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2012A For Investors PDF
2012A For Investors PDF
Series 1 Series 2
INE691I07299 INE691I07307
8.70% p.a. compounded
Rate of Interest 8.70% p.a. payable annually
annually payable at maturity
24-Mar-2022 24-Mar-2022
Maturity Date & Amount
Rs. 1,000.00 per bond Rs. 2,303.01 per bond
25-Mar-2019 25-Mar-2019
Buyback Date & Amount
Rs. 1,000.00 per bond Rs. 1,793.11 per bond
In case, you do not wish to opt for buyback, you may hold these bonds till maturity date i.e. March 24, 2022
and redemption amount will be automatically sent to you on maturity date.
For any queries, please contact our Registrar & Share Transfer Agents at the following address: