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28 Dec Intimation of Interest payment for bonds - ISIN INE040A08393
23 Dec  Intimation under Reg 57(4) of SEBI LODR
16 Dec Allotment of 7.84% Basel III Compliant Tier 2 Bonds (Series 3/2022-23)
15 Dec Intimation of Interest Payment for bonds - INE040A08351 
2 Dec   Allotment of 7.86% Basel III Compliant Tier 2 Bonds (Series 2/2022-23)
4 Oct Intimation of Record date - INE040A08351
4 Oct Intimation of Record date - INE040A08393
4 Oct Submission of ISIN details for debt securities - September 30, 2022
4 Oct Disclosure under Reg. 57(5) of SEBI LODR
27 Sept Intimation of Interest payment for bonds - ISIN INE040A08401
23 Sept Intimation under Reg. 57(4) of SEBI LODR
21 Sept Intimation of Interest payment for bonds - ISIN INE040A08369
8 Sept Allotment of 7.84% Basel III Perpetual Bonds (Series 1/2022-23)
17 Aug Intimation of Redemption cum Final Interest payment for bonds - ISIN INE040A08310
5 Jul Disclosure under Reg. 57(5) of SEBI LODR
29 Jun Intimation of Interest payment for bonds - ISIN INE040A08385
23 Jun Intimation under Reg. 57(4) of SEBI LODR
22 Jun Intimation under Reg. 60 of SEBI LODR
14 Jun Intimation under Reg. 60 of SEBI LODR - Record Date
12 May Intimation of Redemption cum Final Interest payment for bonds - ISIN INE040A08377
9 May Intimation under Reg. 60 of SEBI LODR
9 May Intimation under Reg. 60 of SEBI LODR
9 May Intimation under Reg. 60 of SEBI LODR
5 Apr Intimation under Reg. 60 of SEBI LODR
5 Apr Intimation under Reg. 57 of SEBI LODR
31 Mar Intimation of Interest payment for bonds - ISIN INE040A08344
24 Mar Intimation under SEBI LODR - Reg 51
4 Feb Intimation of Interest payment for bonds - ISIN INE040A08310