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Bulletin Date : 27/01/2021

BULLETIN NO: 206/2020-2021

BOOK-CLOSURE/RECORD DATE/DIVIDEND Page No: 1


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Code Company Name BC/ BOOK-CLOSURE / PAYMENT/BN SECURITY TYPE PURPOSE
No. RD RECORD DATE ALLOTMENT DATE
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530499 A.K.Capital Services Ltd. RD 06/02/2021 Equity Rs.5.0000 per share(50%)Interim Dividend

720129 Aditya Birla Finance Limited RD 29/01/2021 Commercial Papers In DMAT Redemption of CP

539523 Alkem Laboratories Limited RD 13/02/2021 Equity Interim Dividend

720025 APL Apollo Tubes Limited RD 06/02/2021 Commercial Papers In DMAT Redemption of CP

720037 APL Apollo Tubes Limited RD 25/02/2021 Commercial Papers In DMAT Redemption of CP

959662 Auxilo Finserve Private Limited RD 08/02/2021 Priv. placed Non Conv Deb Payment of Interest

719694 Axis Finance Limited RD 05/02/2021 Commercial Papers In DMAT Redemption of CP

719747 Axis Finance Limited RD 19/02/2021 Commercial Papers In DMAT Redemption of CP

719797 Axis Finance Limited RD 24/02/2021 Commercial Papers In DMAT Redemption of CP

719887 Axis Finance Limited RD 12/02/2021 Commercial Papers In DMAT Redemption of CP

532674 Bannari Amman Spinning Mills Ltd RD 15/02/2021 Equity Stock Split From Rs.10/- to Rs.5/-

539399 Bella Casa Fashion & Retail Limited RD 04/02/2021 Equity Rs.0.6000 per share(6%)Interim Dividend

719682 birla Group Holdings Private Limited RD 03/02/2021 Commercial Papers In DMAT Redemption of CP

508814 Cosmo Films Ltd., RD 08/02/2021 26/02/2021 Equity Rs.25.0000 per share(250%)Interim Dividend

531162 Emami Ltd RD 05/02/2021 Equity Rs.4.0000 per share(400%)Second Interim


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Dividend

522287 Kalpataru Power Transmission Ltd. RD 12/02/2021 Equity Interim Dividend

720127 Kotak Mahindra Investments Limited RD 01/02/2021 Commercial Papers In DMAT Redemption of CP

720125 Kotak Mahindra Prime Limited RD 01/02/2021 Commercial Papers In DMAT Redemption of CP

959914 Manba Finance Limited RD 31/01/2021 Priv. placed Non Conv Deb Payment of Interest

523828 Menon Bearings Ltd RD 04/02/2021 18/02/2021 Equity Rs.1.5000 per share(150%)Interim Dividend

953271 Nagpur Seoni Expressway Limited RD 29/01/2021 Priv. placed Non Conv Deb Payment of Interest

532234 National Aluminium Co. Ltd., RD 08/02/2021 Equity Buy Back of Shares

719166 Netmagic IT Services Private Limited RD 01/02/2021 Commercial Papers In DMAT Redemption of CP

953486 New Media Broadcasting Private Limited RD 05/02/2021 Priv. placed Non Conv Deb Payment of Interest
& Redemption of NCD

540767 NIPPON LIFE INDIA ASSET MANAGEMENT LIMITED RD 08/02/2021 Equity Rs.3.0000 per share(30%)Interim Dividend

532555 NTPC Limited RD 12/02/2021 Equity Interim Dividend

957700 Shubham Housing Development Finance Company RD 04/02/2021 Priv. placed Non Conv Deb Redemption of NCD
& Payment of Interest

530499 A.K.Capital Services Ltd. Equity Rs.5.0000 per share(50%)Interim Dividend

532674 Bannari Amman Spinning Mills Ltd Equity NIL Final Dividend
539399 Bella Casa Fashion & Retail Limited Equity Rs.0.6000 per share(6%)Interim Dividend
508814 Cosmo Films Ltd., 26/02/2021 Equity Rs.25.0000 per share(250%)Interim Dividend
531162 Emami Ltd Equity Rs.4.0000 per share(400%)Interim Dividend
523828 Menon Bearings Ltd 18/02/2021 Equity Rs.1.5000 per share(150%)Interim Dividend
540767 NIPPON LIFE INDIA ASSET MANAGEMENT LIMITED Equity Rs.3.0000 per share(30%)Interim Dividend
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AGM/EGM/COURT MEETING(COM)/POSTAL BALLOT(POM)


539760 Relicab Cable Manufacturing Limited
POM 27/02/2021

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505590 SVP Global Ventures Limited
POM 27/02/2021

534755 Trio Mercantile & Trading Limited


EGM 27/02/2021

Please note that in case of POM the date given indicates the date on which Postal Ballot Results will be declared by the Company
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BOARD MEETINGS Page No: 3
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Code Company Name DATE OF PURPOSE
No. Meeting
----------------------------------------------------------------------------------------------------------------------------------
523395 3M India Ltd. 10/02/2021 Quarterly Results

523204 Aban Offshore Ltd., 08/02/2021 Quarterly Results

517356 ACI Infocom Ltd. 08/02/2021 Quarterly Results

512599 Adani Enterprises Ltd. 03/02/2021 Quarterly Results

523120 Ador Multiproducts Ltd 05/02/2021 Quarterly Results

542752 Affle (India) Limited 06/02/2021 Quarterly Results

522273 Ahmedabad Steelcraft Ltd. 09/02/2021 Quarterly Results

539523 Alkem Laboratories Limited 05/02/2021 Quarterly Results


& Interim Dividend

532875 Allied Digital Services Limited 02/02/2021 Quarterly Results

542721 Anand Rayons Limited 30/01/2021

Inter alia, to consider and approve additional working capital term loan facility upto Rs. 3,00,00,000
( Three crore only)(“Additional Facility”) from HDFC Bank Ltd (“HDFC
Bank”).

511153 Anjani Foods Limited 30/01/2021

Inter alia, to consider and approve the appointment of CFO of the company.

517096 Aplab Ltd. 02/02/2021 Right Issue of Equity Shares

523537 APM Industries Ltd., 05/02/2021 Quarterly Results

532475 Aptech Ltd. 03/02/2021 Quarterly Results

500101 Arvind Ltd., 04/02/2021 Quarterly Results

523716 Ashiana Housing Limited 12/02/2021 Quarterly Results

500477 Ashok Leyland Ltd., 11/02/2021 Quarterly Results


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540923 Ashoka Metcast Limited 30/01/2021

Inter alia, to consider and approve appointment of Company Secretary and Compliance
Officer of the Company.

533227 Asian Hotels (East) Limited 10/02/2021 Quarterly Results

532830 Astral Poly Technik Ltd 03/02/2021 Bonus issue


& Quarterly Results

540824 Astron Paper & Board Mill Limited 09/02/2021 Quarterly Results

505010 Automotive Axles Ltd., 05/02/2021 Quarterly Results

508136 B & A Ltd. 11/02/2021 Quarterly Results

523186 B&A Packaging India Limited 10/02/2021 Quarterly Results

539662 BFL Asset Finvest Limited 04/02/2021 Quarterly Results

500493 Bharat Forge Ltd 12/02/2021 Quarterly Results

523229 Bharat Seats Ltd 04/02/2021 Quarterly Results

514272 Bhilwara Spinners Ltd 12/02/2021 Quarterly Results

532400 BIRLASOFT LIMITED 06/02/2021 Quarterly Results


(Revised)

531671 Bisil Plast Limited 05/02/2021 Quarterly Results

530809 BNR Udyog Ltd. 08/02/2021 Quarterly Results

532321 Cadila Healthcare Ltd. 05/02/2021 Quarterly Results

523489 Chennai Meenakshi Multispeciality Hospital Ltd. 09/02/2021 Quarterly Results


&
Inter alia, to consider and approve

1. Leave of absence;Confirmation of the minutes;

2. Register of Contracts;

3. Approval of Unaudited financial results for QE 31.12.2020;

4. Taking on record reports;

5. Taking on record the Minutes of the ACM;

6. Appl of RPT; Taking share transfers;

7. Ratification of appointment of Statutory Auditors;

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8. Appl. Internal Auditors; Secretarial Auditor;revision of salary to the Company Secretary;

9. Annual Operating Plans and budgets and any updates;

10. Review of performance evaluation of Independent Directors;

11. MOUs entered with various parties;

12. Review of various polices; various notifications, circulars, etc. issued;all


laws applicable;

13. Any other matter with the permission of the Chairman.

500110 Chennai Petroleum Corporation Ltd. 30/01/2021 General Purpose

501833 Chowgule Steamships Ltd., 04/02/2021 Quarterly Results

502445 Citadel Realty And Developers Limited 04/02/2021 Quarterly Results

533278 Coal India Limited 11/02/2021 Quarterly Results

513353 Cochin Minerals & Rutile Ltd., 03/02/2021 Quarterly Results

506395 Coromandel International Limited 01/02/2021 Quarterly Results


& Interim Dividend

521220 Damodar Industries Limited 06/02/2021 Quarterly Results

590031 De Nora India Limited 05/02/2021 Quarterly Results

539596 Delta Industrial Resources Limited 03/02/2021 Quarterly Results

519588 DFM Foods Ltd. 05/02/2021 Quarterly Results

540268 Dhanvarsha Finvest Limited 05/02/2021 Quarterly Results

541403 Dollar Industries Limited 04/02/2021 Quarterly Results

539681 dynamic Archistructures Limited 08/02/2021 Quarterly Results

Inter alia, to consider and approve, inter-alia, the following:


1. Unaudited Financial Results of the Company for the Third Quarter ended
on December 31, 2020;
2. Re-Appointment of Internal Auditor for financial year 2020-2021;
3. Re-Appointment of Secretarial Auditor for the financial year 2020-2021; and
4. Any other matter with the permission of the Chair.

517238 Dynavision Limited 05/02/2021 Quarterly Results

539844 Equitas Holdings Limited 05/02/2021 Quarterly Results

514358 Everlon Synthetics Ltd. 04/02/2021 Quarterly Results

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533121 EXPLEO SOLUTIONS LIMITED 04/02/2021 Quarterly Results

540267 Flora Corporation Limited 03/02/2021 Quarterly Results

538881 Galada Finance Limited 05/02/2021 Quarterly Results

531902 Gallops Enterprise Limited 04/02/2021 Quarterly Results

530263 Global Capital Markets Ltd. 01/02/2021


Inter alia, to consider and approve the resignation of Mr. Sanjay Mishra,
CFO and to appoint new CFO in his place.

540743 Godrej Agrovet Limited 04/02/2021 Quarterly Results

533150 Godrej Properties Limited 04/02/2021 Quarterly Results

533761 GPT Infraprojects limited 05/02/2021 Quarterly Results


& Interim Dividend

530001 Gujarat Alkalis & Chemicals Ltd., 09/02/2021 Quarterly Results

533248 Gujarat Pipavav Port Limited 11/02/2021 Quarterly Results

543227 Happiest Minds Technologies Limited 10/02/2021 Quarterly Results

539174 Helpage Finlease Ltd. 12/02/2021 Quarterly Results

514043 Himatsingka Seide Ltd., 05/02/2021 Quarterly Results

505893 HINDUSTAN HARDY LIMITED 10/02/2021 Quarterly Results

531840 IEC Education Limited 10/02/2021 Quarterly Results

531594 Incon Engineers Ltd. 12/02/2021 Quarterly Results

500202 India Lease Devl. Ltd., 12/02/2021 Quarterly Results


&
Inter alia, to consider Re-appointment of Manager & Company Secretary

505100 India Radiators Ltd., 01/02/2021 Quarterly Results

509692 Indian Card Clothing Ltd 05/02/2021 Quarterly Results

500850 Indian Hotels Co. Ltd 03/02/2021 Quarterly Results

541336 IndoStar Capital Finance Limited 04/02/2021 Quarterly Results

532706 Inox Leisure Limited 03/02/2021 Quarterly Results

532774 Inspirisys Solutions Limited 08/02/2021 Quarterly Results

511391 Inter Globe Finance Ltd. 11/02/2021 Quarterly Results

530601 Jagsonpal Finance & Leasing Ltd. 09/02/2021 Quarterly Results


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505212 JAINEX AAMCOL LTD. 12/02/2021 Quarterly Results

520051 Jamna Auto Industries Ltd., 05/02/2021 Quarterly Results


& Interim Dividend

500306 Jaykay Enterprises Limited 12/02/2021 Quarterly Results

533155 Jubilant Foodworks Limited 03/02/2021 Quarterly Results

514360 K&R RAIL ENGINEERING LIMITED 12/02/2021 Quarterly Results

522287 Kalpataru Power Transmission Ltd. 04/02/2021 Quarterly Results


& Interim Dividend

533302 Kalyani Investment Company Limited 09/02/2021 Quarterly Results

513456 Kanishk Steel Industries Ltd 11/02/2021 Quarterly Results

531960 Kashyap Tele-Medicines Limited 04/02/2021 Quarterly Results

537750 Kiran Vyapar Limited 05/02/2021 Quarterly Results

521248 Kitex Garmenets Ltd. 10/02/2021 Quarterly Results

507598 KOVILPATTI LAKSHMI ROLLER FLOUR MILLS LTD 04/02/2021 Quarterly Results
& Preferential Issue of shares
&
Inter alia, to consider among other matters, the following;

1. Unaudited financial results for the quarter and nine months ended 31st December, 2020

2. Raising of funds through issue of equity shares / convertible warrants through preferential issue to
Promoters/ Promoter Group subject to the provisions of Sections 42 and
62 of the Companies Act, 2013 read with relevant rules made thereunder
and Chapter V of the SEBI (Issue of Capital and Disclosure Requirements)
Regulations, 2018 and subject to requisite approvals.

3. Conducting postal ballot to seek approval of the shareholders of the company for
the aforesaid preferential issue of equity shares / convertible warrants.

540192 LKP Securities Limited 03/02/2021 Quarterly Results

501874 Mackinnon Mackenzie & Co. Ltd., 05/02/2021 Quarterly Results

523384 Maha Rashtra Apex Corporation Ltd 12/02/2021 Quarterly Results

500520 Mahindra & Mahindra Ltd. 05/02/2021 Quarterly Results

539400 MALLCOM (INDIA) LTD. 08/02/2021 Quarterly Results

530011 Mangalore Chemicals & Fertilisers L 04/02/2021 Quarterly Results


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543220 Max Healthcare Institute Limited 06/02/2021 Quarterly Results

532539 Minda Industries Ltd. 04/02/2021 Quarterly Results

540078 Mitsu Chem Plast Limited 02/02/2021 Quarterly Results

506261 Modison Metals Ltd 03/02/2021 Quarterly Results


& Interim Dividend

538836 Monte Carlo Fashions Limited 08/02/2021 Quarterly Results

520043 Munjal Showa Ltd., 04/02/2021 Quarterly Results

533398 MUTHOOT FINANCE LIMITED 09/02/2021 Quarterly Results

532623 N.R.International Limited 30/01/2021 Quarterly Results

502587 NATH INDUSTRIES LIMITED 12/02/2021 Quarterly Results

500298 National Peroxide Ltd. 03/02/2021 Quarterly Results

519506 NCC Bluewater Products Ltd. 12/02/2021 Quarterly Results

500294 NCC Limited 11/02/2021 Quarterly Results

502294 Nilachal Refractories Ltd. 11/02/2021 Quarterly Results

538772 Niyogin Fintech Limited 10/02/2021 Quarterly Results

526371 NMDC Ltd 08/02/2021 Quarterly Results

513566 Nova Iron & Steel Ltd. 12/02/2021 Quarterly Results

532555 NTPC Limited 04/02/2021 Quarterly Results


& Interim Dividend

540405 Oceanic Foods Limited 05/02/2021 Quarterly Results

504879 Orient Abrasives Ltd. 02/02/2021 Quarterly Results

505525 Parichay Investments Ltd., 08/02/2021 Quarterly Results

524628 Parker Agro Chem Export Ltd. 11/02/2021 Quarterly Results

532522 PETRONET LNG LTD. 11/02/2021 Quarterly Results

500680 Pfizer Ltd., 05/02/2021 Quarterly Results

540717 Polo Queen Industrial and Fintech Limited 05/02/2021 Quarterly Results

540724 Prataap Snacks Limited 04/02/2021 Quarterly Results

530669 Prem Somani Financial Services Ltd. 03/02/2021 Quarterly Results


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526247 Premier Explosives Ltd. 08/02/2021 Quarterly Results

513613 Presha Metallurgical Ltd 04/02/2021 Quarterly Results

526773 Pressure Sensitive Systems (India) 08/02/2021 Quarterly Results

500459 Procter & Gamble Hygiene & Health Care Ltd. 03/02/2021 Interim Dividend

590057 PROSEED INDIA LIMITED 30/01/2021

Inter alia, to consider and approve :

1. To consider and approve the alteration of the


Main object Clause of the Company by substituting the new main Object
Clause in the place of the existing object clause by altering the Memorandum
of Association (the "MOA") of the company which is necessary for furtherance
of the activities as envisaged in the Resolution Plan pursuant to the
approval of the Resolution Plan by the NCLT, Hyderabad Bench.

2. To consider and approve the change in the name of the Company to “Equippp
Social Impact Technologies Ltd” or to some other name subject to the
approval of the Registrar of Companies, in order to reflect the activities
in the name of the Company as envisaged in the Resolution Plan

533344 PTC India Financial Services Limited 04/02/2021 Quarterly Results

523289 Rama Vision Ltd 09/02/2021 Quarterly Results

514223 Ramgopal Polytex Ltd 05/02/2021 Quarterly Results

532955 REC LIMITED 04/02/2021 Quarterly Results

519230 Richirich Inventures Limited 05/02/2021 Quarterly Results

526492 Rishiroop Limited 05/02/2021 Quarterly Results


& Interim Dividend

519097 Ritesh International Ltd 03/02/2021

Inter alia, to consider the following:

• To consider fixing the date, time and place for holding the Extra-Ordinary General Meeting.
• Approval of the draft Notice convening the Extra-Ordinary General Meeting.
• To revise the remuneration payable to Mr. Rajiv Arora, Chairman cum Managing Director.
• To revise the remuneration payable to Mr. Rijul Arora, Whole-time Director.
• To transact any other business with the permission of the Board.

503691 Sahara One Media And Entertainment Limited 02/02/2021 Quarterly Results

512097 Saianand Commercial Limited 08/02/2021 Quarterly Results

517059 Salzer Electronics Ltd., 04/02/2021 Quarterly Results

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521240 Sambandam Spinning Mills Ltd. 07/02/2021 Quarterly Results

521206 Samtex Fashions Ltd. 12/02/2021 Quarterly Results

502175 Saurashtra Cement Limited 02/02/2021 Quarterly Results


& Interim Dividend

511577 Savani Financials Ltd. 12/02/2021 Quarterly Results

507894 Schablona India Ltd 08/02/2021 Quarterly Results

511760 Seven Hill Industries Limited 08/02/2021 Quarterly Results

524546 Shaba Chemicals Ltd. 03/02/2021 Quarterly Results

512297 Shantai Industries Limited 10/02/2021 Quarterly Results

523598 Shipping Corporation Of India Ltd 05/02/2021 Quarterly Results

540961 Shiva Mills Limited 06/02/2021 Quarterly Results

532007 Shree Vatsaa Finance & Leasing Ltd. 10/02/2021 Quarterly Results

541358 Shree Worstex Limited 02/02/2021 Quarterly Results

532217 Siel Financial Services Ltd. 04/02/2021 Quarterly Results

521194 SIL Investments Ltd 10/02/2021 Quarterly Results

541540 SOLARA ACTIVE PHARMA SCIENCES LIMITED 03/02/2021 Quarterly Results

523826 Sovereign Diamonds Ltd 06/02/2021 Quarterly Results

531901 Sterling Webnet Limited 04/02/2021 Quarterly Results

526951 Stylam Industries Limited 09/02/2021 Stock Split

511024 Subway Finance & Investment Co. Ltd 04/02/2021 Quarterly Results

506863 Swadeshi Industries Leasing Co. Ltd 09/02/2021 Quarterly Results

531003 Swarna Securities Ltd. 09/02/2021 Quarterly Results

531173 Syschem (India) Ltd. 08/02/2021 Quarterly Results

533553 TD Power Systems Ltd 04/02/2021 Quarterly Results

513305 TERRASCOPE VENTURES LIMITED 04/02/2021

Inter alia to transact the following Matters:

1. Appointment of Mr. Vishal Gupta as Additional Director (Non-Executive Independent


Director).

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2. Appointment of Mr. Aadam Deshmukh as Additional Director (Non-Executive
Independent Director).

3. Resignation of Mr. Sunil Pal Independent Director of the company from the post of
Independent Director.

4. Resignation of Mr. Vikal Dimpal Independent Director of the company from the post
of lndependent Director.

5. Any other business with permission of the Chairperson

533164 Texmo Pipes and Products Limited 04/02/2021 Quarterly Results

530023 THE INVESTMENT TRUST OF INDIA LIMITED 06/02/2021 Quarterly Results

500412 Thirumalai Chemicals Ltd., 11/02/2021 Quarterly Results

500413 Thomas Cook (India) Ltd., 04/02/2021 Quarterly Results

522113 Timken India Ltd 12/02/2021 Quarterly Results

524514 Tulasee Bio-Ethanol Ltd. 10/02/2021 Quarterly Results

542904 Ujjivan Small Finance Bank Limited 03/02/2021 Quarterly Results

506685 Ultramarine & Pigments Ltd., 11/02/2021 Quarterly Results

538918 Vani Commercials Limited 05/02/2021 Quarterly Results

500439 Vardhman Holdings Limited 04/02/2021 Quarterly Results

532953 V-Guard Industries Ltd. 03/02/2021 Quarterly Results

537524 Viaan Industries Limited 12/02/2021 Reduction of Capital


& Quarterly Results

Inter alia, to consider and approve

(i) The Standalone and Consolidated Unaudited


Financial Result for the Quarter and Nine Month ended 31st December,
2020.

(ii) Scheme of Reduction of Share Capital of the company and other related matters.

(iii) Any other matter with the permission of chair.

539118 VRL Logistics Limited 06/02/2021 Quarterly Results


& Buy Back of Shares

500238 Whirlpool of India Ltd 04/02/2021 Quarterly Results

522029 Windsor Machines Limited 04/02/2021 Quarterly Results

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514470 Winsome Textile Industries Ltd 11/02/2021 Quarterly Results

505872 WPIL Ltd 03/02/2021 Quarterly Results

511601 Yash Management & Satellite Ltd. 06/02/2021 Quarterly Results

500780 Zuari Global Limited 13/02/2021 Quarterly Results


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BOARD DECISION Page No: 7
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Code Company Name DATE OF PURPOSE
No. Meeting
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532674 Bannari Amman Spinning Mills Ltd 25/01/2021

inter alia,
i.intimation of Record Date:Pursuant to Regulation 42(2) of SEBI (Listing Obligations and
Disclosure Requirements) Regulations, 2015, the Board of Directors at its meeting held on
25.1.2021 (today}, have fixed Monday, 15th February, 2021 as Record Date to ascertain
the name of the shareholders entitled for sub-division of 1 (one) Equity Share of face
value of Rs.10/-(ten) each fully paid up into Equity Shares of Rs.5/-(five) each fully paid
up, resulting in issuance of 2 (two) Equity Shares of Rs.5/-(five) each fully paid up, thereby
keeping the paid up capital intact.

II.In-Principle approval for Corporate Debt Restructuring:


Pursuant to Regulation 30 read with Part A of Schedule Ill of SEBI (Listing Obligations and
Disclosure Requirements) Regulations, 2015, the Board of Directors at its meeting held on
25.1.2021 (today), have considered and approved for Corporate Debt Restructuring
proposal under the Scheme "Resolution framework for COVID-19 related stress" as per the
RBI Circular No.RBl/2020-21/16 DOR.No.BP.BC/3/21.04.048/2020-21 dt: 6.8.2020.

539399 Bella Casa Fashion & Retail Limited 27/01/2021

Inter alia, approved the following:

1. Declared an interim dividend of 0.60 paisa (sixty paisa) per share on 1,14,75,000
equity shares of face value of Rs. 10/- each for the financial year 2020-21.

The interim dividend for the financial year 2020-21 is proposed to be paid from
081hFebruary, 2021 to those members whose name will appear in the Register of Members
of the Company as on record date i.e. 04th February, 2021, already announced for the
purpose.

2. Taken on record email dated 18th January, 2021 vide reference no. SOP-CReview-
Jan2021 (18/01/2021) received from BSE Limited regarding late submission of Regulation
23(9) of SEBl (LODR) Regulation, 2015 for September 2020. In the meeting the board after
due consideration and deliberation noted that the delay was beyond the control of the
management and stated that the timelines shall strictly be adhered to in future.

530803 Bhageria Industries Limited 27/01/2021

Inter-alia, considered following matters:


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1. Re-appointment (including remuneration) of Mr. Suresh Bhageria as Executive


Chairman (Whole time Director) of the Company for a term of 3 years commencing from
April 1, 2021, as the existing term expired on March 31, 2021, subject to approval of
members.

2. Re-appointment (including remuneration) of Mr. Vinod Bhageria as Managing Director


for a term of 3 years commencing from April 1, 2021, as the existing term expired on March
31, 2021, subject to approval of members

3. Re-appointment (including remuneration) of Mr. Vikas Bhageria as Jt. Managing


Director (Whole time Director) for a term of 3 years commencing from April 1, 2021, as the
existing term expired on March 31, 2021, subject to approval of members.

4. Appointment (including remuneration) of Mr. Krunal Wala as a Company Secretary &


Compliance Officer (Key Managerial personnel) of the Company w.e.f. January 28, 2021.

5. Resignation of Mr. Ketan Gaur from the position of Company Secretary & Compliance
Officer of the Company with effect from closure of business hours of January 27, 2021.

531489 Cg-Vak Software & Exports Ltd. 25/01/2021

inter alia,
1) The Company was in receipt of a caution letter from BSE Limited on 30.12.2020, and the
same disseminated to the Exchange on 31.12.2020. The letter was tabled before the Board
for their comments thereon. The Board took note of the letter issued and advised to
exercise necessary precautions in future and to ensure compliance.

508814 Cosmo Films Ltd., 27/01/2021

Inter alia, approved the declaration of Interim dividend (F.Y 2020-21) on the Equity Shares
of the Company @250% i.e. Rs. 25/- per equity share. The dividend on Equity Share, shall
be paid on or before Febmary 26, 2021 to members whose names appear on the Register of
Members and the beneficial owners as per details received from National Securities
Depository Limited and Central Depository Services (India) Limited, as on the Record Date
i.e. Monday, Febmary 08, 2021

500117 DCW Ltd., 25/01/2021

inter alia, approved


1.Raising of funds by issue of convertible warrants through permissible modes subject to
necessary shareholders/ regulatory approvals, as applicable up to Rs. 32 Crores (Rupees
Thirty Two Crores Only).
2. Increasing the Authorised Share Capital of the Company from Rs. 65,00,00,000 (Rupees
Sixty Five Crores) divided into 32,50,00,000 (Thirty Two Crores Fifty Lakhs) Equity Shares of
Rs. 2 (Rupees Two) each to Rs.70,00,00,000 (Rupees Seventy Crores) divided into 35,00,00,000
(Thirty Five Crores) Equity Shares of Rs. 2 (Rupees Two) each.

500174 Gujarat Lease Financing Limited, 27/01/2021

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inter alia,
In terms of Regulation 30 of Listing Regulations, we wish to inform you that based on the
recommendation of the Nomination and Remuneration Committee, the Board of Directors
of the Company have passed a board resolution today i.e. 27th January, 2021, approving
appointment of Ms. Leena Katdare (DIN: 08914188) as an Additional Director (Non-
Executive and Non-Independent) on the Board of the Company w.e.f 27th January, 2021
until the ensuing Annual General Meeting of the Company. Further, the Board of Directors
of the Company took note of resignation of Shri Prakash J. Parikh (DIN: 08352876), Director
of the Company w.e.f. close of working hours of 27th January, 2021 due to retirement from
the services of Gujarat Industrial Investment Corporation Limited.

538837 Jeevan Scientific Technology Limited 27/01/2021

inter alia,approved
1. Evaluation of the Board as a whole and its committees

535566 KIFS Financial Services Ltd 25/01/2021

inter alia, the board of directors of the company at the above meeting has appointed Mr. Vimal
P. Khandwala (DIN: 00477768) as an additional executive director of the company.

500252 Lakshmi Machine Works Ltd., 27/01/2021

Inter alia, transacted the following:

1. Change in Nominee Director of Life Insurance Corporation of India on the Company's


Board.

2. Recommendation for re-appointment of M/s. S. Krishnamoorthy & Co, Chartered


Accountants,· as statutory auditors, with Sri. K Raghu and / or Sri. B Krishnamoorthy as
signing - partner for second term of five financial years at the ensuing Annual General
Meeting.

3. The proposal for amending Objects Clause in Memorandum of Association of the


Company via Postal Ballot

539992 LLOYDS STEELS INDUSTRIES LIMITED 27/01/2021

Inter alia, has appointed Mrs. Meenakshi Ankit Pansari as Company Secretary &
Compliance Officer and Mr. Kalpesh Prakash Agrawal as Chief Financial Officer
of the Company with effect from 27.01.2021 consequent upon superannuation of Shri.
P.R. Ravi Ganesan, Chief Financial Officer & Company Secretary, who has retired on
31.12.2020.

526671 Matra Kaushal Enterprise Limited 27/01/2021

Inter alia, approved the following:

To acquire by way of subscription, purchase or otherwise, the securities of SANTOSH


HYBRID SEEDS COMPANY PRIVATE LIMITED, as the Board of the Company in their
absolute discretion deem beneficial and in the interest of the Company, subject however
Page 14
bu270121.txt
that the aggregate investments so far made in and the amount for which guarantees or
securities have so far been provided to all persons or bodies corporate along with the
additional investments, loans, guarantees or securities proposed to be made or given or
provided by the Company, from time to time, in future, shall not exceed a sum of over and
above the limit of 60% of the paid-up share capital, free reserves and securities
premium account of the Company , as per the Balance sheet figures dated 31st March 2020,
as prescribed under Section 186 of the Companies Act, 2013.

523828 Menon Bearings Ltd 27/01/2021

Inter alia,

Declared interim dividend for the financial year 2020-21 of Rs. 1.50/- per Equity Share
(i.e.150% of paid up share capital of the Company) of face value Re.l/ - each,

The said Interim Dividend will be credited/ dispatched to the shareholders from Thursday,
11thFebruary, 2021 to Thursday, 18thFebruary, 2021.

503015 Modern India Ltd. 27/01/2021 Voluntary Delisting of Shares

Inter-alia considered the following:

1. The Board has taken on record, the letter dated January2 I, 2021 received from Mr.
Vijaykumar Jatia (on behalf of promoter/promoter group entities of the Company)
(hereinafter referred collectively as the"Promoters"/ "Acquirers") informing the Company
about their intention to acquire shares held by the public shareholders by providing them
with an exit opportunity (hereinafter referred to as' Delisting Proposal');

2. It was noted that in terms of Regulation 8(1)(A) of the SEBI (Delisting of Equity Shares)
Regulations, 2009 ('the Delisting Regulations'), proposal of delisting is required to be
approved by the Board after taking into account the due diligence report from a SEBI
registered Merchant Banker;

3. Mis. Keynote Financial Services Limited has been appointed as the Merchant Banker to
conduct due diligence and submit report in accordance with sub regulation (I A)(ii), (10)
and (1E) of Regulation 8 of the Delisting Regulations.

4. Further, the Promoters in the meeting have indicated the floor price for the Delisting
Proposal to be Rs. 45.90/- (Rupees Forty five and paise ninety Only), which has been
determined in accordance with Regulation 15(2) of Delisting Regulations read with
Regulation 8 of the SEBI (Substantial Acquisition of Shares and Takeovers) Regulations,
2011, as amended from time to time and in consultation with the Manager to the Offer. The
final price for the delisting shall be determined as per the process set out in the Delisting
Regulations.

532234 National Aluminium Co. Ltd., 27/01/2021 Buy Back

Inter-alia approved the following:

1. Buyback of the fully paid up equity shares of the Company of face value of Rs.5/-
each

Page 15
bu270121.txt
Buyback of not exceeding 13,02,79,083 (Thirteen Crore Two Lakh Seventy Nine Thousand
Eighty Three) fully paid-up equity shares of face value of Rs.5/- each (representing 6.98%
of the total number of fully paid-up equity shares in the paid-up share capital of the
Company) at a price of Rs. 57.50 (Rupees Fifty Seven and Fifty Paise Only) per equity
share (the “Buy Back Offer Price”) payable in cash for an aggregate consideration not
exceeding Rs. 749,10,47,273 (Rupees Seven Hundred Forty Nine Crore Ten Lakh Forty
Seven Thousand Two Hundred Seventy Three only) (the “Buyback Offer Size”)
representing 7.83% and 7.83% of the aggregate of the fully paid-up equity share capital
and free reserves as per the audited standalone and consolidated financial statements of
the Company, respectively, for the financial year ended March 31, 2020 (the last audited
standalone and consolidated financial statements available as on the date of Board
meeting recommending the proposal of the Buyback) and is within the statutory limits of
10% (Ten Percent) of the aggregate of the fully paid-up equity share capital and free
reserves under the Board of Directors approval route as per the provisions of the
Companies Act, 2013 from all the equity shareholders of the Company, as on the record
date, on a proportionate basis through a Tender Offer route in accordance the Securities
and Exchange Board of India (Buy-Back of Securities) Regulations, 2018, as amended (the
“Buyback Regulations”) (hereinafter referred to as the "Buyback"), subject to all other
applicable statutory approvals.

The Buyback Offer Size does not include any expenses incurred or to be incurred for the
Buyback like filing fees payable to the Securities and Exchange Board of India, advisors
fees, public announcement publication expenses, printing, dispatch expenses, applicable
taxes inter alia including buyback taxes, securities transaction tax, goods and services tax,
stamp duty and other incidental and related expenses.

The public announcement setting out the process, timelines and other requisite details will
be released in due course in accordance with the Buyback Regulations.

2. Record Date for Buyback

Pursuant to Regulation 42(2) of the Listing Regulations, it is further notified that the
Company has fixed Monday, the 8th February, 2021 as the record date for the purpose of
ascertaining the eligibility of shareholders for Buyback of equity shares

531465 Nouveau Global Ventures Limited 25/01/2021

inter alia,
1) The appointment of Mr. Rajesh Agrawal as a Chief Financial Officer of the Company;
2) The sale, transfer or disposal of the shares held by the Company in its Wholly-owned
Subsidiary Company, namely, Nouveau Shares & Securities Limited and
3) Any other matter with the permission of chair.

538686 Partani Appliances Limited 27/01/2021

Inter-alia considered and approved the following business:

(i) To acquire by way of subscription, purchase or otherwise, the securities of SANTOSH


HYBRID SEEDS COMPANY PRIVATE LIMITED, as the Board of the Company in their
absolute discretion deem beneficial and in the interest of the Company, subject however
that the aggregate investments so far made in and the amount for which guarantees or
securities have so far been provided to all persons or bodies corporate along with the
additional investments, loans, guarantees or securities proposed to be made or given or
Page 16
bu270121.txt
provided by the Company, from time to time, in future, shall not exceed a sum of over and
above the limit of 60% of the paid-up share capital, free reserves and securities premium
account of the Company , as per the Balance sheet figures dated 31 March 2020, as
prescribed under Section 186 of the Companies Act,2013.

540173 PNB Housing Finance Limited 27/01/2021

inter alia,also approved the modification to the earlier board resolution dated August
19,2020 for raising of tier-1 capital for an amount not exceeding INR 1800 Crore to include
additional mode of raising funds i.e. QIP (Qualified Institutional Placement) along with
Preferential issue/ Rights issue and/or combination thereof as may be considered
appropriate, in one or more tranches, by way of issue of equity shares or any other
securities in accordance with the applicable laws, subject to such other approvals
including approval of the shareholders and further subject to such other statutory/
regulatory approvals as applicable.

The said funds are being raised to augment the capital base of the Company including
general corporate purposes of the Company.

540544 PSP Projects Limited 27/01/2021

inter alia,
1.Approved to incorporate a wholly owned subsidiary under the provisions of Section
8 of the Companies Act,2013.

542383 Ritco Logistics Limited 27/01/2021

Inter alia, have transacted the following:

1. Minutes of the previous Board Meeting was approved by Board of Director

2. Appointment of Ms. Gitika Arora as company secretary /compliance officer of the company.

3. Board of Directors considered and reviewed the minutes of the Management and Operations Committee.

4. Board of Directors considered and reviewed the minutes of the Remuneration


& Nomination Committee.

5. Agenda taken with the permission of chair: To avail working capital facility from Citi
Bank, Gurgaon Branch.

520086 Sical Logistics Limited 27/01/2021

Inter alia, transacted the following:

1. Mr. Krish Narayanan, a fellow member of the institute of Cost Accountants of


India apart from holding a fellow membership from the Institute of Company
Secretaries of India and Post Graduate Diploma from Tamil Nadu Institute of
Labour Studies, Certificate from the Indian institute of Banking and Finance,
possessing three decades of multi-disciplinary experience from various
Page 17
bu270121.txt
organisations has been inducted as an Independent Director of the Company
w.e.f. 27th January, 2021 for a period of 5 years subject to the approval of the
shareholders in ensuing general meeting.

2. Mr, G, Swaminathan, an Engineering graduate with a Masters degree in Business


Administration and currently a Whole time Director and Promoter of a listed
entity Indriyani Biotech Limited and heading the administration and operations
of the company and instrumental in the merger of the two unlisted public
companies with Indriyani Biotech Limited has been inducted as an Independent
Director of the Company w.e.f. 27th January, 2021 for a period of 5 years subject
to the approval of the shareholders in ensuing general meeting.

3. Ms. V. Neelaveni, Renowned Lawyer practicing at Tuticorin for more than 3


decades in Civil, Criminal, Labour and Arbitration and possessing Post Graduate
degree in Public Administration has been inducted as an Independent Director of
the Company w.e.f. 27th January, 2021 for a period of 5 years subject to the
approval of the shareholders in ensuing general meeting.

4. Mr. T. Subramanian, a fellow member of the Institute of the Chartered


Accountants of India and currently the Group CFO of the Company has been
appointed as an additional director of the Company w.e.f. 27th January, 2021.

5. Mr. S. Rajappan, a Post Graduate possessing rich experiences in dealing with


Industrial relations matters and currently the President – Public & Industrial
Relations has been appointed as an additional director of the Company w.e.f.
27th January, 2021.

6. The Board accepted the resignation of Mr. H. Rathnakar Hegde, Independent


Director. A copy of the resignation letter is attached.

7. The Board also accepted the resignation of Mr. S. Ravinarayanan, Independent


Director. A copy of the resignation letter is attached.

8. Mr. Krish Narayanan, Ms. V. Neelaveni and Mr. T. Subramanian were included as
members of the Nomination and Remuneration Committee

540332 Tanvi Foods (India) Limited 27/01/2021

Inter alia, transacted the following items of business:

1. Appointed Ms. Vasavi Adusumilli (DIN:02589803) as Compliance Officer of the


company with immediate effect in place of Mr. Avneet Singh Kohli (ACS: 40562) who had
resigned from the office of Company Secretary and compliance officer.

2. Ms. Vasavi Adusumilli shall continue to hold the office of Managing Director in
addition to the office of Compliance Officer of the Company.

534755 Trio Mercantile & Trading Limited 27/01/2021 Stock Split


& Bonus Issue
Inter alia, have decided as under : -

1. Sub-division of Equity Shares:-

Page 18
bu270121.txt
One (1) Equity Sharehaving a face value of Rs.10/- each in the Share Capital of the
Company be sub-divided into 5 (Five) Equity Shares having a face value of Rs.2/- each
fully paid up.

2. Issue of Bonus Shares: -

Recommended the issuance of fully paid-up Bonus Shares in the ratio of 1:6 'i.e.,One (1)
new fully paid-up Equity Shares of Rs. 2/- (Post Sub division) each for every Six (6)(post
Sub division) Equity Shares of Rs. 2/- (Post Sub division) each.

3. To convene Extra Ordinary General Meeting (EOGM) of the Company to be held


on Saturday the27'h February, 2021 and approved the notice pertaining to the
same.

517498 Websol Energy System Limited 27/01/2021

inter alia,
Conversion of Foreign Currency Convertible Bonds ('FCCBs') into equity shares. This is to
inform you that pursuant to receipt of notice from Antara India Evergreen Fund Limited
that the FCCB Committee of Directors have issued and allotted 548645 equity shares in the
name of Antara India Evergreen Fund Ltd, held by their custodian ICICI Bank represented
by Vaishali Gupta ,pursuant to conversion of US$ 700000 FCCBs. These equity shares will
be duly listed on both the BSE Limited and the National Stock Exchange Limited
----------------------------------------------------------------------------------------------------------------------------------
-------------------------------------------------------------------------------------------------------------------
RIGHT/BONUS ANNOUNCEMENT Page No:9
-------------------------------------------------------------------------------------------------------------------
Code No. Company Name Proportion Particulars
-------------------------------------------------------------------------------------------------------------------
534755 Trio Mercantile & Trading Limited 01:06 Bonus issue
-------------------------------------------------------------------------------------------------------------------

General Information Page No:10


-------------------------------------------------------------------------------------------------------------------
HOLIDAY(S) INFORMATION
-------------------------------------------------------------------------------------------------------------------
19/02/2021 Chhatrapati Shivaji Maharaj Jayanti Friday Bank Holiday
11/03/2021 Mahashivratri Thursday Trading & Bank Holiday
29/03/2021 Holi Monday Trading & Bank Holiday
01/04/2021 Annual Bank Closing Thursday Bank Holiday
02/04/2021 Good Friday Friday Trading & Bank Holiday
13/04/2021 Gudi Padwa Tuesday Bank Holiday
14/04/2021 Dr.Baba Saheb Ambedkar Jayanti Wednesday Trading & Bank Holiday
21/04/2021 Ram Navami Wednesday Trading & Bank Holiday
-------------------------------------------------------------------------------------------------------------------

SETTLEMENT PROGRAMS FOR Page No:11

DEMATERIALISED SECURITIES

SETT. PARTICULARS NO DELIVERY PERIOD TRADING DAY PROPOSED SETTLEMENT


Page 19
bu270121.txt
NO. PHYSICAL IN COMP. ROLL PAY-IN DAY / PAY-OUT DAY
--------------------------------------------------------------------------------------------------------------
DR-206/2020-2021 Dematerialised Securities 20/01/2021-06/02/2021 22/01/2021 27/01/2021
DR-207/2020-2021 Dematerialised Securities 21/01/2021-07/02/2021 25/01/2021 28/01/2021
DR-208/2020-2021 Dematerialised Securities 22/01/2021-08/02/2021 27/01/2021 29/01/2021
DR-209/2020-2021 Dematerialised Securities 25/01/2021-11/02/2021 28/01/2021 01/02/2021
DR-210/2020-2021 Dematerialised Securities 26/01/2021-12/02/2021 29/01/2021 02/02/2021
DR-211/2020-2021 Dematerialised Securities 27/01/2021-13/02/2021 01/02/2021 03/02/2021
DR-212/2020-2021 Dematerialised Securities 28/01/2021-14/02/2021 02/02/2021 04/02/2021
DR-213/2020-2021 Dematerialised Securities 29/01/2021-15/02/2021 03/02/2021 05/02/2021
DR-214/2020-2021 Dematerialised Securities 01/02/2021-18/02/2021 04/02/2021 08/02/2021
DR-215/2020-2021 Dematerialised Securities 02/02/2021-19/02/2021 05/02/2021 09/02/2021
DR-216/2020-2021 Dematerialised Securities 03/02/2021-20/02/2021 08/02/2021 10/02/2021
DR-217/2020-2021 Dematerialised Securities 04/02/2021-21/02/2021 09/02/2021 11/02/2021
DR-218/2020-2021 Dematerialised Securities 05/02/2021-22/02/2021 10/02/2021 12/02/2021
DR-219/2020-2021 Dematerialised Securities 08/02/2021-25/02/2021 11/02/2021 15/02/2021
DR-220/2020-2021 Dematerialised Securities 09/02/2021-26/02/2021 12/02/2021 16/02/2021
--------------------------------------------------------------------------------------------------------------
---------------------------------------------------------------------------------------------------------------------------------
NO DELIVERY FOR DEMATERIALISED SECURITIES Page No: 12
---------------------------------------------------------------------------------------------------------------------------------
NO DELIVERY LIST FOR DEMATERIALISED SECURITIES SETT.NO 209/2020-2021 (P.E. 28/01/2021)
NO DELIVERY PERIOD FOR DEMAT IN COMPULSORY ROLLING: 29/01/2021 TO 04/02/2021
---------------------------------------------------------------------------------------------------------------------------------
ND Setl No Delivery ND Setl No Delivery Delivery
Code No. Company Name B.C./R.D. Start Start End End Settlement
---------------------------------------------------------------------------------------------------------------------------------
---------------------------------------------------------------------------------------------------------------------------------
Total:0
---------------------------------------------------------------------------------------------------------------------------------
---------------------------------------------------------------------------------------------------------------------------------
NO DELIVERY FOR PHYSICAL SECURITIES Page No: 13
---------------------------------------------------------------------------------------------------------------------------------
NO DELIVERY LIST FOR PHYSICAL SECURITIES SETT.NO 209/2020-2021 (P.E. 28/01/2021)
NO DELIVERY PERIOD FOR PHYSICAL IN COMPULSORY ROLLING: 25/01/2021 TO 11/02/2021
---------------------------------------------------------------------------------------------------------------------------------
ND Setl No Delivery ND Setl No Delivery Delivery
Code No. Company Name B.C./R.D. Start Start End End Settlement
---------------------------------------------------------------------------------------------------------------------------------
---------------------------------------------------------------------------------------------------------------------------------
Total:0
---------------------------------------------------------------------------------------------------------------------------------

Total No of Scrips:0
NOTE : Code Number starts with '5' relates to Fully paid shares BC - Book Closure
RD - Record Date
Code Number starts with '7' relates to Preference shares ** - First N.D./X.D.Settlement
Code Number starts with '8' relates to Partly paid shares
---------------------------------------------------------------------------------------------------------------------------------
Provisional Ex-date For The Scrips Where No Delivery Period Is Abolished
-------------------------------------------------------------------------------------------------------------------
BC/ Book Closure/
SrNo. Code No. Company Name RD Record Date Ex-Date Settlement From
-------------------------------------------------------------------------------------------------------------------
Page 20
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1 500233 KAJARIA CERA RD 03/02/2021 02/02/2021 212/2020-2021
2 502090 SAGAR CEMENT RD 03/02/2021 02/02/2021 212/2020-2021
3 503806 SRF LIMITED RD 01/02/2021 29/01/2021 210/2020-2021
4 504067 ZENSAR TECH RD 01/02/2021 29/01/2021 210/2020-2021
# 5 505412 WENDT INDIA RD 04/02/2021 03/02/2021 213/2020-2021
6 506590 PHIL CAR BLK RD 02/02/2021 01/02/2021 211/2020-2021
7 517385 SYMPHONY RD 02/02/2021 01/02/2021 211/2020-2021
# 8 523828 MENON BEARIN RD 04/02/2021 03/02/2021 213/2020-2021
# 9 532732 KEWAL KIRAN RD 04/02/2021 03/02/2021 213/2020-2021
# 10 532942 KNR CONST RD 04/02/2021 03/02/2021 213/2020-2021
# 11 539399 BELLACASA RD 04/02/2021 03/02/2021 213/2020-2021
12 540586 IPRU2969 BC 02/02/2021 29/01/2021 210/2020-2021
13 540587 IPRU2970 BC 02/02/2021 29/01/2021 210/2020-2021
14 540588 IPRU9171 BC 02/02/2021 29/01/2021 210/2020-2021
15 540589 IPRU9172 BC 02/02/2021 29/01/2021 210/2020-2021
# 16 540626 IPRU2987 BC 04/02/2021 02/02/2021 212/2020-2021
# 17 540627 IPRU2988 BC 04/02/2021 02/02/2021 212/2020-2021
# 18 540629 IPRU9189 BC 04/02/2021 02/02/2021 212/2020-2021
# 19 540631 IPRU9190 BC 04/02/2021 02/02/2021 212/2020-2021
20 590071 SUNDARAM FIN RD 03/02/2021 02/02/2021 212/2020-2021
21 718361 KMIL050220 RD 03/02/2021 02/02/2021 212/2020-2021
# 22 718392 KMPL10220A RD 04/02/2021 03/02/2021 213/2020-2021
# 23 718402 HDFC12220 RD 04/02/2021 03/02/2021 213/2020-2021
24 719154 SCIL3820 RD 02/02/2021 01/02/2021 211/2020-2021
# 25 719166 NITSPL6820 RD 01/02/2021 29/01/2021 210/2020-2021
# 26 719299 RRVL280820 RD 04/02/2021 03/02/2021 213/2020-2021
27 719670 BFSL31120 RD 01/02/2021 29/01/2021 210/2020-2021
28 719671 JBCPL31120 RD 01/02/2021 29/01/2021 210/2020-2021
29 719672 BHEL3112020 RD 02/02/2021 01/02/2021 211/2020-2021
30 719677 ONGC31120 RD 01/02/2021 29/01/2021 210/2020-2021
31 719679 TV18B41120 RD 02/02/2021 01/02/2021 211/2020-2021
# 32 719682 BGHPL51120 RD 03/02/2021 02/02/2021 212/2020-2021
33 719683 NLC51120 RD 02/02/2021 01/02/2021 211/2020-2021
# 34 719687 TV18B61120 RD 04/02/2021 03/02/2021 213/2020-2021
35 719720 CPCL181120 RD 02/02/2021 01/02/2021 211/2020-2021
36 719817 TL21220 RD 01/02/2021 29/01/2021 210/2020-2021
37 719820 JBCL31220 RD 02/02/2021 01/02/2021 211/2020-2021
38 719915 ADSEZ171220 RD 03/02/2021 02/02/2021 212/2020-2021
# 39 719931 APSEZ181220 RD 04/02/2021 03/02/2021 213/2020-2021
# 40 720125 KMPL25121 RD 01/02/2021 29/01/2021 210/2020-2021
# 41 720127 KMIL25121 RD 01/02/2021 29/01/2021 210/2020-2021
42 936174 875SEFL21 RD 01/02/2021 29/01/2021 210/2020-2021
43 936180 9SEFL23A RD 01/02/2021 29/01/2021 210/2020-2021
44 936186 92SEFL28 RD 01/02/2021 29/01/2021 210/2020-2021
45 936522 875LTFL24 RD 01/02/2021 29/01/2021 210/2020-2021
46 936524 889LTFL24 RD 01/02/2021 29/01/2021 210/2020-2021
47 936530 884LTFL29 RD 01/02/2021 29/01/2021 210/2020-2021
48 936532 898LTFL29 RD 01/02/2021 29/01/2021 210/2020-2021
49 936564 848LTFL24 RD 01/02/2021 29/01/2021 210/2020-2021
50 936566 866LTFL24 RD 01/02/2021 29/01/2021 210/2020-2021
51 936576 852LTFL27 RD 01/02/2021 29/01/2021 210/2020-2021
52 936578 87LTFL27 RD 01/02/2021 29/01/2021 210/2020-2021
53 949552 965ISEC22F RD 01/02/2021 29/01/2021 210/2020-2021
54 949926 973LTINF24B RD 03/02/2021 02/02/2021 212/2020-2021
Page 21
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55 951543 1075PVR22 RD 02/02/2021 01/02/2021 211/2020-2021
56 951720 875LTINF25A RD 03/02/2021 02/02/2021 212/2020-2021
57 953468 845SBI26 RD 02/02/2021 01/02/2021 211/2020-2021
58 954953 1025RBLB22 RD 01/02/2021 29/01/2021 210/2020-2021
59 955766 897UPPCL21 RD 01/02/2021 29/01/2021 210/2020-2021
60 955767 897UPPCL22 RD 01/02/2021 29/01/2021 210/2020-2021
61 955768 897UPPCL23 RD 01/02/2021 29/01/2021 210/2020-2021
62 955769 897UPPCL24 RD 01/02/2021 29/01/2021 210/2020-2021
63 955770 897UPPCL25 RD 01/02/2021 29/01/2021 210/2020-2021
64 955771 897UPPCL26 RD 01/02/2021 29/01/2021 210/2020-2021
65 955772 897UPPCL27 RD 01/02/2021 29/01/2021 210/2020-2021
# 66 955784 76PFC27 RD 04/02/2021 03/02/2021 213/2020-2021
67 955915 0JPL21 RD 01/02/2021 29/01/2021 210/2020-2021
# 68 957700 995SHDFL21 RD 04/02/2021 03/02/2021 213/2020-2021
69 958176 1032APCRD24 BC 02/02/2021 29/01/2021 210/2020-2021
70 958177 1032APCRD25 BC 02/02/2021 29/01/2021 210/2020-2021
71 958178 1032APCRD26 BC 02/02/2021 29/01/2021 210/2020-2021
72 958179 1032APCRD27 BC 02/02/2021 29/01/2021 210/2020-2021
73 958180 1032APCRD28 BC 02/02/2021 29/01/2021 210/2020-2021
# 74 958463 927PCHFL28 RD 04/02/2021 03/02/2021 213/2020-2021
75 958517 95PCHFL22 RD 01/02/2021 29/01/2021 210/2020-2021
76 958588 858HUDCO29A RD 01/02/2021 29/01/2021 210/2020-2021
77 958597 87110HDB21 RD 03/02/2021 02/02/2021 212/2020-2021
78 958668 1028EHFL29 RD 03/02/2021 02/02/2021 212/2020-2021
79 958775 1060SHFL23 RD 02/02/2021 01/02/2021 211/2020-2021
80 958776 1060SHFL22 RD 02/02/2021 01/02/2021 211/2020-2021
81 958777 1060SHFL21 RD 02/02/2021 01/02/2021 211/2020-2021
82 958970 815VFPL21 RD 03/02/2021 02/02/2021 212/2020-2021
83 959055 76SCPSL23 RD 01/02/2021 29/01/2021 210/2020-2021
84 959200 757HFSL23 RD 01/02/2021 29/01/2021 210/2020-2021
85 959283 ABHFL17220 RD 02/02/2021 01/02/2021 211/2020-2021
86 959291 85LTIFCL23 RD 02/02/2021 01/02/2021 211/2020-2021
87 959292 85LTIFCL23A RD 02/02/2021 01/02/2021 211/2020-2021
88 959293 85LTIFCL23B RD 02/02/2021 01/02/2021 211/2020-2021
89 959294 81LTIFCL22 RD 02/02/2021 01/02/2021 211/2020-2021
90 959568 118CIFCPL23 RD 01/02/2021 29/01/2021 210/2020-2021
91 959893 785PCHF22A RD 02/02/2021 01/02/2021 211/2020-2021
92 960227 815ACPL22 RD 02/02/2021 01/02/2021 211/2020-2021
# 93 960251 1040AFSL22 RD 04/02/2021 03/02/2021 213/2020-2021
# 94 960252 1045AFS22 RD 04/02/2021 03/02/2021 213/2020-2021
# 95 960253 86AML22 RD 04/02/2021 03/02/2021 213/2020-2021
96 960333 423HDFCL22 RD 02/02/2021 01/02/2021 211/2020-2021
97 972558 IFCI08MAR10 RD 02/02/2021 01/02/2021 211/2020-2021
98 972591 WBSEDC16810 RD 01/02/2021 29/01/2021 210/2020-2021
99 972724 IFCI59R RD 03/02/2021 02/02/2021 212/2020-2021
-------------------------------------------------------------------------------------------------------------------
Note: # New Additions Total New Entries : 24
Total:99
File to download: proxd209.txt
-------------------------------------------------------------------------------------------------------------------
Final Ex-date For The Settlement Where No Delivery Period Is Abolished from 209/2020-2021 Firstday: 28/01/2021
-------------------------------------------------------------------------------------------------------------------
BC/ Book Closure/
SrNo. Code No. Company Name RD Record Date Ex-Date
Page 22
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-------------------------------------------------------------------------------------------------------------------
1 505255 GMM PFAUDLE RD 29/01/2021 28/01/2021
2 517354 HAVELLSINDIA RD 29/01/2021 28/01/2021
3 532310 SHRAMA MULTI BC 30/01/2021 28/01/2021
4 533211 PARAB DRUGS RD 29/01/2021 28/01/2021
5 538577 IPRU2428 BC 01/02/2021 28/01/2021
6 538578 IPRU8628 BC 01/02/2021 28/01/2021
7 540750 IEX RD 30/01/2021 28/01/2021
8 719247 NBARD21820 RD 29/01/2021 28/01/2021
9 719665 ABFR21120 RD 29/01/2021 28/01/2021
10 719668 SCARD21120 RD 29/01/2021 28/01/2021
11 719675 ISEC31120 RD 29/01/2021 28/01/2021
12 719676 MPRL31120 RD 29/01/2021 28/01/2021
13 719810 RIL11220 RD 29/01/2021 28/01/2021
14 720019 IOCL6121 RD 29/01/2021 28/01/2021
15 720129 ABFL25121 RD 29/01/2021 28/01/2021
16 935351 940IFCI25 RD 29/01/2021 28/01/2021
17 937043 792TCH25 RD 30/01/2021 28/01/2021
18 937045 801TCH25 RD 30/01/2021 28/01/2021
19 937051 801TCH28 RD 30/01/2021 28/01/2021
20 937053 81TCHF28 RD 30/01/2021 28/01/2021
21 948893 930RRVPN25 RD 30/01/2021 28/01/2021
22 951695 PNB13FEB15 RD 29/01/2021 28/01/2021
23 953254 872NSEL25 RD 29/01/2021 28/01/2021
24 953271 891NSEL27 RD 29/01/2021 28/01/2021
25 953272 891NSEL26 RD 29/01/2021 28/01/2021
26 955663 1350EKFL23 RD 31/01/2021 28/01/2021
27 955722 1145FBFL21D RD 30/01/2021 28/01/2021
28 955732 9MFL24 RD 29/01/2021 28/01/2021
29 955749 960FEL22 RD 29/01/2021 28/01/2021
30 955750 960FEL23 RD 29/01/2021 28/01/2021
31 955756 85RCL22A RD 30/01/2021 28/01/2021
32 957224 0KMPL21A RD 29/01/2021 28/01/2021
33 957629 1060ABFL22 RD 29/01/2021 28/01/2021
34 957630 1060ABFL22A RD 29/01/2021 28/01/2021
35 957657 897SHFL21 RD 30/01/2021 28/01/2021
36 957830 139FMFPL23 RD 29/01/2021 28/01/2021
37 957900 18PVPVL23 RD 30/01/2021 28/01/2021
38 957901 1015AHL23 RD 29/01/2021 28/01/2021
39 958160 127227SF23 RD 30/01/2021 28/01/2021
40 958586 855BOB29 RD 29/01/2021 28/01/2021
41 958595 123402NGC23 RD 31/01/2021 28/01/2021
42 958599 89922IGT29 RD 30/01/2021 28/01/2021
43 958721 18SPSIL24 RD 29/01/2021 28/01/2021
44 958863 1309VHFPL22 RD 29/01/2021 28/01/2021
45 958958 1050NVPPL31 RD 29/01/2021 28/01/2021
46 958977 12NCPL25 RD 31/01/2021 28/01/2021
47 959148 14SEMHL24 RD 29/01/2021 28/01/2021
48 959272 10STFC23 RD 29/01/2021 28/01/2021
49 959275 727NABARD30 RD 30/01/2021 28/01/2021
50 959277 925MFL23 RD 29/01/2021 28/01/2021
51 959278 925MFL22A RD 29/01/2021 28/01/2021
52 959280 665GIL23 RD 29/01/2021 28/01/2021
53 959289 850IIL20 RD 29/01/2021 28/01/2021
Page 23
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54 959598 955IIDL25 RD 31/01/2021 28/01/2021
55 959902 925MFL22B RD 30/01/2021 28/01/2021
56 959914 106MFL23 RD 31/01/2021 28/01/2021
57 959952 115MFIL23B RD 29/01/2021 28/01/2021
58 960404 785STFC23 RD 29/01/2021 28/01/2021
59 972714 IFCI150212B RD 29/01/2021 28/01/2021
60 972716 IFCI150212D RD 29/01/2021 28/01/2021
-------------------------------------------------------------------------------------------------------------------
Total:60
File to download: finxd209.txt
-------------------------------------------------------------------------------------------------------------------
-------------------------------------------------------------------------------------------------------------------
No Dealing In Gov. Securities
-------------------------------------------------------------------------------------------------------------------
Scrip Scrip Name Interest No Dealings
Code Payment Date From Setl No. Start-Date To Setl.No End-Date
-------------------------------------------------------------------------------------------------------------------
-------------------------------------------------------------------------------------------------------------------
Provisional Ex-date information for the period 29/01/2021 To 26/04/2021
----------------------------------------------------------------------------------------------------
SR. SCRIP SCRIP NAME BC/ BC/RD EX-DATE EX-SETTLEMENT PURPOSE
NO. CODE RD FROM
----------------------------------------------------------------------------------------------------
1 955915 0JPL21 RD 01/02/2021 29/01/2021 210/2020-2021 Redemption of NCD
2 954953 1025RBLB22 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
3 958176 1032APCRD24 BC 02/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
4 958177 1032APCRD25 BC 02/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
5 958178 1032APCRD26 BC 02/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
6 958179 1032APCRD27 BC 02/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
7 958180 1032APCRD28 BC 02/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
8 959568 118CIFCPL23 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
9 959200 757HFSL23 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
10 959055 76SCPSL23 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
11 936564 848LTFL24 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
12 936576 852LTFL27 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
13 958588 858HUDCO29A RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
14 936566 866LTFL24 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
15 936522 875LTFL24 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
16 936174 875SEFL21 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
17 936578 87LTFL27 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
18 936530 884LTFL29 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
19 936524 889LTFL24 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
20 955766 897UPPCL21 RD 01/02/2021 29/01/2021 210/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
21 955767 897UPPCL22 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
22 955768 897UPPCL23 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
23 955769 897UPPCL24 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
24 955770 897UPPCL25 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
25 955771 897UPPCL26 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
26 955772 897UPPCL27 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
27 936532 898LTFL29 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
28 936186 92SEFL28 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
29 958517 95PCHFL22 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
30 949552 965ISEC22F RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
Page 24
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31 936180 9SEFL23A RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest
32 719670 BFSL31120 RD 01/02/2021 29/01/2021 210/2020-2021 Redemption of CP
33 540586 IPRU2969 BC 02/02/2021 29/01/2021 210/2020-2021 Redemption of Mutual Fund
34 540587 IPRU2970 BC 02/02/2021 29/01/2021 210/2020-2021 Redemption of Mutual Fund
35 540588 IPRU9171 BC 02/02/2021 29/01/2021 210/2020-2021 Redemption of Mutual Fund
36 540589 IPRU9172 BC 02/02/2021 29/01/2021 210/2020-2021 Redemption of Mutual Fund
37 719671 JBCPL31120 RD 01/02/2021 29/01/2021 210/2020-2021 Redemption of CP
38 720127 KMIL25121 RD 01/02/2021 29/01/2021 210/2020-2021 Redemption of CP
39 720125 KMPL25121 RD 01/02/2021 29/01/2021 210/2020-2021 Redemption of CP
40 719166 NITSPL6820 RD 01/02/2021 29/01/2021 210/2020-2021 Redemption of CP
41 719677 ONGC31120 RD 01/02/2021 29/01/2021 210/2020-2021 Redemption of CP
42 718353 RJIL04220 RD 01/02/2021 29/01/2021 210/2020-2021 Redemption of CP
43 503806 SRF LIMITED RD 01/02/2021 29/01/2021 210/2020-2021 190% Second Interim Dividend
44 719817 TL21220 RD 01/02/2021 29/01/2021 210/2020-2021 Redemption of CP
45 972591 WBSEDC16810 RD 01/02/2021 29/01/2021 210/2020-2021 Payment of Interest for Bonds
46 504067 ZENSAR TECH RD 01/02/2021 29/01/2021 210/2020-2021 60% Interim Dividend
47 958777 1060SHFL21 RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
48 958776 1060SHFL22 RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
49 958775 1060SHFL23 RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
50 951543 1075PVR22 RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
51 960333 423HDFCL22 RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
52 959893 785PCHF22A RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
53 960227 815ACPL22 RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
54 959294 81LTIFCL22 RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
55 953468 845SBI26 RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest for Bonds
Temporary Suspension
56 959291 85LTIFCL23 RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
57 959292 85LTIFCL23A RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
58 959293 85LTIFCL23B RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
59 959283 ABHFL17220 RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest
60 719672 BHEL3112020 RD 02/02/2021 01/02/2021 211/2020-2021 Redemption of CP
61 719720 CPCL181120 RD 02/02/2021 01/02/2021 211/2020-2021 Redemption of CP
62 972558 IFCI08MAR10 RD 02/02/2021 01/02/2021 211/2020-2021 Payment of Interest for Bonds
63 719820 JBCL31220 RD 02/02/2021 01/02/2021 211/2020-2021 Redemption of CP
64 719683 NLC51120 RD 02/02/2021 01/02/2021 211/2020-2021 Redemption of CP
65 506590 PHIL CAR BLK RD 02/02/2021 01/02/2021 211/2020-2021 350% Interim Dividend
66 719154 SCIL3820 RD 02/02/2021 01/02/2021 211/2020-2021 Redemption of CP
67 517385 SYMPHONY RD 02/02/2021 01/02/2021 211/2020-2021 50% Interim Dividend
68 719679 TV18B41120 RD 02/02/2021 01/02/2021 211/2020-2021 Redemption of CP
69 958668 1028EHFL29 RD 03/02/2021 02/02/2021 212/2020-2021 Payment of Interest
70 958970 815VFPL21 RD 03/02/2021 02/02/2021 212/2020-2021 Payment of Interest
Redemption of NCD
71 958597 87110HDB21 RD 03/02/2021 02/02/2021 212/2020-2021 Payment of Interest
Redemption of NCD
72 951720 875LTINF25A RD 03/02/2021 02/02/2021 212/2020-2021 Payment of Interest
73 949926 973LTINF24B RD 03/02/2021 02/02/2021 212/2020-2021 Payment of Interest
74 719915 ADSEZ171220 RD 03/02/2021 02/02/2021 212/2020-2021 Redemption of CP
75 719682 BGHPL51120 RD 03/02/2021 02/02/2021 212/2020-2021 Redemption of CP
76 972724 IFCI59R RD 03/02/2021 02/02/2021 212/2020-2021 Payment of Interest for Bonds
77 540626 IPRU2987 BC 04/02/2021 02/02/2021 212/2020-2021 Redemption of Mutual Fund
78 540627 IPRU2988 BC 04/02/2021 02/02/2021 212/2020-2021 Redemption of Mutual Fund
79 540629 IPRU9189 BC 04/02/2021 02/02/2021 212/2020-2021 Redemption of Mutual Fund
80 540631 IPRU9190 BC 04/02/2021 02/02/2021 212/2020-2021 Redemption of Mutual Fund
81 500233 KAJARIA CERA RD 03/02/2021 02/02/2021 212/2020-2021 1000% Interim Dividend
Page 25
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82 718361 KMIL050220 RD 03/02/2021 02/02/2021 212/2020-2021 Redemption of CP
83 502090 SAGAR CEMENT RD 03/02/2021 02/02/2021 212/2020-2021 20% Second Interim Dividend
84 590071 SUNDARAM FIN RD 03/02/2021 02/02/2021 212/2020-2021 120% Interim Dividend
85 960251 1040AFSL22 RD 04/02/2021 03/02/2021 213/2020-2021 Payment of Interest
86 960252 1045AFS22 RD 04/02/2021 03/02/2021 213/2020-2021 Payment of Interest
87 955784 76PFC27 RD 04/02/2021 03/02/2021 213/2020-2021 Payment of Interest for Bonds
88 960253 86AML22 RD 04/02/2021 03/02/2021 213/2020-2021 Payment of Interest
89 958463 927PCHFL28 RD 04/02/2021 03/02/2021 213/2020-2021 Payment of Interest
90 957700 995SHDFL21 RD 04/02/2021 03/02/2021 213/2020-2021 Payment of Interest
Redemption of NCD
91 719931 APSEZ181220 RD 04/02/2021 03/02/2021 213/2020-2021 Redemption of CP
92 539399 BELLACASA RD 04/02/2021 03/02/2021 213/2020-2021 6% Interim Dividend
93 718402 HDFC12220 RD 04/02/2021 03/02/2021 213/2020-2021 Redemption of CP
94 532732 KEWAL KIRAN RD 04/02/2021 03/02/2021 213/2020-2021 80% Second Interim Dividend
95 718392 KMPL10220A RD 04/02/2021 03/02/2021 213/2020-2021 Redemption of CP
96 532942 KNR CONST RD 04/02/2021 03/02/2021 213/2020-2021 01:01 Bonus issue
97 523828 MENON BEARIN RD 04/02/2021 03/02/2021 213/2020-2021 150% Interim Dividend
98 719299 RRVL280820 RD 04/02/2021 03/02/2021 213/2020-2021 Redemption of CP
99 719687 TV18B61120 RD 04/02/2021 03/02/2021 213/2020-2021 Redemption of CP
100 505412 WENDT INDIA RD 04/02/2021 03/02/2021 213/2020-2021 100% Interim Dividend
101 949242 1002JSW2023 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
102 936428 1005SEFL24 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
103 960236 1025AFNPL22 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
104 960234 1025AFPL22 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
105 960235 1025ANFPL22 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
106 960201 1025FMPL22 RD 06/02/2021 04/02/2021 214/2020-2021 Payment of Interest
107 960200 1050FMPL22A RD 06/02/2021 04/02/2021 214/2020-2021 Payment of Interest
108 960202 1050FMPL22B RD 06/02/2021 04/02/2021 214/2020-2021 Payment of Interest
109 953485 1075EARCL21 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
Redemption of NCD
110 956825 1090SRG22 RD 06/02/2021 04/02/2021 214/2020-2021 Payment of Interest
Redemption(Part) of NCD
111 955996 1145FBFL21 RD 07/02/2021 04/02/2021 214/2020-2021 Payment of Interest
112 957619 1195SCNL21 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
Redemption of NCD
113 949963 12HLFL2021 RD 06/02/2021 04/02/2021 214/2020-2021 Payment of Interest
Redemption of NCD
114 958973 1380VCPL22 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
115 958974 1410VCPL22 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
116 953486 5NMBPL21 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
Redemption of NCD
117 957675 837IIL23 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
118 954753 842RCL21 RD 07/02/2021 04/02/2021 214/2020-2021 Payment of Interest
119 957680 845HDB28 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
120 956820 852RCFL24B RD 06/02/2021 04/02/2021 214/2020-2021 Payment of Interest
121 957656 873YBL28 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest for Bonds
122 958596 875PFCL34 RD 06/02/2021 04/02/2021 214/2020-2021 Payment of Interest for Bonds
123 958614 92171LIDF34 RD 06/02/2021 04/02/2021 214/2020-2021 Payment of Interest
124 957652 93ERCS21A RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
125 950456 970PFC24 RD 06/02/2021 04/02/2021 214/2020-2021 Payment of Interest for Bonds
126 960199 975FMPL22 RD 06/02/2021 04/02/2021 214/2020-2021 Payment of Interest
127 936422 981SEFL22 RD 05/02/2021 04/02/2021 214/2020-2021 Payment of Interest
128 948503 990RCL2022J RD 06/02/2021 04/02/2021 214/2020-2021 Payment of Interest
129 530499 A K CAPITAL RD 06/02/2021 04/02/2021 214/2020-2021 50% Interim Dividend
Page 26
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130 719694 AFL91120 RD 05/02/2021 04/02/2021 214/2020-2021 Redemption of CP
131 720025 ATL060121 RD 06/02/2021 04/02/2021 214/2020-2021 Redemption of CP
132 531162 EMAMI LIMITE RD 05/02/2021 04/02/2021 214/2020-2021 400% Second Interim Dividend
133 500086 EXIDE INDUS RD 06/02/2021 04/02/2021 214/2020-2021 Interim Dividend
134 532734 GODAWARI POW RD 06/02/2021 04/02/2021 214/2020-2021 Interim Dividend
135 961699 IDFCFBLD1E RD 06/02/2021 04/02/2021 214/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
136 961700 IDFCFBLD1F RD 06/02/2021 04/02/2021 214/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
137 532636 IIFL RD 06/02/2021 04/02/2021 214/2020-2021 Interim Dividend
138 719693 N18MI91120 RD 05/02/2021 04/02/2021 214/2020-2021 Redemption of CP
139 508670 NEELAMA AGRO RD 05/02/2021 04/02/2021 214/2020-2021 Buy Back of Shares
140 541418 NGIL BC 06/02/2021 04/02/2021 214/2020-2021 E.G.M.
141 530251 RISA INTL BC 08/02/2021 04/02/2021 214/2020-2021 Annual Book Closure
142 500113 STEEL AUTHOR RD 06/02/2021 04/02/2021 214/2020-2021 Interim Dividend
143 520056 SUNDARAM CLA RD 06/02/2021 04/02/2021 214/2020-2021 Interim Dividend
144 532343 TVS MOTOR L RD 05/02/2021 04/02/2021 214/2020-2021 Interim Dividend
145 532156 VAIBHAVGBL RD 06/02/2021 04/02/2021 214/2020-2021 Third Interim Dividend
146 959662 1025AF23 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
147 959671 115SMP23 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
148 953591 1490AFPL21. RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
149 959296 727NHAI35 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest for Bonds
150 955805 76IREDA27 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest for Bonds
151 937003 796LTFL22 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
152 956936 796PCHFL27 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
153 957669 799REC23 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest for Bonds
154 955829 805IIL22 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
155 937005 815LTFL22 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
156 937011 815LTFL24 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
157 937013 829LTFL24 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
158 951710 835REC25 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest for Bonds
159 951718 865HDFC25 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
160 957541 885ABFL21 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
Redemption of NCD
161 957542 885ABFL26 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
162 958535 95PCHFL22A RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
163 958194 962TPIPL23 RD 08/02/2021 05/02/2021 215/2020-2021 Payment of Interest
Redemption(Part) of NCD
164 508814 COSMO FILMS RD 08/02/2021 05/02/2021 215/2020-2021 250% Interim Dividend
165 719697 DCL101120 RD 08/02/2021 05/02/2021 215/2020-2021 Redemption of CP
166 719707 HDFC121120 RD 08/02/2021 05/02/2021 215/2020-2021 Redemption of CP
167 540767 NAM-INDIA RD 08/02/2021 05/02/2021 215/2020-2021 30% Interim Dividend
168 532234 NAT ALUM CO RD 08/02/2021 05/02/2021 215/2020-2021 Buy Back of Shares
169 540416 OCTAWARE BC 09/02/2021 05/02/2021 215/2020-2021 E.G.M.
170 718390 RJIL10220A RD 08/02/2021 05/02/2021 215/2020-2021 Redemption of CP
171 524582 TIRUPATI STA BC 09/02/2021 05/02/2021 215/2020-2021 E.G.M.
172 951709 1010ECL25 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
173 960060 1025SCNL22A RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
174 959876 1050FMPL22 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
175 958941 1100EKFL22 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
176 948922 12RFL2023 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
177 959317 71HDFC22 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
178 959298 741PFCL30 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest for Bonds
179 953510 833NTPCL21 RD 09/02/2021 08/02/2021 216/2020-2021 Redemption of Bonds
Page 27
bu270121.txt
Payment of Interest for Bonds
180 951729 845HDFC25 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
181 953499 873LTIDF31 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
182 953497 873LTIDF36 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
183 953498 873LTIDFL26 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
184 953494 87LTIDF21 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
Redemption of NCD
185 953496 87LTIDFL23 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
186 951713 885YES25 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest for Bonds
187 936878 93SCUF22 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
188 936884 945SCUF24 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest
189 949943 965PNB2024 RD 09/02/2021 08/02/2021 216/2020-2021 Payment of Interest for Bonds
190 719948 APSEZ211220 RD 09/02/2021 08/02/2021 216/2020-2021 Redemption of CP
191 718413 HDFC13220 RD 09/02/2021 08/02/2021 216/2020-2021 Redemption of CP
192 720021 IOCL60121 RD 09/02/2021 08/02/2021 216/2020-2021 Redemption of CP
193 719699 JBCL111120 RD 09/02/2021 08/02/2021 216/2020-2021 Redemption of CP
194 719871 RRVL111220 RD 09/02/2021 08/02/2021 216/2020-2021 Redemption of CP
195 539222 VMV BC 10/02/2021 08/02/2021 216/2020-2021 E.G.M.
196 959702 1275SFIS23 RD 10/02/2021 09/02/2021 217/2020-2021 Payment of Interest
197 955997 1399AFPL23 RD 10/02/2021 09/02/2021 217/2020-2021 Payment of Interest
198 959673 13SMP23 RD 10/02/2021 09/02/2021 217/2020-2021 Payment of Interest
199 959030 76351KMPL23 RD 10/02/2021 09/02/2021 217/2020-2021 Payment of Interest
200 959312 835IIL25 RD 10/02/2021 09/02/2021 217/2020-2021 Payment of Interest
201 959315 85TML26 RD 10/02/2021 09/02/2021 217/2020-2021 Payment of Interest
202 959316 85TML27 RD 10/02/2021 09/02/2021 217/2020-2021 Payment of Interest
203 936270 866ICCL23 RD 10/02/2021 09/02/2021 217/2020-2021 Payment of Interest
204 936276 875ICCL28 RD 10/02/2021 09/02/2021 217/2020-2021 Payment of Interest
205 936278 884ICCL28 RD 10/02/2021 09/02/2021 217/2020-2021 Payment of Interest
206 719949 APSEZL2112 RD 10/02/2021 09/02/2021 217/2020-2021 Redemption of CP
207 532783 DAAWAT RD 10/02/2021 09/02/2021 217/2020-2021 Interim Dividend
208 533179 PERSISTENT RD 10/02/2021 09/02/2021 217/2020-2021 Interim Dividend
209 719164 SCIL5820 RD 10/02/2021 09/02/2021 217/2020-2021 Redemption of CP
210 542654 VRFILMS RD 10/02/2021 09/02/2021 217/2020-2021 Interim Dividend
211 958615 0ICFL21 RD 11/02/2021 10/02/2021 218/2020-2021 Redemption of NCD
212 960230 1075SNFPL22 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
213 960008 1150LIFC23 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
214 959314 74SBICPS25 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
215 953495 87LTIDFL21 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
Redemption of NCD
216 953506 880BFL21 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
Redemption of NCD
217 958600 881MMFSL22 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
218 955821 8HDFCC22 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
219 956133 91IIFL22 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
220 956214 91IIFL22A RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
221 956357 91IIFL22B RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
222 959310 925STFC22 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
223 957695 945ICFL21 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
224 959309 95STFC23 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
225 953536 970JMFCS21A RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
226 719879 ABFRL141220 RD 11/02/2021 10/02/2021 218/2020-2021 Redemption of CP
227 719950 APSEZ2112 RD 11/02/2021 10/02/2021 218/2020-2021 Redemption of CP
228 500117 DCWLTD. BC 12/02/2021 10/02/2021 218/2020-2021 E.G.M.
229 958886 JMFC22JUL19 RD 11/02/2021 10/02/2021 218/2020-2021 Redemption of NCD
Page 28
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230 959533 RAR29MAY20 RD 11/02/2021 10/02/2021 218/2020-2021 Payment of Interest
231 719872 RRVL1112 RD 11/02/2021 10/02/2021 218/2020-2021 Redemption of CP
232 532349 TRAN COR IND RD 11/02/2021 10/02/2021 218/2020-2021 Interim Dividend
233 958483 1005ERCS21 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
234 958091 1015NACL21 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
235 958092 1015NACL21A RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
236 958093 1015NACL21B RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
237 958413 1025STFCL24 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest
238 958511 1025STFL24 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest
239 948668 1075RCL22C RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest
240 959604 114FMPL23 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
241 959089 115EARCL23 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
242 958623 118175AFP23 RD 14/02/2021 11/02/2021 219/2020-2021 Payment of Interest
243 956867 1181AMPL23 RD 14/02/2021 11/02/2021 219/2020-2021 Payment of Interest
Redemption(Part) of NCD
244 954809 118648FMP21 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest
245 958957 1188FSBFL25 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
246 958799 11AMFL21 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
247 960133 1275SSF22 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
Redemption(Part) of NCD
248 955963 13AMFL22 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
249 959703 13SFIS23 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
250 951826 18TRIL2028 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
251 959308 74HDFC28230 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
252 959595 81IGT22 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest
253 959596 84IGT23 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest
254 937061 852STFCL23 RD 14/02/2021 11/02/2021 219/2020-2021 Payment of Interest
255 959985 85IGT24 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest
256 937063 866STFCL25 RD 14/02/2021 11/02/2021 219/2020-2021 Payment of Interest
257 937065 875STFCL27 RD 14/02/2021 11/02/2021 219/2020-2021 Payment of Interest
258 958939 885IGT22 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest
259 950460 890PFC25 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest for Bonds
260 958915 910IGT24 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest
261 936780 912STF23 RD 14/02/2021 11/02/2021 219/2020-2021 Payment of Interest
262 936452 912STFCL24 RD 14/02/2021 11/02/2021 219/2020-2021 Payment of Interest
263 936782 922STF24 RD 14/02/2021 11/02/2021 219/2020-2021 Payment of Interest
264 936316 925AHFL23 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
265 959349 925SCUFL23 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
266 959350 925SCUFL24 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
267 936598 926SCUF22 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
268 936784 931STF26 RD 14/02/2021 11/02/2021 219/2020-2021 Payment of Interest
269 936320 935AHFL28 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
270 936604 935SCUF24 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest
271 936454 93STFCL29 RD 14/02/2021 11/02/2021 219/2020-2021 Payment of Interest
272 953501 955AHFL26A RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
273 950747 965PGC2022 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest for Bonds
274 950748 965PGC2023 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest for Bonds
275 950749 965PGC2024 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest for Bonds
276 950750 965PGC2025 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest for Bonds
277 950751 965PGC2026 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest for Bonds
278 950752 965PGC2027 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest for Bonds
279 950753 965PGC2028 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest for Bonds
280 950754 965PGC2029 RD 13/02/2021 11/02/2021 219/2020-2021 Payment of Interest for Bonds
281 935136 971STFC21 RD 14/02/2021 11/02/2021 219/2020-2021 Payment of Interest
Page 29
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282 959543 9876AFL23 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
283 959522 9878AFL23 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
284 937085 98EFIL25 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
285 937091 98EFIL30 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
286 954598 990STFCL25 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
287 720045 ABFRL11121 RD 12/02/2021 11/02/2021 219/2020-2021 Redemption of CP
288 719887 AFL151220 RD 12/02/2021 11/02/2021 219/2020-2021 Redemption of CP
289 539523 ALKEM RD 13/02/2021 11/02/2021 219/2020-2021 Interim Dividend
290 719961 APSEZ231220 RD 12/02/2021 11/02/2021 219/2020-2021 Redemption of CP
291 532282 CASTEXTECH BC 13/02/2021 11/02/2021 219/2020-2021 A.G.M.
292 500119 DHAMPUR SUGA RD 12/02/2021 11/02/2021 219/2020-2021 Interim Dividend
293 958404 ERCS28NOV18 RD 12/02/2021 11/02/2021 219/2020-2021 Payment of Interest
294 524648 INDO AMINES RD 13/02/2021 11/02/2021 219/2020-2021 Interim Dividend
295 720020 IOCL06121 RD 12/02/2021 11/02/2021 219/2020-2021 Redemption of CP
296 719913 JBCPL171220 RD 12/02/2021 11/02/2021 219/2020-2021 Redemption of CP
297 522287 KALPAT POW T RD 12/02/2021 11/02/2021 219/2020-2021 Interim Dividend
298 532555 NTPC LTD RD 12/02/2021 11/02/2021 219/2020-2021 Interim Dividend
299 719780 RIL261120 RD 12/02/2021 11/02/2021 219/2020-2021 Redemption of CP
300 718764 SCIL8520 RD 12/02/2021 11/02/2021 219/2020-2021 Redemption of CP
301 936398 1015EFL29 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
302 960006 1025ICFL21 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
303 959524 1125EKFL23 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
304 959248 632RECL21 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest for Bonds
305 959247 688RECL25 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest for Bonds
306 959299 68RECL23 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest for Bonds
307 959359 699RECL21 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest for Bonds
308 959300 699RECL24 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest for Bonds
309 959313 714RECL30 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest for Bonds
310 959338 741PFCL30A RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest for Bonds
311 955795 746REC22 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest for Bonds
312 959339 75RECL30 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest for Bonds
313 955827 771TML22 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
314 936122 842ERFL21 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
315 936126 865ERFL23 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
316 936130 888ERFL28 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
317 936324 912STFCL23 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
318 936246 925EFL23 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
319 936050 925SEFL22 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
320 936326 930STFCL28 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
321 936056 935SEFL24 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
322 936252 943EFL28 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
323 936062 950SEFL27 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
324 958505 951SVHPL29 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
Redemption(Part) of NCD
325 958506 951SVHPL29A RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
Redemption(Part) of NCD
326 936969 995ECL24 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
327 936975 995ECL29 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
328 936392 995EFL24 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
329 936716 995EFL24A RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
330 936722 995EFL29 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
331 532674 BANNARI AMMA RD 15/02/2021 12/02/2021 220/2020-2021 Stock Split from Rs.10/- to Rs.5/-
332 957916 ICFL2518 RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest
333 972459 IDBISRXVII RD 15/02/2021 12/02/2021 220/2020-2021 Payment of Interest for Bonds
Page 30
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334 718428 KMPL170220 RD 15/02/2021 12/02/2021 220/2020-2021 Redemption of CP
335 719718 SCARD171120 RD 15/02/2021 12/02/2021 220/2020-2021 Redemption of CP
336 960215 1050FMPLT22 RD 16/02/2021 15/02/2021 221/2020-2021 Payment of Interest
337 955822 795LTIFCL22 RD 16/02/2021 15/02/2021 221/2020-2021 Payment of Interest
338 951756 843HDFC25 RD 16/02/2021 15/02/2021 221/2020-2021 Payment of Interest
339 953515 875HDFC21 RD 16/02/2021 15/02/2021 221/2020-2021 Payment of Interest
Redemption of NCD
340 950447 884PFC23 RD 16/02/2021 15/02/2021 221/2020-2021 Payment of Interest for Bonds
341 954455 930MOHFL23 RD 16/02/2021 15/02/2021 221/2020-2021 Payment of Interest
342 953500 955AHFL21 RD 16/02/2021 15/02/2021 221/2020-2021 Payment of Interest
Redemption of NCD
343 719730 MOFS191120 RD 16/02/2021 15/02/2021 221/2020-2021 Redemption of CP
344 500420 TORRENT PHAR RD 16/02/2021 15/02/2021 221/2020-2021 Interim Dividend
345 959366 VCPL030323 RD 16/02/2021 15/02/2021 221/2020-2021 Payment of Interest
346 959995 1020SCNL22 RD 17/02/2021 16/02/2021 222/2020-2021 Payment of Interest
347 948961 1065STFC23B RD 17/02/2021 16/02/2021 222/2020-2021 Payment of Interest
348 954797 925ICICI24 RD 17/02/2021 16/02/2021 222/2020-2021 Payment of Interest for Bonds
349 949962 973LTINF24C RD 17/02/2021 16/02/2021 222/2020-2021 Payment of Interest
350 719743 JBCPL201120 RD 17/02/2021 16/02/2021 222/2020-2021 Redemption of CP
351 719987 KMI281220 RD 17/02/2021 16/02/2021 222/2020-2021 Redemption of CP
352 718602 KMIL16320 RD 17/02/2021 16/02/2021 222/2020-2021 Redemption of CP
353 719758 SCARD2311 RD 17/02/2021 16/02/2021 222/2020-2021 Redemption of CP
354 948962 STFC070313C RD 17/02/2021 16/02/2021 222/2020-2021 Payment of Interest
355 540212 TCIEXP RD 17/02/2021 16/02/2021 222/2020-2021 Interim Dividend
356 935980 1025KFL22 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
357 936308 1025KFL25 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
358 936620 1025KFL26 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
359 936776 1025KFL26A RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
360 936991 1025KFL26B RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
361 937205 1025KFL27 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
362 937287 1025KFL27A RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
363 936448 1025KFSRVII RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
364 958224 1025MOHFL23 RD 18/02/2021 17/02/2021 223/2020-2021 Payment of Interest
365 936300 10KFL21 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
366 936034 10KFL22 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
367 936080 10KFL22A RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
368 936768 10KFL22AA RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
369 936612 10KFL22B RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
370 936983 10KFL22C RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
371 936166 10KFL23 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
372 937197 10KFL23A RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
373 936618 10KFL24 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
374 936774 10KFL24A RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
375 937281 10KFL24B RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
376 936096 10KFL25 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
377 936440 10KFLSRIII RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
378 936446 10KFLSRVI RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
379 935774 1115KFL22 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
380 959631 1125EKFL23B RD 18/02/2021 17/02/2021 223/2020-2021 Payment of Interest
381 955808 1125FSBF21 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
Redemption of NCD
382 959960 1130AFPL25 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
383 935562 1150KFL22G RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
384 935656 115KFL22 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
Page 31
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385 959016 1160NACL23 RD 18/02/2021 17/02/2021 223/2020-2021 Payment of Interest
386 959904 1169SCN21 RD 21/02/2021 17/02/2021 223/2020-2021 Payment of Interest
387 959832 1196FMPL21 RD 21/02/2021 17/02/2021 223/2020-2021 Payment of Interest
388 935884 11KFL23 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
389 958764 1287AFPL26 RD 18/02/2021 17/02/2021 223/2020-2021 Payment of Interest
390 951484 12GIWFAL23 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
391 953811 1490AFPL21 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
392 960035 14SSFL22 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
393 958753 1675PFSPL25 RD 20/02/2021 17/02/2021 223/2020-2021 Payment of Interest
394 958626 830RIL22 RD 21/02/2021 17/02/2021 223/2020-2021 Payment of Interest
395 957670 843IHFL28 RD 18/02/2021 17/02/2021 223/2020-2021 Payment of Interest
396 957683 843IHFL28A RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
397 935856 865IBHFL26 RD 18/02/2021 17/02/2021 223/2020-2021 Payment of Interest
398 935864 879IBHFL26A RD 18/02/2021 17/02/2021 223/2020-2021 Payment of Interest
399 937277 95KFL20 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
400 936160 95KFL21A RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
401 958173 965GIWEL23 RD 21/02/2021 17/02/2021 223/2020-2021 Payment of Interest
402 936610 975KFL21 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
403 936766 975KFL21A RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
404 936981 975KFL21B RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
405 937195 975KFL22 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
406 960249 980EKFL24 RD 18/02/2021 17/02/2021 223/2020-2021 Payment of Interest
407 719746 ABFRL231120 RD 19/02/2021 17/02/2021 223/2020-2021 Redemption of CP
408 719747 AFL231120 RD 19/02/2021 17/02/2021 223/2020-2021 Redemption of CP
409 543232 CAMS RD 19/02/2021 17/02/2021 223/2020-2021 Interim Dividend
410 719749 DCL231120 RD 19/02/2021 17/02/2021 223/2020-2021 Redemption of CP
411 957991 ICFL7JUN18 RD 19/02/2021 17/02/2021 223/2020-2021 Payment of Interest
412 719963 JBC231220 RD 18/02/2021 17/02/2021 223/2020-2021 Redemption of CP
413 719767 JUPPL241120 RD 19/02/2021 17/02/2021 223/2020-2021 Redemption of CP
414 532827 PAGE INDUSTR RD 19/02/2021 17/02/2021 223/2020-2021 Second Interim Dividend
415 538730 PDSMFL BC 19/02/2021 17/02/2021 223/2020-2021 E.G.M.
416 719803 RIL27112020 RD 19/02/2021 17/02/2021 223/2020-2021 Redemption of CP
417 948963 STFC080313D RD 18/02/2021 17/02/2021 223/2020-2021 Payment of Interest
418 958461 111610EKF24 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest
419 959343 11NACL25222 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest
420 959344 11NACL27122 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest
421 957812 1350AFPL23 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest
422 959115 75SCPSL2023 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest
423 955858 785IREDA27 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest for Bonds
424 955882 789PGCIL27 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest for Bonds
425 953413 815PGCIL25 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest for Bonds
426 953414 815PGCIL30 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest for Bonds
427 951799 820PFC25 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest for Bonds
428 958629 86RECL29 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest for Bonds
429 949342 955MML2063 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest
430 935786 957EHFL26 RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest
431 948975 STFC130313B RD 22/02/2021 18/02/2021 224/2020-2021 Payment of Interest
432 958627 845PFCL22 RD 23/02/2021 22/02/2021 226/2020-2021 Payment of Interest for Bonds
433 957434 8ABHFL22 RD 23/02/2021 22/02/2021 226/2020-2021 Payment of Interest
434 950468 900PFC28 RD 23/02/2021 22/02/2021 226/2020-2021 Payment of Interest for Bonds
435 959267 947STFCL21 RD 23/02/2021 22/02/2021 226/2020-2021 Redemption of NCD
436 719951 APSEZL1221 RD 23/02/2021 22/02/2021 226/2020-2021 Redemption of CP
437 719775 BHEL261120 RD 23/02/2021 22/02/2021 226/2020-2021 Redemption of CP
438 718527 HDFCL040320 RD 23/02/2021 22/02/2021 226/2020-2021 Redemption of CP
Page 32
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439 719782 IIFLWM2611 RD 23/02/2021 22/02/2021 226/2020-2021 Redemption of CP
440 719784 KMI26112020 RD 23/02/2021 22/02/2021 226/2020-2021 Redemption of CP
441 958299 MOHF28SEP18 RD 23/02/2021 22/02/2021 226/2020-2021 Payment of Interest
442 719768 SCIL251120 RD 23/02/2021 22/02/2021 226/2020-2021 Redemption of CP
443 719785 VFPL271120 RD 23/02/2021 22/02/2021 226/2020-2021 Redemption of CP
444 958743 1250SPTL22 RD 24/02/2021 23/02/2021 227/2020-2021 Payment of Interest
445 957465 773PFC21 RD 24/02/2021 23/02/2021 227/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
446 950868 927IDBI24 RD 24/02/2021 23/02/2021 227/2020-2021 Payment of Interest for Bonds
447 957711 94FEL23 RD 24/02/2021 23/02/2021 227/2020-2021 Payment of Interest
448 957712 95FEL25 RD 24/02/2021 23/02/2021 227/2020-2021 Payment of Interest
449 957713 95FEL25A RD 24/02/2021 23/02/2021 227/2020-2021 Payment of Interest
450 719795 ABFRL2711 RD 24/02/2021 23/02/2021 227/2020-2021 Redemption of CP
451 719797 AFL271120 RD 24/02/2021 23/02/2021 227/2020-2021 Redemption of CP
452 719974 APSEZ241220 RD 24/02/2021 23/02/2021 227/2020-2021 Redemption of CP
453 719801 DCL271120 RD 24/02/2021 23/02/2021 227/2020-2021 Redemption of CP
454 719837 RIL41220 RD 24/02/2021 23/02/2021 227/2020-2021 Redemption of CP
455 958319 10MOHFL24 RD 25/02/2021 24/02/2021 228/2020-2021 Payment of Interest
456 719989 APSEZ281220 RD 25/02/2021 24/02/2021 228/2020-2021 Redemption of CP
457 720037 ATL080121 RD 25/02/2021 24/02/2021 228/2020-2021 Redemption of CP
458 719804 DCL27112020 RD 25/02/2021 24/02/2021 228/2020-2021 Redemption of CP
459 948002 IDBI13MAR12 RD 25/02/2021 24/02/2021 228/2020-2021 Payment of Interest for Bonds
460 719798 JBCPL271120 RD 25/02/2021 24/02/2021 228/2020-2021 Redemption of CP
461 719986 KMIL281220 RD 25/02/2021 24/02/2021 228/2020-2021 Redemption of CP
462 719362 RIL9920 RD 25/02/2021 24/02/2021 228/2020-2021 Redemption of CP
463 954988 102RBL23 RD 27/02/2021 25/02/2021 229/2020-2021 Payment of Interest
464 960318 10CFSL22B RD 26/02/2021 25/02/2021 229/2020-2021 Payment of Interest
465 958956 115VCPL21 RD 27/02/2021 25/02/2021 229/2020-2021 Payment of Interest
466 949488 11JKCL2023 RD 26/02/2021 25/02/2021 229/2020-2021 Payment of Interest
467 956677 129ISFCPL22 RD 28/02/2021 25/02/2021 229/2020-2021 Payment of Interest
468 959470 695RIL23A RD 28/02/2021 25/02/2021 229/2020-2021 Payment of Interest
469 959353 77BHFL35 RD 26/02/2021 25/02/2021 229/2020-2021 Payment of Interest
470 955880 879AUSFL21 RD 26/02/2021 25/02/2021 229/2020-2021 Redemption of NCD
471 936228 893STFCL23 RD 26/02/2021 25/02/2021 229/2020-2021 Payment of Interest
472 950461 895PFC25 RD 26/02/2021 25/02/2021 229/2020-2021 Payment of Interest for Bonds
473 959273 897STF21 RD 28/02/2021 25/02/2021 229/2020-2021 Redemption of NCD
474 936230 903STFCL28 RD 26/02/2021 25/02/2021 229/2020-2021 Payment of Interest
475 950020 973LTINF24D RD 27/02/2021 25/02/2021 229/2020-2021 Payment of Interest
476 952815 1380ESFBL22 RD 01/03/2021 26/02/2021 230/2020-2021 Payment of Interest
477 957470 770RECL21 RD 01/03/2021 26/02/2021 230/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
478 957733 775PFC21 RD 01/03/2021 26/02/2021 230/2020-2021 Payment of Interest for Bonds
479 958639 835RECL22 RD 01/03/2021 26/02/2021 230/2020-2021 Payment of Interest for Bonds
480 972727 IDBI15MAR12 RD 01/03/2021 26/02/2021 230/2020-2021 Payment of Interest for Bonds
481 718516 RIL030320A RD 01/03/2021 26/02/2021 230/2020-2021 Redemption of CP
482 961704 SBIBIVNR RD 01/03/2021 26/02/2021 230/2020-2021 Payment of Interest for Bonds
Temporary Suspension
483 961703 SBIBIVR RD 01/03/2021 26/02/2021 230/2020-2021 Payment of Interest for Bonds
Temporary Suspension
484 950067 105STFC21C RD 02/03/2021 01/03/2021 231/2020-2021 Redemption of NCD
485 949055 1065STFC23E RD 02/03/2021 01/03/2021 231/2020-2021 Payment of Interest
486 949056 1065STFC23F RD 02/03/2021 01/03/2021 231/2020-2021 Payment of Interest
487 950065 106STFC24A RD 02/03/2021 01/03/2021 231/2020-2021 Payment of Interest
488 950066 106STFC24B RD 02/03/2021 01/03/2021 231/2020-2021 Payment of Interest
Page 33
bu270121.txt
489 959365 765SPTL23 RD 02/03/2021 01/03/2021 231/2020-2021 Payment of Interest
490 958650 858HDFCL22 RD 02/03/2021 01/03/2021 231/2020-2021 Payment of Interest
491 950450 890PFC23 RD 02/03/2021 01/03/2021 231/2020-2021 Payment of Interest for Bonds
492 950469 890PFC28 RD 02/03/2021 01/03/2021 231/2020-2021 Payment of Interest for Bonds
493 956720 920ICICIPER RD 02/03/2021 01/03/2021 231/2020-2021 Payment of Interest for Bonds
494 972571 IDBI08JUL10 RD 02/03/2021 01/03/2021 231/2020-2021 Payment of Interest for Bonds
495 956928 11.3448SS23 RD 03/03/2021 02/03/2021 232/2020-2021 Payment of Interest
496 958663 818PFC22 RD 03/03/2021 02/03/2021 232/2020-2021 Payment of Interest for Bonds
497 951853 839PFC25 RD 03/03/2021 02/03/2021 232/2020-2021 Payment of Interest for Bonds
498 953664 925STFCL21 RD 03/03/2021 02/03/2021 232/2020-2021 Redemption of NCD
499 953685 930STFCL26 RD 03/03/2021 02/03/2021 232/2020-2021 Payment of Interest
500 719298 RRVL28820 RD 03/03/2021 02/03/2021 232/2020-2021 Redemption of CP
501 955957 960FEL22A RD 04/03/2021 03/03/2021 233/2020-2021 Payment of Interest
502 955958 960FEL23A RD 04/03/2021 03/03/2021 233/2020-2021 Payment of Interest
503 718935 RIL15620 RD 04/03/2021 03/03/2021 233/2020-2021 Redemption of CP
504 960078 10CFSL22A RD 06/03/2021 04/03/2021 234/2020-2021 Payment of Interest
505 955986 775PFC27 RD 06/03/2021 04/03/2021 234/2020-2021 Payment of Interest for Bonds
506 957719 822IHFCL21 RD 05/03/2021 04/03/2021 234/2020-2021 Payment of Interest for Bonds
507 958739 825IHFCL21 RD 07/03/2021 04/03/2021 234/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
508 957760 872STFCL23 RD 07/03/2021 04/03/2021 234/2020-2021 Payment of Interest
509 957423 895ABHFL21 RD 05/03/2021 04/03/2021 234/2020-2021 Payment of Interest
Redemption of NCD
510 957422 895ABHFL26 RD 05/03/2021 04/03/2021 234/2020-2021 Payment of Interest
511 957435 8ABHFL22A RD 05/03/2021 04/03/2021 234/2020-2021 Payment of Interest
512 959387 915AHFL23 RD 05/03/2021 04/03/2021 234/2020-2021 Payment of Interest
513 953622 940AHFL21 RD 05/03/2021 04/03/2021 234/2020-2021 Payment of Interest
Redemption of NCD
514 953621 955AHFL26B RD 05/03/2021 04/03/2021 234/2020-2021 Payment of Interest
515 718663 MML150420 RD 05/03/2021 04/03/2021 234/2020-2021 Redemption of CP
516 719292 RRVL2720 RD 05/03/2021 04/03/2021 234/2020-2021 Redemption of CP
517 959490 66RECL22 RD 08/03/2021 05/03/2021 235/2020-2021 Payment of Interest for Bonds
518 957788 809RECL28 RD 08/03/2021 05/03/2021 235/2020-2021 Payment of Interest for Bonds
519 958386 845RECL22 RD 08/03/2021 05/03/2021 235/2020-2021 Payment of Interest for Bonds
520 958656 945SBIPER RD 08/03/2021 05/03/2021 235/2020-2021 Payment of Interest for Bonds
521 951931 980AHFL25 RD 08/03/2021 05/03/2021 235/2020-2021 Payment of Interest
522 957770 9STFCL28 RD 08/03/2021 05/03/2021 235/2020-2021 Payment of Interest
523 958095 10577USF25 RD 09/03/2021 08/03/2021 236/2020-2021 Payment of Interest
524 958226 10577USFB25 RD 09/03/2021 08/03/2021 236/2020-2021 Payment of Interest
525 950471 894PFC28 RD 09/03/2021 08/03/2021 236/2020-2021 Payment of Interest for Bonds
526 958664 91PFC29 RD 09/03/2021 08/03/2021 236/2020-2021 Payment of Interest for Bonds
527 958666 925PFC24 RD 09/03/2021 08/03/2021 236/2020-2021 Payment of Interest for Bonds
528 936878 93SCUF22 RD 09/03/2021 08/03/2021 236/2020-2021 Payment of Interest
529 936884 945SCUF24 RD 09/03/2021 08/03/2021 236/2020-2021 Payment of Interest
530 718559 RIL1132020 RD 09/03/2021 08/03/2021 236/2020-2021 Redemption of CP
531 960115 1067SMPL22 RD 10/03/2021 09/03/2021 237/2020-2021 Payment of Interest
532 960093 1172SIFS23 RD 10/03/2021 09/03/2021 237/2020-2021 Payment of Interest
533 959702 1275SFIS23 RD 10/03/2021 09/03/2021 237/2020-2021 Payment of Interest
534 957789 1312HFPL21 RD 11/03/2021 09/03/2021 237/2020-2021 Payment of Interest
Redemption of NCD
535 959304 69423BHFL22 RD 10/03/2021 09/03/2021 237/2020-2021 Payment of Interest
536 956054 784TML21 RD 10/03/2021 09/03/2021 237/2020-2021 Payment of Interest
537 957799 801RECL28 RD 11/03/2021 09/03/2021 237/2020-2021 Payment of Interest for Bonds
538 959386 825RECL30 RD 11/03/2021 09/03/2021 237/2020-2021 Payment of Interest for Bonds
Page 34
bu270121.txt
539 958661 83RECL29 RD 10/03/2021 09/03/2021 237/2020-2021 Payment of Interest for Bonds
540 958674 855HDFC29 RD 11/03/2021 09/03/2021 237/2020-2021 Payment of Interest
541 957761 872STFCL25 RD 11/03/2021 09/03/2021 237/2020-2021 Payment of Interest
542 957838 89AHFL21 RD 11/03/2021 09/03/2021 237/2020-2021 Payment of Interest
Redemption of NCD
543 957859 910HLFL21 RD 11/03/2021 09/03/2021 237/2020-2021 Payment of Interest
Redemption of NCD
544 959399 915STFCL22 RD 11/03/2021 09/03/2021 237/2020-2021 Payment of Interest
545 956012 96FEL22 RD 11/03/2021 09/03/2021 237/2020-2021 Payment of Interest
546 956013 96FEL23 RD 11/03/2021 09/03/2021 237/2020-2021 Payment of Interest
547 957855 1015HLFL25 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
548 958091 1015NACL21 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
549 958092 1015NACL21A RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
550 958093 1015NACL21B RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
551 958413 1025STFCL24 RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
552 958511 1025STFL24 RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
553 958744 116HLFL24 RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
554 960133 1275SSF22 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
Redemption(Part) of NCD
555 950104 12HLFL2021A RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
Redemption of NCD
556 959703 13SFIS23 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
557 952812 1405ESFBL22 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
558 951930 1495ESF21 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
559 951924 16ESFBL21 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
560 958889 2EARC29 RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
561 956041 2EARCL27 RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
562 956100 2EARCL27A RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
563 956233 2EARCL27B RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
564 956235 2EARCL27C RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
565 957179 2EARCL27F RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
566 958306 2EARCL28 RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
567 958538 2EARCL29 RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
568 961772 688PFC2023 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest for Bonds
569 961773 704PFC2028 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest for Bonds
570 950493 843PFC22 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest for Bonds
571 950498 872PFC22 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest for Bonds
572 957781 872STFCL23A RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
573 957833 895STFCL25 RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
574 953746 925STFCL21A RD 14/03/2021 10/03/2021 238/2020-2021 Redemption of NCD
575 936598 926SCUF22 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
576 953711 930STFCL26A RD 14/03/2021 10/03/2021 238/2020-2021 Payment of Interest
577 936604 935SCUF24 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
578 953717 950AHFL21 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
Redemption of NCD
579 959680 95ACPL23 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
580 957856 95HLFL23 RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
581 951932 980AHFL22 RD 12/03/2021 10/03/2021 238/2020-2021 Payment of Interest
582 957835 9STFCL28A RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
583 947218 JK28MAR11 RD 13/03/2021 10/03/2021 238/2020-2021 Payment of Interest
Redemption of NCD
584 720005 MOFSL311220 RD 12/03/2021 10/03/2021 238/2020-2021 Redemption of CP
585 718711 RIL24420 RD 12/03/2021 10/03/2021 238/2020-2021 Redemption of CP
586 719293 RRVL2708 RD 12/03/2021 10/03/2021 238/2020-2021 Redemption of CP
Page 35
bu270121.txt
587 947432 STFC31MAR11 RD 14/03/2021 10/03/2021 238/2020-2021 Redemption of NCD
588 954952 1025RBL22 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest
589 960111 1045NACL24 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest
590 958836 1130NARC21 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest
591 960396 1150CML22 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest
592 955541 12USFBL22 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest
593 955902 795REC27 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest for Bonds
594 957801 806RECL28 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest for Bonds
595 956101 815STFCL22 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest
596 958687 825KMBL26 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest for Bonds
597 951869 841PFC25 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest for Bonds
598 958278 87RECL28 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest for Bonds
599 958675 897REC29 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest for Bonds
600 958696 898PFCL29 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest for Bonds
601 958505 951SVHPL29 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest
Redemption(Part) of NCD
602 958506 951SVHPL29A RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest
Redemption(Part) of NCD
603 961709 IDFCFBLD1G RD 15/03/2021 12/03/2021 239/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
604 961710 IDFCFBLD1H RD 15/03/2021 12/03/2021 239/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
605 961711 PFCBS1 RD 15/03/2021 12/03/2021 239/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
606 961712 PFCBS2 RD 15/03/2021 12/03/2021 239/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
607 961713 PFCBS3 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest for Bonds
608 972728 YES28MAR12 RD 15/03/2021 12/03/2021 239/2020-2021 Payment of Interest for Bonds
609 959089 115EARCL23 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
610 959154 712RECL23 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest for Bonds
611 959397 72RECL30 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest for Bonds
612 956519 785BDTCL21 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
Redemption of NCD
613 956520 785BDTCL21A RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
614 956521 785BDTCL22 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
615 959155 789RECL30 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest for Bonds
616 959213 7RECL280120 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest for Bonds
617 956103 815STFCL22B RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
618 953197 840SBH25 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest for Bonds
619 954795 845ICICI25 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest for Bonds
620 953449 845SBH26 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest for Bonds
621 937061 852STFCL23 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
622 958219 860IGT28 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
623 937063 866STFCL25 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
624 937065 875STFCL27 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
625 958827 910IGT22 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
626 936780 912STF23 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
627 936452 912STFCL24 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
628 936782 922STF24 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
629 954455 930MOHFL23 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
630 936784 931STF26 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
631 936454 93STFCL29 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
632 953764 955AHFL26C RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
633 935136 971STFC21 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
Page 36
bu270121.txt
634 959592 988AFL23 RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest
635 953688 9YESBANK RD 16/03/2021 15/03/2021 240/2020-2021 Payment of Interest for Bonds
636 936324 912STFCL23 RD 17/03/2021 16/03/2021 241/2020-2021 Payment of Interest
637 936326 930STFCL28 RD 17/03/2021 16/03/2021 241/2020-2021 Payment of Interest
638 719940 MOFL181220 RD 17/03/2021 16/03/2021 241/2020-2021 Redemption of CP
639 958224 1025MOHFL23 RD 18/03/2021 17/03/2021 242/2020-2021 Payment of Interest
640 957790 785PFCL28 RD 18/03/2021 17/03/2021 242/2020-2021 Payment of Interest for Bonds
641 719352 MOFSL08920 RD 18/03/2021 17/03/2021 242/2020-2021 Redemption of CP
642 935980 1025KFL22 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
643 936308 1025KFL25 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
644 936620 1025KFL26 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
645 936776 1025KFL26A RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
646 936991 1025KFL26B RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
647 937205 1025KFL27 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
648 937287 1025KFL27A RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
649 936448 1025KFSRVII RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
650 936300 10KFL21 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
651 936034 10KFL22 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
652 936080 10KFL22A RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
653 936768 10KFL22AA RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
654 936612 10KFL22B RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
655 936983 10KFL22C RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
656 936166 10KFL23 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
657 937197 10KFL23A RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
658 936618 10KFL24 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
659 936774 10KFL24A RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
660 937281 10KFL24B RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
661 936096 10KFL25 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
662 936440 10KFLSRIII RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
663 936446 10KFLSRVI RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
664 935774 1115KFL22 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
665 935562 1150KFL22G RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
666 935656 115KFL22 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
667 935884 11KFL23 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
668 959644 125USFB27 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
669 957466 773PFC21A RD 20/03/2021 18/03/2021 243/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
670 957437 8ABHFL22B RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
671 956142 914AUSFL21 RD 19/03/2021 18/03/2021 243/2020-2021 Redemption of NCD
672 937277 95KFL20 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
673 936160 95KFL21A RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
674 936610 975KFL21 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
675 936766 975KFL21A RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
676 936981 975KFL21B RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
677 937195 975KFL22 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest
678 972642 IDBI25MAR11 RD 19/03/2021 18/03/2021 243/2020-2021 Payment of Interest for Bonds
Temporary Suspension
679 719107 SCARDS237 RD 19/03/2021 18/03/2021 243/2020-2021 Redemption of CP
680 959366 VCPL030323 RD 21/03/2021 18/03/2021 243/2020-2021 Payment of Interest
681 959016 1160NACL23 RD 22/03/2021 19/03/2021 244/2020-2021 Payment of Interest
682 958299 MOHF28SEP18 RD 23/03/2021 22/03/2021 245/2020-2021 Payment of Interest
683 958864 11955NACL21 RD 24/03/2021 23/03/2021 246/2020-2021 Payment of Interest
684 958173 965GIWEL23 RD 24/03/2021 23/03/2021 246/2020-2021 Payment of Interest
685 719933 VSSL181220 RD 24/03/2021 23/03/2021 246/2020-2021 Redemption of CP
Page 37
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686 952820 1225AUSFL21 RD 25/03/2021 24/03/2021 247/2020-2021 Redemption of NCD
687 959445 665MML23 RD 25/03/2021 24/03/2021 247/2020-2021 Payment of Interest
688 951935 845KMBL22 RD 25/03/2021 24/03/2021 247/2020-2021 Payment of Interest for Bonds
689 719171 SCARDS6820 RD 25/03/2021 24/03/2021 247/2020-2021 Redemption of CP
690 959746 104NACL23 RD 29/03/2021 25/03/2021 248/2020-2021 Payment of Interest
Redemption(Part) of NCD
691 958319 10MOHFL24 RD 28/03/2021 25/03/2021 248/2020-2021 Payment of Interest
692 958743 1250SPTL22 RD 26/03/2021 25/03/2021 248/2020-2021 Payment of Interest
693 936228 893STFCL23 RD 28/03/2021 25/03/2021 248/2020-2021 Payment of Interest
694 936230 903STFCL28 RD 28/03/2021 25/03/2021 248/2020-2021 Payment of Interest
695 720078 VSSL190121 RD 26/03/2021 25/03/2021 248/2020-2021 Redemption of CP
696 720016 VTL5121 RD 26/03/2021 25/03/2021 248/2020-2021 Redemption of CP
697 958956 115VCPL21 RD 30/03/2021 26/03/2021 249/2020-2021 Payment of Interest
698 957733 775PFC21 RD 30/03/2021 26/03/2021 249/2020-2021 Redemption of Bonds
Payment of Interest for Bonds
699 950451 926PFC23 RD 30/03/2021 26/03/2021 249/2020-2021 Payment of Interest for Bonds
700 950442 948PFC22 RD 30/03/2021 26/03/2021 249/2020-2021 Payment of Interest for Bonds
701 959446 678MML23 RD 31/03/2021 30/03/2021 001/2021-2022 Payment of Interest
702 959420 8ABHFL23 RD 01/04/2021 30/03/2021 001/2021-2022 Payment of Interest
703 957424 875ABHFL21 RD 05/04/2021 31/03/2021 002/2021-2022 Payment of Interest
Redemption of NCD
704 959204 11955NACL22 RD 07/04/2021 06/04/2021 005/2021-2022 Payment of Interest
705 959837 111SMPL22 RD 09/04/2021 08/04/2021 007/2021-2022 Payment of Interest
706 936878 93SCUF22 RD 09/04/2021 08/04/2021 007/2021-2022 Payment of Interest
707 936884 945SCUF24 RD 09/04/2021 08/04/2021 007/2021-2022 Payment of Interest
708 720061 VSSL140121 RD 09/04/2021 08/04/2021 007/2021-2022 Redemption of CP
709 958091 1015NACL21 RD 13/04/2021 09/04/2021 008/2021-2022 Payment of Interest
710 958092 1015NACL21A RD 13/04/2021 09/04/2021 008/2021-2022 Payment of Interest
711 958093 1015NACL21B RD 13/04/2021 09/04/2021 008/2021-2022 Payment of Interest
712 936598 926SCUF22 RD 13/04/2021 09/04/2021 008/2021-2022 Payment of Interest
713 936604 935SCUF24 RD 13/04/2021 09/04/2021 008/2021-2022 Payment of Interest
714 951930 1495ESF21 RD 15/04/2021 12/04/2021 009/2021-2022 Redemption of NCD
715 951924 16ESFBL21 RD 15/04/2021 12/04/2021 009/2021-2022 Redemption of NCD
716 937061 852STFCL23 RD 15/04/2021 12/04/2021 009/2021-2022 Payment of Interest
717 937063 866STFCL25 RD 15/04/2021 12/04/2021 009/2021-2022 Payment of Interest
718 937065 875STFCL27 RD 15/04/2021 12/04/2021 009/2021-2022 Payment of Interest
719 936780 912STF23 RD 15/04/2021 12/04/2021 009/2021-2022 Payment of Interest
720 936452 912STFCL24 RD 15/04/2021 12/04/2021 009/2021-2022 Payment of Interest
721 936782 922STF24 RD 15/04/2021 12/04/2021 009/2021-2022 Payment of Interest
722 936784 931STF26 RD 15/04/2021 12/04/2021 009/2021-2022 Payment of Interest
723 936454 93STFCL29 RD 15/04/2021 12/04/2021 009/2021-2022 Payment of Interest
724 958505 951SVHPL29 RD 15/04/2021 12/04/2021 009/2021-2022 Payment of Interest
Redemption(Part) of NCD
725 958506 951SVHPL29A RD 15/04/2021 12/04/2021 009/2021-2022 Payment of Interest
Redemption(Part) of NCD
726 935136 971STFC21 RD 15/04/2021 12/04/2021 009/2021-2022 Payment of Interest
727 936324 912STFCL23 RD 16/04/2021 15/04/2021 011/2021-2022 Payment of Interest
728 954455 930MOHFL23 RD 16/04/2021 15/04/2021 011/2021-2022 Payment of Interest
729 936326 930STFCL28 RD 16/04/2021 15/04/2021 011/2021-2022 Payment of Interest
730 959366 VCPL030323 RD 18/04/2021 15/04/2021 011/2021-2022 Payment of Interest
731 958224 1025MOHFL23 RD 19/04/2021 16/04/2021 012/2021-2022 Payment of Interest
732 935980 1025KFL22 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
733 936308 1025KFL25 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
734 936620 1025KFL26 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
Page 38
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735 936776 1025KFL26A RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
736 936991 1025KFL26B RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
737 937205 1025KFL27 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
738 937287 1025KFL27A RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
739 936448 1025KFSRVII RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
740 936300 10KFL21 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
741 936034 10KFL22 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
742 936080 10KFL22A RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
743 936768 10KFL22AA RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
744 936612 10KFL22B RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
745 936983 10KFL22C RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
746 936166 10KFL23 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
747 937197 10KFL23A RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
748 936618 10KFL24 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
749 936774 10KFL24A RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
750 937281 10KFL24B RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
751 936096 10KFL25 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
752 936440 10KFLSRIII RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
753 936446 10KFLSRVI RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
754 935774 1115KFL22 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
755 935562 1150KFL22G RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
756 935656 115KFL22 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
757 959016 1160NACL23 RD 21/04/2021 19/04/2021 013/2021-2022 Payment of Interest
758 935884 11KFL23 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
759 937277 95KFL20 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
760 936610 975KFL21 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
761 936766 975KFL21A RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
762 936981 975KFL21B RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
763 937195 975KFL22 RD 20/04/2021 19/04/2021 013/2021-2022 Payment of Interest
764 958299 MOHF28SEP18 RD 22/04/2021 20/04/2021 014/2021-2022 Payment of Interest
765 958743 1250SPTL22 RD 27/04/2021 26/04/2021 017/2021-2022 Payment of Interest
----------------------------------------------------------------------------------------------------
---------------------------------------------------------------------------------------------------------------------------------
SLB SHUTDOWN PERIOD FOR SECURITIES Page No: 14
---------------------------------------------------------------------------------------------------------------------------------
SLB SHUTDOWN PERIOD FOR SECURITIES SETT.NO 208/2020-2021 (P.E. 28/01/2021)
---------------------------------------------------------------------------------------------------------------------------------
Shut Down Period
Code No. Company Name B.C./R.D. Start End
---------------------------------------------------------------------------------------------------------------------------------
339523 Alkem Laboratories Limited 13/02/2021 RD 28/01/2021 12/02/2021
323367 DCM Shriram Limited 28/01/2021 RD 12/01/2021 28/01/2021
331162 Emami Ltd 05/02/2021 RD 19/01/2021 05/02/2021
300086 Exide Industries Ltd., 06/02/2021 RD 18/01/2021 05/02/2021
332155 Gail (India) Ltd. 28/01/2021 RD 18/01/2021 28/01/2021
305255 GMM Pfaudler Ltd. 29/01/2021 RD 12/01/2021 29/01/2021
317354 Havells India Limited 29/01/2021 RD 12/01/2021 29/01/2021
332636 IIFL FINANCE LIMITED 06/02/2021 RD 22/01/2021 05/02/2021
340750 Indian Energy Exchange Limited 30/01/2021 RD 18/01/2021 29/01/2021
300233 Kajaria Ceramics Ltd 03/02/2021 RD 22/01/2021 03/02/2021
322287 Kalpataru Power Transmission Ltd. 12/02/2021 RD 28/01/2021 12/02/2021
332942 KNR Constructions Limited 04/02/2021 RD 27/01/2021 04/02/2021
332234 National Aluminium Co. Ltd., 08/02/2021 RD 28/01/2021 08/02/2021
340767 NIPPON LIFE INDIA ASSET MANAGEMENT LIMITED 08/02/2021 RD 28/01/2021 08/02/2021
Page 39
bu270121.txt
332555 NTPC Limited 12/02/2021 RD 28/01/2021 12/02/2021
333179 Persistent Systems Limited 10/02/2021 RD 21/01/2021 10/02/2021
306590 Phillips Carbon Black Ltd., 02/02/2021 RD 21/01/2021 02/02/2021
300550 Siemens Ltd., 29/01/2021 BC 19/01/2021 29/01/2021
303806 SRF Ltd., 01/02/2021 RD 12/01/2021 01/02/2021
300113 Steel Authority of India Ltd., 06/02/2021 RD 27/01/2021 05/02/2021
390071 SUNDARAM FINANCE LTD 03/02/2021 RD 21/01/2021 03/02/2021
317385 Symphony Limited 02/02/2021 RD 20/01/2021 02/02/2021
**300420 Torrent Pharmaceuticals Ltd. 16/02/2021 RD 28/01/2021 16/02/2021
332343 TVS Motor Company Ltd. 05/02/2021 RD 19/01/2021 05/02/2021
332156 Vaibhav Global Ltd 06/02/2021 RD 18/01/2021 05/02/2021
304067 Zensar Technologies Ltd. 01/02/2021 RD 12/01/2021 01/02/2021
---------------------------------------------------------------------------------------------------------------------------------
Total:26
---------------------------------------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------
Provisional SLB Scheme ShutDown Period
------------------------------------------------------------------------------------------

B.C./R.D. Shut Down Period


Scrip Code Company Name Date Flag Start End

339523 Alkem Laboratories L 13/02/2021 RD 28/01/2021 12/02/2021


343232 Computer Age Managem 19/02/2021 RD 01/02/2021 19/02/2021
322287 Kalpataru Power Tran 12/02/2021 RD 28/01/2021 12/02/2021
332234 National Aluminium C 08/02/2021 RD 28/01/2021 08/02/2021
340767 NIPPON LIFE INDIA AS 08/02/2021 RD 28/01/2021 08/02/2021
332555 NTPC Limited 12/02/2021 RD 28/01/2021 12/02/2021
332827 Page Industries Ltd. 19/02/2021 RD 01/02/2021 19/02/2021
333179 Persistent Systems L 10/02/2021 RD 21/01/2021 10/02/2021
300420 Torrent Pharmaceutic 16/02/2021 RD 28/01/2021 16/02/2021
------------------------------------------------------------------------------------------
Total No of Scrips:9
------------------------------------------------------------------------------------------

BSE CORPORATES ANNOUNCEMENTS


-----------------------------

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Scrip code : 523395 Name : 3M India Ltd.

Subject : Board Meeting Intimation for Board Meeting Intimation For Consideration And Approval Of Unaudited Financial Results (Standalone And Consolidated) Of The
Company For The Quarter And Nine Months Ended 31St December, 2020

3M INDIA LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 10/02/2021 ,inter
alia, to consider and approve Board Meeting Intimation for consideration and approval of Unaudited Financial Results
(Standalone and Consolidated) of the Company for the quarter and nine months ended 31st December, 2020

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Page 40
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Scrip code : 523204 Name : Aban Offshore Ltd.,

Subject : Board Meeting Intimation for BOARD MEETING FOR THE QUARTER ENDED 31ST DECEMBER 2020

ABAN OFFSHORE LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 08/02/2021
,inter alia, to consider and approve BOARD MEETING FOR THE QUARTER ENDED 31ST DECEMBER 2020

----------------------------------------------------------------------------------------------------

Scrip code : 517356 Name : ACI Infocom Ltd.

Subject : Board Meeting Intimation for To Approve The Un-Audited Financial Results Of The Company For The Third Quarter Ended On 31Th December, 2020.

ACI INFOCOM LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 08/02/2021 ,inter
alia, to consider and approve To approve the Un-audited Financial Results of the Company for the third quarter ended on 31th
December, 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 512599 Name : Adani Enterprises Ltd.

Subject : Board Meeting Intimation for Intimation Under SEBI (Listing Obligations And Disclosure Requirements) Regulations, 2015

ADANI ENTERPRISES LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 03/02/2021
,inter alia, to consider and approve Intimation under SEBI (Listing Obligations and Disclosure Requirements) Regulations,
2015

----------------------------------------------------------------------------------------------------

Scrip code : 532921 Name : Adani Ports and Special Economic Zone Ltd

Subject : Clarification sought from Adani Ports and Special Economic Zone Ltd

The Exchange has sought clarification from Adani Ports and Special Economic Zone Ltd with respect to news article appearing
on www.thehindubusinessline.com January 22, 2021 titled "Gujarat inks pact with Adani Ports for multi-modal logistics park".
The reply is awaited.

----------------------------------------------------------------------------------------------------

Scrip code : 532921 Name : Adani Ports and Special Economic Zone Ltd

Subject : Intimation Under SEBI (Listing Obligations And Disclosure Requirements) Regulations, 2015 ('SEBI Listing Regulations') - Outcome Of Finance Committee Meeting

Intimation under SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 ('SEBI Listing Regulations') -
Outcome of Finance Committee Meeting

----------------------------------------------------------------------------------------------------

Scrip code : 532921 Name : Adani Ports and Special Economic Zone Ltd

Subject : Intimation Under Regulation 30 Of The SEBI (Listing Obligations And Disclosure Requirements) Regulations, 2015, As Amended.

Intimation under Regulation 30 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, as amended.

Page 41
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Scrip code : 532921 Name : Adani Ports and Special Economic Zone Ltd

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Press release regarding 'Adani Ports and Special Economic Zone Limited Commences Cash Tender Offer for Any and All of its
US$500,000,000 3.95% Senior Notes due 2022'.

----------------------------------------------------------------------------------------------------

Scrip code : 532921 Name : Adani Ports and Special Economic Zone Ltd

Subject : Clarification/Confirmation On News Item Appearing In 'Media/Publication'

Clarification/Confirmation on news item appearing in 'Media/Publication'

----------------------------------------------------------------------------------------------------

Scrip code : 535755 Name : Aditya Birla Fashion and Retail Limited

Subject : Approval By The Board Of Directors Of Aditya Birla Fashion And Retail Limited To Acquire 51% In Sabyasachi Couture <BR>

Pursuant to the above referred, please note that the Board of Directors of the Company, at its meeting held today i.e. on
January 27, 2021, have approved entering into a Framework Agreement with 'M/s. Sabyasachi Couture', a partnership firm, which
is engaged in business of manufacturing, distribution and sale of designer apparels, jewellery and accessories under its own
brand 'Sabyasachi'.

----------------------------------------------------------------------------------------------------

Scrip code : 535755 Name : Aditya Birla Fashion and Retail Limited

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Pursuant to the above referred, please note that the Board of Directors of the Company, at its meeting held today i.e. on
January 27, 2021, have approved entering into a Framework Agreement with 'M/s. Sabyasachi Couture', a partnership firm, which
is engaged in business of manufacturing, distribution and sale of designer apparels, jewellery and accessories under its own
brand 'Sabyasachi'.

----------------------------------------------------------------------------------------------------

Scrip code : 540100 Name : Aditya Birla Sun Life Mutual Fund

Subject : Compliances-Reg. 90 (1) Declaration of NAV - Mutual Fund

NAV Upload

----------------------------------------------------------------------------------------------------

Scrip code : 523120 Name : Ador Multiproducts Ltd

Subject : Board Meeting Intimation for To Approve Un-Audited Financial Results For The Quarter Ended 31St December, 2020

ADOR MULTIPRODUCTS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021
Page 42
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,inter alia, to consider and approve To approve un-audited financial results for the quarter ended 31st December, 2020

----------------------------------------------------------------------------------------------------

Scrip code : 542752 Name : Affle (India) Limited

Subject : Board Meeting Intimation for Approval Of The Unaudited Standalone And Consolidated Financial Results Of The Company For The Third Quarter And Nine Months
Period Ended December 31, 2020.

Affle (India) Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 06/02/2021 ,inter
alia, to consider and approve the unaudited standalone and consolidated Financial Results of the Company for the third
quarter and nine months period ended December 31, 2020.

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Scrip code : 542752 Name : Affle (India) Limited

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Please find enclosed the copy of Press Release titled 'Affle announces the global launch of Appnext OOBE platform powered
by the acquisition of DiscoverTech.'

----------------------------------------------------------------------------------------------------

Scrip code : 539523 Name : Alkem Laboratories Limited

Subject : Corporate Action - Fixes Record Date For Interim Dividend

The record date for the purpose of payment of Interim Dividend for the Financial Year 2020-2021, would be Saturday, 13th
February, 2021, subject to declaration of the said Interim Dividend by the Board of Directors in its meeting to be held on
05th February, 2021. Kindly take note of the same.

----------------------------------------------------------------------------------------------------

Scrip code : 539523 Name : Alkem Laboratories Limited

Subject : Corporate Action-Board to consider Dividend

The record date for the purpose of payment of Interim Dividend for the Financial Year 2020-2021, would be Saturday, 13th
February, 2021, subject to declaration of the said Interim Dividend by the Board of Directors in its meeting to be held on
05th February, 2021. Kindly take note of the same.

----------------------------------------------------------------------------------------------------

Scrip code : 511153 Name : Anjani Foods Limited

Subject : Board Meeting Intimation for Prior Intimation Of Board Meeting Under Reg 30 Of SEBI (LODR), 2015

Anjani Foods Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 30/01/2021 ,inter
alia, to consider and approve A board meeting is scheduled to be held on 30.01.2021 (Saturday) to consider the appointment of
CFO of the company. Kindly take note of this.

----------------------------------------------------------------------------------------------------

Page 43
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Scrip code : 543254 Name : Antony Waste Handling Cell Limited

Subject : Intimation Under SEBI (Listing Obligations And Disclosure Requirements) Regulations, 2015

In accordance with SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 and Code of Practices and
Procedures for Fair Disclosure of Unpublished Price Sensitive Information in terms of Regulation 8 of SEBI (Prohibition of
Insider Trading) Regulations, 2015, please find enclosed herewith update on the business parameters of the Company for the
quarter ended December 31, 2020 i.e. Q3 FY21.

----------------------------------------------------------------------------------------------------

Scrip code : 517096 Name : Aplab Ltd.

Subject : Board Meeting Intimation for Rights Issue Of Equity Shares To Existing Shareholders.

APLAB LTD.-has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 02/02/2021 ,inter alia,
to consider and approve the issue of equity shares to existing shareholders on Rights Basis and other matters if any.

----------------------------------------------------------------------------------------------------

Scrip code : 523537 Name : APM Industries Ltd.,

Subject : Board Meeting Intimation for Unaudited Financial Results For The Quarter And Nine Months Ended December 31, 2020

APM INDUSTRIES LTD.-has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021
,inter alia, to consider and approve the Un-audited Financial Results of the Company for the quarter and nine months ended
December 31, 2020. This is for your information and records.

----------------------------------------------------------------------------------------------------

Scrip code : 500101 Name : Arvind Ltd.,

Subject : Board Meeting Intimation for Board Meeting Intimation For Approval And To Take On Record The Unaudited Standalone And Consolidated Financial Results.

ARVIND LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 04/02/2021 ,inter alia,
to consider and approve ARVIND LTD. has informed BSE that the meeting of the Board of Directors of the Company is scheduled
on 04/02/2021,inter alia, to consider and approve the Unaudited Standalone and Consolidated Financial Results of the Company
for the third quarter and nine months ended on 31st December, 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 540923 Name : Ashoka Metcast Limited

Subject : Board Meeting Intimation for Appointment Of Company Secretary And Compliance Officer Of The Company.

Ashoka Metcast Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 30/01/2021
,inter alia, to consider and approve appointment of Company Secretary and Compliance Officer of the Company.

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Scrip code : 532830 Name : Astral Poly Technik Ltd

Subject : Board Meeting Intimation for Notice Of Board Meeting.

Page 44
bu270121.txt
ASTRAL POLY TECHNIK LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 03/02/2021
,inter alia, to consider and approve 1. Approve the Unaudited Financial Results for the quarter and nine months ended
December 31, 2020. 2. Proposal for Issue of Bonus Equity shares.

----------------------------------------------------------------------------------------------------

Scrip code : 505010 Name : Automotive Axles Ltd.,

Subject : Board Meeting Intimation for Quarterly Unaudited Financial Statements

AUTOMOTIVE AXLES LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021
,inter alia, to consider and approve Quarterly unaudited financial statement

----------------------------------------------------------------------------------------------------

Scrip code : 500493 Name : Bharat Forge Ltd

Subject : Board Meeting Intimation for To Consider And Approve Unaudited Standalone & Consolidated Financial Results For The Quarter And Nine Months Ended On December
31, 2020

BHARAT FORGE LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 12/02/2021 ,inter
alia, to consider and approve To consider and approve unaudited Standalone & Consolidated Financial Results for the quarter
and nine months ended on December 31, 2020

----------------------------------------------------------------------------------------------------

Scrip code : 514272 Name : Bhilwara Spinners Ltd

Subject : Board Meeting Intimation for Convening Of Board Meeting For Considering Unaudited Financial Result For The Quarter And Nine Month Ended The 31St
December,2020.

BHILWARA SPINNERS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 12/02/2021
,inter alia, to consider and approve Convening of Board Meeting for considering UnAudited Financial Result for the quarter
and nine month ended the 31st December,2020.

----------------------------------------------------------------------------------------------------

Scrip code : 531671 Name : Bisil Plast Limited

Subject : Board Meeting Intimation for For Taking On Record Unaudited Financial Results <BR> For The Quarter Ended On 31St December, 2020<BR>

Bisil Plast Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021 ,inter
alia, to consider and approve the Unaudited Financial Results of the Company for the quarter ended on 31st December, 2020.

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Scrip code : 524370 Name : Bodal Chemicals Ltd

Subject : Announcement under Regulation 30 (LODR)-Demise

Bodal Chemicals Limited has informed the Exchange regarding Demise of Mr Ramprasad Srivastava, Independent Director of the
company.

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Page 45
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Scrip code : 534731 Name : Bronze Infra-Tech Limited

Subject : Announcement under Regulation 30 (LODR)-Resignation of Director

With reference to the captioned subject, following directors cease to be the directors of the company with effect from
18.12.2020 1. Mr. Krishnat Shripati Desai 2. Mr. Harshad Vijay Thorve The intimation regarding the same couldn't be
given due to inadvertent error on the part the company to file the resignation on time. Kindly take the same in your
records.

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Scrip code : 532321 Name : Cadila Healthcare Ltd.

Subject : Board Meeting Intimation for Unaudited Financial Results

CADILA HEALTHCARE LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021
,inter alia, to consider and approve Unaudited financial results for the quarter / nine months ended on December 31, 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 532834 Name : Camlin Fine Sciences Ltd

Subject : Announcement under Regulation 30 (LODR)-Allotment of ESOP / ESPS

Allotment of 12750 Shares - ESOP

----------------------------------------------------------------------------------------------------

Scrip code : 539304 Name : Canopy Finance Limited

Subject : Announcement under Regulation 30 (LODR)-Change in Directorate

Intimation of Change of Directors pursuant to Regulation 30 of the Securities and Exchange Board of India (Listing
Obligations and Disclosure Requirements) Regulations, 2015.

----------------------------------------------------------------------------------------------------

Scrip code : 500110 Name : Chennai Petroleum Corporation Ltd.

Subject : Board Meeting Intimation for Board Meeting To Consider And Approve Issue Of Non-Convertible Redeemable Debentures On Private Placement Basis

CHENNAI PETROLEUM CORPORATION LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
30/01/2021 ,inter alia, to consider and approve Please find attached a communication dated 27.01.2021 on the above subject.
For information and dissemination please.

----------------------------------------------------------------------------------------------------

Scrip code : 500087 Name : Cipla Ltd.,

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Cipla champions its commitment to carbon neutrality with its 30 MW solar plant in Maharashtra.

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Scrip code : 502445 Name : Citadel Realty And Developers Limited

Subject : Board Meeting Intimation for Board Meeting To Be Held On February 04, 2021 - Reg. 29 Of SEBI (LODR) Regulations, 2015.

CITADEL REALTY AND DEVELOPERS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
04/02/2021 ,inter alia, to consider and approve the Un-audited Financial Results for the third quarter and nine months ended
December 31, 2020, among other things.

----------------------------------------------------------------------------------------------------

Scrip code : 532210 Name : City Union Bank Ltd

Subject : Announcement under Regulation 30 (LODR)-Change in RTA

Our Bank has appointed M/s Integrated Registry Management Services Pvt Ltd in place of M/s Kfin Technologies Pvt ltd as its
RTA w.e.f 27-01-2021 as per approval of depositories CDSL on 22/01/2021 and NSDL on 25/01/2021

----------------------------------------------------------------------------------------------------

Scrip code : 513353 Name : Cochin Minerals & Rutile Ltd.,

Subject : Board Meeting Intimation for Unaudited Financial Results Of The Company For The Quarter Ended 31St December , 2020

COCHIN MINERALS & RUTILE LTD.-has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
03/02/2021 ,inter alia, to consider and approve Please be informed that the next meeting of the Board of Directors of the
Company which will interalia, consider the Unaudited Financial Results of the Company for the quarter ended 31st
December , 2020 will be held on 3rd February, 2021 at the Registered Office of the Company at Aluva.

----------------------------------------------------------------------------------------------------

Scrip code : 506395 Name : Coromandel International Limited

Subject : Board to consider Interim Dividend

With reference to the earlier letter dated January 13, 2021, intimating that a Board Meeting of the Company is scheduled to
be held on February 01, 2021, inter alia, to consider and approve the Un-audited Financial Results of the Company for the
quarter and nine months ended December 31, 2020.
In this regard, Coromandel International Ltd has now informed BSE that the
Board at the abovesaid meeting will also consider payment of Interim Dividend for the financial year 2020-21.

----------------------------------------------------------------------------------------------------

Scrip code : 501148 Name : Dalal Street Investments Ltd.,

Subject : Appointment Of Independent Directors - Disclosure Under Regulation 30 ( For The Said Appointment(S) )

Appointment of Independent Directors - disclosure under Regulation 30 ( for the said Appointment(s) ) - detailed letter is
attached

----------------------------------------------------------------------------------------------------

Scrip code : 521220 Name : Damodar Industries Limited


Page 47
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Subject : Board Meeting Intimation for Consideration And Approval Of Un-Audited Financial Results, Inter-Alia For The Quarter Ended 31St December, 2020

DAMODAR INDUSTRIES LTD.-has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 06/02/2021
,inter alia, to consider and approve the Un-audited Financial Results of the Company for the quarter and nine months ended
December 31, 2020 and also consider any other business with permission of the chair.

----------------------------------------------------------------------------------------------------

Scrip code : 532528 Name : Datamatics Global Services Limited

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Please find attached herewith press release titled "Datamatics simplifies document processing with a new AI-enabled TruCap +
IDP solution' for your information and record

----------------------------------------------------------------------------------------------------

Scrip code : 500117 Name : DCW Ltd.,

Subject : Notice Of Extraordinary General Meeting

Notice of Extraordinary General Meeting

----------------------------------------------------------------------------------------------------

Scrip code : 590031 Name : De Nora India Limited

Subject : Board Meeting Intimation for Considering And Taking On Record The Unaudited Financial Results Of The Company For The Quarter And Nine Months Ended December 31,
2020.

DE NORA INDIA LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021
,inter alia, to consider and approve Unaudited Financial Results of the Company for the quarter and nine months ended
December 31, 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 539596 Name : Delta Industrial Resources Limited

Subject : Board Meeting Intimation for Unaudited Financial Result For Quarter Ended 31St Dec2020

Delta Industrial Resources Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on
03/02/2021 ,inter alia, to consider and approve Unaudited financial result for the quarter ended 31st Dec 2020

----------------------------------------------------------------------------------------------------

Scrip code : 519588 Name : DFM Foods Ltd.

Subject : Board Meeting Intimation for Board Meeting Scheduled On 5Th Feb, 2021 To Consider And Approve The UFR For The Quarter/Nine Months Ended 31St
December,2020<BR>

DFM FOODS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021 ,inter
alia, to consider and approve Board Meeting scheduled on 5th Feb, 2021 to consider and approve the UFR for the quarter/nine
months ended 31st December,2020
Page 48
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----------------------------------------------------------------------------------------------------

Scrip code : 540151 Name : Diksat Transworld Limited

Subject : Proceedings Of The Board Meeting Held On 25Th January 2021

Dear sir/Madam Please find attached the proceedings of the board meeting held today 25th January 2021 for convening of the
Extra ordinary General meeting. The letter signed by the Managing Director is attached for your information and records
Regards Muthukumar.B

----------------------------------------------------------------------------------------------------

Scrip code : 540699 Name : Dixon Technologies (India) Limited

Subject : Dixon'S Wholly Owned Subsidiary - Padget Electronics To Commence Manufacturing Of Nokia Smartphones As HMD Global'S Manufacturing Partners

Pursuant to Regulation 30 read with Schedule III of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015,
we wish to inform you that the Company's Wholly Owned Subsidiary- Padget Electronics Private Limited has entered into an
agreement with HMD India for Manufacturing of Nokia Smart Phones. The said manufacturing will take place from Padget's
manufacturing facility located at Noida, Uttar Pradesh. In this regard, please find enclosed herewith detailed announcement.

----------------------------------------------------------------------------------------------------

Scrip code : 500124 Name : Dr. Reddy's Laboratories Ltd.,

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Dr. Reddy's and GRA announces Avigan Pivotal Studies Update

----------------------------------------------------------------------------------------------------

Scrip code : 542908 Name : Edelweiss Mutual Fund

Subject : Compliances-Reg. 90 (1) Declaration of NAV - Mutual Fund

NAV as on 25.01.2021

----------------------------------------------------------------------------------------------------

Scrip code : 539844 Name : Equitas Holdings Limited

Subject : Board Meeting Intimation for Unaudited Standalone And Consolidated Financial Results For The Quarter And Nine Months December 31, 2020.

Equitas Holdings Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021
,inter alia, to consider and approve unaudited standalone and consolidated financial results of the Company for the quarter
and nine months December 31, 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 531259 Name : Esha Media Research Limited

Subject : Announcement under Regulation 30 (LODR)-Appointment of Statutory Auditor/s


Page 49
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Intimation of Appointment of Statutory Auditor of the company w.e.f 31st Dec., 2020

----------------------------------------------------------------------------------------------------

Scrip code : 540064 Name : Future Retail Ltd.

Subject : Petition Before Delhi High Court By Amazon.Com NV Investment Holdings LLC ('Amazon')

Petition before Delhi High Court by Amazon.com NV Investment Holdings LLC ('Amazon')

----------------------------------------------------------------------------------------------------

Scrip code : 958809 Name : Future Retail Ltd.

Subject : Petition Before Delhi High Court By Amazon.Com NV Investment Holdings LLC ('Amazon')

Petition before Delhi High Court by Amazon.com NV Investment Holdings LLC ('Amazon')

----------------------------------------------------------------------------------------------------

Scrip code : 532155 Name : Gail (India) Ltd.

Subject : DRAFT LETTER OF OFFER

DRAFT LETTER OF OFFER

----------------------------------------------------------------------------------------------------

Scrip code : 532285 Name : Geojit Financial Services Limited

Subject : Corporate Action-Updates on Amalgamation/ Merger / Demerger

Advertisement in relation to Notice to Shareholders of the Company in pursuance of sub-section(5) of Section 230 of the
Companies Act, 2013

----------------------------------------------------------------------------------------------------

Scrip code : 530263 Name : Global Capital Markets Ltd.

Subject : Board Meeting Intimation for Change Among KMP

GLOBAL CAPITAL MARKETS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
01/02/2021 ,inter alia, to consider and approve the resignation of Mr. Sanjay Mishra, CFO and to appoint new CFO in his
place.

----------------------------------------------------------------------------------------------------

Scrip code : 501848 Name : Global Offshore Services Ltd

Subject : Scrutinizer Report For Postal Ballot

We are enclosing herewith the Report of the Scrutinizer for the Postal Ballot conducted vide Notice dated 16.12.2020,
received from Mr. Taher Sapatwala, Practicing Company Secretary, the contents of which are self explanatory.
Page 50
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----------------------------------------------------------------------------------------------------

Scrip code : 532754 Name : GMR Infrastructure Limited

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

GMR Infrastructure Limited has informed the Exchange regarding a press release dated January 27, 2021, titled "OFFERING OF
US$ 300 MILLION 4.75% SENIOR SECURED NOTES OF 5 YEAR TENURE BY GMR HYDERABAD INTERNATIONAL AIRPORT LIMITED

----------------------------------------------------------------------------------------------------

Scrip code : 509567 Name : Goa Carbon Ltd.,

Subject : Announcement Under Regulation 30 Of SEBI LODR - Updates (Temporary Shutdown Of Goa Plant For Maintenance Work)

Goa Carbon Limited has informed the Exchange regarding the temporary shutdown of its Goa Plant from 26.01.2021 for
maintenance work.

----------------------------------------------------------------------------------------------------

Scrip code : 533761 Name : GPT Infraprojects limited

Subject : Board Meeting Intimation for Consideration And Approval Of Q3FY21 Unaudited Financial Results And Declaration Of Interim Dividend, If Any

GPT INFRAPROJECTS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021
,inter alia, to consider and approve the Unaudited Financial Results (Standalone & Consolidated) of the Company for the 3rd
quarter and nine months ended 31st December, 2020 and the declaration of Interim dividend, if any, on the equity share
capital of the company.

----------------------------------------------------------------------------------------------------

Scrip code : 500620 Name : Great Eastern Shipping Co. Ltd.,

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

We wish to inform you that the Company has delivered its 2000 built Suezmax Crude Carrier 'Jag Laadki' to the buyers. The
vessel was contracted for sale November 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 526797 Name : Greenply Industries Ltd

Subject : Intimation

We are pleased to inform that Greenply Industries Limited has been successfully completed the assessment conducted by Great
Place to Work Institute, India, and is certified as a great workplace for the period from April 2020 till March 2021.
Further to inform that Greenply Industries Limited has also been recognized under India's 30 Best Workplaces in Manufacturing
- 2021 as certified by Great Place to Work Institute, India

----------------------------------------------------------------------------------------------------

Scrip code : 540602 Name : GTPL Hathway Limited

Page 51
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Subject : Announcement under Regulation 30 (LODR)-Diversification / Disinvestment

Sale of stake in Vaji Communications Private Limited and Vizianagar Citi Communications Private Limited, Subsidiary
Companies.

----------------------------------------------------------------------------------------------------

Scrip code : 500174 Name : Gujarat Lease Financing Limited,

Subject : Announcement under Regulation 30 (LODR)-Resignation of Company Secretary / Compliance Officer

Resignation of Company Secretary and Compliance Officer of the Company

----------------------------------------------------------------------------------------------------

Scrip code : 500174 Name : Gujarat Lease Financing Limited,

Subject : Announcement under Regulation 30 (LODR)-Change in Directorate

Appointment of Additional Director and Resignation of Director of the Company

----------------------------------------------------------------------------------------------------

Scrip code : 533248 Name : Gujarat Pipavav Port Limited

Subject : Board Meeting Intimation for Intimation Regarding The Board Meeting

GUJARAT PIPAVAV PORT LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
11/02/2021 ,inter alia, to consider and approve The Board Meeting is being held on 11th February 2021 to consider inter alia
Unaudited Standalone and Consolidated financial results for Quarter and Nine Months ended 31st December 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 533248 Name : Gujarat Pipavav Port Limited

Subject : Board Meeting Intimation for Intimation Regarding Board Meeting

GUJARAT PIPAVAV PORT LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
11/02/2021 ,inter alia, to consider and approve To consider inter alia Unaudited Standalone and Consolidated financial
results for 31st December 2020

----------------------------------------------------------------------------------------------------

Scrip code : 541019 Name : H.G. Infra Engineering Limited

Subject : Intimation Of The Cancellation Of The Tender By Ircon International Limited

In continuation to our earlier announcement dated December 15, 2020 and in accordance with provisions of Regulation 30 of the
Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, we would like to
inform you that Ircon International Limited ('IRCON') has cancelled the tender of GevraPendra/Pkg1 in the State of
Chhattisgarh.

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Scrip code : 531531 Name : Hatsun Agro Products Ltd.

Subject : Commencement Of Commercial Production

Intimation of commencement of commercial production - Udhiyur facility, Dharapuram, Tamilnadu

----------------------------------------------------------------------------------------------------

Scrip code : 541295 Name : HDFC Mutual Fund

Subject : Compliances-Reg. 90 (1) Declaration of NAV - Mutual Fund

NAV for 25-Jan-2021

----------------------------------------------------------------------------------------------------

Scrip code : 514043 Name : Himatsingka Seide Ltd.,

Subject : Board Meeting Intimation for Unaudited Standalone And Consolidated Financial Results Of The Company For The Quarter Ended December 31, 2020

HIMATSINGKA SEIDE LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021
,inter alia, to consider and approve Unaudited Standalone and Consolidated Financial Results of the Company for the quarter
ended December 31, 2020

----------------------------------------------------------------------------------------------------

Scrip code : 500696 Name : Hindustan Unilever Ltd.,

Subject : Announcement under Regulation 30 (LODR)-Resignation of Chief Financial Officer (CFO)

Resignation of Director & CFO w.e.f. 1st May, 2021

----------------------------------------------------------------------------------------------------

Scrip code : 500696 Name : Hindustan Unilever Ltd.,

Subject : Announcement under Regulation 30 (LODR)-Change in Management

Change in Management Committee

----------------------------------------------------------------------------------------------------

Scrip code : 500696 Name : Hindustan Unilever Ltd.,

Subject : Announcement under Regulation 30 (LODR)-Change in Directorate

Change in Director

----------------------------------------------------------------------------------------------------

Scrip code : 500696 Name : Hindustan Unilever Ltd.,

Subject : Appointment Of Director W.E.F. 1St May, 2021

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Appointment of Director w.e.f. 1st May, 2021

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Scrip code : 500188 Name : Hindustan Zinc Ltd.,

Subject : Announcement under Regulation 30 (LODR)-Resignation of Chief Financial Officer (CFO)

Corporate Announcement- Resignation by Chief Financial Officer

----------------------------------------------------------------------------------------------------

Scrip code : 532873 Name : Housing Development & Infrastructure Ltd

Subject : Corporate Insolvency Resolution Process (CIRP)-Intimation of meeting of Committee of Creditors

Pursuant to the Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements), Regulations, 2015 (LODR) and in
accordance with the requirements of sub- clause 16(g) of Part A of Schedule III of LODR, we wish to inform you that the
Thirteenth meeting of Committee of Creditors will be held on 30th January 2021.

----------------------------------------------------------------------------------------------------

Scrip code : 532799 Name : Hubtown Limited

Subject : Clarification sought from Hubtown Ltd

The Exchange has sought clarification from Hubtown Ltd with respect to news article appearing ontimesofindia.indiatimes.com
January 26, 2021titled "Rs 9cr TDS delay: Mumbai firm in legal trouble". The reply is awaited.

----------------------------------------------------------------------------------------------------

Scrip code : 535854 Name : ICICI Prudential Mutual Fund

Subject : Compliances-Reg. 90 (1) Declaration of NAV - Mutual Fund

NAV

----------------------------------------------------------------------------------------------------

Scrip code : 541132 Name : IDFC Mutual Fund

Subject : Compliances-Reg. 90 (1) Declaration of NAV - Mutual Fund

The NAV dated 25.01.2021 of the schemes listed on BSE.

----------------------------------------------------------------------------------------------------

Scrip code : 531594 Name : Incon Engineers Ltd.

Subject : Board Meeting Intimation for Notice Of Board Meeting & Closure Of Trading Window For The Quarter Ended 31.12.2020

INCON ENGINEERS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 12/02/2021
,inter alia, to consider and approve Notice of Board Meeting & Closure of Trading Window for the Quarter ended 31.12.2020

Page 54
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----------------------------------------------------------------------------------------------------

Scrip code : 530005 Name : India Cements Ltd.,

Subject : Announcement under Regulation 30 (LODR)-Change in Directorate

Change in Director

----------------------------------------------------------------------------------------------------

Scrip code : 505100 Name : India Radiators Ltd.,

Subject : Board Meeting Intimation for Intimation Of Board Meeting To Approve The Unaudited Financial Results For The Quarter Ended 31 December, 2020.

INDIA RADIATORS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 01/02/2021
,inter alia, to consider and approve Pursuant to Regulation 29 of SEBI (Listing Obligations and Disclosure Requirements)
Regulations, 2015, we write to inform that a Meeting of the Board of Directors of the Company will be held on Monday, 01
February, 2021 to consider and approve the unaudited financial statements of the Company for the quarter ended 31 December,
2020.

----------------------------------------------------------------------------------------------------

Scrip code : 500209 Name : Infosys Ltd

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Infosys Recognized as the Fastest Growing Top 10 IT Services Brand

----------------------------------------------------------------------------------------------------

Scrip code : 532774 Name : Inspirisys Solutions Limited

Subject : Board Meeting Intimation for Approve The Unaudited Financial Results For The Quarter And Year To Date Ended 31St December, 2020.

Inspirisys Solutions Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 08/02/2021
,inter alia, to consider and approve the Unaudited Financial Results for the quarter and year to date ended 31st December,
2020.

----------------------------------------------------------------------------------------------------

Scrip code : 511391 Name : Inter Globe Finance Ltd.

Subject : Board Meeting Intimation for Consideration & Approval Of Unaudited Standalone Financial Results For The Quarter Ended 31St December, 2020

INTER GLOBE FINANCE LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 11/02/2021
,inter alia, to consider and approve unaudited standalone financial results for the quarter ended 31st December, 2020
alongwith other routine business

----------------------------------------------------------------------------------------------------

Scrip code : 532508 Name : Jindal Stainless Limited

Subject : Investors Meeting On January 28, 2021 And January 29, 2021

Page 55
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Investors Meeting on January 28, 2021 and January 29, 2021

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Scrip code : 542446 Name : Jonjua Overseas Limited

Subject : Announcement under Regulation 30 (LODR)-Award_of_Order_Receipt_of_Order

Pursuant to Regulation 30 of the SEBI (LODR) Regulations,2015, we hereby inform you that a MoU has been signed between
Sofiges Real Estate SA, Cameroon and Jonjua Overseas Limited for Phase 2 of the upcoming modern integrated township project
'Grace Town' after Jonjua Overseas Limited successfully completed its assignment in Phase 1 of the project. Cover Page of MoU
is attached.

----------------------------------------------------------------------------------------------------

Scrip code : 533155 Name : Jubilant Foodworks Limited

Subject : Announcement under Regulation 30 (LODR)-Updates on Acquisition

This is in continuation to our earlier letter dated December 31, 2020, regarding proposed acquisition of 10.76% stake in
Barbeque-Nation Hospitality Limited alongwith disclosure in terms of Regulation 30 of the SEBI (Listing Obligations and
Disclosure Requirements) Regulations, 2015. We would like to inform you that the aforesaid acquisition has been completed
effective January 25, 2021.

----------------------------------------------------------------------------------------------------

Scrip code : 514360 Name : K&R RAIL ENGINEERING LIMITED

Subject : Board Meeting Intimation for INTIMATION FOR BOARD MEETING

K&R Rail Engineering Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 12/02/2021
,inter alia, to consider and approve As attached

----------------------------------------------------------------------------------------------------

Scrip code : 522287 Name : Kalpataru Power Transmission Ltd.

Subject : Corporate Action - Fixes Record Date Of 12Th February, 2021

Pursuant to Regulation 42 of the LODR Regulations, the Record Date for determining eligibility of the Shareholders for
payment of said Interim Dividend, if declared by the Board, shall be Friday, February 12, 2021.

----------------------------------------------------------------------------------------------------

Scrip code : 522287 Name : Kalpataru Power Transmission Ltd.

Subject : Board Meeting Intimation for Financial Results And Interim Dividend

KALPATARU POWER TRANSMISSION LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
04/02/2021 ,inter alia, to consider and approve Intimation of Board meeting scheduled to be held on February 4, 2021 and
other incidental matters

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Scrip code : 513456 Name : Kanishk Steel Industries Ltd

Subject : Board Meeting Intimation for Consideration And Approval Of The Unaudited Financial Results Of The Company For The Quarter/Nine Months Ended 31St December 2020.

KANISHK STEEL INDUSTRIES LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
11/02/2021 ,inter alia, to consider and approve the unaudited financial results of the company for the quarter/nine months
ended 31st December 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 532081 Name : KSS Limited

Subject : Clarification sought from KSS Ltd

The Exchange has sought clarification from KSS Ltd with respect to news article appearing onwww.bloombergquint.com January
25, 2021titled "SEBI Levies Rs 14 Crore Fine On K Sera Sera, Directors For GDR Manipulation". The reply is awaited.

----------------------------------------------------------------------------------------------------

Scrip code : 501874 Name : Mackinnon Mackenzie & Co. Ltd.,

Subject : Separate Meeting Of Independent Directors On 5Th February 2021.

Separate Meeting of Independent Directors on 5th February 2021.

----------------------------------------------------------------------------------------------------

Scrip code : 501874 Name : Mackinnon Mackenzie & Co. Ltd.,

Subject : Board Meeting Intimation for Approving And Taking On Records The Unaudited Financial Results For Quarter Ended 31St December 2020.

MACKINNON MACKENZIE & CO.LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
05/02/2021 ,inter alia, to consider and approve Approving and taking on records the Unaudited Financial Results for Quarter
ended 31st December 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 523384 Name : Maha Rashtra Apex Corporation Ltd

Subject : Board Meeting Intimation for Board Meeting To Consider Un-Audited Financial Results Of The Company For The Quarter Ended 31.12.2020.<BR>

MAHA RASHTRA APEX CORPORATION LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
12/02/2021 ,inter alia, to consider and approve A meeting of the Board of Directors of the Company is scheduled to be held on
Friday, February 12, 2021 to inter alia consider and approve the standalone and consolidated Un-Audited financial results of
the Company for the quarter ended December 31, 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 541974 Name : Manorama Industries Limited

Subject : Investor Release

Please find enclosed the press release titled 'Manorama Industries Limited recognized by Fair Trade and Fair for Life
Certifications for its ESG Practices' for your information and records.
Page 57
bu270121.txt

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Scrip code : 543220 Name : Max Healthcare Institute Limited

Subject : Board Meeting Intimation for To Consider And Approve The Un-Audited Financial Results<BR> (Consolidated And Standalone) For The Quarter/ Nine Months Ended
December 31, 2020.

Max Healthcare Institute Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on
06/02/2021 ,inter alia, to consider and approve To consider and approve the Un-audited Financial Results (Consolidated and
Standalone) for the quarter/ nine months ended December 31, 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 540519 Name : Meera Industries Limited

Subject : Announcement under Regulation 30 (LODR)-Award_of_Order_Receipt_of_Order

Receipt of Order

----------------------------------------------------------------------------------------------------

Scrip code : 540078 Name : Mitsu Chem Plast Limited

Subject : Board Meeting Intimation for Notice Of The Board Meeting

Mitsu Chem Plast Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 02/02/2021
,inter alia, to consider and approve 1.To consider and approve, the Unaudited Financial Results for the quarter/ nine months
ended December 31, 2020 along with the Limited Review Report thereon. 2.Any other business with the permission of the Chair.

----------------------------------------------------------------------------------------------------

Scrip code : 513377 Name : MMTC Ltd.,

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Sub: Disclosure under Regulation 30 of SEBI(LODR) Regulations,2015 Dear Sir, This is to inform that the Department of
Investment and Public Asset Management, Ministry of Finance, Govt of India has issued a Notice of EOI inviting bids for
divestment of equity held by the CPSEs and State PSUs in Neelachal Ispat Nigam Limited a JV company of MMTC Ltd. A copy of
the Press Release appeared in newspapers is attached herewith. This is for your information & record please.

----------------------------------------------------------------------------------------------------

Scrip code : 513377 Name : MMTC Ltd.,

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Sub: Disclosure under Regulation 30 of SEBI(LODR) Regulations,2015 Dear Sir, This is to inform that the Department of
Investment and Public Asset Management, Ministry of Finance, Govt of India has issued a Notice of EOI inviting bids for
divestment of equity held by the CPSEs and State PSUs in Neelachal Ispat Nigam Limited a JV company of MMTC Ltd. A copy of
the Press Release appeared in newspapers is attached herewith. This is for your information & record please.

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Page 58
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Scrip code : 538836 Name : Monte Carlo Fashions Limited

Subject : Board Meeting Intimation for Inter-Alia, To Consider And Approve The Un-Audited Financial Results Of The Company For The Quarter And Nine Months Ended December
31, 2020.

Monte Carlo Fashions Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 08/02/2021
,inter alia, to consider and approve the Un-audited Financial Results of the Company for the Quarter and Nine Months ended
December 31, 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 501343 Name : Motor & General Finance (M.G.F.) Lt

Subject : Outcome Of Separate Meeting Of Independent Directors

Outcome of Separate Meeting of Independent Directors held on 27.01.2021

----------------------------------------------------------------------------------------------------

Scrip code : 526143 Name : MPL Plastics Limited

Subject : Minutes Of Postal Ballot On 21.01.2021

Minutes of Postal Ballot for Reclassification of status of Promoters to Public Category.

----------------------------------------------------------------------------------------------------

Scrip code : 543253 Name : Mrs. Bectors Food Specialities Limited

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Our Founder, Mrs. Rajni Bector has been conferred with Padma Shri Award

----------------------------------------------------------------------------------------------------

Scrip code : 533398 Name : MUTHOOT FINANCE LIMITED

Subject : Board Meeting Intimation for Quarterly Financial Results

MUTHOOT FINANCE LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 09/02/2021
,inter alia, to consider and approve the unaudited financial results of the Company for the quarter and nine months ended
December 31, 2020

----------------------------------------------------------------------------------------------------

Scrip code : 532623 Name : N.R.International Limited

Subject : Board Meeting Intimation for Unaudited Financial Result For Quarter Ended 31St December 2020.

N.R.INTERNATIONAL LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 30/01/2021
,inter alia, to consider and approve Un-Audited Financial Statement of the Company and Limited Review Report for quarter
ended on 31st day of December 2020 and any Other Business with the Permission of the Chairman of the Meeting.

Page 59
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Scrip code : 502587 Name : NATH INDUSTRIES LIMITED

Subject : Board Meeting Intimation for Submission Of Information Under Clause 29(2) Of The Listing Agreement

Nath Industries Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 12/02/2021
,inter alia, to consider and approve The meeting of the Board of Directors of the Company will be held on 12th February, 2021
to take on record unaudited financial results for the quarter ended 31st December 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 532234 Name : National Aluminium Co. Ltd.,

Subject : Outcome of Board Meeting (Board approves Buyback of Equity Shares)

National Aluminium Company Ltd has informed BSE about Outcome of Board Meeting held on January 27, 2021.

----------------------------------------------------------------------------------------------------

Scrip code : 500298 Name : National Peroxide Ltd.

Subject : Board Meeting Intimation for Considering And Approving The Unaudited Standalone And Consolidated Financial Results For The Quarter And Nine Months Ended On
December 31, 2020.

NATIONAL PEROXIDE LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 03/02/2021
,inter alia, to consider and approve the Unaudited Standalone and Consolidated Financial Results for the quarter and nine
months ended on December 31, 2020.

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Scrip code : 519506 Name : NCC Bluewater Products Ltd.

Subject : Board Meeting Intimation for Approval Of Un-Audited Financial Results For The Third Quarter And Nine Months Period Ended 31-12-2020

NCC BLUE WATER PRODUCTS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
12/02/2021 ,inter alia, to consider and approve un-audited financial results for the third quarter and nine months period
ended 31-12-2020

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Scrip code : 500294 Name : NCC Limited

Subject : Board Meeting Intimation for Approving Un-Audited Financial Results For The Third Quarter And Nine Months Period Ended 31-12-2020

NCC Limitedhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 11/02/2021 ,inter alia,
to consider and approve Un-audited financial results for the third quarter and nine months period ended 31-12-2020

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Scrip code : 502294 Name : Nilachal Refractories Ltd.

Subject : Board Meeting Intimation for Meeting Of The Board Of Directors On 11/02/2021

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NILACHAL REFRACTORIES LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
11/02/2021 ,inter alia, to consider and approve 1.To Consider and Approve the Unaudited Financial Results for the quarter
ended 31st December,2020, 2. To consider the Limited Review Report for the quarter ended 31st December,2020, 3. Any other
matter as may be taken up with the permission of the Chair.

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Scrip code : 540767 Name : NIPPON LIFE INDIA ASSET MANAGEMENT LIMITED

Subject : Fixing Of Record Date

Further to our letter dated December 31, 2020, please be informed that the Board has today declared an interim dividend of
Rs. 3/- per Equity Share and has fixed the record date as February 08, 2021. Dividend will be paid on and from February 22,
2021. A duly completed form being intimation of record date is enclosed for your information and record.

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Scrip code : 540767 Name : NIPPON LIFE INDIA ASSET MANAGEMENT LIMITED

Subject : Corporate Action-Board approves Dividend

Further to our letter dated December 31, 2020, the Board has today declared an interim dividend of Rs. 3/- per Equity Share
and has fixed the record date as February 08, 2021. Dividend will be paid on and from February 22, 2021. A duly completed
form being intimation of record date is enclosed for your information and record.

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Scrip code : 521009 Name : Niwas Spinning Mills Ltd.

Subject : Board Meeting Intimation for Results

Niwas Spinning Mills Ltd has informed BSE regarding "Board Meeting Intimation for Results".

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Scrip code : 540405 Name : Oceanic Foods Limited

Subject : Board Meeting Intimation for Unaudited Financial Results For The Quarter And Nine Months Ended 31St December 2020

Oceanic Foods Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021 ,inter
alia, to consider and approve Unaudited Financial Results for the Quarter and nine months ended 31st December 2020

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Scrip code : 532880 Name : OMAXE LIMITED

Subject : Clarification sought from Omaxe Ltd

The Exchange has sought clarification from Omaxe Ltd with respect to news article appearing oneconomictimes.indiatimes.com
January 25, 2021titled "Greater Noida authority cancels allotment of four land parcels to recover Rs 450 crore dues". The
reply is awaited.

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Scrip code : 534809 Name : PC JEWELLER LIMITED

Subject : Announcement under Regulation 30 (LODR)-Amendments to Memorandum & Articles of Association

The Authorised Share Capital of the Company has been increased from Rs.700 crores to Rs.760 crores and the existing Capital
Clause of Memorandum of Association of the Company is amended accordingly.

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Scrip code : 532898 Name : POWER GRID CORPORATION OF INDIA LIMITED

Subject : Filing Of Draft Offer Document By POWERGRID Infrastructure Investment Trust With SEBI

Filing of Draft Offer Document by POWERGRID Infrastructure Investment Trust with SEBI

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Scrip code : 526490 Name : Pratik Panels Ltd.

Subject : Updates on Open Offer

CapitalSquare Advisors Pvt. Ltd ("Manager to the Offer") has submitted to BSE a copy of Detailed Public Statement for the
attention of Equity Shareholders of Pratik Panels Ltd ("Target Company").

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Scrip code : 513613 Name : Presha Metallurgical Ltd

Subject : Board Meeting Intimation for Consider The Un-Audited Financial Results Of The Company For Quarter Ended On December 31, 2020.

Presha Metallurgical Ltd.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
04/02/2021 ,inter alia, to consider and approve consider the Un-Audited financial results of the company for quarter ended on
December 31, 2020.

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Scrip code : 500459 Name : Procter & Gamble Hygiene & Health Care Ltd.

Subject : Board to consider Interim Dividend

With reference to the earlier letter dated January 11, 2021 informing that a meeting of the Board of Directors of the Company
is scheduled to be held on February 03, 2021 to consider and approve Unaudited Financial Results for the quarter ended
December 31, 2020. Further, Procter & Gamble Hygiene and Health Care Ltd has now informed BSE that at the said meeting the
Board would also consider declaration of interim dividend (if any).

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Scrip code : 500459 Name : Procter & Gamble Hygiene & Health Care Ltd.

Subject : Announcement under Regulation 30 (LODR)-Meeting Updates

We refer to our letter dated January 11, 2021 informing that a meeting of the Board of Directors of the Company is scheduled
to be held on Wednesday, February 3, 2021 to consider and approve Unaudited Financial Results for the quarter ended December
31, 2020. We would like to further inform you that at the said meeting the Board would also consider declaration of
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interim dividend (if any). Kindly take the same on record.

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Scrip code : 532689 Name : PVR Ltd.

Subject : Announcement under Regulation 30 (LODR)-Qualified Institutional Placement

(i) approval and adoption of the preliminary placement document dated January 27, 2021, in connection with the QIP; and (ii)
authorizing the opening of the QIP today, i.e. on January 27, 2021.

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Scrip code : 524037 Name : Rama Phosphates Ltd.

Subject : Update On Setting Up Of New Manufacturing Facility For Manufacture Of Linear Alkyl Benzene Sulphonic Acid (LABSA) At Udaipur Unit And New Sulphuric Acid
Manufacturing Facility At Indore Unit

Update on setting up of : 1. New manufacturing facility for manufacture of Linear Alkyl Benzene Sulphonic Acid (LABSA) at
Udaipur Unit 2. New Sulphuric Acid manufacturing facility at Indore Unit

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Scrip code : 523289 Name : Rama Vision Ltd

Subject : Board Meeting Intimation for Board Meeting Scheduled To Be Held On Tuesday, 09Th February, 2021

RAMA VISION LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 09/02/2021 ,inter
alia, to consider and approve Standalone Un-Audited Financial Results of the Company for the quarter and nine months ended on
31st December, 2020 will be held on Tuesday, the 09th day of February, 2021 at 04:00 p.m. at the Corporate office of the
Company at Board Room, Rama House, 23, Najafgarh Road Industrial Area, Shivaji Marg, New Delhi - 110015.

----------------------------------------------------------------------------------------------------

Scrip code : 532370 Name : Ramco Systems Ltd

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Ramco Systems Limited has informed the Exchange regarding a press release dated January 27, 2021, titled "Ramco Systems signs
deal with DLF Limited for ERP Transformation".

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Scrip code : 532987 Name : Rane Brake Lining Limited

Subject : Announcement under Regulation 30 (LODR)-Daily Buy Back of equity shares

Pursuant to Regulation 18 of the Securities and Exchange Board of India (Buy-Back of Securities) Regulations, 2018 (as
amended) ('Buyback Regulations'), please find attached the details with respect to Equity shares bought back by the Company
on January 27, 2021. We request you take the above on record as compliance under the regulations of SEBI LODR.

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Scrip code : 532918 Name : RATHI BARS LIMITED


Page 63
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Subject : Announcement under Regulation 30 (LODR)-Cessation

This is inform that Sh. Ashok Kumar Garg, Independent Director of the Company, resigned from the office of Director w.e. f
21.01.2021. You are requested to take the information on your records.

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Scrip code : 526492 Name : Rishiroop Limited

Subject : Board Meeting Intimation for Approval Of Financial Results For Quarter Ended December 31, 2020 And Consideration Of Interim Dividend

Rishiroop Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021 ,inter
alia, to consider and approve Financial results for quarter ended December 31, 2020 and to consider proposal for payment of
interim dividend, if any.

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Scrip code : 541556 Name : RITES Limited

Subject : Announcement under Regulation 30 (LODR)-Award_of_Order_Receipt_of_Order

Intimation regarding major order secured

----------------------------------------------------------------------------------------------------

Scrip code : 539875 Name : RSD Finance Limited

Subject : Clarification sought from RSD Finance Ltd

The Exchange has sought clarification from RSD Finance Ltd on January 26, 2021 with reference to significant movement in
price, in order to ensure that investors have latest relevant information about the company and to inform the market so that
the interest of the investors is safeguarded. The reply is awaited.

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Scrip code : 512097 Name : Saianand Commercial Limited

Subject : Board Meeting Intimation for To Consider The Un-Audited Financial Results Of The Company For Quarter Ended On December 31, 2020.

Saianand Commercial Limitedhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on
08/02/2021 ,inter alia, to consider and approve the Un-Audited financial results of the company for quarter ended on
December 31, 2020.

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Scrip code : 517059 Name : Salzer Electronics Ltd.,

Subject : Board Meeting Intimation for Intimation Of Board Meeting

SALZER ELECTRONICS LTD.-has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 04/02/2021
,inter alia, to consider and approve A Meeting of the Board of Directors will be held on Thursday February 4, 2021, through
video conference, inter-alia to consider and approve standalone and consolidated Un-audited Financial Results of the Company
for the quarter / nine months ended 31.12.2020 along with Limited Review and other related matters thereof.
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Scrip code : 521240 Name : Sambandam Spinning Mills Ltd.

Subject : Board Meeting Intimation for Intimation Of Board Meeting To Be Held On 07.02.2021

SAMBANDAM SPINNING MILLS LTD.-has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
07/02/2021 ,inter alia, to consider and approve Intimation of Board Meeting to be held on 07.02.2021

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Scrip code : 521206 Name : Samtex Fashions Ltd.

Subject : Board Meeting Intimation for Considering And Reveiwing The Unaudited Financial Results Of The Company For The Quarter Ended 31St December, 2020.

SAMTEX FASHIONS LTD.-has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 12/02/2021
,inter alia, to consider and approve Board Meeting intimation, of the Company, inter-alia to consider and review the
Unaudited Financial Results of the Comapny for the Quarter ended 31st December, 2020.

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Scrip code : 502175 Name : Saurashtra Cement Limited

Subject : Board to consider Dividend

With reference to the earlier letter dated January 08, 2021, Saurashtra Cement Ltd has now informed BSE that at the meeting
of the Board of Directors of the Company to be held on February 02, 2021 to consider Unaudited Financial Results for the
third quarter and nine months ended December 31, 2020, it is also proposed to consider declaration of Dividend on the equity
shares of the Company for the period ended December 31, 2020.

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Scrip code : 511577 Name : Savani Financials Ltd.

Subject : Board Meeting Intimation for Intimation Of Board Meeting Date For Unaudited<BR> Financial Results For The Quarter Ended 31St December, 2020<BR>

SAVANI FINANCIALS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 12/02/2021
,inter alia, to consider and approve Notice pursuant to Regulation 29 of SEBI (LODR) Regulations, 2015, be and is hereby
given that the Meeting of the Board of Directors of the Company will be held on Friday, 12th February, 2021 inter-alia to
consider and take on record the Unaudited Quarterly Financial Results of the Company for the Quarter ended 31st December,
2020

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Scrip code : 523710 Name : Sayaji Hotel Ltd

Subject : Minutes Of The 37Th Annual General Meeting Of The Company.

Dear Sir We would like to enclose herewith copy of the Minutes of the proceedings of the 37th Annual General Meeting held
on Sunday, 27th December, 2020 through Video Conference/Other Audio Visual means. You are requested to kindly take it on
record and disseminate the same on the website of the stock exchange. Thanking you,

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Scrip code : 511760 Name : Seven Hill Industries Limited

Subject : Board Meeting Intimation for Considering Unaudited Financial Results Of The Company For Quarter Ended As On 31.12.2020.

Seven Hill Industries Limitedhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on
08/02/2021 ,inter alia, to consider and approve considering unaudited financial results of the company for quarter ended as
on 31.12.2020.

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Scrip code : 524546 Name : Shaba Chemicals Ltd.

Subject : Board Meeting Intimation for Notice Of Board Meeting For Consideration Of Unaudited Financial Result For Quarter Ended 31St December 2020

SHABA CHEMICALS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 03/02/2021
,inter alia, to consider and approve Notice of board meeting for consideration of unaudited financial result for quarter
ended 31st december 2020

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Scrip code : 512297 Name : Shantai Industries Limited

Subject : Board Meeting Intimation for Intimation Of Meeting Of Board Of Directors For Considering Un-Audited Financial Results For Third Quarter Ended 31/12/2020

Shantai Industries Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 10/02/2021
,inter alia, to consider and approve 1. To consider and approve the un-audited financial results in respect of third quarter
ended 31/12/2020. 2. Any other business with the permission of Chairman

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Scrip code : 540961 Name : Shiva Mills Limited

Subject : Board Meeting Intimation for Unaudited Financial Results For The Quarter Ended 31.12.2020

Shiva Mills Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 06/02/2021 ,inter
alia, to consider and approve Unaudited Financial Results for the quarter ended 31.12.2020

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Scrip code : 532007 Name : Shree Vatsaa Finance & Leasing Ltd.

Subject : Board Meeting Intimation for Board Meeting Intimation For Approval Of The Un-Audited Financial Results For The Quarter Ended December 31, 2020

SHREEVATSAA FINANCE & LEASING LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
10/02/2021 ,inter alia, to consider and approve SHREEVATSAA FINANCE & LEASING LTD.has informed BSE that the meeting of the
Board of Directors of the Company is scheduled on 10/02/2021 ,inter alia, to consider and approve the Un-audited financial
results for the quarter ended December 31, 2020

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Scrip code : 541358 Name : Shree Worstex Limited

Subject : Board Meeting Intimation for Consideration And Approval Of Un-Audited Financial Results, Inter-Alia For The Quarter Ended 31St December, 2020
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Shree Worstex Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 02/02/2021 ,inter
alia, to consider and approve Consideration and Approval of Un-audited Financial Results, inter-alia for the quarter ended
31st December, 2020

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Scrip code : 532217 Name : Siel Financial Services Ltd.

Subject : Board Meeting Intimation for Notice Of Board Meeting For Unaudited Financial Results For The Quarter Ended On 31.12.2020

SIEL FINANCIAL SERVICES LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
04/02/2021 ,inter alia, to consider and approve the Unaudited Financial Results for the Quarter ended on 31.12.2020.

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Scrip code : 521194 Name : SIL Investments Ltd

Subject : Board Meeting Intimation for Intimation Of Board Meeting For Considering Un-Audited Financial Results For The Quarter And Nine Months Ended 31St December, 2020

SIL INVESTMENTS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 10/02/2021
,inter alia, to consider and approve Intimation of Board meeting for considering Un-Audited Financial Results for the quarter
and nine months ended 31st December, 2020

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Scrip code : 541540 Name : SOLARA ACTIVE PHARMA SCIENCES LIMITED

Subject : Board Meeting Intimation for Announcement Of Board Meeting Under Regulation 29 (1) Of SEBI Listing Regulations

Solara Active Pharma Sciences Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on
03/02/2021 ,inter alia, to consider and approve Board of Directors of the Company is scheduled to be held on Wednesday,
February 3, 2021 to consider and approve inter alia among other items, the unaudited financial results (standalone and
consolidated) of the Company for the quarter and nine months ended December 31, 2020

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Scrip code : 533316 Name : STEL Holdings Limited

Subject : Clarification sought from STEL Holdings Ltd

The Exchange has sought clarification from STEL Holdings Ltd on January 26, 2021 with reference to significant movement in
price, in order to ensure that investors have latest relevant information about the company and to inform the market so that
the interest of the investors is safeguarded. The reply is awaited.

----------------------------------------------------------------------------------------------------

Scrip code : 542760 Name : Sterling and Wilson Solar Limited

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Pls find attached a copy of the Press Release titled "Sterling and Wilson Solar Limited commissions 25 MW solar project in
Oman"

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Scrip code : 526951 Name : Stylam Industries Limited

Subject : Corporate Action-Intimation of Sub division / Stock Split

Pursuant to Regulation 29 (1)(a) of SEBI (LODR) Regulations, 2015, it is intimated to the Exchange that Board Meeting of
Stylam Industries Limited is scheduled to be held on Tuesday, 9th February, 2021 to inter-alia, consider sub-division/split
of the equity shares of face value of Rs. 10/- each of the Company in such manner as the Board may determine.

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Scrip code : 530419 Name : Sumedha Fiscal Services Ltd.

Subject : Sub: Minutes Of The Resolutions Passed By Way Of Postal Ballot By Remote E-Voting Process

We are enclosing copy of the minutes of resolutions passed by way of postal ballot by remote e-voting process on 30-Dec-20.
The results of postal ballot were announced vide our letter dated 31-Dec-20.

----------------------------------------------------------------------------------------------------

Scrip code : 500403 Name : Sundram Fasteners Ltd.,

Subject : Announcement Under Regulation 30 Of The SEBI (Listing Obligations And Disclosure Requirements) Regulations, 2015

Announcement under Regulation 30 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015

----------------------------------------------------------------------------------------------------

Scrip code : 506863 Name : Swadeshi Industries Leasing Co. Ltd

Subject : Board Meeting Intimation for To Approve The Un-Audited Financial Results Of The Company For The Third Quarter Ended On 31St December, 2020.

SWADESHI INDUSTRIES LEASING CO.LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
09/02/2021 ,inter alia, to consider and approve To approve the Un-audited Financial Results of the Company for the third
quarter ended on 31st December, 2020.

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Scrip code : 531003 Name : Swarna Securities Ltd.

Subject : Board Meeting Intimation for Interalia, Consider The Un-Audited Financial Results Of The Company For The Quarter Ending 31St December, 2020.

SWARNA SECURITIES LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 09/02/2021
,inter alia, to consider and approve The meeting of the Board of Directors will be held on 9th February, 2021 to interalia,
consider the Un-audited financial results of the Company for the quarter ending 31st December, 2020.

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Scrip code : 523558 Name : SWISS MILITARY CONSUMER GOODS LIMITED

Subject : Announcement under Regulation 30 (LODR)-Change in Management

Disclosure under Regulation 30 of the SEBI (LODR), 2015.


Page 68
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Scrip code : 532540 Name : Tata Consultancy Services Ltd.

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

TCS iON Announces Winners of the 3rd Edition of its IntelliGem Contest

----------------------------------------------------------------------------------------------------

Scrip code : 532540 Name : Tata Consultancy Services Ltd.

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

TCS Clocks Highest Brand Value Growth in IT Services in 2020

----------------------------------------------------------------------------------------------------

Scrip code : 500408 Name : Tata Elxsi Ltd

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Tata Elxsi and Syntiant to Provide Low-Power Edge AI Device Development for Voice Applications Tata Elxsi and Syntiant
Corp., a deep learning chip technology company, today announced a collaboration to help manufacturers design and develop
low-power always-on voice applications across multiple product categories, such as smart home devices and consumer
electronics, as well as industrial and automotive use cases.

----------------------------------------------------------------------------------------------------

Scrip code : 533553 Name : TD Power Systems Ltd

Subject : Board Meeting Intimation for Intimation Of Board Meeting: Un-Audited Financial Results For The Quarter And Nine Months Ended December 31, 2020

T D POWER SYSTEMS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 04/02/2021
,inter alia, to consider and approve the Un-audited Financial Results of the Company for the quarter and nine months ended
December 31, 2020.

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Scrip code : 540595 Name : Tejas Networks Limited

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Please find enclosed press release titled: 'ACG selects Tejas Networks to build Afghanistan's high-capacity National Optical
Transport Network'.

----------------------------------------------------------------------------------------------------

Scrip code : 533164 Name : Texmo Pipes and Products Limited

Subject : Board Meeting Intimation for Standalone And Consolidated Unaudited Financial Results Of The Company For The Quarter And Nine Months Ended 31St December, 2020.

TEXMO PIPES & PRODUCTS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
Page 69
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04/02/2021 ,inter alia, to consider and approve Unaudited Consolidated Financial Results for the period ended December 31,
2020

----------------------------------------------------------------------------------------------------

Scrip code : 530023 Name : THE INVESTMENT TRUST OF INDIA LIMITED

Subject : Board Meeting Intimation for Considering And Approving Quarterly Results As On 31/12/2020

The Investment Trust Of India Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on
06/02/2021 ,inter alia, to consider and approve Quarterly Results as on 31/12/2020

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Scrip code : 500412 Name : Thirumalai Chemicals Ltd.,

Subject : Board Meeting Intimation for Re: Regulation 29 Of SEBI (Listing Obligations And Disclosure Requirements) Regulations, 2015 --<BR> Board Meeting To Consider
Unaudited Financial Results For The Quarter Ended December 31, 2020<BR>

THIRUMALAI CHEMICALS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
11/02/2021 ,inter alia, to consider and approve We have to inform you that a meeting of the Board of Directors of our company
will be held on Thursday, February 11, 2021 inter alia, to consider the Unaudited Financial Results of the Company for the
quarter ended December 31, 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 511096 Name : Tivoli Construction Ltd.,

Subject : Board Meeting Intimation for Considering, Approving And Taking On Record The Un-Audited Financial Results (Standalone And Consolidated) Of The Company For The
Quarter And Nine Months Ended 31St December, 2020

TIVOLI CONSTRUCTION LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021
,inter alia, to consider and approve and take on record the Un-Audited Financial Results (Standalone and Consolidated) of
the Company for the quarter and nine months ended 31st December, 2020

----------------------------------------------------------------------------------------------------

Scrip code : 719817 Name : Trident Ltd

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Trident Limited expands its retail footprint with six new showrooms across India

----------------------------------------------------------------------------------------------------

Scrip code : 524514 Name : Tulasee Bio-Ethanol Ltd.

Subject : Board Meeting Intimation for Approval Of Quarterly Un-Audited Financial Statements For The Quarter Ended 31.12.2020.

TULASEE BIO-ETHANOL LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 10/02/2021
,inter alia, to consider and approve We hereby inform you that Board Meeting of TULASEE BIO-ETHANOL LIMITED will be held on
Wednesday, 10/02/2021 at 11.00 A.M. at The 41/3, Village Lohop Chowk, Lohop Road, Tal. Khalapur, Dist Raigad, Raigad- 410202
to consider and approve the quarterly un-audited financial statements for the Quarter ended 31.12.2020.

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Scrip code : 960386 Name : UGRO CAPITAL LIMITED

Subject : Raising Of Funds Through Various Options Of Borrowings

Raising of funds through various options of borrowings

----------------------------------------------------------------------------------------------------

Scrip code : 542904 Name : Ujjivan Small Finance Bank Limited

Subject : Board Meeting Intimation for Consideration And Approval Of Unaudited Financial Results Of The Bank For The Quarter And Nine Months Ended December 31, 2020

Ujjivan Small Finance Bank Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on
03/02/2021 ,inter alia, to consider and approve Unaudited Financial Results of the Bank for the quarter and nine months ended
December 31, 2020

----------------------------------------------------------------------------------------------------

Scrip code : 506685 Name : Ultramarine & Pigments Ltd.,

Subject : Board Meeting Intimation for Notice Of Board Meeting - 11Th February, 2021 <BR> <BR> Ref: Regulation 29 (1) (A) Of SEBI (Listing Obligations And Disclosure
Requirements) Regulations, 2015<BR>

ULTRAMARINE & PIGMENTS LTD.-has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
11/02/2021 ,inter alia, to consider and approve unaudited financial results for the 3rd quarter and nine months ended 31st
December, 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 506690 Name : Unichem Laboratories Ltd.,

Subject : Announcement under Regulation 30 (LODR)-Press Release / Media Release

Announcement Under Regulation 30 (LODR) - ANDA approval from United States Food and Drug Administration (USFDA) for Unichem's
Zonisamide Capsules, USP 25 mg, 50 mg and 100 mg.

----------------------------------------------------------------------------------------------------

Scrip code : 538918 Name : Vani Commercials Limited

Subject : Board Meeting Intimation for Meeting Of Board Of Directors Of The Company To Consider And Approve The Unaudited Financial Results Of The Company For The
Quarter Ended 31St December, 2020.

Vani Commercials Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 05/02/2021
,inter alia, to consider and approve the unaudited Financial Results of the Company for the quarter ended 31st December,
2020.

----------------------------------------------------------------------------------------------------

Scrip code : 500439 Name : Vardhman Holdings Limited

Subject : Board Meeting Intimation for Consideration And Approval Of Un-Audited Financial Results Of The Company For The Quarter/ Nine Months Ended 31St December, 2020.
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VARDHMAN HOLDINGS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 04/02/2021
,inter alia, to consider and approve Un-Audited Financial Results of the Company for the quarter/ nine months ended 31st
December, 2020.

----------------------------------------------------------------------------------------------------

Scrip code : 523261 Name : Venky's (India) ltd.

Subject : Announcement under Regulation 30 (LODR)-Change in Directorate

Pursuant to Clause 30 read with Schedule III to the SEBI (Listing Obligations and Disclosure Requirements) Regulations 2015,
this is to inform sad demise of Col. Surinder Kumar (Retd.), Independent Director of Venky's (India) Limited on 25th January,
2021.

----------------------------------------------------------------------------------------------------

Scrip code : 532953 Name : V-Guard Industries Ltd.

Subject : Board Meeting Intimation for Intimation Of Board Meeting Pursuant To Regulation 29 Of SEBI (LODR) Regulation 2015

V-GUARD INDUSTRIES LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 03/02/2021
,inter alia, to consider and approve Intimation Of Board Meeting Pursuant To Regulation 29 Of SEBI (LODR) Regulation 2015

----------------------------------------------------------------------------------------------------

Scrip code : 532953 Name : V-Guard Industries Ltd.

Subject : Post Intimation Received Pursuant To Regulation 10(6) Of SEBI (Substantial Acquisition Of Shares And Takeover) Regulations, 2011.

Enclosed post intimation received from Ms. Priya Sarah Cheeran Joseph, Shareholder and Person Acting in Concert of the
Company, pursuant to Regulation 10(6) of SEBI (SAST) Regulations, 2011.

----------------------------------------------------------------------------------------------------

Scrip code : 537524 Name : Viaan Industries Limited

Subject : Board Meeting Intimation for Intimation Of Board Meeting Under Regulation 29 Of The SEBI (Listing Obligations And Disclosure Requirements) Regulations, 2015

Viaan Industries Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 12/02/2021
,inter alia, to consider and approve (i) The Standalone and Consolidated Unaudited Financial Result for the Quarter and
Nine Month ended 31st December, 2020. (ii) Scheme of Reduction of Share Capital of the company and other related matters.
(iii) Any other matter with the permission of chair. Kindly take the same on record.

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Scrip code : 506146 Name : Visagar Polytex Ltd

Subject : Announcement under Regulation 30 (LODR)-Resignation of Director

Acceptance of Resignation tendered by Mr. Kanwar Lal Rathi

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Scrip code : 500238 Name : Whirlpool of India Ltd

Subject : Board Meeting Intimation for Considering And Approving Unaudited Financial Results (Standalone & Consolidated) For The Quarter And Nine Months Ended On 31St
December, 2020

WHIRLPOOL OF INDIA LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 04/02/2021
,inter alia, to consider and approve As enclosed

----------------------------------------------------------------------------------------------------

Scrip code : 514470 Name : Winsome Textile Industries Ltd

Subject : Board Meeting Intimation for Consideration And Approval Of Unaudited Financial Results Of The Company For The Quarter And Nine Months Ended 31St December,
2020.

WINSOME TEXTILE INDUSTRIES LTD.-has informed BSE that the meeting of the Board of Directors of the Company is scheduled on
11/02/2021 ,inter alia, to consider and approve the Unaudited Financial Results of the Company for the quarter and nine
months ended 31st December, 2020.

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Scrip code : 505872 Name : WPIL Ltd

Subject : Board Meeting Intimation for Approval & Take On Record Unaudited Quarterly Results Subject To Limited Review For The Quarter Ended 31St December, 2020

WPIL LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 03/02/2021 ,inter alia,
to consider and approve unaudited quarterly Results subject to Limited Review for the quarter ended 31st December, 2020

----------------------------------------------------------------------------------------------------

Scrip code : 500780 Name : Zuari Global Limited

Subject : Board Meeting Intimation for The Unaudited Financial Results For The Quarter Ending December 31, 2020.<BR> <BR>

ZUARI GLOBAL LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 13/02/2021 ,inter
alia, to consider and approve the unaudited financial results for the quarter ending December 31, 2020.

Declaration of NAV
------------------

----------------------------------------------------------------------------------------------------

Scrip code : 541749 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 241 -36M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

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Scrip code : 540925 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 219 - 40M - Reg - Div - Reg Pay Mat Dt 28-Apr-2021 has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540924 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 219 - 40M - Reg - Growth Mat Dt 28-Apr-2021 has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541008 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 221 - 40M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541102 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 223 - 39M - Direct Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541142 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 224 - 39M- Direct Plan - Dividend Quarterly Payout has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541536 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP- Sr 233 - 36M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January 22,
2021 and is placed at Corporate Announcement on BSE-India Website.

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Scrip code : 540928 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 219 - 40M - Dir - Div - Reg Pay Mat Dt 28-Apr-2021 has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 542481 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP Series 250-39M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January 22, 2021 and
is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 539582 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP Black Rock FMP - Series 192-36M Direct- Dividend Payout has informed BSE about the NAV of the Scheme dated January 22,
2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540880 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK - FMP - SERIES 218 - 40M - REGULAR GROWTH has informed BSE about the NAV of the Scheme dated January 22, 2021
and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540926 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 219 - 40M - Reg - Div - Qtrly Pay Mat Dt 28-Apr-2021 has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541010 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 221 - 40M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

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Scrip code : 541245 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series227-39M - Regular Plan - Dividend Quaterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541478 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 232 - 36M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541653 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 237 - 36M - Direct Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541826 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 243 - 36M - Direct Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541667 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 239 -36M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541861 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 244 - 36M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

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Scrip code : 542480 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP Series 250-39M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 542581 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 251 - 38M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated January 22,
2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541184 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK FMP - SERIES 226 - 39M - REGULAR - GROWTH has informed BSE about the NAV of the Scheme dated January 22, 2021
and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541243 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 227-39M - Regular Plan Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541480 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 232 - 36M - Direct Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541568 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 235 - 36M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

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Scrip code : 541632 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 236-36M - Direct Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541652 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 237 - 36M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540859 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK FMP SERIES - 217 - 40M - DIRECT PLAN - DIVIDEND PAYOUT OPTION has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540884 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK - FMP - SERIES 218 - 40M - DIRECT DIVIDEND PAYOUT has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540929 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 219 - 40M - Dir - Div - Qtrly Pay Mat Dt 28-Apr-2021 has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541011 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 221 - 40M - Direct Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

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Scrip code : 541101 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 223 - 39M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541139 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 224 - 39M- Regular - Dividend Regular Payout has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541649 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 237 - 36M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541860 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 244 - 36M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated January 22, 2021
and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541665 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 238 -36M - Direct Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541862 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 244 - 36M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January 22, 2021
and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------
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Scrip code : 541863 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 244 - 36M - Direct Plan - Dividend Regular Payout Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541864 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 244 - 36M - Direct Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 542482 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP Series 250-39M - Direct Plan - Dividend Regular Payout Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541100 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 223 - 39M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541185 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK FMP - SERIES 226 - 39M - REGULAR - DIVIDEND REGULAR PAYOUT has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541188 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK FMP - SERIES 226 - 39M - DIRECT - DIVIDEND QUATERLY PAYOUT has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

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Scrip code : 541479 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 232 - 36M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541571 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 235 - 36M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541629 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 236-36M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540881 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK - FMP - SERIES 218 - 40M - REGULAR DIVIDEND PAYOUT has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540885 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK - FMP - SERIES 218 - 40M - DIRECT DIVIDEND QTRLY PAYOUT has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540976 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 220 - 40 M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------
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Scrip code : 540979 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 220 - 40 M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541009 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 221 - 40M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541087 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock A C E Fund - Series 2 - Direct Plan - Dividend Payout Option has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541651 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 237 - 36M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541661 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 238 -36M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541747 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 241- 36M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------
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Scrip code : 541748 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 241- 36M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541750 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 241 -36M - Direct Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 542478 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP Series 250-39M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated January 22, 2021 and
is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541140 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 224 - 39M- Regular - Dividend Quarterly Payout has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541244 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 227-39M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541247 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series227-39M - Direct Plan - Dividend Regular Payout Option has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

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Scrip code : 541569 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 235 - 36M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541628 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 236-36M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541631 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 236-36M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 542584 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 251 - 38M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January 22, 2021
and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540858 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK FMP SERIES - 217 - 40M - DIRECT PLAN - GROWTH OPTION has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540927 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 219 - 40M - Dir - Growth Mat Dt 28-Apr-2021 has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------
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Scrip code : 540977 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 220 - 40 M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540978 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 220 - 40 M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of
the Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541098 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 223 - 39M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541570 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 235 - 36M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541663 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 238 -36M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541664 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 238 -36M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------
Page 85
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Scrip code : 541666 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 239 -36M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541822 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 243 - 36M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541825 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 243 - 36M - Direct Plan - Dividend Regular Payout Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541085 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock A C E Fund - Series 2 - Regular Plan - Dividend Payout Option has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541097 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP LIQUID ETF has informed BSE about the NAV of the Scheme dated January 22, 2021 and is placed at Corporate Announcement on
BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541141 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 224 - 39M- Direct Plan - Growth has informed BSE about the NAV of the Scheme dated January 22,
2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------
Page 86
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Scrip code : 541187 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK FMP - SERIES 226 - 39M - DIRECT - GROWTH has informed BSE about the NAV of the Scheme dated January 22, 2021
and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541534 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP- Sr 233 - 36M - Regular Plan - Dividend Regular Payout option has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541535 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP- Sr 233 - 36M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 542483 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP Series 250-39M - Direct Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 542582 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 251 - 38M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 542583 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 251 - 38M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------
Page 87
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Scrip code : 540856 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK FMP SERIES - 217 - 40M - REGULAR PLAN - DIVIDEND PAYOUT OPTION has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540882 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK - FMP - SERIES 218 - 40M - REGULAR DIVIDEND QTRLY PAYOUT has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541007 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 221 - 40M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541138 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 224- 39M - Regular - Growth has informed BSE about the NAV of the Scheme dated January 22, 2021
and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541186 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK FMP - SERIES 226 - 39M - REGULAR - DIVIDEND QUARTERLY PAYOUT has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541477 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 232 - 36M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------
Page 88
bu270121.txt

Scrip code : 541630 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 236-36M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541662 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 238 -36M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 542479 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP Series 250-39M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540860 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK FMP SERIES - 217 - 40M - DIRECT PLAN - DIVIDEND QUARTERLY PAYOUT OPTION has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540883 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK - FMP - SERIES 218 - 40M - DIRECT GROWTH has informed BSE about the NAV of the Scheme dated January 22, 2021
and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541012 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 221 - 40M - Direct Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

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Page 89
bu270121.txt

Scrip code : 541084 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock A C E Fund - Series 2 - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

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Scrip code : 541086 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock A C E Fund - Series 2 - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541099 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 223 - 39M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541821 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 243 - 36M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated January 22, 2021
and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541823 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 243 - 36M - Regular Plan - Dividend Quarterly Payout Option has informed BSE about the NAV of the Scheme
dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541824 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 243 - 36M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January 22, 2021
and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------
Page 90
bu270121.txt

Scrip code : 542585 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP FMP - Series 251 - 38M - Direct Plan - Dividend Regular Payout Option has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540855 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK FMP SERIES - 217 - 40M - REGULAR PLAN - GROWTH OPTION has informed BSE about the NAV of the Scheme dated
January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 540857 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BLACKROCK FMP SERIES - 217 - 40M - REGULAR PLAN - DIVIDEND QUARTERLY PAYOUT OPTION has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541246 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series227-39M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541533 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP- Sr 233 - 36M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated January 22,
2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541650 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 237 - 36M - Regular Plan - Dividend Regular Payout Option has informed BSE about the NAV of the
Scheme dated January 22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------
Page 91
bu270121.txt

Scrip code : 541668 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 239 -36M - Direct Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 541746 Name : DSP BlackRock Mutual Fund

Subject : Declaration of NAV

DSP BlackRock FMP - Series 241- 36M - Regular Plan - Growth Option has informed BSE about the NAV of the Scheme dated January
22, 2021 and is placed at Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 533719 Name : IDBI Mutual Fund

Subject : Declaration of NAV

IDBI Mutual Fund - IDBI Gold ETF has informed BSE about the NAV of the Scheme dated January 25, 2021 and is placed at
Corporate Announcement on BSE-India Website.

----------------------------------------------------------------------------------------------------

Scrip code : 533172 Name : INVESCO MUTAUL FUND

Subject : Declaration of NAV

Invesco India Gold Exchange Traded Fund has informed BSE about the NAV of the Scheme dated January 25, 2021 and is placed at
Corporate Announcement on BSE-India Website.
--------------------------------------------------------------------------------------------------------------------------------------------------
THE EXCHANGE IS NOT RESPONSIBLE OR LIABLE FOR ANY INADVERTANT ERRORS OR OMMISSION IN THE
INFORMATIONS, THOUGH EVERY CARE IS TAKEN TO ENSURE CORRECTNESS AND ACCURACY.

Page 92
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