in the dematerialised form The Investors will have the option to hold bonds in the form of Promissory Note, an entry in an account with Exim Bank or in the dematerialised form
The Investors will have the option to hold bonds in the form of Promissory Note, an entry in an account with Exim Bank or in the dematerialised form ARRANGERS-A K CAPITAL,TRUST CAPITAL,LKP SECURITIES,BARCLAYS,AXIS BANK Arranger- STANDARD CHARTERED BANK
Arranger- ICICI SECURITIES PRIMARY DEALERSHIP LTD,AXIS BANK LTD, J P MORGAN CHEASE BANK
Arranger- ICICI BANK LTD, HSBC BANK, BARCLYAS BANK, ICICI SECURITIES PRIMARY DEALERSHIP LTD NA
Arranger- HSBC
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD., AXIS BANK LTD ETC ARRANGER - ICICI BANK LTD
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5 Y INCMTBMK on Reuters page " 0#INCMTBMK=" at 5.50 pm ; average of 3 days preceding the Coupon Reset. Arranger- AXIS BANK LTD
Arranger- BARCLYAS BANK PLC, TRUST INVESTMENT ADVISOR PVT LTD, AXIS BANK LTD, ICICI BANK LTD, STANDA
Arranger- AXIS BANK LTD, I-SEC PD , NOMURA FIXED INCOME SECURITIES PVT LTD, STANDARD CHARTERED BANK Arranger- BARCLYAS BANK PLC, AXIS BANK LTD, ICICI BANK LTD
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