S.No. |
Date |
Particular |
Language |
Size (in kb) |
---|
|
10.08.2022 |
Intimation under Regulation 60(2)_Record Date_ RRVPN-8.69%-23-3-27 PVT Bonds of Rs.399.70 Crs |
EN |
277 KB |
|
08.08.2022 |
Outcome of Board Meeting |
EN |
2MB |
|
08.08.2022 |
Quarterly Financial Results_Apr. to June_Ist Quarter (F.Y. 2022-23) |
EN |
345 KB |
|
02.08.2022 |
Intimation under regulation 50(1)_Board Meeting |
EN |
280 KB |
|
28.07.2022 |
Intimation under Regulation 60(2)_Record Date_Redemption & Interest_RRVPNL-9.07%-SR1-6-9-25-PVT Bonds of Rs.200.00 Crs |
EN |
306 KB |
|
25.07.2022 |
Intimation pursuant to Regulation 51(2) of SEBI (LODR) Regulations, 2015_Call Option on RRVPNL-9.07%-SR1-6-9-25-PVT Bonds of Rs.200.00 Crs. (Ist Tranche of Rs.750 Crs. of 2013-14) |
EN |
415 KB |
|
19.07.2022 |
Quarterly Corporate Governance Compliance Report_Apr. 2022- June 2022 |
EN |
1.1 Mb |
|
18.07.2022 |
Intimation of interest payment_ RRVPNL-10.25%-17-1-26-PVT-Bonds of Rs.323.60 Crs. |
EN |
415 KB |
|
14.07.2022 |
Investor Grievance Details_Regulation 13(3)_Quarter ended June 2022 |
EN |
402 KB |
|
11.07.2022 |
Disclosure of compliance_Regulation 6(1) and 7(1)_BSE_NSE |
EN |
234 KB |
|
05.07.2022 |
Quarterly Compliance_Regulation 57(5)_BSE_NSE |
EN |
742 KB |
|
05.07.2022 |
Intimation of interest payment_ RRVPN-8.65%-5-1-27-PVT-Bonds of Rs.300.30 Crs. |
EN |
741 KB |
|
24.06.2022 |
Quarterly Compliance_Regulation 57(4)_NSE |
EN |
45 KB |
|
24.06.2022 |
Quarterly Compliance_Regulation 57(4)_BSE |
EN |
23 KB |
|
06.06.2022 |
Intimation under Regulation 60(2)_Record Date_ RRVPNL-10.25%-17-1-26-PVT-Bonds of Rs.323.60 Crs.
|
EN |
456 KB |
|
01.06.2022 |
Intimation under Regulation 60 (2)_Record Date_ RRVPN-8.65%-5-1-27-PVT-Bonds of Rs.300.30 Crs |
EN |
339 KB |
|
27.05.2022 |
Annual Audited Standalone & Consolidated Financial Results for the FY 2021-22 |
EN |
12.8 MB |
|
27.05.2022 |
Outcome of Board Meeting |
EN |
248 KB |
|
23.05.2022 |
Intimation under Regulation 50 (1)_Board Meeting |
EN |
248 KB |
|
17.05.2022 |
Annual Secretarial Compliance Report for the year ended 31.3.2022 |
EN |
3 MB |
|
30.04.2022 |
Certificate under Regulation 61(4) read with Regulation 40(9)_F.Y. ended 31st March 2022_NSE_BSE |
EN |
609 KB |
|
13.04.2022 |
Disclosure of compliance_Regulation 6(1) and 7(1)_BSE_NSE |
EN |
745 KB |
|
11.04.2022 |
Compliance Certificate_Regulation 7 (3)_NSE |
EN |
999 KB |
|
11.04.2022 |
Compliance Certificate_Regulation 7 (3)_BSE |
EN |
789 KB |
|
06.04.2022 |
Details of ISINs of RVPN Bonds_NSDL_CDSL_Chapter VIII of SEBI's Operational Circular 613 dt. 10.08.2021 |
EN |
880 KB |
|
06.04.2022 |
Details of ISINs of RVPN Bonds_BSE_Chapter VIII of SEBI's Operational Circular 613 dt. 10.08.2021 |
EN |
880 KB |
|
06.04.2022 |
Details of ISINs of RVPN Bonds_NSE_Chapter VIII of SEBI's Operational Circular 613 dt. 10.08.2021 |
EN |
2 MB |
|
05.04.2022 |
Quarterly Compliance_Regulation 57(5)_BSE_Jan.-Mar.2022 |
EN |
613 KB |
|
05.04.2022 |
Quarterly Compliance_Regulation 57(5)_NSE_Jan.-Mar.2022 |
EN |
568 KB |
|
28.03.2022 |
Quarterly Compliance_Regulation 57(4)_BSE_NSE |
EN |
521 KB |
|
28.03.2022 |
Intimation of interest payment_ RRVPN-10.15% 2026 Bonds of Rs. 226.40 Crs |
EN |
243 KB |
|
23.03.2022 |
Intimation of interest payment_ RRVPNL-8.69%-23-3-27 PVT Bonds of Rs.399.70 Crs. |
EN |
852 KB |
|
22.03.2022 |
Intimation of Redemption & Interest payment_RRVPN-9.40%-SR2-22-3-25-PVT Bonds of Rs. 292.60 Crs |
EN |
410 KB |
|
07.03.2022 |
Intimation of interest payment_ RRVPNL-9.07%-SR1-6-9-25-PVT-Bonds of Rs.200.00 Crs. |
EN |
789 KB |
|
18.02.2022 |
Intimation under Regulation 60(2)_Record Date_ RRVPN-10.15% 2026 Bonds of Rs.226.40 Crs |
EN |
402 KB |
|
18.02.2022 |
Intimation under Regulation 60(2)_Record Date_ RRVPN-8.69%-23-3-27 PVT Bonds of Rs.399.70 Crs |
EN |
377 KB |
|
18.02.2022 |
Intimation under Regulation 60(2)_Record Date_Redemption & Interest_ RRVPN 9.40% 2025 Bonds of Rs.292.60 Crs |
EN |
346 KB |
|
15.02.2022 |
Intimation of Redemption & Interest payment_RRVPN-9.30%-15-2-25-PVT Bonds of Rs.257.40 Crs. |
EN |
64 KB |
|
16.02.2022 |
Intimation pursuant to Regulation 51(2) of SEBI (LODR) Regulations, 2015_Call Option on RRVPN 9.40% 2025 NCDs |
EN |
635 KB |
|
15.02.2022 |
Outcome Of Board Meeting |
EN |
3 MB |
|
04.02.2022 |
Intimation under Regulation 60(2)_Record Date_ RRVPNL-9.07%-SR1-6-9-25-PVT Bonds of Rs.200 Crs. |
EN |
418 KB |
|
03.02.2022 |
Intimation under regulation 50(1)_Board Meeting |
EN |
478 KB |
|
31.01.2022 |
Intimation of redemption_STRPP-B_DDBs of Rs. 399.95 Crs |
EN |
317 KB |
|
21.01.2022 |
Quarterly Corporate Governance Compliance Report_Oct. 2021-Dec. 2021 |
EN |
1924 KB |
|
18.01.2022 |
Intimation under Regulation 60(2)_Record Date_Redemption & Interest_ RRVPN 9.30% 2025 Bonds of Rs.257.40 Crs |
EN |
466 KB |
|
17.01.2022 |
Intimation of interest payment_ RRVPNL-10.25%-17-1-26-PVT-Bonds of Rs.323.60 Crs |
EN |
276 KB |
|
17.01.2022 |
Intimation of repayment_STRPP-C_DDBs of Rs. 199.93 Crs |
EN |
320 KB |
|
12.01.2022 |
Intimation pursuant to Regulation 51(2) of SEBI (LODR) Regulations, 2015_Call Option on RRVPN 9.30% 2025 NCDs |
EN |
511 KB |
|
06.01.2022 |
Quarterly Compliance_Regulation 57(5)_NSE_Oct.-Dec. 2021 |
EN |
374 KB |
|
05.01.2022 |
Intimation of interest payment_ RRVPN-8.65%-5-1-27-PVT-Bonds of Rs.300.30 Crs. |
EN |
311 KB |
|
31.12.2021 |
Intimation under Regulation 60(2)_Record Date_ STRPP-B_DDBs of Rs.399.95 |
EN |
369 KB |
|
31.12.2021 |
Intimation of repayment_STRPP-C_DDBs of Rs. 149.88 Crs |
EN |
375 KB |
|
23.12.2021 |
Quarterly Compliance_Regulation 57(4)_NSE_Oct.-Dec. 2021 |
EN |
541 KB |
|
23.12.2021 |
Quarterly Compliance_Regulation 57(4)_BSE_Oct.-Dec. 2021 |
EN |
852 KB |
|
23.12.2021 |
21st AGM Notice along with Annual Report for FY 2020-21 |
EN |
13320 KB |
|
21.12.2021 |
Intimation under Regulation 60(2)_Record Date_ Third STRPP_DDBs of Rs.199.93 Crs. |
EN |
963 KB |
|
21.12.2021 |
Intimation under Regulation 60(2)_Record Date_ RRVPNL-10.25%-17-1-26-PVT-Bonds of Rs.323.60 Crs. |
EN |
756 KB |
|
07.12.2021 |
Intimation under Regulation 60 (2)_Record Date_ RRVPN-8.65%-5-1-27-PVT-Bonds of Rs.300.30 Crs. |
EN |
852 KB |
|
01.12.2021 |
Intimation under Regulation 60(2)_Record Date_ Third STRPP_DDBs of Rs.149.88 Crs. |
EN |
741 KB |
|
11.11.2021 |
Outcome of Board Meeting |
EN |
392 KB |
|
08.11.2021 |
Board Meeting Notice |
EN |
97 KB |
|
08.11.2021 |
Revised Intimation under regulation 50(1)_Board Meeting |
EN |
421 KB |
|
02.11.2021 |
Intimation under regulation 50(1)_Board Meeting |
EN |
423 KB |
|
14.10.2021 |
Details of ISINs of RVPN Bonds BSE SEBI Circular 67 dt.30.06.2017 |
EN |
1230 KB |
|
14.10.2021 |
Details of ISINs of RVPN Bonds_NSE_SEBI Circular 67 dt. 30.06.2017. |
EN |
741 KB |
|
06.10.2021 |
Intimation under Regulation 57(5)_NSE_Redemption/ Interest paid_ Second Quarter_F.Y. 2021-2022. |
EN |
522 KB |
|
10.10.2021 |
Intimation under Regulation 57(5)_Redemption/ Interest paid_ Second Quarter_F.Y. 2021-2022. |
EN |
741 KB |
|
28.09.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPN-10.15% 2026 Bonds of Rs.226.40 Crs. |
EN |
374 KB |
|
27.09.2021 |
Intimation under Regulation 57(1)_Redemption & Interest payment made on RRVPN-9.51% 2024 Bonds of Rs.54.50 Crs. |
EN |
631 KB |
|
27.09.2021 |
Intimation under Regulation 57(4)_Redemption/Interest due_ Third Quarter_F.Y. 2021-22. |
EN |
741 KB |
|
23.09.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPNL-8.69%-23-3-27 PVT Bonds of Rs.399.70 Crs. |
EN |
369 KB |
|
22.09.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPNL-9.40%-SR2-22-3-25-PVT Bonds of Rs.292.60 Crs. |
EN |
485 KB |
|
07.09.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPNL-9.07%-SR1-6-9-25-PVT Bonds of Rs.200.00 Crs. |
EN |
784 KB |
|
19.08.2021 |
Intimation under Regulation 60_Record Date_RRVPNL-10.25%-17-1-26-PVT Bonds of Rs. 323.60 Crs. |
EN |
965 KB |
|
17.08.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPN-9.30%-15-2-25-PVT Bonds of Rs.257.40 Crs. |
EN |
368 KB |
|
17.08.2021 |
Intimation under Regulation 60_Record Date_ RRVPN-10.15% 2026 Bonds of Rs.226.40 Crs. |
EN |
335 KB |
|
17.08.2021 |
Prior intimation under Regulation 50_Interest payment due on dt.28.09.2021_ RRVPN-10.15% 2026 Bonds of Rs.226.40 Crs. |
EN |
368 KB |
|
13.08.2021 |
Intimation under Regulation 60_Record Date_Redemption & Interest_RRVPN 9.51% 2024 Bonds of Rs.54.50 Crs. |
EN |
852 KB |
|
13.08.2021 |
Prior intimation under Regulation 50_Redemption & Interest_RRVPN-9.51% 2024 Bonds of Rs.54.50 Crs. |
EN |
741 KB |
|
11.08.2021 |
Intimation under Regulation 50_Interest payment due on dt.23.09.2021_ RRVPN-8.69%-23-3-27 PVT Bonds of Rs.399.70 Crs. |
EN |
965KB |
|
11.08.2021 |
Intimation under Regulation 60_Record Date_ RRVPN-8.69%-23-3-27 PVT Bonds of Rs.399.70 Crs. |
EN |
1054KB |
|
10.08.2021 |
Intimation under Regulation 60_Record Date_ RRVPN-9.40%-SR2-22-3-25 PVT Bonds of Rs.292.60 Crs. |
EN |
258 KB |
|
10.08.2021 |
Intimation under Regulation 50_Interest payment due on dt.22.09.2021_RRVPN-9.40%-SR2-22-3-25 PVT Bonds of Rs.292.60 Crs. |
EN |
874 KB |
|
03.08.2021 |
Intimation under Regulation 50_Interest payment due on 06.09.2021_RRVPNL-9.07%-SR1-6-9-25-PVT Bonds of Rs. 200.00 Crs. |
EN |
741 KB |
|
03.08.2021 |
Intimation under Regulation 60_Record Date_RRVPNL-9.07%-SR1-6-9-25-PVT Bonds of Rs. 200.00 Crs. |
EN |
963 KB |
|
19.07.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPNL-10.25%-17-1-26-PVT Bonds of Rs. 323.60 Crs. |
EN |
755 KB |
|
06.07.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPN-8.65%-5-1-27-PVT Bonds of Rs. 300.30 Crs. |
EN |
963 KB |
|
01.07.2021 |
Intimation under Regulation 60_Record Date_ RRVPN-9.30%-15-2-25-PVT Bonds of Rs.257.40 Crs |
EN |
353 KB |
|
01.07.2021 |
Prior intimation under Regulation 50_Interest payment due on dt.15.08.2021_ RRVPN-9.30%-15-2-25-PVT Bonds of Rs.257.40 Crs. |
EN |
418 KB |
|
29.06.2021 |
Intimation under Regulation 57(1)_Redemption & Interest payment made on RRVPN 9.74% 2024 Bonds of Rs. 395.50 Crs. |
EN |
|
|
14.06.2021 |
Intimation under Regulation 50_Interest payment due on 17.07.2021_RRVPNL-10.25%-17-1-26-PVT Bonds of Rs. 323.60 Crs. |
EN |
|
|
08.06.2021 |
Intimation under Regulation 60_Record Date_RRVPN-8.65%-5-1-27-PVT-Bonds of Rs. 300.30 Crs. |
EN |
|
|
08.06.2021 |
Intimation under Regulation 50_Interest payment due on 05.07.2021_RRVPN-8.65%-5-1-27-PVT-Bonds of Rs. 300.30 Crs. |
EN |
|
|
08.06.2021 |
Annual Undertaking_Regulation 57(2)_FY 2020-21 |
EN |
|
|
08.06.2021 |
Half Yearly Communication to Bond Holders |
EN |
|
|
28.05.2021 |
Intimation of credit rating assigned to RVPNL's Bond Issues |
EN |
|
|
28.05.2021 |
Intimation under Regulation 60_Record Date_Redemption & Interest_RRVPN 9.74% 2024 Bonds of Rs. 395.50 Crs. |
EN |
|
|
28.05.2021 |
Intimation under Regulation 50_Prior Intimation_Redemption & Interest_RRVPN 9.74% 2024 Bonds of Rs. 395.50 Crs. |
EN |
|
|
11.05.2021 |
Notice to Bond Holders of RRVPN 9.74% 2024 NCDs (INE572F08014) of RVPN's intent to exercise Call Option on dt. 28.06.2021. |
EN |
|
|
30.03.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPN 10.15% 2026 Bonds of Rs. 226.40 Crs. |
EN |
|
|
26.03.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPN 9.51% 2024 Bonds of Rs. 54.50 Crs. |
EN |
|
|
23.03.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPN-8.69%-23-3-27 PVT Bonds of Rs. 399.70 Crs. |
EN |
|
|
23.03.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPN-9.40%-SR2-22-3-25-PVT Bonds of Rs. 292.60 Crs. |
EN |
|
|
08.03.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPNL-9.07%-SR1-6-9-25-PVT Bonds of Rs. 200.00 Crs. |
EN |
|
|
23.02.2021 |
Intimation under Regulation 60_Record Date_RRVPN 9.51% 2024 Bonds of Rs. 54.50 Crs. |
EN |
|
|
23.02.2021 |
Prior intimation under Regulation 50(1)_Interest payment due on 26.03.2021_RRVPN 9.51% 2024 Bonds of Rs. 54.50 Crs. |
EN |
|
|
23.02.2021 |
Intimation under Regulation 60_Record Date_RRVPN 10.15% 2026 Bonds of Rs. 226.40 Crs. |
EN |
|
|
23.02.2021 |
Prior intimation under Regulation 50(1)_Interest payment due on 28.03.2021_RRVPN 10.15% 2026 Bonds of Rs. 226.40 Crs. |
EN |
|
|
22.02.2021 |
Intimation under Regulation 50_Interest payment due on dt. 22.03.2021_RRVPN-9.40%-SR2-22-3-25 PVT Bonds of Rs. 292.60 Crs. |
EN |
|
|
22.02.2021 |
Intimation under Regulation 50_Interest payment due on dt. 23.03.2021_RRVPN-8.69%-23-3-27 PVT Bonds of Rs. 399.70 Crs. |
EN |
|
|
19.02.2021 |
Intimation under Regulation 60_Record Date_RRVPN-8.69%-23-3-27-PVT Bonds of Rs. 399.70 Crs |
|
|
|
15.02.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPN-9.30%-15-2-25-PVT Bonds of Rs. 257.40 Crs. |
|
|
|
02.02.2021 |
Intimation under Regulation 60_Record Date_RRVPNL 9.07%-SR1-6-9-25 PVT Bonds of Rs. 200.00 Crs. |
|
|
|
02.02.2021 |
Intimation under Regulation 50_Interest payment due on 06.03.2021_RRVPNL-9.07%-SR1-6-9-25-PVT Bonds of Rs. 200.00 Crs. |
|
|
|
29.01.2021 |
Intimation under Regulation 57(1)_Repayment made on 29.01.2021_First STRPP_DDBs of Rs. 399.95 Crs |
|
|
|
15.01.2021 |
Intimation under Regulation 57(1)_Repayment made on 14.01.2021_Second STRPP_DDBs of Rs. 199.93 Crs. |
|
|
|
18.01.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPNL-10.25%-17-1-26-PVT Bonds of Rs. 323.60 Crs. |
|
|
|
18.01.2021 |
Intimation under Regulation 60_Record Date_RRVPN-9.30%-15-2-25-PVT Bonds of Rs. 257.40 Crs. |
|
|
|
18.01.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPNL-10.25%-17-1-26-PVT Bonds of Rs. 323.60 Crs. |
|
|
|
07.01.2021 |
Intimation under Regulation 60_Record Date_First STRPP_DDBs of Rs. 399.95 Crs. |
|
|
|
07.01.2021 |
Intimation under Regulation 50(1)_Repayment due on 31.01.2021_Second STRPP_DDBs of Rs. 399.95 Crs. |
|
|
|
05.01.2021 |
Intimation under Regulation 57(1)_Interest payment made on RRVPN-8.65%-5-1-27-PVT-Bonds of Rs. 300.30 Crs. |
|
|
|
31.12.2020 |
Intimation under Regulation 57(1)_Repayment made on 31.12.2020_Second STRPP_DDBs of Rs. 149.88 Crs. |
|
|
|
28.12.2020 |
Intimation under Regulation 57(1)_Interest payment made on RRVPN 9.74% 2024 Bonds of Rs. 395.50 Crs. on dt. 28.12.2020. |
|
|
|
21.12.2020 |
Intimation under Regulation 60_Record Date_RRVPNL-10.25%-17-1-26-PVT Bonds of Rs. 323.60 Crs. |
|
|
|
21.12.2020 |
Prior Intimation under Regulation 50_Interest payment due on dt. 17.01.2021_RRVPNL-10.25%-17-1-26-PVT Bonds of Rs. 323.60 Crs. |
|
|
|
15.12.2020 |
Intimation under Regulation 60_Record Date_Second STRPP_DDBs of Rs. 199.93 Crs. |
|
|
|
15.12.2020 |
Intimation under Regulation 50_Repayment getting due on 14.01.2021_Second STRPP_DDBs of Rs. 199.93 Crs. |
|
|
|
09.12.2020 |
Intimation under Regulation 60_Record Date_RRVPN-8.65%-5-1-27-PVT Bonds of Rs. 300.30 Crs. |
|
|
|
09.12.2020 |
Intimation under Regulation 50_Interest payment due on 05.01.2021_RRVPN-8.65%-5-1-27-PVT Bonds of Rs. 300.30 Crs. |
|
|
|
03.12.2020 |
Intimation under Regulation 50_Repayment getting due on 31.12.2020_Second STRPP_DDBs of Rs. 149.88 Crs. |
|
|
|
03.12.2020 |
Intimation under Regulation 60_Record Date_Second STRPP_DDBs of Rs. 149.88 Crs. |
|
|
|
01.12.2020 |
Intimation under Regulation 50_Interest payment due on 28.12.2020_RRVPN 9.74% 2024 Bonds of Rs. 395.50 Crs |
|
|
|
01.12.2020 |
Intimation under Regulation 60_Record Date_RVPN Bond issue of Rs. 395.50 Crs |
|
|
|
28.09.2020 |
Intimation under Regulation 57(1)_Interest payment made on 10.15% RVPN Bonds of Rs. 226.40 Crs. on dt. 28.09.2020 |
|
|
|
28.09.2020 |
Intimation under Regulation 57(1)_Interest payment made on 9.51% RVPN Bonds of Rs. 54.50 Crs. on dt. 28.09.2020 |
|
|
|
08.10.2020 |
Statement pursuant to SEBI Circular No. CIR/IMD/DF-1/67/2017 dt. 30.06.2017 for half year ended on 30th Sept. 2020 |
|
|
|
23.09.2020 |
Intimation under Regulation 57(1)_Interest payment made on 8.69% RVPN Bonds of Rs. 399.70 Crs. on dt. 23.09.2020 |
|
|
|
22.09.2020 |
Intimation under Regulation 57(1)_Interest payment made on 9.40% RVPN Bonds of Rs. 292.60 Crs. on dt. 22.09.2020 |
|
|
|
07.09.2020 |
Intimation under Regulation 57(1)_Interest payment made on 07.09.2020_RRVPNL-9.07%-SR1-6-9-25-PVT Bonds of Rs. 200.00 Crs. |
|
|
|
31.08.2020 |
Intimation under Regulation 50_Interest payment due on 28.09.2020_RRVPN 10.15% 2026 Tranche-III NCDs |
|
|
|
21.08.2020 |
Intimation under Regulation 60_Record Date_RVPN Bond issue of Rs. 292.60 Crs. |
|
|
|
21.08.2020 |
Intimation under Regulation 50_Interest payment due on 22.09.2020_RRVPN-9.40%-SR2-22-3-25-PVT Bonds of Rs. 292.60 Crs |
|
|
|
27.08.2020 |
Intimation under Regulation 60_Record Date_RVPN Bond issue of Rs. 226.40 Crs. |
|
|
|
27.08.2020 |
Intimation under Regulation 60_Record Date_RVPN Bond issue of Rs. 54.50 Crs. |
|
|
|
27.08.2020 |
Intimation under Regulation 50_Interest payment due on 26.09.2020_RRVPN 9.51% 2024 NCDs |
|
|
|
24.08.2020 |
Intimation under Regulation 50_Interest payment due on 23.09.2020 on RVPN Bonds of Rs. 399.70 Crs. |
|
|
|
24.08.2020 |
Intimation under Regulation 60_Record Date_RVPN Bond issue of Rs. 399.70 Crs. |
|
|
|
24.08.2020 |
Intimation under Regulation 60_Record Date_RVPN Bond issue of Rs. 399.70 Crs |
|
|
|
17.08.2020 |
Intimation under Regulation 57(1)_Interest Payment made on 9.30 % RVPN Bonds of Rs. 257.40 |
|
|
|
04.08.2020 |
Intimation under Regulation 60_Record Date_RVPN Bond issue of Rs. 200 Crs. |
|
|
|
04.08.2020 |
Intimation under Regulation 50_Interest payment due on 06.09.2020_RRVPN-9.07%-SR1-6-9-25-PVT Bonds of Rs. 200 Crs. |
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21.07.2020 |
Intimation under Regulation 50_Interest Payment due on 15.08.2020_RRVPN-9.30%-15-2-25-PVT Bonds of Rs. 257.40 Crs. |
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21.07.2020 |
Intimation under Regulation 57(1)_Interest Payment made on 10.25% RVPN Bonds of Rs. 323.60 Crs. |
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20.07.2020 |
Intimation under Regulation 60_Record Date_RVPN Bond Issue of Rs. 257.40 Crs |
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06.07.2020 |
Intimation under Regulation_Interest Payment made on 8.65% RVPN Bonds of Rs. 300.30 Crs |
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29.06.2020 |
Intimation under Regulation 57(1)_Interest Payment Made on 9.74% RVPN Bonds of Rs. 395.50 Crs |
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19.06.2020 |
Intimation of semi-annual interest payment (ISIN Number- INE572F08063) getting due on 17.07.2020 on RRVPNL-10.25%-17-1-26-PVT Bonds of Rs. 323.60 Crs. |
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09.06.2020 |
Intimation of Record Date under Regulation 60 of SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015. |
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09.06.2020 |
Intimation of semi annual interest payment getting due on 05.7.2020 on RRVPN 8.65-5-1-27-PVT% 2024 Bonds of Rs.300.30Cr |
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12.06.2020 |
Intimation of record date under regulation 60 of SEBI (LODR) Regulations 2015 Bond Issue 300.30Crs due on 05.07.2020 |
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02.06.2020 |
Intimation of semi annual interest payment getting due on 28.06.2020 on RRVPN 9.74% 2024 Bonds of Rs.395.50Cr |
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30.03.2020 |
Intimation of record date under regulation 60 of SEBI (LODR) Regulations 2015 Bond Issue 395.50Crs due on 26.06.2020. |
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26.03.2020 |
Certificate under regulation 57 (1) of SEBI (LODR) Regulations Bonds Issue 226.40 Crspaid on 30.03.2020. |
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26.03.2020 |
Certificate under regulation 57 (1) of SEBI (LODR) Regulations Bonds Issue 54.50 Crs paid on 26.03.2020. |
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23.03.2020 |
Certificate under regulation 57 (1) of SEBI (LODR) Regulations Bonds Issue 399.70 Crs paid on 23.03.2020. |
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Certificate under regulation 57 (1) of SEBI (LODR) Regulations Bond Issue 292.60 Crs paid on 23.03.2020. |
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Compliance Certificate Regulation 7 (3) of SEBI (Listing Obligations and Disclosure Requirements) Regulations; 2015 for half year ended March 31, 2020 |
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Compliance Certificate Regulation 7(3) of SEBI (Listing - Obligations and Disclosure Requirements) regulation, 2015 for half year ended Marth 31, 2020 |
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Intimation of semi-annual interest payment (ISIN Number- INE572F08071) getting due on 28.03.2020 on RRVPN 10.15% 2026 Tranche-III Unsecured, Non-Convertible, Redeemable Debenture issued by Rajasthan Rajya Vidyut Prasaran Nigam Limited. |
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Intimation of Record Date under Regulation 60 of SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015. |
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Intimation of Record Date under Regulation 60 of SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015. |
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Undertaking in accordance with Regulation 57(2) of SEBI (Listing Obligations and Disclosure Requirement) Regulations, 2015. |
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Intimation of semi annual interest payment (ISIN Number-INE572F08014) getting due on 28.06.2020 on RRVPN 9.74% 2024 Bonds of Rupees 395.50 Crs |
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Intimation of record date under regulation 60 of SEBI (LODR) Regulations 2015 |
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Certificate under clause 57(1) of SEBI (LODR) Regulations_Bonds Issue 257.40 Crs._paid on 15.02.2020" |
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Intimation under clause 50 of SEBI (LODR) Regulations_Bonds Issue 54.50 Crs._Interest Payment Due" |
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Intimation under clause 60 of SEBI (LODR) Regulations_Bonds Issue 54.50 Crs._Record Date |
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Intimation under clause 60 of SEBI (LODR) Regulations_Bonds Issue 226.40 Crs._Record Date |
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Intimation under clause 50 of SEBI (LODR) Regulations_Bonds Issue 399.70 Crs._Interest Payment Due |
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Intimation under clause 50 of SEBI (LODR) Regulations_Bonds Issue 292.60 Crs._Interest Payment Due |
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Intimation under clause 60 of SEBI (LODR) Regulations_Bond Issue Rs. 200.00 Crs._Record Date |
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Intimation under clause 57(1) of SEBI (LODR) Regulations_Bond Issue Rs. 323.60 Crs._paid on 17.01.2020 |
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Intimation under clause 50 of SEBI (LODR) Regulations_Bonds Issue 257.40 Crs._Interest Payment Due |
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Intimation under clause 57(1) of SEBI (LODR), Regulations_DDB 200.00 Crs._due on 14.01.2020 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations_Bond Issue 300.30 Crs._due on 05.01.2020 |
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Intimation under clause 57(1) of SEBI (LODR), Regulations_DDB 150.00 Crs._due on 31.12.2019 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 395.50 Crs Int Due On 28.12.2019 |
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Intimation under clause 60 of SEBI (LODR)Regulations Bonds Issue 323.60 Crs. Record Date |
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Intimation under clause 50(1) of SEBI (LODR) Regulations BondsIssue 323.6,0 Cr. into due on 17.01.2020 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond DDB 300.30 Cr. Record Date |
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Intimation of interest payment getting due on 05.01.2020 under clause 50(1) of SEBI (LODR) Regulations |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond DDB 200.00 Cr. Record Date |
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Intimation of first repayment of STRPP designated and named as "A" due on 14.01.2020 under clause 50 (1) of SEBI Regulations 2015 dt 02.09.2015 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond DDB 149.88 Cr. Record Date |
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Intimation of Interest Payment due on 28.12.2019 under clause 50 (1) os SEBI regulation 2015 dt 02.09.2019 of 395.5 Cr |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 395.50 Cr. Record Date |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 226.40 Crs. Int. payment made on 30.09.2019 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 54.50 Crs. Int. payment made on 26.09.2019 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 399.70 Crs. Int. payment made on 23.09.2019 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 292.60 Crs. Int. payment made on 23.09.2019 |
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Intimation under clause 50(1) of SEBI (LODR) Regulations Bond Issue 399.70 Crs. into due on 23.09.2019 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 399.70 Cr. Record Date |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 200.00 Crs. Int. payment made on 06.09.2019 |
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Intimation under clause 50(1) of SEBI (LODR)Regulations Bond Issue 54.50 Crs. int payment due on 26.09.2019 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 54.50 Crs. Record Date |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 226.40 Crs. Record Date |
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Intimation under clause 50(1) of SEBI (LODR)Regulations Bond Issue 226.40 Crs. int payment due on 28.09.2019 |
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Intimation under clause 50(1) of SEBI (LODR)Regulations Bond Issue 292.60 Crs. int payment due on 22.09.2019 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 292.60 Crs. Record Date |
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Intimation under clause 50(1) of SEBI (LODR)Regulations Bond Issue 200.00 Crs. into due on 06.09.2019 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 200.00 Crs. Record Date |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 257.40 Crs. Int. payment made on 16.08.2019 |
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Intimation under clause 50(1) of SEBI (LODR)Regulations_Bond Issue 257.40 Crs._int. due on 15.08.2019 |
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Intimation under clause 60 of SEBI (LODR)Regulations Bond Issue 257.40 Crs.Record Date |
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Intimation under clause 57(1) of SEBI (LODR)Regulations_Bond Issue 323.60 Cr._int. payment made on 17.07.2019 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations_Bond Issue 300.30 Crs. int. payment made on 05.07.2019 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 395.50 Crs._Int. payment made on 28.06.2019 |
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Intimation under clause 50(1) of SEBr"(LODR)Regulations Bond Issue 323.60 Crs. into due on 17.07.2019 |
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Intimation under clause 60 of SEBI (LODR)Regulations Bond Issue 332.60 Crs.Record Date |
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Intimation under clause 60 of SEBI (LODR)Regulations Bond Issue 395.50 Crs.Record Date |
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Intimation under clause 60 of SEBI (LODR)Regulations Bond Issue 300.30 Crs.Record Date |
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Intimation of Interest Payment due on 28.06.2019 under clause 50(1) of SEBI(Listing Obligations and disclosures requirements) regulations ,2015 Dt 02.09.2015 |
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Intimation of Interest Payment due on 05.07.2019 under clause 50(1) of SEBI(Listing Obligations and disclosures requirements) regulations ,2015 Dt 02.09.2015 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 226.40 Crs._Int. payment made on 28.03.2019 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 54.50 Crs._Int. payment made on 26.03.2019 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 399.70 Crs. Int. payment made on 25.03.2019 |
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Intimation under clause 57(1) of SEBI regulations Bond issue 292.60 cars int payment made on 22.03.2019 |
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"Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 200.00 Crs. Int. payment made on 06.03.2019" |
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"Intimation under clause 50(1) of SEBI (LODR)Regulations Bond Issue 54.50. Crs. into due on 26.03.2019"
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Intimation under clause 50(1) of SEBr"(LODR)Regulations Bond Issue 226.40 Crs. into due on28.03.2019" |
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"Intimation under clause 60 of SEBI(LODR)Regulations Bond Issue 54.50 Cr. Record Date |
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Intimation under clause 60 of SEBI(LODR)Regulations Bond Issue 226.40 Crs. Record Date |
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Intimation under clause 60 of SEBI(LODR)Regulations Bond Issue 399.70 Cr. Record Date |
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"Intimation under clause 50(1) of SEBI (LODR)Regulations Bond Issue 399.70 Crs. int. due on 23.03.2019" |
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"Intimation under clause 60 of SEBI (LODR) Regulations_Bond Issue 292.60 Cr._Record Date |
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"Intimation under clause 50(1) of SEBI (LODR) Regulations_Bond Issue 292.60 Crs._Int. payment due on 22.03.2019" |
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"Intimation under clause 57(1) of SEBI (LODR)Regulations Bond Issue 257.40 Crs. Int. payment made on 15.02.2019" |
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Intimation under clause 50(1) of SEBI (LODR)Regulations Bond Issue 200.00 Crs. into due on 06.03.2019 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 200.00 ers. RecordDate |
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Intimation under clause 60 of SEBI (LODR)Regulations_Bond Issue 257.40 Cr._Record Date |
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Intimation under clause 50(1) of SEBI (LODR)Regulations_Bond Issue 257.40 Crs._int. due on 15.02.2019 |
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Intimation under clause 57(1) of SEBI (LODR)Regulations_Bond Issue 323.60 Cr._int. payment made on 17.01.2019 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 300.30 Cr. int. due on 05.01.2019 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 395.50 Cr. int. due on 28.12.2018 |
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Intimation under clause 50(1) of SEBI (LODR) Regulations Bond Issue 323.60 Cr. int. due on 17.01.2019 |
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Intimation under clause 60 of SEBI (LODR)Regulations Bond Issue 323.60 Crs. Record Date |
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Intimation of Record Date under Regulation 60 of SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015.
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Intimation of interest payment due on 28.12.2018 under clause 50 (1) of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 dt.02.09.2015.
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Intimation of Record Date under Regulation 60 of SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015. |
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Intimation of interest payment due on 05.01.2018 under clause 50 (1) of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 dt. 02.09.2015.
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Intimation under clause 57(1) of SEBI (LODR)Regulations_Bond Issue 226.40 Crs._Int. payment made on 28.09.2018 |
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Intimation under clause 57(1) of SEBI (LODR)Regulations_Bond Issue 54.50 Crs._Int. payment made on 26.09.2018
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 399.70 Cr. int. payment made on 24.09.2018 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 292.60 Cr. int. payment made on 24.09.2018 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 200 Cr. int. payment made on 06.09.2018 |
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Intimation under clause 60 of SEBI(LODR)Regulations Bond Issue 226.40 Crs. Record Date |
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Intimation under clause 50(1) of SEBI (LODR)Regulations Bond Issue 226.40 Crs. into due on 28.09.2018
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Intimation under clause 50(1) of SEBI (LODR) Regulations_Bond Issue Rs. 54.50 Cr._int. due on 26.09.2018 |
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Intimation under clause 60 of SEBI (LODR) , Regulations Bond Issue 54.50 Crs. Record Date |
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Intimation under clause 60 of SEBI (LODR) , Regulations Bond Issue 399.70 Crs. Record Date |
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Intimation under clause 60 of SEBI (LODR) , Regulations Bond Issue 292.60 Crs. Record Date |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 257.40 Cr. int. payment made on 16.08.2018 |
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Intimation under clause 60 of SEBI (LODR) , Regulations Bond Issue 200.00 Crs. Record Date |
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Intimation under clause 50(1) of SEBI (LODR) Regulations Bond Issue 200.00 Crs. int. due on 06.09.2018 |
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Intimation under clause 57(1) of SEBI (LODR)Regulations Bond Issue 323.60 Cr. int. payment made on 17.07.2018 |
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Intimation under clause 60 of SEDI (LODR)Regulations Bond Issue 257.40 Cr. Record Date |
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Intimation under clause 50(1) of SEBI (LODR) Regulations Bond Issue 257.40 Crs. int. due on 15.08.2018 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations bond issue 300.30 Crs.int payment made on 05.07.2018 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations bond issue 395.50 Crs.int payment made on 28.06.2018 |
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Intimation of intetest payment due on 17.07.2018 |
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Intimation under clause 60 of SEBI (LODR)Regulations Bond Issue 323.60 Cr. Record Date |
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Intimation under clause 60 of SEBI (LODR)Regulations Bond Issue 300.30 Cr. Record Date |
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Intimation of intetest payment due on 05.07.2018 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 395.50 Cr. record date |
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Intimation of intetest payment due on 28.06.2018 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations bond issue 226.40 Crs.int payment made on 28.03.2018 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations bond issue 54.50 Crs.int payment made on 26.03.2018 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations bond issue 399.70 Crs.int payment made on 23.03.2018 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations bond issue 292.60cr.int payment made on 22.03.2018 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 200 Cr. Int. payment made 06.03.2018 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 226.40 Cr. record date |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 257.40 Cr. Int. payment made 15.02.2018 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 399.70 Cr. record date |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 292.60 Cr. record date |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 200 Cr. record date |
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Intimation under clause 51(1), 2 of SEBI (LODR) regulations Appointment of succesor trustee NSE |
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Intimation under clause 51(1), 2 of SEBI (LODR) regulations Appointment of succesor trustee BSE |
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Intimation under clause 51(1), 2 of SEBI (LODR) regulations intimation of contact details of succesor trustee of NSE |
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Intimation under clause 51(1), 2 of SEBI (LODR) regulations intimation of contact details of succesor trustee of BSE |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 323.60 Cr. int payment made on 17.01.2018 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 257.40 Cr. record date |
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Intimation under clause 57(1) of SEBI (LODR) Regulations Bond Issue 300.30 Cr. interest payment made on 05.01.2018 |
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Intimation of Interest Payment due on 17.01.2018 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 323.60 Cr. Record Date |
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Intimation of Interest Payment due on 05.01.2018 |
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Intimation under clause 60 of SEBI (LODR) Regulations Bond Issue 395.50 Cr. Record Date |
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Intimation of interest payment due on 28.12.2017 under clause 50 (1) of SEBI [Listing Obligations and Disclosure Requirements) Regulations, 2015 dt. 02.09.2015 . |
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Intimation under clause 57(1) of SEBI (LODR) Regulations_Bond Issue 399.70 Crs._Int. payment made on 25.09.2017 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations_Bond Issue 54.50 Crs._Int. payment made on 26.09.2017 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations_Bond Issue 226.40 Crs._Int. payment made on 28.09.2017 |
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Intimation under clause 57(1) of SEBI (LODR) Regulations_Bond Issue 226.40 Crs._Int. payment made on 28.09.2017 |
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Intimation under clause 57(1) of SEBI (LODR)Regulations_Bond Issue 292.60 CrsvInt. paymentmade on 22.09.2017 |
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Intimation under clause 57(1) of SEBI (LODR)Regulations Bond Issue 200.00 Crs. Int. payment made on 06.09.2017 |
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Intimation under clause 57(1) of SEBI (LODR)Regulations Bond Issue 257.40 Cr. Int. payment made on 16.08.2017 |
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Intimation under clause 60 of SEBI (LODR)Regulations Bond Issue 54.50 Cr. Record Date |
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Intimation under clause 60 of SEBI (LODR)Regulations Bond Issue 399.70 Cr. Record Date |
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Intimation under clause 60 of SEBI (LODR)Regulations Bond Issue 292.60 Cr. Record Date |
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Intimation under clause 60 of SEBB(LODR)Regulations Bond Issue 54.50 Cr. Record Date |
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Intimation under clause 60 'orSEDI(LODR) Regulations Bond Issue 257.40 Cr. |
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Intimation under Regulation 57(1) of SEBI (LODR) Regulations, 2015_10.25% RVPN Bonds of Rs. 323.60 Cr. |
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Investors- Information pursuant Intimation under clause 50(1) of SEBI (LODR) Regulations_Bond Issue Rs. 323.60 Cr._int. due on 17.07.2017 |
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Intimation under clause 50(1) of SEBI (LODR) Regulations_Bond Issue Rs. 300.30 Cr._int. due on 05.07.2017 |
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Record Date Intimation to NSE |
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Intimation under clause 50(1) of SEBI (LODR) Regulations_ Bond Issue Rs.395.50 Cr. |
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Intimation under Regulation 57(1) of SEBI (LODR) Regulations, 2015_8.65% RVPN Bonds of Rs. 300.30 Cr. |
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Intimation under clause 60 of SEBI (LODR) Regulations, 2015_9.30% RVPN Bonds of Rs. 257.40 Cr. |
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