Debt 31-05-2008
Debt 31-05-2008
Debt 31-05-2008
AARTI INDUSTRIES LIMITED AARTI INDUSTRIES LIMITED AARTI INDUSTRIES LIMITED AARTI INDUSTRIES LIMITED AARTI INDUSTRIES LIMITED AARTI INDUSTRIES LIMITED AARTI INDUSTRIES LIMITED AARTI INDUSTRIES LIMITED AARTI INDUSTRIES LIMITED AARTI INDUSTRIES LIMITED AARTI INDUSTRIES LIMITED AARTI INDUSTRIES LTD.
INE769A08058
7.00% Unsecured Redeemable NonConvertible Debentures Letter of Allotment 7.00% Unsecured Redeemable NonConvertible Debentures Letter of Allotment. 5.25% Unsecured Redeemable NonConvertible Debentures Letter of Allotment. 5.25% Unsecured Redeemable NonConvertible Debentures Letter of Allotment. 5.25% Unsecured Redeemable NonConvertible Debentures Letter of Allotment. 5.25% Unsecured Redeemable NonConvertible Debentures Letter of Allotment. 4.98% Unsecured Redeemable NonConvertible Debentures Letter of Allotment. 4.90% Unsecured Redeemable NonConvertible Debentures Letter of Allotment. 4.95% Unsecured Redeemable NonConvertible Debentures Letter of Allotment. 4.95% Unsecured Redeemable NonConvertible Debentures Letter of Allotment. 4.90% Unsecured Redeemable NonConvertible Debentures Letter of Allotment.Non9.25% Unsecured Convertible Debenture . Letter of Allotment. Date of Maturity: 13/09/2002
INE769A08066
INE769A08074
INE769A08090
INE769A08082
INE769A08108
INE769A08116
INE769A08124
INE769A08132
INE769A08140
INE769A08017
AARTI INDUSTRIES LTD. AARTI INDUSTRIES LTD. AARTI INDUSTRIES LTD. AARTI INDUSTRIES LTD. AARTI INDUSTRIES LTD. ABN AMRO Bank N.V.
INE769A08025
INE769A08033
7.5% Unsecured NonConvertible Debenture. Letter of Allotment. Date of Maturity: 11/12/2002 7.00% Unsecured NonConvertible Bond in the form of Promissory Notes. Unsecured Non8.00% Date of Maturity: Convertible Bonds in the form of Promissory Notes. Unsecured Non 7.75% Date of Maturity: convertible Bonds in the form of Promissory Notes
INE769A09015
INE769A09023
INE769A09031
6.40% Unsecured Non convertible Bonds in the form of Promissory Notes 12.50% Unsecured Subordinate Bonds in the nature of Non-Convertible Debentures MIBOR + 1.25% Secured Redeemeable NCD.Series 19. Date of Maturity: 7.50% Secured Redeemeable NCD.Series 13. Date of Maturity: 8.75% Secured Redeemeable NCD. Date of Maturity: 15/04/2003. Letter of Allotment 8.50% Secured Redeemeable NCD. Date of Maturity: 15./04/2003.Letter of MIBOR + 1.00% Secured Redeemeable NCD. Date of Maturity: 29/04/2003.Letter of 8.75% Secured Redeemeable NCD. Date of Maturity: 29/04/2003.Letter of 8.00% Secured Redeemeable NCD. Date of Maturity: 10/06/2003.Letter of
INE520E08016
ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD.
INE521E08204
INE521E08147
INE521E08014
INE521E08022
INE521E08030
INE521E08048
INE521E08055
ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD.
INE521E08063
INE521E08071
8.00% Secured Redeemeable NCD. Date of Maturity: 10/06/2003.Letter of MIBOR + 1.00% Secured Redeemeable NCD. Date of Maturity: 19/07/2003.Letter of 7.00% Secured Redeemable NCD. Date of Maturity: 26/07/2003. Letter of+Allotment MIBOR 1.10% Secured Redeemeable NCD. Date of Maturity: 01/08/2003.Letter of MIBOR + 1% Secured Redeemeable NCD.Series 9. Date of Maturity: 8.00% Secured Redeemeable NCD.Series 10. Date of Maturity: 7.25% Secured Redeemeable NCD.Series 11. Date of Maturity: 7.75% Secured Redeemeable NCD.Series 12. Date of Maturity: 1.00% Secured MIBOR + Redeemeable NCD.Series 14. Date of Maturity: 1.00% Secured MIBOR + Redeemeable NCD.Series 15. Date of Maturity: 7.00% Secured Redeemeable NCD.Series 16. Date of Maturity: 7.00% Secured Redeemeable NCD.Series 17. Date of Maturity: 1.00% Secured MIBOR + Redeemeable NCD.Series 18. Date of Maturity:
INE521E08089
INE521E08097
INE521E08105
INE521E08113
INE521E08121
INE521E08139
INE521E08154
INE521E08162
INE521E08170
INE521E08188
INE521E08196
ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD.
INE521E08212
INE521E08220
MIBOR + 1.00% Secured Redeemable NCD.Series 20. Date of Maturity: 16/09/2003.Letter of MIBOR + 1.00% Secured Redeemable NCD.Series 21. Date of Maturity: 24/09/2003.Letter of MIBOR + 1.00% Secured Redeemable NCD.Series 22. Date of Maturity: 11/10/2003.Letter of MIBOR + .95% Secured Redeemable NCD.Series 23. Date of Maturity: 28/10/2003.Letter of MIBOR + .80% Secured Redeemable NCD.Series 24. Date of Maturity: 20/11/2003.Letter of MIBOR + .50% Secured Redeemable NCD.Series 25. Date of Maturity: 04/12/2003.Letter of MIBOR + .50% Secured Redeemable NCD.Series A-1. Date of Maturity: 13/12/2003.Letter of MIBOR + .50% Secured Redeemable NCD.Series A-2. Date of Maturity: .50% Secured MIBOR + Redeemable NCD.Series A-3. Date of Maturity: .50% Secured MIBOR + Redeemable NCD.Series A-4. Date of Maturity: 19/12/2003.Letter of MIBOR + .50% Secured Redeemable NCD.Series A-5. Date of Maturity: 27/12/2003.Letter of 6.50% Secured Redeemable NCD.Series A-6. Date of Maturity: 02/01/2004.Letter of MIBOR + .50% Secured Redeemable NCD.Series A-7. Date of Maturity: 03/01/2004. Letter of
INE521E08238
INE521E08246
INE521E08253
INE521E08261
INE521E08279
INE521E08287
INE521E08295
INE521E08303
INE521E08311
INE521E08329
INE521E08337
ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PVT. LTD. ABN AMRO SECURITIES (INDIA) PRIVATE LIMITED ABN AMRO SECURITIES (INDIA) PRIVATE LIMITED ABN AMRO SECURITIES (INDIA) PRIVATE LIMITED ABN AMRO SECURITIES (INDIA) PRIVATE LIMITED ABN AMRO SECURITIES (INDIA) PRIVATE LIMITED ABN AMRO SECURITIES (INDIA) PRIVATE LIMITED ABN AMRO SECURITIES (INDIA) PRIVATE LIMITED ABN AMRO SECURITIES (INDIA) PRIVATE LIMITED ABN AMRO SECURITIES (INDIA) PRIVATE LIMITED ABN AMRO SECURITIES (INDIA) PRIVATE LIMITED
INE521E08345
INE521E08352
6.50% Secured Redeemable NCD.Series A-8. Date of Maturity: 14/01/2004.Letter of MIBOR + .50% Secured Redeemable NCD.Series A-9. Date of Maturity: 15/01/2004.Letter of MIBOR + .50% Secured Redeemable NCD.Series A-11. Date of Maturity: 24/01/2004.Letter of MIBOR + .45% Secured Redeemable NCD.Series A-12. Letter of Allotment
INE521E08360
INE521E08378
INE521E08386
MIBOR + .10% Secured Redeemable NCD.Series A-13. Letter of Allotment MIBOR + .10% Secured Redeemable NCD.Series A-14. Letter of Allotment MIBOR + .10% Secured Redeemable NCD.Series A-15. Letter of Allotment MIBOR Secured Redeemable NCD.Series A-17. Letter of Allotment MIBOR + 25 bps Secured Redeemable NCD.Series A-19. Letter of Allotment MIBOR + 50 bps Secured Redeemable NCD.Series A-20.Option -1. Letter of Allotment 25 bps Secured MIBOR + Redeemable NCD.Series A-20.Option - 2. Letter of Allotment 0.10% Secured MIBOR + Redeemable NCD.Series B-1. Letter of Allotment
INE521E08394
INE521E08402
INE521E07016
INE521E07024
INE521E07032
INE521E07040
INE521E07057
INE521E07065
INE521E07073
INE423A07021
MIBOR minus 0.10% Secured Redeemable NCD.Series B-4. Letter of Allotment 13.50% Secured Redeemable NCD. Date of Maturity: 28/07/2003
AFT INDUSTRIES LIMITED AFT INDUSTRIES LIMITED AFT INDUSTRIES LIMITED AFT INDUSTRIES LIMITED AFT INDUSTRIES LIMITED AGRO DUTCH INDUSTRIES LTD. ALEMBIC LIMITED
INE417A08013
INE417A08021
9.00% Secured Non Convertible Debentures Date of Maturity26/03/2002 .LOA Non 9.00% Unsecured Convertible Debentures Date of Maturity21/6/2002 .LOA Non 8.9% unsecured Convertible Debentures. Date of Maturity-19-092002.LOA 7.9% unsecured Non Convertible Debentures. Date of Maturity21/10/2002.LOA Non 7.40% unsecured Convertible Debentures. Date of Maturity20/01/2003.LOA NCD. 12.75% Secured Date of Maturity: 27.08.2004
INE417A08039
INE417A08047
INE417A08054
INE135B07045
INE426A07016
ALLAHABAD BANK
INE428A08010
NSE MIBOR less 0.10 Secured Redeemable Non-Convertible debentures. Letter of 9.80% Tier-II,Fully Paidup Unsecured Nonconvertible Bonds Series II 12.30% Tier-II Unsecured Non-Convertible Bonds in the nature of Promissory Notes. Unsecured of 6.50% Series-I.Date Redeemable NonConvertible Debentures.
ALLAHABAD BANK
INE428A09018
INE270A08024
INE270A08032
ALOK INDSUTRIES LIMITED ALOK INDUSTRIES LIMITED ALOK INDUSTRIES LIMITED ALOK INDUSTRIES LIMITED ALOK TEXTILE INDUSTRIES LIMITED
ALPEX INTERNATIONAL PRIVATE LIMITED
INE270A07075
10.00% Secured Redeemable NonConvertible Debentures. 16% Secured Fully Convertible Debentures 16% Secured Fully Convertible Debentures 13.00% Secured Non Convertible Debentures. Date of Maturity: 21.10.2002. Full 14% Secured Convertible Debentures
INE270A07034
INE270A07026
INE270A08016
INE270A07018
INE943F08017
INE943F08025
AMFORGE INDUSTRIES INE991A07027 LTD. AMFORGE INDUSTRIES INE991A07043 LTD. AMRUTANJAN FINANCE LTD. AMRUTANJAN FINANCE LTD. AMTEK AUTO LTD. INE725F08018
7.90% Unsecured NonConvertible Redeemable Debentures Letter of Allotment 14.00% Secured Non Convertible Debenture. Date of Maturity: 13/08/2003. FaceNon 14.00% Secured Value Convertible Debenture. Date of Maturity: 13/08/2003. Face Value 11.25% Unsecured NonConvertible Debentures. Date of Maturity : 05/12/2002. 11.50% Unsecured NonConvertible Debentures. Date of Maturity : 17/08/2006 13% Unsecured Redeemable Non Convertible DebentureMaturity date: 02/03/2003 13% Unsecured Redeemable Non Convertible DebentureMaturity date: 30/03/2003
INE725F08026
INE130C08018
INE130C08026
INE130C08034
INE068D08042
13% Unsecured Redeemable Non Convertible DebentureMaturity+ 200 30/04/2003 MIBOR date: bps Unsecured Redeemable Non-Convertible Debentures. bps MIBOR + 200 Unsecured Redeemable Non-Convertible Debentures. bps MIBOR + 200 Unsecured Redeemable Non-Convertible Debentures. 8.40% Unsecured Redeemable NonConvertible Debentures.Date of Non13.60% Unsecured Convertible Subordinated Bonds in the nature of Promissory Notes, . Non11.10% Unsecured Date Convertible Subordinated Bonds in the nature of Promissory Notes, . Date 12.50% Secured NonConvertible Debentures. Date of Final Redemption : 31.03.2004. 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series 1/2000, Option A, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series 1/2000, Option A, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series 1/2000, Option A, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series 1/2000, Option A, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series 1/2000, Option A,
INE068D08059
INE068D08067
INE068D08018
ANDHRA BANK
INE434A09032
ANDHRA BANK
INE434A09040
ANDHRA FUELS PRIVATE LIMITED ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED
INE910F07018
INE847E08013
INE847E08690
INE847E08021
INE847E08708
INE847E08039
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED
INE847E08716
INE847E08070
13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series 1/2000, Option A, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series II/2000, Option A, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series II/2000, Option D, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series II/2000, Option A, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series II/2000, Option D, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series II/2000, Option A, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series II/2000, Option D, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series II/2000, Option A, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series II/2000, Option D, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series II/2000, Option A, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series II.2000, Option D, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series II/2000, Option A, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series II/2000, Option D,
INE847E08161
INE847E08757
INE847E08849
INE847E08088
INE847E08179
INE847E08765
INE847E08856
INE847E08096
INE847E08187
INE847E08773
INE847E08864
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED
INE847E08245
INE847E08336
13.10% Unsecured NonConvertible Debentures in the form of LOA, Series 1/2001, Option A, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series 1/2001, Option D, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series 1/2001, Option A, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series 1/2001, Option D, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series 1/2001, Option A, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series 1/2001, Option D, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series 1/2001, Option A, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series 1/2001, Option D, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series 1/2001, Option A, 13.10% Unsecured NonConvertible Debentures in the form of LOA, Series 1/2001, Option D, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series 1/2001, Option A, 13.10% Unsecured NonConvertible Bonds in the form of Debentures , Series 1/2001, Option D, 12.30% Unsecured NonConvertible Debentures in the form of LOA, Series II/2001, Option A,
INE847E08922
INE847E08AB1
INE847E08252
INE847E08344
INE847E08930
INE847E08AC9
INE847E08260
INE847E08567
INE847E08948
INE847E08AD7
INE847E08393
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA POWER FINANCE CORPORATION LIMITED PRADESH ANDHRA STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION
INE847E08AI6
INE847E08401
12.30% Unsecured NonConvertible Bonds in the form of Debentures , Series II/2001, Option A, 12.30% Unsecured NonConvertible Debentures in the form of LOA, Series II/2001, Option A, 12.30% Unsecured NonConvertible Bonds in the form of Debentures , Series II/2001, Option A, 12.30% Unsecured NonConvertible Debentures in the form of LOA, Series II/2001, Option A, 12.30% Unsecured NonConvertible Bonds in the form of Debentures , Series II/2001, Option A, 11.00% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 11.00% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 13.50% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 13.50% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 12.50% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 12.50% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 14.00% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 14.00% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt.
INE847E08AJ4
INE847E08419
INE847E08AK2
INE695F09011
INE695F09029
INE695F09177
INE695F09185
INE695F09193
INE695F09201
INE695F09219
INE695F09227
ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION ANDHRA PRADESH STATE FINANCIAL CORPORATION APOLLO HOSPITALS ENTERPRISE LTD. APOLLO HOSPITALS ENTERPRISE LTD. ARVIND BRANDS LTD.
INE695F09235
INE695F09243
13.85% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 13.75% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 13.00% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 12.30% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 13.00% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 12.30% Secured NonConvertible SLR Bonds in the form of Promissory Notes. (Secured by Govt. 12.30% Secured NonConvertible SLR Bonds in the form of Promissory Notes. Unsecured Fixed 6.35% (Secured by Govt. Rate Non-Convertible Debentures.
INE695F09151
INE695F09250
INE695F09169
INE695F09268
INE695F09276
INE437A08037
INE437A07013
INE055B07029
15.50% Secured Redeemable NCD. Date of Final Redemption : 18/08/2003. Convertible 15.00% Non Debentures. Date of Maturity: 31/05/2005
ASHIMA LIMITED
INE440A07017
14.50% Secured Redeemable NonConvertible Debentures. 9.00% Secured NonConvertible Debenture ; Date of Maturity:08.04.2002. 12.00% Secured NonConvertible Debenture, SRNCD Series II; Date of Maturity:06/05/2002
INE251A08057
INE251A07034
ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED
INE251A08180
INE251A08107
9.40% Secured NonConvertible Debenture ; Date of Maturity:21/05/2002 Zero Coupon Secured Non-Convertible Debenture ; Date of Maturity:01/06/2002 9.25% Secured NonConvertible Debenture ; Date of Maturity:03.06.2002. 8.50% Secured NonConvertible Debenture ; Date of Maturity:07.06.2002. 9.40% Secured NonConvertible Debenture ; Date of Maturity:12/06/2002 10.00% Secured NonConvertible Debenture ; Date of Maturity:12/09/2002 Zero Coupon Secured Non-Convertible Debenture ; Date of Maturity:29/9/2002 Letter 10.20% Secured NonConvertible Debenture ; Date of Maturity:11.10.2002. Secured Non-Convertible Debenture (Step up Series- With Put &Call Option Securedof 9.30% ) ; Date NonConvertible Debenture ; Date of Maturity:20/11/2002 9.30% Secured NonConvertible Debenture ; Date of Maturity:20/12/2002 Zero Coupon Secured Non-Convertible Debenture ; Date of Maturity:28/03/2003 10.40% Secured NonConvertible Debenture ; Date of Maturity:02/04/2003
INE251A08164
INE251A08156
INE251A08131
INE251A08198
INE251A08099
INE251A07018
INE251A07026
INE251A08230
INE251A08214
INE251A08115
INE251A08149
ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED
INE251A08172
INE251A08123
10.50% Secured NonConvertible Debenture ; Date of Maturity:04.04.2003. Zero Coupon Secured Non-Convertible Debenture ; Date of Maturity:10/04/2003 12.00% Secured NonConvertible Debenture, SRNCD Series II; Date of Maturity:06/05/2003 9.70% Secured NonConvertible Debenture ; Date of Maturity:24/05/2003 8.75% Secured Redeemable NonConvertible DeventuresJuly 2002. Date of 8.75% Secured Redeemable NonConvertible DeventuresJuly 2002. Date of 9.00% Secured Redeemable NonConvertible Debentures.Date of 9.00% Secured Redeemable NonConvertible Debentures.Date of 5.05% Secured Redeemable NonConvertible Debentures. Series 6. Letter of 5.07% Secured Redeemable NonConvertible Debentures. Series 8. Letter of 5.07% Secured Redeemable NonConvertible Debentures. Series 9. Letter of Zero Coupon Secured Redeemable NonConvertible Debentures.
INE251A07042
INE251A08222
INE251A08255
INE251A07083
INE251A08263
INE251A07091
INE251A07158
INE251A07182
INE251A07190
INE251A08297
INE251A08305
ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND FINANCE LIMITED ASHOK LEYLAND LIMITED
INE251A08271
INE251A07109
9.75% Secured Redeemable NonConvertible Debentures.Date of 9.75% Secured Redeemable NonConvertible Debentures.Date of 5.65% Secured Redeemable NonConvertible Debentures.
INE251A07141
INE251A08248
INE251A07075
9.75% Secured NonConvertible Debenture ; Date of final redemption :28-03-2005(Letter of 9.75% Secured NonConvertible Debenture ; Date of Maturity:28/03/2005 9.85% Secured NonConvertible Debenture ; Date of Maturity:24/05/2005 MIBOR + 160 bps Secured Redemable NonConvertible Debentures. Series 3. Letter of 10.05% Secured Redeemable NonConvertible Debentures.Date of 10.05% Secured Redeemable NonConvertible Debentures.Date Secured MIBOR + 40 bps of Redemable NonConvertible Debentures. Series 4. Letter of MIBOR + 130 bps Secured Redemable NonConvertible Debentures. Series 7+Option - I. Letter MIBOR 170 bps Secured Redemable NonConvertible Debentures. Series 7Secured II. 14.00% Option Redeemable NonConvertible Debenture Series XIX. Date of Final
INE251A08206
INE251A07125
INE251A08289
INE251A07117
INE251A07133
INE251A07166
INE251A07174
INE208A07117
ASHOK LEYLAND LIMITED ASHOK LEYLAND LIMITED ASHOK LEYLAND LIMITED ASHOK LEYLAND LIMITED ASHOK LEYLAND LIMITED ASHOK LEYLAND LIMITED ASHOK LEYLAND LIMITED ASIANET SATELLITE COMMUNICATIONS LTD. ASIANET SATELLITE COMMUNICATIONS LTD. ASIANET SATELLITE COMMUNICATIONS LTD. ASIANET SATELLITE COMMUNICATIONS LTD. ASIANET SATELLITE COMMUNICATIONS LTD. ASIANET SATELLITE COMMUNICATIONS LTD.
INE208A07125
INE208A07133
12.50% Secured Redeemable NonConvertible Debenture Series XX. Date of Final 12.25% Secured Redeemable NonConvertible Debenture Series XXI. Date of Final 18.00% Secured Redeemable NonConvertible Debenture Series XIV-. Date of Final 12.50% Secured Redeemable NonConvertible Debenture Series XXII. Date of Final 6.20% Secured Redeemable NonConvertible Debenture Series AL10 8.15% Secured Redeemable NonConvertible Debenture Series AL 9(A)- Letter of 8.15% Secured Redeemable NonConvertible Debenture Series AL 9(A)- . Date of 16.00% Unsecured NonMarketable Cumulative Subordinated (optionally convertible in case of 16.00% Unsecured NonMarketable Cumulative Subordinated (optionally convertible in case of 16.00% Unsecured NonMarketable Cumulative Subordinated (optionally convertible in case of 16.00% Unsecured NonMarketable Cumulative Subordinated (optionally convertible in case of 16.00% Unsecured NonMarketable Cumulative Subordinated (optionally convertible in case of 16.00% Unsecured NonMarketable Cumulative Subordinated (optionally convertible in case of
INE208A07109
INE208A07141
INE208A08107
INE208A08081
INE208A07240
INE829F08018
INE829F08026
INE829F08034
INE829F08042
INE829F08059
INE829F08067
ASIANET SATELLITE COMMUNICATIONS LTD. ASIANET SATELLITE COMMUNICATIONS LTD. ASIANET SATELLITE COMMUNICATIONS LTD. ASSOCIATES INDIA FINANCIAL SERVICES LIMITED ASSOCIATES INDIA FINANCIAL SERVICES LIMITED
ASSOCIATES INDIA FINANCIAL SERVICES LIMITED
INE829F08075
INE829F08083
16.00% Unsecured NonMarketable Cumulative Subordinated (optionally convertible in case of 16.00% Unsecured NonMarketable Cumulative Subordinated (optionally convertible in case of 16.00% Unsecured NonMarketable Cumulative Subordinated (optionally convertible in case of 6.55% Secured Redeemable NonConvertible Debentures Series 107.Letter of 6.55% Secured Redeemable NonConvertible Debentures Series 107. 6.65% Secured Redeemable
Non-Convertible Debentures Series 111.Letter of Allotment
INE829F08091
INE915D08AK9
INE915D07AC8
INE915D08AM5
INE915D07AE4
INE915D08AJ1
6.65% Secured Redeemable NonConvertible Debentures Series 111. MIBOR + 1.00% Secured
Redeemable Non-Convertible Debentures Series 109.
ASSOCIATES INDIA FINANCIAL SERVICES LIMITED ASSOCIATES INDIA FINANCIAL SERVICES LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITE ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITE ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITE
INE915D07AB0
INE915D07BX2
MIBOR + 1.00% Secured Redeemable NonConvertible Debentures Series 109. 5.38% Secured Redeemable NonConvertible Debentures. Series 162 . Letter of 6.70% Secured Redeemable NonConvertible Debentures Series 112.Letter of 6.70% Secured Redeemable NonConvertible Debentures Series 112. 6.50% Secured Redeemable NonConvertible Debentures Series-115. Letter of
INE915D08AN3
INE915D07AF1
INE915D08AT0
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITE ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITE ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITE ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITE ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITE ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITE ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITE ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITE Associates India Financial Services Private Limited ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D08AR4
INE915D08AP8
6.00% Secured Redeemable NonConvertible Debentures Series-118. Letter of 6.9% Secured NCD-LOASR 116
INE915D08AQ6
6.7% Secured NCD-LOA SR 113 6.7% Secured NCD-LOA SR-114 6.25% Secured Redeemable NonConvertible Debentures Series-120. Letter of 6.05% Secured Redeemable NonConvertible Debentures Series-124. Letter of 6.45% Secured Redeemable NonConvertible Debentures Series-117. Letter of MIBOR + 1.20% Secured Redeemable NonConvertible Debentures Series-122. Letter of 9.25% Secured Redeemable Non Convertible Debentures (SeriesSecured 9.25% 36) Redeemable Non Convertible Debentures (Series 36) 13.75% Secured Non Convertible Debenture, Date of maturity :15/03/2002 13.75% Secured Non Convertible Debenture, Date of maturity :15/03/2002 10.70% Secured Non Convertible Debenture, Series DS 7 Date of maturity :10/04/2002
INE915D08AO1
INE915D08AS2
INE915D08AU8
INE915D08AW4
INE915D08AV6
INE915D08143
INE915D07145
INE915D08259
INE915D07293
INE915D08283
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07335
INE915D08291
10.70% Secured Non Convertible Debenture, Series DS 7 Date of maturity Secured Non 10.60% :10/04/2002 Convertible Debenture, Series DS 10 Date of maturity Secured Non 10.60% :29/04/2002 Convertible Debenture, Series DS 10 Date of maturity Secured Non 11.65% :29/04/2002 Convertible Debenture, Series DS 2 Date of maturity Secured Non 11.65% :08/05/2002 Convertible Debenture, Series DS 3, Option I Date of maturity Non 10.15% Secured Convertible Debenture, Series DS 15 Date of maturity Secured Non 10.15% 31/05/2002 Convertible Debenture, Series DS 15 Date of maturity 31/05/200247, 8.65% NCD Series Date of Maturity: 13/06/2002. LOA
INE915D07343
INE915D08275
INE915D07319
INE915D08317
INE915D07368
INE915D08432
INE915D07434
8.65% NCD Series 47, Date of Maturity: 13/06/2002. NSE Mibor + 65 Bps Secured Non Convertible Debenture, Series DS 18 & 19 Miborof maturity: NSE Date + 65 Bps Secured Non Convertible Debenture, Series DS 18 & 19 Date of maturity: 9.90% Secured Non Convertible Debenture, Series DS 20 Date of maturity: 09/07/2002 Zero Coupon Secured Non Convertible Debenture, Series DS 20 Date of maturity:
INE915D08341
INE915D07392
INE915D08358
INE915D07400
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D08374
INE915D07418
NSE Mibor + 65 Bps Secured Non Convertible Debenture, Series DS 23 Date Mibor + 65 Bps NSE of maturity: Secured Non Convertible Debenture, Series DS 23 Date of maturity: Non 11.00% Secured Convertible Debenture, Series DS 2 Date of maturity Secured Non 11.00% :25/07/2002 Convertible Debenture, Series DS 2 Date of maturitySecured Non 8.55% :25/07/2002 Convertible Debenture, Series 54, Date of maturity: 8.55% Secured Non Convertible Debenture, Series 54, Date of maturity: 16/08/2002 9.20% Secured Redeemable Non Convertible DebenturesSeries 29 (Letter of 9.20% Secured Redeemable Non Convertible DebenturesSeries 28 (Letter of 9.20% Secured Redeemable Non Convertible DebenturesSeries 28 9.20% Secured Redeemable Non Convertible DebenturesSeries 29 + 130 Bps NSE Mibor Secured Non Convertible Debenture, Series 58 Date Mibor + 130 Bps NSE of maturity: Secured Non Convertible Debenture, Series 58 Date MIBOR + 65 Bps NSE of maturity: Secured Redeemable Non Convertible Debentures-Series 31
INE915D08267
INE915D07301
INE915D08515
INE915D07491
INE915D08085
INE915D08077
INE915D07079
INE915D07087
INE915D08556
INE915D07525
INE915D08101
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED Associates India Financial Services Private Limited ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D08119
INE915D08564
NSE MIBOR + 60 Bps Secured Redeemable Non Convertible Debentures-Series 32 8.25% Secured Non Convertible Debenture, Series 59 Date of maturity: redeemabe non Secured convertible debentures (Sr. 34) NSE MIBOR + 60bps redeemabe non Secured convertible debentures (Sr. 35) NSE MIBOR + 65bps Secured Non 9.25% Convertible Debenture, Series 60 Date of maturity: 9.25% Secured Non Convertible Debenture, Series 60 Date of maturity: Redeemable Secured 20/09/2002() Non Convertible Debentures (Series 37) NSE MIBOR + 75 bps NSE MIBOR + 75 bps Secured Redeemable Non Convertible Debentures (Series 37) NSE MIBOR + 65 bps Non Convertible Debentures (Letter of Allotment)Series 41 NSE MIBOR + 65 bps Non Convertible Debentures Series 41
INE915D08135
INE915D08150
INE915D08572
INE915D07533
INE915D08168
INE915D07160
INE915D08218
INE915D07210
INE915D08499
INE915D07475
Zero Coupon Secured Non Convertible Debenture, Series 52, Date Coupon Secured Zero of maturity: Non Convertible Debenture, Series 52, Date of Secured Non 9.00% maturity: Convertible Debenture, Series 67, Letter of Allotment. Date of
INE915D08648
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07590
INE915D08663
9.00% Secured Non Convertible Debenture, Series 67, . Date of maturity: 29/10/2002 8.35% Secured Non Convertible Debenture, Series 69, Letter of Allotment. Date of 11.75% Secured Non Convertible Debenture, Series DS 3, Option II, Date Mibor + 80 bps NSE of maturity Secured Redeemable Non Convertible Debentures-Series 44 NSE Mibor + 75 bps Secured Redeemable Non Convertible Debentures-Series 43 NSE Mibor + 80 bps Secured Redeemable Non Convertible Debentures-Series 44 NSE Mibor + 75 bps Secured Redeemable Non Convertible Debentures-Series 8.80% Secured Non 43
Convertible Debenture, Series 74, Option I -A, Letter of Allotment. Date of
INE915D07327
INE915D08226
INE915D08234
INE915D07251
INE915D07244
INE915D08697
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07632
INE915D08408
8.80% Secured Non Convertible Debenture, Series 74, Option I -A, . Date ofNCD Series 45, 8.90% maturity:
INE915D08416
Option I;(Letter of Allotment) Date of Maturity: 28/11/2002 Zero coupon NCD Series 45, Option II;(Letter of Allotment) Date of Maturity: 28/11/2002 8.90% NCD Series 45, Option I
INE915D07269
INE915D07277
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D08424
INE915D07426
NSE Mibor + 150 Bps Secured Non Convertible Debenture, Series 46 Date Mibor + 150 Bps NSE of maturity: Secured Non Convertible Debenture, Series 46 Date of Secured Non 8.80% maturity: Convertible Debenture, Series 74 Option I-B, Letter of Allotment. Date 8.80% Secured Non Convertible Debenture, Series 74 Option I-B, . Date Mibor + 75 Bps NSE of maturity: 11-12Secured Non Convertible Debenture, Series 48 Date Mibor + 75 Bps NSE of maturity: Secured Non Convertible Debenture, Series 48 Date Mibor + 75 Bps NSE of maturity: Secured Non Convertible Debenture, Series 49 Date Mibor + 75 Bps NSE of maturity: Secured Non Convertible Debenture, Series 49 Date Mibor + 75 bps NSE of maturity: Secured Redeemable Non Convertible Debenture, Series 50 7.00%Secured Non Convertible Debenture, Series 79. Letter of Allotment. DateNon 7.00%Secured of Convertible Debenture, Series 79. . Date of maturity: 23/01/2003 8.92% Secured Non Convertible Debenture, Series 56 Date of maturity: 8.92% Secured Non Convertible Debenture, Series 56 Date of maturity: 21/02/2003()
INE915D08713
INE915D07657
INE915D08457
INE915D07442
INE915D08465
INE915D07459
INE915D08473
INE915D08812
INE915D07756
INE915D08531
INE915D07517
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D08523
INE915D07509
NSE Mibor + 200 Bps Secured Non Convertible Debenture, Series 55 Date Mibor + 200 Bps NSE of maturity: Secured Non Convertible Debenture, Series 55 Date Mibor + 65 Bps NSE of maturity: Secured Non Convertible Debenture, Series 57 Date ofSecured Non 8.60% maturity: Convertible Debenture, Series 62 Date of maturity: 9.00% Secured Non Convertible Debenture, Series 64 Date of maturity: 9.00% Secured Non Convertible Debenture, Series 64 Date of maturity: 02/04/2003() 9.00% Secured Non Convertible Debenture, Series 63 Date of maturity: 9.00% Secured Non Convertible Debenture, Series 63 Date of maturity: 03/04/2003() 9.50% Secured Non Convertible Debenture, Series 61 Date of maturity: 9.50% Secured Non Convertible Debenture, Series 61 Date of maturity: 08/04/2003() NSE Mibor + 65 Bps Secured Non Convertible Debenture, Series 65 Date Mibor + 65 Bps NSE of maturity: Secured Non Convertible Debenture, Series 65 Date of Secured Non 9.00% maturity: Convertible Debenture, Series 68, Letter of Allotment. Date of
INE915D08549
INE915D08598
INE915D08606
INE915D07566
INE915D08614
INE915D07558
INE915D08580
INE915D07541
INE915D08622
INE915D07574
INE915D08655
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07608
INE915D08309
9.00% Secured Non Convertible Debenture, Series 68, . Date of maturity:Secured Non 11.00% 30/04/2003 Convertible Debenture, Series DS 11 Date of maturity Secured Non 11.00% :05/05/2003 Convertible Debenture, Series DS 11 Date of maturitySecured Non 9.00% :05/05/2003 Convertible Debenture, Series 71, Letter of Allotment. Date of 9.00% Secured Non Convertible Debenture, Series 71, . Date of maturity: 15/05/2003 6.27% Secured Non Convertible Debenture, Series 97. Letter of Allotment. Date of 6.27% Secured Non Convertible Debenture, Series 97. Date of maturity: 27/05/2003 6.27% Secured Non Convertible Debenture, Series 97. Date of maturity: 27/05/2003 6.39% Secured Redeemable NonConvertible Debentures Series 110.Letter of 6.39% Secured Redeemable NonConvertible Debentures Series 110. Non 9% Secured Convertible Debenture, Series 74 Option II. Letter of Allotment. Date 9% Secured Non Convertible Debenture, Series 74 Option II. . Date of maturity: 12-0610.30% Secured Non Convertible Debenture, Series DS 16 Date of maturity: 20/06/2003
INE915D07350
INE915D08671
INE915D07624
INE915D08978
INE915D07897
INE915D07897
INE915D08AL7
INE915D07AD6
INE915D08721
INE915D07665
INE915D08325
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07376
INE915D08AC6
10.30% Secured Non Convertible Debenture, Series DS 16 Date of maturity: 20/06/2003 6.20% Secured Non Convertible Debenture, Series 103. Letter of Allotment. Date of 6.20% Secured Non Convertible Debenture, Series 103. Date of maturity: 03/07/2003 6.20% Secured Non Convertible Debenture, Series 103. Date of maturity:Secured Non 10.00% 03/07/2003 Convertible Debenture, Series DS 17 Date of maturity:Secured Non 10.00% 05/07/2003 Convertible Debenture, Series DS 17 Date of maturity: 05/07/2003 8.70% Secured Non Convertible Debenture, Series 76 Option II. Letter of Allotment. Date 8.70% Secured Non Convertible Debenture, Series 76 Option II. . Date + maturity: Mibor of 1.25% (floor -8.45%
& cap - 8.65%) Secured Non Convertible Debenture, Series 78. Letter of
INE915D07947
INE915D07947
INE915D08333
INE915D07384
INE915D08788
INE915D07723
INE915D08770
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07715
INE915D08AG7
mibor + 1.25% (floor 8.45% & cap - 8.65%) Secured Non Convertible Debenture, Series 78. . 6.20% Secured Non Convertible Debenture, Series 105. Letter of Allotment. Date of 6.20% Secured Non Convertible Debenture, Series 105. . Date of maturity: 15/07/2003 9.10% Secured Non Convertible Debenture, Series 51 Date of maturity:
INE915D07988
INE915D08481
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07467
INE915D08AH5
9.10% Secured Non Convertible Debenture, Series 51 Date of maturity: 30/07/2003 6.30% Secured Non Convertible Debenture, Series 106. Letter of Allotment. Date of 6.30% Secured Non Convertible Debenture, Series 106. . Date of maturity: 05/08/2003 5.30% Secured Redeemable NonConvertible Debentures Series-126. Letter of Sr. 6.3% Secured NCD. 126
INE915D07996
INE915D08BA8
INE915D07AS4
INE915D08820
INE915D07764
NSE MIBOR +.60% Secured Non Convertible Debenture, Series 81 Option I. Letter of NSE MIBOR +.60% Secured Non Convertible Debenture, Series 81 Option Secured Non 7.50% I. . Date of Convertible Debenture, Series 85. Letter of Allotment. Date of 7.50% Secured Non Convertible Debenture, Series 85. . Date of maturity: 02/09/2003 NSE MIBOR + 0.60% Secured Non Convertible Debenture, Series 88. Letter of Allotment. Date NSE MIBOR + 0.50% Secured Non Convertible Debenture, Series 90. Letter of Allotment. Date NSE MIBOR + 0.50% Secured Non Convertible Debenture, Series 90. . Date of maturity: 5.4% Secured NCD Sr. 142
INE915D08861
INE915D07806
INE915D08887
INE915D08895
INE915D07822
INE915D08BO9
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D08242
INE915D07285
11.75% Secured Non Convertible Debenture, Date of maturity :13/10/2003 11.75% Secured Non Convertible Debenture, Date of maturity :13/10/2003 6.95% Secured Non Convertible Debenture, Series 91. Letter of Allotment. Date0.50% NSE MIBOR + of Secured Non Convertible Debenture, Series 92. Letter of Allotment. Date 6.95% Secured Non Convertible Debenture, Series 91. . Date of maturity: 23/10/2003 Sr. 6.5% Secured NCD. 115
INE915D08911
INE915D08929
INE915D07848
INE915D07AI5
INE915D08945
INE915D07863
6.60% Secured Non Convertible Debenture, Series 94. Letter of Allotment. Date of 6.60% Secured Non Convertible Debenture, Series 94. Date of maturity: 07/11/2003 6.60% Secured Non Convertible Debenture, Series 94. Date of maturity: 07/11/2003 5.85% Secured Redeemable NonConvertible Debentures Series-119. Letter of Sr. 5.85% Secured NCD. 119
INE915D07863
INE915D08AZ7
INE915D07AM7
INE915D07AL9
6% Secured NCD. Sr. 118 5.22% Secured Redeemable NonConvertible Debentures. Series 152.
INE915D07BO1
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07AJ3
6.3% Secured NCD. Sr. 116 Mibor + 1.00% Secured Non Convertible Debenture, Series 108. Letter + 1.00% Secured Mibor of Allotment. Non Convertible Debenture, Series 108. .
INE915D08AI3
INE915D07AA2
INE915D08382
9.20% NCD Series 42, Option I; Date of Maturity: 26/11/2003 9.20% Non Convertible Debenture Series 42 Option I 5.35% Secured Redeemable NonConvertible Debentures Series-133. Letter of Sr. 5.35% Secured NCD. 133
INE915D07228
INE915D08BH3
INE915D07AZ9
INE915D08AA0
INE915D07921
6.36% Secured Non Convertible Debenture, Series 99. Letter of Allotment. Date of 6.36% Secured Non Convertible Debenture, Series 99. Date of maturity: 09/12/2003 6.36% Secured Non Convertible Debenture, Series 99. Date of maturity: 09/12/2003 5.35% Secured Redeemable NonConvertible Debentures Series-134. Letter of Sr. 5.35% Secured NCD. 134
INE915D07921
INE915D08BI1
INE915D07BA0
INE915D08747
mibor + 1.9% Secured Non Convertible Debenture, Series 75. Letter of Allotment. Date
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07681
INE915D07BQ6
mibor + 1.9% Secured Non Convertible Debenture, Series 75. . Date ofSecured 18-125.18% maturity: Redeemable NonConvertible Debentures. Series 154. 6.30% Secured Non Convertible Debenture, Series 104 Option I. Letter of Allotment. Date NSE Mibor + 80 bps( with a floor of 6.25% p.a. & a cap of 6.30%) Secured Non ConvertibleNon 6.30% Secured Convertible Debenture, Series 104 Option I. Date Mibor + 80 bps( with NSE of maturity: a floor of 6.25% p.a. & a cap of 6.30%) Secured Non ConvertibleNon 6.30% Secured Convertible Debenture, Series 104 Option I. Date Mibor + 80 bps( with NSE of maturity: a floor of 6.25% p.a. & a cap of 6.30%) Secured Non Convertible 5.55% Secured Redeemable NonConvertible Debentures. Series 141. 5.35% Secured Redeemable NonConvertible Debentures. Series 148. 9.50% Secured Non Convertible Debenture, Series 53, Date of maturity: 9.50% Secured Non Convertible Debenture, Series 53, Date of maturity: 06/02/2004 5.05% Secured Redeemable NonConvertible Debentures. Series 165 . Letter of
INE915D08AE2
INE915D08AF9
INE915D07962
INE915D07970
INE915D07962
INE915D07970
INE915D07BE2
INE915D07BJ1
INE915D08507
INE915D07483
INE915D07CA8
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D08846
INE915D07780
7.57% Secured Non Convertible Debenture, Series 83. Letter of Allotment. Date of 7.57% Secured Non Convertible Debenture, Series 83. . Date of maturity: 24/02/2004 5.50% Secured Redeemable NonConvertible Debentures Series-129. Letter of Sr. 5.5% Secured NCD. 129
INE915D08BD2
INE915D07AV8
INE915D08BF7
INE915D07AX4
5.55% Secured Redeemable NonConvertible Debentures Series-131. Letter of Sr. 5.55% Secured NCD. 131
INE915D07CB6
INE915D07AG9
5.10% Secured Redeemable NonConvertible Debentures. Series 166 . Letter ofSr. 6.7% Secured NCD. 113
INE915D07AH7
6.7% Secured NCD. Sr. 114 6.25% Secured NCD. Sr. 120 NSE MIBOR + 1.20% Secured Non Convertible Debenture, Series 93. Letter of Allotment. Date NSE MIBOR + 1.20% Secured Non Convertible Debenture, Series 93. . Date of Secured Non 9.40% maturity: Convertible Debenture, Series 66, Letter of Allotment. Date of
INE915D07AN5
INE915D08937
INE915D07855
INE915D08630
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07582
INE915D07AQ8
9.40% Secured Non Convertible Debenture, Series 66, . Date of maturity: 29/04/2004 Sr. 6.05% Secured NCD. 124
INE915D07AK1
6.45% Secured NCD. Sr. 117 5.95% Secured Redeemable NonConvertible Debentures Series-123. Letter of NSE MIBPOR + 20 bps Secured Redeemable Non-Convertible Debentures Series-125. 5.95% Secured NCD. Sr. 123
INE915D08AX2
INE915D08AY0
INE915D07AP0
INE915D07AR6
Mibor+20bps Secured NCD. Sr. 125 Zero Coupon Secured Non Convertible Debenture, Series 128. Letter of Allotment Zero Coupon Secured NCD. Sr. 128
INE915D08BC4
INE915D07AU0
INE915D08BE0
INE915D07AW6
Mibor + 0.20% Secured Redeemable NonConvertible Debentures Series-130. Letter of Mibor+20bps Secured NCD. Sr. 130
INE915D07CZ5
INE915D08BG5
4.90% Secured Redeemable Non Convertible DebenturesSeries 189. Letter Of Zero Coupon Secured Redeemable NonConvertible Debentures Series-132. Letter of
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07AY2
Zero Coupon Secured NCD. Sr. 132 5.65% Secured Redeemable NonConvertible Debentures Series-135. Letter of Sr. 5.65% Secured NCD. 135
INE915D08BJ9
INE915D07BB8
INE915D07BR4
INE915D08BL5
5.40% Secured Redeemable NonConvertible Debentures. Series 155. 5.75% Secured NCD Series-137
INE915D07CC4
INE915D08BN1
Secured Redeemable Non-Convertible Debentures (Discounted). Series 167 . Letter of Sr. 5.76% Secured NCD 139 1
INE915D08366
INE915D07012
10.00% Secured Non Convertible Debenture, Series DS 22 Date of maturity: 12/07/2004 10%Secured NonConvertible Debenture Series 22
INE915D08796
INE915D07731
8.75% Secured Non Convertible Debenture, Series 77 Option I. Letter of Allotment. Date of 8.75% Secured Non Convertible Debenture, Series 77 Option I. . Date ofSecured 5.55% maturity: Redeemable NonConvertible Debentures. Series 149. 4.95% Secured Redeemable Non Convertible DebenturesSeries 184. Letter Of
INE915D07BK9
INE915D07CU6
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07BN3
INE915D07CW2
5.80% Secured Redeemable NonConvertible Debentures. Series 144. 5.00% Secured Redeemable Non Convertible DebenturesSeries 186. Letter Of 5.05% Secured Redeemable Non Convertible DebenturesSeries 188. Letter Of 5.00% Secured Redeemable Non Convertible DebenturesSeries 185. Letter Of 7.75% Secured Non Convertible Debenture, Series 86 Option I. Letter of Allotment. Date of 7.75% Secured Non Convertible Debenture, Series 86 Option I. . Date ofSecured 5.40% maturity: Redeemable NonConvertible Debentures. Series 161 . Letter of 5.45% Secured Redeemable NonConvertible Debentures. Series 164 . Letter of 5.30% Secured Redeemable NonConvertible Debentures. Series 168 . Letter of 5.25% Secured Redeemable NonConvertible Debentures. Series 169 . Letter of 5.20% Secured Redeemable NonConvertible Debentures. Series 171 . Letter of Zero Coupon Secured NCD. Series172 - Option I. Letter Of Allotment.
INE915D07CY8
INE915D07CV4
INE915D08879
INE915D07814
INE915D07BW4
INE915D07BZ7
INE915D07CD2
INE915D07CE0
INE915D07CG5
INE915D07CH3
INE915D07CI1
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D08952
INE915D07871
6.90% Secured Non Convertible Debenture, Series 95. Letter of Allotment. Date of 6.90% Secured Non Convertible Debenture, Series 95. Date of maturity: 12/11/2004 6.90% Secured Non Convertible Debenture, Series 95. Date of maturity: 12/11/2004 9.45% NCD Series 42, Option II; Date of Maturity: 26/11/2004
INE915D07871
INE915D08390
INE915D07236
9.45% Non Convertible Debenture Series 42, Option II 6.65% Secured Non Convertible Debenture, Series 98. Letter of Allotment. Date of 6.65% Secured Non Convertible Debenture, Series 98. Date of maturity: 29/11/2004 6.65% Secured Non Convertible Debenture, Series 98. Date of maturity: 29/11/2004 5.40% Secured Redeemable Non Convertible DebenturesSeries 175. Letter Of 5.40% Secured Redeemable Non Convertible DebenturesSeries 176. Letter Of 6.55% Secured Non Convertible Debenture, Series 102. Letter of Allotment. Date of 6.55% Secured Non Convertible Debenture, Series 102. Date of maturity: 07/01/2005 6.55% Secured Non Convertible Debenture, Series 102. Date of maturity: 07/01/2005
INE915D08986
INE915D07905
INE915D07905
INE915D07CL5
INE915D07CN1
INE915D08AD4
INE915D07954
INE915D07954
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07CT8
INE915D07BF9
5.25% Secured Redeemable Non Convertible DebenturesSeries 183. Letter Of 6.00% Secured Redeemable NonConvertible Debentures. Series 145. 5.68% Secured Redeemable NonConvertible Debentures. Series+ 1.00% Secured Mibor 150. Redeemable NonConvertible Debentures Series-127. Letter of Mibor + 100bps Secured NCD. Sr. 127
INE915D07BL7
INE915D08BB6
INE915D07AT2
INE915D07AO3
INE915D08689
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07616
INE915D07CM3
9.80% Secured Non Convertible Debenture, Series 70, . Date of maturity: 30/05/2005 NSE MIBOR + 115 bps (floor of 5.65% p.a. & Cap of 5.75% p.a.) Secured Redeemable NSE MIBOR + 115 bps (floor of 5.65% p.a. & Cap of 5.75% p.a.) Secured Redeemable 9.75% Secured Non
INE915D07CP6
INE915D08739
INE915D07673
Convertible Debenture, Series 73 Option I-A. Letter of Allotment. Date 9.75% Secured Non Convertible Debenture, Series 73 Option I-A. . Date of maturity: Secured MIBOR + 1.00% 14-06Redeemable NonConvertible Debentures Series-136. Letter of
INE915D08BK7
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07BC6
Mibor+100bps Secured NCD. Sr. 136 9.75% Secured Non Convertible Debenture, Series 73 Option I-B. Letter of Allotment. Date 9.75% Secured Non Convertible Debenture, Series 73 Option I-B. . Date Mibor+100bps NSE of maturity: 28-06Secured NCD Sr. 138.
INE915D08754
INE915D07699
INE915D08BM3
INE915D07BD4
INE915D07BH5
6.10% Secured Redeemable NonConvertible Debentures. Series 140. 6.10% Secured Redeemable NonConvertible Debentures. Series 143. (Interest 6.15% Secured Redeemable NonConvertible Debentures. Series 146. Non 9% Secured Convertible Debenture, Series 77 Option II. Letter of Allotment. Date 9% Secured Non Convertible Debenture, Series 77 Option II. . Date ofSecured 5.85% maturity: Redeemable NonConvertible Debentures. Series 151. 6.15% Secured Redeemable NonConvertible Debentures. Series 147. 5.93% Secured Redeemable NonConvertible Debentures. Series 156. 8.10% Secured Non Convertible Debenture, Series 82 Option II. Letter of Allotment. Date
INE915D07BG7
INE915D08804
INE915D07749
INE915D07BM5
INE915D07BI3
INE915D07BS2
INE915D08838
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07772
INE915D08853
8.10% Secured Non Convertible Debenture, Series 82 Option II. . Date MIBOR +1.55% NSE of maturity: Secured Non Convertible Debenture, Series 84. Letter of Allotment. Date NSE MIBOR +1.55% Secured Non Convertible Debenture, Series 84. . Date ofSecured Non 7.80% maturity: Convertible Debenture, Series 89. Letter of Allotment. Date of 7.80% Secured Non Convertible Debenture, Series 89. . Date of maturity: 14/10/2005 7.07% Secured Non Convertible Debenture, Series 96. Letter of Allotment. Date of 7.07% Secured Non Convertible Debenture, Series 96. Date of maturity: 15/11/2005 7.07% Secured Non Convertible Debenture, Series 96. Date of maturity: 15/11/2005 Mibor+1% Secured NCD. Sr. 173. Letter Of Allotment.
INE915D07798
INE915D08903
INE915D07830
INE915D08960
INE915D07889
INE915D07889
INE915D07CJ9
INE915D07CK7
INE915D07CO9
5.70% Secured Redeemable Non Convertible DebenturesSeries 174. Letter Of NSE MIBOR + 125 bps (floor of 5.75% p.a. & Cap of 5.85% p.a.) Secured Redeemable 6.90% Secured Non Convertible Debenture, Series 100. Letter of Allotment. Date of 6.90% Secured Non Convertible Debenture, Series 100. Date of maturity: 09/12/2005
INE915D08994
INE915D07913
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED
INE915D07913
INE915D08AB8
6.90% Secured Non Convertible Debenture, Series 100. Date of maturity: 09/12/2005 6.72% Secured Non Convertible Debenture, Series 101. Letter of Allotment. Date of 6.72% Secured Non Convertible Debenture, Series 101. Date of maturity: 23/12/2005 6.72% Secured Non Convertible Debenture, Series 101. Date of maturity: 23/12/2005 5.75% Secured Redeemable Non Convertible DebenturesSeries 182. Letter Of NSE MIBOR + 120 bps Secured Redeemable Non Convertible Debentures -bps Secured MIBOR + 95 Series 180. Redeemable Non Convertible DebenturesSeries 187. Letter Of 5.75% Secured Redeemable Non Convertible DebenturesSeries 190. Letter Of NSE MIBOR + 1.20%( Floor : 5.60% & Cap : 5.70%) Secured Redeemable Non 6.25% Secured Redeemable NonConvertible Debentures. Series 153. 6.10% Secured Redeemable NonConvertible Debentures. Series 157. 5.95% Secured Redeemable NonConvertible Debentures. Series 160. 5.95% Secured Redeemable NonConvertible Debentures. Series 158 & Series 159.
INE915D07939
INE915D07939
INE915D07CS0
INE915D07CQ4
INE915D07CX0
INE915D07DB4
INE915D07DA6
INE915D07BP8
INE915D07BT0
INE915D07BV6
INE915D07BU8
ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ASSOCIATES INDIA FINANCIAL SERVICES PRIVATE LIMITED ATUL LIMITED
INE915D07BY0
INE915D07CF7
6.05% Secured Redeemable NonConvertible Debentures. Series 163 5.70% Secured Redeemable NonConvertible Debentures. Series 170 . Letter of 6% Secured Redeemable Non Convertible Debentures-Series 181. Letter Of Secured Non 10.25% Allotment. Convertible Debenture, Series 73 Option II-A, Letter of Secured Non 10.25% Allotment. Date Convertible Debenture, Series 73 Option II-A, . Date of maturity: 14-0610.25% Secured Non Convertible Debenture, Series 73 Option II-B.. Letter of Secured Non 10.25% Allotment. Date Convertible Debenture, Series 73 Option II-B.. . Date Mibor + 25028-06NSE of maturity: bps Unsecured Redeemable Non-Convertible Debentures. Letter of 8.9% Unsecured NonConvertible Debenture. LOA. Date of Maturity 2009-2002 8.50% Secured Redeemable NonConvertible Debentures in the form of Promissory 6.30% Secured Redeemable Non Convertible debentures Series 1 of 2004. Letter 6.30% Secured Redeemable Non Convertible debentures Series 2 of 2004. Letter 6.25% Secured Redeemable Non Convertible debentures Series 3 of 2004. Letter
INE915D07CR2
INE915D08705
INE915D07640
INE915D08762
INE915D07707
INE100A08015
AUROBINDO PHARMA LTD AUROBINDO PHARMA LTD. BAJAJ HINDUSTHAN LIMITED BAJAJ HINDUSTHAN LIMITED BAJAJ HINDUSTHAN LIMITED
INE406A08016
INE406A09014
INE306A07010
INE306A07028
INE306A07036
INE294A09014
INE294A07059
BALLARPUR INDUSTRIES LIMITED BALLARPUR INDUSTRIES LIMITED BALLARPUR INDUSTRIES LIMITED BALLARPUR INDUSTRIES LIMITED BALLARPUR INDUSTRIES LIMITED
BALLARPUR INDUSTRIES LIMITED
INE294A08180
INE294A08164
6.75% Unsecured unrated redeemable NonConvertible NonMarketable Debentures. 10.00% Secured redeemeable NonConvertible Debentures.
INE294A07083
INE294A08172
9.00% Secured Redeemable Nonconvertible Debentures. Letter of Allotment 9.00% Unsecured redeemable NonConvertible NonMarketable Debentures. 6.00% Unsecured redeemable NonConvertible NonMarketable after 18 months 10.00%(ResetDebentures.
to 11.00%) Secured redeemeable Non- Convertible Debentures.Letter of Allotment 10.00% Secured Redeemable Non-Convertible Debentures. Letter of Allotment
INE294A08206
INE294A08131
INE294A08149
BALLARPUR INDUSTRIES LIMITED BALLARPUR INDUSTRIES LIMITED BALLARPUR INDUSTRIES LTD. Ballarpur Industries Ltd.
INE294A07075
10.00% Secured Redeemable Nonconvertible Debentures. 6.10% Unsecured redeemable NonConvertible NonMarketable Debentures. 12.50% Unsecured redeemeable NonConvertible NonMarketable Debentures. 12% Unsecured Redeemable Non Convertible Non Marketable Debentures
INE294A08198
INE294A08057
INE294A08016
INE294A08065
INE294A08024
9.50% Unsecured redeemeable NonConvertible NonMarketable Debentures. 10% Unsecured Redeemable Non Convertible Debentures (Date of Unsecured 13.00% Maturity: 10th redeemeable NonConvertible NonMarketable Debentures. 12.00% Unsecured redeemeable NonConvertible NonMarketable Debentures. 11.50% Unsecured redeemeable NonConvertible NonMarketable Debentures. 10.00% Unsecured redeemeable NonConvertible NonMarketable Debentures. 12.00% Unsecured redeemeable NonConvertible NonMarketable Debentures. 10.00% Unsecured redeemeable NonConvertible NonMarketable Debentures. 12.50% Unsecured redeemeable NonConvertible NonMarketable Debentures. 10.00% Secured NCD.
Date of Maturity: 07/04/2003
BALLARPUR INDUSTRIES LTD. BALLARPUR INDUSTRIES LTD. BALLARPUR INDUSTRIES LTD. BALLARPUR INDUSTRIES LTD. BALLARPUR INDUSTRIES LTD. BALLARPUR INDUSTRIES LTD. BALLARPUR INDUSTRIES LTD.
INE294A08032
INE294A08040
INE294A08115
INE294A08099
INE294A08073
INE294A08081
INE294A08107
INE294A08123
INE294A07026
9.00% Secured redeemeable NonConvertible Debentures. Date Of 9.50% Secured Fully Convertible Debentures. 10.00%(Reset after 18 months to 11.00%) Secured redeemeable Non- Convertible
INE294A07067
BALRAMPUR CHINI MILLS LIMITED BALRAMPUR CHINI MILLS LIMITED BALRAMPUR CHINI MILLS LIMITED BALRAMPUR CHINI MILLS LIMITED BALRAMPUR CHINI MILLS LIMITED BANGALORE DEVELOPMENT AUTHORITY
Bank of Baroda
INE119A08023
INE119A08015
8.00% Unsecured Non Convertible Debenture Date of Maturity: 22.03.2002. LOA Mibor + 65 Bps Non Convertible Debenture Date of Maturity: 29.03.2002. LOA Mibor + 65 Bps Unsecured Non Convertible Debenture Date of Maturity: Mibor + 90 Bps Unsecured Non Convertible Debenture Date ofUnsecured Non 5.80% Maturity: Convertible Debenture .Letter of Allotment
INE119A08031
INE119A08049
INE119A08056
INE622F09015
INE028A08026
8.50% Secured Redeemable NonConvertible Bonds in the form of Promissory 10.85% Unsecured Non Convertible Redeemable Subordinated Bonds (Fixed Rate) (Option -II, 63 Months) 11.15% Unsecured Non Convertible Redeemable Subordinated Bonds (Fixed Rate Bond) (Option -I, 85 -
Bank of Baroda
INE028A08018
BANK OF INDIA
INE084A09035
INE457A09017
9.20% Unsecured Redeemable Subordinated Bond (Series III) in the nature 12.60% Unsecured Non Convertible Redeemeable Subordinated Bonds in 11.50% Unsecured Non Convertible Redeemeable Subordinated Bonds in 9.45% Unsecured Non Convertible Redeemeable Subordinated Bonds in 9.45% Unsecured Non Convertible Redeemeable Subordinated Bonds in
INE457A09025
INE457A09033
INE457A09041
INE373A08026
9.30% Unsecured Redeemable NonConvertible Subordinated Bonds (Tier II). 6.20% Secured Redeemeable NCD. Date of final Redemption: 15.11.2005.Letter of 6.20% Secured Redeemeable NCD. Date of final Redemption: 15.11.2005. 6.20% Secured Redeemeable NCD. Date of final Redemption: 15.11.2005. 8.75% NCD-LOA, Date Of Maturity:26/02/2002
INE373A07028
INE373A07028
BHARAT ALUMINIUM COMPANY LIMITED BHARAT ALUMINIUM COMPANY LIMITED BHARAT ALUMINIUM COMPANY LIMITED BHARAT ALUMINIUM COMPANY LIMITED BHARAT FORGE LTD
INE738C08018
INE738C08026
Unsecured NCD-LOA, Date Of Maturity:24.04.2002 8.25% Unsecured NCDLOA, Date Of Maturity: 26/05/2002 7.25% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 9.25% Secured Redeemable NonConvertible Privately Placed Debentures.Non12.25% Unsecured Convertible Debenture .Date of Maturity: 22/04/2007 10.40% Secured Redeemable Non Convertible DebentureTaxable Secured 10.40% Bond Redeemable Non Convertible DebentureTaxable Bond NSE Mibor + 3.5% bps Unsecured Redeemeable NCD.Date of final Redemption:
INE738C08034
INE738C08059
INE465A07014
BHARAT OVERSEAS BANK LTD. BHARAT SANCHAR NIGAM LTD. BHARAT SANCHAR NIGAM LTD. BHUSHAN STEEL & STRIPS LTD.
INE467A08018
INE103D07015
INE103D07015
INE824B08042
INE824B08059
MIBOR + 200 bps Unsecured Redeemeable NCD.Letter of Allotment. 8.75% Secured Non Convertible Debentures, LOA. Date of Maturity: 30/09/2002 9.00% Secured Redeemable Non Convertible Debentures (LOA) Securedmaturity 9.00% Date of Redeemable Non Convertible Debentures . Date ofSecured 6.40% maturity Redeemable Non Convertible Debentures. Letter of at Index Floating Allotment +1.30%p.a. (compunded daily) Unsecured RedemableIndex Floating at Non +1.25%p.a. (compunded daily) Unsecured Non ConvertibleIndex +1.25% Floating at Redeemable Unsecured Redemable Non Convertible Debentures Date of Floating at Index +1.25% Unsecured Redemable Non Convertible Debentures Date of Floating at Index +1.10% Unsecured Redemable Non Convertible Debentures. Letter of NSE Mibor+105bps Unsecured NCD LOA
INE669E08045
BLUE BERRY TRADING INE322F08014 COMPAN Y PRIVATE LTD. BLUE BERRY TRADING INE322F07016 COMPAN Y PRIVATE LTD. BLUE BERRY TRADING INE322F08022 COMPAN Y PRIVATE LTD. BLUE DART EXPRESS LIMITED BLUE DART EXPRESS LIMITED BLUE DART EXPRESS LIMITED BLUE DART EXPRESS LIMITED BLUE DART EXPRESS LIMITED BLUE DART EXPRESS LIMITED BLUE DART EXPRESS LIMITED BOC INDIA LIMITED INE233B08012
INE233B08020
INE233B08038
INE233B08046
INE233B08053
INE233B08061
INE233B08079
INE473A07026
INE473A07034
11.40% Secured Redeemable NonConvertible Debentures 15.50% Secured Redeemable NonConvertible Debentures. Date of+Final Redemption 1.50% ICICI Short Term Prime Lending Rate Secured Redeemeable NCD. Date 13% Secured Redeemable NonConvertible Debentures (2001 Series-G) 13% Secured Redeemable NonConvertible Debentures (2001 Series-K) 13% Secured Redeemable NonConvertible Debentures (2001 Secured Redeemable 12.05% Series-H)
Non-Convertible Debentures (2001- Series C) (Letter of Allotment)
INE666D07011
INE800C07018
INE110A07081
BPL LIMITED
INE110A07123
BPL LIMITED
INE110A07099
BPL Limited
INE110A08048
BPL Limited
INE110A07040
BPL LIMITED
INE110A07131
Secured Redeemable Non Convertible Debenture - 2001 Series C 13% Secured Redeemable NonConvertible Debentures (2001 Series-L) 13% Secured Redeemable NonConvertible Debentures (2001 Series-I) Secured Redeemable Non Convertible Debenture - 2001 Series D 13% Secured Redeemable NonConvertible Debentures (2001 Series-M) Secured Redeemable Non Convertible Debenture - 2001 Series E
BPL LIMITED
INE110A07107
BPL Limited
INE110A07057
BPL LIMITED
INE110A07149
BPL Limited
INE110A07065
BPL LIMITED
INE110A07156
INE216A07011
13% Secured Redeemable NonConvertible Debentures (2001 Series-N) Non 10.90% Secured Convertible Debentures 11.50% Secured Redeemable NonConvertible Debentures. 9.50% Unsecured Redeemable Non Convertible Debenture (Date of maturity : 14th 9.50% Unsecured NCD. Letter of allotment. Date of Maturity: 09/08/2002
BSES ANDHRA POWER INE967F07026 LIMITED BSES INFRASTRUCTURE FINANCE LTD. BSES INFRASTRUCTURE FINANCE LTD. BSES INFRASTRUCTURE FINANCE LTD. BSES INFRASTRUCTURE FINANCE LTD. BSES INFRASTRUCTURE FINANCE LTD. BSES INFRASTRUCTURE FINANCE LTD. BSES INFRASTRUCTURE FINANCE LTD. BSES INFRASTRUCTURE FINANCE LTD. BSES INFRASTRUCTURE FINANCE LTD. BSES Limited INE138F08014
INE138F08022
INE138F08030
INE138F08048
8.75% Unsecured Redeemable N onConvertible Debentures.Letter of 8.75% Unsecured Redeemeable NCD , Letter of Allotment. Date of Maturity: 06/11/2002 8.25% Unsecured Redeemeable NCD , Letter of Allotment. Date of Maturity: 06/12/2002 8.25% Unsecured Redeemeable NCD , Letter of Allotment. Date of Maturity: 09/12/2002 8.25% Unsecured Redeemeable NCD , Letter of Allotment. Date of Maturity: 27/12/2002 8.25% Unsecured Redeemeable NCD , Letter of Allotment. Date of Maturity: 15/01/2003 8.10% Unsecured Redeemeable NCD , Letter of Allotment. Date of Maturity: 17/01/2003 8.34% Secured Redeemeable NCD , Letter of Allotment. Date of Maturity: 13.02.2007
INE138F08055
INE138F08063
INE138F08071
INE138F08097
INE138F08089
INE036A08011
BSES LTD.
INE036A07013
6.78% Secured Redeemable NCD. Date of Maturity: 06/01/2003 5.98% Secured Redeemable NCD.Letter of Allotment. Date of Maturity:16/02/2004. 6.25% Secured Redeemable NCD. Date of Maturity: 17/03/2004. Letter of Allotment 6.20% Secured Redeemable NCD. Date of Maturity: 12/04/2004. Letter of Allotment 6.45% Unsecured Non
Convertible Debentures. .Letter of Allotment. Date of Maturity: 23/05/2003
BSES LTD.
INE036A08029
BSES LTD.
INE036A08037
BSES LTD.
INE036A08045
CADILA HEALTHCARE LIMITED CADILA HEALTHCARE LIMITED CADILA HEALTHCARE LIMITED CADILA HEALTHCARE LTD. CADILA HEALTHCARE LTD. CADILA HEALTHCARE LTD. CADILA HEALTHCARE LTD. CADILA HEALTHCARE LTD.
INE010B08071
6.45% Unsecured Non Convertible Debentures. Letter of Allotment. 5.38% Unsecured Redeemable Non Convertible Debentures. Letter of Allotment. 5.30% Unsecured Redeemable Non Convertible Debentures. Letter of Allotment.Non 6.90% Unsecured Convertible Debentures. .Letter of Allotment. Date of Maturity: 18/12/2002 6.90% Unsecured Non Convertible Debentures. .Letter of Allotment. Date of Maturity: 23/12/2002 7.00% Secured Non Convertible Debentures. .Letter of Allotment. Date of Maturity: 23/09/2003 7.00% Secured Non Convertible Debentures. Date of Maturity: 23/09/2003 8.40% Secured Non Convertible Debentures. Part A, STRPP1 . Letter of Allotment.Date of
INE010B08089
INE010B08097
INE010B08048
INE010B08030
INE010B08055
INE010B07016
INE010B08014
CADILA HEALTHCARE LTD. CADILA HEALTHCARE LTD. CADILA HEALTHCARE LTD. Canara Bank
INE010B07024
INE010B08022
8.40% Secured Non Convertible Debentures. Part A, STRPP1 . Date of Maturity: 20/08/2004 8.40% Secured Non Convertible Debentures. Part B, STRPP2 .Letter of Allotment. Date of 8.40% Secured Non Convertible Debentures. Part B, STRPP2 . Date of Maturity:Unsecured 13.85% 20/08/2005 Redeemable NCD Subordinated Bonds in nature of Promissory 14.20% Unsecured Redeemable NCD Subordinated Bonds in nature of Promissory 9.70% Unsecured Redeemable NCD Subordinated Bonds in nature of Promissory 11.95% Unsecured Redeemable NCD Subordinated Bonds in nature of Promissory 11.95% Unsecured Redeemable NCD Subordinated Bonds in nature of Promissory 6.25% Unsecured Redeemable NonConverttible Debentures. Letter of Allotment. 6.15% Unsecured Redeemable NonConverttible Debentures. Letter of Allotment. 6.05% Unsecured Redeemable NonConverttible Debentures. Letter of Allotment. 5.85% Unsecured Redeemable NonConverttible Debentures. Letter of Allotment. 5.80% Unsecured Redeemable NonConverttible Debentures. Letter of Allotment.
INE010B07032
INE476A09033
Canara Bank
INE476A09041
Canara Bank
INE476A09017
Canara Bank
INE476A09025
CANARA BANK
INE476A09058
CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED
INE986D08037
INE986D08045
INE986D08052
INE986D08060
INE986D08078
CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED
INE986D08086
INE986D08094
INE986D08102
INE986D08110
5.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.52% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.15% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.10% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.10% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.06% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.06% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.10% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.97% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.95% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment.
INE986D08128
INE986D08151
INE986D08144
INE986D08136
INE986D08169
INE986D08177
INE986D08185
INE986D08193
INE986D08201
CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED CANBANK FACTORS LIMITED
INE986D08219
INE986D08227
4.95% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.95% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.05% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.05% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.08% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.10% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.75% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.71% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.71% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.75% Unsecured redeemable NonConvertible NonMarketable Debentures. 4.75% Unsecured redeemable NonConvertible NonMarketable Debentures. 4.75% Unsecured redeemable NonConvertible NonMarketable Debentures. 8.25% Unsecured Redeemable NonConverttible Bonds in the nature of Debentures.
INE986D08235
INE986D08243
INE986D08250
INE986D08268
INE986D08276
INE986D08292
INE986D08284
INE986D08300
INE986D08318
INE986D08326
INE986D08011
CANBANK FACTORS LTD. CARBORUNDUM UNIVERSAL LTD. CARBORUNDUM UNIVERSAL LTD. CEAT LIMITED
INE986D08029
INE120A07023
8.25% Unsecured Redeemable NonConverttible Bonds in the nature of Debentures. 13.75% Secured NonConvertible DebentureDate Of Maturity: 01/08/2003 4.95% Unsecured Redeemable NonConvertible Debentures. Letter of Allotmentbps NSE MIBOR + 70 Unsecured Redeemable Non-Convertible Debentures. Letter of 13.90% Unsecured Subordinated Redeemable Bonds (TierII, Series I), in the form of 11.35% Unsecured Subordinated Redeemable Bonds (TierII, Series II), in the form 11.00% Unsecured Subordinated Redeemable Bonds (TierII, Series III), in the form 9.80% Unsecured Subordinated Redeemable Bonds (TierII, Series IV), in the form 9.40% Unsecured Subordinated Redeemable Bonds (TierII, Series V, Option I), in 9.40% Unsecured Subordinated Redeemable Bonds (TierII, Series V, Option I), in 8.15% Unsecured Subordinated Redeemable Bonds (TierII, Series VI, Option I), in 12.95% Unsecured Redeemeable Subordinated Bonds in the nature of 12.00% Secured Non Convertible Debentures Date Of maturity:01/10/2004
INE120A08047
INE482A08017
INE483A09013
INE483A09021
INE483A09039
INE483A09047
INE483A09054
INE483A09096
INE483A09070
INE485A07012
CHAMBAL FERTILISERS AND CHEMICALS LIMITED CHAMBAL FERTILISERS AND CHEMICALS LIMITED CHAMBAL FERTILISERS AND CHEMICALS LIMITED CHAMBAL FERTILISERS AND CHEMICALS LIMITED CHAMBAL FERTILISERS AND CHEMICALS LIMITED CHAMBAL FERTILISERS AND CHEMICALS LIMITED CHAMBAL FERTILISERS AND CHEMICALS LIMITED CHAMBAL FERTILISERS AND CHEMICALS LIMITED CHAMBAL FERTILISERS AND CHEMICALS LIMITED CHAMBAL FERTILISERS AND CHEMICALS LIMITED CHAMBAL FERTILISERS AND CHEMICALS LIMITED CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD.
INE085A08083
INE085A08091
7.95% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 8.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 8.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.78% Unsecured Redeemable NonConvertible Debentures. Letter ofminus 10 bps MIBOR Allotment Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR minus 10 bps Unsecured Redeemable Non-Convertible Debentures. Letter of 4.70% Unsecured Redeemable NonConvertible Debentures. Letter ofminus 12 bps MIBOR Allotment. Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR minus 12 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR minus 15 bps Unsecured Redeemable Non-Convertible Debentures. Letter of Unsecured NonConvertible Debentures. Date of Maturity:02/09/2002. 6.50% Unsecured Nonconvertible Debentures.Date of Maturity : 01/01/2003
INE085A08109
INE085A08117
INE085A08125
INE085A08406
INE085A08398
INE085A08422
INE085A08430
INE085A08414
INE085A08448
INE085A08018
INE085A08026
CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD.
INE085A08034
INE085A08042
6.70% Unsecured Nonconvertible Debentures.Date of Maturity : 08/01/2003. 6.15% Unsecured Nonconvertible Debentures.Date of Maturity : 17/03/2003. 6.15% Unsecured Nonconvertible Debentures.Date of Maturity : 20/03/2003. 6.18% Unsecured Nonconvertible Debentures.Date of Maturity : 27/03/2003. 6.05% Unsecured Nonconvertible Debentures.Date of Maturity : 27/03/2003. 5.44% Unsecured NCDLOA
INE085A08059
INE085A08067
INE085A08075
INE085A08190
INE085A08208
5.4% Unsecured NCDLOA 5.55% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.61% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.55% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment
INE085A08141
INE085A08158
INE085A08166
INE085A08174
INE085A08182
INE085A08216
CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD.
INE085A08232
INE085A08224
5.09% Unsecured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 15 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 30 bps Unsecured Redeemable Non-Convertible Debentures. Letter of 11.75% Secured Redeemable Non Convertible Debenture.. Date Of Maturity: 5.08% Unsecured Redeemable NonConvertible Debentures. Letter of Unsecured MIBOR Allotment. Redeemable NonConvertible Debentures. Letter of+Allotment. MIBOR 0 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 0 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR minus 12 bps Unsecured Redeemable Non-Convertible Debentures. Letter of 4.61% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.88% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.90% Unsecured Redeemable NonConvertible Debentures. Letter ofminus 6 bps MIBOR Allotment. Unsecured Redeemable Non-Convertible Debentures. Letter of
INE085A08240
INE085A07010
INE085A08257
INE085A08265
INE085A08273
INE085A08281
INE085A08323
INE085A08331
INE085A08299
INE085A08307
INE085A08315
CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHAMBAL FERTILISERS AND CHEMICALS LTD. CHOLAMANDALAM INVESTMENT & FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT & FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT & FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT & FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT & FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT & FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT & FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT & FINANCE COMPANY LTD.
INE085A08349
INE085A08356
MIBOR minus 10 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR minus 10 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR minus 12 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR minus 15 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR minus 17 bps Unsecured Redeemable Non-Convertible Debentures. Letter+of Overnight MIBOR 25 bps Unsecured Redeemable NonConvertible Debentures. Overnight MIBOR + 50 bps Unsecured Redeemable NonConvertible Debentures. Overnight MIBOR + 25 bps Unsecured Redeemable NonConvertible Debentures. Overnight MIBOR + 20 bps Unsecured Redeemable NonConvertible Debentures. 5.50% Unsecured Redeemable NonConvertible Debentures. Series-ST76. Letter of Overnight MIBOR + 15 bps Unsecured Redeemable NonConvertible Debentures. 6.60% Secured Non Convertible Debentures, Series 139.
INE085A08364
INE085A08372
INE085A08380
INE121A08AR5
INE121A08AS3
INE121A08AT1
INE121A08AU9
INE121A08AV7
INE121A08AW5
INE121A08AX3
INE121A08AY1
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMIT CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMIT CHOLAMANDALAM
INVESTMENT AND FINANCE COMPANY LIMIT
INE121A08AL8
6.70% Unsecured NCD, Series ST64. Letter of Allotment. 6.75% Unsecured NCD, Series ST68. Letter of Allotment.
6.40% Unsecured NCD, Series ST60 & Series ST66.. Letter of Allotment. Mibor + 50 Bps Unsecured NCD, Series ST57. Letter of Allotment. Mibor + 40 Bps Unsecured NCD, Series ST59. Letter of Allotment. 6.50% Unsecured NCD, Series ST61 & ST62. Letter of Allotment.
INE121A08AN4
INE121A08AI4
CHOLAMANDALAM INE121A08AF0 INVESTMENT AND FINANCE COMPANY LIMIT CHOLAMANDALAM INE121A08AH6 INVESTMENT AND FINANCE COMPANY LIMIT CHOLAMANDALAM INE121A08AJ2 INVESTMENT AND FINANCE COMPANY LIMIT
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMIT CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMIT CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMIT CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMIT CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMIT CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08AK0
6.70% Unsecured NCD, Series ST63. Letter of Allotment. 6.75% Unsecured NCD, Series ST65 & ST67. Letter of Allotment. Overnight MIBOR + 50 bps Unsecured Redeemable NonConvertible Debentures. 7.00% Unsecured Redeemable NonConvertible Debentures. Series-ST70. Letter of Overnight MIBOR + 50 bps Unsecured Redeemable NonConvertible Debentures. 14.40% Secured NonConvertible Debentures. Date of Maturity: 25/01/2002 14.00% Secured NonConvertible Debentures. Date of Maturity: 16/02/2002
INE121A08AM6
INE121A08AO2
INE121A08AP9
INE121A08AQ7
INE121A07013
INE121A07021
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08011
INE121A08037
NSE Mibor + 90 Bps Unsecured Non Convertible Debentures, Series 68, LOA . Date of 9.00% Unsecured Non Convertible Debentures, Series 70, LOA . Date of Maturity:20/03/2002 NSE Mibor + 90 Bps Unsecured Non Convertible Debentures, Series 69, LOA . Date of 9.00% Unsecured Non Convertible Debentures, Series 71, LOA . Date of Maturity:31/03/2002 9.00% Secured NonConvertible Debentures, Series 59. Date of Maturity:08/4/2002 9.00% Secured NonConvertible Debentures, Series 58. Date of Maturity:11/4/2002 9.05% Secured NonConvertible Debentures, Series 60. Date of Maturity: 26/04/02 NSE Mibor + 85 Bps Unsecured Non Convertible Debentures, Series 73, LOA .Bps of NSE Mibor + 80 Date Unsecured Non Convertible Debentures, Series 74, LOA .Bps of NSE Mibor + 85 Date Unsecured Non Convertible Debentures, Series 75, LOA .Bps of NSE Mibor + 85 Date Unsecured Non Convertible Debentures, Series 76, LOA .Bps of NSE Mibor + 85 Date Unsecured Non Convertible Debentures, Series 85, LOA . Date of NSE Mibor + 100 Bps Unsecured Non Convertible Debentures, Series 106, LOA . Date of
INE121A08029
INE121A08045
INE121A07211
INE121A07203
INE121A07229
INE121A08052
INE121A08060
INE121A08078
INE121A08086
INE121A08144
INE121A08268
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08151
INE121A08177
NSE Mibor + 85 Bps Unsecured Non Convertible Debentures, Series 86, LOA . Date of NSE Mibor + 150 Bps Unsecured Non Convertible Debentures, Series 89, LOA .Bps of NSE Mibor + 85 Date Unsecured Non Convertible Debentures, Series 92, LOA . Date of 9.05% Unsecured Non Convertible Debentures, Series 97, LOA . Date of Maturity:14/06/2002 9.40% Secured NonConvertible Debentures, Series 62 & 63. Date of Maturity: 24/06/2002 9.25% Unsecured Non Convertible Debentures, Series 98, LOA . Date of Maturity:24/06/2002 NSE Mibor + 80 Bps Unsecured Non Convertible Debentures, Series 99, LOA . Date of 10.25% Secured NonConvertible Debentures. Date of Maturity: 29/06/2002 10.50% Secured NonConvertible Debentures. Date of Maturity: 06/07/2002 + 80 Bps NSE Mibor Unsecured Non Convertible Debentures, Series 101, LOA . Date of 10.40% Secured NonConvertible Debentures. Date of Maturity: 09/07/2002 9.40% Secured NonConvertible Debentures, Series 61. Date of Maturity: 09/07/2002 NSE Mibor + 80 Bps Unsecured Non Convertible Debentures, Series 105, LOA . Date of
INE121A08185
INE121A08193
INE121A07245
INE121A08201
INE121A08227
INE121A07039
INE121A07047
INE121A08219
INE121A07054
INE121A07237
INE121A08250
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A07252
INE121A08094
9.40% Secured NonConvertible Debentures, Series 64. Date of Maturity: 17/07/2002 8.90% Secured Non Convertible Debentures, Series 78, LOA . Date of Maturity:05/08/2002 8.90% Secured NonConvertible Debentures, Series 78. Date of Maturity: 05/08/2002 8.90% Secured Non Convertible Debentures, Series 79, LOA . Date of Maturity:06/08/2002 8.90% Secured NonConvertible Debentures, Series 79. Date of Maturity: 06/08/2002 NSE Mibor + 80 Bps Unsecured Non Convertible Debentures, Series ST1 LetterNon13.00% Secured Of Convertible Debentures. Date of Maturity: 16/08/2002 12.50% Secured NonConvertible Debentures. Date of Maturity: 16/08/2002 + 80 Bps NSE Mibor Unsecured Non Convertible Debentures, Series ST2 + 80 Bps NSE Mibor Letter Of Unsecured Non Convertible Debentures, Series ST3 + 80 Bps NSE Mibor Letter Of Unsecured Non Convertible Debentures, Series ST4 Letter Of 9.00% Secured Non Convertible Debentures, Series 81, LOA . Date of Maturity: 29/08/2002 9.00% Secured Non Convertible Debentures, Series 81. Date of Maturity: 29/08/2002
INE121A07278
INE121A08102
INE121A07286
INE121A08334
INE121A07062
INE121A07088
INE121A08342
INE121A08359
INE121A08367
INE121A08128
INE121A07302
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08375
INE121A08466
9.25% Unsecured Non Convertible Debentures, Series ST5 Letter Of Allotment . Date ofNon 8.55% Unsecured Convertible Debentures, Series ST7 Letter Of Allotment . Date Bps NSE Mibor + 80 of Unsecured Non Convertible Debentures, Series ST8 + 80 Bps NSE Mibor Letter Of Unsecured Non Convertible Debentures, Series ST10 Letter Of 9.10% Secured Non Convertible Debentures, Series 110, Letter of Allotment . DateNon 9.10% Secured of Convertible Debentures, Series 110. Date of Maturity:16/09/2002 NSE Mibor + 80 Bps Unsecured Non Convertible Debentures, Series ST11 Letter Of NSE Mibor + 80 Bps Unsecured Non Convertible Debentures, Series ST12 Letter Of NSE Mibor + 80 Bps Unsecured Non Convertible Debentures, Series ST13 Letter Of NSE Mibor + 80 Bps Unsecured Non Convertible Debentures, Series ST14 Letter Of 13.00% Secured NonConvertible Debentures. Date of Maturity: 28/10/2002 9.15% Secured Non Convertible Debentures, Series 109, Letter of Allotment . DateNon 9.15% Secured of Convertible Debentures, Series 109. Date of Maturity:01/11/2002
INE121A08474
INE121A08482
INE121A08300
INE121A07385
INE121A08540
INE121A08557
INE121A08565
INE121A08573
INE121A07070
INE121A08292
INE121A07377
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08615
INE121A08284
NSE Mibor + 75 Bps Unsecured Non Convertible Debentures, Series ST15. Letter Of 9.20% Secured Non Convertible Debentures, Series 108, Letter of Allotment . DateNon 9.20% Secured of Convertible Debentures, Series 108. Date of Maturity:18/11/2002 Bps Overnight Mibor + 70 Unsecured Non Convertible Debentures, Series ST16. Letter Of Overnight Mibor + 70 Bps Unsecured Non Convertible Debentures, Series ST17. Letter Of 9.25% Secured NonConvertible Debentures, Series 52. Date of Maturity: 6/12/02+ 65 Bps Overnight Mibor Unsecured Non Convertible Debentures, Series ST20. Letter Of Overnight Mibor + 60 Bps Unsecured Non Convertible Debentures, Series ST18 & ST21. Bps Overnight Mibor + 60 Unsecured Non Convertible Debentures, Series ST19 & ST22. Overnight Mibor + 60 Bps Unsecured Non Convertible Debentures, Series ST29, LOA .60 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST23, LOA .60 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST25, LOA .55 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST24, LOA . Date
INE121A07369
INE121A08623
INE121A08631
INE121A07195
INE121A08664
INE121A08649
INE121A08656
INE121A08748
INE121A08680
INE121A08706
INE121A08698
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08714
INE121A08318
Overnight Mibor + 60 Bps Unsecured Non Convertible Debentures, Series ST26, LOA . Date 9.35% Secured Non Convertible Debentures, Series 111, Letter of Allotment . DateNon 9.35% Secured of Convertible Debentures, Series 111. Date of Maturity:06/01/2003 Overnight Mibor + 55 Bps Unsecured Non Convertible Debentures, Series ST27, LOA .55 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST28, LOA .55 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST30, LOA . Date 12.00% Secured NonConvertible Debentures. Date of Maturity: 18/01/2003 12.00% Secured NonConvertible Debentures. Date of Maturity: 20/01/2003 12.00% Secured NonConvertible Debentures. Date of Maturity: 24/01/2003 9.00% Secured NonConvertible Debentures, Series 65. Date of Maturity: 24/01/2003 Overnight Mibor + 50 Bps Unsecured Non Convertible Debentures, Series ST31, LOA . Date 12.00% Secured NonConvertible Debentures. Date of Maturity: 28/01/2003 6.41% Unsecured Non Convertible Debentures, Series ST32, LOA . Date of Maturity:28/01/2003
INE121A07393
INE121A08722
INE121A08730
INE121A08805
INE121A07096
INE121A07104
INE121A07112
INE121A07260
INE121A08813
INE121A07120
INE121A08821
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08839
INE121A08888
Overnight Mibor + 45 Bps Unsecured Non Convertible Debentures, Series ST33, LOA Non 6.41% Unsecured . Date Convertible Debentures, Series ST38, LOA . Date of Maturity : 29/01/2003 11.70% Secured NonConvertible Debentures. Date of Maturity: 01/02/2003Mibor + 45 Overnight Bps Unsecured Non Convertible Debentures, Series ST34, LOA .45 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST35, LOA . Date 8.90% Secured Non Convertible Debentures, Series 82, LOA . Date of Maturity: 25/02/2003 8.90% Secured Non Convertible Debentures, Series 82. Date of Maturity: 25/02/2003 Overnight Mibor + 45 Bps Unsecured Non Convertible Debentures, Series ST39, LOA .30 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST40, LOA .25 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST41, LOA . Date 9.10% Secured NonConvertible Debentures, Series 88. Date of Maturity: 05/03/2003 9.10% Secured NonConvertible Debentures, Series 88. Date of Maturity: 05/03/2003 Overnight Mibor + 30 Bps Unsecured Non Convertible Debentures, Series ST43, LOA . Date
INE121A07138
INE121A08847
INE121A08854
INE121A08136
INE121A07310
INE121A08896
INE121A08904
INE121A08912
INE121A08169
INE121A07328
INE121A08920
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08938
INE121A08946
Overnight Mibor + 50 Bps Unsecured Non Convertible Debentures, Series ST44, LOA .50 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST45, LOA .50 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST48, LOA .45 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST49, LOA .40 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST50, LOA .40 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST51, LOA .40 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST52, LOA .40 Overnight Mibor + Date Bps Unsecured Non Convertible Debentures, Series ST54, LOA Non 6.15% Unsecured . Date Convertible Debentures, Series ST53, LOA . Date of Maturity Mibor + 40 Overnight : 25/04/2003 Bps Unsecured Non Convertible Debentures, Series+ 40 BpsSeries Mibor ST55 & Unsecured NCD, Series ST58. Letter of Allotment.
INE121A08979
INE121A08987
INE121A08995
INE121A08AA1
INE121A08AB9
INE121A08AD5
INE121A08AC7
INE121A08AE3
INE121A08AG8
INE121A08490
INE121A07492
9.35% Secured Redeemable NonConvertible Debentures. Series 121. Letter of 9.35% Secured Redeemable NonConvertible Debentures. Series 121. . Date of
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08508
INE121A07500
8.65% Secured Redeemable NonConvertible Debentures. Series 122. Letter of 8.65% Secured Redeemable NonConvertible Debentures. Series 122. . Date of 8.50% Secured Redeemable NonConvertible Debentures. Series 123. Letter of 8.50% Secured Redeemable NonConvertible Debentures. Series 123. . Date of 8.60% Secured Redeemable NonConvertible Debentures. Series 124. Letter of 8.60% Secured Redeemable NonConvertible Debentures. Series 124. . Date of 8.50% Secured Redeemable NonConvertible Debentures. Series 125. Letter of 8.50% Secured Redeemable NonConvertible Debentures. Series 125. . Date + 25 Overnight MIBOR of bps Unsecured Redeemable NonConvertible Debentures. Overnight MIBOR + 15 bps Unsecured Redeemable NonConvertible Debentures. Overnight MIBOR + 15 bps Unsecured Redeemable NonConvertible Debentures. Overnight MIBOR + 15 bps Unsecured Redeemable NonConvertible Debentures. Overnight MIBOR + 15 bps Unsecured Redeemable NonConvertible Debentures.
INE121A08516
INE121A07518
INE121A08524
INE121A07526
INE121A08532
INE121A07534
INE121A08AZ8
INE121A08BA9
INE121A08BB7
INE121A08BC5
INE121A08BD3
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08BE1
5.4% Unsecured NCD SR-ST85-LOA 5.40% Unsecured NCD SR-ST85. Letter of Allotment Mibor+15bps NCD SrST86. LOA Mibor+20bps NCD SrST87. LOA 7.27% Secured Non Convertible Debentures, Series 130, LOA . Date of Maturity: 01/10/2003 7.27% Secured Non Convertible Debentures, Series 130, Date of Maturity: 01/10/2003 Mibor+35bps Unsecured NCD-LOA
INE121A08BQ5
INE121A08BF8
INE121A08BG6
INE121A08755
INE121A07583
INE121A08BH4
INE121A08BI2
INE121A08763
Overnight MIBOR + 15 bps Unsecured Redeemable NonConvertible Debentures. 7.30% Secured Non Convertible Debentures, Series 131, LOA . Date of Maturity: 06/10/2003 7.25% Secured Non Convertible Debentures, Series 132, LOA . Date of Maturity: 06/10/2003 7.30% Secured Non Convertible Debentures, Series 131, Date of Maturity: 06/10/2003 7.25% Secured Non Convertible Debentures, Series 132, Date of Maturity: 06/10/200315 Overnight MIBOR + bps Unsecured Redeemable NonConvertible Debentures.
INE121A08771
INE121A07591
INE121A07609
INE121A08BJ0
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08BK8
INE121A08BL6
5.40% Unsecured Redeemable NonConvertible Debentures. Series ST92. Letter 10 Overnight MIBOR + of bps Unsecured Redeemable NonConvertible Debentures. Overnight MIBOR + 10 bps Unsecured Redeemable NonConvertible Debentures. Overnight MIBOR + 10 bps Unsecured Redeemable NonConvertible Debentures. 7.00% Secured Non Convertible Debentures, Series 134, LOA . Date of Maturity: 24/10/2003 7.00% Secured Non Convertible Debentures, Series 134, Date of Maturity: 24/10/200310 Overnight MIBOR + bps Unsecured Redeemable NonConvertibleMIBOR + 10 Overnoght Debentures. bps Unsecured Redeemable NonConvertibleMIBOR + 10 Overnoght Debentures bps Unsecured Redeemable NonConvertibleMIBOR + 5 Overnoght Debentures bps Unsecured Redeemable NonConvertibleMIBOR + 35 Overnoght Debentures bps Unsecured Redeemable NonConvertibleMIBOR + 10 Overnoght Debentures bps Unsecured Redeemable NonConvertible Debentures 4.90% Unsecured Redeemable NonConvertible Debentures Series ST102. Letter of
INE121A08BM4
INE121A08BN2
INE121A08797
INE121A07625
INE121A08BO0
INE121A08BP7
INE121A08BR3
INE121A08BS1
INE121A08BT9
INE121A08BU7
INE121A08BV5
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08BW3
INE121A08BX1
Overnoght MIBOR + 15 bps Unsecured Redeemable NonConvertibleBps Mibor + 10 Debentures Unsecured Non Convertible Debentures,Bps Mibor + 15 Series Unsecured Non Convertible Debentures, Series Overnight Mibor + 80 Bps Secured Non Convertible Debentures, Series 137, LOA+ Date Overnight Mibor . 80 Bps Secured Non Convertible Debentures, Series 137, Date of Overnight Mibor + 80 Bps Secured Non Convertible Debentures, Series 138, LOA+ Date Overnight Mibor . 80 Bps Secured Non Convertible Debentures, Series+ 138, Date of Mibor 10 Bps Unsecured Non Convertible Debentures 11.70% Secured NonConvertible Debentures. Date of Maturity: 22/12/2003Bps Mibor + 30 Unsecured Non Convertible Debentures, Series ST107. Letter of 11.70% Secured NonConvertible Debentures. Date of Maturity: 27/12/2003 11.70% Secured NonConvertible Debentures. Date of Maturity: 10/01/2004 9.30% Secured Non Convertible Debentures, Series 80, LOA . Date of Maturity: 30/01/2004
INE121A08BY9
INE121A08953
INE121A07641
INE121A08961
INE121A07658
INE121A08BZ6
INE121A07146
INE121A08CA7
INE121A07153
INE121A07161
INE121A08110
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A07294
INE121A08CB5
9.30% Secured NonConvertible Debentures, Series 80. Date of Maturity: 31/01/2004 Overnight NSE Mibor Unsecured Non Convertible Debentures, Series ST109. Letter of 9.60% Unsecured Non Convertible Debentures, Series 102, LOA . Date of Maturity:30/03/2004 9.60% Secured Non Convertible Debentures, Series 102. Date of Maturity:30/03/2004 9.57% Unsecured Non Convertible Debentures, Series 103, LOA . Date of Maturity:02/04/2004 9.57% Secured Non Convertible Debentures, Series 103. Date of Maturity:02/04/2004 Overnight NSE Mibor Unsecured Non Convertible Debentures, Series ST110 &Mibor + Overnight NSE ST111. 23 bps compounding daily Unsecured Non Convertible Debentures, 4.80% Unsecured Redeemable NonConvertible Debentures Series ST112. Letter of Overnight NSE Mibor + 30 bps compounding daily Unsecured Non Convertible Debentures, Overnight NSE Mibor + 22 bps compounding daily Unsecured Non Convertible Debentures, Overnight NSE Mibor - 5 bps compounding daily Unsecured Non Convertible Debentures, Overnight NSE Mibor - 5 bps compounding daily Unsecured Non Convertible Debentures,
INE121A08235
INE121A07344
INE121A08243
INE121A07351
INE121A08CC3
INE121A08CE9
INE121A08CD1
INE121A08CF6
INE121A08CJ8
INE121A08CG4
INE121A08CH2
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08CI0
INE121A08CK6
Overnight NSE Mibor + 24 bps compounding daily Unsecured Non Convertible Debentures, 4.87% Unsecured Non Convertible Debentures, Series ST121 . Letter of Allotment. 9.58% Secured Non Convertible Debentures, Series 112, Letter of Allotment . DateNon 9.58% Secured of Convertible Debentures, Series 112, . Date of Maturity:23/05/2004 + Overnight NSE Mibor 25 bps compounding daily Unsecured Non Convertible Debentures, 9.35% Secured Redeemable NonConvertible Debentures. Series 113. Letter of 9.35% Secured Redeemable NonConvertible Debentures. Series 113. . Date of 9.35% Secured Redeemable NonConvertible Debentures. Series 114. Letter of 9.35% Secured Redeemable NonConvertible Debentures. Series 114. . Date of 9.35% Secured Redeemable NonConvertible Debentures. Series 117. Letter of 9.35% Secured Redeemable NonConvertible Debentures. Series 117. . Date of 9.35% Secured Redeemable NonConvertible Debentures. Series 115. Letter of 9.35% Secured Redeemable NonConvertible Debentures. Series 115. . Date of
INE121A08326
INE121A07401
INE121A08CL4
INE121A08391
INE121A07427
INE121A08383
INE121A07419
INE121A08425
INE121A07450
INE121A08409
INE121A07435
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
INE121A08417
INE121A07443
9.35% Secured Redeemable NonConvertible Debentures. Series 116. Letter of 9.35% Secured Redeemable NonConvertible Debentures. Series 116. . Date of 9.05% Secured Redeemable NonConvertible Debentures. Series 118. Letter of 9.05% Secured Redeemable NonConvertible Debentures. Series 118. . Date of 9.50% Secured Redeemable NonConvertible Debentures. Series 119. Letter of 9.50% Secured Redeemable NonConvertible Debentures. Series 119. . Date of 9.00% Secured Redeemable NonConvertible Debentures. Series 120. Letter of 9.00% Secured Redeemable NonConvertible Debentures. Series 120. . Date of - 28 Overnight NSE Mibor bps compounding daily Unsecured Non Convertible Debentures, INBMK + 210 Bps Secured Non Convertible Debentures, Series 126 Letter Of Allotment . Date INBMK + 210 Bps Secured Non Convertible Debentures, Series 126 . Date ofSecured Non 8.75% Convertible Debentures, Series 127. Letter Of Allotment . DateNon 8.75% Secured of Convertible Debentures, Series 127. . Date of Maturity:16/08/2005
INE121A08433
INE121A07468
INE121A08441
INE121A07476
INE121A08458
INE121A07484
INE121A08CM2
INE121A08581
INE121A07542
INE121A08599
INE121A07559
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LTD.
INE121A08607
INE121A07567
Greater of 14.75% Minus INBMK or Zero Secured Non Convertible Debentures, SeriesMinus Greater of 14.75% 128. INBMK or Zero Secured Non Convertible Debentures, Series 128. 8.20% Secured Non Convertible Debentures, Series 129. Letter Of Allotment . DateNon 8.20% Secured of Convertible Debentures, Series 129. Date of Maturity:26/09/2005 8.10% Secured Non Convertible Debentures, Series 133, LOA . Date of Maturity: 21/10/2005 8.10% Secured Non Convertible Debentures, Series 133, Date of Maturity: 21/10/2005 7.60% Secured Non Convertible Debentures, Series 135, LOA . Date of Maturity: 22/11/2005 7.50% Secured Non Convertible Debentures, Series 136, LOA . Date of Maturity: 25/11/2005 7.50% Secured Non Convertible Debentures, Series 136, Date of Maturity: 25/11/2005 - 20 Overnight NSE Mibor bps compounding daily Unsecured Non Convertible Debentures, 4.60% Unsecured Non Convertible Debentures, Series ST132 . Letter of Allotment. NSE Mibor - 22 Overnight bps compounding daily Unsecured Non Convertible Debentures, Overnight NSE Mibor - 20 bps compounding daily Unsecured Non Convertible Debentures,
INE121A08672
INE121A07575
INE121A08789
INE121A07617
INE121A08862
INE121A08870
INE121A07633
INE121A08CN0
INE121A08CR1
INE121A08CO8
INE121A08CP5
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LTD. CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LTD. CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED
INE121A08CQ3
INE121A08CS9
Overnight NSE Mibor + 5 bps compounding daily Unsecured Non Convertible Debentures, Overnight NSE Mibor - 20 bps compounding daily Unsecured Non Convertible Debentures, 4.64% Unsecured Non Convertible Debentures, Series ST134 . Letter of Allotment. NSE Mibor + 5 Overnight bps compounding daily Unsecured Non Convertible Debentures, Overnight NSE Mibor - 15 bps compounding daily Unsecured Non Convertible Debentures, 10.70% NCD series 80, Opt A . Date Of Maturity:04/04/2002
INE121A08CT7
INE121A08CU5
INE121A08CV3
INE136E07112
INE136E07104
10.70% NCD series 78 . Date Of Maturity:08/04/2002 10.70% NCD series 79 . Date Of Maturity: 09/04/2002 10.50% NCD series 82 . Date Of Maturity:09/04/2002 10.50% NCD series 83 . Date Of Maturity:14/05/2002 NCD series 87 . Date Of Maturity: 21/06/2002 9.25% Non Convertible Debenture Series 90 . Date Of Maturity: 16/08/2002 series 84 . 10.60% NCD Date Of Maturity:14/11/2002
INE136E07054
INE136E07120
INE136E07138
INE136E07070
INE136E07013
INE136E07146
CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED
INE136E07021
11.95% NCD series 34 . Date Of Maturity: 30/11/2002 9.15% NCD series 92 (Letter Of Allotment). Date Of Maturity: 31/12/2002 series 92 . 9.15% NCD Date Of Maturity: 31/12/2002
INE136E08011
INE136E07161
INE136E07039
11.85% NCD series 38 . Date Of Maturity: 14/01/2003 11.85% NCD series 39 . Date Of Maturity: 01/02/2003 Mibor + 2.00% NCD series 93 . Date Of Maturity:25/02/2003 Mibor + 2.00% NCD series 93 . Date Of Maturity:25/02/2003. 8.90% NCD series 94 (Letter Of Allotment). Date Of Maturity: 06/03/2003 series 94 8.90% NCD Date Of Maturity: 06/03/2003
INE136E07047
INE136E08029
INE136E07179
INE136E08037
INE136E07187
INE136E08086
INE136E07286
9.00% NCD series 99 (Letter Of Allotment). Date of Maturity: 03/04/2003 series 99 . 9.00% NCD Date of Maturity: 03/04/2003
INE136E08110
INE136E07245
9.00% NCD series 101 . Date of Maturity:17/05/2003. Letter ofSecured NCD. 12.50% Allotment Series 6. Date of Maturity: 11/06/2003
CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED
INE136E07237
INE136E07252
12.00% Secured NCD. Series 4, Series 5 and Series 8. Date of Maturity:Secured NCD. 12.10% 30/06/2003 Series 7, Series 9, Series 10 & Series 11. Date of Maturity:NCD series 61 . 11.55% 30/09/2003 Date Of Maturity:03/11/2003
INE136E07088
INE136E07096
GOI + 0.90% NCD series 66 . Date Of Maturity:15/12/2003 10.90% NCD series 81 . Date Of Maturity:04/05/2004 10.75% NCD series 85 . Date Of Maturity:21/05/2004 MIBOR + 75 bps Secured NCD series 112. Letter of Allotment 6.65% Secured NCD series 109 Option 1. Letter of Allotment MIBOR + 1.25% Secured NCD series 109 Option 2. Letter of Allotment 6.65% Secured NCD series 109 Option 1. MIBOR + 1.25% Secured NCD series 109 Option 2. 9.55% NCD series 100 (Letter Of Allotment). Date Of Maturity: 30/4/2005 series 100 . 9.55% NCD Date of Maturity:30/04/2005.
INE136E07062
INE136E07153
INE136E07468
INE136E08243
INE136E08250
INE136E07427
INE136E07435
INE136E08102
INE136E07278
CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED
INE136E07492
MIBOR + 1% Secured NCD series 115. Letter of Allotment 8.90% NCD series 102 . Date of Maturity:19/06/2005. Letter of Allotment 102 . 8.90% NCD series Date of Maturity:19/06/2005.
INE136E08128
INE136E07302
INE136E08268
Mibor+100bps Secured NCD Sr. 110 Opt-2. LOA 8.20% Secured NCD series 103, Option 1 . Date of Maturity:16/08/2005 Mibor + 1.50% Secured NCD series 103, Option 2 . Date of Maturity:16/08/2005 8.20% Secured NCD series 103, Option 1 . Date of Maturity:16/08/2005 Mibor + 1.50% Secured NCD series 103, Option 2. . Date of Maturity:16/08/2005 7.75% Secured NCD series 104, Option 1.LOA . Date of Maturity:24/09/2005 Mibor + 1.50% Secured NCD series 104, Option 2.LOA . Date of Maturity:24/09/2005 7.75% Secured NCD series 104, Option 1. Date of Maturity:24/09/2005 Mibor + 1.50% Secured NCD series 104, Option 2 . Date of Maturity:24/09/2005 7.10% Secured NCD series 105, Option 1.LOA . Date of Maturity:16/10/2005
INE136E08136
INE136E08144
INE136E07310
INE136E07328
INE136E08151
INE136E08169
INE136E07336
INE136E07344
INE136E08177
CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED
INE136E08185
INE136E07351
Mibor + 1.20% Secured NCD series 105, Option 2.LOA . Date of Maturity:16/10/2005 7.10% Secured NCD series 105, Option 1. Date of Maturity:16/10/2005 Mibor + 1.20% Secured NCD series 105, Option 2. Date of Maturity:16/10/2005 7.07% Secured NCD series 106, Option 1 . Date of Maturity:11/11/2005. Mibor + 1.15% Secured NCD series 106, Option 2 . Date of Maturity:11/11/2005 7.07% Secured NCD series 106, Option 1 . Date of Maturity:11/11/2005. Mibor + 1.15% Secured NCD series 106, Option 2 . Date of Maturity:11/11/2005 Higher of 8.30% MINUS LIBOR or 0% p.a.Secured NCD series 114. Letter of Allotment. 6.75% Secured NCD series 107. Date of Maturity:30/12/2005. Letter of Allotment 6.75% Secured NCD series 107. Date of Maturity:30/12/2005.
INE136E07369
INE136E08193
INE136E08201
INE136E07377
INE136E07385
INE136E07484
INE136E08219
INE136E07393
INE136E08227
7.00% Secured NCD series 108 Option 1. Letter of Allotment Mibor + 1.25% Secured NCD series 108 Option 2. Letter of Allotment 7.00% Secured NCD series 108 Option 1.
INE136E08235
INE136E07401
CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP FINANCE (INDIA) LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE136E07419
Mibor + 1.25% Secured NCD series 108 Option 2. MIBOR + 1.25 bps Secured NCD series 116. Letter of Allotment 6.00% Secured NCD series 111 Option-1. Letter of Allotment MIBOR + 1% Secured NCD series 111 Option-2. Letter of Allotment 9% minus Libor or 0% pa.a whichever is higher Secured NCD series 113. Letter of GOI Benchmark 3 Years Allotment. + 0.70% Secured NCD series 117. Letter of Allotment rate* +50 bps Reference Secured non convertible debentures. Letter of allotment. 1.25 bps with a MIBOR + Series 127. daily cap of 5.85% and floor of 5.75% Secured NCD series 118. Letter of 10.00% NCD series 98 (Letter Of Allotment). Date of redemption: 27/03/2008 series 98 . 10.00% NCD Date of Final redemption: 27/03/2008
INE136E07500
INE136E07443
INE136E07450
INE136E07476
INE136E07518
INE136E07617
INE136E07526
INE136E08078
INE136E07211
INE893D07169
8.30%Non-convertible Debentures- Series 200122 8.30%Non-convertible Debentures-Letter of Allotment- Series 200124 8.30%Non-convertible Debentures Series 2001-24
INE893D08175
INE893D07177
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D08407
INE893D07268
10.85% NCD series 2000A (Letter Of Allotment). Date Of Maturity: 04/05/2002 series 200010.85% NCD A Date Of Maturity : 04/05/2002
INE893D08399
INE893D07276
12.75% NCD series 1999E (Letter Of Allotment). Date Of Maturity: 09/05/2002 series 199912.75% NCD E Date Of Maturity: 09/05/2002
INE893D08126
INE893D07128
9.80% Secured Redeemable NCD Series 2001-8 (Letter of Allotment) 9.80% Secured Redeemable NCD Series 2001-8
INE893D08514
INE893D07458
8.40% NCD series 200212 . Date Of Maturity: 07/08/2002. Letter of Allotment series 20028.40% NCD 12 . Date Of Maturity: 07/08/2002.
INE893D08266
INE893D07219
8.65% Secured Redeemable NonConvertible Debentures(Letter Secured 8.65% of Allotment) Redeemable NonConvertible DebenturesSeries+ 1.25% NCD Mibor 2001-37 series 2001-50 (Letter Of Allotment). Date Of Maturity:1.25% NCD Mibor + 26/08/2002 series 2001-50. Date Of Maturity: 26/08/2002
INE893D08381
INE893D07359
INE893D08290
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D07243
8.50% Non Convertible Debentures (Series 200140) MIBOR + 50 Bps Secured Redeemable Non Convertible Debentures-Series 23 MIBOR + 50 Bps Secured Redeemable Non Convertible Debentures-Series 20028.40% NCD series 23 11 Option-1 . Date Of Maturity: 12/09/2002. Letter of Allotment 20028.40% NCD series 11 Option-1 . Date Of Maturity: 12/09/2002.
INE893D08159
INE893D07151
INE893D08522
INE893D07417
INE893D08167
INE893D07185
INE893D08530
INE893D07425
8.50% NCD series 200211 Option-2 . Date Of Maturity: 11/10/2002. Letter of Allotment 20028.50% NCD series 11 Option-2 . Date Of Maturity: 11/10/2002.
INE893D08191
INE893D08597
MIBOR+0.50%Fully Secured Redeemable Non-convertible Debentures-Letter of 8.55% NCD series 200218 . Date Of Maturity: 02/11/2002. Letter of Allotment series 20028.55% NCD 18 . Date Of Maturity: 02/11/2002.
INE893D07482
INE893D08209
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D07193
INE893D08183
MIBOR+0.50% Secured Redeemable NonConvertible Debentures Series 2001-27 9%Non-convertible Debentures-Letter of Allotment- Series 200125 8.50% NCD series 200211 Option-3 . Date Of Maturity: 11/11/2002. Letter of Allotment 20028.50% NCD series 11 Option-3 . Date Of Maturity: 11/11/2002.
INE893D08548
INE893D07433
INE893D08217
INE893D08225
MIBOR+0.50% Secured Redeemable NonConvertible Debentures(Letter of Allotment) MIBOR+0.50% Secured Redeemable NonConvertible Debentures(Letter+of Allotment) Mibor 0.50% Secured Redeemable NonConvertible Debentures(Letter NCD series 20028.60% of Allotment) 11 Option-4 . Date Of Maturity: 11/12/2002. Letter of Allotment 20028.60% NCD series 11 Option-4 . Date Of Maturity: 11/12/2002.
INE893D08233
INE893D08555
INE893D07441
INE893D08241
INE893D07375
Mibor + 0.50% NCD series 2001-31 (Letter Of Allotment). Date Of Maturity:NCD series 199911.75% 12/12/2002 N . Date Of Maturity: 20/12/2002
INE893D08274
INE893D07227
Mibor + 1% NCD series 2001-38 (Letter Of Allotment). Date Of Maturity:1% NCD series Mibor + 28/12/2002 2001-38 Date Of Maturity: 28/12/2002
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D08308
INE893D07250
Mibor + 0.50% Non Convertible Debentures (Letter of Allotment) (Series 2001-41) Mibor + 0.50% Non Convertible Debentures (Series 2001-41)
INE893D08316
INE893D08563
MIBOR+0.50% Secured Redeemable NonConvertible Debentures(Letter of Allotment)series Zero coupom NCD 2002-13 . Date Of Maturity: 17/01/2003. Letter of Allotment series Zero coupom NCD 2002-13 . Date Of Maturity: 17/01/2003.
INE893D07524
INE893D08340
INE893D08647
Mibor + 0.50% NCD series 2001-46 (Letter Of Allotment). Date Of Maturity: 01/02/2003 a MIBOR+175 BPS (with cap of 8.80% and a floor of 8.70%) Secured NCD series 2002-25 . Date Of MIBOR+175 BPS Secured NCD series 2002-25 . Date Of Maturity: 14/02/2003. 6.05% Secured NCD series 2002-46. Date Of Maturity:18/02/2003 LOA.
INE893D07557
INE893D08860
INE893D08449
INE893D08464
Mibor + 0.75% NCD series 2002-3 (Letter Of Allotment). Date Of Maturity:0.75% NCD Mibor + 26/02/2003 series 2002-5 (Letter Of Allotment). Date Of Maturity:0.60% NCD Mibor + 26/02/2003 series 2002-6 (Letter Of Allotment). Date Of Maturity:0.75% NCD Mibor + 26/02/2003 series 2002-3 . Date Of Maturity: 26/02/2003
INE893D08472
INE893D07367
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D08373
INE893D07342
8.65% NCD series 200149 (Letter Of Allotment). Date Of Maturity: 27/02/2003 series 20018.65% NCD 49 . Date Of Maturity: 27/02/2003
INE893D08415
INE893D08423
Mibor + 0.50% NCD series 2002-1 (Letter Of Allotment). Date Of Maturity:0.50% NCD Mibor + 13/03/2003 series 2002-2 (Letter Of Allotment). Date Of Maturity: 22/03/2003 9.00% NCD series 20024 (Letter Of Allotment). Date Of Maturity: 27/03/2003 series 20029.00% NCD 4 . Date Of Maturity: 27/03/2003
INE893D08456
INE893D07383
INE893D08480
INE893D08498
9.00% NCD series 20027 . Date Of Maturity: 03/04/2003. Letter of Allotment Mibor + 0.60% NCD series 2002-9 (Letter Of Allotment). Date Of Maturity: 03/04/2003 8.75% NCD series 200210 . Date Of Maturity: 03/04/2003. Letter of Allotment series 20029.00% NCD 7 . Date Of Maturity: 03/04/2003.
INE893D08506
INE893D07391
INE893D07409
8.75% NCD series 200210 . Date Of Maturity: 03/04/2003. 7.80% Secured NCD series 2002-32 . Date Of Maturity:12/04/2003. LOA. Secured NCD 7.80% series 2002-32 . Date Of Maturity:12/04/2003.
INE893D08712
INE893D07615
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D08928
INE893D07722
6.00% Secured NCD series 2003-3. Date Of Maturity: 15/04/2003 LOA. Secured NCD 6.00% series 2003-3. Date Of Maturity: 15/04/2003
INE893D08589
INE893D07474
Mibor + 0.60% NCD series 2002-17 . Date Of Maturity: 03/05/2003. Letter + 0.60% NCD Mibor of Allotment series 2002-17 . Date Of Maturity: 03/05/2003.
INE893D08837
INE893D07664
Mibor + 0.75% Secured NCD series 2002-43 . Date Of Maturity:06/05/2003 LOA. Mibor + 0.75% Secured NCD series 2002-43 . Date Of Maturity:06/05/2003. 8.75% (Upto 05/11/2002) & 9.00% NCD series 2002-21 . Date Of Maturity:07/05/2003. 8.75% (Upto 05/11/2002) & 9.00% NCD series 2002-21 . Date Of Maturity:07/05/2003. Mibor + 0.60% NCD series 2002-20 . Date Of Maturity: 08/05/2003. Letter + 0.60% NCD Mibor of Allotment series 2002-20 . Date Of Maturity: 08/05/2003.
INE893D08621
INE893D07516
INE893D08605
INE893D07490
INE893D08845
INE893D07672
Mibor + 0.75% Secured NCD series 2002-44 . Date Of Maturity:09/05/2003 LOA. Mibor + 0.75% Secured NCD series 2002-44 . Date Of Maturity:09/05/2003.200110.05% NCD series 1 . Date Of Maturity:13/06/2003.
INE893D07284
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D07532
11.25% Secured NCD series 2000-B . Date Of Maturity: 19/06/2003. Mibor + 1.25% Secured NCD series 2002-28 . Date Of Maturity:05-072003. + 1.25% Secured Mibor LOA. NCD series 2002-28 . Date Of Maturity:05-072003. Secured NCD 6.00% series 2003-12 Letter of Allotment
INE893D08688
INE893D07599
INE893D08AA9
INE893D07797
6.00% Secured NCD series 2003-12. 6.00% Secured NCD series 2003-13 Letter of Allotment 6.00% Secured NCD series 2003-13 Mibor + .50% Secured NCD series 2002-30 . Date Of Maturity:11/07/2003. Mibor + .50% Secured NCD series 2002-33 . Date Of Maturity:15/07/2003. Mibor + .50% Secured NCD series 2002-34 . Date Of Maturity:18/07/2003. Mibor + .50% Secured NCD series 2002-35 . Date Of Maturity:19/07/2003. Mibor + 0.50% Secured NCD series 2002-37 . Date Of Maturity:19/08/2003. Mibor + 0.50% Secured NCD series 2002-37 . Date Of Maturity:19/08/2003.
INE893D08AB7
INE893D07763
INE893D08704
INE893D08720
INE893D08746
INE893D08753
INE893D08779
INE893D07649
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D08969
INE893D07748
6.70% Secured NCD series 2003-7. Date Of Maturity: 20/08/2003 LOA. Secured NCD 6.70% series 2003-7.
INE893D08142
INE893D07144
9.55% Secured Redeemable NCD Series 2001-21 (Letter of Allotment) 9.55% Secured Redeemable NCD Series 2001-21
INE893D08787
INE893D08803
Mibor + 0.50% Secured NCD series 2002-38 . Date Of Maturity:11/09/2003. Mibor + 0.50% Secured NCD series 2002-40 . Date Of Maturity:19/09/2003 LOA. Mibor + 0.50% Secured NCD series 2002-41 . Date Of Maturity:07/10/2003 LOA. Mibor + 0.50% Secured NCD series 2002-42 . Date Of Maturity:01/11/2003 LOA. 6.15% Secured NCD series 2003-14 Letter of Allotment
INE893D08811
INE893D08829
INE893D08AC5
INE893D07771
6.15% Secured NCD series 2003-14 Mibor + 0.50% Secured NCD series 2002-45 . Date Of Maturity:18/11/2003 LOA. Mibor + 0.50% Secured NCD series 2002-48 . Date Of Maturity: 26/11/2003 LOA. 5.13% Secured Redeemable NonConvertible Debentures. Series 2003-32. Letter of
INE893D08852
INE893D08886
INE893D07839
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D08AO0
5.55% Secured NCD Sr. 2003-27. LOA 6.35% Secured NCD series 2003-1. Date Of Maturity: 14/01/2004 LOA. Secured NCD 6.35% series 2003-1. Date Of Maturity: 14/01/2004
INE893D08902
INE893D07706
INE893D08910
INE893D07714
6.35% Secured NCD series 2003-2. Date Of Maturity: 16/01/2004 LOA. Secured NCD 6.35% series 2003-2. Date Of Maturity: 16/01/2004
INE893D08977
Mibor + .50% Secured NCD series 2003-9 Letter of Allotment Mibor + .50% Secured NCD series 2003-4. Date Of Maturity: 05/02/2004 LOA. Secured 5.20% Redeemable NonConvertible Debentures. Series+ .50% Secured of Mibor 2003-30. Letter NCD series 2003-6. Date Of Maturity: 17/02/2004 LOA. Secured 5.00% Redeemable NonConvertible Debentures. Series+ .50% Secured of Mibor 2003-35. Letter NCD series 2003-10 Letter of Allotment
INE893D08936
INE893D07813
INE893D08951
INE893D07862
INE893D08985
INE893D08993
6.90% Secured NCD series 2003-11 Letter of Allotment 6.90% Secured NCD series 2003-11.
INE893D07755
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D08571
INE893D07466
9.25% NCD series 200215 . Date Of Maturity: 22/04/2004. Letter of Allotment series 20029.25% NCD 15 . Date Of Maturity: 22/04/2004.
INE893D08AF8
MIBOR + .30% Secured NCD series 2003-17. MIBOR + .30% Secured NCD series 2003-18. Letter of Allotment 6.30% Secured NCD series 2003-15 Letter of Allotment. 6.30% Secured NCD series 2003-15 NSE MIBOR Secured Redeemable NonConvertible Debentures. Series 2003-60. NCD of 9.25% Secured Letter series 2002-23 . Date Of Maturity: 14-06-2004 (Letter Secured NCD 9.25% of Allotment) series 2002-23 . Date Of Maturity: 14/06/2004.
INE893D08AG6
INE893D08AD3
INE893D07789
INE893D07AL8
INE893D08639
INE893D07540
INE893D08AK8
MIBOR + .30% Secured NCD Series 2003-22 & Series 2003-23 . NSE MIBOR Secured Redeemable NonConvertible Debentures. Series 2004-03. Letter of 10.15% Secured Redeemable NCD Series 2001-6 (Letter of Allotment) 10.15% Secured Redeemable NCD Series 2001-6
INE893D07AO2
INE893D08118
INE893D07110
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D08AN2
Mibor+30bps Secured NCD Sr. 2003-26. LOA Mibor+30bps Secured NCD Sr. 2003-28. LOA MIBOR + 0.67% Secured Redeemable Non-Convertible Debentures. Series 2003Mibor + 1.75% Secured NCD series 2002-29 . Date Of Maturity:09/07/2004. Mibor + 1.75% Secured NCD series 2002-29 . Date Of Maturity:09/07/2004. NSE MIBOR Secured Redeemable NonConvertible Debentures. Series 2004-06. Letter of Zero Coupon Secured Redeemable NonConvertible Debentures. Series 2003-31. Letter of 9.75% Secured Redeemable NCD Series 2001-16 (Letter of Allotment) 9.75% Secured Redeemable NCD Series 2001-16
INE893D08AP7
INE893D07888
INE893D08696
INE893D07607
INE893D07AR5
INE893D07821
INE893D08100
INE893D07102
INE893D08134
INE893D07136
9.85% Secured Redeemable NCD Series 2001-20 (Letter of Allotment) 9.85% Secured Redeemable NCD Series 2001-20
INE893D07870
INE893D07904
5.25% Secured Redeemable NonConvertible Debentures. Series 2003-36. Letter of MIBOR + 0.30% Secured Redeemable Non-Convertible Debentures. Series 2003-
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D07912
INE893D07920
MIBOR + 0.30% Secured Redeemable Non-Convertible Debentures. Series 20035.25% Secured Redeemable NonConvertible Debentures. Series 2003-41. Letter of 5.20% Secured Redeemable NonConvertible Debentures. Series 2003-44. Letter of MIBOR + 0.30% Secured Redeemable Non-Convertible Debentures. Series 20035.40% Secured Redeemable NonConvertible Debentures. Series 2003-46. Letter of 5.40% Secured Redeemable NonConvertible Debentures. Series 2003-47. Letter of 5.40% Secured Redeemable NonConvertible Debentures. Series 2003-48. Letter of 5.40% Secured Redeemable NonConvertible Debentures. Series 2003-50. Letter of MIBOR + 0.30% Secured Redeemable Non-Convertible Debentures. Series 20039.25% Secured Redeemable NonConvertible Debentures(Letter Secured 9.25% of Allotment) Redeemable NonConvertible Debentures Series 2001-36 NCD 8.75% Secured series 2002-31 . Date Of Maturity:14/01/2005. LOA. Secured NCD 8.75% series 2002-31 . Date Of Maturity:14/01/2005.
INE893D07953
INE893D07961
INE893D07979
INE893D07987
INE893D07995
INE893D07AB9
INE893D07AE3
INE893D08258
INE893D07201
INE893D08738
INE893D07623
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D08324
INE893D07318
9.50% Secured Redeemable NonConvertible Debentures(Letter NCD series 20019.50% of Allotment) 45 . Date Of Maturity: 18/01/2005
INE893D08332
INE893D07326
9.50% NCD series 200147 (Letter Of Allotment). Date Of Maturity: 24/01/2005 series 20019.50% NCD 47 (Letter Of Allotment). Date Of Maturity: 24/01/2005 series 20019.35% NCD 34 (Letter Of Allotment). Date Of Maturity: 12/02//2005 series 20019.35% NCD 34. Date Of Maturity: 12/02//2005
INE893D08357
INE893D07292
INE893D08365
INE893D07334
9.50% NCD series 200148 (Letter Of Allotment). Date Of Maturity: 16/02/2005 series 20019.50% NCD 48 . Date Of Maturity: 16/02/2005
INE893D08431
INE893D07300
9.50% NCD series 200135 . Date Of Maturity: 22/03/2005. Letter of allotment series 20019.50% NCD 35 . Date Of Maturity: 22/03/2005.
INE893D08AE1
MIBOR + 1.40% Secured NCD series 2003-16 6.10% Secured NCD series 2003-19. MIBOR + 1.00% Secured NCD series 2003-20.
INE893D08AH4
INE893D08AI2
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D08AJ0
6.10% Secured NCD series 2003-21. 6.10% Secured NCD series 2003-24. 5.60% Secured Redeemable NonConvertible Debentures. Series 2003-55. Letter of MIBOR + 1.00% Secured NCD Series 2003-25. Letter of Allotment
INE893D08AL6
INE893D07AG8
INE893D08AM4
INE893D08670
INE893D07581
9.5% Secured NCD series 2002-27 . Date Of Maturity:05-07-2005. LOA. Secured NCD 9.5% series 2002-27 . Date Of Maturity:05-07-2005.
INE893D07805
INE893D08761
6.10% Secured Redeemable NonConvertible Debentures. Series+ 1.50% Secured Mibor 2003-29. Letter of NCD series 2002-36 . Date Of Maturity:26-072005. + 1.50% Secured Mibor LOA. NCD series 2002-36 . Date Of Maturity:26/07/2005. Mibor + 1.60% Secured NCD series 2002-39 . Date Of Maturity:26/07/2005. Mibor + 1.60% Secured NCD series 2002-39 . Date Of Maturity:26/07/2005. 5.75% Secured Redeemable NonConvertible Debentures. Series 2003-49. NCD of 7.00% Secured Letter series 2002-47. Date Of Maturity: 25/11/2005 LOA.
INE893D07631
INE893D08795
INE893D07656
INE893D07AA1
INE893D08878
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED
INE893D07680
7.00% Secured NCD series 2002-47. Date Of Maturity: 25/11/2005 MIBOR + 1.25% Secured Redeemable Non-Convertible Debentures with a daily 5.85% Secured Redeemable NonConvertible Debentures. Series 2003-52. Letter of 5.80% Secured Redeemable NonConvertible Debentures. Series 2003-54. Letter of 5.75% Secured Redeemable NonConvertible Debentures. Series 2003-56. NCD of 6.70% Secured Letter series 2002-50. Date Of Maturity:06/01/2006 LOA.
INE893D07AC7
INE893D07AD5
INE893D07AF0
INE893D07AH6
INE893D08894
INE893D07698
6.70% Secured NCD series 2002-50. Date Of Maturity:06/01/2006 7.00% Secured NCD series 2003-5. Date Of Maturity: 07/02/2004 LOA. Secured NCD 7.00% series 2003-5.
INE893D08944
INE893D07730
INE893D07AK0
INE893D07AP9
5.68% Secured Redeemable NonConvertible Debentures. Series 2003-59. Letter of MIBOR + 0.70% Secured Redeemable Non-Convertible Debentures with a daily NSE MIBOR + 0.80% (floor of 5.48% & cap of 5.58%) Secured Redeemable + 1.00% NSE MIBOR Non(floor of 5.55% & cap of 5.65%) Secured Redeemable Non-
INE893D07AU9
INE893D07AS3
CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITICORP MARUTI FINANCE LIMITED CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY
INE893D07AV7
INE893D07854
NSE MIBOR + 0.80% (floor of 5.40% & cap of 5.50%) Secured Redeemable Non6.25% Secured Redeemable NonConvertible Debentures. Series 2003-34. Letter of MIBOR + 1% Secured Redeemable NonConvertible Debentures. Series 2003-33. Letter of 5.85% Secured Redeemable NonConvertible Debentures. Series 2003-42. Letter of 5.81% Secured Redeemable NonConvertible Debentures. Series 2003-43. Letter of 5.87% Secured Redeemable NonConvertible Debentures. Series 2003-57. Letter of 5.85% Secured Redeemable NonConvertible Debentures. Series 2003-58. Letter of MIBOR + 1.25% Secured Redeemable Non-Convertible Debentures with a daily MIBOR + 1.20% Secured Redeemable Non-Convertible Debentures with a daily MIBOR + 1.00% Secured Redeemable Non-Convertible Debentures with afix rate Floating rate (Mid daily of 12 months MIOIS as set on page IRS08 of Reuters at 4:30 pm every 5.25% Secured Redeemable Non Convertible DebenturesSeries 193. Letter Of 5.35% Secured Redeemable Non Convertible DebenturesSeries 192. Letter Of
INE893D07847
INE893D07938
INE893D07946
INE893D07AI4
INE893D07AJ2
INE893D07AM6
INE893D07AN4
INE893D07AQ7
INE136E07534
INE915D07DG3
INE915D07DC2
CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY
INE915D07DE8
INE915D07DN9
5.45% Secured Redeemable Non Convertible DebenturesSeries 195. Letter Of 5.45% Secured Redeemable Non Convertible DebenturesSeries 204. Letter Of 5.65% Secured Redeemable Non Convertible DebenturesSeries 194. Letter Of 5.65% Secured Redeemable Non Convertible DebenturesSeries 196. + 0.70% NSE Mibor Letter Of Secured Redeemable Non Convertible Debentures-Series 203 5.90% Secured Redeemable Non Convertible DebenturesSeries 198. Letter Of 5.90% Secured Redeemable Non Convertible DebenturesSeries 197. + 125% NSE Mibor Letter Of Secured Redeemable Non Convertible Debentures-Series 199. NSE Mibor + 1.20% Secured Redeemable Non Convertible Debentures-Series 200 5.90% Secured Redeemable Non Convertible DebenturesSeries 201. + 1.20% (with NSE Mibor Letter Of a floor of 5.70% and cap of 5.80%) Secured Redeemable Non NSE Mibor + 0.90% Secured Redeemable Non Convertible Debentures-Series 203 NSE Mibor + 1.10% Secured Redeemable Non Convertible Debentures-Series 207
INE915D07DD0
INE915D07DF5
INE915D07DO7
INE915D07DI9
INE915D07DH1
INE915D07DJ7
INE915D07DK5
INE915D07DL3
INE915D07DM1
INE915D07DP4
INE915D07DQ2
CITIFINANCIAL CONSUMER FINANCE INDIA LIMITED (FORMERLY CITIFINANCIAL CONSUMER FINANCE INDIA LTD.
INE915D07DR0
INE915D07DX8
NSE Mibor + 1.00% Secured Redeemable Non Convertible Debentures-Series 206 NSE Mibor + 0.75% Secured Redeemable Non Convertible Debentures-Series 213 4.80% Secured Redeemable Non Convertible DebenturesSeries 212. Letter Of 5.55% Secured Redeemable Non Convertible DebenturesSeries 210. + 0.75% NSE Mibor Letter Of Secured Redeemable Non Convertible Debentures-Series 208 NSE Mibor + 1.00% Secured Redeemable Non Convertible Debentures-Series 209 NSE Mibor + 1.00% Secured Redeemable Non Convertible Debentures-Series 211 8.50% Secured Non Convertible Debentures Series MMI-K (Letter of Allotment) 8.40% Secured Non Convertible Debentures Series MMI-L (Letter of Allotment) 8.75% Secured Redeemable NonConvertible DebenturesLetter of allotment-Series 8.75% Secured Non Convertible Debentures Series MMI-S . Date Of maturity:14/05/02 8.60% Secured Redeemable NonConvertible DebenturesLetter of allotment-Series 8.60% Secured Non Convertible Debentures Series MMI-T . Date Of maturity:23/05/2002
CITIFINANCIAL INE915D07DW0 CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN INE915D07DS8 CITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN INE915D07DT6 CITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN INE915D07DU4 CITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN INE915D07DV2 CITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN INE016E08015 CITIFINANCIAL RETAIL SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08023 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08080 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07082 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08098 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07090 SERVICES INDIA LIMITED
CITIFINANCIAL RETAIL INE016E08031 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07066 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08056 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08049 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07041 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07058 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08072 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07074 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08106 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07108 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08114 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07116 SERVICES INDIA LIMITED
CITIFINANCIAL RETAIL SERVICES INDIA LIMITED INE016E08205
8.35% Secured Non Convertible Debentures Series MMI-M (Letter of Allotment) 9.05% Secured Non Convertible Debentures Series MMI-Q .Date Of maturity: 05/10/2002 9.15% Secured Redeemable NonConvertible DebenturesLetter of allotment-Series 8.50% Secured Redeemable NonConvertible DebenturesLetter of allotment-Series 8.50% Secured Non Convertible Debentures Series MMI-P (Date of maturity -18/10/2002) 9.15% Secured Non Convertible Debentures Series MMI-0 (Date of maturity -31/10/2002) 9.05% Secured Redeemable NonConvertible DebenturesLetter of allotment-Series 9.05% Secured Non Convertible Debentures Series MMI-R . Date Of maturity:14/11/02 9.10% Secured Redeemable NonConvertible Debentures (Letter Secured Non 9.10% of allotment) Convertible Debentures Series MMII-A . Date Of maturity:17/01/2003 9.10% Secured Non Convertible Debentures Series MMII-C (Letter of Allotment). DateNon 9.10% Secured Of Convertible Debentures Series MMII-C. Date Of maturity :02/04/2003 6.57% Secured Non
Convertible Debentures Series MMII-L. Letter of Allotment.
CITIFINANCIAL RETAIL INE016E08122 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07132 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08130 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07140 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08148 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07157 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08163 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07173 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07124 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08254 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08213 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08270 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07199 SERVICES INDIA LIMITED
8.90% Secured Non Convertible Debentures Series MMII-D. Letter of Allotment Date Of 8.90% Secured Non Convertible Debentures Series MMII-D.Date Of maturity+ 1.25% Secured MIBOR :02/07/2003 Non Convertible Debentures -Series MMIIE. Letter of Allotment MIBOR + 1.25% Secured Non Convertible Debentures -Series MMIIE.Date Secured Non 6.77% Of maturity Convertible Debentures Series MMII-F.Date Of maturity :14/11/2003 6.77% Secured Non Convertible Debentures Series MMII-F. 6.50% Secured Non Convertible Debentures Series MMII-H.Date Of maturity :08/01/2004. 6.50% Secured Non Convertible Debentures Series MMII-H. 11.05% Secured Non Convertible Debentures Series MMI-B. Date Of maturity :17/02/2004 5.60% Secured Non Convertible Debentures Series MMII-Q. Letter of Allotment. 6.80% Secured Non Convertible Debentures Series MMII-M. 5.75% Secured Non Convertible Debentures Series MMII-S. Letter of Allotment. 5.70% Secured Non Convertible Debentures Series MMII-V. Letter of Allotment.
CITIFINANCIAL RETAIL INE016E07207 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07215 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08239 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08262 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08171 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07181 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08189 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08197 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07223 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08221 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08247 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08288 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08296 SERVICES INDIA LIMITED
5.28% Secured Non Convertible Debentures Series MMII-W. Letter of Allotment. 5.50% Secured Non Convertible Debentures Series MMII-X. Letter of Allotment. 6.35% Secured Non Convertible Debentures Series MMII-O. 6.00% Secured Non Convertible Debentures Series MMII-R. Letter of Allotment. 6.70% Secured Non Convertible Debentures Series MMII-I.Date Of maturity :27/01/2005. 6.70% Secured Non Convertible Debentures Series MMII-I. 7.80% Secured Non Convertible Debentures Series MMII-J. MIBOR + 2% Secured Non Convertible Debentures -Series MMIIK. 5.55% Secured Non Convertible Debentures Series MMII-Y. Letter of Allotment.1.35% Secured MIBOR + Non Convertible Debentures -Series MMIIN 6.13% Secured Non Convertible Debentures Series MMII-P. 6.20% Secured Non Convertible Debentures Series MMII-T. Letter of Allotment. 6.4% Secured NCD Sr. MMII/U-LOA
CITIFINANCIAL RETAIL INE016E07231 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E08155 SERVICES INDIA LIMITED CITIFINANCIAL RETAIL INE016E07165 SERVICES INDIA LIMITED COAL INDIA LIMITED INE522F09017
5.82% Secured Non Convertible Debentures Series MMII-Z. Letter of Allotment. 7.30% Secured Non Convertible Debentures Series MMII-G.Date Of maturity :21/11/2005 7.30% Secured Non Convertible Debentures Series MMII-G. 12.25% Unsecured Bonds in the nature of Promissory notes SeriesK 12.25% Unsecured Bonds in the nature of Promissory notesSeries-L
INE522F09025
INE522F09033
INE522F09041
12.25% Unsecured Bonds in the nature of Promissory notesSeriesM 12.25% Unsecured Bonds in the nature of Promissory notesSeriesN 12.25% Unsecured Bonds in the nature of Promissory notesSeriesO 11.80% Unsecured Non Converible Debenture. Date of Maturity: 10/07/2003 12.00% Secured Redeemable NonConvertible Debentures. Date of Maturity 12.60% Secured Redeemable NonConvertible Debentures. Date of Maturity Non 11.40% Secured Convertible Debenture. Letter of Allotment.
INE522F09058
CORBEL ESTATE & INVESTMENTS PVT. LTD. CORBEL ESTATE & INVESTMENTS PVT. LTD. COROMANDEL FERTILISERS LIMITED COROMANDEL FERTILISERS LIMITED
INE821F07017
INE821F07025
INE169A07079
INE169A07053
Coromandel Fertilisers Ltd. Coromandel Fertilisers Ltd. Coromandel Fertilisers Ltd. COSMO FILMS LTD.
INE169A07020
11.75% Secured Non Convertible Debentures 11.85% Secured Non Convertible Debentures 9.45% Secured Non Convertible DebentureDate of Maturity:16.01.2007 MIBOR +250 bps Secured Redeemable Non-convertible Debentures. Date of 12.50% Secured Redeemable NonConvertible Debentures. Date DVC Bonds: in the 11% of Maturity form of Promissory Notes 2002-III. Maturity Date: 28/12/2002 10.5% Taxfree Secured Redeemable Bonds in the form of Promissory Notes Sr-9. Maturity 13.50% Taxable Secured Redeemable Bonds in the form of Promissory Notes Sr-10.Bonds in the 12.5% DVC Maturity form of Promissory Notes 2004. Maturity Date: 26/09/2004 Secured 12% Taxable Redeemable Bonds in the form of Promissory Notes Sr-11. Maturity 14% DVC Bonds in the form of Promissory Notes 2005. Maturity Date: 22/09/2005 14% DVC Bonds in the form of Promissory Notes 2006. Maturity Date: 16/01/2006 Bonds in 13.85% DVC the form of Promissory Notes 2006. Maturity Date: 18/09/2006
INE169A07012
INE169A07038
INE757A07014
CYRUS INVESTMENTS INE746E07019 LTD. DAMODAR VALLEY CORPORATION DAMODAR VALLEY CORPORATION DAMODAR VALLEY CORPORATION DAMODAR VALLEY CORPORATION DAMODAR VALLEY CORPORATION DAMODAR VALLEY CORPORATION DAMODAR VALLEY CORPORATION DAMODAR VALLEY CORPORATION INE753F09018
INE753F09182
INE753F09190
INE753F09125
INE753F09208
INE753F09133
INE753F09141
INE753F09158
DAMODAR VALLEY CORPORATION DAMODAR VALLEY CORPORATION DAMODAR VALLEY CORPORATION DAMODAR VALLEY CORPORATION DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED
DCM SHRIRAM CONSOLIDATED LIMITED
INE753F09166
INE753F09109
13.85% DVC Bonds in the form of Promissory Notes 2007. Maturity Date:DVC Bonds in the 13% 07/01/2007 form of Promissory Notes 2007. Maturity Date: 21/09/2007 13% DVC Bonds in the form of Promissory Notes 2007-II. Maturity Date: 23/11/2007 Bonds in the 12.3% DVC form of Promissory Notes 2007. Maturity Date: 08/12/2007 Overnight Mibor + 45 Bps Unsecured NCD. Letter of Allotment.
INE753F09117
INE753F09174
INE499A08045
INE499A08052
INE499A08060
NSE Mibor + 35 bps Unsecured Redeemable Non-Convertible Debentures. Letter of NSE Mibor + 40 bps Unsecured Redeemable Non-Convertible Debentures. Letter of + Overnight NSE MIBOR 30 bps Unsecured Redeemable NonConvertible Debentures. Overnight NSE MIBOR + 25
bps Unsecured Redeemable Non-Convertible Debentures. Letter of Allotment.
INE499A08078
INE499A08086
DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED
INE499A08094
INE499A08102
Overnight NSE MIBOR + 25 bps Unsecured Redeemable NonConvertible Debentures. Overnight NSE MIBOR + 25 bps Unsecured Redeemable NonConvertible Debentures. Overnight NSE MIBOR + 25 bps Unsecured Redeemable NonConvertibleUnsecured Mibor + 25 Debentures. Redeemable NonConvertible Debentures. Letter of Allotment
INE499A08110
INE499A08128
DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED
INE499A08136
INE499A08144
INE499A08151
INE499A08169
Mibor + 10 Unsecured Redeemable NonConvertible Debentures. Letter + 20 Unsecured Mibor of Allotment Redeemable NonConvertible Debentures. Letter + 10 bps Mibor of Allotment Unsecured Redeemable Non-Convertible Debentures. Letter of Mibor + 25 bps Unsecured Redeemable Non-Convertible Debentures. Letter of + NSE Overnight Mibor 20 bps Unsecured Redeemable NonConvertible Debentures. NSE Overnight Mibor + 15 bps Unsecured Redeemable NonConvertible Debentures. NSE Overnight Mibor + 10 bps Unsecured Redeemable NonConvertible Debentures. NSE Overnight Mibor + 10 bps Unsecured Redeemable NonConvertible Debentures. NSE Overnight Mibor + 5 bps Unsecured Redeemable NonConvertible Debentures. 4.70% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 4.73% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment
INE499A08177
INE499A08185
INE499A08193
INE499A08201
INE499A08219
INE499A08227
INE499A08284
INE499A08292
INE499A08300
DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LIMITED DCM SHRIRAM CONSOLIDATED LTD. DCM SHRIRAM CONSOLIDATED LTD. DCM SHRIRAM CONSOLIDATED LTD. DCM SHRIRAM CONSOLIDATED LTD. DCM SHRIRAM CONSOLIDATED LTD. DCM SHRIRAM CONSOLIDATED LTD. DCM SHRIRAM CONSOLIDATED LTD. DCM SHRIRAM CONSOLIDATED LTD. DECCAN CHRONICLE HOLDING LIMITED DECCAN CHRONICLE HOLDINGS LIMITED DEEPAK FERTILISERS & PETROCHEMICALS CORPORATION LTD.
INE499A08318
INE499A08326
4.80% Unsecured Redeemable NonConvertible Debentures. Letter + 0 bps Unsecured Mibor of Allotment Redeemable NonConvertible Debentures. Letter + 85 Bps NCD. Mibor of Allotment Letter of Allotment. Date of Maturity: 15/01/2003
INE499A08011
INE499A08029
INE499A08037
Overnight Mibor + 70 Bps Unsecured NCD. Letter of Allotment. Date of Maturity: 27/01/2003 Bps Overnight Mibor + 65 Unsecured NCD. Letter of Allotment. Date of Maturity: 16/04/2003 4.80% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 4.80% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment NSE Overnight Mibor + 10 bps Unsecured Redeemable NonConvertible Debentures. NSE Overnight Mibor + 10 bps Unsecured Redeemable NonConvertible Debentures. 4.95% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.75% Secured Redeemable NonConvertible Debentures. Letter of Allotment 6.00% Secured Redeemable NonConvertible Debentures. Letter ofSecured Non 14.75% Allotment. Convertible Debenture. Date of Maturity: 10/04/2004
INE499A08268
INE499A08250
INE499A08235
INE499A08243
INE499A08276
INE137G07016
INE137G07032
INE501A07032
DEEPAK FERTILISERS & PETROCHEMICALS CORPORATION LTD. DEEPAK FERTILISERS & PETROCHEMICALS CORPORATION LTD. DEEPAK NITRITE LTD.
INE501A07024
INE501A07016
12.50%Secured Non Convertible Debenture. Date of Maturity: 30/03/2005 12.50%Secured Non Convertible Debenture. Date of Maturity: 01/11/2005 15.00% Secured Redeemable NonConvertible Debentures. Date ofUnsecured 5.80% Maturity: Redeemable NonConvertible Debentures.
INE288B07018
DEWAN HOUSING FINANCE CORPORATION LTD. DEWAN HOUSING FINANCE CORPORATION LTD. DEWAN HOUSING FINANCE CORPORATION LTD. DEWAN HOUSING FINANCE CORPORATION LTD. DEWAN HOUSING FINANCE CORPORATION LTD. DEWAN HOUSING FINANCE CORPORATION LTD. DEWAN HOUSING FINANCE CORPORATION LTD. DEWAN HOUSING FINANCE CORPORATION LTD. E.I. D. PARRY (INDIA) LIMITED E.I. DUPONT INDIA LIMITED
INE202B08017
INE202B08041
5.40% Unsecured Redeemable NonConvertible Debentures. 5.85% Unsecured Redeemable NonConvertible Debentures. 5.85% Unsecured Redeemable NonConvertible Debentures. 12.90 % Secured Non Convertible Debenture. 11.5 % Secured Non Convertible Debenture, Date of Redemption: 06/11/2006 10.5 % Secured Non Convertible Debenture, Date of final Redemption: 17/03/2007 8.50 % Secured Non Convertible Debenture, Date of final Redemption: 19/11/2007 100Bps NSE Mibor+ Unsecured Redeemable Non Convertible Debenture (LetterNon 13.00% Secured of Convertible Debentures, Series I Option A - Date Of maturity:14/05/2002
INE202B08025
INE202B08033
INE202B07175
INE202B07050
INE202B07076
INE202B07092
INE126A08036
INE890D07017
E.I. DUPONT INDIA LIMITED E.I. DUPONT INDIA LIMITED EDC LIMITED
INE890D07025
INE890D07033
12.60% Secured Non Convertible Debentures, Series I Option B - Date Of maturity:14/05/2002 10.90% Secured Non Convertible Debentures, Series II - Date Of maturity:30/05/2003 12.00% Secured Redeemable NonConvertible Bonds. Series-I. Date of Maturity 9.71% Secured Redeemable
Non Convertible Debenture (Letter of Allotment)
INE623F07017
INE126A08010
ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED
INE086A08016
INE086A08024
NSE Mibor + 60 bps Unsecured NonConvertible Debentures.(Letter of NSE Mibor + 60 bps Fully Unsecured NonConvertible Debentures.(Letter of NSE Mibor + 55 bps Unsecured NonConvertible Debentures. Date Mibor + 55 bps NSE OF Maturity: Unsecured NonConvertible Debentures. Date OF Maturity: NCD. 8.10% Unsecured Date of Maturity: 11/03/2002. LOA
INE086A08032
INE086A08040
INE086A08065
INE086A08057
INE086A08073
NSE Mibor + 65 bps Fully Unsecured NonConvertible Debentures. Date OF Maturity: NCD. 7.95% Unsecured Date of Maturity: 26/08/2002. Loa
INE086A08081
INE086A08115
NSE Mibor + 90 bps Unsecured NonConvertible Debentures. Date OF Maturity: NCD. 6.50% Unsecured Date of Maturity: 20/10/2002. LOA
ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED ELECTROSTEEL CASTINGS LIMITED ENERCON INDIA LTD.
INE086A08123
6.50% Unsecured NCD. Date of Maturity: 23/10/2002. LOA NSE Mibor + 55 bps Unsecured NonConvertible Debentures. Date OF Maturity: NCD. 6.70% Unsecured Date of Maturity: 22/11/2002. LOA
INE086A08099
INE086A08107
INE086A08131
INE086A08149
NSE Mibor + 75 Bps Unsecured NCD. Date of Maturity: 27/12/2002. LOA Unsecured NCD. 6.25% Date of Maturity: 19/02/2003. LOA
INE569F08010
INE569F08036
Mibor + 75 bps Unsecured Redeemable Non-Convertible Debentures. Date of mibor + 60bps unsecured ncd-loa
INE569F08044
Mibor+50bps Unsecured NCD-LOA MIBOR + 30 bps Unsecured Redeemable Non-Convertible Debentures. Unsecured Mibor+25bps NCD
INE569F08051
INE569F08069
INE569F08077
INE569F08028
MIBOR + 25 bps Unsecured Redeemable Non-Convertible Debentures. Mibor + 75 bps Unsecured Redeemable Non-Convertible Debentures. Date of MIBOR + 50 bps Unsecured Redeemable Non-Convertible Debentures.
INE569F08085
INE569F08093
INE569F08101
MIBOR + 50 bps Unsecured Redeemable Non-Convertible Debentures. bps MIBOR + 50 Unsecured Redeemable Non-Convertible Debentures. bps MIBOR +75 Unsecured Redeemable Non-Convertible Debentures. bps MIBOR +40 Unsecured Redeemable Non-Convertible Debentures. 12.00% Unsecured Non Convertible Debentures . Date of Maturity:08/04/2003.LOA 12.00% Secured Redeemable Non Convertible Debentures . Date of final redemption: 12.00% Secured Redeemable Non Convertible Debentures . Date of final redemption: 12.00% Secured Redeemable Non Convertible Debentures . Date of Maturity : 12.00% Secured Redeemable Non Convertible Debentures . Date of Maturity : NCD. 14.00% Secured Date of Maturity: 20.04.2003
INE569F08119
INE569F08127
ESCORTS LIMITED
INE042A08019
ESCORTS LIMITED
INE042A08043
ESCORTS LIMITED
INE042A07037
ESCORTS LIMITED
INE042A08050
ESCORTS LIMITED
INE042A07045
INE011A07016
INE917F07013
INE127A07168
MIFOR + 100 bps Secured Redeemable Non-Convetible Debentures Non 14 % Secured Convertible Debentures. Date of Final Redemption: 01/04/2007 MIFOR + 100 bps Secured Redeemable Non-Convertible Debentures
ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED
INE255A08017
INE255A07019
9% Unsecured, Unrated Non Covertible Debentures (Maturity Date- 22.01.2002) 10.60% Secured Non Covertible Debentures
INE255A08033
9.50% Unsecured Non Covertible Debentures (Maturity Date- 28/06/02) 8.50% Unsecured Non Covertible Debentures (Maturity Date27/09/2002) 7.25% Unsecured Non Covertible Debentures .Date of Maturity: 26/11/2002 10.75% Secured Non Covertible Debentures (Maturity Date30.11.2002) 6.15% Unsecured Non Covertible Debentures .Date of Maturity: 01/01/2003 6.15% Unsecured Non Covertible Debentures .Date of Maturity: 15/01/2003 6.15% Unsecured Non Covertible Debentures .Date of Maturity: 18/02/2003 6.55% Unsecured Non Covertible Debentures .Date of Maturity: 03/04/2003 6.55% Unsecured Non Covertible Debentures .Date of Maturity: 03/04/2003 10.75% Secured Non Covertible Debentures (Maturity Date30.06.2003) 10.80% Secured Non Covertible Debentures .Date of Final Redemption:24/07/2003
INE255A08041
INE255A08058
INE255A07027
INE255A08066
INE255A08074
INE255A08082
INE255A08090
INE255A08090
INE255A07035
INE255A07068
ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED
INE255A07084
INE255A08173
10.80% Secured Non Covertible Debentures .Date of Final Redemption:01/08/2003 NSE Mibor + 23 bps (compounded daily payable quarterly ) Unsecured Non NSE Mibor + 23 bps (compounded daily payable quarterly ) Unsecured + 23 bps NSE Mibor Non (compounded daily payable quarterly ) Unsecured Non Non 10.90% Secured Covertible Debentures (Maturity Date31.12.2003) 23 bps NSE Mibor + (compounded daily payable quarterly ) Unsecured Non 6.50% Unsecured Redeemable NonConvertible Debentures.
INE255A08181
INE255A08199
INE255A07043
INE255A08207
INE255A08215
INE255A08223
6.50% Unsecured Redeemable NonConvertible Debentures. NSE Mibor + 25 bps (compounded daily) Unsecured Non Convertible + 15 bps NSE Mibor Debentures. (compounded daily) Unsecured Non Convertible + 15 bps NSE Mibor Debentures. (compounded daily) Unsecured Non Convertible + 10 bps NSE Mibor Debentures. (compounded daily) Unsecured Non Convertible Debentures. 6.50% Unsecured Redeemable NonConvertible Debentures.
INE255A08231
INE255A08249
INE255A08256
INE255A08264
INE255A08298
ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED ESSEL PROPACK LIMITED (FORMERLY ESSEL PACKGING LIM ESSEL PROPACK LIMITED (FORMERLY ESSEL PACKGING LIM ESSEL PROPACK LIMITED (FORMERLY ESSEL PACKGING LIM ESSEL PROPACK LIMITED (FORMERLY ESSEL PACKGING LIMited)PROPACK ESSEL LIMITED (FORMERLY ESSEL PACKGING LIMited)PROPACK ESSEL LIMITED (FORMERLY ESSEL PACKGING LIMited)
INE255A08272
INE255A08322
NSE Mibor + 10 bps (compounded daily) Unsecured Non Convertible Debentures. 5.90% Unsecured Non Convertible Debentures.
INE255A08280
INE255A07076
NSE Mibor + 5 bps (compounded daily) Unsecured Non Convertible Debentures. 10.80% Secured Non Covertible Debentures .Date of Final Redemption:24/07/2004 NSE Mibor + 0 bps (compounded daily) Unsecured Non Convertible Debentures. 10.80% Secured Non Covertible Debentures .Date of Final Redemption:02/08/2004 10.90% Secured Non Covertible Debentures (Maturity Date14.05.2006) 6.40% Unsecured Non Covertible Debentures .
INE255A08314
INE255A07092
INE255A07050
INE255A08108
INE255A08116
6.20% Unsecured Redeemable NOnConvertible Debentures. 7.50% Unsecured Redeemable Nonconvertible Debentures. 5.95% Unsecured Redeemable NonConvertible Debentures. 6.00% Unsecured Redeemable NonConvertible Debentures. 5.60% Unsecured Redeemable NonConvertible Debentures.
INE255A08124
INE255A08132
INE255A08140
INE255A08157
ESSEL PROPACK LIMITED (FORMERLY ESSEL PACKGING LIMited)PROPACK ESSEL LIMITED (FORMERLY ESSEL PACKGING LIMited)PROPACK ESSEL LIMITED (FORMERLY ESSEL PACKGING LIMITED) ESSEL PROPACK LIMITED (FORMERLY ESSEL PACKING LIMITED) ESSEL PROPACK LIMITED (FORMERLY ESSEL PACKING LIMITED) ESSEL PROPACK LIMITED (FORMERLY ESSEL PACKING LIMITED) ESSEL PROPACK LIMITED (FORMERLY ESSEL PACKING LIMITED) ESSEL PROPACK LIMITED (FORMERLY ESSEL PACKING LIMITED) ESSEL PROPACK
INE255A08165
5.60% Unsecured Redeemable NonConvertible Debentures. NSE Mibor + 10 bps (compounded daily) Unsecured Non Convertible + 0 bps NSE Mibor Debentures. Unsecured Non Convertible Debentures.
INE255A08306
INE255A08330
INE255A08348
5.90% Unsecured Non Convertible Debentures. MIBOR + 0% Unsecured Non Convertible Debentures. 5.90% Unsecured Non Convertible Debentures. 5.90% Unsecured Non Convertible Debentures. NSE MIBOR Unsecured Non Convertible Debentures. NSE Mibor - 5 bps Unsecured Non Convertible Debentures. 8.50% Unsecured, Unrated Non Covertible Debentures (Maturity Date- 04.03.2002) Overnoght NSE MIBOR + .65% Unsecured Nonconvertible Debentures.(Letter of 8.00 % Non Convertible Debentures . Date of Maturity:20/04/2002, LOA
INE255A08355
INE255A08363
INE255A08371
INE255A08389
INE255A08397 LIMITED (FORMERLY ESSEL PACKING LIMITED) ESSEL PROPACK LTD. INE255A08025
INE302A08017
INE302A08025
INE302A07019
INE302A08033
EXPERT INE949F07016 HORTICULTURE & CULINARY INSTITUTE PVT LTD IMPORT BANK INE514E09579 EXPORT OF INDIA EXPORT IMPORT BANK INE514E09595 OF INDIA EXPORT IMPORT BANK INE514E09629 OF INDIA EXPORT IMPORT BANK INE514E09637 OF INDIA EXPORT IMPORT BANK INE514E09173 OF INDIA EXPORT IMPORT BANK INE514E08019 OF INDIA EXPORT IMPORT BANK INE514E08027 OF INDIA EXPORT IMPORT BANK INE514E09181 OF INDIA EXPORT IMPORT BANK INE514E09199 OF INDIA EXPORT IMPORT BANK INE514E09207 OF INDIA EXPORT IMPORT BANK INE514E08035 OF INDIA
7.15% Secured Non Convertible Debentures . Date of Maturity:09/10/2004, MIFOR + 150 bps Secured Redeemable Non-Convertible Debentures 5.70% Unsecured NonConvertible Bonds in the form of Promissory Notes. Unsecured Non5.70% Series G5. Convertible Bonds in the form of Promissory Notes. Unsecured Non5.55% Series G7. Convertible Bonds in the form of Promissory Notes. Unsecured Non5.20% Series G10. Convertible Bonds in the form of Promissory Notes. Unsecured Bonds 8.95% Series G11. in the form of Promissory Notes Series E 8.9% Unsecured Non Convertible Bonds-Series E1 (Book Entry Form) 8.8% Unsecured Non Convertible Bonds-Series E2 (Book Entry Form) 8.73% Unsecured NonConvertible Bonds in the Form of Promissory Notes-Series E3 Non8.70% Unsecured Convertible Bonds in the Form of Promissory Notes-Series E4 Non 8.70% Unsecured Convertible Bonds-Series E5 8.55% Unsecured NonConvertible Bonds Series E6. Date Of Maturity:03.12.2006
EXPORT IMPORT BANK INE514E09413 OF INDIA EXPORT IMPORT BANK INE514E09215 OF INDIA EXPORT IMPORT BANK INE514E09223 OF INDIA EXPORT IMPORT BANK INE514E09231 OF INDIA EXPORT IMPORT BANK INE514E09249 OF INDIA EXPORT IMPORT BANK INE514E09256 OF INDIA EXPORT IMPORT BANK INE514E09264 OF INDIA EXPORT IMPORT BANK INE514E09272 OF INDIA EXPORT IMPORT BANK INE514E09280 OF INDIA EXPORT IMPORT BANK INE514E09322 OF INDIA EXPORT IMPORT BANK INE514E09348 OF INDIA EXPORT IMPORT BANK INE514E09355 OF INDIA EXPORT IMPORT BANK INE514E09363 OF INDIA
6.20% Unsecured NonConvertible Bonds in the form of Promissory Notes. Unsecured Non 8.60% Series F17. Date Convertible Bonds in the form of Promissory Notes -Unsecured Non8.55% Series E7 Convertible Bonds in the form of Promissory Notes Series E8.Date Of Non8.55% Unsecured Convertible Bonds in the form of Promissory Notes Series E9.Date Of Non8.55% Unsecured Convertible Bonds in the form of Promissory Notes Series E10.Date Of 8.38% Unsecured NonConvertible Bonds in the form of Promissory Notes Series F1.Date Of Non8.38% Unsecured Convertible Bonds in the form of Promissory Notes Series F2.Date Of Non8.38% Unsecured Convertible Bonds in the form of Promissory Notes Series F3.Date Of Non8.30% Unsecured Convertible Bonds in the form of Promissory Notes Series F4.Date Of Non6.25% Unsecured Convertible Bonds in the form of Promissory Notes. Unsecured Date of 6.50% Series F8. NonConvertible Bonds in the form of Promissory Notes. Unsecured Non6.50% Series F10. Date Convertible Bonds in the form of Promissory Notes. Unsecured Non6.17% Series F11. Date Convertible Bonds in the form of Promissory Notes. Series F12. Date
EXPORT IMPORT BANK INE514E09371 OF INDIA EXPORT IMPORT BANK INE514E09389 OF INDIA EXPORT IMPORT BANK INE514E09397 OF INDIA EXPORT IMPORT BANK INE514E09405 OF INDIA EXPORT IMPORT BANK INE514E09421 OF INDIA EXPORT IMPORT BANK INE514E09439 OF INDIA EXPORT IMPORT BANK INE514E09447 OF INDIA EXPORT IMPORT BANK INE514E09454 OF INDIA EXPORT-IMPORT BANK INE514E08068 OF INDIA FINOLEX CABLES LTD INE235A08019
6.10% Unsecured NonConvertible Bonds in the form of Promissory Notes. Unsecured Non5.95% Series F13. Date Convertible Bonds in the form of Promissory Notes. Unsecured Non6.35% Series F14. Date Convertible Bonds in the form of Promissory Notes. Unsecured Non6.30% Series F15. Date Convertible Bonds in the form of Promissory Notes. Unsecured Non6.05% Series F16. Date Convertible Bonds in the form of Promissory Notes. Unsecured Non6.25% Series F18. Date Convertible Bonds in the form of Promissory Notes. Unsecured Non6.20% Series F19. Date Convertible Bonds in the form of Promissory Notes. Unsecured Non6.15% Series F20. Date Convertible Bonds in the form of Promissory Notes. Series 25 bps 1 yr INBMK + F21. Date Unsecured NonConvertible Bonds Series H01. Secured Taxable 8.15% NCD. Series K. Date of Maturity: 15/07/2005. Letter of Allotment 7.99% Secured NCD .Letter of Allotment. Date of Maturity: 07/10/2007
FINOLEX INDUSTRIES LTD. FINOLEX INDUSTRIES LTD. FIRST LEASING COMPANY OF INDIA LTD.
INE183A08011
INE183A08029
7.25% Secured NCD .Letter of Allotment. Date of Maturity:31/10/2007 11.00% Secured NCD, Date of Maturity: 04/04/2002
INE492B07057
FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD.
INE492B07065
11.25% Secured NCD, Date of Maturity: 04/10/2002 10.50% Secured NCD, Date of Maturity: 17/03/2003 11.40% Secured NCD, Date of Maturity: 04/04/2003 10.50% Secured NCD, Date of Maturity: 06/07/2003 11.50% Secured NCD, Date of Maturity: 04/10/2003 11.75% Secured NCD, Date of Maturity: 04/10/2003 10.50% Secured NCD, Date of Maturity: 09/10/2003 9.45% Secured NCD, Date of Maturity: 14/11/2003 9.00% Secured NCD, Date of Maturity: 14/11/2003 9.00% Secured NCD, Date of Maturity: 17/11/2003 13.00% Secured NCD, Date of Maturity: 04/12/2003 11.60% Secured NCD, Date of Maturity: 04/04/2004 11.75% Secured NCD, Date of Maturity: 04/04/2004
INE492B07123
INE492B07073
INE492B07131
INE492B07081
INE492B07230
INE492B07313
INE492B07321
INE492B07339
INE492B07347
INE492B07354
INE492B07099
INE492B07248
FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LTD. FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED
INE492B07107
11.75% Secured NCD, Date of Maturity: 04/10/2004 11.90% Secured NCD, Date of Maturity: 04/04/2005 12.00% Secured NCD, Date of Maturity: 01/10/2005 12.10% Secured NCD, Date of Maturity: 01/04/2006 12.25% Secured NCD, Date of Maturity: 01/10/2006 12.25% Secured NCD, Date of Maturity: 04/10/2006 12.40% Secured NCD, Date of Maturity: 01/04/2007 12.50% Secured NCD, Date of Maturity: 04/04/2007 12.50% Secured NCD, Date of Maturity: 01/10/2007 12.60% Secured NCD, Date of Maturity: 01/04/2008 12.50% Secured NCD, Date of Maturity: 04/04/2008 8.25% Secured Redeemable NonConvertible Debentures. Letter ofSecured 10.50% Allotment Redeemable NonConvertible Debentures.
INE492B07115
INE492B07149
INE492B07156
INE492B07164
INE492B07255
INE492B07172
INE492B07263
INE492B07180
INE492B07198
INE492B07271
INE492B07404
INE492B07388
FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED FIRST LEASING COMPANY OF INDIA LIMITED
INE492B07412
8.25% Secured Redeemable NonConvertible Debentures 5.70% Secured Redeemable NonConvertible Debentures. 9.50% Secured Redeemable NonConvertible Debentures. 12% Secured Redeemable NonConvertible Debentures. 9.50% Secured Redeemable NonConvertible Debentures. 7.25% Secured Redeemable NonConvertible Debentures. 7.50% Secured Redeemable NonConvertible Debentures. 7.50% Secured Redeemable NonConvertible Debentures. 9.00% Secured Redeemable NonConvertible Debentures. 12.00% Secured Redeemable NonConvertible Debentures. 6.50% Secured Redeemable NonConvertible Debentures. 12.00% Secured Redeemable NonConvertible Debentures. 12.50% Secured Redeemable NonConvertible Debentures.
INE492B07487
INE492B07420
INE492B07503
INE492B07438
INE492B07446
INE492B07453
INE492B07461
INE492B07479
INE492B07511
INE492B07495
INE492B07362
INE492B07370
FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED
INE983D08067
INE983D08117
Mibor + 90 bps Secured Non -Convertible Debenture Series A 66 (LOA), Secured Non 8.25% Date Of Convertible Debenture Series A71, Date Of Maturity:08/02/2002. -LOA 8.75% Secured Non Convertible Debenture Series A69, Date Of Maturity:12/03/2002 8.90% Secured Non Convertible Debenture Series A79, Date Of Maturity:02.04.2002 LOA Mibor + 75 bps Secured Non -Convertible Debenture Series A72, Date OfSecured Non 8.75% Convertible Debenture Series A74, Date Of Maturity:22/04/2002 8.15% Secured Non Convertible Debenture Series A82, Date Of Maturity:09/05/2002 LOA Mibor + 75 Bps Secured Non -Convertible Debenture Series A75, Date Of 80 Bps Secured Mibor + Non -Convertible Debenture Series A76, Date Of 75 Bps Secured Mibor + Non -Convertible Debenture Series A77, Date Of 8.75% Secured Non Convertible Debenture Series A85, Date Of Maturity:29/05/2002 LOA Mibor + 75 Bps Secured Non -Convertible Debenture Series A78, Date Of 7.95% Secured Non Convertible Debenture Series A88, Date Of Maturity:09/07/2002 LOA
INE983D08109
INE983D08190
INE983D08125
INE983D08141
INE983D08224
INE983D08158
INE983D08166
INE983D08174
INE983D08232
INE983D08182
INE983D08265
FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED
INE983D08133
INE983D07135
9.10% Secured Non Convertible Debenture Series A73, Date Of Maturity:11/07/2002 9.10% Secured Non Convertible Debenture Series A73, Date Of Maturity:11/07/2002 Mibor + 100 Bps Secured Non -Convertible Debenture Series A81, Date Of 80 Bps Secured Mibor + Non -Convertible Debenture Series A86, Date Of 8.80% Non Convertible Debenture Series A64
INE983D08216
INE983D08240
INE983D07093
INE983D07101
8.80% Non Convertible Debenture Series A65 13.10% Secured Non Convertible Debenture Series A34, Date Of Maturity:24/08/02 Mibor + 75 bps Secured Non -Convertible Debenture Date Of Maturity:03-09-2002 Mibor + 80 Bps Secured Non -Convertible Debenture Series A89, Date Of Secured Non 12.60% Convertible Debenture Series A40, Date Of Maturity:04/11/02 Mibor + 70 Bps Secured Non -Convertible Debenture Series A90, Date Of 60 Bps Secured Mibor + Non -Convertible Debenture Series A91, Date Of Unsecured Non 13.15% Convertible Debenture Series A4, Date Of Maturity:10/12/2002
INE983D07150
INE983D08257
INE983D08273
INE983D07168
INE983D08281
INE983D08299
INE983D08323
FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED
INE983D08331
INE983D08307
13.15% Unsecured Non Convertible Debenture Series A5, Date Of Maturity:13/12/2002 Mibor + 70 Bps Secured Non -Convertible Debenture Series A92, Date Of 55 Bps Mibor + Maturity: UnSecured Non Convertible Debenture Series+ 55 Bps Of Mibor A93, Date Unsecured Non Convertible Debenture Series+ 70 Bps Of Mibor A94, Date Unsecured Non Convertible Debenture Series+ 40 Bps Of Mibor A95, Date Unsecured Non Convertible Debenture Series+ 55 Bps Of Mibor A97, Date Unsecured Non Convertible Debenture Series A99 & A100, Date 9.15% Secured Non Convertible Debenture Series A80, Date Of Maturity:03/04/2003 LOA 9.15% Secured Non Convertible Debenture Series A80, Date Of Maturity:03/04/2003 11.85% Secured Non Convertible Debenture Series A45, Date Of Maturity:15/04/03 Mibor + 40 Bps Unsecured Non Convertible Debenture Series A101 DateNon 11.85% Secured Of Convertible Debenture Series A46, Date Of Maturity:24/04/03 Mibor + 40 Bps Unsecured Non Convertible Debenture Series A104 Date Of
INE983D08315
INE983D08356
INE983D08364
INE983D08380
INE983D08406
INE983D08208
INE983D07226
INE983D07176
INE983D08414
INE983D07184
INE983D08448
FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED
INE983D08455
INE983D08463
6.10% Unsecured Non Convertible Debenture Series A105 Date Of Maturity:29/04/2003.LOA Mibor + 40 Bps Unsecured Non Convertible Debenture Series A107 Date Of 6.25% Unsecured Non Convertible Debenture Series A108 Date Of Maturity:02/05/2003.LOA 6.85% Unsecured Redeemable NonConvertible Debentures Series A110. Letter of 6.15% Unsecured Non Convertible Debenture Series A96, Date Of Maturity:20/06/2003 6.15% Secured Non Convertible Debenture Series A96, Date Of Maturity:20/06/2003 6.15% Unsecured Non Convertible Debenture Series A96, Date Of Maturity:20/06/2003 6.15% Unsecured Non Convertible Debenture Series A98, Date Of Maturity:24/06/2003.LOA 6.15% Secured Non Convertible Debenture Series A98, Date Of Maturity:24/06/2003 6.15% Unsecured Non Convertible Debenture Series A98, Date Of Maturity:24/06/2003 12.50% Secured Non Convertible Debenture Series A31, Date Of Maturity:11/07/2003. 12.50% Secured Non Convertible Debenture Series A32, Date Of Maturity:14/07/2003Non 12.40% Unsecured Convertible Debenture Series A33, Date Of Maturity:17/07/2003.
INE983D08471
INE983D08497
INE983D08372
INE983D07234
INE983D07234
INE983D08398
INE983D07242
INE983D07242
INE983D07143
INE983D07218
INE983D08349
FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED
INE983D08422
INE983D07259
6.20% Unsecured Non Convertible Debenture Series A102 Date Of Maturity:25/07/2003.LOA 6.20% Secured Non Convertible Debenture Series A102 Date Of Maturity:25/07/2003 6.20% Unsecured Non Convertible Debenture Series A102 Date Of Maturity:25/07/2003 6.20% Unsecured Non Convertible Debenture Series A103 Date Of Maturity:28/07/2003.LOA 6.20% Secured Non Convertible Debenture Series A103 Date Of Maturity:28/07/2003 6.20% Unsecured Non Convertible Debenture Series A103 Date Of Maturity:28/07/2003 11.00% Secured Non Convertible Debenture Series A53, Date Of Maturity:31.07.2003 MIBOR + 10 bps Unsecured Redeemable Non-Convertible Debentures Series 5.25% Unsecured Redeemable NonConvertible Debentures Series A127. Letter of 5.25% Unsecured Redeemable NonConvertible Debentures Series A128. bps of MIBOR + 25 Letter Unsecured Redeemable Non-Convertible Debentures bps MIBOR + 30 Unsecured Redeemable Non-Convertible Debentures bps MIBOR + 30 Unsecured Redeemable Non-Convertible Debentures Series
INE983D07259
INE983D08430
INE983D07267
INE983D07267
INE983D07085
INE983D08505
INE983D08539
INE983D08521
INE983D08554
INE983D08562
INE983D08570
FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED FORD CREDIT KOTAK MAHINDRA LIMITED
INE983D08588
INE983D08596
MIBOR + 30 bps Unsecured Redeemable Non-Convertible Debentures Series A140 MIBOR + 25 bps Unsecured Redeemable Non-Convertible Debentures Series 4.90% Unsecured Redeemable NonConvertible Debentures Series A160 & 161. 10.35% Secured Non Convertible Debenture Series A57, Date Of Maturity:24/08/04Non 10.35% Secured Convertible Debenture Series A58, Date Of Maturity:27/08/04 7.65% Unsecured Redeemable NonConvertible Debentures Series A109.Letter of 7.65% Secured Redeemable NonConvertible Debentures Series A109. 7.65% Unsecured Redeemable NonConvertible Debentures Series A109. 10.30% Secured Non Convertible Debenture Series A67, Date Of Maturity:24/11/2004 10.30% Secured Non Convertible Debenture Series A67, Date Of Maturity:24/11/2004 10.30% Secured Non Convertible Debenture Series A68, Date Of Maturity:26/11/2004 10.30% Secured Non Convertible Debenture Series A68, Date Of Maturity:26/11/2004 6.55% Unsecured Redeemable NonConvertible Debentures Series A129. Letter of
INE983D08604
INE983D07192
INE983D07200
INE983D08489
INE983D07275
INE983D07275
INE983D08091
INE983D07119
INE983D08083
INE983D07127
INE983D08513
INE983D08547
INE923B07069
6.55% Unsecured Redeemable NonConvertible Debentures Series A130. Letter of 9.80% Secured Redeemable NonConvertible DebentureSeries S. 11.75% Secured NCD. Date of Maturity: 30/03/2003.
INE259B07019
INE526A08060
GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED
INE526A08078
INE526A08086
NSE Mibor + 80 bps Unsecured Redeemable Non-Convertible Debentures. Letter of NSE Mibor + 80 bps Unsecured Redeemable Non-Convertible Debentures. Letter of NSE Mibor + 80 bps Unsecured Redeemable Non-Convertible Debentures Letter bps NSE MIBOR + 60 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 60 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 60 of Unsecured Redeemable Non-Convertible Debentures. Letter of 5.5% Unsecured NCDLOA
INE526A08094
INE526A08110
INE526A08128
INE526A08136
INE526A08144
INE526A08151
INE526A08169
NSE MIBOR + 50 bps Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 50 of Unsecured Redeemable Non-Convertible Debentures. Letter of
GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED GARDEN SILK MILLS LIMITED
INE526A08177
INE526A08193
NSE MIBOR + 50 bps Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 35 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 30 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 40 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 37 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 80 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 30 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 20 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 20 of Unsecured Redeemable Non-Convertible Debentures. Letter of 5.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR + 40 bps Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 40 of Unsecured Redeemable Non-Convertible Debentures. Letter of
INE526A08185
INE526A08201
INE526A08219
INE526A08102
INE526A08227
INE526A08235
INE526A08243
INE526A08284
INE526A08276
INE526A08268
INE526A08250
GARDEN SILK MILLS LTD. GARDEN SILK MILLS LTD. GARDEN SILK MILLS LTD. GARDEN SILK MILLS LTD. GARDEN SILK MILLS LTD.
INE526A08029
INE526A08045
NSE MIBOR + 60 bps Unsecured NonConvertible Redeemable debentures.Date of NSE MIBOR + 60 bps Unsecured NonConvertible Redeemable debentures.Date of NSE MIBOR + 80 bps Unsecured NonConvertible Redeemable Floating Rate+ 80 bps NSE MIBOR Bonds in Unsecured NonConvertible Redeemable Floating Rate+ 80 bps NSE MIBOR Bonds.Date Unsecured NonConvertible Redeemable Debentures DatePlaced 9.25% Privately of fully secured nonconvertible debentures (GECSI -Non-Convertible Secured Series J-18) Debentures- GECSISeries K-6(Option A) 8.25% Secured NonConvertible DebenturesGECSI- Series K-14, Date Of Maturity: Secured Non Convertible Debenture -GECSISeries A4 Option E Date of Maturity: (8%) Secured Fixed Rate 28/02/2002 Non Convertible Debenture -GECSISeries K-18 (NSE Mibor Floating Rate + 1.10%) Secured Non Convertible Debenture GECSI-Series K-17 8.60% Secured Non Convertible Debenture GECSI-Series K23.Option A Date of 9.75% Secured Non Convertible Debenture GECSI-Series L-12 Option A
INE526A08011
INE526A08037
INE526A08052
GE CAPITAL SERVICES INE587B07294 INDIA GE CAPITAL SERVICES INE587B07401 INDIA GE CAPITAL SERVICES INE587B07526 INDIA GE CAPITAL SERVICES INE587B07732 INDIA GE CAPITAL SERVICES INE587B07609 INDIA GE CAPITAL SERVICES INE587B07591 INDIA GE CAPITAL SERVICES INE587B07674 INDIA GE CAPITAL SERVICES INE587B07AG0 INDIA
GE CAPITAL SERVICES INE587B07435 INDIA GE CAPITAL SERVICES INE587B07286 INDIA GE CAPITAL SERVICES INE587B07BJ2 INDIA GE CAPITAL SERVICES INE587B07450 INDIA GE CAPITAL SERVICES INE587B07658 INDIA GE CAPITAL SERVICES INE587B07AF2 INDIA GE CAPITAL SERVICES INE587B07484 INDIA GE CAPITAL SERVICES INE587B07AH8 INDIA GE CAPITAL SERVICES INE587B07AN6 INDIA GE CAPITAL SERVICES INE587B07AE5 INDIA GE CAPITAL SERVICES INE587B07AP1 INDIA GE CAPITAL SERVICES INE587B07724 INDIA GE CAPITAL SERVICES INE587B07BA1 INDIA
Floating Rate (NSE Mibor + Margin 1.05%) Secured Non-Convertible Debentures- GECSI10.50% Privately Placed fully secured nonconvertible debentures (GECSI - SeriesNon 8.50% Secured J-15) Convertible Debenture GECSI-Series M-11 Floating Rate (NSE Mibor + Margin 1.30%) Privately Placed fully secured non- convertible 8.60% Secured Non Convertible Debenture GECSI-Series K-21. Date of Maturity: 20/06/2002 9.00% Secured Non Convertible Debenture GECSI-Series L-13 Fixed Rate (8.6%) Private Placement of Non Convertible Debentures- GECSI8.80% Secured Non Convertible Debenture GECSI-Series L-12 Option Secured Non 8.80% B Convertible Debenture GECSI-Series L12,Option B (NSE Mibor Floating Rate + 0.75%) Secured Non Convertible Debenture GECSI-Series L-11 8.45% Secured Non Convertible Debenture GECSI-Series M-1 Maturity Date Convertible Secured Non 03-07-2002 Debenture -GECSISeries L-1 Date of Maturity: 10/07/2002 8.50% Secured Non Convertible Debenture GECSI-Series M-5
GE CAPITAL SERVICES INE587B07BF0 INDIA GE CAPITAL SERVICES INE587B07BI4 INDIA GE CAPITAL SERVICES INE587B07807 INDIA GE CAPITAL SERVICES INE587B07BE3 INDIA GE CAPITAL SERVICES INE587B07419 INDIA GE CAPITAL SERVICES INE587B07823 INDIA GE CAPITAL SERVICES INE587B07BV7 INDIA GE CAPITAL SERVICES INE587B07BW5 INDIA GE CAPITAL SERVICES INE587B07BX3 INDIA GE CAPITAL SERVICES INE587B07963 INDIA GE CAPITAL SERVICES INE587B07476 INDIA GE CAPITAL SERVICES INE587B07AT3 INDIA GE CAPITAL SERVICES INE587B07815 INDIA
8.50% Secured Non Convertible Debenture GECSI-Series M-5 9.70% Secured Non Convertible Debenture GECSI-Series M-10 Floating Rate (NSE Mibor + 1.50%) Secured Non Convertible Debenture GECSI-Series(NSE Mibor Floating Rate I-5, Option + 1.25%) Secured Non Convertible Debenture GECSI-Series M-7 Secured Non-Convertible Debentures- GECSISeries K-6(Option B) Floating Rate (NSE Mibor + 1.35%) Secured Non Convertible Debenture GECSI-Series J-11, 9.85% Secured Non Convertible Debenture GECSI-Series M-16 9.85% Secured Non Convertible Debenture GECSI-Series M-16 9.85% Secured Non Convertible Debenture GECSI-Series M-16 8.45% Secured Non Convertible Debenture GECSI-Series L-8 Fixed Rate (8.75%) Private Placement of Non Convertible Debentures- GECSIFloating Rate (NSE Mibor + 0.75%) Secured Non Convertible Debenture GECSI-Series(NSE Mibor Floating Rate M-2 + 1.50%) Secured Non Convertible Debenture GECSI-Series I-13,
GE CAPITAL SERVICES INE587B07542 INDIA GE CAPITAL SERVICES INE587B07898 INDIA GE CAPITAL SERVICES INE587B07831 INDIA
GE CAPITAL SERVICES INDIA INE587B07CE1
9.00% Secured NonConvertible DebenturesGECSI- Series K-15, Date Of Maturity: 8.45% Secured Non Convertible Debenture GECSI-Series L-4, Option A, Date of Mibor Floating Rate (NSE + 1.35%) Secured Non Convertible Debenture GECSI-Series J-17, 8.25% Secured Non
Convertible Debenture GECSI-Series M-19
9.00% Secured Non Convertible Debenture GECSI-Series L-12 Option C 8.25% Secured Non
Convertible Debenture GECSI-Series M-19
GE CAPITAL SERVICES INE587B07AQ9 INDIA GE CAPITAL SERVICES INE587B07DA7 INDIA GE CAPITAL SERVICES INE587B07DJ8 INDIA GE CAPITAL SERVICES INE587B07336 INDIA GE CAPITAL SERVICES INE587B07328 INDIA GE CAPITAL SERVICES INE587B07DS9 INDIA GE CAPITAL SERVICES INE587B07DT7 INDIA
9.00% Secured Non Convertible Debenture GECSI-Series L-12 Option Secured of 8.30% C. Date Non Convertible Debenture GECSI-Series M-26 . Date ofSecured Non 7.35% maturity: Convertible Debentures. Series N-4.Date of maturity:11.10.2002 MIBOR+1.40% Secured Non-Convertible Debentures- GECSISeries K-2(Option-A) 8.80% Secured NonConvertible DebenturesGECSI- Series K-1 6.90% Secured NonConvertible Deventures. GECSI-Series N-10. Date of maturity: + Margin NSE Mibor 25/10/2002 1.25% Secured NonConvertible Debentures.GECSI-
GE CAPITAL SERVICES INE587B07393 INDIA GE CAPITAL SERVICES INE587B07906 INDIA GE CAPITAL SERVICES INE587B07369 INDIA GE CAPITAL SERVICES INE587B07BM6 INDIA GE CAPITAL SERVICES INE587B07CW3 INDIA GE CAPITAL SERVICES INE587B07BU9 INDIA GE CAPITAL SERVICES INE587B07427 INDIA GE CAPITAL SERVICES INE587B07443 INDIA GE CAPITAL SERVICES INE587B07500 INDIA GE CAPITAL SERVICES INE587B07518 INDIA GE CAPITAL SERVICES INE587B07492 INDIA GE CAPITAL SERVICES INE587B07468 INDIA GE CAPITAL SERVICES INE587B07559 INDIA
Secured Non-Convertible Debentures- GECSISeries K-5 Floating Rate (NSE Mibor + 1.25%) Secured Non Convertible Debenture GECSI-Series L-5 Secured Non-Convertible Debentures- GECSISeries D-NOV01 (Option D7-B) Secured Non 9.10% Convertible Debenture GECSI-Series M-13, Option A MIBOR+2% Secured Non Convertible Debenture GECSI-Series I-7. Date of maturity: 08-11-2002 9.00% Secured Non Convertible Debenture GECSI-Series M-15, Option (Deep Discount 8.90% C Rate) Secured NonConvertible DebenturesGECSI- Series(Reuters Floating Rate K-7 CP Rate + Margin 0.35%) Privately Placed fully secured Rate convertible Floating non- (NSE Mibor + GE Capital 30Days Reset Rate) Secured Non Convertible Debenture (NSE Mibor + GE Capital 30Days Reset Rate) Secured Non Convertible Debenture -GECSIFixed Rate (8.75%) Private Placement of Non Convertible Debentures- GECSIFloating Rate (NSE Mibor + Margin 1.45%) Privately Placed fully secured non- convertible 9.10% Secured NonConvertible DebenturesGECSI- Series K-16, Option A, Date Of
GE CAPITAL SERVICES INE587B07567 INDIA GE CAPITAL SERVICES INE587B07575 INDIA GE CAPITAL SERVICES INE587B07583 INDIA GE CAPITAL SERVICES INE587B07CL6 INDIA GE CAPITAL SERVICES INE587B07CI2 INDIA GE CAPITAL SERVICES INE587B07617 INDIA GE CAPITAL SERVICES INE587B07625 INDIA GE CAPITAL SERVICES INE587B07EZ2 INDIA GE CAPITAL SERVICES INE587B07CN2 INDIA GE CAPITAL SERVICES INE587B07633 INDIA GE CAPITAL SERVICES INE587B07DU5 INDIA GE CAPITAL SERVICES INE587B07641 INDIA GE CAPITAL SERVICES INE587B07666 INDIA
8.80% Secured NonConvertible DebenturesGECSI- Series K-16, Option B, Date Of Mibor Floating Rate (NSE + GE Capital 30Days Reset Rate) Secured Non Convertible Debenture Floating Rate (NSE Mibor + GE Capital 30Days Reset Rate) Secured Non Convertible Debenture 8.35% Secured Non Convertible Debenture GECSI-Series M-21 8.35% Secured Non Convertible Debenture GECSI-Series M-21 Floating Rate (NSE Mibor + 0.95%) Secured Non Convertible Debenture GECSI-Series(NSE Mibor Floating Rate K-19. Date + 0.95%) Secured Non Convertible Debenture GECSI-Series K-19. Date 13.50% Secured NonConvertible Debentures. GECSI-Series 23 Strip Part I.. Securedmaturity: 8.35% Date of Non Convertible Debenture GECSI-Series M-21. Date of maturity: Floating Rate (NSE Mibor + 0.95%) Secured Non Convertible Debenture GECSI-Series K-20. Date NSE Mibor + Margin 1.25% Secured NonConvertible Debentures.GECSI-Mibor Floating Rate (NSE + GE Capital 30Days Reset Rate) Secured Non Convertible Debenture Floating Rate (NSE Mibor + GE Capital 30Days Reset Rate) Secured Non Convertible Debenture -
GE CAPITAL SERVICES INE587B07CQ5 INDIA GE CAPITAL SERVICES INE587B07682 INDIA GE CAPITAL SERVICES INE587B07CU7 INDIA GE CAPITAL SERVICES INE587B07FD6 INDIA GE CAPITAL SERVICES INE587B07FJ3 INDIA GE CAPITAL SERVICES INE587B07CT9 INDIA GE CAPITAL SERVICES INE587B07FE4 INDIA GE CAPITAL SERVICES INE587B07708 INDIA GE CAPITAL SERVICES INE587B07DD1 INDIA GE CAPITAL SERVICES INE587B07DG4 INDIA GE CAPITAL SERVICES INE587B07FM7 INDIA GE CAPITAL SERVICES INE587B07690 INDIA GE CAPITAL SERVICES INE587B07DM2 INDIA
Secured Non Convertible Debenture -GECSISeries M-23 Option A. Date of Rate (NSE Mibor Floating + 1.25%) Secured Non Convertible Debenture GECSI-Series K8.55% Secured Non Convertible Debenture GECSI-Series M-28. Date ofSecured Non6.70% maturity: 26-12Convertible Debentures. GECSI-Series N-28 Date of maturity: 27/12/2002 6.70% Secured NonConvertible Debentures. GECSI-Series O-4. Date of maturity:27/12/2002 8.55% Secured Non Convertible Debenture GECSI-Series M-28. Date ofSecured Non7.20% maturity: Convertible Debentures. GECSI-Series O-2. Date of maturity: 01/01/2003 Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 8.45% Secured Non Convertible Debenture GECSI-Series N-1, Option Secured Non 8.45% A . Date of Convertible Debenture GECSI-Series N-1, Option Secured Non7.20% A . Date of Convertible Debentures. GECSI-Series O-2. Date of maturity: 03/01/2003. Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 7.45% Secured Non Convertible Debenture GECSI-Series N-7 . Date of maturity: 15/01/2003
GE CAPITAL SERVICES INE587B07757 INDIA GE CAPITAL SERVICES INE587B07765 INDIA GE CAPITAL SERVICES INE587B07781 INDIA GE CAPITAL SERVICES INE587B07799 INDIA GE CAPITAL SERVICES INE587B07DR1 INDIA GE CAPITAL SERVICES INE587B07849 INDIA GE CAPITAL SERVICES INE587B07856 INDIA GE CAPITAL SERVICES INE587B07872 INDIA GE CAPITAL SERVICES INE587B07FT2 INDIA GE CAPITAL SERVICES INE587B07914 INDIA GE CAPITAL SERVICES INE587B07922 INDIA GE CAPITAL SERVICES INE587B07930 INDIA GE CAPITAL SERVICES INE587B07EF4 INDIA
8.75% Secured Non Convertible Debenture GECSI-Series L-2, Option A,Non Convertible Secured Date of Debenture -GECSISeries L-2, Option A, Date of Maturity: Capital Floating Rate (GE 30 Day Floating Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 7.15% Secured NonConvertible Deventures. GECSI-Series N-9. Date of maturity: 23/01/2003 Floating Rate (NSE Mibor + 1.40%) Secured Non Convertible Debenture GECSI-Series L-3 8.57% Secured Non Convertible Debenture GECSI-Series L-4, Option B Non Convertible Secured Debenture -GECSISeries L-2, Option A, Date ofSecured Non6.65% Maturity: Convertible Debentures. GECSI-Series O-10. Date of maturity:05/02/2003 Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 8.65% Secured Non Convertible Debenture GECSI-Series L-6 7.40% Secured NonConvertible Debentures. GECSI-Series N-17. Option-A. Date of
GE CAPITAL SERVICES INE587B07948 INDIA GE CAPITAL SERVICES INE587B07955 INDIA GE CAPITAL SERVICES INE587B07EI8 INDIA GE CAPITAL SERVICES INE587B07971 INDIA GE CAPITAL SERVICES INE587B07EL2 INDIA GE CAPITAL SERVICES INE587B07AY3 INDIA GE CAPITAL SERVICES INE587B07989 INDIA GE CAPITAL SERVICES INE587B07GD4 INDIA GE CAPITAL SERVICES INE587B07AA3 INDIA GE CAPITAL SERVICES INE587B07AB1 INDIA GE CAPITAL SERVICES INE587B07997 INDIA GE CAPITAL SERVICES INE587B07AC9 INDIA GE CAPITAL SERVICES INE587B07AD7 INDIA
Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 7.00% Secured NonConvertible Debentures. GECSI-Series N-19. Date of maturity: 23/02/2003 8.75% Secured Non Convertible Debenture GECSI-Series L-9 7.00% Secured NonConvertible Debentures. GECSI-Series N-19. Date of maturity: 26/02/2003 8.80% Secured Non Convertible Debenture GECSI-Series M-4 Floating Rate (NSE Mibor + 1.35%) Secured Non Convertible Debenture GECSI-Series L-7 6.15% Secured Non Convertible Debenture GECSI-Series O-16, Option ARate (GE Capital Floating 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 8.65% Secured Non Convertible Debenture GECSI-Series L-10 (Date of maturity : 8th March, Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture -
GE CAPITAL SERVICES INE587B07AJ4 INDIA GE CAPITAL SERVICES INE587B07AK2 INDIA GE CAPITAL SERVICES INE587B07AO4 INDIA GE CAPITAL SERVICES INE587B07AU1 INDIA GE CAPITAL SERVICES INE587B07AV9 INDIA GE CAPITAL SERVICES INE587B07HE0 INDIA GE CAPITAL SERVICES INE587B07344 INDIA GE CAPITAL SERVICES INE587B07BD5 INDIA GE CAPITAL SERVICES INE587B07BB9 INDIA GE CAPITAL SERVICES INE587B07BC7 INDIA GE CAPITAL SERVICES INE587B07BG8 INDIA GE CAPITAL SERVICES INE587B07GP8 INDIA GE CAPITAL SERVICES INE587B07BK0 INDIA
9.50% Secured Non Convertible Debenture GECSI-Series L-12 Option D 9.2% Secured Non Convertible Debenture GECSI-Series L-15 9.20% Secured Non Convertible Debenture GECSI-Series L-15 Maturity date 05-04-2002 8.80% Secured Non Convertible Debenture GECSI-Series M-3 8.80% Secured Non Convertible Debenture GECSI-Series M-3 6.48% Secured Redeemable NonConvertible Debentures Series P-13 MIBOR+1.40% Secured Non-Convertible Debentures- GECSISeries K-2(Option-B) 9.00% Secured Non Convertible Debenture GECSI-Series M-6 Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 8.95% Secured Non Convertible Debenture GECSI-Series M-8 6.65% Secured Non Convertible Debenture GECSI-Series P-4. Date of Maturity :27/04/2003 8.95% Secured Non Convertible Debenture GECSI-Series M-8
GE CAPITAL SERVICES INE587B07BH6 INDIA GE CAPITAL SERVICES INE587B07BO2 INDIA GE CAPITAL SERVICES INE587B07BP9 INDIA GE CAPITAL SERVICES INE587B07FS4 INDIA GE CAPITAL SERVICES INE587B07GF9 INDIA GE CAPITAL SERVICES INE587B07BL8 INDIA GE CAPITAL SERVICES INE587B07BN4 INDIA GE CAPITAL SERVICES INE587B07BQ7 INDIA GE CAPITAL SERVICES INE587B07BR5 INDIA GE CAPITAL SERVICES INE587B07BS3 INDIA GE CAPITAL SERVICES INE587B07BT1 INDIA GE CAPITAL SERVICES INE587B07BY1 INDIA GE CAPITAL SERVICES INE587B07GH5 INDIA
9.20% Secured Non Convertible Debenture GECSI-Series M-9 Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 6.50% Secured NonConvertible Debentures. GECSI-Series O-9. Date of maturity:07/052003. NSE Mibor + 0.90% Secured NonConvertible Debentures. GECSI9.40% Secured Non Convertible Debenture GECSI-Series M-12 9.30% Secured Non Convertible Debenture GECSI-Series M-13, Option BRate (NSE Mibor Floating + 1.45%) Secured Non Convertible Debenture GECSI-Series M-14 9.30% Secured Non Convertible Debenture GECSI-Series M-13, Option Secured Non 9.40% B Convertible Debenture GECSI-Series M-15, Option Secured Non 9.02% A Convertible Debenture GECSI-Series M-15, Option Secured Non 9.40% B Convertible Debenture GECSI-Series M-15, Option A + 0.90% NSE Mibor Secured Non-Convertible Debentures. GECSISeries O-18. Date of
GE CAPITAL SERVICES INE587B07BZ8 INDIA GE CAPITAL SERVICES INE587B07CA9 INDIA GE CAPITAL SERVICES INE587B07HR2 INDIA GE CAPITAL SERVICES INE587B07CC5 INDIA GE CAPITAL SERVICES INE587B07CD3 INDIA GE CAPITAL SERVICES INE587B07CE1 INDIA GE CAPITAL SERVICES INE587B07CB7 INDIA GE CAPITAL SERVICES INE587B07GC6 INDIA GE CAPITAL SERVICES INE587B07CG6 INDIA GE CAPITAL SERVICES INE587B07CH4 INDIA
GE CAPITAL SERVICES INDIA INE587B07HG5
8.75% Secured Non Convertible Debenture GECSI-Series M-18 9.50% Secured Non Convertible Debenture GECSI-Series M-17 7.00% Secured Redeemable NonConvertible Debentures. Series Q-1. (GE Capital Floating Rate 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 8.75% Secured Non Convertible Debenture GECSI-Series M-18 8.75% Secured Non Convertible Debenture GECSI-Series M-18 6.25% Secured Non Convertible Debenture GECSI-Series O-16, Option BFixed Reset (30 Day rate) Secured Non Convertible Debenture GECSI-Series D-JUN02, 8.85% Secured Non Convertible Debenture GECSI-Series M-20
6.65% Secured Redeemable Non-Convertible Debentures. Series P-15
6.45% Secured Redeemable NonConvertible Debentures. Series Q-7. NSE MIBOR+150 BPS Secured Non Convertible Debenture -GECSISeries M-22
GE CAPITAL SERVICES INE587B07CJ0 INDIA GE CAPITAL SERVICES INE587B07FA2 INDIA GE CAPITAL SERVICES INE587B07CM4 INDIA
GE CAPITAL SERVICES INDIA INE587B07HH3
8.85% Secured Non Convertible Debenture GECSI-Series M-20 13.50% Secured NonConvertible Debentures. GECSI-Series 23 Strip Part J..Secured maturity: 8.85% Date of Non Convertible Debenture GECSI-Series M-20. Date Secured Redeemable 6.65% of Maturity 17-06Non-Convertible Debentures Series P-15
GE CAPITAL SERVICES INE587B07IC2 INDIA GE CAPITAL SERVICES INE587B07CO0 INDIA GE CAPITAL SERVICES INE587B07CP7 INDIA GE CAPITAL SERVICES INE587B07CR3 INDIA GE CAPITAL SERVICES INE587B07CS1 INDIA GE CAPITAL SERVICES INE587B07HM3 INDIA GE CAPITAL SERVICES INE587B07CY9 INDIA GE CAPITAL SERVICES INE587B07CV5 INDIA GE CAPITAL SERVICES INE587B07CZ6 INDIA
6.00% Secured Redeemable NonConvertible Debentures Series Q-8. (GE Capital Floating Rate 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 8.65% Secured Non Convertible Debenture GECSI-Series M-23 Option Securedof 8.85% B. Date Non Convertible Debenture GECSI-Series M-24 Option Securedof 6.65% A. Date Redeemable NonConvertible Debentures Series P-15 Non 8.7% Secured Convertible Debenture GECSI-Series M-27. Date of maturity: 27-068.9% Secured Non Convertible Debenture GECSI-Series M-24 Option Securedof 8.85% B. Date Non Convertible Debenture GECSI-Series M-24 . Date of maturity:
GE CAPITAL SERVICES INE587B07DF6 INDIA GE CAPITAL SERVICES INE587B07DI0 INDIA GE CAPITAL SERVICES INE587B07HU6 INDIA GE CAPITAL SERVICES INE587B07HV4 INDIA GE CAPITAL SERVICES INE587B07DK6 INDIA GE CAPITAL SERVICES INE587B07HY8 INDIA GE CAPITAL SERVICES INE587B07DO8 INDIA GE CAPITAL SERVICES INE587B07DP5 INDIA GE CAPITAL SERVICES INE587B07DQ3 INDIA GE CAPITAL SERVICES INE587B07IH1 INDIA GE CAPITAL SERVICES INE587B07DV3 INDIA GE CAPITAL SERVICES INE587B07DX9 INDIA GE CAPITAL SERVICES INE587B07DZ4 INDIA
8.60% Secured Non Convertible Debenture GECSI-Series N-1, Option BRate (GE Capital Floating . Date of 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 6.25% Secured Redeemable NonConvertible Debentures. Series Q-3 6.50% Secured Redeemable NonConvertible Debentures. Series Q-4. 8.40% Secured Non Convertible Debenture GECSI-Series N-3 . Date of maturity: 09/07/2003 5.75% Secured Redeemable NonConvertible Debentures. Series Q-5, Option-A. Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible + 1.50% NSE Mibor Debenture Secured Non-Convertible Debentures.GECSISeries N-8. Date of 6.00% Secured Redeemable NonConvertible Debentures. Series Q-10. 7.75% Secured NonConvertible Deventures. GECSI-Series N-11. Date of maturity: 30/07/2003 Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Fixede Reset Rate) Secured Non Convertible Debenture -
GE CAPITAL SERVICES INE587B07EA5 INDIA GE CAPITAL SERVICES INE587B07FU0 INDIA GE CAPITAL SERVICES INE587B07EC1 INDIA GE CAPITAL SERVICES INE587B07EE7 INDIA GE CAPITAL SERVICES INE587B07ED9 INDIA GE CAPITAL SERVICES INE587B07EG2 INDIA GE CAPITAL SERVICES INE587B07EJ6 INDIA GE CAPITAL SERVICES INE587B07GV6 INDIA GE CAPITAL SERVICES INE587B07EM0 INDIA GE CAPITAL SERVICES INE587B07HC4 INDIA GE CAPITAL SERVICES INE587B07GX2 INDIA GE CAPITAL SERVICES INE587B07EN8 INDIA GE CAPITAL SERVICES INE587B07EO6 INDIA
7.50% Secured NonConvertible Deventures. GECSI-Series N-15. Date of maturity: 13/08/2003 6.85% Secured NonConvertible Debentures. GECSI-Series O-11. Date of maturity:13/08/2003 7.50% Secured NonConvertible Debentures. GECSI-Series N-15. Date of maturity: 16/08/2003 MIBOR + Margin 1.60% Secured Non-Convertible Debentures. GECSISeries N-16. Date of 7.50% Secured NonConvertible Debentures. GECSI-Series N-15. Date of maturity: 19/08/2003 7.75% Secured NonConvertible Debentures. GECSI-Series N17.Option-B Date of Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible + Margin NSE Mibor Debenture .95% Secured Non Convertible Debenture GECSI-Series P-8 Option7.40% Secured NonConvertible Debentures. GECSI-Series N-21. Date of maturity: 29/08/2003 6.60% Secured Redeemable NonConvertible Debentures Series P-11 6.60% Secured Redeemable NonConvertible Debentures Series P-9 Option-A. 7.40% Secured NonConvertible Debentures. GECSI-Series N-22. Date of maturity: 05/09/2003 MBR + 125 BPS% Secured Non-Convertible Debentures. GECSISeries N-23. Date of
INE587B07HB6
6.60% Secured Redeemable Non-Convertible Debentures Series P-9 Option-A 6.55% Secured Redeemable Non-Convertible Debentures Series P-10
INE587B07GZ7
7.20% Secured NonConvertible Debentures. GECSI-Series N-24 Option-A. Date of 6.75% Secured Redeemable
Non-Convertible Debentures Series P-14
7.40% Secured NonConvertible Debentures. GECSI-Series N-22. Date of maturity: 16/09/2003 6.75% Secured Redeemable
Non-Convertible Debentures Series P-14
GE CAPITAL SERVICES INE587B07EX7 INDIA GE CAPITAL SERVICES INE587B07EY5 INDIA GE CAPITAL SERVICES INE587B07HN1 INDIA GE CAPITAL SERVICES INE587B07FH7 INDIA GE CAPITAL SERVICES INE587B07FI5 INDIA GE CAPITAL SERVICES INE587B07HP6 INDIA GE CAPITAL SERVICES INE587B07HP6 INDIA
Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 7.20% Secured NonConvertible Debentures. GECSI-Series N-24 Option-A. Date of 6.75% Secured Redeemable NonConvertible Debentures. Series P-17 7.15% Secured NonConvertible Debentures. GECSI-Series O-1. Date of maturity:01/10/2003 7.15% Secured NonConvertible Debentures. GECSI-Series O-1. Date of maturity:03/10/2003 6.85% Secured Redeemable NonConvertible Debentures. Series P-19. 6.85% Secured Redeemable NonConvertible Debentures. Series P-19.
GE CAPITAL SERVICES INE587B07HS0 INDIA GE CAPITAL SERVICES INE587B07FK1 INDIA GE CAPITAL SERVICES INE587B07DB5 INDIA GE CAPITAL SERVICES INE587B07HX0 INDIA GE CAPITAL SERVICES INE587B07FN5 INDIA GE CAPITAL SERVICES INE587B07FO3 INDIA GE CAPITAL SERVICES INE587B07FP0 INDIA GE CAPITAL SERVICES INE587B07FQ8 INDIA GE CAPITAL SERVICES INE587B07FR6 INDIA GE CAPITAL SERVICES INE587B07FV8 INDIA GE CAPITAL SERVICES INE587B07IY6 INDIA GE CAPITAL SERVICES INE587B07FW6 INDIA GE CAPITAL SERVICES INE587B07EK4 INDIA
6.40% Secured Redeemable NonConvertible Debentures. Series Q-2, Option-A.. Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 14.25% Secured Non Convertible Debenture GECSI-Series 18 . Date of maturity: 09/10/2003 6% Secured NCD SR Q5 OP-B Mibor + 1.25% Secured Non-Convertible Debentures. GECSISeries+ 1.25% Secured Mibor O-6. Date of Non-Convertible Debentures. GECSISeries O-6. Date of Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 6.70% Secured NonConvertible Debentures. GECSI-Series O-7. Date of maturity: 31/10/2003. 6.65% Secured NonConvertible Debentures. GECSI-Series O-8. Date of maturity: 05/11/2003. Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 6.00% Secured Redeemable NonConvertible Debentures. Series R-12. 6.60% Secured NonConvertible Debentures. GECSI-Series O-12. Date of maturity:15/11/2003 7.77% Secured NonConvertible Debentures. GECSI-Series N-20. Date of maturity: 23/11/2003.
GE CAPITAL SERVICES INE587B07FZ9 INDIA GE CAPITAL SERVICES INE587B07FY2 INDIA GE CAPITAL SERVICES INE587B07GA0 INDIA GE CAPITAL SERVICES INE587B07GB8 INDIA GE CAPITAL SERVICES INE587B07GE2 INDIA GE CAPITAL SERVICES INE587B07FB0 INDIA GE CAPITAL SERVICES INE587B07FC8 INDIA GE CAPITAL SERVICES INE587B07GI3 INDIA GE CAPITAL SERVICES INE587B07FG9 INDIA GE CAPITAL SERVICES INE587B07DC3 INDIA GE CAPITAL SERVICES INE587B07GG7 INDIA GE CAPITAL SERVICES INE587B07JC0 INDIA GE CAPITAL SERVICES INE587B07GJ1 INDIA
Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 6.45% Secured NonConvertible Debentures. GECSI-Series O-14. Date of maturity:25/11/2003 6.45% Secured NonConvertible Debentures. GECSI-Series O-15. Date of maturity:02/12/2003 Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 6.35% Secured Non Convertible Debenture GECSI-Series O-17. Date of Maturity :13/12/2003 13.50% Secured NonConvertible Debentures. GECSI-Series 23 Strip Part K.. Date of maturity: 13.50% Secured NonConvertible Debentures. GECSI-Series 23 Strip Part A.. Date of Non 6.30% Secured maturity: Convertible Debenture GECSI-Series O-20. Date of Maturity :30/12/2003. 7.30% Secured NonConvertible Debentures. GECSI-Series O-3. Date of maturity:03/01/2004 8.75% Secured Non Convertible Debenture GECSI-Series N-2 . Date of maturity: 05/01/2004 6.30% Secured Non Convertible Debenture GECSI-Series O-19. Date of Maturity :06/01/2004. 5.00% Secured Redeemable NonConvertible Debentures.GECSI Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture -
GE CAPITAL SERVICES INE587B07GK9 INDIA GE CAPITAL SERVICES INE587B07DH2 INDIA GE CAPITAL SERVICES INE587B07IL3 INDIA GE CAPITAL SERVICES INE587B07IN9 INDIA GE CAPITAL SERVICES INE587B07GN3 INDIA GE CAPITAL SERVICES INE587B07GO1 INDIA GE CAPITAL SERVICES INE587B07IO7 INDIA GE CAPITAL SERVICES INE587B07GQ6 INDIA GE CAPITAL SERVICES INE587B07JI7 INDIA GE CAPITAL SERVICES INE587B07JA4 INDIA GE CAPITAL SERVICES INE587B07IP4 INDIA GE CAPITAL SERVICES INE587B07GR4 INDIA GE CAPITAL SERVICES INE587B07GS2 INDIA
Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 8.75% Secured Non Convertible Debenture GECSI-Series N-2 . Date of maturity: 08/01/2004 5.55% Secured NCD. Sr. R-4 5.55% Secured NCD. Sr. R-4. 6.25% Secured Non Convertible Debenture GECSI-Series P-3. Date of Maturity :17/01/2004 Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 5.55% Secured Redeemable NonConvertible Debentures. Series R-5. 6.45% Secured Non Convertible Debenture GECSI-Series P-5. Date of Maturity :30/01/2004 5.35% Secured Redeemable NonConvertible Debentures.GECSI 5.05% Secured Redeemable NonConvertible Debentures.GECSI 5.20% Secured Redeemable NonConvertible Debentures. Series R-6. Letter of Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture -
GE CAPITAL SERVICES INE587B07GT0 INDIA GE CAPITAL SERVICES INE587B07KJ3 INDIA GE CAPITAL SERVICES INE587B07GU8 INDIA GE CAPITAL SERVICES INE587B07GW4 INDIA GE CAPITAL SERVICES INE587B07GY0 INDIA
GE CAPITAL SERVICES INDIA INE587B07HA8
6.65% Secured Non Convertible Debenture GECSI-Series P-6. Date of Maturity :16/02/2004 6% Secured Redeemable Non-Convertible Debentures.GECSI Series S-25. Letter of 6.73% Secured Non Convertible Debenture GECSI-Series P-7. Date of Maturity :20/02/2004 NSE Mibor + Margin 1.15% Secured Non Convertible Debenture GECSI-Series P-8 Option6.70% Secured Redeemable NonConvertible Debentures Series Rate(GE Capital Floating P-9 Option-B. 30
day Fixed Reset Rate) Secured Redeemable NonConvertible Debentures Series
GE CAPITAL SERVICES INE587B07IT6 INDIA GE CAPITAL SERVICES INE587B07IW0 INDIA GE CAPITAL SERVICES INE587B07HK7 INDIA GE CAPITAL SERVICES INE587B07HO9 INDIA GE CAPITAL SERVICES INE587B07HJ9 INDIA GE CAPITAL SERVICES INE587B07HQ4 INDIA GE CAPITAL SERVICES INE587B07HT8 INDIA
5.10% Secured Redeemable NonConvertible Debentures. Series R-9. Letter of 5.15% Secured Redeemable NonConvertible Debentures. Series R-11. Floating Rate(Ge capital 30 Day Fixed Reset Rate) Secured Redeemable Non6.95% Secured Redeemable NonConvertible Debentures. Series P-18. 6.90% Secured Redeemable NonConvertible Debentrues Series P-16 (GE Capital Floating Rate 30 Day Fixed Reset Rate) Secured Redeemable Non6.60% Secured Redeemable NonConvertible Debentures. Series Q-2, Option-B.
GE CAPITAL SERVICES INE587B07HD2 INDIA GE CAPITAL SERVICES INE587B07HL5 INDIA GE CAPITAL SERVICES INE587B07HW2 INDIA GE CAPITAL SERVICES INE587B07HZ5 INDIA GE CAPITAL SERVICES INE587B07JM9 INDIA GE CAPITAL SERVICES INE587B07IA6 INDIA GE CAPITAL SERVICES INE587B07JN7 INDIA GE CAPITAL SERVICES INE587B07KX4 INDIA GE CAPITAL SERVICES INE587B07JP2 INDIA GE CAPITAL SERVICES INE587B07JS6 INDIA GE CAPITAL SERVICES INE587B07ID0 INDIA GE CAPITAL SERVICES INE587B07LH5 INDIA GE CAPITAL SERVICES INE587B07JY4 INDIA
6.80% Secured Redeemable NonConvertible Debentures Series P-12 6.90% Secured Redeemable NonConvertible Debentures. Series P-16 NCD SR 6.6% Secured Q2-OP B Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 5.25% Secured Redeemable NonConvertible Debentures.GECSI 5.75% Secured Redeemable NonConvertible Debentures. Series Q-6. 5.15% Secured Redeemable NonConvertible Debentures.GECSI NSE MIBOR + 0.25% Secured Redeemable Non-Convertible Debentures.GECSI 5.15% Secured Redeemable NonConvertible Debentures.GECSI 5.20% Secured Redeemable NonConvertible Debentures.GECSI Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 4.80% Secured Non Convertible Debenture GECSI-Series T-13. Letter of Allotment. 5.20% Secured Redeemable NonConvertible Debentures.GECSI
INE587B07LJ1
Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 4.75% Secured Non
Convertible Debenture GECSI-Series T-15. Letter of Allotment.
GE CAPITAL SERVICES INE587B07KV8 INDIA GE CAPITAL SERVICES INE587B07KB0 INDIA GE CAPITAL SERVICES INE587B07KY2 INDIA GE CAPITAL SERVICES INE587B07LL7 INDIA GE CAPITAL SERVICES INE587B07KC8 INDIA GE CAPITAL SERVICES INE587B07IF5 INDIA GE CAPITAL SERVICES INE587B07JW8 INDIA GE CAPITAL SERVICES INE587B07IG3 INDIA GE CAPITAL SERVICES INE587B07II9 INDIA GE CAPITAL SERVICES INE587B07JD8 INDIA GE CAPITAL SERVICES INE587B07IJ7 INDIA
4.90% Secured Non Convertible Debenture GECSI-Series T-7. Letter of Allotment. 5.10% Secured Redeemable NonConvertible Debentures.GECSI 4.90% Secured Non Convertible Debenture GECSI-Series T-7. Letter of Allotment. 4.80% Secured Non Convertible Debenture GECSI-Series T-17. Letter of Allotment. 5.10% Secured Redeemable NonConvertible Debentures.GECSI Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 5.22% Secured Redeemable NonConvertible Debentures.GECSI NSE MIBOR + .30% Secured Redeemable Non-Convertible Debentures Series Q-9. NSE Mibor+80bps Secured NCD Sr R-1 NSE MIBOR + .80% Secured Redeemable Non-Convertible Debentures. Series S-4. 5.75% Secured NCD Sr R-3
GE CAPITAL SERVICES INE587B07IK5 INDIA GE CAPITAL SERVICES INE587B07LO1 INDIA GE CAPITAL SERVICES INE587B07JF3 INDIA GE CAPITAL SERVICES INE587B07IM1 INDIA GE CAPITAL SERVICES INE587B07KO3 INDIA GE CAPITAL SERVICES INE587B07LA0 INDIA GE CAPITAL SERVICES INE587B07LT0 INDIA GE CAPITAL SERVICES INE587B07KS4 INDIA GE CAPITAL SERVICES INE587B07KT2 INDIA GE CAPITAL SERVICES INE587B07IQ2 INDIA GE CAPITAL SERVICES INE587B07DY7 INDIA GE CAPITAL SERVICES INE587B07KW6 INDIA GE CAPITAL SERVICES INE587B07EB3 INDIA
NSE Mibor+95bps Secured NCD GECSI Series R-2 4.50% Secured Non Convertible Debenture GECSI-Series U-2. Letter of Allotment. + 0.80% NSE MIBOR Secured Redeemable Non-Convertible Debentures.GECSI NSE Mibor+80bps Secured NCD GECSI Series R-1. 5.00% Secured Non Convertible Debenture GECSI-Series T-4. Letter of Allotment. + 0.35% NSE MIBOR Secured Non Convertible Debenture -GECSISeries T-10, Option A. NSE MIBOR+ 0.10% Secured Non Convertible Debenture -GECSISeries U-5. Letter of 4.90% Secured Non Convertible Debenture GECSI-Series T-6. Letter of Allotment. 4.90% Secured Non Convertible Debenture GECSI-Series T-6. Letter of Allotment. (GE Capital Floating Rate 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 7.68% Secured NonConvertible Deventures. GECSI-Series N-14. Date of maturity: 12/08/2004 NSE MIBOR + 0.40% Secured Redeemable Non-Convertible Debentures.GECSI 7.68% Secured NonConvertible Debentures. GECSI-Series N-14. Date of maturity: 16/08/2004
GE CAPITAL SERVICES INE587B07KZ9 INDIA GE CAPITAL SERVICES INE587B07EH0 INDIA GE CAPITAL SERVICES INE587B07LB8 INDIA GE CAPITAL SERVICES INE587B07JX6 INDIA GE CAPITAL SERVICES INE587B07IR0 INDIA GE CAPITAL SERVICES INE587B07IU4 INDIA GE CAPITAL SERVICES INE587B07IS8 INDIA GE CAPITAL SERVICES INE587B07KM7 INDIA
GE CAPITAL SERVICES INDIA INE587B07LI3
6.00% Secured Non Convertible Debenture GECSI-Series T-9. Letter of Allotment. 7.77% Secured NonConvertible Debentures. GECSI-Series N-18. Date of maturity: 21/08/2004 NSE MIBOR + 0.40% Secured Non Convertible Debenture -GECSISeries T-10, Option B. NSE MIBOR + 0.75% Secured Redeemable Non-Convertible Debentures.GECSI NSE MIBOR + .65% Secured Redeemable Non-Convertible Debentures. Series R-7. NSE MIBOR + .65% Secured Redeemable Non-Convertible Debentures. Series R-8. Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture 5.07% Secured Redeemable NonConvertible Debentures.GECSI NSE MIBOR + 0.40%
Secured Non Convertible Debenture -GECSI-Series T14. Letter of Allotment.
7.50% Secured NonConvertible Debentures. GECSI-Series N-24 Option-B. Date .75% NSE MIBOR + of
INE587B07LK9
GE CAPITAL SERVICES INE587B07ES7 INDIA GE CAPITAL SERVICES INE587B07IX8 INDIA GE CAPITAL SERVICES INE587B07LC6 INDIA GE CAPITAL SERVICES INE587B07LG7 INDIA GE CAPITAL SERVICES INE587B07IZ3 INDIA GE CAPITAL SERVICES INE587B07FF1 INDIA GE CAPITAL SERVICES INE587B07JB2 INDIA GE CAPITAL SERVICES INE587B07JE6 INDIA GE CAPITAL SERVICES INE587B07JJ5 INDIA GE CAPITAL SERVICES INE587B07JK3 INDIA GE CAPITAL SERVICES INE587B07JL1 INDIA GE CAPITAL SERVICES INE587B07FX4 INDIA GE CAPITAL SERVICES INE587B07JT4 INDIA
7.56% Secured NonConvertible Debentures. GECSI-Series N-25. Date of maturity: 16/09/2004 Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture NSE MIBOR + 0.45% Secured Non Convertible Debenture -GECSISeries T-10, Option C. 5.10% Secured Non Convertible Debenture GECSI-Series T-12. Letter of Allotment. 5.25% Secured Redeemable NonConvertible Debentures.GECSI 7.58% Secured NonConvertible Debentures. GECSI-Series O-3. Date of maturity:03/10/2004 5.25% Secured Redeemable NonConvertible Debentures.GECSI Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 5.50% Secured Redeemable NonConvertible Debentures.GECSI 5.40% Secured Redeemable NonConvertible Debentures.GECSI Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture 6.75% Secured NonConvertible Debentures. GECSI-Series O-13. Date of maturity:18/11/2004 NSE MIBOR + 0.80% Secured Redeemable Non-Convertible Debentures.GECSI
GE CAPITAL SERVICES INE587B07JQ0 INDIA GE CAPITAL SERVICES INE587B07JR8 INDIA GE CAPITAL SERVICES INE587B07JV0 INDIA GE CAPITAL SERVICES INE587B07JZ1 INDIA GE CAPITAL SERVICES INE587B07KD6 INDIA GE CAPITAL SERVICES INE587B07KF1 INDIA GE CAPITAL SERVICES INE587B07LU8 INDIA GE CAPITAL SERVICES INE587B07KK1 INDIA GE CAPITAL SERVICES INE587B07KL9 INDIA GE CAPITAL SERVICES INE587B07LM5 INDIA GE CAPITAL SERVICES INE587B07GL7 INDIA GE CAPITAL SERVICES INE587B07KN5 INDIA GE CAPITAL SERVICES INE587B07LQ6 INDIA
Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture NSE MIBOR + 0.80% Secured Redeemable Non-Convertible Debentures.GECSI Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture NSE MIBOR+ 0.15% Secured Non Convertible Debenture -GECSISeries U-6. Letter of NSE MIBOR + 0.75% Secured Redeemable Non-Convertible Debentures.GECSI Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture NSE MIBOR+ 0.40% Secured Non Convertible Debenture -GECSISeries U-1. Letter of 6.50% Secured Non Convertible Debenture GECSI-Series P-1. Date of Maturity :10/01/2005. 5.14% Secured Non Convertible Debenture GECSI-Series T-3. Letter of Allotment. Reuter 3 month CP + 0.10% Secured Non Convertible Debenture GECSI-Series U-3. Letter
GE CAPITAL SERVICES INE587B07KQ8 INDIA GE CAPITAL SERVICES INE587B07KR6 INDIA GE CAPITAL SERVICES INE587B07864 INDIA GE CAPITAL SERVICES INE587B07KU0 INDIA GE CAPITAL SERVICES INE587B07LD4 INDIA GE CAPITAL SERVICES INE587B07LE2 INDIA GE CAPITAL SERVICES INE587B07LF9 INDIA GE CAPITAL SERVICES INE587B07LP8 INDIA GE CAPITAL SERVICES INE587B07AL0 INDIA GE CAPITAL SERVICES INE587B07AW7 INDIA GE CAPITAL SERVICES INE587B07JG1 INDIA GE CAPITAL SERVICES INE587B07LS2 INDIA GE CAPITAL SERVICES INE587B07LR4 INDIA
Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture Secured Non Convertible Debenture -GECSISeries L-2, Option C, Date of Maturity: Capital Floating Rate (GE 30 Day Floating Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Fixed Reset Rate) Secured Non Convertible Debenture Floating Rate (GE Capital 30 Day Floating Reset Rate) Secured Non Convertible Debenture NSE MIBOR + 0.70% Secured Non Convertible Debenture -GECSISeries T-11. LetterCapital Floating Rate (GE of 30 Day Floating Reset Rate) Secured Non Convertible Debenture 9.20% Secured Non Convertible Debenture GECSI-Series L-14, Option Secured Non 9.20% A Convertible Debenture GECSI-Series L-14, Option Secured 5.38% A Redeemable NonConvertible Debentures.GECSI Non Reset Rate Secured Convertible Debenture GECSI-Series U-4. Letter of Allotment. (GE Capital Floating Rate 30 Day Fixed Reset Rate) Secured Non Convertible Debenture -
GE CAPITAL SERVICES INE587B07JO5 INDIA GE CAPITAL SERVICES INE587B07JU2 INDIA GE CAPITAL SERVICES INE587B07KE4 INDIA GE CAPITAL SERVICES INE587B07KI5 INDIA GE CAPITAL SERVICES INE587B07DL4 INDIA GE CAPITAL SERVICES INE587B07DW1 INDIA GE CAPITAL SERVICES INE587B07EU3 INDIA GE CAPITAL SERVICES INE587B07EW9 INDIA GE CAPITAL SERVICES INE587B07JH9 INDIA GE CAPITAL SERVICES INE587B07KA2 INDIA GE CAPITAL SERVICES INE587B07KG9 INDIA GE CAPITAL SERVICES INE587B07KH7 INDIA GE CAPITAL SERVICES INE587B07GM5 INDIA
NSE MIBOR + 1.00% Secured Redeemable Non-Convertible Debentures.GECSI NSE MIBOR + 1.00% Secured Redeemable Non-Convertible Debentures.GECSI NSE MIBOR + 1.15% Secured Redeemable Non-Convertible Debentures.GECSI 5.62% Secured Redeemable NonConvertible Debentures.GECSI 8.60% Secured Non Convertible Debenture GECSI-Series N-5 . Date of maturity: 12/07/2005 8.17% Secured NonConvertible Deventures. GECSI-Series N-13. Date ofYear INBMK +1.10% 3 maturity: 05/08/2005 Secured Non-Convertible Debentures. GECSISeries N-27. Date of 7.75% Secured NonConvertible Debentures. GECSI-Series N-26. Date of maturity: 17/09/2005 5.65% Secured Redeemable NonConvertible Debentures.GECSI 5.63% Secured Redeemable NonConvertible Debentures.GECSI NSE MIBOR + 1.20% Secured Redeemable Non-Convertible Debentures.GECSI 5.75% Secured Redeemable NonConvertible Debentures.GECSI 6.65% Secured Non Convertible Debenture GECSI-Series P-2. Date of Maturity :13/01/2006.
GE CAPITAL SERVICES INE587B07KP0 INDIA GE CAPITAL SERVICES INE587B07LN3 INDIA GE CAPITAL SERVICES INE587B07LX2 INDIA GE CAPITAL SERVICES INE587B07LV6 INDIA GE CAPITAL SERVICES INE587B07LW4 INDIA GE CAPITAL SERVICES INE587B07LY0 INDIA GE CAPITAL SERVICES INE587B07302 INDIA GE CAPITAL SERVICES INE587B07LZ7 INDIA GE CAPITAL SERVICES INE587B07310 INDIA GE CAPITAL SERVICES INE587B07534 INDIA GE CAPITAL SERVICES INE587B07740 INDIA GE CAPITAL SERVICES INE587B07773 INDIA GE CAPITAL SERVICES INE587B07880 INDIA
5.65% Secured Non Convertible Debenture GECSI-Series T-5. Letter of Allotment. + 0.90% NSE MIBOR Secured Non Convertible Debenture -GECSISeries T-18. Letter of NSE Mibor + 0.92% (Floor: 5.40% & Cap: 5.50% on a daily bais) Secured Non Convertible NSE MIBOR+ 0.97% (Floor : 5.45% , Cap: 5.55% on a daily basis) Secured Non 0.97% NSE Mibor + Convertible (Floor: 5.45% & Cap: 5.55% on a daily bais) Secured Non 1.02% NSE Mibor + Convertible (Floor: 5.50% & Cap: 5.60% on a daily bais) Secured Non Convertible 9.5% Secured NonConvertible DebenturesGECSI- Series J-14 NSE Mibor + 1.02% (Floor: 5.50% & Cap: 5.60% on a daily bais) Secured Non Convertible 9.5% Secured NonConvertible DebenturesGECSI- Series J-14 9.50% Secured NonConvertible DebenturesGECSI- Series J-14, Date Of Maturity: 03/12/2006 Secured Non Convertible Debenture -GECSISeries K-22 Date of Maturity: Non Convertible Secured 10/01/2007 Debenture -GECSISeries L-2, Option D, Date of Maturity: Secured Non Convertible Debenture -GECSISeries L-2, Option D, Date of Maturity:
GE CAPITAL SERVICES INE587B07AM8 INDIA GE CAPITAL SERVICES INE587B07AX5 INDIA GE CAPITAL SERVICES INE587B07AZ0 INDIA GE CAPITAL SERVICES INE587B07CX1 INDIA GE CAPITAL SERVICES INE587B07DE9 INDIA GE CAPITAL SERVICES INE587B07FL9 INDIA GE COUNTRYWIDE INE157D07029 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07037 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07078 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07201 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07086 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07045 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07227 CONSUMER FINANCIAL SERVICES LIMITED
9.75% Secured Non Convertible Debenture GECSI-Series L-14, Option Secured Non 9.75% B Convertible Debenture GECSI-Series L-14, Option Secured Non 9.75% B Convertible Debenture GECSI-Series L-14, Option Secured Non 9.52% B Convertible Debenture GECSI-Series M-25. Date ofSecured Non 9.52% maturity: Convertible Debenture GECSI-Series M-25. Date ofSecured Non8.33% maturity: Convertible Debentures. GECSI-Series O-5. Date of maturity:07/10/2007 10.30% Secured Redeemable NCD Series CW -31(Date of Allotment-19.06.2001) 10.30% Secured Redeemable NCD Series CW -31(Date of Allotment-25.06.2001) 10.30% Secured NCDSeries CW-31, Date of Maturity: 26/06/2002 8.45% Secured NCDSeries CW-41, Option A, Date of Maturity: 06/09/2002 8.95% Secured NCDSeries CW-35, Date of Maturity: 11/09/2002 9.00% Secured NCDSeries CW-34, Option A, Date of Maturity: 23/09/2002 8.45% Secured NCDSeries CW-42, Date of Maturity: 01/10/2002
GE COUNTRYWIDE INE157D07102 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07052 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07060 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07169 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07185 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07219 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07136 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07235 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07243 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07276 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07094 CONSUMER FINANCIAL SERVICES LIMITED
GE COUNTRYWIDE CONSUMER FINANCIAL SERVICES LIMITED INE157D07292
9.50% Secured NCDSeries CW-36, Date of Maturity: 02/11/2002 9.10% Secured NCDSeries CW-34, Option B, Date of Maturity: 23/11/2002 9.10% Secured NCDSeries CW-34, Option B, Date of Maturity: 26/11/2002 8.7% Secured NCDSeries CW-40, Option A, Date of Maturity: 11-122002 Secured NCD8.7% Series CW-40, Option A, Date of Maturity: 29/12/2002 8.7% Secured NCDSeries CW-41, Option B, Date of Maturity: 29/12/2002 8.90% Secured NCDSeries CW-39, Option A, Date of Maturity: 10/03/2003 6.95% Secured NCDSeries CW-43, Date of Maturity: 04/04/2003 6.95% Secured NCDSeries CW-43, Date of Maturity: 07/04/2003 6.60% Secured NCDSeries CW-46, Date of Maturity: 14/05/2003 Floating Rate (NSE Mibor + 2.00%) Secured NCDSeries CW-29, Option B, Date Secured NCD-Series 6.75% of Maturity:
CW-48
INE157D07110
GE COUNTRYWIDE INE157D07300 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07128 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07144 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07151 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07177 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07250 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07193 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07342 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07367 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07284 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07391 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07318 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07318 CONSUMER FINANCIAL SERVICES LIMITED
6.75% Secured Redeemable NonConvertible Debentures Series CW-48(NSE Mibor Floating Rate + 1.75%) Secured NCDSeries CW-38, Date of Maturity: 06/06/2003 9.00% Secured NCDSeries CW-39, Option B, Date of Maturity: 09/06/2003 9.00% Secured NCDSeries CW-39, Option B, Date of Maturity: 11/06/2003 NCD-Series 9% Secured CW-40, Option B, Date of Maturity: 12-06-2003 7.00% Secured NCDSeries CW-44, Date of Maturity: 27/06/2003 9.00% Secured NCDSeries CW-40, Option B, Date of Maturity: 30/6/2003 6.40% Secured Redeemable NonConvertible Debentures Series CW-50, Option-B. 5.45% Secured Redeemable NonConvertible Debentures Series CW-51, Option-B. 6.35% Secured NCDSeries CW-47, Date of Maturity: 31/07/2003 5.35% Secured Redeemable NonConvertible Debentures Series CW-54. 6.75% Secured Redeemable NonConvertible Debentures Series CW-49, Option-A. 6.75% Secured Redeemable NonConvertible Debentures Series CW-49, Option-A.
GE COUNTRYWIDE INE157D07334 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07359 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07268 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07409 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07417 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07326 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07326 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07375 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07383 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07441 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07458 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07425 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07433 CONSUMER FINANCIAL SERVICES LIMITED
6.55% Secured Redeemable NonConvertible Debentures Series CW-50, Option-A. 5.65% Secured Redeemable NonConvertible Debentures Series CW-51, Option-A. 6.85% Secured NCDSeries CW-45, Date of Maturity: 04/11/2003 5.60% Secured Redeemable NonConvertible Debentures Series CW-55. NCD. Sr. 5.55% Secured CW-56 6.95% Secured Redeemable NonConvertible Debentures Series CW-49, Option-B. 6.95% Secured Redeemable NonConvertible Debentures Series CW-49, Option-B. 5.75% Secured Redeemable NonConvertible Debentures Series CW-52. 5.65% Secured Redeemable NonConvertible Debentures Series CW-53. Non 5.40% Secured Convertible Debenture CW-Series CW-59. Letter of Allotment. 5.40% Secured Non Convertible Debenture CW-Series CW-60. Letter of Allotment. 5.58% Secured Redeemable NonConvertible Debentures Series CW-57. Letter Of 5.62% Secured Redeemable NonConvertible Debentures Series CW-58. Letter Of
GE COUNTRYWIDE INE157D07466 CONSUMER FINANCIAL SERVICES LIMITED GE COUNTRYWIDE INE157D07474 CONSUMER FINANCIAL SERVICES LIMITED GERMAN REMEDIES LIMITED GHAGHARA SUGAR LIMITED GHAGHARA SUGAR LIMITED GHAGHARA SUGAR LIMITED GHAGHARA SUGAR LIMITED GHAGHARA SUGAR LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED INE382A08019
5.80% Secured Non Convertible Debenture CW-Series CW-61Option Secured Non 5.85% A. Letter of Convertible Debenture CW-Series CW-61Option Unsecured 5.40% B. Letter of Redeemable NonConvertible Debentures. Letter + 55 bps Mibor of Allotment Unsecured NonConvertible Redeemable Debentures. Letter Of NSE O/N Mibor + 35bps Unsecured NonConvertible Redeemable Debentures. Letter Of NSE O/N Mibor +20bps Unsecured NonConvertible Redeemable Debentures. Letter Of NSE O/N Mibor + 35bps Unsecured NonConvertible Redeemable Debentures. Letter Of NSE O/N Mibor + 25bps Unsecured NonConvertible Redeemable Debentures. Letter Of 10.00% Secured NonConvertible DebenturesC Series(Letter of Allotment) Date OF 10.00% Secured NonConvertible DebenturesC Series Date OF Maturity: 05/09/2002 9.50% Secured NonConvertible DebenturesD Series Date OF Maturity:01/01/2003 7.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 7.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment.
INE164G08018
INE164G08026
INE164G08034
INE164G08042
INE164G08059
INE935A08030
INE935A07032
INE935A07040
INE935A08048
INE935A08055
GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLENMARK PHARMACEUTICALS LIMITED GLOBAL TRADE FINANCE PVT. LTD. GLOBAL TRADE FINANCE PVT. LTD.
INE935A08063
INE935A08071
6.25% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 6.25% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.40% Unsecured Redeemable NonConvertible Debentures. Letter ofSecured Non10.05% Allotment. Convertible DebenturesA Series (Letter of Allotment)Date OF 10.35% Secured NonConvertible DebenturesB Series(Letter of Allotment) Date OF 10.05% Secured NonConvertible DebenturesA Series Date OF Maturity:Secured Non10.35% 13/08/2004 Convertible DebenturesB Series Date OF Maturity: 13/08/2004 5.70% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.60% Unsecured Redeemable NonConvertible Debentures. Letter ofSecured Non10.50% Allotment. Convertible DebenturesE Series Date OF Maturity:01/01/2005 5.70% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.80% Unsecured Redeemable NonConvertible Debentures. Date ofUnsecured 5.95% Maturity: Redeemable NonConvertible Debentures. Date of Maturity:
INE935A08097
INE935A08014
INE935A08022
INE935A07016
INE935A07024
INE935A08089
INE935A08105
INE935A07057
INE935A08113
INE912E08015
INE912E08023
GLOBAL TRUST BANK LIMITED GLOBAL TRUST BANK LIMITED GLOBAL TRUST BANK LIMITED GLOBAL TRUST BANK LIMITED GLOBAL TRUST BANK LIMITED GLOBAL TRUST BANK LIMITED GODAVARI MARATHWADA IRRIGATION DEVELOPMENT GODAVARI MARATHWADA IRRIGATION DEVELOPMENT GODAVARI MARATHWADA IRRIGATION DEVELOPMENT GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED
INE130A08020
14% Unsecured Subordinate Bond Series B 14% Unsecured Subordinate Bond Series C (redemption date 21st April 2005) 14% Unsecured Subordinate Bond Series C (redemption date 30th April 2005) 12% Unsecured Subordinate Bond - 2000
INE130A08038
INE130A08046
INE130A08053
INE130A08012
17.50% Unsecured Subordinate Bond 11.3% Unsecured Subordinate Bond - 2001 14.50% Secured NonConvertible Redeemable Bonds-Sr I Date of maturity:Secured Non13.50% 31/03/2004 Convertible Redeemable Bonds-Sr II Date of maturity:Secured Non13.00% 10/03/2007 Convertible Redeemable Bonds-Sr III Instrument A, Date of maturity: 9.75% Unsecured NonConvertible Debenture, Date of Maturity: 14/09/2002.LOA Non11.10% Unsecured Convertible Debenture, Date of Maturity: 16/09/2002.LOA Non11.10% Unsecured Convertible Debenture, Date of Maturity: 18/09/2002.LOA Non11.10% Unsecured Convertible Debenture, Date of Maturity: 25/09/2002.LOA
INE130A08061
INE671E07019
INE671E07027
INE671E07035
INE529A08122
INE529A08106
INE529A08114
INE529A08130
GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED
GOETZE (INDIA) LIMITED
INE529A08148
INE529A08155
11.10% Unsecured NonConvertible Debenture, Date of Maturity: 20/11/2002.LOA Non11.00% Unsecured Convertible Debenture, Date of Maturity: 14/12/2002.LOA Non11.00% Unsecured Convertible Debenture, Date of Maturity: 16/12/2002.LOA Non11.00% Unsecured Convertible Debenture, Date of Maturity: 24/12/2002.LOA Non10.50% Unsecured Convertible Debenture, Date of Maturity: 12/03/2003.LOA Non10.50% Unsecured Convertible Debenture, Date of Maturity: 14/03/2003.LOA Non10.50% Unsecured Convertible Debenture, Date of Maturity: 21/03/2003.LOA Non10.50% Unsecured Convertible Debenture.LOA
INE529A08163
INE529A08189
INE529A08197
INE529A08205
INE529A08213
INE529A08221
INE529A08239
INE529A08247
INE529A08254
INE529A08262
9.10% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 9.10% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 9.75% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment
INE529A08270
GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED
INE529A08288
INE529A08296
9.75% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 9.10% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 9.10% Unsecured Redeemable NonConvertible Debentures. Letter ofUnsecured Non11.00% Allotment Convertible Debenture, Date of Maturity: 16/09/2003.LOA 9.75% Unsecured Redeemable NonConvertible Debentures. LetterUnsecured NCD 9.1% of Allotment LOA
INE529A08304
INE529A08171
INE529A08312
INE529A08320
INE529A08338
9% Unsecured NCD-LOA
INE529A08346
INE529A08353
8.40% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 8.35% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 8.35% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 8.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 8.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 8.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment
INE529A08361
INE529A08387
INE529A08379
INE529A08395
GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED GOETZE (INDIA) LIMITED
INE529A08403
INE529A08411
9.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 9.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 8.25% Unsecured Redeemable NonConvertible Debentures. Letter of 7.60% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 7.25% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 7.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 7.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 7.30% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 8.70% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 7.45% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 7.30% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 8.70% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment.
INE529A08429
INE529A08437
INE529A08445
INE529A08478
INE529A08452
INE529A08460
INE529A08494
INE529A08502
INE529A08486
INE529A08510
INE529A08528
INE529A08015
INE529A08023
10.50% Short Term Unsecured NonConvertible Debenture(Letter of 10.50% Short Term Unsecured NonConvertible Debenture(Letter of 10% Fully Unsecured Non- Convertible Debenture (Letter of Allotment) 10.00% Unsecured NonConvertible Debenture, Date of Maturity: 22/03/2002.LOA 10.75% Fully Unsecured Non- Convertible Debenture (Letter of Allotment) 10.00% Unsecured NonConvertible Debenture, Date of Maturity: 28/03/2002.LOA Non11.15% Unsecured Convertible Debenture, Date of Maturity: 19/06/2002.LOA Non11.15% Unsecured Convertible Debenture, Date of Maturity: 21/06/2002.LOA Non11.20% Unsecured Convertible Debenture, Date of Maturity: 25/06/2002.LOA Overnight NSE MIBOR+0.40% Secured Redeemable NonConvertible 14.00% -CMTI Floating Rate Secured Redeemable NonConvertible 14.00% Minus CMTI Floating Rate Secured Redeemable NonConvertible 7.55% Secured Redeemable NonConvertible Debebtures(Letter of
INE529A08049
INE529A08064
INE529A08031
INE529A08056
INE529A08072
INE529A08080
INE529A08098
GRASIM INDUSTRIES LIMITED GRASIM INDUSTRIES LIMITED GRASIM INDUSTRIES LIMITED GRASIM INDUSTRIES LIMITED
INE047A08059
INE047A08091
INE047A07226
INE047A08109
INE047A07234
INE610F09051
7.55% Secured Redeemable NonConvertible DebebturesSeries XXXIV.Date of 15.00% Unsecured Bonds in the form of primossory notes.Series III/98.(Fully Guaranteed 8.00%Secured Redeemable Non Convertible Debenture (Letter Secured 6.35% Of Allotement). Redeemable NonConvertible Debentures. Letter of Allotment 9.25% Secured Redeemable Non Convertible Debenture (Letter Secured 6.00% Of Allotment). Redeemable Non Convertible Debenture.
Gujarat Ambuja Cements INE079A08037 Limited GUJARAT AMBUJA CEMENTS LIMITED INE079A08128
Gujarat Ambuja Cements INE079A08060 Limited GUJARAT AMBUJA CEMENTS LIMITED GUJARAT AMBUJA CEMENTS LIMITED INE079A07203
INE079A07179
8.70% Secured Redeemable Non Convertible Debenture. 9.28% Secured Redeemable Non Convertible Debenture (Letter Of Allotement). 9.28%Secured Redeemable Non Convertible Debenture (Letter Secured 9.45% Of Allotment). Redeemable Non Convertible Debenture (Letter Secured 8.40% Of Allotment). Redeemable Non Convertible Debenture.
Gujarat Ambuja Cements INE079A08045 Limited Gujarat Ambuja Cements INE079A08052 Limited Gujarat Ambuja Cements INE079A08078 Limited GUJARAT AMBUJA CEMENTS LIMITED GUJARAT AMBUJA CEMENTS LIMITED GUJARAT AMBUJA CEMENTS LTD. INE079A07187
INE079A07195
8.10% Secured Redeemable Non Convertible Debenture. 11.90% Secured Redeemable Non Convertible Debenture.Series 12.
INE079A07138
GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD. GUJARAT AMBUJA CEMENTS LTD.
INE079A07054
INE079A07104
8.00%Secured Redeemable Non Convertible Debenture .Series -20 Date Of 13.50% Secured Redeemable Non Convertible Debenture.Series 9. Date 13.50% Secured Redeemable Non Convertible Debenture.Series 10. 13.50% Secured Redeemable Non Convertible Debenture.Series 11. 9.25% Secured Redeemable Non Convertible Debenture. Date Of Secured 12.30% Maturity: Redeemable Non Convertible Debenture.Series 14. 11.75% Secured Redeemable Non Convertible Debenture.Series 15. 6.00% Secured Redeemable Non Convertible Debenture (Letter Secured 8.70% Of Allotment).Date Redeemable Non Convertible Debenture (Letter Of Allotment). 9.28%Secured Redeemable Non Convertible Debenture.Series -21 9.28% Secured Redeemable Non Convertible Debenture. Date Of Maturity: 9.45% Secured Redeemable Non Convertible Debenture. Date Of Maturity: 8.40% Secured Redeemable Non Convertible Debenture (Letter Of Allotment).
INE079A07112
INE079A07120
INE079A07096
INE079A07153
INE079A07161
INE079A08110
INE079A08086
INE079A07062
INE079A07070
INE079A07088
INE079A08094
INE079A08102
GUJARAT ELECTRICITY INE661E09016 BOARD GUJARAT ELECTRICITY INE661E09024 BOARD GUJARAT ELECTRICITY INE661E07044 BOARD GUJARAT ELECTRICITY INE661E07093 BOARD GUJARAT GAS CO. LIMITED GUJARAT GAS CO. LIMITED GUJARAT GAS CO. LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED INE374A07018
8.10% Secured Redeemable Non Convertible Debenture (Letter Of Allotment).Date 13.50% Unsecured Redeemable Non Convertible Bonds in the form of Promissory Notes 13.00% Unsecured Redeemable Non Convertible Bonds in the form Secured 14% of Promissory Notes Redeemable Non Convertible Bonds Series III Date of maturity10% Secured Redeemable Non Convertible Bonds Series III. 13.25% Secured NCD Maturity date-25.02.2005
INE374A07034
13.50% Secured NCD Maturity date-25.02.2005 13.25% Secured NCD Maturity date- 03.06.2005 Mibor + 125 bps Non Convertible Debentures (Letter of Allotment) (Date of Unsecured NCD, 10.50% Maturity : 21st LOA Date of Maturity: 13.05.2002
INE374A07026
INE748E08021
INE748E08039
INE748E08062
INE748E08070
Reuters Mibor + 125 Bps UnSecured NCD, LOA Date of Maturity: 16/07/2002 10.50% Unsecured NCD, LOA Date of Maturity: 10/08/2002
INE748E08088
GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED
INE748E08096
INE748E08112
Mibor + 1.25% Secured NCD. Date of Maturity: 14/10/2002.Letter of Allotment 9.50% Unsecured NCD. Date of Maturity: 30/12/2002.Letter of Allotment bps Non Mibor + 65 Convertible Debentures (Letter of Allotment) (Date of 1.25% Secured Mibor + Maturity : 6th NCD. Date of Maturity: 10/01/2003.Letter of Allotment Bps Secured Mibor + 65 NCD, LOA Date of Maturity: 19/03/2003
INE748E08013
INE748E08120
INE748E08047
INE748E08153
INE748E08054
9.50% Unsecured NCD. Date of Maturity: 30/03/2003.Letter of Allotment Bps Secured Mibor + 65 NCD, LOA Date of Maturity: 07/04/2003
INE748E08179
INE748E08211
Mibor + 1.25% Secured NCD. Date of Maturity: 09/04/2003.Letter of Allotment 8.50% Unsecured Redeemable NonConvertible Debentures. Letter + .65% Secured Mibor of Allotment NCD. Date of Maturity: 13/09/2003.Letter of Allotment 7.00% Unsecured NCD. Date of Maturity: 01/12/2003.Letter of Allotment Mibor + .65% Secured NCD. Date of Maturity: 10/12/2003.Letter of Allotment 7.00% Unsecured NCD. Date of Maturity: 02/01/2004.Letter of Allotment
INE748E08104
INE748E08138
INE748E08146
INE748E08161
INE748E08187
INE748E08195
INE748E08203
GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PRIVATE LIMITED GUJARAT GLASS PVT. LTD. GUJARAT GLASS PVT. LTD. GUJARAT GLASS PVT. LTD. GUJARAT GLASS PVT. LTD. GUJARAT GLASS PVT. LTD. GUJARAT GLASS PVT. LTD. GUJARAT GLASS PVT. LTD. GUJARAT GLASS PVT. LTD.
INE748E08310
INE748E07023
MIBOR +30 BPS Secured Redeemable Non-Convertible Debentures. Letter of 12.00% Secured NCD. Date of Maturity: 10/07/2005
INE748E08237
INE748E08286
MIBOR +125 BPS Secured Redeemable Non-Convertible Debentures. Letter of 8.50% Unsecured Redeemable NonConvertible Debentures.Letter of 7.25% Secured Redeemable NonConvertible Debentures. Letter of Allotment 7.10% Unsecured Redeemable NonConvertible Debentures.Letter of 7.10% Unsecured Redeemable NonConvertible Debentures.Letter of 7.00% Unsecured Redeemable NonConvertible Debentures.Letter of 7.00% Unsecured Redeemable NonConvertible Debentures.Letter of MIBOR +35 BPS Secured Redeemable Non-Convertible Debentures. Letter of
INE748E08229
INE748E08245
INE748E08252
INE748E08260
INE748E08278
INE748E08294
GUJARAT INDUSTRIAL INE582F07098 INVESTMENT CORPORATION LTD. GUJARAT INDUSTRIAL INE582F07023 INVESTMENT CORPORATION LTD. GUJARAT INDUSTRIAL INE582F07015 INVESTMENT CORPORATION LTD. GUJARAT INDUSTRIAL INE582F07031 INVESTMENT CORPORATION LTD. GUJARAT INDUSTRIAL INE582F07080 INVESTMENT CORPORATION LTD. GUJARAT NRE COKE LIMITED GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION INE110D07028
13.50% Secured Statutory Liquidity ratio Non Convertible Bonds Series 27. Date of 11.25% Secured Priority Sector Bonds Date of Maturity: 23/03/2005 13.00% Secured Priority Sector Bonds Date of Maturity: 10/08/2005 12.50% Secured Priority Sector Bonds Date of Maturity: 13/12/2007 13.00% Secured Statutory Liquidity ratio Non Convertible Bonds Series 26. Date of 7.00% Secured Redeemable Non Convertible Debentures. Date of Final Redemption 11.50% Unsecured Redeemable Non Covertible Priority Sector BondSecured Non11% Series IV (Govt. Convertible Government Guaranteed Bonds in the form Secured Non11% of Promissory Convertible Government Guaranteed Bonds in the form ofSecured Non13.5% Promissory Convertible Government Guaranteed Bonds in the form ofSecured Non13.5% Promissory Convertible Government Guaranteed Bonds in the form ofSecured Non12.5% Promissory Convertible Government Guaranteed Bonds in the form ofSecured Non12.5% Promissory Convertible Government Guaranteed Bonds in the form of Promissory
INE944A09048
INE944A09055
INE944A09063
INE944A09071
INE944A09329
INE944A09097
INE944A09089
GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE FINANCIAL CORPORATION GUJARAT STATE PETRONET LTD. GUJRAT GLASS PRIVATE LIMITED
INE944A09113
INE944A09105
14% Secured NonConvertible Government Guaranteed Bonds in the form Secured Non14% of Promissory Convertible Government Guaranteed Bonds in the form of Promissory 13.85% Secured NonConvertible Government Guaranteed Bonds in the form of Promissory 10.00% Non-Convertible Priority Sector BondSeries V. Option II, Date OF Maturity: 16/01/2007. 13.75% Secured NonConvertible Government Guaranteed Bonds in the form of Promissory 13.65% Secured NonConvertible Government Guaranteed Bonds in the form Secured Non13% of Promissory Convertible Government Guaranteed Bonds in the form ofSecured Non12.3% Promissory Convertible Government Guaranteed Bonds in the form Secured Non13% of Promissory Convertible Government Guaranteed Bonds in the form ofSecured Non12.3% Promissory Convertible Government Guaranteed Bonds in the form Secured Non13% of Promissory Convertible Government Guaranteed Bonds in the form of Promissory 14.25% Secured Redeemeable Non Convertible Bonds, Option I. Date of Maturity: MIBOR +30 BPS Unsecured Redeemable Non-Convertible Debentures. Letter of
INE944A09139
INE944A08032
INE944A09121
INE944A09147
INE944A09196
INE944A09154
INE944A09162
INE944A09170
INE944A09188
INE246F07017
INE748E08302
9.90% Unsecured NonConvertible Bonds in the nature of Promissory Notes, Unsecured Non9.90% . Date Of Maturity: Convertible Bonds in the nature of Promissory Notes, Unsecured Non9.90% . Date Of Maturity: Convertible Bonds in the nature of Promissory Notes, Unsecured Non9.90% . Date Of Maturity: Convertible Bonds in the nature of Promissory Notes, . Date Of Maturity: 8.1% Unsecured Bonds in the form of Promissory Notes.
HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED
INE236F07075
8.1% Unsecured Non Convertible Bonds in the form of Promissory Notes. Secured 15.50% Redeemable Debentures Optionally Convertible into Preference Shares 15.50% Secured Redeemable Debentures Optionally Convertible into Preference Shares 15.50% Secured Redeemable Debentures Optionally Convertible into Preference Shares 15.50% Secured Redeemable Debentures Optionally Convertible into Preference Shares 15.50% Secured Redeemable Debentures Optionally Convertible into Preference Shares 15.50% Secured Redeemable Debentures Optionally Convertible into Preference Shares 16.75% Secured Redeemable Non Convertible Bonds Series A- issued in the
INE236F07091
INE236F07109
INE236F07083
INE236F07117
INE236F07125
INE236F07018
HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HALDIA PETROCHEMICALS LIMITED HAMLET CONSTRUCTIONS (INDIA) PRIVATE LI MITED
INE236F07133
INE236F07141
16.00% Secured Redeemable Debentures Optionally Convertible into Equity Shares 16.00% Secured Redeemable Debentures Optionally Convertible into Equity Shares 16.00% Secured Redeemable Debentures Optionally Convertible into Equity Shares 16.00% Secured Redeemable Debentures Optionally Convertible into Equity Shares 16.00% Secured Redeemable Debentures Optionally Convertible into Equity Shares 16.00% Secured Redeemable Debentures Optionally Convertible into Equity Shares 16.00% Secured Redeemable Debentures Optionally Convertible into Equity Shares 15.25% Secured Redeemable Non Convertible Bonds Series B1 issued in the 15.25% Secured Redeemable Non Convertible Bonds Series B1/1 issued in the 16.00% Secured Redeemable Non Convertible Bonds Series CSecuredin the 15.25% issued Redeemable Non Convertible Bonds Series DSecuredin the 15.25% issued Redeemable Non Convertible Bonds Series D issued in the 6.50% Secured Redeemable NonConvertible Debentures Letter of Allotment
INE236F07158
INE236F07166
INE236F07174
INE236F07182
INE236F07190
INE236F07026
INE236F07034
INE236F07042
INE236F07059
INE236F07067
INE914F08018
INE795F07013
INE040A08013
15.50% Secured Redeemable NonConvertible Debentures. Date of Maturity 13.00% Unsecured Subordinated Bonds. Date of Maturity:29/07/2004
INE040A08039
13.00% Unsecured Subordinated Bonds. Date of Maturity:31/072004 13.00% Unsecured Subordinated Bonds. Date of Maturity:02/08/2004 13.00% Unsecured Subordinated Bonds. Date of Maturity:20/19/2004
11.00% Unsecured Subordinated Bonds. Date of Maturity:22/06/2006 11.00% Unsecured Subordinated Bonds. Date of Maturity:23/06/2006 13.75% Unsecured Subordinated Bonds. Date of Maturity:30/06/2006 13.75% Unsecured Subordinated Bonds. Date of Maturity:01/09/2006 13.75% Unsecured Subordinated Bonds. Date of Maturity:01/09/2006. Face Value : Rs.2,50,00,000 13.75% Unsecured Subordinated Bonds. Date of Maturity:05/09/2006
INE040A08047
INE040A08021
INE040A08062
INE040A08054
INE040A08088
INE040A08070
INE040A08104
INE040A08096
11.25% Unsecured NCD. Date of Maturity: 15/02/2005 11.45% Unsecured NCD. Date of Maturity: 15/02/2006
HIKAL LIMITED
INE475B08019
5.10% Unsecured Redeemable Non Convertible Debentures. 9.45% Secured Redeemable NCD Privately Placed.. Series XI.Face Value Rs. 3 6.20% Secured Redeemable NCD Privately Placed. Series XIV. Secured 5.95% Redeemable NCD Privately Placed. Series XV. 17% Secured Non-Convertible
Debenture
INE038A07191
INE038A07175
INE038A07183
INE038A07019
INE038A07050
HINDALCO INDUSTRIES LTD. HINDALCO INDUSTRIES LTD. HINDALCO INDUSTRIES LTD. HINDALCO INDUSTRIES LTD. HINDALCO INDUSTRIES LTD. HINDALCO INDUSTRIES LTD. HINDALCO INDUSTRIES LTD.
INE038A08058
INE038A08082
13.40% minus cumulative daily NSE MIBOR Secured Non-Convertible Debenture6.95% Secured NonConvertible Debenture 2002 (V) Series. Letter of Allotment.Date cumulative 13.40% minus of daily NSE MIBOR Secured Non-Convertible Debenture6.95% Secured NonConvertible Debenture 2002 (V) Series. .Date of Maturity minus 6 month 14.25% :23/08/2007 NSE MIFOR Secured Non-Convertible Debenture7.20% Secured NonConvertible Debenture 2002 (VII) Series. Letter of Allotment.Date of 14.25% minus 6 month NSE MIFOR Secured Non-Convertible Debenture-
INE038A07092
INE038A07126
INE038A08074
INE038A08108
INE038A07118
HINDALCO INDUSTRIES LTD. HINDSUTAN ORGANIC CHEMICALS LIMITED HINDSUTAN ORGANIC CHEMICALS LIMITED HINDSUTAN ORGANIC CHEMICALS LIMITED HINDSUTAN ORGANIC CHEMICALS LIMITED HINDUSTAN AERONAUTICS LTD. HINDUSTAN AERONAUTICS LTD. HINDUSTAN AERONAUTICS LTD. HINDUSTAN AERONAUTICS LTD. HINDUSTAN AERONAUTICS LTD. HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD
INE038A07142
INE048A09014
7.20% Secured NonConvertible Debenture 2002 (VII) Series. .Date of Maturity :28/08/2007 13.50% Secured Redeemable NonConvertible Bonds. Series VIII Option-I. 13.00% Secured Redeemable NonConvertible Bonds. Series VIII Option-II. 6.50% Secured Redeemable NonConvertible Bonds. Series XI. Letter of 13.50% Secured Redeemable NonConvertible Bonds. Series IX . Letter of NSE MIBOR +0.40% Unsecured Redeemable Non-Convertible Floating Rate MIBOR(2002) in the NSE Bonds +0.40% Unsecured Redeemable Non-Convertible Floating Rate MIBOR(2002) in the NSE Bonds +0.40% Unsecured Redeemable Non-Convertible Floating Rate MIBOR(2002) in the NSE Bonds +0.40% Unsecured Redeemable Non-Convertible Floating Rate MIBOR(2002) in the NSE Bonds +0.40% Unsecured Redeemable Non-Convertible Floating Rate Bonds (2002) in the 9.75% Unsecured Redeemable Non Convertible Debentures (Privately Placed) 9.75% Unsecured Redeemable NCD . Date of Maturity:14.10.2002. LOA Unsecured 9.50% Redeemable NCD(Privately placed) . Date of
INE048A09022
INE048A09048
INE048A09030
INE066F09015
INE066F09023
INE066F09031
INE066F09049
INE066F09056
INE549A08013
INE549A08039
INE549A08047
HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD
HINDUSTAN CONSTRUCTION CO. LTD
INE549A08054
INE549A08062
9.50% Unsecured Redeemable NCD(Privately placed) . Date ofUnsecured 9.75% Redeemable NCD . Date of Maturity:29.10.2002. LOA Unsecured 9.75% Redeemable NCD . Date of Maturity:23/11/2002 LOA Unsecured 9.00% Redeemable NCD . Date of Maturity:15/01/2003. LOA 16.50% Secured Redeemable NCD . Date of final redemption: 30/01/2003 9.90% Unsecured Redeemable NCD . Date of Maturity:03/02/2003. LOA Unsecured 9.80% Redeemable NCD . Date of Maturity:03/03/2003. LOA 7.50% Unsecured Redeemable
NCD. Letter of Allotment
INE549A08088
INE549A08104
INE549A07049
INE549A08070
INE549A08096
INE549A08138
HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD
INE549A08146
INE549A08153
Mibor + 1.00% Unsecured Redeemable Non-Convertible Debentures. Letter of Mibor + 1.50% Unsecured Redeemable Non-Convertible Debentures. Letter of 8.00% Unsecured Redeemable NCD . Date of Maturity :14/07/2003. LOA Unsecured 7.00% Redeemable NonConvertible Debentures. Letter + 1.00% Mibor of Allotment Unsecured Redeemable Non-Convertible Debentures. Letter of
INE549A08120
INE549A08179
INE549A08161
HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD
INE549A08203
INE549A08211
5.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.35% Unsecured Redeemable NonConvertible Debentures. Letter of+Allotment. MIBOR .25% Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + .25% Unsecured Redeemable Non-Convertible Debentures. Letter of 7.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 6.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.60% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.50 % Unsecured NCD.LOA. (Rollover option on 89th + .30% MIBOR day) Unsecured Redeemable Non-Convertible Debentures. Letter of 5.20% Unsecured Redeemable NonConvertible Debentures. Letter of+Allotment. MIBOR .15% Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + .25% Unsecured Redeemable Non-Convertible Debentures. Letter of 5.60% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment.
INE549A08229
INE549A08252
INE549A08195
INE549A08260
INE549A08237
INE549A08245
INE549A08278
INE549A08294
INE549A08302
INE549A08310
INE549A08328
HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTRUCTION CO. LTD HINDUSTAN CONSTUCTION CO. LTD. HINDUSTAN CONSTUCTION CO. LTD. HINDUSTAN CONSTUCTION CO. LTD. HINDUSTAN CONSTUCTION CO. LTD. HINDUSTAN COPPER LTD.
INE549A08336
INE549A08286
MIBOR + 0.15% Unsecured Redeemable Non-Convertible Debentures. Letter of 6.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.80% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.78% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.45% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.40% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.40% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.40% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.08% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.40% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.50% Unsecured Redeemable NonConvertible Debentures. Letter ofHCL Secured 15.00% Allotment. Redeemable Bonds. Date of Maturity: 30/06/2003
INE549A08369
INE549A08393
INE549A08344
INE549A08351
INE549A08377
INE549A08385
INE549A08419
INE549A08401
INE549A08427
INE549A08435
INE531E07049
HINDUSTAN INKS AND INE056A07052 RESINS LIMITED HINDUSTAN INKS AND INE056A07060 RESINS LIMITED HINDUSTAN INKS AND INE056A07078 RESINS LIMITED HINDUSTAN LEVER LIMITED HINDUSTAN PETROLEUM CORPORATION LTD. HINDUSTAN PETROLEUM CORPORATION LTD. HINDUSTAN SANITARYWARE & INDUSTRIES LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED INE030A07016
12.25% Secured Redeemeable Non Convertible Debenture, Date of final redemption: 12.25% Secured Redeemeable Non Convertible Debenture, Date of final redemption: 12.45% Secured Redeemeable Non Convertible Debenture, Date ofSecured 9.00% final redemption: Redeemable NonConvertible Debentures.
INE094A08010
INE094A07012
8.50% Secured Redeemable NonConvertible Debenture Series C. Date of 8.50% Secured Redeemable NonConvertible Debenture Series C. Date of 6.30% Unsecured Redeemable NonConvertible Debentures.
INE415A08017
INE015D08019
INE015D08027
9.00% Unsecured NonConvertible Debenture. Date of Maturity: 26/04/2002. 9.00% Unsecured NonConvertible Privately Placed Debenture. LOA Date ofUnsecured Non9.00% Maturity: Convertible Debenture. Date of Maturity: 21/10/2002 7.25% Unsecured NonConvertible Debenture.Letter of Allotment. Date of Non9.00% Unsecured Convertible Debenture. Date of Maturity: 18/01/2003. LOA Non6.45% Unsecured Convertible Debenture. Date of Maturity: 17/02/2003. LOA
INE015D08035
INE015D08043
INE015D08050
INE015D08068
HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED
INE015D08076
INE015D08100
6.30% Unsecured NonConvertible Debenture. Date of Maturity: 03/03/2003. LOA Non6.20% Unsecured Convertible Debenture. Date of Maturity: 28/03/2003. LOA Non6.30% Unsecured Convertible Debenture. Date of Maturity: 16/04/2003. LOA Non6.25% Unsecured Convertible Debenture. Date of Maturity: 23/04/2003. LOA Non6.90% Unsecured Convertible Debenture. Date of Maturity: 19/05/2003. LOA Non6.25% Unsecured Convertible Debenture.Letter of Allotment 6.30% Unsecured NonConvertible Debenture.Letter of Allotment 6.25% Unsecured Redeemable NonConvertible Debentures.Letter of 5.75% Unsecured Redeemable NonConvertible Debentures.Letter of 5.6% Unsecured NCDLOA
INE015D08084
INE015D08092
INE015D08118
INE015D08126
INE015D08134
INE015D08142
INE015D08159
INE015D08175
INE015D08167
5.6% Unsecured NCDLOA 5.6% Unsecured NCDLOA 5.60% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment
INE015D08183
INE015D08209
HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED HINDUSTHAN SEALS LIMITED
INE015D08217
INE015D08225
5.60% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.55% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.35% Unsecured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 40 bps Unsecured Redeemable Non-Convertible Debentures. 5.30% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.30% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.30% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.15% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.10% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.10% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.98% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.10% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.05% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment.
INE015D08191
INE015D08233
INE015D08241
INE015D08258
INE015D08266
INE015D08274
INE015D08282
INE015D08290
INE015D08316
INE015D08308
INE015D08324
INE015D08332
INE015D08340
5.05% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.02% Unsecured Redeemable NonConvertible Debentures. Letter ofBonds -Option B 11.75% Allotment. . Date of Maturity:07/11/2002
INE262A07023
HMT LIMITED
INE262A07262
11.75% Bonds -Option B . Date of Maturity:08/11/2002 11.75% Bonds -Option B . Date of Maturity:13/11/2002 11.75% Bonds -Option B . Date of Maturity:23/11/2002 7.50% Non-Convertible Govt. Guaranteed Bonds.Series E Date of Maturity 6.50% Secured NonConvertible Redeemable Govt. Of India BondsSeries G. Letter of Zero Coupon Secured Non convertible debentures-Series 27. LOA.Date of Secured Zero Coupon Non convertible debentures-Series 27. .Date of 5.40% Secured Redeemable NonConvertible DebenturesSeries 38. 6.00% Secured Redeemable NonConvertible DebenturesSeries 34. LOA. Date of 6.00% Secured Redeemable NonConvertible DebenturesSeries 34. Date of
HMT LIMITED
INE262A07270
HMT LIMITED
INE262A07288
HMT LIMITED
INE262A08013
HMT LIMITED
INE262A07312
HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD.
INE001A08171
INE001A07314
INE001A08288
INE001A08247
INE001A07785
HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD.
INE001A08197
INE001A07769
7.05% Secured Redeemable NonConvertible DebenturesSeries 29. LOA. Date of 7.05% Secured Redeemable NonConvertible DebenturesSeries 29. Date of 6.67% Secured Redeemable NonConvertible DebenturesSeries 31. LOA. Date of 6.67% Secured Redeemable NonConvertible DebenturesSeries 31. Date of 6.60% Secured Redeemable NonConvertible DebenturesSeries 32. LOA. Date of 6.60% Secured Redeemable NonConvertible DebenturesSeries 32. Date of 6.30% Secured Redeemable NonConvertible DebenturesSeries Secured Date of 6.30% 33. LOA. Redeemable NonConvertible DebenturesSeries 33. Date of 6.10% Secured Redeemable NonConvertible DebenturesSeries 35. LOA. Date of 6.10% Secured Redeemable NonConvertible DebenturesSeries 35. Secured Non 11% Fully Date of Convertible Debentures 2002, SLR Sr. XXX-E Date Fully Secured Non 11% Of Maturity: Convertible Debentures 2002, SLR Sr. XXX-D Date Fully Secured Non 11% Of Maturity: Convertible Debentures 2002, SLR Sr. XXX-C Date Of Maturity:
INE001A08213
INE001A07744
INE001A08221
INE001A07751
INE001A08239
INE001A07777
INE001A08254
INE001A07793
INE031A07048
INE031A07055
INE031A07063
HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD.
INE031A07071
INE031A07089
11% Fully Secured Non Convertible Debentures 2002, SLR Sr. XXX-B Date Fully Secured Non 11% Of Maturity: Convertible Debentures 2002, SLR Sr. XXX-A Date overnight MIBOR + NSE Of Maturity: 0.53% Unsecured Redeemable NonConvertible Bonds Non 13.5% Fully Secured Convertible Debentures 2004, SLR Sr. XLII-E Date Of Maturity: 13.5% Fully Secured Non Convertible Debentures 2004, SLR Sr. XLII-D Date Of Maturity: 13.5% Fully Secured Non Convertible Debentures 2004, SLR Sr. XLII-C Date Of Maturity: 13.5% Fully Secured Non Convertible Debentures 2004, SLR Sr. XLII-B Date Of Maturity: 13.5% Fully Secured Non Convertible Debentures 2004, SLR Sr. XLII-A Date Overnight MIBOR + NSE Of Maturity: 0.30% UnSecured Taxable Non-Priority Sector Fully Secured Non 12.5% HUDCO Bonds Convertible Debentures 2005, SLR Sr. XLIII-E Date Of Maturity: 12.5% Fully Secured Non Convertible Debentures 2005, SLR Sr. XLIII-D Date Of Maturity: 12.5% Fully Secured Non Convertible Debentures 2005, SLR Sr. XLIII-C Date Of Maturity: 12.5% Fully Secured Non Convertible Debentures 2005, SLR Sr. XLIII-B Date Of Maturity:
INE031A09DO5
INE031A07592
INE031A07600
INE031A07618
INE031A07626
INE031A07634
INE031A09DY4
INE031A07642
INE031A07659
INE031A07667
INE031A07675
HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD.
HOUSING & URBAN DEVELOPMENT CORPORATION LTD.
INE031A07683
INE031A09EA2
12.5% Fully Secured Non Convertible Debentures 2005, SLR Sr. XLIII-A Date Of Maturity: 5.50% UnSecured Taxable Non-Priority Sector HUDCO Bonds Series- XXXV. 14% Fully Secured Non Convertible Debentures 2006, SLR Sr. XLIV-G Date Fully Secured Non 14% Of Maturity: Convertible Debentures 2006, SLR Sr. XLIV-F Date Fully Secured Non 14% Of Maturity: Convertible Debentures 2006, SLR Sr. XLIV-E Date Fully Secured Non 14% Of Maturity: Convertible Debentures 2006, SLR Sr. XLIV- D Date Fully Secured Non 14% Of Maturity: Convertible Debentures 2006, SLR Sr. XLIV-C Date Fully Secured Non 14% Of Maturity: Convertible Debentures 2006, SLR Sr. XLIV-B Date Fully Secured Non 14% Of Maturity: Convertible Debentures 2006, SLR Sr. XLIV-A Date Of Non Priority 10.30% Maturity: Sector Bonds Series XX Option A
INE031A07691
INE031A07709
INE031A07717
INE031A07725
INE031A07733
INE031A07741
INE031A07758
INE031A07014
INE031A09BE0
INE031A09BV4
9.50% Unsecured Taxable Bonds 2001 Series SD-III. Date of Maturity 30/01/2007: LOA 8.40% Priority Sector Tax
free Bonds Series XXI-A. . Date of Maturity: 30.01.2007
INE031A09BF7
8.50% Gujarat Punarnirman Special Tax free Bonds in the form of Promissory Notes, Series
HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD.
HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD.
INE031A09CF5
INE031A09BI1
8.50% Gujarat Punarnirman Special Tax free Bonds in the form of Promissory Notes, Series 9.25% Non-Priority Sector Taxable Bonds in the form of Promissory Notes, Unsecured Non9.25% Series XXIII-A. convertible 2002 HUDCO Bonds Series SD-I in the nature of promissory 9.25% Non-Priority Sector Taxable Bonds in the form of Promissory Notes, Unsecured Non9.25% Series XXIII-A. . convertible 2002 HUDCO Bonds Series SD-I in the nature of promissory 9.25% Unsecured Nonconvertible Non Priority Sector Taxable Bonds Series XXIV A in the 9.00% Unsecured Nonconvertible Priority Sector Taxable Bonds Series XXII A in the nature of 8.00% Gujarat Punarnirman Special Tax free Bonds in the form of Promissory Notes, Non9.00% Unsecured Series convertible Priority Sector Taxable Bonds Series XXII A in the nature of 9.25% Unsecured Nonconvertible Non Priority Sector Taxable Bonds Series XXIV A in the 8.00% Gujarat Punarnirman Special Tax free Bonds in the form of Promissory Notes, Series 9.00% HUDCO Bonds in
the form of Promissory Notes, Series XXV-A.Date of Maturity: 28/06/2007. 9.00% HUDCO Bonds in the form of Promissory Notes, Series 2002 SDIII.Date of Maturity:
INE031A09BL5
INE031A09CI9
INE031A09CT6
INE031A09BO9
INE031A09BM3
INE031A09BS0
INE031A09CL3
INE031A09CN9
INE031A09CQ2
INE031A09BX0
INE031A09CA6
HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD.
INE031A09CB4
INE031A09CE8
INE031A07493
9.00% HUDCO Bonds in the form of Promissory Notes, Series XXVA.Date HUDCO Bonds in 9.00% of Maturity: the form of Promissory Notes, Series 2002 SDIII.Date of Maturity: Non 13% Fully Secured Convertible Debentures 2007, SLR Sr. XL-E Date Of Maturity: 21/09/2007 13% Fully Secured Non Convertible Debentures 2007, SLR Sr. XL-D Date Of Maturity: 21/09/2007 13% Fully Secured Non Convertible Debentures 2007, SLR Sr. XL-C Date Of Maturity: 21/09/2007 13% Fully Secured Non Convertible Debentures 2007, SLR Sr. XL-B Date Of Maturity: 21/09/2007 13% Fully Secured Non Convertible Debentures 2007, SLR Sr. XL-A Date Of Maturity: 21/09/2007 13% Fully Secured Non Convertible Debentures 2007, SLR Sr. XLI-E Date Of Maturity: 25/11/2007 13% Fully Secured Non Convertible Debentures 2007, SLR Sr. XLI-D Date Fully Secured Non 13% Of Maturity: Convertible Debentures 2007, SLR Sr. XLI-C Date Fully Secured Non 13% Of Maturity: Convertible Debentures 2007, SLR Sr. XLI-B Date Of Maturity: 25/11/2007 13% Fully Secured Non Convertible Debentures 2007, SLR Sr. XLI-A Date Of Maturity: 25/11/2007 12.3% Fully Secured Non Convertible Debentures 2008, SLR Sr. XLV-E Date Maturity:
INE031A07501
INE031A07519
INE031A07527
INE031A07535
INE031A07543
INE031A07550
INE031A07568
INE031A07576
INE031A07584
INE031A07766
HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING & URBAN DEVELOPMENT CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. Housing Development Finance Corporation Limited Housing Development Finance Corporation Limited Housing Development Finance Corporation Limited Housing Development Finance Corporation Limited Housing Development Finance Corporation Limited HOUSING DEVELOPMENT FINANCE CORPORATION Housing Development Finance Corporation Limited HOUSING DEVELOPMENT FINANCE CORPORATION
INE031A07774
INE031A07782
12.3% Fully Secured Non Convertible Debentures 2008, SLR Sr. XLV-D Date Maturity: 12.3% Fully Secured Non Convertible Debentures 2008, SLR Sr. XLV-C Date Maturity: 12.3% Fully Secured Non Convertible Debentures 2008, SLR Sr. XLV-B Date Maturity: 12.3% Fully Secured Non Convertible Debentures 2008, SLR Sr. XLV-A Date Maturity: Non 8.40% Secured convertible debenturesSeries 44. Date of Redemption:25/02/2005 8.50% Secured Redeemable Non Convertible Debenture Series 22 8.75% Secured Redeemable Non Convertible Debenture (LOA) Secured 8.75% Redeemable Non Convertible Debenture Series 23 8.65% Secured Non convertible debenturesSeries 26. LOA.
INE031A07790
INE031A07808
INE001A07306
INE001A07207
INE001A08122
INE001A07215
INE001A08155
INE001A08163
INE001A07926
8.40% Secured Non convertible debenturesSeries 44. LOA.Date of Redemption:25/02/2005 Flaoting Rate Secured Redeemable NonConvertible DebenturesSeries 50 B-001. Letter of 8.80% Secured Redeemable Non Convertible Debenture Series 25 Floating benchmark rate Secured Redeemable Non-Convertible Debentures-Series 46.
INE001A07280
INE001A07884
HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD. HOUSING DEVELOPMENT FINANCE CORPORATION LTD.
INE001A07363
INE001A07371
12.00% Secured Nonconvertible Long Term Bonds-Series 40A 2.Date of Final Secured Non12.00% convertible Long Term Bonds-Series 40A 3. Date of Final 12.00% Secured Nonconvertible Long Term Bonds-Series 40A 4. Date of Final 12.00% Secured Nonconvertible Long Term Bonds-Series 40A 5. Date ofSecured Non 8.65% Final convertible debenturesSeries 26.
INE001A07389
INE001A07397
INE001A07298
INE001A07405
INE001A07413
12.00% Secured Nonconvertible Long Term Bonds-Series 40A 6. Date of Final 12.00% Secured Nonconvertible Long Term Bonds-Series 40A 7. Date of Final 12.00% Secured Nonconvertible Long Term Bonds-Series 40A 8. Date of Final 12.00% Secured Nonconvertible Long Term Bonds-Series 40A 9. Date ofSecured Non 8.60% Final convertible debenturesSeries 28. LOA.Date of Redemption:06/05/2007 8.60% Secured Non convertible debenturesSeries 28. Date of Redemption :06/05/2007 12.00% Secured Nonconvertible Long Term Bonds-Series 40A 10. Date of Final 12.00% Secured Nonconvertible Long Term Bonds-Series 40A 11. Date of Final
INE001A07421
INE001A07439
INE001A08189
INE001A07355
INE001A07447
INE001A07454
HUDCO
INE031A09DM9
HUDCO
INE031A09DN7
NSE overnight MIBOR + 1.00% Unsecured Redeemable NonConvertible Bonds NSE overnight MIBOR + 0.80% Unsecured Redeemable NonConvertible Bonds 7.99% Unsecured Taxfree HUDCO Bonds Series XV A- Date of Maturity: 29.03.2007 Special Priority Sector HUDCO Bonds - I (SPS I) - A1
HUDCO
INE031A08301
HUDCO
INE031A09051
HUDCO
INE031A09457
Special Priority Sector HUDCO Bonds - II (SPS II) - A1 Special Priority Sector HUDCO Bonds - I (SPS I) - A2 Special Priority Sector HUDCO Bonds - II (SPS II) - A2 Special Infrastructure Bonds Series - I A ( SIB IA) Special Infrastructure Bonds Series - I B ( SIB IB) Special Priority Sector HUDCO Bonds - I (SPS I) - A3 Special Priority Sector HUDCO Bonds - II (SPS II) - A3 Special Priority Sector HUDCO Bonds - I (SPS I) - A4 Special Priority Sector HUDCO Bonds - II (SPS II) - A4
HUDCO
INE031A09069
HUDCO
INE031A09465
HUDCO
INE031A09AZ7
HUDCO
INE031A09BA8
HUDCO
INE031A09077
HUDCO
INE031A09473
HUDCO
INE031A09085
HUDCO
INE031A09481
HUDCO
INE031A09093
Special Priority Sector HUDCO Bonds - I (SPS I) - A5 Special Priority Sector HUDCO Bonds - II (SPS II) - A5 Special Priority Sector HUDCO Bonds - I (SPS I) - A6 Special Priority Sector HUDCO Bonds - II (SPS II) - A6 Special Priority Sector HUDCO Bonds - I (SPS I) - A7 Special Priority Sector HUDCO Bonds - II (SPS II) - A7 Special Priority Sector HUDCO Bonds - I (SPS I) - A8 Special Priority Sector HUDCO Bonds - II (SPS II) - A8 Special Priority Sector HUDCO Bonds - I (SPS I) - A9 Special Priority Sector HUDCO Bonds - II (SPS II) - A9 Special Priority Sector HUDCO Bonds - I (SPS I) - A10 Special Priority Sector HUDCO Bonds - II (SPS II) - B1 Special Priority Sector HUDCO Bonds - I (SPS I) - A11
HUDCO
INE031A09499
HUDCO
INE031A09101
HUDCO
INE031A09507
HUDCO
INE031A09119
HUDCO
INE031A09515
HUDCO
INE031A09127
HUDCO
INE031A09523
HUDCO
INE031A09135
HUDCO
INE031A09531
HUDCO
INE031A09143
HUDCO
INE031A09549
HUDCO
INE031A09150
HUDCO
INE031A09556
Special Priority Sector HUDCO Bonds - II (SPS II) - B2 12.75% Unsecured Marketable DebentureD97 UMD Date Of Maturity Unsecured Non 10.45% :25/11/2002 Marketable Debenture ITNMQ100 UNMD Date Of Maturity:02/06/2003 10.45% Unsecured Non Marketable Debenture ITNMQ100 UNMD Date Of Maturity:03/06/2003 10.35% Unsecured Non Marketable Debenture NMDJY101 UNMD Date Of Maturity: 03/07/2006 9.35% Unsecured Non Marketable Debenture NMDQ402 UNMD Date Of Maturity:28/03/2007 12.00% Unsecured NonMarketable Debenture DNOCQ200 UNMD Date Of Maturity:11/08/2007 13.50% Unsecured Marketable Debentures D98 UMD.
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED
INE005A08MC7
INE005A08MM6
INE005A08MN4
INE005A08MG8
INE005A08MO2
INE005A08MH6
INE005A08M53
INE005A08L70
14.00% Unsecured Marketable Debentures F98 UMD. 14.25% Unsecured Marketable Debenture F98 UMD 14.05% Unsecured Marketable Debentures F98 UMD 13.00% Unsecured Marketable Debentures D97 UMD. 12.75% Unsecured Marketable Debenture D97 UMD
INE005A08L21
INE005A08L88
INE005A08L54
INE005A08K55
INE005A08L62
12.40% Unsecured Marketable Debentures D97 UMD. 12.75 % Unsecured marketable Debentures.F97UMD. 14.75% Unsecured Marketable Debentures B98 UMD. 11.25 % Unsecured nonmarketable Debentures.DNMQ499 UNMD. Unsecured 14.00% Marketable Debentures B98 UMD.
INE090A08471
INE005A08K63
INE090A08489
INE005A08K71
INE005A08K97
13.90% Unsecured Marketable Debentures D98 UMD 13.90% Unsecured Marketable Debentures D98 UMD 13.85% Unsecured Marketable Debentures D98 UMD 14.25% Unsecured Marketable Debenture D98 UMD 11.25% Unsecured NonMarketable Debenture. DNMQ100 UNMD. 11.25% Unsecured NonMarketable Debentures DNPCM700 UNMD 14.25% Unsecured Marketable Debenture F98 UMD 11.95% Unsecured NonMarketable Debentures M8NM5C00 UNMD.
INE005A08K89
INE005A08L47
INE090A08554
INE090A08224
INE005A08M12
INE090A08547
INE005A08L05
INE005A08M20
ICICI February 20036.75% Tax Saving Bond I ICICI March 2003-6.75% Tax Saving Bond I. 9.80% Unsecured NonMarketable DebenturesNMDQ202. UNMD. ICICI February 2003- Tax Saving Bond II (Deep Discount Bonds) ICICI March 2003- Tax Saving Bond II (Deep Discount Bonds) 9.75% UNSECURED SUBORDINATED NCD 12.00% Calleable Unsecured NonMarketable Debentures DNOCQ200 CUNMD 12.00% Calleable Unsecured NonMarketable Debentures DNOCQ200 CUNMD 9.5% Unsecured NonMarketable Debenture. NMDQ202 UNMD.
INE005A08Q00
INE090A08463
INE005A11BS0
INE005A11BU6
INE090A08042
INE005A08L96
INE005A08L39
INE090A08141
INE090A08190
11.1% Unsecured NonMarketable Debenture. N1DQ4PC0 UNMD. ICICI February 20036.75% Tax Saving Bond III 11.2% Unsecured NonMarketable Debenture. N1DQ4PC0 UNMD. ICICI March 2003-6.75% Tax Saving Bond III.
INE005A08M38
INE090A08182
INE005A08Q18
ICICI BANK LIMITED (Erstwhile ICICI Limited) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
ICICI BANK LIMITED (Erstwhile ICICI LIMITED)
INE090A08570
14.25% Unsecured Marketable Debenture. G98 UMD. 10.10% Unsecured NonMarketable Debenture CGNMQ100 UNMD , Capital Gains ICICI March 2002 8.75% Tax Saving Bond I
INE005A08ME3
INE005A08JH2
INE005A11BG5
ICICI March 2002 Tax Saving Bond III (Deep Discount) 8.90% Unsecured Promissory notesPNQ302R UPN Date Of Maturity:16/12/2006 ICICI March 2002 9.00% Regular Income Bond Option III
INE005A09980
INE005A08LI6
INE005A08JI0
INE005A08N29
INE005A08N86
INE005A08N11
INE005A08N60
INE005A08H01
INE005A08N52
INE005A08N94
INE005A08M87
INE005A08M95
INE005A08N78
INE005A08N03
12.00% Calleable Unsecured NonMartketable Debentures M8NM5C00 CUNMD 10.00% (14.40% upto
14.02.2002) Unsecured Marketable Debentures G98 UMD 10.00% (14.40% upto 14.02.2002) Unsecured Marketable Debentures G98 UMD.
INE005A08H19
INE005A08N37
INE005A08G93
ICICI BANK LIMITED (Erstwhile ICICI LIMITED) ICICI BANK LIMITED (Erstwhile ICICI LIMITED) ICICI BANK LIMITED (Erstwhile ICICI LIMITED) ICICI BANK LIMITED (Erstwhile ICICI LIMITED) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
INE005A08G77
ICICI January 2003 7.00% Tax Saving Bond I ICICI January 2003 Tax Saving Bond II (Deep Discount ) ICICI August 2003 - Tax Saving Bond II (Deep Discount Bonds) ICICI January 2003 7.25% Tax Saving Bond III 13% UMD E97
INE005A11BN1
INE005A11BP6
INE005A08G85
INE005A08Y42
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
INE005A089Y0
INE005A083R7
INE005A086N9
INE005A086Y6
INE005A084L8
INE005A084Z8
INE005A085H3
INE005A087Y4
14.75% Unsecured Marketable Debentures B98 UMD. Unsecured 14.25% B98 UMD 14.00% Unsecured Marketable Debenture B98 UMD. 14.25% B98 UMD
INE005A087E6
INE005A088X4
INE005A082K4
INE005A080J0
INE005A081B5
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
INE005A081G4
INE005A086M1
INE005A088C8
Unsecured 14.25% B98 UMD. 14.25% Unsecured Marketable Debenture. B98 UMD. 14.25% Unsecured Marketable Debentures B98 UMD. 14.75% B98 UMD 14.25% Unsecured Marketable Debentures B98 UMD. 14.25% B98 UMD
INE005A083X5
INE005A083V9
INE005A080N2
INE005A081S9
INE005A088J3
INE005A088A2
INE005A083I6
INE005A084V7
14.00% Unsecured Marketable Debentures B98 UMD. 14.00% Unsecured Marketable Debentures D98 UMD. 13.75% C98 UMD
INE005A080W3
INE005A089K9
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
INE005A082N8
13.75% C98 UMD 13.75% Unsecured Marketable Debenture. C98 UMD. 13.75% D98 UMD
INE005A085U6
INE005A082Q1
INE005A084O2
INE005A083Q9
INE005A086A6
Unsecured 13.75% D98 UMD. Unsecured 13.75% D98 UMD 13.75% Unsecured D98 UMD Unsecured 14.25% D98 UMD 14.25% Unsecured Marketable Debenture. D98 UMD. Unsecured 14.00% D98 UMD 14.15% D98 UMD
INE005A085F7
INE005A088H7
INE005A086F5
INE005A085T8
INE005A086C2
INE005A089M5
INE005A085O9
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
INE005A080L6
INE005A083L0
INE005A088B0
Unsecured 14.25% D98 UMD Unsecured 14.25% F98 UMD 11.25 % Unsecured NonMarketable Debentures. DNPCM700 UNMD. 11.20% DNPCM700 UNMD Unsecured 11.20% DNOCQ200 CUNMD 14.25% F98 UMD
INE005A082B3
INE005A080X1
INE005A089N3
INE005A089E2
INE005A084N4
INE005A083D7
Unsecured 11.90% DNOCQ200 CUNMD Unsecured 11.90% DNOCQ200 CUNMD 11.57% DNOCQ200 CUNMD 14.10% Unsecured F98 UMD 11.9 % Calleable Unsecured NonMarketable Debentures.DNOCQ200
INE005A081D1
INE005A085Q4
INE005A082I8
INE005A080Z6
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
INE005A088L9
11.9% DNOCQ200 CUNMD Unsecured 12.05% M8NM5C00 CUNMD 14% Unsecured Marketable Debenture. F98 UMD. 12% NMPFM800 UNMD
INE005A083F2
INE005A081T7
INE005A086O7
INE005A086I9
INE005A087H9
12.00% Unsecured NMPFM800 UNMD 12.00% NMPFM800 UNMD 12.00% NMPFM800 UNMD Unsecured 12.05% NMPFM800 UNMD 14.25% Unsecured Marketable Debentures F98 UMD, Unsecured 14.00% G98 UMD 12.00% Unsecured Q3NM5C00 CUNMD Unsecured 14.00% G98 UMD
INE005A087I7
INE005A088I5
INE005A089F9
INE005A088V8
INE005A083G0
INE005A089H5
INE005A080D3
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
INE005A084D5
INE005A085I1
INE005A087G1
Unsecured 14.00% G98 UMD 11.95% Q3NM5C00C UNMD Unsecured 11.90% NMPCQ300 UNMD 12% NMC31100 UNMD
INE005A089L7
INE005A084F0
INE005A086P4
INE005A081M2
INE005A089G7
11.60% NMPCQ300 UNMD Unsecured 14.25% G98 UMD 14.00% Unsecured Marketable Debenture G98 UMD. Unsecured 14.00% G98 UMD Unsecured 14.00% G98 UMD 11.45% Unsecured NDQ4C100 UNMD
INE005A089C6
INE005A089X2
INE005A086G3
INE005A085G5
INE005A084H6
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
INE005A081I0
11.45% Unsecured NDQ4C100 UNMD 14% Unsecured Marketable Debenture. G98 UMD. Unsecured 11.45% NDQ4C100 UNMD Unsecured 11.20% NDQ4C100 UNMD 13.75% Unsecured Marketable Debentures A99 UMD. 11% N1DQ4C10 UNMD
INE005A080T9
INE005A083E5
INE005A089A0
INE005A087X6
INE005A087L1
INE005A086D0
Unsecured 13.17% A99 UMD 11.05% N1DQ4C10 UNMD 10.95% NMDQ102 UNMD 10.65% NMDQ102 UNMD Unsecured 10.75% NMDJU101 UNMD 10.50% NMDQ102 UNMD Unsecured 10.50% NMDQ102 UNMD
INE005A084M6
INE005A084J2
INE005A087P2
INE005A086E8
INE005A088G9
INE005A089D4
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
INE005A083M8
INE005A089O1
INE005A081P5
INE005A081C3
Unsecured 10.00% NMDQ202 UNMD Unsecured 10.00% NMDQ202 UNMD 10.15% NMDQ202 UNMD 5.75% ICICI August 2003 - Tax Saving Bond I 12% NMC31100 UNMD
INE005A084B9
INE005A087O5
INE005A081J8
INE005A080M4
INE005A084S3
12% Unsecured NonMarketable Debentures NMC31100 UNMD. ICICI October 2003 Tax Saving Bond - Option I 9.70% NMDQ302R UNMD ICICI DECEMBER 2003 5.50% Tax Saving Bond I. ICICI October 2003 - Tax Savings Bond (Deep Discount Bond)
INE005A085S0
INE005A084P9
INE005A089V6
INE005A11BW2
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
INE005A09BE4
INE005A084I4
INE005A083U1
INE005A080I2
11.5% Callable Unsecured NonMarketable Debenture. DNOCQ200 CUNMD. 12.00% Unsecured DNOCQ200 CUNMD
INE005A084E3
Unsecured 12.00% CUNMD DNOCQ200 12.00% DNOCQ200 CUNMD ICICI DECEMBER 2003 TAX SAVING BOND II (Deep Discount Bond). 11.9% Callable Unsecured NonMarketable Debenture. DNOCQ200 CUNMD. 10% NMDQ202 UNMD
INE005A085J9
INE005A11BY8
INE005A083Z0
INE005A080P7
INE005A081Z4
INE005A08Z33
INE005A085C4
INE005A080A9
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.)
INE005A085P6
12.05% NMC31100 UNMD Unsecured 13.25% D97 UMD 13.25% A98 UMD
INE005A084G8
INE005A089J1
INE005A081A7
Unsecured 13.25% A98 UMD 11.15% UNMD N1DQ4PC0 11% UNMD N1DQ4PC0
INE005A08Z58
INE005A08Z17
INE005A080H4
11.00% N1DQ4PC0 UNMD Unsecured 11.00% N1DQ4PC0 UNMD 11.10% NIDQ4PC0 UNMD 11.2% UNMD N1DQ4PC0 11.20% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD. 11.2% Unsecured NonMarketable Debenture. N1DQ4C10 UNMD. 11.1% Unsecured NonMarketable Debenture. N1DQ4PC0 UNMD.
INE005A087B2
INE005A081L4
INE005A08Z25
INE005A088R6
INE005A089T0
INE005A086W0
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED (Erstwhile ICICI Ltd.) ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A089R4
11.20% Unsecured NonMarketable Debenture N1DQ4C10 UNMD. 11.25% UNMD N1DQ4PC0 11.1% Unsecured NonMarketable Debenture. N1DQ4PC0 UNMD. 11.25% UNMD N1DQ4PC0 11.20% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD. 11.25% UNMD N1DQ4PC0 11.25% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD. 11.2% N1DQ4PC0 UNMD Unsecured 11.20% N1DQ4PC0 UNMD Unsecured 11.20% N1DQ4PC0 UNMD 12.50% Unsecured Marketable DebenturesE97 UMD. Date of Maturity: Unsecured 12.50% 11/09/2002 Marketable DebenturesE97 UMD. Date of Maturity:Unsecured 12.00% 17/09/2002 Promissory notesBPNQ399 UPN Date Of Maturity :18/11/2002
INE005A08Z74
INE005A088T2
INE005A08Z82
INE005A087W8
INE005A08Z66
INE005A087R8
INE005A081R1
INE005A083C9
INE005A083C9
INE005A08NQ5
INE005A08NR3
INE005A09AB2
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08MS3
INE005A08SA8
12% Unsecured NonMarketable DebenturesDNMQ399 UNMD. Date of Maturity:24/11/02 Non12.05% Unsecured Marketable DebenturesDNMQ399 UNMD. Date of Maturity:30/11/02 11.90% Unsecured Promissory notesBPNQ399 UPN Date Of Maturity Unsecured 11.90% :30/11/2002 Promissory notesBPNQ399 UPN Date Of Maturity :01/12/2002 12.05% Unsecured Marketable DebenturesDNMQ399 UNMD. Date of Maturity:08/12/2002 12.75% Unsecured Marketable DebentureD97 UMD Date Of Maturity Unsecured 12.50% :09/12/2002 Marketable DebentureF97 UMD Date Of Maturity Unsecured 12.75% :12/12/2002 Marketable DebentureD97 UMD Date Of Maturity :12/12/2002 Non12.00% Unsecured Marketable DebenturesDNMQ399 UNMD. Date of Maturity:16-12-2002. 12.75% Unsecured Marketable DebentureD97 UMD Date Of Maturity :19/12/2002Non 12.00% Unsecured Marketable DebenturesDNMQ399 UNMD. Date of Maturity:20/12/2002 12.75 % Unsecured marketable Debentures.D97UMD. Date of Maturity:22-1216.00% Unsecured Promissory notesBO/RH/67/96-97/121UPN Date Of Maturity
INE005A09AL1
INE005A09AM9
INE005A08UZ1
INE005A08OW1
INE005A08PP2
INE005A08UN7
INE005A08NC5
INE005A08SM3
INE005A08PZ1
INE005A08WP8
INE005A09AE6
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08OU5
INE005A08WV6
14.25% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:29/01/2003 14 % Unsecured marketable Debentures.B98UMD. Date of Maturity:03-0214.00% Unsecured Marketable DebenturesB-98 UMD. Date of Maturity:05/02/2003 14.00% Unsecured Marketable DebenturesB98 UMD Date of Maturity:Unsecured 14.60% 11/02/2003 Marketable Debentures B98 UMD, Date Of Maturity:12/02/2003 14.00% Unsecured Marketable Debentures B/98 UMD, Date Of Maturity: Unsecured 14.00% 16/02/2003 Marketable DebenturesB-98 UMD. Date of Maturity:17-02-2003 14.00% Unsecured Marketable Debentures B/98 UMD, Date Of Maturity: 18.02.2003 14% Unsecured Marketable Debenture. B98 UMD. Date of Maturity: 23-02-2003 14.00% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:24/02/2003 14.50% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:25/02/2003 14.00% Unsecured Marketable DebenturesB98 UMD. Date of Maturity: Unsecured 14.00% 26/02/2003 Marketable DebenturesB98 UMD. Date of Maturity:28/02/2003
INE005A08VD6
INE005A08SQ4
INE005A08RS2
INE005A08OC3
INE005A08NA9
INE005A08A65
INE005A08A24
INE005A08RT0
INE005A08A99
INE005A08NV5
INE005A08QA2
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08PR8
INE005A08WW4
14.00% Unsecured Marketable Debenture B98 UMD. Date Of Maturity:02/03/2003 14 % Unsecured marketable Debentures.B98UMD. Date of Maturity:04-0314.50% Unsecured Marketable Debentures B/98 UMD, Date Of Maturity:Unsecured 15.15% 05/03/2003 Marketable Debentures B98 UMD, Date Of Maturity:Unsecured 14.00% 09.03.2003 Marketable Debentures B98 UMD, Date Of Maturity:11/03/2003 15.20% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:11/03/2003Non10.85% Unsecured Marketable Debenture DNMQ499 UNMD Date Of Maturity:11/03/2003 14.00% Unsecured Marketable Debentures B/98 UMD, Date Of Maturity:Unsecured 14.00% 12/03/2003 marketable Debentures.B98 UMD. Date of Unsecured 14.00% Marketable Debentures B98 UMD, Date Of Maturity:18/03/2003 15.20% Unsecured Marketable DebenturesB98 UMD Date of Maturity:Unsecured 14.80% 19/03/2003 Marketable Debentures B98 UMD, Date Of Maturity: Unsecured 15.00% 19/03/2003 Marketable DebenturesB98 UMD. Date of Maturity:20/03/2003
INE005A08PN7
INE005A08DP8
INE005A08QS4
INE005A08A81
INE005A08B56
INE005A08OD1
INE005A08E87
INE005A08RP8
INE005A08SR2
INE005A08F11
INE005A08QB0
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08OA7
INE005A08VO3
14.50% Unsecured Marketable Debentures B/98 UMD, Date Of Maturity:Unsecured 14.00% 23/03/2003 Marketable Debenture B98 UMD. Date of Maturity:25/03/2003 14.00% Unsecured Marketable Debentures B/98 UMD, Date Of Maturity: Unsecured 14.00% 28/03/2003 Marketable DebenturesB98 UMD. Date of Maturity: Unsecured Non10.70% 31/03/2003 Marketable DebenturesDNMQ100 UNMD. Date of Maturity:13/04/2003 13.50% Unsecured Marketable Debenture C98 UMD Date Of Maturity:Unsecured 13.50% 22/04/2003 Marketable Debenture C98 UMD Date Of Maturity:Unsecured 13.50% 23/04/2003 Marketable Debenture C98 UMD Date Of Maturity:Unsecured 13.50% 24/04/2003 Marketable Debenture C98 UMD Date Of Maturity:Unsecured 13.50% 25/04/2003 Marketable Debenture C98 UMD Date Of Maturity:Unsecured 13.50% 27/04/2003 Marketable Debenture D98 UMD Date Of Maturity:Unsecured 13.15% 27/04/2003 Marketable DebentureD98 UMD. Date of Unsecured 16.00% Promissory notesBO/RH/32/95-96/074UPN Date Of Maturity
INE005A08I75
INE005A08NS1
INE005A08QP0
INE005A08G36
INE005A08OB5
INE005A08MP9
INE005A08B07
INE005A08VX4
INE005A08F45
INE005A08UL1
INE005A09AG1
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08ON0
13.50% D/98 UMD Date of Maturity: 22/05/2003 13.60% Unsecured Markeable Debenture D/98 UMD Date of Maturity: Unsecured Non10.85 % 05/06/2003 Marketable Debentures.DNMQ100U NMD. % Unsecured Non10.85 Date of Maturity:06Marketable Debentures.DNMQ100U NMD. Date of Maturity:0713.50% Unsecured Markeable Debenture D/98 UMD Date of Maturity: Unsecured Non10.85 % 08/06/2003 Marketable Debentures.DNMQ100U NMD. Date of Maturity:0813.75% Unsecured Markeable Debenture D/98 UMD Date of Maturity: Unsecured Non10.95 % 11/06/2003 Marketable Debentures.DNMQ100U NMD. Date of Maturity:1414.00% Unsecured Marketable DebenturesD98.Date of Maturity:17/06/2003 Non10.95 % Unsecured Marketable Debentures.DNMQ100U NMD. Date of Maturity:2114.00% Unsecured Marketable DebenturesD98.Date of Maturity:22/06/2003 Non10.95 % Unsecured Marketable Debentures.DNMQ100U NMD. Date of Maturity:2214.00% Unsecured Markeable Debenture D/98 UMD Date of Maturity: 25/06/2003
INE005A08RM5
INE005A08XG5
INE005A08XF7
INE005A08PF3
INE005A08XI1
INE005A08RK9
INE005A08XK7
INE005A08QQ8
INE005A08XH3
INE005A08RW4
INE005A08XJ9
INE005A08RN3
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08SJ9
INE005A08PC0
13.85% Unsecured Marketable DebenturesD98.Date of Maturity:27/06/2003 Date 13.90% D/98 UMD of Maturity: 01/07/2003
INE005A08PK3
INE005A08PL1
14.00% Unsecured Marketable Debenture D98 UMD Date Of Maturity:02/07/2003 14.00% Unsecured Marketable Debenture D98 UMD Date Of Maturity:06/07/2003 14.05% Unsecured Marketable Debenture F98 UMD Date Of Maturity:06/07/2003Non 11.20% Unsecured Marketable Debenture DNPCM700 UNMD Date Of Maturity:07/07/2003 14.00% Unsecured Marketable Debenture D98 UMD. Date of Maturity:07/07/2003 14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:08/07/2003 14.00% Unsecured Marketable DebenturesF98 UMD. Date of Maturity: Unsecured 14.00% 15/07/2003 Marketable DebenturesF98 UMD. Date of Maturity:Unsecured 14.00% 16/07/2003 Marketable Debenture F98 UMD Date Of Maturity:17/07/2003 14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:21/07/2003 14 % Unsecured marketable Debentures.F98UMD. Date of Maturity:22-07-
INE005A08QT2
INE005A08PT4
INE005A08VQ8
INE005A08RB8
INE005A08UP2
INE005A08NO0
INE005A08QZ9
INE005A08PJ5
INE005A08WY0
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08RX2
INE005A08A40
14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:24/07/2003 13.75% Unsecured Marketable Debenture. F98 UMD. Date of Maturity:Unsecured 14.50% 27-07-2003 Marketable Debenture F98 UMD Date Of Maturity: 28/07/2003 14 % Unsecured marketable Debentures.F98UMD. Date of Maturity:28-0713.75% Unsecured Marketable Debenture F98 UMD Date Of Maturity:29/07/2003 14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:29/07/2003 14.20% Unsecured Marketable Debenture F98 UMD Date Of Maturity:31/07/2003 14.05% Unsecured Marketable Debenture F98 UMD Date Of Maturity:31/07/2003 14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:01/08/2003 14.20% Unsecured Marketable Debenture F98 UMD Date Of Maturity:03/08/2003 14.00% Unsecured Marketable Debenture F98 UMD.
INE005A08PB2
INE005A08WZ7
INE005A08QU0
INE005A08QV8
INE005A08OZ4
INE005A08QY2
INE005A08RH5
INE005A08OX9
INE005A08W77
INE005A08PA4
INE005A08MT1
14.05% Unsecured Marketable Debenture F98 UMD Date Of Maturity:04/08/2003 14% Unsecured Marketable Debenture F98 UMD Date Of Maturity:05/08/2003
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08J09
INE005A08VP0
14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:07/08/2003 14.05% Unsecured Marketable Debenture F98 UMD. Date of Maturity:13/08/2003 11.5% Unsecured Promissory Notes. MPPFM800 UPN. Date of Maturity: Unsecured 14.05 % 06-09-2003 marketable Debentures.F98UMD. Date of Maturity:07-0914.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:17/09/2003 14.05% Unsecured Marketable Debenture F98 UMD Date Of Maturity:21/09/2003 14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:27/09/2003Non 12.05% Unsecured Marketable Debenture NMPFM800 UNMD Date Of Maturity:27/09/2003 14.00% Unsecured Marketable Debentures F98 UMD, Date Of Maturity:03/10/2003 13.85% Unsecured Marketable DebentureG98 UMD. Date of Unsecured 13.85% Marketable DebentureG98 UMD. Date of Unsecured 14.00% Marketable DebenturesG98 UMD. Date of Maturity:02/11/2003 13.85% Unsecured Marketable DebentureG98 UMD. Date of
INE005A09AT4
INE005A08XA8
INE005A08OP5
INE005A08VY2
INE005A08PD8
INE005A08J82
INE005A08RG7
INE005A08SW2
INE005A08SX0
INE005A08US6
INE005A08TK5
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08UI7
INE005A08UH9
14.00% Unsecured Marketable Debenture. G98. Date of Maturity: 13/11/2003 14% Unsecured Marketable Debenture G98 UMD. Date of Maturity:14/11/2003 11.7 % Unsecured NonMarketable Debentures.NMPCQ300 UNMD. Date of 14.00% Unsecured Marketable Debenture G/98 UMD Date Of Maturity:15/12/2003 13.85% Unsecured Marketable Debenture G98 UMD. Date of Maturity:15/12/2003 13.85% Unsecured Marketable Debenture G98 UMD. Date of Maturity:16/12/2003 14% Unsecured Marketable DebentureG98 UMD. Date Coupon Unsecured Zero of Marketable DebentureDDB3-98 UNMD. Date of 14% Unsecured Marketable DebentureG98 UMD. Date of Unsecured 16.00% Promissory notesBO/RH/67/96-97/122UPN Unsecured 14% Date Of Maturity Marketable DebentureG98 UMD. Date of Unsecured 13.85% Marketable DebentureG98 UMD. Date of Unsecured 14.00% Marketable DebenturesG/98 UMD. Date of Maturity:07/01/2004
INE005A08YU4
INE005A08PQ0
INE005A08VG9
INE005A08VI5
INE005A08TI9
INE005A11BL5
INE005A08TH1
INE005A09AF3
INE005A08TJ7
INE005A08VH7
INE005A08OY7
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08NW3
INE005A08VJ3
14.00% Unsecured Marketable DebenturesG/98 UMD. Date of Maturity:11/01/2004 13.85% Unsecured Marketable Debenture G98 UMD. Date of Maturity:11/01/2004 13.85% Unsecured Marketable Debenture G98 UMD. Date of Maturity:13/01/2004 13.85% Unsecured Marketable Debenture G98 UMD. Date of Maturity:15/01/2004 13.85% Unsecured Marketable Debenture G98 UMD. Date of Maturity:18/01/2004 14.00% Unsecured Marketable DebenturesA/99 UMD. Date of Maturity:05/02/2004 Zero Coupon MCGDDM90 UMD(CGDDB - Capital Gains Dep discount 10.6 % Unsecured NonMarketable Debentures.NMDQ102U NMD. Date of Maturity:2510.00% Unsecured Non Marketable Debenture NMDMY402 UNMD Date Of Maturity:24/05/2004 10.50% Unsecured Non Marketable Debenture NMDQ102 UNMD Date Of Maturity: 25/05/2004 9.95% Unsecured Marketable DebenturesPNQ102 UPN. Date of Maturity:07/06/2004 Non10.35% Unsecured Marketable DebenturesNMDQ102 UNMD. Date of Maturity:15/07/2004 13.00% Unsecured Marketable Debentures D97 UMD, Date Of Maturity:26/09/2004
INE005A08VF1
INE005A08VE4
INE005A08VK1
INE005A08PV0
INE005A11BR2
INE005A08YQ2
INE005A08H68
INE005A08K14
INE005A09AH9
INE005A08QJ3
INE005A08RU8
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE090A08935
13% Unsecured Marketable Debenture E97 UMD Zero Coupon Unsecured Promissory Notes. PDDMY102 UPN. Date of Maturity: 18-10-2004 8.65% Unsecured NonMarketable Debentures.NMDQ202 UNMD. Unsecured 12.00% Marketable Debentures D97 UMD, Date Of Maturity:24/11/2004 10.00% Unsecured Marketable Debentures D97 UMD, Date Of Maturity:01/12/2004 10 % Unsecured marketable Debentures.D97UMD. Date of Maturity:02-1210 % Unsecured marketable Debentures.D97UMD. Date of Maturity:05-1212.75% Unsecured Marketable DebentureF97 UMD Date Of Maturity :22/12/2004 10%(13% upto 30.06.2002) Unsecured Marketable Debenture. D97 UMD. upto 10% (13% 30/06/2002) Unsecured Marketable Debenture D97 UMD upto 10%(13% 30.06.2002) Unsecured Marketable Debenture. D97 UMD. 9.5% Unsecured NonMarketable Debenture NMDQ302R UNMD
INE005A09AQ0
INE005A08X68
INE005A08E04
INE005A08E12
INE005A08WR4
INE005A08WQ6
INE005A08F78
INE090A08AA8
INE090A08745
INE090A08992
INE090A08588
INE090A08786
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE090A08AB6
INE005A09AZ1
10%(13% upto 30.06.2002) Unsecured Marketable Debenture. D97 UMD. 14.50% Unsecured Promissory Notes. MA/RH/07/97-98/026 UPN. Date of Maturity: 13.00% Unsecured Marketable DebenturesA98 UMD. Date of Maturity: 16/01/2005 14 % Unsecured marketable Debentures.B98UMD. Date of Maturity:06-0214.00% Unsecured Marketable Debenture B98 UMD Date Of Maturity:10/02/2005 14.25% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:10/02/2005 15.25% Unsecured Marketable DebenturesB98 UMD. Date of Maturity: Unsecured 14.25 % 11/02/2005 marketable Debentures.B98UMD. Date of Maturity:11-0214.25% Unsecured Marketable Debentures. B98 UMD
INE005A08NP7
INE005A08WS2
INE005A08OH2
INE005A08B80
INE005A08NU7
INE005A08WX2
INE005A08V29
INE005A08RQ6
INE005A08TL3
14.30% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:13/02/2005 14.25% Unsecured Marketable DebentureB98 UMD. Date of Unsecured 14.75 % marketable Debentures.B98UMD. Date of Maturity:20-0214.25% Unsecured Marketable Debentures B98 UMD
INE005A08WU8
INE090A08638
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08VB0
14.25% B98 UMD Date of Maturity: 25/02/2005 14.25% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:04/03/2005 14.25% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:10/03/2005 14.25% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:12/03/2005 14.25 % Unsecured marketable Debentures.B98UMD. Date of Maturity:13-0314.25% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:14/03/2005 14.25% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:16/03/2005 13.65% Unsecured Promissory notes-B/99 UPN Date Of Maturity :17/03/2005 11.25% DNMQ499 UNMD. Date of Maturity: 29/03/2005
INE005A08RR4
INE005A08J17
INE005A08OO8
INE005A08WT0
INE005A08I91
INE005A08B72
INE005A09BB0
INE005A08UM9
INE005A08YW0
INE005A08H43
11.25 % Unsecured NonMarketable Debentures.DNMQ499U NMD. % Unsecured Non11.25 Date of Maturity:30Marketable Debentures.DNMQ499 UNMD. Date of 11.25% Unsecured NonMarketable Debenture. DNMQ499 UNMD.
INE090A08430
INE090A08737
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08B98
INE090A08877
13.75% Unsecured Marketable Debentures C98 UMD, Date Of Maturity:21/04/2005 13.75% Unsecured Marketable Debenture C98 UMD
INE005A08D96
INE005A08Y18
13.75% Unsecured Marketable Debentures C98 UMD, Date Of Maturity:23/04/2005 13.75% Unsecured Marketable Debentures C98 UMD.
INE090A08869
13.75% Unsecured Marketable Debenture C98 UMD 13.75% Unsecured Marketable Debentures. D98 UMD 13.75% Unsecured Marketable Debentures D98 UMD, Date Of Maturity:02/06/2005 14.25% Unsecured Markeable Debenture D/98 UMD Date of Maturity:Unsecured 14.25% 11/06/2005 Marketable Debenture D/98 UMD Date Of Maturity:16/06/2005 14.25% Unsecured Markeable Debenture D/98 UMD Date of Maturity: 17/06/2005 14 % Unsecured marketable Debentures.D98UMD. Date of Maturity:18-0614.25% Unsecured Markeable Debenture D/98 UMD Date of Maturity: Unsecured 14.25% 19/06/2005 Marketable DebenturesD/98 UMD. Date of Maturity:22/06/05
INE005A08U46
INE005A08D88
INE005A08RJ1
INE005A08OS9
INE005A08PH9
INE005A08WO1
INE005A08RO1
INE005A08OK6
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08PM9
INE005A08E20
14.25% Unsecured Marketable Debenture D98 UMD Date Of Maturity:25/06/2005 14.25% Unsecured Marketable Debentures D98 UMD, Date Of Maturity:26/06/2005 14.25% Unsecured Marketable DebenturesD98 UMD. Date of Maturity:29/06/2005 14.25% Unsecured Marketable DebenturesD/98 UMD. Date of Maturity:01/07/2005Non11.25% Unsecured Marketable Debentures DNPCQ100 UNMD. Date of Maturity :01/07/2005 14.25% Unsecured Marketable DebenturesD/98 UMD. Date of Maturity:03/07/2005 11.3 % Unsecured NonMarketable Debentures.DNPCM700 UNMD. Date of 14.25% Unsecured Marketable Debenture. D98 UMD. Date of Maturity: 06-07-2005 11.25% Unsecured NonMarketable Debentures DNPCM700 UNMD. 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:14/07/2005 11.3 % Unsecured NonMarketable Debentures.DNPCM700 UNMD. Date of 14.25% Unsecured Marketable Debenture. F98 UMD. Date of Maturity:Unsecured 14.25% 15-07-2005 Marketable Debenture F98 UMD Date Of Maturity:16/07/2005
INE005A08UT4
INE005A08RI3
INE005A08J41
INE005A08OT7
INE005A08ZP1
INE005A08A16
INE005A08Y34
INE005A08RF9
INE005A08ZM8
INE005A08A32
INE005A08OR1
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08ZN6
INE005A08ZQ9
11.3 % Unsecured NonMarketable Debentures.DNPCM700 UNMD. Unsecured Non11.3 % Date of Marketable Debentures.DNPCM700 UNMD. Date of 11.20% Unsecured Non Marketable Debenture DNPCM700 UNMD Date Of Maturity:20/07/2005 11.3 % Unsecured NonMarketable Debentures.DNPCM700 UNMD. Date of 11.25% Unsecured Non Marketable Debenture DNPCM700 UNMD Date Of Maturity:21/07/2005 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:22/07/2005 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:24/07/2005 11.4% Unsecured NonMarketable Debenture. DNPCM700 UNMD. Date of Maturity: 26-07-2005 11.9% Callable Unsecured NonMarketable Debenture.DNOCQ200 11.75% Unsecured NonMarketable Debenture.DNOCQ200 CUNMD.Unsecured Non11.90% Marketable DebenturesDNOCQ200 UNMD. Date of Maturity:29/07/2005 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:30/07/2005 Non11.90% Unsecured Marketable DebenturesDNOCQ200 UNMD. Date of Maturity: 01/08/2005
INE005A08PS6
INE005A08ZO4
INE005A08C63
INE005A08QX4
INE005A08MR5
INE005A08ZR7
INE090A08257
INE090A08646
INE005A08UO5
INE005A08NZ6
INE005A08NH4
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08SS0
INE005A08VL9
14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:04/08/2005Non 11.90% Unsecured Marketable Debenture DNOCQ200 UNMD. Date of Maturity:07/08/2005 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:07/08/2005 11.90% Callable Unsecured Non Marketable Debenture DNOCQ200 CUNMD. 11.90% Callable Unsecured Non Marketable Debenture DNOCQ200 CUNMD. 14.25% Unsecured Marketable DebenturesF98 UMD. Date of Maturity:Unsecured Non11.95% 11/08/2005 Marketable DebentresM8NM5C00 UNMD. Date of Maturity : 23/08/2005 14.25% Unsecured Marketable DebenturesF98 UMD. Date of Maturity:26/08/2005 14.00% Unsecured Marketable DebenturesF98 UMD.
INE005A08G02
INE005A08E95
INE005A08X27
INE005A08OM2
INE005A08SB6
INE005A08UK3
INE005A08X50
INE090A08729
14% Unsecured Marketable Debenture F98 UMD 14.00% Unsecured Marketable DebenturesF98 UMD. Date of Maturity:Unsecured 14.25% 07/09/2005 Marketable Debentures. F98 UMD.
INE005A08C55
INE005A08Y00
INE005A08ZG0
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08RE2
INE005A08NT9
14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:10/09/2005 14.25% Unsecured Marketable DebenturesF98 UMD. Date of Maturity:Unsecured 14.25% 11/09/2005 Marketable Debenture F98 UMD Date Of Maturity:12/09/2005 12.25 % Callable Unsecured NonMarketable Debentures.M8NM5C00 12.00% Unsecured Non Marketable Debenture NMPFM800 UNMD Date Of Maturity:14/09/2005 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:14/09/2005 12.25 % Callable Unsecured NonMarketable Debentures.M8NM5C00 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:18/09/2005 Non12.15% Unsecured Marketable DebenturesM8NM5C00 UNMD. Date of Maturity: Non 12.05% Unsecured Marketable Debenture NMPFM800 UNMD Date Of Maturity:18/09/2005 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:19/09/2005 12.4 % Unsecured NonMarketable Debentures.M8NM5C00 UNMD. Date of 14% Unsecured Marketable Debenture F98 UMD
INE005A08PU2
INE005A08ZF2
INE005A08QE4
INE005A08F29
INE005A08ZI6
INE005A08RA0
INE005A08SD2
INE005A08SO9
INE005A08RD4
INE005A08ZJ4
INE090A08596
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE090A08380
14.1% Unsecured Marketable Debenture. F98 UMD. 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:26/09/2005 14 % Unsecured marketable Debentures.F98UMD. Date of Maturity:27-0912.25 % Unsecured NonMarketable Debentures.M8NM5C00 UNMD. Date of 14.25% Unsecured Marketable DebentureF98 UMD. Date of Unsecured 14.25% Marketable Debenture F98 UMD.
INE005A08F37
INE005A08XB6
INE005A08ZL0
INE005A08G51
INE005A08V60
INE005A08W36
12.05% Unsecured Marketable DebenturesM8NM5C00 UNMD. 12.15 % Unsecured NonMarketable Debentures.M8NM5C00 UNMD. Date of 10.00% Unsecured Marketable Debentures G98 UMD, Date Of Maturity:06/10/2005 10 % Unsecured marketable Debentures.G98UMD. Date of Maturity:07-1010.00% Unsecured Marketable Debentures G98 UMD, Date Of Maturity:08/10/2005 14.00% Unsecured Marketable Debentures G98 UMD
INE005A08ZK2
INE005A08E46
INE005A08XE0
INE005A08E38
INE090A08620
INE005A08ZH8
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08ST8
INE005A08QW6
14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:17/10/2005 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:26/10/2005 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:27/10/2005 12% Callable Unsecured Non-Marketable Debentures. Q3NM5C00 CUNMDUnsecured 14.25% Marketable DebentureG98 UMD. Date of Unsecured 14.25% Marketable DebenturesG98 UMD. Date of Maturity:02/11/2005 12.15 % Callable Unsecured NonMarketable Debentures.Q3NM5C00C 10% (14.4% upto 14/02/2002) Unsecured Marketable Debenture G98 UMD 12.15% Unsecured NonMarketable DebenturesQ3NM5C00 UNMD. Date of Unsecured 14.25% Marketable DebentureG98 UMD. Date of Unsecured 14.25% Marketable DebentureG98 UMD. Date of Unsecured 14.25% Marketable DebentureG98 UMD. Date (14.25% upto 10% of 14/02/2002) Unsecured Marketable Debenture G98 UMD
INE005A08RC6
INE005A08U38
INE005A08TB4
INE005A08SL5
INE005A08ZE5
INE090A08836
INE005A08MU9
INE005A08TE8
INE005A08TF5
INE005A08SY8
INE090A08752
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08ZD7
INE090A08778
11.75 % Callable Unsecured NonMarketable Debentures.Q3NM5C00C 10% (14.25% upto 14/02/2002) Unsecured Marketable Debenture G98 UMD 14.25% Unsecured Marketable DebentureG98 UMD. Date of Unsecured Non 12.00% Marketable Debenture NMC31100 UNMD Date Of Maturity: 25/11/2005 14.25% Unsecured Marketable Debentures. G98 UMD.
INE005A08TA6
INE005A08K48
INE005A08V52
INE005A08TD0
INE005A08ZC9
14.25% Unsecured Marketable DebentureG98 UMD. Date of 12 % Callable Unsecured Non-Marketable Debentures.Q3NM5C00C UNMD. Date of 12.00% Unsecured NonMarketable DebenturesNMC31100 UNMD. Date of Maturity: 04/12/2005 14.25% Unsecured Marketable DebentureG98 UMD. Date of Unsecured Non11.65% Marketable Debenture NMC31100 UNMD.
INE005A08NL6
INE005A08SZ5
INE005A08W69
INE005A08D62
INE005A08OI0
11.80% Unsecured NonMarketable Debenture NMPCQ300 UNMD Date Of Maturity: 07/12/2005 11.75% Unsecured Non Marketable Debenture NMDDEC00 UNMD Date Of Maturity:08/12/2005 10% (14.3% upto 14/02/2002) Unsecured Marketable Debenture G98 UMD
INE090A08760
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08OG4
INE005A08XC4
11.80% Unsecured NonMarketable Debenture NMPCQ300 UNMD Date Of Maturity: 13.12.2005 14 % Unsecured marketable Debentures.G98UMD. Date of Maturity:18-1214.25% Unsecured Marketable Debenture G98 UMD
INE090A08661
INE005A08XD2
INE005A08SI1
14 % Unsecured marketable Debentures.G98UMD. Date of Maturity:24-1211.90% Unsecured NonMarketable DebenturesNMIMD110 UNMD. Date of Maturity: 29/12/2005 10% (14.3% upto 14/02/2002) Unsecured Marketable Debenture G98 UMD 11.40% Unsecured NonMarketable Debenture NDQ4PC00 UNMD Date Of Maturity: 09/01/2006 10% (14.3% upto 14/02/2002) Unsecured Marketable Debenture G98 UMD 10% (14.25% upto 14/02/2002) Unsecured Marketable Debenture G98 UMD 14% Unsecured Marketable Debenture. G98 UMD.
INE090A08844
INE005A08D70
INE090A08802
INE090A08810
INE090A08232
INE090A08794
INE090A08828
10% (14.25% upto 14/02/2002) Unsecured Marketable Debenture G98 UMD 10% (14.25% upto 14/02/2002) Unsecured Marketable Debenture A99 UMD 13.75% Unsecured Marketable Debenture A99 UMD Date Of Maturity:11/03/2006
INE005A08SK7
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A09AI7
INE005A08SF7
11.10% Unsecured Promissory notesPPLMA101 UPN Date Of Maturity:12/03/2006Non 11.00% Unsecured Marketable Debenture NMDAP101 UNMD Date Of Maturity: 20/03/2006 10.80% Unsecured Non Marketable DebenturesN1DQ4PC0 UNMD. Date of Maturity:21/03/2006 13.50% Unsecured Promissory notes-B/99 UPN Date Of Maturity :23/03/2006 10.57% Unsecured NonMarketable Debenture N1DQ4PCO UNMD Date Of Maturity: 29/03/2006 13.17% Unsecured Marketable Debenture. A99 UMD.
INE005A08PW8
INE005A09AD8
INE005A08VA2
INE090A08240
INE005A08RY0
INE005A08OF6
11.00% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD Date Of Maturity: 03/04/2006 10.95% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD Date Of Maturity: 21/04/2006 10.80% Unsecured NonMarketable Debentures. NMDQ102 UNMD.
INE005A08V78
INE005A08J33
INE005A08A73
11.05% Unsecured Non Marketable Debenture NMDQ102 UNMD Date Of Maturity: 28/04/2006 11.05% Unsecured Non Marketable Debenture NMDQ102 UNMD Date Of Maturity: 30/04/2006 11.05% Unsecured Non Marketable Debenture NMDQ102 UNMD Date Of Maturity: 30/04/2006 10.75% Unsecured NonMarketable DebenturesNMDQ102 UNMD. Date of Maturity: 16/05/2006
INE005A08A73
INE005A08SH3
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A09AW8
INE005A08UW8
Zero Coupon Unsecured Promissory Notes. PDDMY102 UPN. Date of Maturity: 22/05/2006 9.92% Unsecured NonMarketable DebenturesNMDQ102 UNMD. Date of Maturity:08/06/2006 10.3% Unsecured Promissory Notes. PNQ102 UPN. Date of Maturity:Unsecured Non10.35% 19-06-2006 Marketable Debenture. NMDQ102 UNMD. Date of Maturity: 19-06-2006 14.35% Unsecured Marketable Debentures. D98 UMD 10.50% Unsecured Non Marketable Debenture NMDQ102 UNMD Date Of Maturity: 23/06/2006 10.35% Unsecured NonMarketable DebenturesNMDQ102 UNMD. Date of Maturity:25/06/2006 10.25% Unsecured NonMarketable Debenture. NMDQ102 UNMD.
INE005A09AR8
INE005A08ZZ0
INE005A08S08
INE005A08K30
INE005A08QL9
INE090A08315
INE005A08W02
10.35% Unsecured Non Marketable Debenture NMDJY101 UNMD. 10.65% Unsecured NonMarketable DebenturesNMDQ102 UNMD. Date of Maturity:15/07/2006 10.00% Unsecured NonMarketable DebenturesNMDQ202 UNMD. Date of Maturity:31/08/2006 8.95% Unsecured NonMarketable DebenturesNMDQ202 UNMD. Date of Maturity:08/09/2006 9.85% Unsecured Non Marketable Debenture NMDQ202 UNMD Date Of Maturity:23/10/2006.
INE005A08QO3
INE005A08UY4
INE005A08UV0
INE005A08PX6
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08T49
14.35% Unsecured Marketable Debentures. G98 UMD 14.35% Unsecured Marketable Debentures. G98 UMD 14.35% Unsecured Marketable Debentures. G98 UMD 14.35% Unsecured Marketable DebentureG98 UMD. Date of Unsecured 14.35% Marketable Debentures. G98 UMD
INE005A08S16
INE005A08S24
INE005A08SV4
INE005A08S65
INE005A08ZT3
INE005A08SG5
INE005A08S81
9.4% Unsecured NonMarketable Debenture. NMDE2602 UNMD. Date of Maturity: 18-12-2006 9.10% Unsecured Non Marketable Debenture NMDQ302R UNMD Date Of Maturity:21/12/2006 14.35% Unsecured Marketable Debentures. G98 UMD
INE005A08T56
14.35% Unsecured Marketable Debentures. G98 UMD 14.35% Unsecured Marketable Debentures. G98 UMD 9.7% Unsecured NonMarketable Debenture. NMDQ302R UNMD. 9.5% Unsecured NonMarketable Debenture. NMDJ0407 UNMD. Date of Maturity: 04-01-2007 8.95% Unsecured Non Marketable Debenture NMDMA03 UNMD Date Of Maturity:07/03/2007
INE005A08S73
INE090A08281
INE005A08ZU1
INE005A08I00
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08H84
INE005A08H76
9.35% Unsecured Non Marketable Debenture NMDMA03 UNMD Date Of Maturity:18/03/2007 9.50% Unsecured Non Marketable Debenture NMDAP03 UNMD Date Of Maturity:28/03/2007 14.50% Unsecured Promissory Notes. MA/RH/07/97-98/031 UPN. Date of Maturity: 11.75% Calleable Unsecured NonMarketable DebenturesDNOCQ200 12.00% Unsecured NonMarketable Debenture DNOCQ200 CUNMD Date Of Unsecured Non12.00% Marketable Debenture DNOCQ200 UNMD Date Of Maturity:08/08/2007 12.00% Callable Unsecured NonMarketable Debenture DNOCQ200 UNMD Date 12.00% Calleable Unsecured Non Marketable Debenture DNOCQ200 CUNMD 13.00% Unsecured Marketable DebentureD97 UMD Date Of Maturity Unsecured 13.50% :20/08/2007 Marketable DebentureE97 UMD Date Of Maturity :09/09/2007 13.50% Unsecured Marketable DebenturesE/97 UMD. Date of Maturity: Unsecured 13.50% 22/09/2007 Marketable DebenturesE/97 UMD. Date of Maturity: Unsecured 13.50% 23/09/2007 Marketable DebenturesE/97 UMD.
INE005A09BA2
INE005A08J58
INE005A08B49
INE005A08QI5
INE005A08UJ5
INE005A08J90
INE005A08SN1
INE005A08OQ3
INE005A08SP6
INE005A08G10
INE005A08X43
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08A08
INE005A08C06
13.50% Unsecured Marketable Debentures D97 UMD, Date Of Maturity:01/10/2007 13.00% Unsecured Marketable Debentures D97 UMD, Date Of Maturity:28/11/2007Non 12.10% Unsecured Marketable Debenture NMC31100 UNMD Date Of Maturity:05/12/2007 13.25% Unsecured Marketable DebentureD97 UMD Date Of Maturity :06/12/2007 13.5% Unsecured Marketable Debenture D97 UMD
INE005A08C48
INE005A08RV6
INE090A08604
INE005A08XL5
INE005A08WM5
11.7 % Unsecured NonMarketable Debentures.NMDJA101U NMD. Date of Maturity:0811.70% Unsecured NonMarketable DebenturesNMDJA101 UNMD. Date of Maturity: 09/01/2008 11.70% Unsecured NonMarketable DebenturesNMDJA201 UNMD. Date of Maturity: 10/01/2008 11.70% Unsecured NonMarketable DebenturesNMDJA201 UNMD. Date of Maturity: 11/01/2008 11.4% Unsecured Promissory Notes. PNSJA201 UPN. Date of Maturity:Unsecured 13.25% 12-01-2008 Marketable Debenture A98 UMD
INE005A08NK8
INE005A08WJ1
INE005A09AS6
INE090A08984
INE005A08WL7
INE090A08372
11.70% Unsecured NonMarketable DebenturesNMDJA201 UNMD. Date of Maturity: 16/01/2008 11.55% Unsecured NonMarketable Debenture. NDQ4PC00 UNMD.
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.]
INE005A08K22
INE090A08653
11.50% Unsecured Non Marketable Debenture NDQ4C100 UNMD Date Of Maturity: 27/01/2008 13.25% Unsecured Marketable Debenture.A98 UMD.
INE005A08D21
INE005A08W28
13.25% Unsecured Marketable Debentures A98 UMD, Date Of Maturity:02/02/2008Non11.20% Unsecured Marketable Debenture NDQ4PC00 UNMD.
INE005A08UF3
INE005A08ZS5
11.2% Unsecured Non Marketable DebentureN1DQ4C10 UNMD.Unsecured Non11.2% Date of Marketable Debenture. N1DQ4C10 UNMD. Date of Maturity: 02-03-2008 14.25% Unsecured Marketable Debentures. B98 UMD. 11.10% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD Date Of Maturity: 21/03/2008 11.10% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD Date Of Maturity: 22/03/2008 11.15% Unsecured NonMarketable Debentures. N1DQ4PC0 UNMD
INE005A08X92
INE005A08RZ7
INE005A08C14
INE005A08U53
INE005A08D13
INE005A08A57
11.10% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD Date Of Maturity: 27/03/2008 11.2% Unsecured NonMarketable Debenture. N1DQ4C10 UNMD. Date of Maturity: 28-03-2008 11.20% Unsecured NonMarketable Debentures. N1DQ4PC0 UNMD.
INE005A08X84
ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LIMITED [Erstwhile ICICI Ltd.] ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.)
INE005A08V94
11.20% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD. 11.2% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD Unsecured Non11.2 % Marketable Debentures.N1DQ4PC0U NMD. Date of Maturity:0711.20% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD Date Of Maturity: 09/04/2008 11.10% Unsecured NonMarketable Debenture N1DQ4PC0 UNMD Date Of Maturity: 09/04/2008 11.30% Unsecured Non Marketable Debenture NMDQ102 UNMD Date Of Maturity:24/04/2008. 11.30% Unsecured Non Marketable Debenture NMDQ102 UNMD Date Of Maturity:25/04/2008. 11.2% Unsecured NonMarketable Debenture. NMDQ102 UNMD.
INE090A08AD2
INE005A08YX8
INE005A08D39
INE005A08I83
INE005A08PY4
INE005A08I18
INE090A08323
INE005A08Q91
13% Unsecured Marketable Debentures. D97 UMD 13% Unsecured Marketable Debentures. D97 UMD 13% Unsecured Marketable Debentures. D97 UMD 12.25% Unsecured Marketable Debentures. D97 UMD 15.25% Unsecured Marketable Debentures B98 UMD.
INE005A08Q83
INE005A08Q75
INE005A08Q67
INE005A08P01
ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.)
INE005A08R09
14% Unsecured Marketable Debentures. D98 UMD 14% Unsecured Marketable Debentures. D98 UMD 14% Unsecured Marketable Debentures. D98 UMD 13.9% Unsecured Marketable Debentures. D98 UMD 13.9% Unsecured Marketable Debentures. D98 UMD 12.5% Unsecured Marketable Debentures. D97 UMD 12.5% Unsecured Marketable Debentures. D97 UMD 12.5% Unsecured Marketable Debentures. D97 UMD 12.5% Unsecured Marketable Debentures. D97 UMD 14.35% Unsecured Marketable Debentures. D98 UMD 14.35% Unsecured Marketable Debentures. D98 UMD 14.35% Unsecured Marketable Debentures. D98 UMD 14.50% Unsecured Marketable Debentures F98 UMD.
INE005A08R33
INE005A08R41
INE005A08R66
INE005A08R58
INE005A08Q59
INE005A08Q42
INE005A08Q34
INE005A08Q26
INE005A08R74
INE005A08R82
INE005A08R90
INE005A08O93
ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD (Erstwhile ICICI Ltd.) ICICI BANK LTD.
INE005A08P19
14.50% Unsecured Marketable Debenutres F98 UMD. 14.35% Unsecured Marketable Debentures. F98 UMD 14.35% Unsecured Marketable Debentures F98 UMD. 14.35% Unsecured Marketable Debentures F98 UMD. 14.35% Unsecured Marketable Debentures. F98 UMD 12.5% Unsecured Marketable DebentureF97 UMD. Date ofUnsecured 12.5% Marketable DebentureF97 UMD. Date ofUnsecured 14.1% Marketable DebentureF98 UMD. Date of Unsecured 14.05% Marketable DebentureF98 UMD. Date ofUnsecured Non 11.9% Marketable DebentureNMPC1000 UNMD. Date of 13% Unsecured Marketable DebentureE97 UMD. Date of Unsecured 13.75% Marketable DebentureC98 UMD. Date of Unsecured 14.25% Marketable DebentureD98 UMD. Date of
INE005A08R25
INE005A08P27
INE005A08P43
INE005A08R17
INE005A08TY6
INE005A08TX8
INE005A08TQ2
INE005A08TR0
INE005A08UE6
INE005A08TU4
INE005A08TM1
INE005A08TN9
INE005A08TP4
INE005A08TS8
14.25% Unsecured Marketable DebentureF98 UMD. Date of Unsecured 14.25% Marketable DebentureF98 UMD. Date of Unsecured 14.22% Marketable DebentureF98 UMD. Date of Unsecured 14.25% Marketable DebentureF98 UMD. Date ofUnsecured 13.5% Marketable Debenture E97 & D97 UMD. Date of Maturity:12/09/2007 13.5% Unsecured Marketable DebentureE97 UMD. Date ofUnsecured Non 9.70% Marketable Debenture NMDQ102 UNMD Date Of Maturity:26/06/2006 5.30% Unsecured Rated Non Convertible Redeemable Fixed Rate Bonds in the nature of 5.30% Unsecured Rated Non Convertible Redeemable Fixed Rate Bonds in the nature of 5.30% Unsecured Rated Non Convertible Redeemable Fixed Rate Bonds in the nature of 15.50% Unsecured Promissory notes-PF5/96 UPN Date Of Maturity Unsecured 15.50% :01/02/2002 Promissory notesCA/RH/04/97/127-UPN Date Of Unsecured 15.75% Maturity Promissory notesBO/RH/89/96-97/152UPN Date Of Maturity
INE005A08TT6
INE005A08TO7
INE005A08TW0
INE005A08TV2
ICICI BANK LTD. (Erstwhile ICICI Ltd.) ICICI HOME FINANCE COMPANY LIMITED ICICI HOME FINANCE COMPANY LIMITED ICICI HOME FINANCE COMPANY LIMITED ICICI LIMITED
INE005A08MJ2
INE071G08015
INE071G08023
INE071G08031
INE005A09410
ICICI LIMITED
INE005A09386
ICICI LIMITED
INE005A09683
ICICI LIMITED
INE005A09493
ICICI LIMITED
INE005A09717
15.50% Unsecured Promissory notesBO/RH/81/96-97/141UPN Date Of Maturity 15.75% Unsecured Promissory notesBO/RH/91/96-97/155UPN Date Of Maturity 15.50% Unsecured Promissory notesBO/RH/81/96-97/140UPN Date Of Maturity 15.50% Unsecured Promissory notesBO/RH/81/96-97/153UPN Date Of Maturity 12.75% Unsecured Promissory notes- BPNQ199 UPN(nonconvertible) 12.50% Unsecured Marketable DebenturesDEBQ199 UMD. Date of Maturity:06/05/2002 14.00% Unsecured Promissory notes-PF2/95 UPN Date Of Maturity Unsecured 13.95% :15/05/2002 Promissory notesCA/RH/04/97/129 UPN Date Of Unsecured 13.95% Maturity Promissory notesCA/RH/04/97/130 UPN Date Of Unsecured 13.50% Maturity Promissory notes-A97 UPN Date Of Maturity :29/05/2002 12.25% Unsecured Marketable DebenturesDEBQ199 UMD. Date of Maturity:07/06/2002 11.00% Bonds in the form of Promissory notes , B-87 (SLR Bonds) PN, Date Of Unsecured 13.50% Maturity Promissory notesMA/RH/04/97-98/013UPN Date Of Maturity
ICICI LIMITED
INE005A09394
ICICI LIMITED
INE005A09402
ICICI LIMITED
INE005A09089
ICICI LIMITED
INE005A08HX3
ICICI LIMITED
INE005A09451
ICICI LIMITED
INE005A09626
ICICI LIMITED
INE005A09634
ICICI LIMITED
INE005A09824
ICICI LIMITED
INE005A08GV9
ICICI LIMITED
INE005A09899
ICICI LIMITED
INE005A09725
ICICI LIMITED
INE005A08GW7
ICICI LIMITED
INE005A09857
12.25% Unsecured Marketable DebenturesDEBQ199 UMD. Date of Maturity: 23/06/2002form 7.75% Bonds in the of Promissory notes , B82 (SLR Bonds) PN, Date Of Maturity :23/06/2002 12.25% Unsecured Marketable DebenturesDEBQ199 UMD. Date of Maturity:Unsecured 14.35% 24/06/2002 Promissory notesBO/RY/116/96-97/18UPN Date Of Maturity 12.25% Unsecured Marketable DebenturesDEBQ199 UMD. Date of Maturity: Unsecured 12.25% 25/06/2002 Marketable DebenturesDEBQ199 UMD. Date of Maturity:Unsecured 13.95% 26/06/2002 Promissory notesBO/RY/119/96-97/191 UPN Date Of Maturity 12.25% Unsecured Marketable DebenturesDEBQ199 UMD. Date of Maturity:Unsecured 13.95% 28/06/2002 Promissory notesBO/RY/117/96-97/189UPN Date Of Maturity 12.50% Unsecured Marketable DebenturesD97 UMD. Date of Maturity:03/09/2002 12.05% Unsecured Marketable DebenturesDEBQ299 UMD. Date of Maturity:Unsecured 12.50% 16/09/2002 Marketable DebentureE97UMD Date Of Maturity Unsecured 16.00% :19/09/2002 Promissory notesBO/RH/03/95-96/031UPN Date Of Maturity
ICICI LIMITED
INE005A08GX5
ICICI LIMITED
INE005A09352
ICICI LIMITED
INE005A08GY3
ICICI LIMITED
INE005A08GZ0
ICICI LIMITED
INE005A09428
ICICI LIMITED
INE005A08HA1
ICICI LIMITED
INE005A09733
ICICI LIMITED
INE005A08HM6
ICICI LIMITED
INE005A08HB9
ICICI LIMITED
INE005A08DK9
ICICI LIMITED
INE005A09816
ICICI LIMITED
INE005A08LX5
ICICI LIMITED
INE005A08DM5
12.50% Unsecured Marketable Debentures E97 UMD, Date Of Maturity:22/09/2002 12.50% Unsecured Marketable DebentureE97UMD Date Of Maturity Unsecured 14.00% :25/09/2002 Marketable Debenture F98 UMD Date Of Maturity:25/09/2002 12.05% Unsecured Marketable DebenturesDEBQ299 UMD. Date of Maturity: Unsecured 12.05% 27/09/2002 Marketable DebenturesDEBQ299 UMD. Date of Maturity: Unsecured 12.05% 28/09/2002 Marketable DebenturesDEBQ299 UMD. Date of Maturity:Bonds in the 11.00% 29/09/2002 form of Promissory notes , C-87 (SLR Bonds) PN, Date Of Maturity 12.05% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity: Unsecured 12.05% 28/10/2002 Marketable DebenturesDEBQ399 UMD. Date of Maturity: Unsecured 12.05% 29/10/2002 Marketable DebenturesDEBQ399 UMD. Date of Maturity:02/11/2002 12.05% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:03/11/2002 12.05% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:05/11/2002 Non12.25% Unsecured Marketable DebenturesDNMQ399 UNMD. Date of Maturity:05/11/02
ICICI LIMITED
INE005A08LF2
ICICI LIMITED
INE005A08HC7
ICICI LIMITED
INE005A08HD5
ICICI LIMITED
INE005A08HE3
ICICI LIMITED
INE005A09931
ICICI LIMITED
INE005A08HF0
ICICI LIMITED
INE005A08HG8
ICICI LIMITED
INE005A08HZ8
ICICI LIMITED
INE005A08IA9
ICICI LIMITED
INE005A08IB7
ICICI LIMITED
INE005A08LB1
ICICI LIMITED
INE005A08KQ1
ICICI LIMITED
INE005A08IC5
12.25% Unsecured Marketable DebenturesD/97 UMD. Date of Maturity:05/11/02 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:17/11/2002 12.00% Unsecured Marketable Debenture D/97 UMD Date Of Maturity:18/11/2002 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:19/11/2002 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:20/11/2002 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:24/11/2002 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:25/11/2002 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:26/11/2002 13.25% Unsecured Marketable DebentureD97 UMD Date Of Maturity :12/12/2007 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:27/11/2002 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:29/11/2002 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:30/11/2002 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:01/12/2002
ICICI LIMITED
INE005A08LH8
ICICI LIMITED
INE005A08ID3
ICICI LIMITED
INE005A08IE1
ICICI LIMITED
INE005A08IF8
ICICI LIMITED
INE005A08IG6
ICICI LIMITED
INE005A08IH4
ICICI LIMITED
INE005A08DO1
ICICI LIMITED
INE005A08JQ3
ICICI LIMITED
INE005A08II2
ICICI LIMITED
INE005A08HY1
ICICI LIMITED
INE005A08IJ0
ICICI LIMITED
INE005A08IK8
ICICI LIMITED
INE005A08IL6
12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:02/12/2002 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:04/12/2002 12.85% Unsecured Marketable Debentures D/97 UMD, Date Of Maturity:04/12/02 12.00% Unsecured Marketable DebenturesDEBQ399 UMD. Date of Maturity:06/12/2002 12.05% Unsecured Marketable DebenturesDNMQ399 UMD. Date of Maturity:18/12/2002 12.75% Unsecured Marketable Debentures A98 UMD, Date Of Maturity:28/01/2003 11.00% Bonds in the form of Promissory notes , A-88 (SLR Bonds) PN, Date Of Unsecured 14.50% Maturity Marketable Debentures B/98 UMD, Date Of Maturity:Unsecured 14.00% 09.02.2003 Marketable Debentures B/98 UMD, Date Of Maturity:Unsecured 14.75% 19.02.2003 Marketable Debentures B/98 UMD, Date Of Maturity:Unsecured 14.75% 20.02.2003 Marketable Debentures B98 UMD, Date Of Maturity:24/02/2003 Floating Rate (CRISIL GOI) GOINM02 NMFRBD . Date of Mturity: 01/03/2003Date 15.00% B98 UMD of Maturity: 09/03/2003
ICICI LIMITED
INE005A08KP3
ICICI LIMITED
INE005A08IM4
ICICI LIMITED
INE005A08IN2
ICICI LIMITED
INE005A08HP9
ICICI LIMITED
INE005A09873
ICICI LIMITED
INE005A08JU5
ICICI LIMITED
INE005A08JW1
ICICI LIMITED
INE005A08JX9
ICICI LIMITED
INE005A08HQ7
ICICI LIMITED
INE005A10012
ICICI LIMITED
INE005A08LP1
ICICI LIMITED
INE005A08JV3
ICICI LIMITED
INE005A08JY7
15.00% Unsecured Marketable Debentures B/98 UMD, Date Of Maturity:Unsecured 14.00% 16.03.2003 Marketable Debentures B/98 UMD, Date Of Maturity:Unsecured 15.20% 17.03.2003 Marketable Debentures B/98 UMD, Date Of Maturity:Unsecured 15.20% 18.03.2003 Marketable Debentures B98 UMD, Date Of Maturity:21/03/2003 15.00% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:24/03/2003 15.00% Unsecured Marketable Debentures B/98 UMD, Date Of Maturity:Unsecured 15.00% 25.03.2003 Marketable Debentures B/98 UMD, Date Of Maturity:Unsecured 16.00% 30.03.2003 Promissory notesBO/RH/32/95-96/071UPN Date Of Maturity 13.60% Unsecured Marketable DebenturesD/98 UMD. Date of Maturity:04/05/2003 13.60% Unsecured Marketable DebenturesD/98 UMD. Date of Maturity:05/05/2003 Date 13.50% D/98 UMD of Maturity: 08/05/2003
ICICI LIMITED
INE005A08JZ4
ICICI LIMITED
INE005A08HS3
ICICI LIMITED
INE005A08HT1
ICICI LIMITED
INE005A08KA5
ICICI LIMITED
INE005A08KB3
ICICI LIMITED
INE005A09238
ICICI LIMITED
INE005A08KE7
ICICI LIMITED
INE005A08KF4
ICICI LIMITED
INE005A08EE0
ICICI LIMITED
INE005A09253
ICICI LIMITED
INE005A09279
16.00% Unsecured Promissory notesBO/RH/32/95-96/073UPN Date Of Maturity 16.00% Unsecured Promissory notesBO/RH/32/95-96/075UPN Date Of Maturity
ICICI LIMITED
INE005A09261
ICICI LIMITED
INE005A09998
16.00% Unsecured Promissory notesBO/RH/32/95-96/076UPN Date Of Maturity Unsecured Promissory notes-BO/DY/32/9596/077 & 79 UPN Date Of Maturity 06-06-2003 13.55% Unsecured Marketable DebenturesD/98 UMD. Date of Maturity:10/06/2003 16.00% Unsecured Promissory notesBO/RH/34/95-96/081UPN Date Of Maturity Unsecured Promissory notes-BO/DY/32/9596/078 UPN Date Of Maturity 12-06-2003Date 13.90% D/98 UMD of Maturity: 15/06/2003
ICICI LIMITED
INE005A08KD9
ICICI LIMITED
INE005A09287
ICICI LIMITED
INE005A09AA4
ICICI LIMITED
INE005A08EF7
ICICI LIMITED
INE005A08KG2
ICICI LIMITED
INE005A08EG5
13.55% Unsecured Marketable DebenturesD/98 UMD. Date of Maturity: D/98 UMD Date 13.70% 15/06/2003 of Maturity: 20/06/2003
ICICI LIMITED
INE005A08KH0
ICICI LIMITED
INE005A08KI8
14.30% Unsecured Marketable Debenture F98 UMD Date Of Maturity:06/07/2003 14.30% Unsecured Marketable Debenture F98 UMD Date Of Maturity:16/07/2003 13.75% Unsecured Marketable Debenture F98 UMD Date Of Maturity:20/07/2003 13.75% Unsecured Marketable Debenture F98 UMD Date Of Maturity:22/07/2003 14.30% Unsecured Marketable Debenture F98 UMD Date Of Maturity:22/07/2003
ICICI LIMITED
INE005A08EN1
ICICI LIMITED
INE005A08EJ9
ICICI LIMITED
INE005A08KJ6
ICICI LIMITED
INE005A08EM3
ICICI LIMITED
INE005A08DT0
14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:28/07/2003 13.75% Unsecured Marketable Debenture F98 UMD Date Of Maturity:Unsecured 14.17% 03.08.2003 Marketable Debenture F98 UMD Date Of Maturity:03/08/03 13.75% Unsecured Marketable Debenture F98 UMD Date Of Maturity:04.08.2003 13.75% Unsecured Marketable Debenture F98 UMD Date Of Maturity:Unsecured 14.25% 05.08.2003 Marketable Debenture F98 UMD Date Of Maturity:05/08/2003 14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:06/08/2003 13.85% Unsecured Marketable Debenture G/98 UMD Date Of Maturity:24.10.2003 14.00% Unsecured Marketable Debentures G/98 UMD, Date Of Maturity:30/10/2003 14.00% Unsecured Marketable Debentures G/98 UMD, Date Of Maturity:05/11/2003 11.80% Unsecured Promissory notesPNPC1000 UPN Date Of Maturity Unsecured 12.75% :06/11/2003 Marketable DebentureIFB/98 Date Of Maturity:Unsecured 14.00% 06/11/2003 Marketable Debentures G/98 UMD, Date Of Maturity:23/11/2003
ICICI LIMITED
INE005A08KZ2
ICICI LIMITED
INE005A08DW4
ICICI LIMITED
INE005A08DU8
ICICI LIMITED
INE005A08EI1
ICICI LIMITED
INE005A08IZ6
ICICI LIMITED
INE005A08DV6
ICICI LIMITED
INE005A08KK4
ICICI LIMITED
INE005A08KL2
ICICI LIMITED
INE005A09584
ICICI LIMITED
INE005A08GL0
ICICI LIMITED
INE005A08KN8
ICICI LIMITED
INE005A08CT2
ICICI LIMITED
INE005A08GM8
11.50% privately placed fully unsecured nonmarketable debentures (ICICI NMDDEC00 14.10% Unsecured Marketable DebenturesG/98 UMD. Date of Maturity:29/12/2003 14.10% Unsecured Marketable DebenturesG/98 UMD. Date of Maturity:30/12/2003 14.10% Unsecured Marketable DebenturesG/98 UMD. Date of Maturity:30/12/2003 14.10% Unsecured Marketable DebenturesG/98 UMD. Date of Maturity:04/01/2004 9.00% (Taxfree)Unsecured Promissory notes-2 UPN Date Of Maturity 14.10% Unsecured Marketable DebenturesG/98 UMD. Date of Maturity:07/01/2004 Zero Coupon Unsecured Promissory notesPNDD0101 UPN. Date of redemption: 08/01/2004 Zero Coupon Unsecured Non-marketable Debentures-NDDJA101 UNMD Date Of Maturity 14.10% Unsecured Marketable DebenturesG/98 UMD. Date of Maturity:11/01/2004 14.10% Unsecured Marketable DebenturesG/98 UMD. Date of Maturity:19/01/2004 14.10% Unsecured Marketable DebenturesG/98 UMD. Date of Maturity:22/01/2004 14.10% Unsecured Marketable DebenturesG/98 UMD. Date of Maturity:25/01/2004
ICICI LIMITED
INE005A08GN6
ICICI LIMITED
INE005A08GN6
ICICI LIMITED
INE005A08GO4
ICICI LIMITED
INE005A09337
ICICI LIMITED
INE005A08GP1
ICICI LIMITED
INE005A09766
ICICI LIMITED
INE005A08KR9
ICICI LIMITED
INE005A08GQ9
ICICI LIMITED
INE005A08GR7
ICICI LIMITED
INE005A08GS5
ICICI LIMITED
INE005A08GT3
ICICI LIMITED
INE005A08KM0
ICICI LIMITED
INE005A08GU1
14.10% Unsecured Marketable Debentures G/98 UMD, Date Of Maturity:28/01/2004 14.10% Unsecured Marketable DebenturesG/98 UMD. Date of Maturity:29/01/2004 14.10% Unsecured Marketable DebenturesA/99 UMD. Date of Maturity:03/02/2004 14.00% Unsecured Marketable Debenture A99 UMD Date Of Maturity:04/02/2004 14.10% Unsecured Marketable DebenturesA/99 UMD. Date of Maturity:05/02/2004 14.10% Unsecured Marketable DebenturesA/99 UMD. Date of Maturity:06/02/2004 14.10% Unsecured Marketable DebenturesA/99 UMD. Date of Maturity:09/02/2004 14.00% Unsecured Marketable DebenturesA/99 UMD. Date of Maturity:18/02/2004 14.00% Unsecured Marketable DebenturesA/99 UMD. Date of Maturity:19/02/2004 14.00% Unsecured Marketable DebentureA99 UMD Date Of Maturity :22/02/2004 14.00% Unsecured Marketable DebenturesA/99 UMD. Date of Maturity:24/02/2004 14.00% Unsecured Marketable DebenturesA/99 UMD. Date of Maturity:27/02/2004 13.75% Unsecured Promissory notes-B99 UPN Date Of Maturity :03/03/2004
ICICI LIMITED
INE005A08HH6
ICICI LIMITED
INE005A08FQ1
ICICI LIMITED
INE005A08HI4
ICICI LIMITED
INE005A08JR1
ICICI LIMITED
INE005A08HJ2
ICICI LIMITED
INE005A08HK0
ICICI LIMITED
INE005A08JS9
ICICI LIMITED
INE005A08DJ1
ICICI LIMITED
INE005A08JT7
ICICI LIMITED
INE005A08HL8
ICICI LIMITED
INE005A09576
ICICI LIMITED
INE005A08GG0
ICICI LIMITED
INE005A08GH8
10.95% Unsecured Non Marketable Debenture NMDAP101 UNMD Date Of Maturity: 11/04/2004 10.70% Unsecured Non Marketable Debenture NMDAP101 UNMD Date Of Maturity: 15/04/2004 Zero Coupon Unsecured Promissory notesPDDMY102 UPN(nonconvertible) Unsecured Zero Coupon Promissory notesPDDMY102 UPN. Difference in Unsecured Zero Coupon Put/Call Non-marketable Debentures-NDMY901 UNMD Date Of Maturity Zero Coupon Unsecured Promissory notesPDMAY301 UPN Date Of Maturity PDMAY302 UPN 10.30% :24/05/2004 (Unsecured Promissory Notes) (Date of NMDMY801 10.25% Maturity : 25th UNMD (Unsecured Non Marketable Debentures) (Date of Unsecured Non 10.00% Maturity : 31st Marketable Debenture NMDQ102 UNMD Date Of Maturity:18.06.2004 Zero Coupon Unsecured Promissory notesPDSMF005 UPN Date Of Maturity Unsecured 13.50% :12/07/2004 Promissory notesBO/RH/125/96-97/197UPN Coupon Unsecured Zero Date Of Maturity Promissory notesPDDMY102 UPN. Date of Maturity: 10/09/2004 10% NMSE2502 UNMD (Unsecured Non Marketable Debentures) (Date of Maturity : 24th
ICICI LIMITED
INE005A09071
ICICI LIMITED
INE005A09659
ICICI LIMITED
INE005A08KS7
ICICI LIMITED
INE005A09782
ICICI LIMITED
INE005A09642
ICICI LIMITED
INE005A08FK4
ICICI LIMITED
INE005A08FP3
ICICI LIMITED
INE005A09295
ICICI LIMITED
INE005A09808
ICICI LIMITED
INE005A09832
ICICI LIMITED
INE005A08FE7
ICICI LIMITED
INE005A08KW9
ICICI LIMITED
INE005A08HW5
13.00% Unsecured Marketable Debentures E97 UMD, Date Of Maturity:24/09/2004 13.00% Unsecured Marketable Debentures E97 UMD, Date Of Maturity:25/09/2004 ICICI August 2001 9.00% Tax Saving Bond - Option I
ICICI LIMITED
INE005A08CO3
ICICI LIMITED
INE005A08DN3
ICICI LIMITED
INE005A08CV8
13.00% Unsecured Marketable DebentureD97 UMD Date Of Maturity :29/09/2004 ICICI September 2001 9.00% Tax Saving Bond Option I
ICICI LIMITED
INE005A08CZ9
ICICI September 2001 9.50% Regular Income Bond - Option IVI 9.43% Unsecured NonMarketable Debenture NMDD2602 UNMD Date Of Maturity:05/12/2004 12.75% Unsecured Marketable DebentureF97 UMD Date Of Maturity :12/12/2004 13.25% Unsecured Marketable DebenturesD97 UMD. Date of Maturity: 19/12/2004 ICICI November 2001 9.00% Tax Saving Bond Option I
ICICI LIMITED
INE005A08FB3
ICICI LIMITED
INE005A08IX1
ICICI LIMITED
INE005A08KC1
ICICI LIMITED
INE005A08EQ4
ICICI LIMITED
INE005A08FN8
ICICI LIMITED
INE005A08LD7
NZBNHB11 UNMD (Unsecured Non Marketable Debentures) (DateCoupon Unsecured Zero of Maturity : 01st Deep Discount Bonds in the nature of DebentureNZBNHB11UNMD Date 9.5% NMDJ1503 UNMD (Unsecured Non Marketable Debentures) (Date of Maturity : 08th
ICICI LIMITED
INE005A08FL2
ICICI LIMITED
INE005A08FS7
ICICI LIMITED
INE005A08HO2
9.55% Unsecured Non Marketable Debenture NMJ2203D UNMD Date Of Maturity:22/01/2005 13.00% Unsecured Marketable Debentures A98 UMD, Date Of Maturity:22/01/2005 ICICI December 2001 9.00% Tax Saving Bond Option I
ICICI LIMITED
INE005A08FG2
ICICI LIMITED
INE005A11978
ICICI August 2001 Tax Saving Bond - Option II (Deep Discount) 14.00% Unsecured Marketable Debenture B98 UMD Date Of Maturity:11/02/2005 14.76% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:14/02/2005 14.25% B98 UMD Date of Maturity: 17/02/2005
ICICI LIMITED
INE005A08LG0
ICICI LIMITED
INE005A08HU9
ICICI LIMITED
INE005A08FZ2
ICICI LIMITED
INE005A08LO4
14.25% ICICI B98 UMD Date of Maturity: 18/02/2005 8.35% Unsecured Non Marketable Debenture NMDF1903 UNMD Date Of Maturity: 19/02/2005 ICICI January 2002 9.00% Tax Saving Bond I
ICICI LIMITED
INE005A08GJ4
ICICI LIMITED
INE005A08FT5
ICICI LIMITED
INE005A08LQ9
14.25% B98 UMD Date of Maturity: 27/02/2005 ICICI September 2001 Tax Saving Bond - Option II (Deep Discount) 14.25% Unsecured Marketable Debentures B98 UMD, Date Of Maturity:20/03/2005
ICICI LIMITED
INE005A11AD4
ICICI LIMITED
INE005A08HR5
ICICI LIMITED
INE005A08LZ0
ICICI LIMITED
INE005A08JF6
8.60% Unsecured Non Marketable Debenture NMDQ402 UNMD Date Of Maturity:26/03/2005 ICICI February 2002 9.00% Tax Saving Bond I
ICICI LIMITED
INE005A11AJ1
ICICI November 2001 Tax Saving Bond - Option II (Deep Discount) ICICI December 2001 Tax Saving Bond - Option II (Deep Discount) 14.25% Unsecured Marketable DebenturesD/98 UMD. Date of Maturity:18/06/05 Tax ICICI January 2002 Saving Bond II (Deep Discount )
ICICI LIMITED
INE005A11AP8
ICICI LIMITED
INE005A08KT5
ICICI LIMITED
INE005A11AV6
ICICI LIMITED
INE005A08HN4
ICICI LIMITED
INE005A08IY9
14.25% Unsecured Marketable DebenturesD98 UMD. Date of Maturity:02/07/2005 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:08/07/2005 14.25% Unsecured Marketable Debenture D98 UMD
ICICI LIMITED
INE005A08O51
ICICI LIMITED
INE005A08EH3
ICICI LIMITED
INE005A08JA7
14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:13/07/2005 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:20/07/2005 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:21/07/2005 11.25% Calleable Unsecured NonMarketable Debentures DNOCQ200 CUNMD
ICICI LIMITED
INE005A08EO9
ICICI LIMITED
INE005A08O36
ICICI LIMITED
INE005A11BB6
ICICI February 2002 Tax Saving Bond III (Deep Discount ) 14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:28/08/05 14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:04/09/2005 14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:05/09/2005 14.00% Unsecured Marketable Debentures F98 UMD.
ICICI LIMITED
INE005A08LA3
ICICI LIMITED
INE005A08JD1
ICICI LIMITED
INE005A08JC3
ICICI LIMITED
INE005A08O44
ICICI LIMITED
INE005A08IT9
ICICI LIMITED
INE005A08JB5
12.00% Unsecured Non Marketable Debenture NMPFM800 UNMD Date Of Maturity:06/09/2005 14.00% Unsecured Marketable Debenture F98 UMD Date Of Maturity:11/09/2005Non 12.00% Unsecured Marketable Debenture NMPFM800 UNMD Date Of Maturity:11/09/2005 14.25% F98 UMD Date of Maturity: 16/09/2005
ICICI LIMITED
INE005A08IU7
ICICI LIMITED
INE005A08LR7
ICICI LIMITED
INE005A08LE5
ICICI LIMITED
INE005A09329
14.25% Unsecured Marketable Debenture F98 UMD Date Of Maturity:25/09/2005 Zero Coupon Unsecured Promissory notesPNDD1000 UPN(Deep Discount Unsecured Of 14.00% Bonds) Date Marketable DebenturesG/98 UMD. Date of Maturity:Unsecured 10.00% 31/10/2005 Promissory notesSPPC1000 UPN Date Of Maturity :01/11/2005
ICICI LIMITED
INE005A08LN6
ICICI LIMITED
INE005A09519
ICICI LIMITED
INE005A08HV7
ICICI LIMITED
INE005A09592
14.00% Unsecured Marketable Debentures G/98 UMD, Date Of Maturity:11/11/2005 11.90% Unsecured Promissory notesPNPL2000 UPN Date Of Maturity Unsecured Non 12.00% :17/11/2005 Marketable Debenture NMC31100 UNMD Date Of Maturity:29/11/2005 11.40% Unsecured NonMarketable Debenture NMPCQ300 Date Of Maturity:Unsecured 11.80% 30.11.2005 Promissory notesPPLBOP00 UPN Date Of Maturity :30/11/2005 12% NMC31100 UNMD (Unsecured Non Marketable Debentures) (Date of Unsecured Non 12.00% Maturity : 30th Marketable Debenture NMC31100 UNMD Date Of Maturity:01/12/2005 11.75% Unsecured Promissory notes PMAPL120 UPN- Date Of Maturity: 08.12.2005 11.25% Unsecured Promissory notes PMAPL011 UPN- Date Of Maturity: 09.01.2006 11.45% Unsecured Non Marketable Debenture NDQ4C100 UNMD Date Of Maturity:UMD ICICI G/98 16/01/2006
ICICI LIMITED
INE005A08LS5
ICICI LIMITED
INE005A08DR4
ICICI LIMITED
INE005A09543
ICICI LIMITED
INE005A08FO6
ICICI LIMITED
INE005A08IW3
ICICI LIMITED
INE005A09444
ICICI LIMITED
INE005A09436
ICICI LIMITED
INE005A08GF2
ICICI LIMITED
INE005A08EZ5
ICICI LIMITED
INE005A08CU0
14.25% G/98 Unsecured Marketable Debentures 11.20% Unsecured Non Marketable Debenture NDQ4PC00 UNMD Date Of Maturity:17.02.2006
ICICI LIMITED
INE005A08GA3
ICICI LIMITED
INE005A11994
ICICI August 2001 Money Multiplier Bond - Option I (Deep Discount) 13.42% Unsecured Marketable DebenturesA/99 UMD. Date of Maturity:31/03/2006 10.70% privately placed fully unsecured nonmarketable debentures (ICICI NMDAP103 10.75% Unsecured Marketable Debenture NIDQ4PCO Date Of Maturity: 12.04.2006 ICICI September 2001 Money Multiplier Bond Option I (Deep Discount)
ICICI LIMITED
INE005A08JE9
ICICI LIMITED
INE005A08CS4
ICICI LIMITED
INE005A08DS2
ICICI LIMITED
INE005A11AF9
ICICI LIMITED
INE005A09345
ICICI LIMITED
INE005A08EX0
10.25% Unsecured Promissory notesPNMY902 UPN Date Of Maturity Unsecured Non10.25% :31/05/2006 Marketable Debenture NMDJU101 UNMD Date Of Maturity:01/06/2006 10.00% Unsecured Promissory notesPNJU1301 UPN Date Of Maturity :13/06/2006 9.35% Unsecured Non Marketable Debenture NMDJY101 UNMD Date Of Maturity: 19/07/2006 ICICI November 2001 Money Multiplier Bond Option I (Deep Discount)
ICICI LIMITED
INE005A09303
ICICI LIMITED
INE005A08GI6
ICICI LIMITED
INE005A11AL7
ICICI LIMITED
INE005A11AX2
ICICI January 2002 Money Multiplier Bond Option I (Deep Discount) NSE Mibor + 150 Bps Unsecured Promissory notes-PNAGF202 UPN Date Of Maturity 9.40% ICICI August 2001 Unsecured Fully Non Convertible Bonds in the nature of Non Marketable
ICICI LIMITED
INE005A09550
ICICI LIMITED
INE005A08CN5
ICICI LIMITED
INE005A09568
ICICI LIMITED
INE005A11AR4
NSE Mibor + 150 Bps Unsecured Promissory notes-PNAGF232 UPN Date Of Maturity 2001 ICICI December Money Multiplier Bond Option I (Deep Discount)
ICICI LIMITED
INE005A09790
ICICI LIMITED
INE005A08CP0
Zero Coupon Unsecured Promissory notesPNADDB02 UPN Date Of Maturity :31/08/06 9.25% ICICI August 2001 Regular Income Bond Option I
ICICI LIMITED
INE005A08CQ8
ICICI August 2001 9.50% Regular Income Bond Option II ICICI August 2001 9.75% Regular Income Bond Option III ICICI September 2001 9.25% Regular Income Bond - Option I ICICI September 2001 9.50% Regular Income Bond - Option II ICICI September 2001 9.75% Regular Income Bond - Option III Zero Coupon Unsecured Promissory notesPNN0DD02 UPN (LOA) Date Of Maturity + 160 Daily NSE Mibor bps Fully Unsecured Promissory NotesPNNOFL02Unsecured NSE Mibor UPN (LOA) Promissory notesPNN0FL02 UPN Date Of Maturity :29/11/2006 Zero Coupon Unsecured Promissory notesPNN0DD02 UPN Date Of Maturity :29/11/2006
ICICI LIMITED
INE005A08CR6
ICICI LIMITED
INE005A08CW6
ICICI LIMITED
INE005A08CX4
ICICI LIMITED
INE005A08CY2
ICICI LIMITED
INE005A09527
ICICI LIMITED
INE005A09535
ICICI LIMITED
INE005A09600
ICICI LIMITED
INE005A09618
ICICI LIMITED
INE005A08IR3
ICICI LIMITED
INE005A08IP7
9.15% Unsecured Non Marketable Debenture NMDQ302R UNMD Date Of Maturity:05/12/2006 9.05% Unsecured Non Marketable Debenture NMDQ302R UNMD Date Of Maturity:07/12/2006 9.25% Unsecured Non Marketable Debenture NMDQ302R UNMD Date Of Maturity:27.12.2006 9.05% Unsecured Promissory notesPNQ302R UPN Date Of Maturity :29/12/2006 9.50% Unsecured Non Marketable Debenture NMDQ302R UNMD Date Of Maturity:01.01.2007 9.35% Unsecured Non Marketable Debenture NMDQ302R UNMD Date Of Maturity:08.01.2007 9.45% Unsecured Non Marketable Debenture NMDQ302R UNMD Date Of Maturity:17/01/2007 9.20% Unsecured Promissory notesPNQ302R UPN Date Of Maturity :22/01/2007 9.25% PNJA2403 UPN (Unsecured Promissory Notes) (Date January 2002 ICICI of Maturity : 24th 9.50% Regular Income Bond - Option IV
ICICI LIMITED
INE005A08GC9
ICICI LIMITED
INE005A09709
ICICI LIMITED
INE005A08GD7
ICICI LIMITED
INE005A08GB1
ICICI LIMITED
INE005A08IQ5
ICICI LIMITED
INE005A09758
ICICI LIMITED
INE005A09675
ICICI LIMITED
INE005A08FX7
ICICI LIMITED
INE005A08JM2
ICICI February 2002 9.25% Regular Income Bond Option III 11.05% Unsecured Promissory notes PN050501 UPN- Date Of Maturity: 05/05/2007 12% Calleable Unsecured NonMarketable Debentures. DNOCQ200 CUNMD
ICICI LIMITED
INE005A09477
ICICI LIMITED
INE005A086Z3
ICICI LIMITED
INE005A08FC1
ICICI LIMITED
INE005A11986
10.00% Unsecured Non Marketable Debenture NMDQ202 UNMD Date Of Maturity:10/09/2007 ICICI August 2001 Tax Saving Bond - Option III (Deep Discount)
ICICI LIMITED
INE005A08JG4
ICICI February 2002 9.25% Tax Saving Bond II 14.20% Unsecured Marketable Debenture F98 UMD Date Of Maturity:29/07/2003 NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR + 20 bps Unsecured Redeemable Non-Convertible Debentures. Letter of NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment.
ICICI LIMITED (Erstwhile INE005A08MD5 ICICI Ltd.) ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED INE849D08516
INE849D08524
INE849D08532
INE849D08540
INE849D08557
INE849D08565
INE849D08573
INE849D08581
INE849D08599
ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED
ICICI SECURITIES AND FINANCE COMPANY LIMITED ICICI SECURITIES AND FINANCE COMPANY LIMITED ICICI SECURITIES AND FINANCE COMPANY LIMITED ICICI SECURITIES AND FINANCE COMPANY LIMITED ICICI SECURITIES AND FINANCE COMPANY LIMITED ICICI SECURITIES AND FINANCE COMPANY LIMITED ICICI SECURITIES AND FINANCE COMPANY LIMITED
INE849D08BE1
INE849D08BF8
NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR + 20 bps Unsecured Redeemable Non-convertible Debentures. Letter of NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured
Redeemable Nonconvertible Debentures. Letter of Allotment.Date of NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date of Reuters MIBOR Unsecured NCD . Date Of Maturity:10/10/2002 Letter Of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date of NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date of NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date of NSE MIBOR + 20 BP. Unsecured Redeemable Non-convertible Debentures. Letter of
INE849D08BL6
INE849D08BO0
INE849D08BP7
INE849D08BQ5
INE849D08052
INE849D08060
INE849D08011
INE849D08029
INE849D08037
INE849D08045
INE849D08078
ICICI SECURITIES AND FINANCE COMPANY LIMITED ICICI SECURITIES AND FINANCE COMPANY LIMITED ICICI SECURITIES AND FINANCE COMPANY LIMITED ICICI SECURITIES AND FINANCE COMPANY LIMITED ICICI SECURITIES AND FINANCE COMPANY LIMITED ICICI SECURITIES AND FINANCE COMPANY LIMITED
INE849D08086
INE849D08094
INE849D08102
INE849D08110
INE849D08128
INE849D08136
ICICI SECURITIES AND INE849D08151 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08144 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08169 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08177 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08185 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08193 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08201 FINANCE COMPANY LIMITED
NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date of NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date of NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date of NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date of NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date of NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date of
NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR + 20 bps Unsecured Redeemable Non-convertible Debentures. Letter of 6.05%. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date
ICICI SECURITIES AND INE849D08219 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08227 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08235 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08243 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08250 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08284 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08268 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08276 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08292 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08300 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08318 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08326 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08334 FINANCE COMPANY LIMITED
Reuters MIBOR Unsecured NCD. Date Of Maturity: 18/02/2003 Letter Of Allotment. NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date 5.95% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date 7.00% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date 6.05% Unsecured Redeemable Nonconvertible Debentures. Letter of Mibor +10 bps Reuters Allotment.Date Unsecured Redeemable Non-convertible Debentures. Letter of
ICICI SECURITIES AND INE849D08342 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08359 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08367 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08375 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08391 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08383 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08409 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08417 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08425 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08433 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08441 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08458 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08466 FINANCE COMPANY LIMITED
6.10% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date 6.00% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR + 20 bps Unsecured Redeemable Non-convertible Debentures. Letter of NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.Date NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment NSE MIBOR. Unsecured Redeemable NonConvertible Debentures Letter of Allotment Reurters MIBOR. Unsecured Redeemable Non-Convertible Debentures Letter of NSE MIBOR. Unsecured Redeemable NonConvertible Debentures Letter of Allotment
ICICI SECURITIES AND INE849D08474 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08482 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08490 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08508 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08607 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08615 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08623 FINANCE COMPANY LIMITED ICICI SECURITIES AND INE849D08631 FINANCE COMPANY LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED INE849D08649
NSE MIBOR. Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE Mibor Unsecured NCD-LOA
INE849D08656
INE849D08664
INE849D08672
INE849D08680
NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment.
ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED
INE849D08698
INE849D08706
NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE Mibor Unsecured NCD.LOA
INE849D08714
NSE Mibor Unsecured NCD.LOA NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR.Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR + 20 bps Unsecured Redeemable Non-Convertible Debentures. Letter of NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment.
INE849D08722
INE849D08730
INE849D08748
INE849D08755
INE849D08763
INE849D08771
INE849D08789
INE849D08797
INE849D08805
INE849D08813
ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED
INE849D08821
INE849D08839
NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Unsecured NSE MIBOR Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR + 20 bps Unsecured Redeemable Non-Convertible Debentures. Letter of NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.
INE849D08847
INE849D08854
INE849D08862
INE849D08870
INE849D08888
INE849D08896
INE849D08904
INE849D08912
INE849D08920
INE849D08938
INE849D08946
ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED
INE849D08953
INE849D08961
NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.
INE849D08979
INE849D08995
INE849D08AB9
INE849D08AA1
INE849D08987
INE849D08AC7
INE849D08AD5
INE849D08AE3
INE849D08AF0
INE849D08AH6
INE849D08AG8
ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED
INE849D08AI4
INE849D08AJ2
NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR + 20bps Unsecured Redeemable Non-convertible Debentures. Letter of NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.
INE849D08AK0
INE849D08AL8
INE849D08AM6
INE849D08AN4
INE849D08AO2
INE849D08AP9
INE849D08AQ7
INE849D08AS3
INE849D08AR5
INE849D08AT1
INE849D08AV7
ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED
INE849D08AU9
INE849D08AW5
NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.
INE849D08AX3
INE849D08AY1
INE849D08BA9
INE849D08AZ8
INE849D08BB7
INE849D08BC5
INE849D08BD3
INE849D08BG6
INE849D08BH4
INE849D08BI2
INE849D08BK8
ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED
INE849D08BJ0
INE849D08BN2
NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR + 20 bps Unsecured Redeemable Non-convertible Debentures. Letter of
INE849D08BM4
INE849D08BR3
INE849D08BS1
INE849D08BT9
INE849D08BU7
INE849D08BV5
INE849D08BW3
INE849D08BX1
INE849D08BY9
INE849D08BZ6
INE849D08CA7
ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED ICICI SECURITIES LIMITED IDBI
INE849D08CB5
INE849D08CC3
NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR Unsecured Redeemable Nonconvertible Debentures. Letter VI-Regular Return Omni of Allotment. Bond
INE849D08CE9
INE008A08622
IDBI
INE008A08630
Omni VIII-Regular Return Bond-I Omni IX-Regular Return Bond-II Omni 98A-Regular Return Bond-II Omni FII-A
IDBI
INE008A08655
IDBI
INE008A08671
IDBI
INE008A08820
IDBI
INE008A08838
Omni FII-B
IDBI
INE008A08705
Omni 98C-Regular Return Bond-I Omni 98C-Regular Return Bond-II Omni 98C-Regular Return Bond-III Omni Zero Coupon Bond
IDBI
INE008A08713
IDBI
INE008A08721
IDBI
INE008A08739
IDBI
INE008A08747
Omni 98D-Regular Return Bond-III Omni 1998/ Infrastructure Bonds Fully Unsecured Bonds (Date 2000A-Regular Omni of Maturity : 08th Return Bond-I
IDBI
INE008A08945
IDBI
INE008A08879
IDBI
INE008A08887
Omni 2000A-Regular Return Bond-II Omni 98E-Regular Return Bond-III Omni 1998/ Infrastructure Bonds Fully Unsecured Bonds (Date 98F-Regular31st Omni of Maturity : Return Bond-III
IDBI
INE008A08770
IDBI
INE008A08937
IDBI
INE008A08804
IDBI
INE008A08903
Omni 2001A-Regular Return Bond-I Omni 2001A-Regular Return Bond-II Omni VIII-Regular Return Bond-II Omni IX-Regular Return Bond-III Omni 98A-Regular Return Bond-III Omni Tier II Regular Return Bond -99B
IDBI
INE008A08911
IDBI
INE008A08648
IDBI
INE008A08663
IDBI
INE008A08689
IDBI
INE008A08853
IDBI
INE008A08754
IDBI
INE008A08846
IDBI
INE008A08895
Omni 2000A-Regular Return Bond-III Omni 98E-Regular Return Bond-IV IDBI Omni I Infrastructure Bonds 2000 B Fully Unsecured Bonds Omni 98F-Regular Return Bond-IV
IDBI
INE008A08788
IDBI
INE008A08960
IDBI
INE008A08812
IDBI
INE008A08952
IDBI
INE008A08978
IDBI Omni I Infrastructure Bonds 2000 A Fully Omni I IDBI Unsecured Bonds Infrastructure Bonds 2000 C Fully Unsecured Bonds Omni Tier II Regular Return Bond -99C
IDBI
INE008A08861
IDBI
INE008A08929
OMNI DEMAT-T1. Date Of Maturity: 20/08/2007 Omni 98A-Regular Return Bond-IV NSE Mibor Unsecured Non-Convertible Redeemable Floating Rate Mibor Unsecured NSE Bonds issued in the Non-Convertible Redeemable Floating Rate Bonds issued in the
IDBI
INE008A08697
IDBI CAPITAL MARKET INE835F09039 SERVICES LIMITED IDBI CAPITAL MARKET INE835F09047 SERVICES LIMITED
IDBI CAPITAL MARKET INE835F09054 SERVICES LIMITED IDBI CAPITAL MARKET INE835F09021 SERVICES LIMITED IDBI CAPITAL MARKET INE835F09013 SERVICES LIMITED IDBI CAPITAL MARKET INE835F09062 SERVICES LIMITED IDEA CELLULAR LTD. INE669E08052 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E08060 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E08078 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E08086 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E08094 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E07013 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E08128 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E08136 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E08102 (formerly Birla Tata AT & T Ltd.)
NSE Mibor Unsecured Non-Convertible Redeemable Floating Rate Mibor Unsecured NSE Bonds issued in the Non-Convertible Redeemable Floating Rate Mibor Unsecured NSE Bonds issued in the Non-Convertible Redeemable Floating Rate Bonds issuedNon6.00% Unsecured in the Convertible Redeemable Bonds issued in the form of Promisory Notes. 8.75% Secured Non Convertible Debentures, Letter of Allotment. Date of Maturity: 26/08/2002 8.75% Secured Non Convertible Debentures, Letter of Allotment. Date of Maturity: 28/08/2002 8.75% Secured Non Convertible Debentures, Letter of Allotment. Date of Maturity: 09/09/2002 8.75% Unsecured Non Convertible Debentures, Letter of Allotment. Date of Maturity: 14-09-2002 8.75% Unsecured Non Convertible Debentures, Letter of Allotment. Date of Maturity: 20-09-2002 8.75% Secured Non Convertible Debentures. Date of Maturity: 30/09/2002 9.00% Unsecured Non Convertible Debentures, Letter of Allotment. Date of Maturity: 03/01/2003 8.50% Unsecured Non Convertible Debentures, Letter of Allotment. Date of Maturity: 23/02/2003 11.50% Secured Non Convertible Debentures, Letter of Allotment. Date of Maturity: 28/03/2003
IDEA CELLULAR LTD. INE669E08110 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E08151 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E08169 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E08185 (formerly Birla Tata AT & T Ltd.) IDEA CELLULAR LTD. INE669E08177 (formerly Birla Tata AT & T Ltd.)
IFCI Limited INE039A07546
10.50% Secured Non Convertible Debentures, Letter of Allotment. Date of Maturity: 28/05/2003 9.00% Unsecured Non Convertible Debentures, Letter of Allotment 8.00% Unsecured Non Convertible Debentures, Letter of Allotment 8.00% Unsecured Non Convertible Debentures. Letter of Allotment 10.00% Unsecured Non Convertible Debentures, Letter of Allotment
11% IFCI SLR Bonds 2002 Series 46
IFCI Limited
INE039A07561
IFCI Limited
INE039A07579
IFCI Limited
INE039A07504
IFCI Limited
INE039A08072
IFCI Limited
INE039A07702
12.70% Regular Return Bond Option II -Series XXXIX Date of Maturity 20th December, 2005 11.20% Fully Unsecured Non Convertible Regular Return Bond Option III, Series 42 (Date of Maturity : 20th July, 13% IFCI SLR Bonds 2007 Series 62
IFCI LTD.
INE039A09039
IFCI LTD.
INE039A09385
13.75% Unsecured Non Covertible Bond in the form of Promissory Notes., Regular Return 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-24(R). Option II.
IFCI LTD.
INE039A09443
IFCI LTD.
INE039A09583
9% Fully Unsecured Nonconvertible Regular Return Bond- SR-26(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond- SR-28(R). Option III. Non Unsecured Convertible Step Up Liquid Bond , Series 42 (Date of Maturity : 20th 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-42(R). Option IV. 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-29(R). Option III. 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-30(R). Option III. 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-31(R). Option III. 9% Fully Unsecured Nonconvertible Regular Return Bond - SR-18(R)
IFCI Ltd.
INE039A08080
IFCI LTD.
INE039A09BS3
IFCI LTD.
INE039A09641
IFCI LTD.
INE039A09690
IFCI LTD.
INE039A09765
IFCI LTD.
INE039A09245
IFCI LTD.
INE039A09849
IFCI LTD.
INE039A09302
9% Fully Unsecured Nonconvertible Regular Return Bond- SR-32(R). Option III Unsecured Non9% Fully & SR-34(R) convertible Regular Return Bond - SR-20(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond- SR-33(R). Option III Unsecured Non9% Fully convertible Regular Return Bond- SR-35(R). Option III. 14.00% Unsecured Non Covertible Bond in the form of Promissory Notes., Regular Return
IFCI LTD.
INE039A09591
IFCI LTD.
INE039A09AB1
IFCI LTD.
INE039A09021
IFCI LTD.
INE039A07744
IFCI LTD.
INE039A09AD7
14.25% Unsecured Non Covertible Bond in the form of Debenture .Regular Return Bond-3 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-36(R). Option I & Option IV.. 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-37(R). Option III. 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-38(R). Option III. 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-39(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond - SR-24(R). Option I. Unsecured Non9% Fully convertible Regular Return Bond- SR-26(R). Option I. Unsecured Non9% Fully convertible Regular Return Bond- SR-27(R). Option I.Fully Unsecured 11.75% Non Convertible Regular Return Bond Option III, Series 41Unsecured Non9% Fully (Date of convertible Regular Return Bond- SR-41(R). Option III. 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-28(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond- SR-42(R). Option III. 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-29(R). Option II.
IFCI LTD.
INE039A09AP1
IFCI LTD.
INE039A09AU1
IFCI LTD.
INE039A09BA1
IFCI LTD.
INE039A09351
IFCI LTD.
INE039A09419
IFCI LTD.
INE039A09476
IFCI Ltd.
INE039A08049
IFCI LTD.
INE039A09BM6
IFCI LTD.
INE039A09559
IFCI LTD.
INE039A09BR5
IFCI LTD.
INE039A09625
IFCI LTD.
INE039A09AH8
IFCI LTD.
INE039A09674
9% Fully Unsecured Nonconvertible Regular Return Bond- SR-36(R). Option III. 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-30(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond- SR-31(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond- SR-32(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond- SR-33(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond- SR-34(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond- SR-35(R). Option I. Unsecured Non9% Fully convertible Regular Return Bond- SR-36(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond- SR-37(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond- SR-38(R). Option II. Unsecured Non9% Fully convertible Regular Return Bond - SR-20(R). Option I. Unsecured Non9% Fully convertible Regular Return Bond- SR-33(R). Option IV. 9% Fully Unsecured Nonconvertible Regular Return Bond- SR-40(R). Option II.
IFCI LTD.
INE039A09732
IFCI LTD.
INE039A09815
IFCI LTD.
INE039A09898
IFCI LTD.
INE039A09963
IFCI LTD.
INE039A09997
IFCI LTD.
INE039A09AF2
IFCI LTD.
INE039A09AM8
IFCI LTD.
INE039A09AS5
IFCI LTD.
INE039A09278
IFCI LTD.
INE039A09922
IFCI LTD.
INE039A09BF0
IFCI LTD.
INE039A09500
INE260A08017
9% Fully Unsecured Nonconvertible Regular Return Bond- SR-27(R). Option II. 11.50% Unsecured Non Convertible Debenture Letter of Allotment, Date of Maturity: 05/02/2002 12.25% Secured NCD.Date of Maturity: 26.12.2003
INE560A07053
INE560A07020
14.25% Secured NCD.Date of Maturity: 25.01.2004 12.75% Secured NCD.Date of Maturity: 02.06.2005 10.50% Secured NCD.Date of Maturity: 06/02/2007 10.50% Secured NCD.Date of final Redemption:30/04/2007 9.25% Secured NCD Series-IX .Date of Redemption: 10/10/2007. Letter of Allotmentbps NSE MIBOR + 30 Unsecured Privately Placed Floating Rate NonConvertible + 30 bps NSE MIBOR Unsecured Privately Placed Floating Rate NonConvertible NSE O/N MIBOR + 30 bps Unsecured Privately Placed Floating Rate NonConvertible Debentures. NSE O/N MIBOR + 30 bps Unsecured Privately Placed Floating Rate NonConvertible Debentures. NSE O/N MIBOR + 25 bps Unsecured Privately Placed Floating Rate Non-Convertible
INE560A07046
INE560A07095
INE560A07103
INE560A08010
INDIAN ALUMINIUM COMPANY LIMITED INDIAN ALUMINIUM COMPANY LIMITED INDIAN ALUMINIUM COMPANY LIMITED INDIAN ALUMINIUM COMPANY LIMITED INDIAN ALUMINIUM COMPANY LIMITED
INE249A08036
INE249A08044
INE249A08069
INE249A08069
INE249A08077
INDIAN ALUMINIUM COMPANY LIMITED INDIAN ALUMINIUM COMPANY LIMITED INDIAN ALUMINIUM COMPANY LIMITED INDIAN OVERSEAS BANK INDIAN OVERSEAS BANK INDIAN OVERSEAS BANK INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED
INE249A07012
10.60% Secured Redeemable NCD 6.60% Secured Redeemable NCD (Letter of Allotment). Date of Maturity : 20/11/2007 6.60% Secured Redeemable NCD. Date of Maturity : 20/11/2007
INE249A08051
INE249A07038
INE565A09017
INE565A09025
13.75 % Unsecured Non Convertible Bonds in theform of Promissory Notes,% Unsecured Non 11.45 Series I. Date of Convertible Bonds in theform of Promissory Notes, Series II. Date of 9.40 % Unsecured Non Convertible Bonds in the form of Promissory Notes, Unsecured 8.30% Series III. Date of Redeemable Non Convertible Bonds in the nature of Debentures, 8.50% Unsecured Redeemable Non Convertible Bonds in the nature of Debentures, 7.40% Unsecured Reedemeable NonConvertible Bonds in the form of Secured 6.40% Promissory Redeemable NonConvertible Bonds in the nature of Promissory 8.75% Unsecured Redeemable Non Convertible Bonds in the nature of Debentures, 6.40% Secured Redeemable NonConvertible Bonds in the nature of Promissory 6.45% Secured Redeemable NonConvertible Bonds in the nature of Debentures..
INE565A09033
INE006A08022
INE006A08071
INE006A09012
INE006A09020
INE006A08030
INE006A09038
INE006A08121
INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN PETROCHEMICALS CORPORATION LIMITED
INE006A08139
INE006A08147
6.45% Secured Redeemable NonConvertible Bonds in the nature+ 75 Bps Secured Mibor of Debentures.. Redeemable NonConvertibleDebentures.. Letter of Allotment. Date 6.60% Secured Redeemable NonConvertible Bonds in the nature+ 50 Bps Secured Mibor of Debentures.. Redeemable NonConvertible Debentures.. Letter of+Allotment. MIBOR 25 bps Secured Redeemable NonConvertible Debentures. Letter of+Allotment. MIBOR 25 bps Secured Redeemable Non-Convertible floating rate Debenturesin the 14.20% Unsecured Redeemable Non Convertible Bonds in the nature of Debentures, 10.20% Secured Redeemable Non Convertible Bonds in the nature of Debentures, 14.5% Unsecured Redeemable Non Convertible Bonds in the nature of Debentures, 14.50% Secured Redeemable Non Convertible Bonds in the nature of Debentures, 9.90% Unsecured Redeemable Non Convertible Bonds in the nature of Debentures,. 9.90% Secured Redeemable Non Convertible Bonds. Date of maturity: 25/06/2007 9.60% Unsecured Redeemable Non Convertible Bonds in the nature of Debentures,.
INE006A08113
INE006A08154
INE006A07065
INE006A09046
INE006A08063
INE006A07057
INE006A08055
INE006A07032
INE006A08089
INE006A07016
INE006A08097
INDIAN PETROCHEMICALS CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED
INE006A07024
INE053F07017
9.60% Secured Redeemable Non Convertible Bonds. Date of maturity: 12/07/2007 12.90% Taxable Bonds, 15th C Series , Date of Maturity: 22.06.2002
INE053F07140
12.80% Taxable Bonds, 16th C Series , Date of Maturity:15.07.2002 10.45% Taxable Bonds in the form of Promissory Notes, Series 33 A, Date of Maturity:13/09/2002. 10.50% TaxFree Bonds in the form of Promissory Notes, Series 7 G, Date of Maturity: 03/04/2003 10.50% TaxFree Bonds in the form of Promissory Notes, Series 7 H, Date of Maturity: 08/05/2003 12.90% Taxable Bonds, 15th D Series , Date of Maturity: 22.06.2003
INE053F09013
INE053F09302
INE053F09294
INE053F07025
INE053F07157
12.80% Taxable Bonds, 16th D Series , Date of Maturity:15.07.2003 8.00% Taxable Bonds in the form of Promissory Notes, Series 42 A. Date of Maturity :29/08/2003. in 10.45% Taxable Bonds the form of Promissory Notes, Series 33 B, Date of Maturity: 13/09/2003. 6.90% Secured Redeemeable Bonds are in the form of Promissory NotesSeries 43. STRPP 7.63% Secured Redeemeable Bonds of Promissory Notes. Serie 43. STRPP AA. Letter of 10.50% TaxFree Bonds in the form of Promissory Notes, Series 11th, Date of Maturity: 08/03/2004.
INE053F09336
INE053F09021
INE053F09492
INE053F09591
INE053F09252
INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED
INE053F08015
INE053F09963
8.71% Taxable Bonds, Series 35 A, Date of Maturity :15/03/2004. Letter of Allotment 6.98% Secured Redeemeable Bonds of Promissory Notes. Serie 44. STRPP AA. Letter of 6.10% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP A. Letter of 6.39% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP AA. Letter of 12.90% Taxable Bonds, 15th E Series , Date of Maturity: 22.06.2004,
INE053F09AH8
INE053F09AM8
INE053F07033
INE053F09260
INE053F07165
10.50% TaxFree Bonds in the form of Promissory Notes, Series 12 A, Date of Maturity:26/06/2004 12.80% Taxable Bonds, 16th E Series , Date of Maturity:15.07.2004
INE053F09BC7
INE053F09BR5
5.99% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP AAA. Letter 6.25% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP A. Letter ofin 8.00% Taxable Bonds the form of Promissory Notes, Series 42 B. Date of Maturity :29/08/2004. in 10.45% Taxable Bonds the form of Promissory Notes, Series 33 C, Date of Maturity: 13/09/2004. 9.95% Taxable Bonds in the form of Promissory Notes, Series 34 A, Date of Maturity:13/09/2004. in 10.45% Taxable Bonds the form of Promissory Notes, Series 33 C, Date of Maturity: 13/09/2004.
INE053F09344
INE053F09039
INE053F09161
INE053F09740
INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED
INE053F09872
INE053F09500
9.95% Taxable Bonds in the form of Promissory Notes, Series 34 A, Date of Maturity:13/09/2004. 6.90% Secured Redeemeable Bonds are in the form of Promissory NotesSeries 43. STRPP 7.63% Secured Redeemeable Bonds of Promissory Notes. Serie 43. STRPP BB. Bonds,of 8.71% Taxable Letter Series 35 B, Date of Maturity :15/03/2005. Letter of Allotment 5.99% Secured Redeemeable Bonds of Promissory Notes. Series 47 STRPP A. Letter of 10.50% TaxFree Bonds in the form of Promissory Notes, Series 12 C, Date of Maturity: 31/03/2005. 6.98% Secured Redeemeable Bonds of Promissory Notes. Serie 44. STRPP BB. Letter of 6.39% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP BB. Letter of 12.90% Taxable Bonds, 15th F Series , Date of Maturity: 22.06.2005
INE053F09609
INE053F08023
INE053F09CH4
INE053F09286
INE053F09971
INE053F09AN6
INE053F07041
INE053F07173
12.80% Taxable Bonds, 16th F Series , Date of Maturity:15.07.2005 5.99% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP BBB. Letter 6.25% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP B. Letter ofin 8.00% Taxable Bonds the form of Promissory Notes, Series 42 C. Date of Maturity :29/08/2005.
INE053F09BD5
INE053F09BS3
INE053F09351
INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED
INE053F09047
INE053F09179
10.45% Taxable Bonds in the form of Promissory Notes, Series 33 D, Date of Maturity: 13/09/2005. 9.95% Taxable Bonds in the form of Promissory Notes, Series 34 B, Date of Maturity: 13/09/2005. in 10.45% Taxable Bonds the form of Promissory Notes, Series 33 D, Date of Maturity: 13/09/2005. 9.95% Taxable Bonds in the form of Promissory Notes, Series 34 B, Date of Maturity: 13/09/2005. 6.90% Secured Redeemeable Bonds are in the form of Promissory NotesSeries 43. STRPP 7.63% Secured Redeemeable Bonds of Promissory Notes. Serie 43. STRPP CC. Letter of 11.05% Taxable Bonds, 24th Series , Date of Maturity:17.01.2006
INE053F09757
INE053F09880
INE053F09518
INE053F09617
INE053F07348
INE053F07355
11.10% Taxable Bonds, 25th Series , Date of Maturity:22.012006 8.71% Taxable Bonds, Series 35C, Date of Maturity :15/03/2006. Letter of Allotment 5.99% Secured Redeemeable Bonds of Promissory Notes. Series 47 STRPP B. Letter of 10.90% Taxable Bonds, 28th AA Series , Date of Maturity: 30.03.2006
INE053F08031
INE053F09CI2
INE053F07389
INE053F07397
10.90% Taxable Bonds, 28th BB Series , Date of Maturity: 30.03.2006 10.90% Taxable Bonds, 29th Series , Date of Maturity: 31.03.2006
INE053F07405
INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED
INE053F09989
INE053F07462
6.98% Secured Redeemeable Bonds of Promissory Notes. Serie 44. STRPP CC. Letter of 10.75% Taxable Bonds, 14th Series , Date of final Redemption : 09.04.2006
INE053F09AI6
INE053F09AO4
6.10% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP B. Letter of 6.39% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP CC. Letter of 12.90% Taxable Bonds, 15th G Series , Date of Maturity: 22.06.2006
INE053F07058
INE053F07181
12.80% Taxable Bonds, 16th G Series , Date of Maturity:15.07.2006 9.25% Taxable Bonds, 30th Series , Date of Maturity: 18.07.2006 5.99% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP CCC. Letter 6.20% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP AA. Letter of 6.25% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP C. Letter of 9.25% Taxable Bonds, 31st Series , Date of Maturity: 14.08.2006
INE053F07413
INE053F09BE3
INE053F09BM6
INE053F09BT1
INE053F07421
INE053F09369
INE053F09054
8.00% Taxable Bonds in the form of Promissory Notes, Series 42 D. Date of Maturity :29/08/2006. in 10.45% Taxable Bonds the form of Promissory Notes, Series 33 E, Date of Maturity: 13/09/2006.
INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED
INE053F09187
INE053F09765
9.95% Taxable Bonds in the form of Promissory Notes, Series 34 C, Date of Maturity: 13/09/2006. in 10.45% Taxable Bonds the form of Promissory Notes, Series 33 E, Date of Maturity: 13/09/2006. 9.95% Taxable Bonds in the form of Promissory Notes, Series 34 C, Date of Maturity: 13/09/2006. 6.90% Secured Redeemeable Bonds are in the form of Promissory NotesSeries 43. STRPP 7.63% Secured Redeemeable Bonds of Promissory Notes. Serie 43. STRPP DD.Bonds, of 8.71% Taxable Letter Series 35 D, Date of Maturity :15/03/2007. Letter of Allotment 5.99% Secured Redeemeable Bonds of Promissory Notes. Series 47 STRPP free Bonds, 7.80% Tax C. Letter of Series 36th , Date of Maturity :27/03/2007. Letter ofTaxable Bonds, 10.95% Allotment 18th Series , Date of Maturity:31.03.2007
INE053F09898
INE053F09526
INE053F09625
INE053F08049
INE053F09CJ0
INE053F08056
INE053F07280
INE053F09997
INE053F07298
6.98% Secured Redeemeable Bonds of Promissory Notes. Serie 44. STRPP DD. Letter of 10.80% Taxable Bonds, 19th A Series , Date of Maturity:18.04.2007
INE053F07488
10.80% Taxable Bonds, 19B Series , Date of Maturity :20.04.2007 6.39% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP DD. Letter of
INE053F09AP1
INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED
INE053F09245
INE053F07066
8.40% Taxable Bonds in the form of Promissory Notes, Series 39th , Date of Maturity :14/05/2007 12.90% Taxable Bonds, 15th H Series , Date of Maturity: 22.06.2007
INE053F07306
10.90% Taxable Bonds, 20th Series , Date of Maturity:14.07.2007 12.80% Taxable Bonds, 16th H Series , Date of Maturity:15.07.2007 8.05% Taxable Bonds in the form of promissory notes, Series 40th, Date of maturity: 7.95% Taxable Bonds in the form of Promissory Notes, Series 41st. Date of Maturity :01/08/2007. 5.99% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP DDD. Letter 6.25% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP D. Letter ofin 8.00% Taxable Bonds the form of Promissory Notes, Series 42 E. Date of Maturity :29/08/2007. 7.65% Taxable Bonds in the form of Promissory Notes, Series 42 AA. Date of Maturity Bonds in 10.45% Taxable the form of Promissory Notes, Series 33 F, Date of Maturity: 13/09/2007. 9.95% Taxable Bonds in the form of Promissory Notes, Series 34 D, Date of Maturity: 13/09/2007. in 10.45% Taxable Bonds the form of Promissory Notes, Series 33 F, Date of Maturity: 13/09/2007.
INE053F07199
INE053F09310
INE053F09328
INE053F09BF0
INE053F09BU9
INE053F09377
INE053F09484
INE053F09062
INE053F09195
INE053F09773
INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RAILWAY FINANCE CORPORATION LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED
INE053F09906
INE053F09534
9.95% Taxable Bonds in the form of Promissory Notes, Series 34 D, Date of Maturity: 13/09/2007. 6.90% Secured Redeemeable Bonds are in the form of Promissory NotesSeries 43. STRPP 7.63% Secured Redeemeable Bonds of Promissory Notes. Serie 43. STRPP EE. Letter of 11.70% Taxable Bonds, 23rd Series , Date of Maturity:24.11.2007
INE053F09633
INE053F07330
INE053F09CK8
INE053F09278
5.99% Secured Redeemeable Bonds of Promissory Notes. Series 47 STRPP D. Letter of 10.50% TaxFree Bonds in the form of Promissory Notes, Series 12 B, Date of Maturity: 30/03/2008 in 5.20% Secured Bonds the form of Promissory Notes, Series 44-A. Date of . Letter of Allotment. 6.98% Secured Redeemeable Bonds of Promissory Notes. Serie 44. STRPP EE. Letter of 6.10% Secured Bonds in the form of Promissory Notes, Series 44-B. Date of . Letter of Allotment. in 6.10% Secured Bonds the form of Promissory Notes, Series 44-B. Date of . Letter of Allotment. 10.50% Secured Tax Free Bonds (Series III) Date of Maturity 30/03/2003 10.50% Secured Tax Free Bonds (Series IV) Date of Maturity 01/01/2004 10.50% Secured Tax Free Bonds (Series IV) Date of Maturity 27/03/2004
INE053F09955
INE053F09AA3
INE053F09AG0
INE053F09AG0
INE202E09019
INE202E09027
INE202E09035
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INDO GULF CORPORATION LIMITED
INE202E09043
INE202E09050
10.50% Secured Tax Free Bonds (Series IV) Date of Maturity 31/03//2004 9.50% Secured Tax Free Bonds (Series V) Date of Maturity -17/02/2005
INE202E09068
9.50% Secured Tax Free Bonds (Series V) Date of Maturity -23/02/2005 9.50% Secured Tax Free Bonds (Series V) Date of Maturity -23/03/2005 10.50% Secured Tax Free Bonds (Series VI) Date of Maturity 22/12/2005 10.50% Secured Tax Free Bonds (Series VI) Date of Maturity 05/01/2006 10.50% Secured Tax Free Bonds (Series VI) Date of Maturity 16/03/2006 10.50% Secured Tax Free Bonds (Series VI) Date of Maturity 17/03/2006 10.00% Secured Tax Free Bonds (Series VII) Date of Maturity 01/10/2006 8.50% Secured Tax Free Bonds (Series VIII) Date of Maturity -30/08/2007
INE202E09076
INE202E09084
INE202E09092
INE202E09100
INE202E09118
INE202E09126
INE202E09134
INE202E09142
8.75% Secured Tax Free Bonds (Series VIII) Date of Maturity -31/08/2007 9.00% Secured Tax Free Bonds (Series VIII) Date of Maturity -01/09/2007 10% Secured Redeemable NCD
INE202E09159
INE022A07096
INDO GULF CORPORATION LIMITED INDO GULF CORPORATION LIMITED INDO GULF CORPORATION LIMITED INDO GULF CORPORATION LIMITED INDO GULF CORPORATION LIMITED INDO GULF CORPORATION LIMITED INDO GULF CORPORATION LIMITED
IndusInd Bank Limited
INE022A07104
INE022A08037
9.70% Secured Redeemable Non Convertible Debentures (NCDs-Series X) 9.45% Secured Redeemable Non Convertible Debentures (Letter Secured 9.45% of Allotment Redeemable Non Convertible Debentures
INE022A07112
INE022A08045
INE022A07120
8.70%% Secured Redeemable NCD Privately Placed. Series XII. Letter of Allotment. 8.70% Secured Redeemable NCD Privately Placed. Series XII. Date of maturity 6.20% Secured Redeemable NCD Privately Placed. Series XIV. Letter of Allotment. 5.95% Secured Redeemable NCD Privately Placed. Series XV. Letter of Non 12% UnsecuredAllotment.
Convertible Redeemable Subordinated Debt Bonds (Letter Of Allotment)
INE022A08060
INE022A08078
INE095A08025
INE095A08033
INDUSTRIAL INE008A09083 DEVELOPMENT BANK OF INDIA INDUSTRIAL INE008A09091 DEVELOPMENT BANK OF INDIA INDUSTRIAL INE008A09109 DEVELOPMENT BANK OF INDIA INDUSTRIAL INE008A09117 DEVELOPMENT BANK OF INDIA
12.00% Unsecured Redeemable Suboridinated Bonds. Date of Secured 11.00% Redeemable NonConvertible Bonds -2002, in the form of promissory 11.00% Secured Redeemable NonConvertible Bonds -2002 n the form of promissory 11.00% Secured Redeemable NonConvertible Bonds -2002 in the form of promissory 11.00% Secured Redeemable NonConvertible Bonds -2003 in the form of promissory
INDUSTRIAL INE008A09299 DEVELOPMENT BANK OF INDIA INDUSTRIAL INE008A09265 DEVELOPMENT BANK OF INDIA INDUSTRIAL INE008A09273 DEVELOPMENT BANK OF INDIA INDUSTRIAL INE008A09281 DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08DK3
13.50% Secured Redeemable NonConvertible Bonds -2003 in the form of promissory 13.00% Secured Redeemable NonConvertible Bonds -2007 in the form of promissory 13.00% Secured Redeemable NonConvertible Bonds -2007 in the form of promissory 13.00% Secured Redeemable NonConvertible Bonds -2007 in the form of promissory 12.2 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 30-0712 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 06-0812 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 03-0912 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 04-1012.25 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 17-1012 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 02-1112 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date Unsecured 07-1111.9 % of Maturity: Subordinated Bonds.( IDBI Omni Bonds Series I). Date Unsecured 26-1111.9 % of Maturity: Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 30-11-
INE008A08BL5
INE008A08BI1
INE008A08BJ9
INE008A08CJ7
INE008A08BF7
INE008A08DR8
INE008A08CU4
INE008A08DM9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08DI7
INE008A08BR2
11.9 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 29-1211.65 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date Unsecured 08-0114.8 % of Maturity: Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 19-0220 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date Unsecured 19-0214.8 % of Maturity: Subordinated Bonds.( IDBI Omni Bonds Series I). Date Unsecured 20-0214.8 % of Maturity: Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured Bonds 14.8% of Maturity: 24-02(IDBI OMNI Bonds SeriesI.OMNI-1).Date of MaturityUnsecured 14.8 % :26/02/2003 Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 27-0214.80% Unsecured Subordinated Bonds (IDBI OMNI Bond SeriesI).Date ofUnsecured 14.75 % Maturity Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 18th 14.75 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 19-0314.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:Unsecured 14.00% 25/03/2003 Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 27/03/2003
INE008A08CN9
INE008A08DU2
INE008A08CR0
INE008A08CT6
INE008A08FJ0
INE008A08CV2
INE008A08EU0
INE008A08CK5
INE008A08CP4
INE008A08LA7
INE008A08LB5
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08BC4
INE008A08GP5
13.5 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 11-0813.75% Unsecured Bonds.( IDBI Omni Bonds Sr-I. Appl. No.2528) Date of 11 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 17-0213.25 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 06-0410.30% Unsecured Bonds (IDBI OMNI Bonds Series-I)
INE008A08CI9
INE008A08BK7
INE008A08SC8
INE008A08CM1
INE008A08BY8
10.35 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 18-0510 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured Non 12.5% of Maturity: 06-06Convertible Omni Bonds.
INE008A08VM1
INE008A08CZ3
INE008A08DE6
9.6 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date Unsecured 27-0612.5 % of Maturity: Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured Bonds. 9.75% of Maturity: 28-06(IDBI OMNI Bonds Series -1.)
INE008A08PC4
INE008A08TP8
12.25% Unsecured Bonds.( IDBI Omni Bonds Series I). 12.5% Unsecured Non Convertible Omni Bonds.
INE008A08WH9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08TR4
12.25% Unsecured Bonds.( IDBI Omni Bonds Series I). 12.5% Unsecured Non Convertible Omni Bonds Series 1. Zero Coupon Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 04-07Zero coupon Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 05-07Zero Coupon Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 05-079.4 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured Non 12.5% of Maturity: 06-07Convertible Omni Bonds.
INE008A08XD6
INE008A08BT8
INE008A08BV4
INE008A08BW2
INE008A08CA6
INE008A08VR0
INE008A08QT6
12.50% Unsecured Bonds (IDBI OMNI Bonds Series-I) 12.4% Unsecured Non Convertible Omni Bonds. Zero Coupon Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured Non 12.5% of Maturity: 12-07Convertible Omni Bonds Series-1.
INE008A08VN9
INE008A08CE8
INE008A08XQ8
INE008A08NO4
12.40% Unsecured Bonds.( IDBI Omni Bonds Sr-I. ) 12.75% Unsecured Bonds. (IDBI OMNI Bonds Series-1)
INE008A08PW2
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08DA4
INE008A08DF3
12.5 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date Unsecured 27-0712.5 % of Maturity: Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured Non 12.7% of Maturity: 28-07Convertible Omni Bonds Series 1.
INE008A08XE4
INE008A08TM5
12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). 12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:20/08/2004 12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:23/08/2004 12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:24/08/2004 12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:26/08/2004 12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:27/08/2004 12.40% Unsecured Bonds.( IDBI Omni Bonds Sr-I. )
INE008A08JR5
INE008A08JS3
INE008A08JT1
INE008A08JU9
INE008A08JV7
INE008A08NQ9
INE008A08AY0
INE008A08VL3
13 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured Non 12.4% of Maturity: 02-09Convertible Omni Bonds.
INE008A08TI3
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08BO9
INE008A08KX1
12.5 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 10-09Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 13/09/2004 12.5% Unsecured Non Convertible Omni Bonds.
INE008A08WI7
INE008A08KY9
INE008A08VU4
Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 20/09/2004 12.3% Unsecured Non Convertible Omni Bonds.
INE008A08LE9
INE008A08LG4
12.25% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:Unsecured 13.25% 23/09/2004 Bonds.( IDBI Omni Bonds Series I). Date of Maturity:Unsecured Non 13.25% 23/09/2004 Convertible Redeemable omni bonds. Series I
INE008A08XZ9
INE008A08SA2
12.20% Unsecured Bonds (IDBI OMNI Bonds Series-I) 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I).
13.25% Unsecured Bonds.( IDBI Omni Bonds Sr-1 )
INE008A08SU0
INE008A08KZ6
INE008A08QX8
13.25% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:Unsecured 13.25% 06/10/2004 Bonds (IDBI OMNI Bonds Series-I)
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08HS7
INE008A08CG3
12.75 % Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 13/10/2004 13 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 14-1012.10% Unsecured Bonds (IDBI OMNI Bonds Series-I)
INE008A08QU4
INE008A08XU0
12.15% Unsecured Non Convertible Omni Bonds Series-1. 12.25 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 31-1012.65 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 31-1012.25 % Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 03/11/2004 12 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 06-1112.36% Unsecured Bonds. (IDBI OMNI Bonds Series -1.)
INE008A08DO5
INE008A08DP2
INE008A08HT5
INE008A08BA8
INE008A08OZ8
INE008A08HU3
INE008A08NN6
12.25 % Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:Unsecured 12.36% 13/11/2004 Bonds.( IDBI Omni Bonds Sr-I.)
INE008A08CQ2
INE008A08TS2
12 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 19-1112% Unsecured Bonds.( IDBI Omni Bonds Series I).
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08AX2
INE008A08AZ7
12.75 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 01-1212.75 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date Unsecured 02-1212.4 % of Maturity: Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured Non 9.25% of Maturity: 08-12Convertible Omni Bonds.
INE008A08DT4
INE008A08VV2
INE008A08SB0
12.90% Unsecured Bonds (IDBI OMNI Bonds Series-I) 12.9% Unsecured Non Convertible Omni Bonds. 24.50% Unsecured NonConvertible Bonds(Super Deposit Bonds-FSD) in the nature of Promissory 15.50% Unsecured NonConvertible Bonds(Super Deposit Bonds-FSD) in the nature of Promissory 15.00% Unsecured NonConvertible Bonds(Fixed Monthly Income-FMI) in the nature of Promissory Flexibonds-11, Infrastructure (Tax Saving) Bond Option A
INE008A08WG1
INE008A09307
INE008A09315
INE008A09323
INE008A08AR4
INE008A08AU8
Flexibonds-11, Infrastructure (Tax Saving) Bond Option D 11 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 13-03Flexibonds-12 Issue (Series 2002-B), Infrastructure (Tax Saving) Bond Option A
INE008A08DS6
INE008A08AG7
INE008A08CL3
14.75 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 18th 14.50% Unsecured Bonds.(
IDBI Omni Bonds Sr-1 )
INE008A08CO7
INE008A08DJ5
14.5 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date Unsecured 25-0310.7 % of Maturity: Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 30-0314.50% Unsecured Bonds.(
IDBI Omni Bonds Sr-1 )
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08CS8
INE008A08HV1
14 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 23-0414.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 24/04/2005 14 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 27-0410.65% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:27/04/2005 14 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 28-0410.65% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:28/04/2005 14.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 29/04/2005
INE008A08CX8
INE008A08KL6
INE008A08DC0
INE008A08KM4
INE008A08HW9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A09059
INE008A08SW6
Flexibonds-13 Issue (Series 2002-C), Infrastructure Bonds Option A (Issued in the 10.70% Unsecured Bonds.( IDBI Omni Bonds Series I).
INE008A08KN2
INE008A08WX6
10.65% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:05/05/2005 10.7% Unsecured Non Convertible Omni Bonds Series 1.
INE008A08LC3
INE008A08VG3
13.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:Unsecured Non 13.75% 28/05/2005 Convertible Omni Bonds.
INE008A08BB6
INE008A08BD2
13.55 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date Unsecured 04-0613.5 % of Maturity: Subordinated Bonds.( IDBI Omni Bonds Series I). Date Unsecured 12-0613.5 % of Maturity: Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured 12-069.25% of Maturity: Bonds.( IDBI Omni Bonds 2002/A RRB I). Date of Maturity: 14-069.5% Unsecured Bonds.( IDBI Omni Bonds 2002/A RRB II). Date of Maturity: 14-06-2005 10.7% Unsecured Non Convertible Omni Bonds Series 1.
INE008A08DQ0
INE008A08EK1
INE008A08EL9
INE008A08WW8
INE008A08ED6
11 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Tier II). Date of Maturity: 26-06-
INE008A08XL9
9.25% Unsecured Non Convertible Omni Bonds Series-1. 10.60% Unsecured Bonds.( IDBI Omni Bonds Series I).
14.00% Unsecured Bonds.( IDBI Omni Bonds Sr-1 )
INE008A08TJ1
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08ES4
INE008A08TK9
9.00 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 10.70% Unsecured Bonds.( IDBI Omni Bonds Series I).
INE008A08IA3
INE008A08EB0
14.25% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 20/07/2005 11 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Tier II). Date ofUnsecured Non 10.7% Maturity: 21-07Convertible Omni Bonds Series 1.
INE008A08WL1
INE008A08CY6
INE008A08EY2
10.8 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured 27-079.00% of Maturity: Subordinated Bonds (IDBI OMNI Bonds SeriesI.OMNI-1-2002.AUG059.25% Unsecured SubordinatedBonds (IDBI OMNI Bonds SeriesI.OMNI-1-2002.AUG0512.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:10/08/2005
INE008A08EZ9
INE008A08KO0
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08KP7
INE008A08KQ5
12.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:11/08/2005 12.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:16/08/2005 8.40% Unsecured Bonds (IDBI OMNI Bonds SeriesI).Date of Maturity :22/08/2005 14.25 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 28-0813.75% Unsecured Bonds.( IDBI Omni Bonds Series I).
INE008A08EX4
INE008A08DV0
INE008A08TB8
INE008A08NM8
13.75% Unsecured Bonds.( IDBI Omni Bonds Sr-I.) 14.25% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 02/09/2005 8.75% Unsecured Bonds (IDBI OMNI Bonds SeriesI.OMNI-1-2002.SEPT0501).Date of Maturity 9.00% Unsecured Bonds (IDBI OMNI Bonds SeriesI.OMNI-1-2002.SEPT0503).Date of Maturity Flexibonds-12 Issue (Series 2002-B), Infrastructure (Tax Saving) Bond Option C 9.00% Unsecured Bonds.( IDBI Omni Bonds 2002/B RRB I). Date ofUnsecured Bonds 8.50% (IDBI OMNI Bonds SeriesI.Date of Maturity :05/10/2005 8.75% Unsecured Bonds (IDBI OMNI Bonds SeriesI.Date of Maturity :05/10/2005
INE008A08IC9
INE008A08FE1
INE008A08FF8
INE008A08AI3
INE008A08FR3
INE008A08FK8
INE008A08FL6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08BS0
INE008A08KR3
12 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 10-1012.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:10/10/2005 12.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:11/10/2005 12% Unsecured Non Convertible Omni Bonds Series 1.
INE008A08KS1
INE008A08WU2
INE008A08BP6
INE008A08SX4
12 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 03-1111.80% Unsecured Bonds.( IDBI Omni Bonds Series I).
INE008A08FV5
INE008A08FW3
8.50% Unsecured Bonds.( IDBI Omni Bonds Sr. I- 2002-NOV0501). Date of 9.00% Unsecured Bonds.( IDBI Omni Bonds Sr. I- 2002-NOV0503). Date of 12.00% Unsecured Bonds.( IDBI Omni Bonds Sr-1 Tier II). Date of Maturity: 07/11/2005 8.25% Unsecured Bonds.( IDBI Omni Bonds Sr. I- 2002-NOV0801). Date of 8.50% Unsecured Bonds.( IDBI Omni Bonds Sr. I- 2002-NOV0803). Date of 12.00% Unsecured Bonds.( IDBI Omni Bonds Sr-1 Tier II). Date of Maturity: 08/11/2005 11.75% Unsecured Bonds (IDBI OMNI Bonds Series-I)
INE008A08HL2
INE008A08GA7
INE008A08GB5
INE008A08HM0
INE008A08RD8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08BE0
INE008A08XS4
12 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Tier II). Date Unsecured Non 14% of Maturity: 09-11Convertible Omni Bonds Series-1.
INE008A08KW3
INE008A08YC6
14.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 16/11/2005 11.6% Unsecured Non Convertible Redeemable omni bonds.Series I
INE008A09539
INE008A09075
8.25% Flexibond-15 Unsecured Infrastructure (Tax Saving Bond) Option A - Section Flexibonds-13 Issue (Series 2002-C), Infrastructure Bonds Option Unsecuredin the 8.00% C (Issued Bonds.( IDBI Omni Bonds Sr. I- 2002-DEC0501). Date of 8.25% Unsecured Bonds.( IDBI Omni Bonds Sr. I- 2002-DEC0503). Date of 11.6 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured 06-127.75% of Maturity: Bonds.( IDBI Omni Bonds Sr. I- 2002-DEC0901). Date of 8.00% Unsecured Bonds.( IDBI Omni Bonds Sr. I- 2002-DEC0903). Date of 11.50% Unsecured Bonds.( IDBI Omni Bonds Series I).
INE008A08GF6
INE008A08GG4
INE008A08BQ4
INE008A08GK6
INE008A08GL4
INE008A08SY2
INE008A08YD4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08GQ3
INE008A08GR1
7.50% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-JAN0601) Date of 8.00% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-JAN0603) Date of 8.00% Flexibond-16 Unsecured Infrastructure (Tax Saving Bond) Option A - Section 14 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured 03-027.25% of Maturity: Bonds.( IDBI Omni Bonds Sr.I-2003-FEB0501) Date of 7.50% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-FEB0503) DateUnsecured 14.00% of Bonds. (IDBI OMNI Bonds Series -1.)
INE008A09588
INE008A08BH3
INE008A08GY7
INE008A08GZ4
INE008A08PA8
INE008A08ER6
INE008A08HD9
14 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured 10-027.00% of Maturity: Bonds.( IDBI Omni Bonds Sr.I-2003-FEB1001) Date of 7.25% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-FEB1003) Date Bank Rate Omni 2.25% + of Bonds -2003/A Floating Rate Bonds Option-A.
INE008A08HE7
INE008A08MJ6
INE008A08ID7
INE008A08IE5
14.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:23/02/2006 14.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:24/02/2006
INE008A08EC8
11.1 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Tier II). Date Flexibond-17 26-027.25% of Maturity: Unsecured Infrastructure (Tax Saving Bond) - Option A Section 88 issued in the form 7.25% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAR0501) (with put/call option) 6.75% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAR0503)
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08CB4
INE008A08CC2
11 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 07-0311 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateOmni Bonds 08-037.00% of Maturity: 2003/B Option-A
INE008A08MT5
INE008A08IF2
INE008A08IG0
13.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:22/03/2006 13.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:23/03/2006 11 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 27-0311 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 28-0311 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 29-0310.25% Unsecured Bonds.( IDBI Omni Bonds Series I).
INE008A08CW0
INE008A08DB2
INE008A08DH9
INE008A08TO1
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08IH8
INE008A08LN0
13.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:31/03/2006 6.75% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAR3101) (with put/call option) 6.75% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAR3103) 7.00% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAR31 (R) -01) 7.25% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAR31 (R) -03) Unsecured 10.25% Bonds.( IDBI Omni Bonds Series I).
INE008A08LO8
INE008A08MD9
INE008A08ME7
INE008A08TQ6
INE008A08UN1
13.50% Unsecured Bonds.( IDBI Omni Bonds Series I). 13.25% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:06/04/2006Omni 13.50% Unsecured Bonds Series-1.
INE008A08II6
INE008A08OE3
INE008A08QY6
13.50% Unsecured Bonds (IDBI OMNI Bonds Series-I) 12.75% Unsecured Non Convertible Omni Bonds Series 1. 7.00% Flexibond-18 Unsecured Infrastructure (Tax Saving) Bonds Option A - issued in Non 12.75% Unsecured the Convertible Omni Bonds Series-1.
INE008A08WO5
INE008A09794
INE008A08XO3
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08NY3
INE008A08GW1
7.25% Unsecured Bonds.( IDBI Omni Bonds Series - I APRIL3001. ) 10.50% Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured IDBI 7.30% of Maturity: Omni Bonds Series I.
INE008A08MX7
INE008A08UM3
10.75% Unsecured Bonds.( IDBI Omni Bonds Series I). 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:04/05/2006 7.00% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAY0501) . Unsecured 7.25% Bonds.( IDBI Omni Bonds Sr.I-2003-MAY0503) . 12.75% Unsecured Non Convertible Redeemable omni bonds.Series I
INE008A08IJ4
INE008A08MY5
INE008A08MZ2
INE008A08YA0
INE008A08IK2
INE008A08SV8
12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:10/05/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I).
INE008A08XP0
12.75% Unsecured Non Convertible Omni Bonds Series-1. 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:13/05/2006 10.8 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 14-05-
INE008A08IL0
INE008A08CF5
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08IM8
INE008A08CH1
12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:14/05/2006 10.75 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 15-0512.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:17/05/2006 Flexibond-15 -Unsecured Infrastructure (Tax Saving Bond) - Option C Section 88(issued in the 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:25/05/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:26/05/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:27/05/2006 10.75 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 28-0512.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:28/05/2006 14 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 31-0512.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:01/06/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:02/06/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:03/06/2006
INE008A08IN6
INE008A09554
INE008A08IO4
INE008A08IP1
INE008A08IQ9
INE008A08DD8
INE008A08IR7
INE008A08DN7
INE008A08IS5
INE008A08IT3
INE008A08IU1
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08ND7
INE008A08NE5
6.85% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-JUNE0501) . Unsecured 7.00% Bonds.( IDBI Omni Bonds Sr.I-2003-JUNE0502) . Unsecured 7.25% Bonds.( IDBI Omni Bonds Sr.I-2003-JUNE0503) . MIBOR + 1.5% Unsecured Bonds.( IDBI Omni Bonds Sr.I)
INE008A08NF2
INE008A08NK2
INE008A08BZ5
INE008A08IV9
10.15 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 06-0612.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:07/06/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:08/06/2006 6.75% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-June0901) 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:10/06/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:11/06/2006 6.50% Unsecured Omni Bonds Series-1-June-1403..
INE008A08IW7
INE008A08NL0
INE008A08IX5
INE008A08IY3
INE008A08OC7
INE008A08PE0
6.75% Unsecured Bonds.( IDBI Omni Bonds Series I) 6.65% Unsecured Bonds.( IDBI Omni Bonds Series - I-JUNE1601. )
INE008A08NZ0
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08LD1
INE008A08VI9
12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:Unsecured Non 12.75% 19/06/2006 Convertible Omni Bonds.
INE008A08IZ0
INE008A08HX7
12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:23/06/2006 14.35% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:Unsecured 12.75% 25/06/2006 Bonds.( IDBI Omni Bonds Series I). Date of Maturity:25/06/2006 MIBOR + 1.50% Unsecured Bonds.( IDBI Omni Bonds Series I).
INE008A08JA1
INE008A08OA1
INE008A08HY5
INE008A08JB9
14.35% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:Unsecured 12.75% 26/06/2006 Bonds.( IDBI Omni Bonds Series I). Date of Maturity:28/06/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:29/06/2006 14.35% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:Unsecured 12.75% 01/07/2006 Bonds.( IDBI Omni Bonds Series I). Date of Maturity:01/07/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:02/07/2006 6.40% Unsecured Bonds.(IDBI OMNI Bonds Series I)
INE008A08JC7
INE008A08HZ2
INE008A08JD5
INE008A08JE3
INE008A08PF7
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08VA6
6.50% Unsecured Non Convertible Omni Bonds. 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:05/07/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:07/07/2006 6.85% Unsecured Omni Bonds Series-1-July-0702.
INE008A08JF0
INE008A08JG8
INE008A08OG8
INE008A08OH6
7.25% Unsecured Omni Bonds Series-1-July-0703. 6.50% Unsecured Omni Bonds Series-1-July-0701. 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:08/07/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:09/07/2006 6.65% Unsecured Omni Bonds Series-1-July-0902.
INE008A08OL8
INE008A08JH6
INE008A08JI4
INE008A08OM6
INE008A08ON4
6.75% Unsecured Omni Bonds Series-1-July-0903. 6.35% Unsecured Omni Bonds Sr. I 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:14/07/2006
INE008A08OR5
INE008A08SQ8
INE008A08JJ2
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08JK0
INE008A09604
12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:16/07/2006 Flexibond-16 -Unsecured Infrastructure (Tax Saving Bond) - Option C Section 88(issued in the 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:20/07/2006 12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:21/07/2006 Mibor+135bps Unsecured Omni Bonds Sr. 1 (Mibor 3)
INE008A08JL8
INE008A08JM6
INE008A08OS3
INE008A08JN4
INE008A08XG9
12.75% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:22/07/2006Non 12.65% Unsecured Convertible Omni Bonds Series-1.
INE008A08OT1
6.35% Unsecured Omni Bonds Sr. 1/1. 6.65% Unsecured Omni Bonds Sr. 1/2. 6.75% Unsecured Omni Bonds Sr. 1/3. 12.75% Unsecured Non Convertible Omni Bonds. 14.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:Unsecured Non 12.75% 31/07/2006 Convertible Omni Bonds Series 1.
INE008A08OU9
INE008A08OV7
INE008A08VJ7
INE008A08IB1
INE008A08WQ0
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08VE8
12.75% Unsecured Non Convertible Omni Bonds. 12.75% Unsecured Bonds. (IDBI OMNI Bonds Series-1). 14.30% Unsecured Bonds (IDBI OMNI Bonds Series-I) 12.65% Unsecured Bonds.( IDBI Omni Bonds Sr-I. ) 14.3% Unsecured Non Convertible Omni Bonds. 12.70% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:05/08/2006 Mibor+1.25% Unsecured Omni Bonds Sr. 1 (Mibor 4)
INE008A08PV4
INE008A08QL3
INE008A08NP1
INE008A08WJ5
INE008A08JO2
INE008A08OY1
INE008A08PG5
INE008A08PH3
6.25% Unsecured Bonds. (IDBI OMNI Bonds Series-1-AUG0501). 6.50% Unsecured Bonds. (IDBI OMNI Bonds Series-1-AUG0502). Unsecured Bonds. 6.75% (IDBI OMNI Bonds Series1-AUG05-03 ).
INE008A08PI1
INE008A08BM3
INE008A08JP9
12.5 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 06-0812.70% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:10/08/2006 12.60% Unsecured Bonds.( IDBI Omni Bonds Series I).
INE008A08SO3
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08EW6
INE008A08PN1
12.60% Unsecured Subordinated Bonds (IDBI OMNI Bond SeriesI).Date Unsecured Bonds. 6.15% of Maturity (IDBI OMNI Bonds Series1-AUG11-01 ).
INE008A08OW5
INE008A08XM7
MIBOR + 1.05% Unsecured Bonds. (IDBI OMNI Bonds Seies 1MIBORUnsecured Non 12.7% 5). Convertible Omni Bonds Series-1.
INE008A08XN5
12.7% Unsecured Non Convertible Omni Bonds Series-1. 12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:17/08/2006 12.6% Unsecured Non Convertible Omni Bonds.
INE008A08JQ7
INE008A08VB4
INE008A08PP6
6.25% Unsecured Bonds. (IDBI OMNI Bonds Series1-AUG18-02 ). 6.60% Unsecured Bonds. (IDBI OMNI Bonds Series1-AUG18-03 ). 5.90% Unsecured Bonds. (IDBI OMNI Bonds Series1-AUG18-01 ). 12.5% Unsecured Non Convertible Omni Bonds Series-1. 12.6 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 30-0812.40% Unsecured Bonds.(
IDBI Omni Bonds Sr-1 )
INE008A08PQ4
INE008A08OX3
INE008A08XJ3
INE008A08DL1
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08JW5
INE008A08PD2
12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:31/08/2006 12.45% Unsecured Bonds.( IDBI Omni Bonds Series I)
INE008A08JX3
INE008A08JY1
12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:02/09/2006 12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:03/09/2006 Flexibond-17 -Unsecured
Infrastructure (Tax Saving Bond) - Option C - Section 88 issued in the form of
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08QC2
INE008A08QD0
5.50% Unsecured Bonds.( IDBI Omni Bonds Series I-SEPT0401). (put & Call on 5.50% Unsecured Bonds.( IDBI Omni Bonds Series I-SEPT0402) (Put & Call option on 6.00% Unsecured Bonds.( IDBI Omni Bonds Series I-SEPT0403) 12.35% Unsecured Non Convertible Omni Bonds Series-1.
INE008A08QE8
INE008A08XI5
INE008A08JZ8
INE008A08BN1
12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:07/09/2006 12.5 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 08-0912.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:08/09/2006 12.4% Unsecured Non Convertible Omni Bonds Series-1.
INE008A08KA9
INE008A08XK1
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08QZ3
12.50% Unsecured Bonds (IDBI OMNI Bonds Series-I) 12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:14/09/2006 7.06% Omni Bonds 2003/B Option-C.
INE008A08KC5
INE008A08MV1
INE008A08KB7
INE008A08KD3
12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:15/09/2006 12.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:16/09/2006Non 12.45% Unsecured Convertible Omni Bonds Series-1.
INE008A08XH7
INE008A08KE1
INE008A08QN9
12.35% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:22/09/2006 5.40% Unsecured Bonds (IDBI OMNI Bonds SeriesI-SEP22-01). Put/call option on 22nd 5.40% Unsecured Bonds (IDBI OMNI Bonds SeriesI-SEP22-02). Put/call option on 22nd 5.90% Unsecured Bonds (IDBI OMNI Bonds SeriesI-SEP22-03).
INE008A08QO7
INE008A08QP4
INE008A08KF8
INE008A08WV0
12.35% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:24/09/2006Non 12.35% Unsecured Convertible Omni Bonds Series 1.
INE008A08YG7
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08KG6
INE008A08EF1
12.35% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:28/09/2006 12.4 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Tier II). Date ofOmni 2001B 9.75% Maturity: 29-09Regular Return Bond-II. Date of Maturity: 01/10/2006 12.35% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:04/10/2006 6.15% Unsecured Bonds.( IDBI Omni Bonds Series I).
INE008A08EP0
INE008A08KH4
INE008A08SR6
INE008A08KI2
INE008A08KJ0
12.35% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:05/10/2006 12.35% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:06/10/2006 12.3% Unsecured Non Convertible Omni Bonds Series-1.
INE008A08XV8
INE008A08RI7
INE008A08RJ5
5.50% Unsecured Bonds (IDBI OMNI Bonds SeriesI-OCT07-01). Put & Call/call option on 07th 5.50% Unsecured Bonds (IDBI OMNI Bonds SeriesI-OCT09-01). Put & Call/call option on 09th 5.40% Unsecured Bonds (IDBI OMNI Bonds SeriesI-OCT09-02). Put & Call/call option on 09th 5.90% Unsecured Bonds (IDBI OMNI Bonds SeriesI-OCT09-03).
12.30% Unsecured Bonds.( IDBI Omni Bonds Sr-1 )
INE008A08RK3
INE008A08RL1
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08VZ3
12.25% Unsecured Non Convertible Omni Bonds. 5.40% Unsecured Bonds (IDBI OMNI Bonds SeriesI OCT20-01) Flexibond-18 -Unsecured Infrastructure (Tax Saving) Bonds - Option C - issued in the form of 12.35% Unsecured Bonds.( IDBI Omni Bonds Series I).
INE008A08RQ0
INE008A09810
INE008A08TT0
INE008A08VK5
12.3% Unsecured Non Convertible Omni Bonds. 12.35% Unsecured Non Convertible Omni Bonds. 5.40% Unsecured Bonds (IDBI OMNI Bonds SeriesI NOV05-02) 5.90% Unsecured Bonds (IDBI OMNI Bonds SeriesI NOV05-03) 12.25% Unsecured Bonds - IDBI OMNI Bonds Series-I 5.25% Unsecured Bonds (IDBI OMNI Bonds SeriesI NOV06-01) 12.25% Unsecured Non Convertible Omni Bonds Series 1. 12.25 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured 02-125.25% of Maturity: Bonds.( IDBI Omni Bonds Series I DEC 0501).
INE008A08VH1
INE008A08SI5
INE008A08SJ3
INE008A08YE2
INE008A08SN5
INE008A08WP2
INE008A08BG5
INE008A08TC6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08TD4
INE008A08TE2
5.40% Unsecured Bonds.( IDBI Omni Bonds Series I Dec 0502). Unsecured 5.75% Bonds.( IDBI Omni Bonds Series I DEC 0503). Unsecured 5.95% Bonds.( IDBI Omni Bonds Series I).
INE008A08TY0
INE008A08HI8
INE008A08UI1
9.75% Unsecured Bonds.( IDBI Omni Bonds Series-1) Date of Maturity:12/12/2006 5.75% Unsecured Non Convertible Omni Bonds 2003D- Option A.
11.90% Unsecured Bonds.( IDBI Omni Bonds Sr-1 )
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A09919
INE008A08UB6
5.75% Flexibond-19 Unsecured Infrastructure (Tax Saving) Bonds Option Unsecuredin the 5.90% A - issued Non Convertible Omni Bonds 2003/F & 2004/A Regular Return Bonds 5.75% Unsecured Non Convertible Omni Bonds 2003E- Option A.
INE008A08UP6
INE008A08AO1
Flexibonds-11, Growing Interest Bond Flexibonds-11, Money Multiplier Bond Option A Flexibonds-11 , Infrastructure (Tax Saving) Bond Option B 6.00% Unsecured Non Convertible Omni Bonds 2004/B.
INE008A08AP8
INE008A08AS2
INE008A08UU6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08UV4
6.40% Unsecured Non Convertible Omni Bonds 2004/C. 5.50% Unsecured Infrastructure (Tax Saving) Bonds - Option A - issued in the form of 9.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:07/03/2007 Flexibonds-12 Issue (Series 2002-B), Growing Interest Bond
INE008A09AD2
INE008A08KT9
INE008A08AD4
INE008A08KU7
INE008A08KK8
9.50% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:18/03/2007 12.30% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity:20/03/2007 9% Unsecured Non Convertible Omni Bonds Series 1.
INE008A08XX4
INE008A08QB4
9.70% Unsecured Bonds. (IDBI OMNI Bonds Series1) Flexibonds-21 5.50% Unsecured Infrastructure (Tax Saving) Bonds Option A - issued in the Flexibonds-13 Issue (Series 2002-C), Infrastructure Bonds Option B (Issued in the Unsecured Non Convertible Omni Bonds 2003D- Option C.
INE008A09AO9
INE008A09067
INE008A08UK7
INE008A08RZ1
9.50% Unsecured Bonds (IDBI OMNI Bonds SeriesI) 6.80% Unsecured Bonds IDBI OMNI Bonds Series 2004F
INE008A08YH5
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A09935
INE008A08UR2
Flexibond-19 -Unsecured Infrastructure (Tax Saving) Bonds - Option C - issued in the form of Unsecured Non Convertible Omni Bonds 2003E- Option C.
INE008A09505
INE008A08FA9
Flexibonds-15 Unsecured Money Multiplier Bonds Option-A(issued in the form ofUnsecured 9.50% Promissory Subordinated Bonds (IDBI OMNI Bonds SeriesI).OMNI-1-2002.AUG059.25% Unsecured Bonds (IDBI OMNI Bonds SeriesI.OMNI-1-2002.SEPT0505).Date of Infrastructure Unsecured Maturity (Tax Saving) Bonds Option C - issued in the form of Promissory 9.50% Felxibonds-14 UnsecuredRegular Income Bonds Option-A (issued in the form of 9.15% Felxibonds-14 Unsecured Regular Income Bonds Option-B (issued in the form of 9.00% Felxibonds-14 Unsecured Regular Income Bonds Option-C (issued in the form of Felxibonds-14 Unsecured Growing Interest Bonds (issued in the form of Promissory Notes) 12.4 % Unsecured Subordinated Bonds.( IDBI Omni Bonds Tier II). Date ofUnsecured Bonds 9.25% Maturity: 29-09(IDBI OMNI Bonds SeriesI.Date of Maturity :05/10/2007 Reset rate (annual reset ) Unsecured Bonds. (IDBI Omni Bonds 2004 NRRB)
INE008A08FG6
INE008A09AF7
INE008A09349
INE008A09356
INE008A09364
INE008A09406
INE008A08EG9
INE008A08FM4
INE008A08YX2
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08LF6
INE008A09AQ4
12.00% Unsecured Bonds.( IDBI Omni Bonds Series I). Date of Maturity: 18/10/2007 Flexibonds-21 Unsecured Infrastructure (Tax Saving) Bonds - Option C - issued Unsecured of 12.00% in the form Bonds.( IDBI Omni Bonds Series I). Date of Maturity:27/10/2007 12% Unsecured Non Convertible Omni Bonds.
INE008A08KV5
INE008A08VF5
INE008A08FX1
INE008A08OD5
9.25% Unsecured Bonds.( IDBI Omni Bonds Sr. I- 2002-NOV0505). Date of 12.00% Unsecured Omni Bonds Series-1.
INE008A08GC3
INE008A09430
9.00% Unsecured Bonds.( IDBI Omni Bonds Sr. I- 2002-NOV0805). Date of Unsecured Felxibonds-14 Money Multiplier Bonds Option-A(issued in the form Unsecured Bonds 12% of Promissory IDBI OMNI Bonds SeriesI
INE008A08YF9
INE008A08WM9
12% Unsecured Non Convertible Omni Bonds Series 1. 12% Unsecured Non Convertible Omni Bonds. 9.40% Flexibonds-15 Unsecured Regular Income Bonds Option-A (issued in the form of 9.00% Flexibonds-15 Unsecured Regular Income Bonds Option-B (issued in the form of
INE008A08VY6
INE008A09463
INE008A09471
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A09570
INE008A08QM1
Flexibonds-15 Unsecured Growing Interest Bonds (issued in the form of Promissory Notes) 12.00% Unsecured Bonds (IDBI OMNI Bonds Series-I)
INE008A08GH2
INE008A08GM2
8.75% Unsecured Bonds.( IDBI Omni Bonds Sr. I- 2002-DEC0505). Date of 8.50% Unsecured Bonds.( IDBI Omni Bonds Sr. I- 2002-DEC0905). Date of 11.75% Unsecured Non Convertible Omni Bonds.
INE008A08VO7
INE008A08PX0
13.00% Unsecured Bonds. (IDBI OMNI Bonds Series-1) 8.25% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-JAN0605) Date of 11.2% Unsecured Non Convertible Omni Bonds.
INE008A08GS9
INE008A08VQ2
INE008A09596
INE008A09612
8.25% Flexibond-16 Unsecured Infrastructure (Tax Saving Bond) Option B - Section Flexibond-16 -Unsecured Infrastructure (Tax Saving Bond) - Option D Section 88(issued in the 13.00% Unsecured Subordinated Bonds.( IDBI Omni Bonds Series I). DateUnsecured 8.00% of Maturity: Bonds.( IDBI Omni Bonds Sr.I-2003-FEB0505) Date of 7.75% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-FEB1005) Date of
INE008A08GX9
INE008A08HA5
INE008A08HF4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08HJ6
INE008A08MK4
7.50% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-FEB1205) Date Bank Rate Omni 2.50% + of Bonds -2003/A Floating Rate Bonds Option-B.
INE008A08SD6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08MU3
7.25% Omni Bonds 2003/B Option-B 7.50% Unsecured Bonds.( IDBI Omni Bonds Series - I. ) 7.60% Unsecured Bonds.( IDBI Omni Bonds Series - I. ) 7.60% Unsecured Bonds.( IDBI Omni Bonds Series - I. ) 7.60% Unsecured Bonds.( IDBI Omni Bonds Series - I. ) 10.5% Unsecured Non Convertible Omni Bonds. 7.00% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAR3105)
INE008A08NW7
INE008A08NV9
INE008A08NR7
INE008A08NU1
INE008A08VP4
INE008A08LP5
INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA INDUSTRIAL DEVELOPMENT BANK OF INDIA
INE008A08MF4
INE008A08QV2
7.50% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAR31 (R) -05) Unsecured 10.30% Bonds (IDBI OMNI Bonds Series-I)
INE008A08NX5
7.50% Unsecured Bonds.( IDBI Omni Bonds Series - I. ) 10.5% Unsecured Non Convertible Redeemable omni bonds.Series I 11.9% Unsecured Non Convertible Omni Bonds. 7.25% Flexibond-18 Unsecured Infrastructure (Tax Saving) Bonds Option B - issued in the Flexibond-18 -Unsecured Fixed Option/Floating Option Bonds issued in the formUnsecured 11.25% of Promissory Bonds.( IDBI Omni Bonds Sr-1 Tier II). Date of Maturity: 26/04/2008 11.25% Unsecured Bonds.( IDBI Omni Bonds Sr-1 Tier II). Date of Maturity: 30/04/2008 11.25% Unsecured Bonds.( IDBI Omni Bonds Sr-1). 9.25% Unsecured NonConvertible Bonds (IIBI USB May 2002) Letter of Allotment. Date of Non9.50% Unsecured Convertible Bonds (IIBI USB April 2002) Letter of Allotment. Date of Non9.30% Unsecured Convertible Bonds (IIBI USB October 2002). Date of Maturity : 01/11/2007.
INE008A08YB8
INE008A08WK3
INE008A09802
INE008A09836
INE008A08HO6
INE008A08HP3
INE008A08MI8
INDUSTRIAL INE237F08DR2 INVESTMENT BANK OF INDIA INDUSTRIAL INE237F08DQ4 INVESTMENT BANK OF INDIA INDUSTRIAL INE237F08DX0 INVESTMENT BANK OF INDIA
Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited
Industrial Investment Bank of India Limited
INE237F08642
INE237F08733
Reset rate Multi-Option Bonds (IIBI MOB-IV, Option -D Step Up Bond), Date of Maturity: 1-Aug12.75% Multi Option Bonds (IIBI/MOB I Option C) Dt. of Maturity 01/10/2002 SLR Bonds 11.00% IIBI (14th Series Nov. 2002), Date of Maturity: 16-Nov02. 12.10% Unsecured Non
Convertible Bonds (IIBI UNS W S-I), Date of Maturity: 1-Dec-02.
INE237F08DA8
INE237F08BE4
INE237F08CC6
12.10% Unsecured Non Convertible Bonds (IIBI UNS W S-II), Date of Maturity: 1-Jan-03.
Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited
Industrial Investment Bank of India Limited
INE237F08261
INE237F08246
14.50% Unsecured Non Convertible Bonds (IIBI UNS-M), Date of Maturity:Unsecured Non 14.75% 30-Mar-03. Convertible Bonds (IIBI UNS-M1), Date of Maturity:Unsecured Non 14.50% 31-Mar-03. Convertible Bonds (IIBI UNS-M), Date of Maturity: 31-Mar-03. 11.75% Unsecured Non
Convertible Bonds (IIBI UNS W sa), Date of Maturity: 31-Mar-03.
INE237F08253
INE237F08CN3
INDUSTRIAL INE237F08113 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08121 INVESTMENT BANK OF INDIA LIMITED
11.00% Unsecured Non Convertible Bonds(IIBI USB May 2000). Letter of Allotment.Date of Non 11.25% Unsecured Convertible Bonds(IIBI USB May 2000). Letter of Allotment.Date of
Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited
INE237F08295
INE237F08303
13.50% Unsecured Non Convertible Bonds (IIBI UNS-P), Date of Maturity: 1-Jul-03. 13.5% Unsecured Non Convertible Bonds (IIBI UNS-P), Date of Maturity: 1-Aug-03. 13.75% Multi-Option Bonds (IIBI MOB-IV) Option -B, Date of Maturity:Unsecured Non 12.00% 1-Aug-03. Convertible Bonds(IIBI USB August 2000). Letter of Allotment.Date of 13.75% Multi-Option Bonds (IIBI MOB-IV, Option B), Date of Maturity:Unsecured Non 12.00% 1-Sep-03. Convertible Bonds(IIBI USB September 2000). Letter ofUnsecured Non 12.00% Allotment.Date Convertible Bonds(IIBI USB September 2000). Letter ofMulti-Option 13.75% Allotment.Date Bonds (IIBI MOB-IV, Option-B), Date of Maturity:Unsecured Non 12.15% 1-Oct-03. Convertible Bonds (IIBI USB OCTOBER 2000), Date of Maturity: 1-Nov12.15% Unsecured Non Convertible Bonds (IIBI USB December 2000), Date of Maturity: 1-Jan10.90% Unsecured Non Convertible Bonds (IIBI USB MARCH 2001), Date of Maturity: 31-Mar10.70% Unsecured Non Convertible Bonds (IIBI USB MARCH 2001), Date Multi Option Bonds 13.80%of Maturity: 31-Mar(IIBI/MOB VI Option C) Date of Maturity: 31/03/2004
INE237F08691
INDUSTRIAL INE237F08071 INVESTMENT BANK OF INDIA LIMITED Industrial Investment Bank of India Limited INE237F08659
INDUSTRIAL INE237F08097 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08105 INVESTMENT BANK OF INDIA LIMITED Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited
Industrial Investment Bank of India Limited
INE237F08683
INE237F08212
INE237F08170
INE237F08188
INE237F08196
INE237F08AA4
INE237F08AB2
13.60% Multi Option Bonds (IIBI/MOB VI Option D) Date of Maturity: 31/03/2004 13.75% Multi Option Bonds (IIBI/MOB VI Option C) Date of Maturity: 31/03/2004 13.60% Multi Option Bonds (IIBI/MOB VI Option D) Date of Maturity: 01/05/2004 13.80% Multi Option Bonds (IIBI/MOB VI Option C) Date of Maturity: 01/05/2004 12.50% Multi Option Bonds IIBI/MOB VI (C) Option E Date of Maturity: 01/05/2004 12.50% Multi Option Bonds IIBI/MOB VI (C) Option E Date of Maturity: 01/07/2004
INE237F08AC0
INE237F08AG1
INE237F08AH9
INE237F08AI7
INE237F08AK3
INDUSTRIAL INE237F08EW0 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08FA3 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08FE5 INVESTMENT BANK OF INDIA LIMITED Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited
Industrial Investment Bank of India Limited
Unsecured Interim Coupon Bonds, 2003 (I). Unsecured Interim Coupon Bonds, 2003 (V) Unsecured Interim Coupon Bonds, 2003 (IX) 8.85% Unsecured NonConvertible Bonds (IIBI/USB/Sept., 2001) Dt. of MaturityOption 13.00% Multi Bonds (IIBI/MOB I Option E) Dt. of Maturity 01/10/2004 12.50% Unsecured Non
Convertible Bonds (IIBI UNS W H-II), Date of Maturity: 01-Oct-04.
INE237F08469
INE237F08717
INE237F08BA2
INE237F08CB8
12.45% Unsecured Non Convertible Bonds (IIBI UNS W J), Date of Maturity: 1-Oct-04.
INE237F08741
INE237F08BL9
13.00% Multi Option Bonds (IIBI/MOB I Option E) Date of Maturity 01/11/2004 12.50% Unsecured Non
Convertible Bonds (IIBI UNS W H-I), Date of Maturity: 01-Nov-04.
INE237F08CD4
12.65% Unsecured Non Convertible Bonds (IIBI UNS W M), Date of Maturity: 1-Nov-04. 12.30% Unsecured Non Convertible Bonds (IIBI UNS W N-I), Date of Maturity: 01-Dec-04.
INE237F08BC8
Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited
Industrial Investment Bank of India Limited
INE237F08DC4
INE237F08543
12.50% Unsecured Non Convertible Bonds (IIBI UNS W - H-III), Date of Maturity: 01-Dec-04. 9.40% Unsecured NonConvertible Bonds (IIBI/USB/ Dec., 2001) Dt. of Maturity 01/01/2005 8.85% Unsecured NonConvertible Bonds (IIBI/USB/ Dec., 2001) Dt. of Maturity 01/01/2005 8.85% Unsecured NonConvertible Bonds (IIBI/USB/ Dec., 2001) Dt. of Maturity 01/01/2005 13.50% IIBI Multiple Option Bonds (IIBI MOBII), Date of Maturity: 1Feb-05. 12.00% Unsecured Non
Convertible Bonds (IIBI UNS W x), Date of Maturity: 1-Mar-05.
INE237F08568
INE237F08576
INE237F08238
INE237F08CL7
8.40% Unsecured Non Convertible Bonds(IIBI USB March 2002). Letter of Allotment.Date 12.25% Unsecured Nonof
Convertible Bonds (IIBI UNS W XA), Date of Maturity: 31-Mar-05.
INE237F08BM7
12.10% Unsecured Non Convertible Bonds (IIBI UNS W XB-I), Date of Maturity: 31-Mar-05.
INE237F08CQ6
INDUSTRIAL INE237F08055 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08063 INVESTMENT BANK OF INDIA LIMITED
Industrial Investment Bank of India Limited INE237F08BB0
11.80% Unsecured Non Convertible Bonds (IIBI USB W (XC)), Date of Maturity:Unsecured Non 11.50% 31-Mar-05. Convertible Bonds(IIBI USB April 2000). Letter of Allotment.Date of Non 12.10% Unsecured Convertible Bonds(IIBI USB April 2000). Letter of Allotment.Date of 12.10% Unsecured Non
Convertible Bonds (IIBI UNS W XB-II), Date of Maturity: 01-May05.
INDUSTRIAL INE237F08139 INVESTMENT BANK OF INDIA LIMITED Industrial Investment Bank of India Limited Industrial Investment Bank of India Limited INE237F08311
11.50% Unsecured Non Convertible Bonds(IIBI USB May 2000). Letter of Allotment.Date of Non 13.8% Unsecured Convertible Bonds (IIBI UNS-P), Date of Maturity: 1-Jul-05. 14.00% Multi-Option Bonds (IIBI MOBIV)Option-C, Date of Maturity: 1-Jul-05. Unsecured Interim Coupon Bonds, 2003 (II). Unsecured Interim Coupon Bonds, 2003 (VI) 14.00% Multi-Option Bonds (IIBI MOB-IV, Option C), Date of Maturity: 1-Sep-05. 9.00% Unsecured NonConvertible Bonds (IIBI USB August 2002) Letter of Allotmen.Interimof Unsecured Date Coupon Bonds, 2003 (X) 12.10% Unsecured Non Convertible Bonds(IIBI USB September 2000). Letter of Allotment.Date
INE237F08709
INDUSTRIAL INE237F08EX8 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08FB1 INVESTMENT BANK OF INDIA LIMITED Industrial Investment Bank of India Limited INE237F08667
INDUSTRIAL INE237F08DD2 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08FF2 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08089 INVESTMENT BANK OF INDIA LIMITED
INE237F08675
INE237F08AX6
14.00% Multi-Option Bonds (IIBI MOB-IV, Option C), Date of Maturity: Bonds 2005 14.00% IRBI1-Oct-05. (Series
24)
INE237F08204
INE237F08AQ0
12.15% Unsecured Non Convertible Bonds (IIBI USB OCTOBER 2000), Date Unsecured Non 14.20%of Maturity: 1-NovConvertible Bonds (IIBI USB-U Option E), Date of Maturity: 1-Mar06.
INE237F08626
INE237F08AE6
9.30% Unsecured NonConvertible Bonds (IIBI/USB/ March., 2002) Dt. of Multi Option 14.00% Maturity Bonds
(IIBI/MOB VI Option A) Date of Maturity: 31/03/2006
INE237F08AM9
14% Unsecured Non Convertible Bonds (IIBI USB-U Option L), Date of Maturity: 31-Mar-06. 13.7% Unsecured Non Convertible Bonds (IIBI USB-U Option N), Date of Maturity: 31Mar-06. 13.35% Multi Option Bonds IIBI/MOB VI (B) Option G Date of Maturity: 01/05/2006 14.00% Multi Option Bonds (IIBI/MOB VI Option A) Date of Maturity: 01/05/2006 13.15% Multi Option Bonds IIBI/MOB VI (B) Option H Date of Maturity: 01/05/2006 13.25% Unsecured Non Convertible Bonds (IIBI USB-U Option P), Date of Maturity: 1-May06.
INE237F08AO5
INE237F08AD8
INE237F08AJ5
INE237F08AL1
INE237F08AV0
INE237F08428
10.40% Unsecured Non Convertible Bonds (IIBI/USB/MAY 2001), Date of Maturity: 01-06-
INE237F08AF3
13.00% Multi Option Bonds IIBI/MOB VI (C) Option G Date of Maturity: 01/06/2006
7.00% Unsecured Non Convertible Bonds(IIBI USB May 2003). Letter of Allotment. 13.00% Multi Option Bonds
IIBI/MOB VI (C) Option G Date of Maturity: 01/07/2006
INE237F08CG7
12.50% Unsecured Non Convertible Bonds (IIBI UNS W B-II), Date of Maturity: 01-Aug-06.
INE237F08CO1
INDUSTRIAL INE237F08FK2 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08EY6 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08FC9 INVESTMENT BANK OF INDIA LIMITED
Industrial Investment Bank of India Limited INE237F08CF9
12.50% Unsecured Non Convertible Bonds (IIBI UNS W - b-I), Date of Maturity: 01-Aug-06. 7.30% Unsecured Non Convertible Bonds(IIBI USB July 2003). Unsecured Interim Coupon Bonds, 2003 (III). Unsecured Interim Coupon Bonds, 2003 (VII)
12.60% Unsecured Non Convertible Bonds (IIBI UNS W E-I), Date of Maturity: 01-Sep-06.
INDUSTRIAL INE237F08FN6 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08FG0 INVESTMENT BANK OF INDIA LIMITED
Industrial Investment Bank of India Limited INE237F08BO3
7% Unsecured Bond.
INE237F08CE2
INE237F08CH5
12.40% Unsecured Non Convertible Bonds (IIBI UNS W G), Date of Maturity: 01-Oct-06.
INE237F08BH7
12.60% Unsecured Non Convertible Bonds (IIBI UNS W N-II), Date of Maturity: 01-Nov-06. 12.65% Unsecured Non Convertible Bonds (IIBI UNS W K), Date of Maturity: 1-Nov-06.
INE237F08BN5
INE237F08DB6
INE237F08BK1
12.75% Unsecured Non Convertible Bonds (IIBI UNS W - A-I), Date of Maturity: 1-Nov-06. 12.75% Unsecured Non
Convertible Bonds (IIBI UNS W A-III), Date of Maturity: 1-Dec-06.
INE237F08BV8
12.70% Unsecured Non Convertible Bonds (IIBI UNS W P), Date of Maturity: 01-Dec-06. 12.60% Unsecured Non Convertible Bonds (IIBI UNS W Q-I), Date of Maturity: 1-Dec-06. 12.60% Unsecured Non Convertible Bonds (IIBI UNS W Q-II), Date of Maturity: 01-Jan-07. 12.45% Unsecured Non Convertible Bonds (IIBI UNS W Y-I), Date of Maturity: 01-Mar-07. 12.40% Unsecured Non Convertible Bonds (IIBI UNS W w), Date of Maturity: 1-Mar-07. 12.40% Unsecured Non Convertible Bonds (IIBI UNS Z - EIII), Date of Maturity: 31-Mar-07.
INE237F08BZ9
INE237F08AZ1
INE237F08BS4
INE237F08CK9
INE237F08BI5
INE237F08BR6
12.25% Unsecured Non Convertible Bonds (IIBI UNS Z - AII), Date of Maturity: 31-Mar-07. 12.00% Unsecured Non Convertible Bonds (IIBI UNS Z - BI), Date of Maturity: 31-Mar-07. 12.45% Unsecured Non Convertible Bonds (IIBI UNS W Y-II), Date of Maturity: 31-Mar-07. 12.25% Unsecured Non Convertible Bonds (IIBI UNS Z - AI), Date of Maturity: 01-Apr-07. 12.25% Unsecured Non Convertible Bonds (IIBI UNS Z - AIII), Date of Maturity: 01-May-07.
INE237F08BT2
INE237F08CA0
INE237F08BQ8
INE237F08BG9
INDUSTRIAL INE237F08147 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08154 INVESTMENT BANK OF INDIA LIMITED Industrial Investment Bank of India Limited INE237F08CR4
11.50% Unsecured Non Convertible Bonds(IIBI USB May 2000). Letter of Allotment.Date of Non 11.70% Unsecured Convertible Bonds(IIBI USB May 2000). Letter of Allotment.Date of Non 12.40% Unsecured Convertible Bonds (IIBI USB May 2000 Option D., Date of Maturity: Unsecured Interim Coupon Bonds, 2003 (IV). Unsecured Interim Coupon Bonds, 2003 (VIII)
12.80% Unsecured Non Convertible Bonds (IIBI UNS W d), Date of Maturity: 1-Sep-07.
INDUSTRIAL INE237F08EZ3 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08FD7 INVESTMENT BANK OF INDIA LIMITED
Industrial Investment Bank of India Limited INE237F08CM5
INDUSTRIAL INE237F08FH8 INVESTMENT BANK OF INDIA LIMITED Industrial Investment Bank of India Limited INE237F08CV6
Unsecured Interim Coupon Bonds, 2003 (XII) 13.00% IIBI SLR Bonds (20th Series Mar. 2007), Date of Maturity: 16-Sep07.
INE237F08BY2
12.80% Unsecured Non Convertible Bonds (IIBI UNS W U), Date of Maturity: 1-Jan-08.
INE237F08618
INDUSTRIAL INE237F08EH1 INVESTMENT BANK OF INDIA LIMITED INDUSTRIAL INE237F08766 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08766 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08956 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08956 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08857 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08881 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08857 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08881 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08840 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08980 INVESTMENT BANK OF INDIA LTD.
9.90% Unsecured NonConvertible Bonds (IIBI/USB/ March., 2002) Dt. of Maturity 8.10% Unsecured NonConvertible Bonds (IIBI USB March 2003). Letter of Allotment Option 13.75% Multi Bonds (IIBI/MOB III Option B) Dt. of Maturity 01/05/2003 Option 13.75% Multi Bonds (IIBI/MOB III Option B) Dt. of Maturity 01/05/2003 Option 13.25% Multi Bonds (IIBI/MOB V Option B) Date of Maturity:Multi Option 13.25% 01/10/2003 Bonds (IIBI/MOB V Option B) Date of Maturity: 01/10/2003 14% Multi Option Bonds (IIBI USB T OPT C) Date of Maturity 01-12-2003 14.35% Multi Option Bonds (IIBI USB Infrastructure Bonds SRI) Date of Maturity 01-1214% Unsecured NonConvertible Bonds (IIBI USB T OPT C) Date of Maturity Unsecured Non13.00% 01-12-2003 Convertible Bonds (IIBI USB Infrastructure Bonds SR-I)Multi Option Bonds 14% Date of Maturity 01(IIBI USB T OPT C) Date of Maturity 01-01-2004 12.15% Unsecured Non Convertible Bonds (IIBI USB November 2000), Date of Maturity: 1-Jan-
INDUSTRIAL INE237F08840 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08980 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08824 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08824 INVESTMENT BANK OF INDIA LTD. Industrial Investment Bank of India Ltd. INE237F08CP8
14% Unsecured NonConvertible Bonds (IIBI USB T OPT C) Date of Maturity Unsecured Non 12.15% 01-01-2004 Convertible Bonds (IIBI USB November 2000), Date Multi Option1-Jan14% of Maturity: Bonds (IIBI USB T OPT C) Date of Maturity 01-03-2004 14% Unsecured NonConvertible Bonds (IIBI USB T OPT C) Date of Maturity IIBI SLR Bonds 12.50% 01-03-2004 2004 (Series 23) 13.90% Multi Option Bonds (IIBI/MOB III Option C) Dt. of Maturity 01/05/2005 Option 13.90% Multi Bonds (IIBI/MOB III Option C) Dt. of Maturity 01/05/2005 14% Multi Option Bonds (IIBI/MOB IV/Option C) Date of Maturity 01/08/2005 14% Multi Option Bonds (IIBI/MOB IV/Option C) Date of Maturity 01/08/2005 Option 14.00% Multi Bonds (IIBI/MOB V Option D) Date of Maturity:Multi Option 13.70% 01/10/2005 Bonds (IIBI/MOB V Option E) Date of Maturity:Multi Option 14.00% 01/10/2005 Bonds (IIBI/MOB V Option D) Date of Maturity:Multi Option 13.70% 01/10/2005 Bonds (IIBI/MOB V Option E) Date of Maturity: 01/10/2005
INDUSTRIAL INE237F08758 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08758 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08774 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08774 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08907 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08964 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08907 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08964 INVESTMENT BANK OF INDIA LTD.
INDUSTRIAL INE237F08873 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08899 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08873 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08899 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08865 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08949 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08865 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08949 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08832 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08972 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08832 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08972 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08915 INVESTMENT BANK OF INDIA LTD.
14.35% Multi Option Bonds (IIBI USB T OPT B) Date of Maturity 01-112005 Multi Option 14.00% Bonds (IIBI/MOB V Option D) Date of Maturity:Unsecured Non14.35% 01/11/2005 Convertible Bonds (IIBI USB T OPT B) Date of Maturity Multi Option 14.00% 01-11-2005 Bonds (IIBI/MOB V Option D) Date of Maturity:Multi Option 14.35% 01/11/2005 Bonds (IIBI USB T OPT A) Date of Maturity 01-122005 Multi Option 14.00% Bonds (IIBI/MOB V Option D) Date of Maturity:Unsecured Non14.35% 01/12/2005 Convertible Bonds (IIBI USB T OPT A) Date of Maturity Multi Option 14.00% 01-12-2005 Bonds (IIBI/MOB V Option D) Date of Maturity:Multi Option 14.35% 01/12/2005 Bonds (IIBI USB T OPT A) Date of Maturity 01-012006 Multi Option 14.00% Bonds (IIBI/MOB V Option D) Date of Maturity:Unsecured Non14.35% 01/01/2006 Convertible Bonds (IIBI USB T OPT A) Date of Maturity Multi Option 14.00% 01-01-2006 Bonds (IIBI/MOB V Option D) Date of Maturity:Multi Option 14.00% 01/01/2006 Bonds (IIBI/MOB V Option D) Date of Maturity: 01/02/2006
INDUSTRIAL INE237F08915 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08816 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08923 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08931 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08816 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08923 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08931 INVESTMENT BANK OF INDIA LTD. INDUSTRIAL INE237F08808 INVESTMENT BANK OF INDIA LTD. Infrastructure Development Finance Company Limited INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD. INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD. INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD. INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD. INE043D09043
14.00% Multi Option Bonds (IIBI/MOB V Option D) Date of Maturity:Multi Option 14.35% 01/02/2006 Bonds (IIBI USB T OPT A) Date of Maturity 01-032006 Multi Option 14.00% Bonds (IIBI/MOB V Option D) Date of Maturity:Multi Option 13.70% 01/03/2006 Bonds (IIBI/MOB V Option E) Date of Maturity:Unsecured Non14.35% 01/03/2006 Convertible Bonds (IIBI USB T OPT A) Date of Maturity Multi Option 14.00% 01-03-2006 Bonds (IIBI/MOB V Option D) Date of Maturity:Multi Option 13.70% 01/03/2006 Bonds (IIBI/MOB V Option E) Date of Maturity:Multi Option 12.25% 01/03/2006 Bonds (IIBI USB NOV 2000) Date of Maturity 01/01/2008 9% Fully Unsecured redeemable nonconvertible bonds in the nature of promissory 5.05% Unsecured Redemable NonConvertible Debentures. Series IDFC PP 3/2004. 5.09% Unsecured Redemable NonConvertible Debentures. Series IDFC PP 4/2004. 8.40% Unsecured NonMarketable NonConvertible Debenture IDFCSecured Non- of 8.05 1/2003. Date Convertible Debenture IDFC PP 2/2003. Date of Maturity: 15/06/2007.LOA
INE043D08086
INE043D08094
INE043D08029
INE043D08037
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD. INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD. INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD. INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD. INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD. INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD. INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE
INE043D07013
INE043D08045
8.05% Secured NonConvertible Debenture IDFC PP 2/2003. Date of Maturity: 15/06/2007. 6.95% Partly Secured NCD. Series PP3/2003 Letter of Allotment.Date for Maturity: 22/09/2007 6.95% Secured NCD. Series 3/2003.Date for Maturity: 22/09/2007
INE043D07021
INE043D08060
INE043D07047
6.05% Secured NonConvertible Debenture IDFC PP 5/2003. Date of Maturity: 31/12/2007. 6.05% Secured NonConvertible Debenture IDFC PP 5/2003. Date of Maturity: 31/12/2007. 5.35% Unsecured Redemable NonConvertible Debentures. Series IDFC PP 5/2004. 7.25% Secured Redeemable NonConvertible Debentures. Series 2002-II.Letter of 7.50% Secured Redeemable NonConvertible Debentures. Series 2002-II.Letter of 7.70% Secured Redeemable NonConvertible Debentures. Series 2002-II.Letter of 7.95% Secured Redeemable NonConvertible Debentures. Series 2002-II.Letter of 7.50% Secured Redeemable NonConvertible Debentures. Series 2002-II. Letter of 7.95% Secured Redeemable NonConvertible Debentures. Series 2002-II. Letter of 7.70% Secured Redeemable
Non-Convertible Debentures Series 2002-2. Letter of Allotment
INE043D08102
INE871D08BM8
INE871D08BN6
INE871D08BO4
INE871D08BP1
INE871D08BU1
INE871D08BV9
INE871D07CY3
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE
INE871D08BF2
INE871D07CZ0
7.25% Secured Redeemable NonConvertible Debentures Series 2002-XI. Letter of 7.25% Secured Redeemable NonConvertible Debentures Series 2002-XI. 7.95% Secured Redeemable NonConvertible Debentures. Series 2002-II.Letter of 8.40% Secured Redeemable NonConvertible Debentures. Series 2002-II.Letter of 7.95% Secured Redeemable NonConvertible Debentures. Series 2002-II. Letter of 8.40% Secured Redeemable NonConvertible Debentures. Series 2002-II. Letter of 7.00% Secured Redeemable NonConvertible Debentures. Series 2002-XII. Letter of 7.35% Secured Redeemable NonConvertible Debentures Series 2002-XI. Letter of 7.35% Secured Redeemable NonConvertible Debentures Series 2002-XI. 8.05% Secured Redeemable NonConvertible Debentures. Series 2002-II. Letter of 8.50% Secured Redeemable NonConvertible Debentures. Series 2002-II. Letter of 8.05% Secured Redeemable NonConvertible Debentures. Series 2002-II. Letter of
INE871D08BQ9
INE871D08BR7
INE871D08BW7
INE871D08BX5
INE871D08BK2
INE871D08BG0
INE871D07CR7
INE871D08BS5
INE871D08BT3
INE871D08BY3
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D08BZ0
INE871D08BL0
8.50% Secured Redeemable NonConvertible Debentures. Series 2002-II. Letter of 7.00% Secured Redeemable NonConvertible Debentures. Series 2002-XII.Non of 9.40% Secured Letter Convertible Debenture, 2000 Series II, Date of maturity :05/03/2002 8.95% Secured Non Convertible Debenture, 2000 Series II, Date of maturity :02/04/2002. 8.85% Secured Non Convertible Debenture, 2000 Series II, Date of maturity Secured Non 10.65% :02/04/2002. Convertible Debenture, 2000 Series VI, Date of maturity Secured Non 10.00% :03/04/2002 Convertible Debenture, 2000 Series II, Date of maturity 0.50% Secured Mibor + :09/04/2002 Non Convertible Debenture, Series N, LOA, Date of 14.00% Secured Non Convertible Debenture, Series G, Date of maturity 29/05/2002 9.70% Secured Non Convertible Debenture, 2000 Series II, Date of maturity :01/06/2002 9.75% Secured Non Convertible Debenture, 2000 Series II, Date of maturity :25/06/2002 9.85% Secured Non Convertible Debenture, 2000 Series II, Date of maturity Secured Non 14.00% :26/06/2002 Convertible Debenture, Series G, Date of maturity 30/06/2002
INE871D07165
INE871D08080
INE871D08098
INE871D07181
INE871D07157
INE871D08379
INE871D07223
INE871D07215
INE871D07173
INE871D07199
INE871D07231
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07249
INE871D07207
14.00% Secured Non Convertible Debenture, Series G, Date of maturity 02/07/2002 9.75% Secured Non Convertible Debenture, 2000 Series II, Date of maturity Secured Non 14.00% :03/07/2002 Convertible Debenture, Series G, Date of maturity 07/07/2002 9.45% Secured Redemable Non Convertible Debentures 2000 Series VII Date of 9.45% Secured Redemable Non Convertible Debentures 2000 Series VII Date of 14.00% Secured Non Convertible Debenture, Series G, Date of maturity Secured Non 14.00% 20/07/2002 Convertible Debenture, Series G, Date of maturity Secured Non 14.00% 28/07/2002 Convertible Debenture, Series G, Date of maturity Secured Non 14.00% 17/08/2002 Convertible Debenture, Series G, Date of maturity 20/08/2002 9.00% Secured Non Convertible Debenture, Series 2001- III, Date of Maturity: 29/08/2002. 9.00% Secured Non Convertible Debenture, Series 2001- III, Date of Maturity: 29/08/2002. 8.50% Secured Non Convertible Debentures,Series 2001III, Date Of Maturity: 8.50% Secured Non Convertible Debentures,Series 2001III, Date Of Maturity:
INE871D07256
INE871D08288
INE871D07678
INE871D07264
INE871D07272
INE871D07280
INE871D07298
INE871D08437
INE871D07686
INE871D08312
INE871D07694
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D08106
INE871D07611
9.00% Secured Non Convertible Debenture, 2000 Series II, Date of maturity :31/08/2002. 9.00% Secured Non Convertible Debenture, 2000 Series II, Date of maturity :31/08/2002 9.00% Secured Non Convertible Debenture, Series 2001- IV A, Date of Maturity: 08/09/2002. 9.00% Secured Non Convertible Debenture, Series 2001- IV A, Date of Maturity: 08/09/2002. 7.75% Secured Non Convertible Debentures 2001 Series III Date of Maturity - 26.09.2002 7.75% Secured Non Convertible Debentures 2001 Series III Date of Maturity Secured Non 14.00% - 26.09.2002 Convertible Debenture, Series G, Date of maturity 16/10/2002 9.3% Secured Non Convertible Debenture, Series 2001- VI, Date of Maturity: 18-10-2002 Mibor+0.50% Secured Redemable Non Convertible Debentures 2001 Series VII Date of Mibor+0.45% Secured Redemable Non Convertible Debentures 2001 Series VII Date of Mibor+0.45% Secured Redemable Non Convertible Debentures 2001 Series VIISecured Mibor + 0.55% Date of Non Convertible Debenture, Series 2001VII, Date of Secured Mibor+0.60%Final
Redeemable Non Convertible Debentures 2001 Series VII Date of
INE871D08544
INE871D07884
INE871D08403
INE871D07702
INE871D07306
INE871D07942
INE871D08262
INE871D08387
INE871D07801
INE871D08585
INE871D08601
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07AD1
INE871D08239
Mibor + 0.55% Secured Non Convertible Debenture, Series 2001VII, Date of Final 8.85% Secured Redemable Non Convertible Debentures 2001 Series VI Date of 8.85% Secured Redemable Non Convertible Debentures 2001 Series VI Date of 8.95% Secured Redemable Non Convertible Debentures 2001 Series VI Date of Mibor+0.45% Secured Redemable Non Convertible Debentures 2001 Series VII Date of 8.95% Secured Redemable Non Convertible Debentures 2001 Series VI Secured Mibor + 0.55% Date of Non Convertible Debenture, Series 2001VII, Date of Final Mibor+0.55% Secured Redemable Non Convertible Debentures 2001 Series VIISecured Mibor + 0.50% Date of Non Convertible Debenture, Series 2001VII, Date of Final Mibor + 0.50% Secured Non Convertible Debenture, Series 2001VII, Date of Final 9.00% Secured Redemable Non Convertible Debentures 2001 Series VI Date of 9.00% Secured Redemable Non Convertible Debentures 2001 Series VI Secured Mibor + 0.50% Date of Non Convertible Debenture, Series 2001VII, Date of Final
INE871D07777
INE871D08247
INE871D08270
INE871D07785
INE871D08577
INE871D08676
INE871D08866
INE871D07AG4
INE871D08254
INE871D07793
INE871D08353
INE871D08619
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D08718
Mibor+0.55% Secured Redeemable Non Convertible Debentures 2001 Series VII Date of
INE871D07AF6
Mibor+0.55% Secured Redeemable Non Convertible Debentures 2001 Series VIISecured Mibor + 0.50% Date of Non Convertible Debenture, Series 2001VII, Date of Final Mibor + 0.50% Secured Non Convertible Debenture, Series 2001VII, Date of Final Mibor + 0.45% Secured Non Convertible Debenture, Series 2001VII, Date of Final Mibor + 0.55% Secured
INE871D08AA5
INE871D08361
INE871D08593
INE871D08627
INE871D08635
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07AE9
INE871D08932
Mibor + 0.55% Secured Non Convertible Debenture, Series 2001VII, Date of Final Mibor + 0.50% Secured Non Convertible Debenture, Series 2001VII, Date of Final 8.40% Secured Non Convertible Debenture, Series 2001- VIII, Date of Maturity: 14/02/2003. 8.40% Secured Non Convertible Debenture, Series 2001- VIII, Date of Maturity: 14/02/2003. 9.50% Secured Non Convertible Debenture, Series 2001- IV A, Date of Maturity: 08/03/2003.
INE871D08478
INE871D07900
INE871D08536
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07876
INE871D08650
9.50% Secured Non Convertible Debenture, Series 2001- IV A, Date of Maturity: 08/03/2003. Mibor+0.60% Secured Redeemable Non Convertible Debentures. Series 2002-I Secured Mibor+0.60% Date of Redeemable Non Convertible Debentures. Series 2002-I Date of 9.40% Secured Non Convertible Debenture, Series 2001-IX Date of maturity 9.40% Secured Non Convertible Debenture, Series 2001-IX Date of maturity :04/06/2003. 9.85% Secured Non Convertible Debentures,Series 2000IV, Date Of Maturity: 8.80% Secured Non Convertible Debenture, Series 2002-II, Date of Maturity:0.50% Secured Mibor + 01/08/2003 Non Convertible Debenture, Series 2002III, Date 0.50% Secured Mibor + of Final Non Convertible Debenture, Series 2002III, Date 0.50% Secured Mibor + of Final Non Convertible Debenture, Series 2002III, Date 0.40% Secured Mibor + of Final Non Convertible Debenture, Series 2002III, Date 0.50% Secured Mibor + of Final Non Convertible Debenture, Series 2002III, Date Secured Non 10.00% of Final Convertible Debentures,Series 2001IV, Date Of Maturity:
INE871D07AY7
INE871D08668
INE871D07AH2
INE871D07033
INE871D07BO6
INE871D08908
INE871D07BB3
INE871D08AB3
INE871D08AU3
INE871D08AV1
INE871D08015
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07710
INE871D08940
10.00% Secured Non Convertible Debentures,Series 2001IV, Date Of Maturity: 6.90% Secured Non Convertible Debenture, Series 2001-IX Date of Final Secured Non 6.90% Convertible Debenture, Series 2001-IX Date of Final Secured Non 6.90% Convertible Debenture, Series 2001-IX Date of Final Secured Non 6.90% Convertible Debenture, Series 2001-IX Date of Final Secured Non 6.90% Convertible Debenture, Series 2001-IX Date of Final Secured Non 6.90% Convertible Debenture, Series 2001-IX Date of Final Secured Non 6.95% Convertible Debenture, Series 2002-V Date of Maturity:0.50% Secured Mibor + Non Convertible Debenture, Series 2002VI, Date0.45% Secured Mibor + of Non Convertible Debenture, Series 2002VI, Date0.40% Secured Mibor + of Final Non Convertible Debenture, Series 2002VI, Date of FinalNon 6.95% Secured Convertible Debenture, Series 2002-V Date of Maturity:0.50% Secured Mibor + 18/11/2003. Non Convertible Debenture, Series 2002VI, Date of
INE871D07BV1
INE871D08957
INE871D07BW9
INE871D08965
INE871D07BX7
INE871D08973
INE871D08999
INE871D08AS7
INE871D08AY5
INE871D07BY5
INE871D07CA3
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07CV9
INE871D08AC1
Mibor + 0.40% Secured Non Convertible Debenture, Series 2002VI, Date0.50% Secured Mibor + of Final Non Convertible Debenture, Series 2002VI, Date0.40% Secured Mibor + of Final Non Convertible Debenture, Series 2002VI, Date Secured Non 13.50% of Final Convertible Debenture, Series K, Date of maturity 07.12.2003 7.95% Secured Non Convertible Debenture, Series 2002-II , Date of Maturity:10/12/2003. LOA 7.95% Secured Non Convertible Debenture, Series 2002-II , Date of Maturity:10/12/2003. Mibor + 0.40% Secured Non Convertible Debenture, Series 2002VI, Date0.80% Secured Mibor + of Final Non Convertible Debenture, Series 2002IX, Date0.80% Secured Mibor + of Final Non Convertible Debenture, Series 2002IX, Date of FinalNon 6.80% Secured Convertible Debenture, Series 2002-V , Date of Maturity:26/12/2003. LOA 6.80% Secured Non Convertible Debenture, Series 2002-V , Date of Maturity:26/12/2003. Mibor + 0.40% Secured Non Convertible Debenture, Series 2002IX, Date0.50% Secured Mibor + of Final Non Convertible Debenture, Series 2002IX, Date of Final
INE871D08BB1
INE871D07439
INE871D08AM0
INE871D07CK2
INE871D08AR9
INE871D08AT5
INE871D07CP1
INE871D08AP3
INE871D07CN6
INE871D08AZ2
INE871D08BA3
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D08BC9
INE871D07CW7
6.80% Secured Non Convertible Debenture, Series 2002-V Date of Maturity: 6.80% Secured Non Convertible Debenture, Series 2002-V Date of Maturity:Secured Non 13.00% 15/01/2004. Convertible Debenture, Series K, Date of maturity 08.02.2004 6.55% Secured Non Convertible Debenture, Series 2002-XIV, Date of Maturity: 6.55% Secured Non Convertible Debenture, Series 2002-XIV, Date of Maturity: 10/02/2004. 7.25% Secured Redeemable NCD. Sr. 2002-II
INE871D07447
INE871D08BD7
INE871D07CX5
INE871D07DA1
INE871D07DB9
7.5% Secured Redeemable NCD. Sr. 2002-II 7.7% Secured Redeemable NCD. Sr. 2002-II 7.95% Secured Redeemable NCD. Sr. 2002-II Deep Discount Bonds in the nature of NCD. Series 2000-1. Date of Maturity: 22/03/2004 7.5% Secured Redeemable NCD. Sr. 2002-II
INE871D07DC7
INE871D07DD5
INE871D11019
INE871D07DI4
INE871D07DJ2
7.95% Secured Redeemable NCD. Sr. 2002-II 5.25% Secured Non Convertible Debentures,Series 20037. Letter Of Allotment.
INE871D07FD0
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07454
INE871D07462
12.25% Secured Non Convertible Debenture, Series K, Date of maturity 12.07.2004 12.25% Secured Non Convertible Debenture, Series K, Date of maturity 30.07.2004 12.00% Secured Non Convertible Debenture, Series K, Date of maturity 02.08.2004 + 30 bps NSE MIBOR Secured Non Convertible Debenture, Series 2003V. Letter of Allotment 9.20% Secured Non Convertible Debenture, Series 2001-XII, Date of Maturity: 9.20% Secured Non Convertible Debenture, Series 2001-XII, Date of Maturity: 09/08/2004 NSE MIBOR + 50 bps Secured Non Convertible Debenture, Series 2002VA. Letter of Allotment 5.35% Secured Non Convertible Debentures,Series 2003VI .Letter Of Allotment. 11.75% Secured Non Convertible Debenture, Series K, Date of maturity 01.11.2004 11.75% Secured Non Convertible Debenture, Series K, Date of maturity 16.11.2004 6.90% Secured Non Convertible Debenture, Series 2002-IV Date of Maturity: 6.90% Secured Non Convertible Debenture, Series 2002-IV Date of Maturity: 18/11/2004. 6.75% Secured Non Convertible Debenture, Series 2002-IV, Date of Final
INE871D07470
INE871D07EL6
INE871D08809
INE871D07AX9
INE871D07EM4
INE871D07EU7
INE871D07488
INE871D07496
INE871D08981
INE871D07BZ2
INE871D08AD9
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07CB1
INE871D07FC2
6.75% Secured Non Convertible Debenture, Series 2002-IV, Date of Final Secured Non 5.40% Convertible Debentures,Series 20037. Letter Of Allotment. 5.25% Secured Non Convertible Debentures,Series 20037. Letter Of Allotment. 9.50% Secured Non Convertible Debenture, Series 2000-IV Date of Maturity: 01/12/2004. 6.75% Secured Non Convertible Debenture, Series 2002-IV, Date of Maturity:03/12/2004. LOA 6.75% Secured Non Convertible Debenture, Series 2002-IV, Date of Maturity:03/12/2004. 11.50% Secured Non Convertible Debenture, Series K, Date of maturity 13.12.2004 11.50% Secured Non Convertible Debenture, Series K, Date of maturity 17.12.2004 11.50% Secured Non Convertible Debenture, Series K, Date of maturity 17.12.2004 9.60% Secured Non Convertible Debenture, Series 2001- II, Date of Maturity:Secured Non 11.50% 18/12/2004 Convertible Debenture, Series K, Date of maturity 28.12.2004 11.75% Secured Non Convertible Debenture, 1999 Series V, Date of maturity :17/01/2005 9.05% Secured Non Convertible Debenture, Series 2001- II, Date of Maturity: 11/04/2005.
INE871D07FE8
INE871D07BE7
INE871D08AF4
INE871D07CD7
INE871D07504
INE871D07512
INE871D07538
INE871D07991
INE871D07520
INE871D07116
INE871D08874
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07AC3
INE871D07124
9.05% Secured Non Convertible Debenture, Series 2001- II, Date of Maturity:Secured Non 10.75% 11/04/2005. Convertible Debenture, 1999 Series V, Date of maturity Unsecured Sub 12.90% :01/05/2005 Debt . Date Of Maturity: 06/07/2005
INE871D08114
INE871D07314
INE871D08882
14.00% Secured Non Convertible Debenture, Series U-97, Date of maturity 05/08/2005 8.60% Secured Non Convertible Debenture, Series 2001- II, Date of Maturity: 8.60% Secured Non Convertible Debenture, Series 2002- II, Date of Maturity: 22/08/2005. 8.90% Secured Non Convertible Debentures,Series 2002II 8.60% Secured Non Convertible Debenture, Series 2002-II Date of Maturity: 04/09/2005 8.60% Secured Non Convertible Debentures,Series 2002II . 7.25% Secured Non Convertible Debenture, Series 2001-IX B , Date of Maturity:11/11/2005. 7.25% Secured Non Convertible Debenture, Series 2001-IX B , Date of Maturity:11/11/2005. 7.25% Secured Non Convertible Debenture, Series 2001-IX B , Date of Maturity:18/11/2005. 7.25% Secured Non Convertible Debenture, Series 2001-IX B , Date of Maturity:18/11/2005.
INE871D07AZ4
INE871D07FQ2
INE871D07BC1
INE871D07FP4
INE871D08AH0
INE871D07CF2
INE871D08AI8
INE871D07CG0
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D08AG2
INE871D07CE5
6.80% Secured Non Convertible Debenture, Series 2002-VII, Date of Maturity:03/12/2005. LOA 6.80% Secured Non Convertible Debenture, Series 2002-VII, Date of Maturity:03/12/2005. 14.00% Secured Non Convertible Debenture, Series U-97, Date of maturity 07.12.2005 7.25% Secured Non Convertible Debenture, Series 2001-IX B , Date of Maturity:10/12/2005. 7.15% Secured Non Convertible Debenture, Series 2001-IX B , Date of Maturity:10/12/2005. 7.70% Secured Non Convertible Debenture, Series 2002-II , Date of Maturity:10/12/2005. LOA 7.25% Secured Non Convertible Debenture, Series 2001-IX B , Date of Maturity:10/12/2005. 7.15% Secured Non Convertible Debenture, Series 2001-IX B , Date of Maturity:10/12/2005. 7.70% Secured Non Convertible Debenture, Series 2002-II , Date of Maturity:10/12/2005. 11.10% Secured Non Convertible Debenture, 1999 Series V, Date of maturity Secured Non 14.00% :15/12/2005 Convertible Debenture, Series U-97, Date of maturity Secured Non 14.00% 15.12.2005 Convertible Debenture, Series U-97, Date of maturity Secured Non 14.00% 16.12.2005 Convertible Debenture, Series U-97, Date of maturity 18.12.2005
INE871D07363
INE871D08AJ6
INE871D08AK4
INE871D08AN8
INE871D07CH8
INE871D07CI6
INE871D07CL0
INE871D07140
INE871D07389
INE871D07397
INE871D07405
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07017
INE871D07413
11.60% Secured Non Convertible Debentures,Series 2000IV, Date Secured Non 14.00% Of Maturity: Convertible Debenture, Series U-97, Date of maturity Secured Non 14.00% 11.01.2006 Convertible Debenture, Series U-97, Date of maturity 18.01.2006 7.30% Secured Non Convertible Debentures,Series 2002X. 7.95% Secured Redeemable NCD. Sr. 2002-II
INE871D07421
INE871D07ES1
INE871D07DE3
INE871D07DF0
8.4% Secured Redeemable NCD. Sr. 2002-II 7.95% Secured Redeemable NCD. Sr. 2002-II 8.4% Secured Redeemable NCD. Sr. 2002-II 7% Secured Redeemable NCD. Sr. 2002-XII 7.95% Secured Redeemable NonConvertible Debentures. Series 2002-II. Letter of 8.40% Secured Redeemable NonConvertible Debentures. Series 2002-II. Letter of 7.55% Secured Redeemable NonConvertible Debentures. Series 2002-II. Letter of 7.95% Secured Redeemable NCD. Sr. 2002-II
INE871D07DK0
INE871D07DL8
INE871D07EB7
INE871D08CJ2
INE871D08CK0
INE871D08CL8
INE871D07DP9
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07DQ7
8.4% Secured Redeemable NCD. Sr. 2002-II 7.55% Secured Redeemable NCD. Sr. 2002-II 13.25% Secured Non Convertible Debentures,1999 Series I, OptionSecuredOf 10.20% I, Date Non Convertible Debentures,Series 2000IV, Date Secured Non 10.00% Of Maturity: Convertible Debentures,Series 2000IV, Date Of Maturity: 9.70% Secured Non Convertible Debentures,2000 Series IV Date Of Maturity: 9.70% Secured Non Convertible Debentures,2000 Series IV Date Of Maturity: 9.70% Secured Non Convertible Debentures,2000 Series IV Date Of Maturity: 9.70% Secured Non Convertible Debentures,2000 Series IV Date Of Maturity: 9.70% Secured Non Convertible Debentures,2000 Series IV Date Of Maturity: 9.70% Secured Non Convertible Debentures,2000 Series IV Date Of Maturity: 9.70% Secured Non Convertible Debentures,2000 Series IV Date Of Maturity: 10.15% Secured Non Convertible Debentures,2000 Series IV Date Of Maturity:
INE871D07DR5
INE871D07058
INE871D07025
INE871D07041
INE871D08031
INE871D07629
INE871D08056
INE871D07637
INE871D08049
INE871D07645
INE871D08064
INE871D08072
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07660
INE871D07652
9.70% Secured Non Convertible Debentures,2000 Series IV Date Of Maturity: 10.15% Secured Non Convertible Debentures,2000 Series IV Date Of Maturity: 9.30% Secured Non Convertible Debentures,Series 2001IV, Date Of Maturity: 9.30% Secured Non Convertible Debentures,Series 2001IV, Date Of Maturity: 9.80% Secured Non Convertible Debenture, Series 2000-IV Date of Maturity: 01/12/2006. 9.85% Secured Non Convertible Debenture, Series 2000-IV Date of Maturity: 01/12/2006. 9.90% Secured Non Convertible Debenture, Series 2000-IV Date of Maturity:Secured Non 10.00% 01/12/2006. Convertible Debenture, Series 2000-IV Date of Maturity:Secured Non 10.15% 01/12/2006. Convertible Debenture, Series 2000-IV Date of Maturity: 01/12/2006. 9.60% Secured Non Convertible Debenture, Series 2001-IV, Date of Final Secured Non 9.60% Convertible Debenture, Series 2001-IV, Date of Final Secured Non 9.60% Convertible Debenture, Series 2001- II, Date of Maturity: 18/12/2006 9.75% Secured Non Convertible Debenture, Series 2001- II, Date of Maturity: 18/12/2006
INE871D08023
INE871D07728
INE871D07BF4
INE871D07BG2
INE871D07BH0
INE871D07BI8
INE871D07BJ6
INE871D08338
INE871D07736
INE871D07959
INE871D07983
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D08346
INE871D07744
9.60% Secured Non Convertible Debenture, Series 2001-IV, Date of Final Secured Non 9.60% Convertible Debenture, Series 2001-IV, Date of Final Secured Non 9.50% Convertible Debenture, Series 2001-IV, Date of Final Redemption: 9.50% Secured Non Convertible Debenture, Series 2001-IV, Date of Final Redemption: 5.70% Secured Non Convertible Debentures,Series 2003III. Letter Of Allotment. 10.00% Secured Non Convertible Debenture, Series 2001- II, Date of Maturity: 29/01/2007 9.60% Secured Non Convertible Debenture, Series 2001- IV A, Date of Maturity: 14/02/2007. 9.6% Secured Non Convertible Debenture, Series 2001- IV A, Date of Maturity: 14/02/2007. 9.60% Secured Non Convertible Debenture, Series 2001- IV , Date of Maturity: 20/02/2007. 9.75% Secured Non Convertible Debenture, Series 2001- IV A, Date of Maturity: 20/02/2007. 9.60% Secured Non Convertible Debenture, Series 2001- IV , Date of Maturity: 20/02/2007. 9.75% Secured Non Convertible Debenture, Series 2001- IV A, Date of Maturity: 20/02/2007. 12.15% Secured Non Convertible Debentures,1999 Series I (Part 2) Date Of Maturity:
INE871D08320
INE871D07751
INE871D07FG3
INE871D07975
INE871D08460
INE871D07967
INE871D08486
INE871D08502
INE871D07843
INE871D07868
INE871D07090
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07EN2
10.00% Secured Non Convertible Debentures, Series 2001-II. 9.75% Secured Non Convertible Debenture, Series 2001- IV A, Date of Maturity:13/03/2007. 9.75% Secured Non Convertible Debenture, Series 2001- IV A, Date of Maturity:13/03/2007. 11.40% Unsecured Sub Debt 2000. Date Of Maturity: 14/06/2007
INE871D08551
INE871D07892
INE871D08122
INE871D08130
12.00% Unsecured Sub Debt 2000. Date Of Maturity: 30/06/2007 floating Rate Unsecured Sub Debt 2000. Date Of Maturity: 11/07/2007 12.00% Unsecured Sub Debt 2000. Date Of Maturity: 25/07/2007 9.10% Secured Non Convertible Debenture, Series 2001- X, Date of Maturity: 9.10% Secured Non Convertible Debenture, Series 2001- X, Date of Maturity: 25/07/2007. 8.25% Secured Non Convertible Debenture, Series 2001- XII, Date of Maturity: 8.25% Secured Non Convertible Debenture, Series 2001- XII, Date of Maturity: 29/07/2007. 8.3% Secured Non Convertible Debenture, Series 2001- XII, Date of Maturity: 8.30% Secured Non Convertible Debenture, Series 2001- XII, Date of Maturity: 31/07/2007.
INE871D08148
INE871D08155
INE871D08742
INE871D07AN0
INE871D08759
INE871D07AV3
INE871D08767
INE871D07AW1
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D08791
INE871D07AU5
8.30% Secured Non Convertible Debenture, Series 2001- XI, Date of Maturity: 8.30% Secured Non Convertible Debenture, Series 2001- XI, Date of Maturity: 09/08/2007 8.65% Secured Non Convertible Debenture, Series 2002-II Date of Maturity:Unsecured Sub 12.00% 04/09/2007 Debt 2000. Date Of Maturity: 14/09/2007
INE871D07BD9
INE871D08163
INE871D08171
12.00% Unsecured Sub Debt 2000. Date Of Maturity: 05/10/2007 8.00% Secured Non Convertible Debenture, Series 2001- XII, Date of Maturity: 8.00% Secured Non Convertible Debenture, Series 2001- XII, Date of Maturity:Unsecured Sub 11.60% 16/10/2007. Debt 2000. Date Of Maturity: 20/10/2007
INE871D08916
INE871D07BU3
INE871D08189
INE871D08AE7
INE871D07CC9
6.75% Secured Non Convertible Debenture, Series 2001-XII, Date of Final Secured Non 6.75% Convertible Debenture, Series 2001-XII, Date of Final Secured Non 7.40% Convertible Debenture, Series 2001-IX A , Date of Maturity:27/11/2007. 7.40% Secured Non Convertible Debenture, Series 2001-IX A , Date of Maturity:27/11/2007. 7.85% Secured Non Convertible Debenture, Series 2002-II , Date of Maturity:10/12/2007. LOA
INE871D08AL2
INE871D07CJ4
INE871D08AO6
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
INE871D07CM8
INE871D08AQ1
7.85% Secured Non Convertible Debenture, Series 2002-II , Date of Maturity:10/12/2007. 6.85% Secured Non Convertible Debenture, Series 2002-VIII , Date of Maturity:02/01/2008. LOA 6.85% Secured Non Convertible Debenture, Series 2002-VIII , Date of Maturity:02/01/2008. 6.85% Secured Non Convertible Debenture, Series 2002-VIII , Date of Maturity:21/01/2008. LOA 6.85% Secured Non Convertible Debenture, Series 2002-VIII , Date of Maturity:21/01/2008. 7.40% Secured Non Convertible Debentures,Series 2002X. 8.05% Secured Redeemable NCD. Sr. 2002-II
INE871D07CO4
INE871D08AW9
INE871D07CQ9
INE871D07ET9
INE871D07DG8
INE871D07DH6
8.5% Secured Redeemable NCD. Sr. 2002-II 10.70% Unsecured Sub Debt 2000. Date Of Maturity:25/03/2008 8.05% Secured Redeemable NCD. Sr. 2002-II 8.5% Secured Redeemable NCD. Sr. 2002-II 7% Secured Redeemable NCD. Sr. 2002-XII 11.00% Unsecured Non Convertible Debenture, Series 2000-III, Date of Final Redemption:
INE871D08197
INE871D07DM6
INE871D07DN4
INE871D07EC5
INE871D08304
INSTANT TRADING & INVESTMENT COMPANY LTD. INSTRUMENTATION LTD IOC LTD
INE641F07019
INE876F09017
15.50% Secured Redeemable NonConvertible Debentures.Date of 9.10% Secured Redeemable NonConvertible Bonds in the form BOND SERIESIOC of Promissory Notes V,STRPP-A
INE242A07033
IOC LTD
INE242A07041
IOC BOND SERIESV,STRPP-B IOC BOND SERIESV,STRPP-C IOC BOND SERIESV,STRPP-D Secured NCD, Date of Maturity: 07/11/2002 14.50% Secured Redeemable Non Convertible Debentures. Date of Maturity MIBOR +75 BPs Unsecured Non Convertible Debenture in the nature ofBPs MIBOR +75 Promissory Unsecured Non Convertible Debenture in the nature ofBPs MIBOR +75 Promissory Unsecured Non Convertible Debenture in the nature ofBPs MIBOR +75 Promissory Unsecured Non Convertible Debenture in the nature ofBPs MIBOR +75 Promissory Unsecured Non Convertible Debenture in the nature of Promissory
IOC LTD
INE242A07058
IOC LTD
INE242A07066
INE076A07019
INE154A07014
ITI LIMITED
INE248A09010
ITI LIMITED
INE248A09028
ITI LIMITED
INE248A09036
ITI LIMITED
INE248A09044
ITI LIMITED
INE248A09051
ITI LIMITED
INE248A09069
ITI LIMITED
INE248A09077
MIBOR +75 BPs Unsecured Non Convertible Debenture in the nature ofBPs MIBOR +75 Promissory Unsecured Non Convertible Debenture in the nature ofBPs MIBOR +75 Promissory Unsecured Non Convertible Debenture in the nature ofBPs MIBOR +75 Promissory Unsecured Non Convertible Debenture in the nature ofBPs MIBOR +75 Promissory Unsecured Non Convertible Debenture in the nature ofBPs MIBOR +70 Promissory Unsecured Non Convertible Debenture in the nature ofBPs MIBOR +70 Promissory Unsecured Non Convertible Debenture in the nature ofBPs MIBOR +70 Promissory Unsecured Non Convertible Debenture in the nature of Promissory Secured Non Convertible bonds- H Series. Date of Maturity: 15.02.2004. Letter of+70 BPs (Floor : MIBOR Allotment 6% & Cap : 8%) Unsecured Non Convertible Debenture in MIBOR +70 BPs (Floor : 6% & Cap : 8%) Unsecured Floating Rate Bonds in theBPs MIBOR +70 nature of Unsecured Non Convertible Debenture in the nature ofBps (with a MIBOR +70 Promissory floor rate of 6.00% & Cap rate of 8.00%) Unsecured Non Convertible Bonds.(
ITI LIMITED
INE248A09085
ITI LIMITED
INE248A09093
ITI LIMITED
INE248A09101
ITI LIMITED
INE248A09135
ITI LIMITED
INE248A09119
ITI LIMITED
INE248A09127
ITI LIMITED
INE248A08012
ITI LIMITED
INE248A09143
ITI LIMITED
INE248A09150
ITI LIMITED
INE248A09168
ITI LIMITED
INE248A08061
ITI LIMITED
INE248A08053
ITI LIMITED
INE248A08046
MIBOR +70 Bps (with a floor rate of 6.00% & Cap rate of 8.00%) Unsecured Non Convertible Bonds. MIBOR +70 Bps (with a floor rate of 6.00% & Cap rate of 8.00%) Unsecured Non Convertible Bonds. MIBOR +70 Bps (with a floor rate of 6.00% & Cap rate of 8.00%) Unsecured Non Convertible Bonds. MIBOR +70 BPs Unsecured Non Convertible floating rate bonds in the nature of 6.40% Secured Non Convertible bonds- J Series. Date of Maturity: 10/01/2008. Letter of 6.40% Secured Non Convertible bonds- J Series. Date of Maturity: 10/01/2008. BM+55bps Secured NCD Sr- I
ITI LIMITED
INE248A08079
ITI LIMITED
INE248A09176
ITI LIMITED
INE248A08020
ITI LIMITED
INE248A07014
ITI LIMITED
INE248A07030
JAMMU & KASHMIR STATE POWER DEVELOPMENT CORPORATION LTD. JAMMU & KASHMIR STATE POWER DEVELOPMENT CORPORATION LTD. JAMMU & KASHMIR STATE POWER DEVELOPMENT CORPORATION LTD. JAMMU & KASHMIR STATE POWER DEVELOPMENT CORPORATION LTD. JAMMU & KASHMIR STATE POWER DEVELOPMENT CORPORATION LTD. JAMMU & KASHMIR STATE POWER DEVELOPMENT CORPORATION LTD.
INE711F09016
INE711F08018
13.00% Secured Redeemable Nonconvertible Bonds in the form of Promissory 12.50% Secured Redeemable Nonconvertible Bonds in the form of Debentures. Date 12.50% Secured Redeemable Nonconvertible Bonds in the form of Debentures. Date 12.50% Secured Redeemable Nonconvertible Bonds in the form of Debentures. Date 12.50% Secured Redeemable Nonconvertible Bonds in the form of Debentures. Date 12.00% Secured Redeemable Nonconvertible Bonds in the form of Debentures. Date
INE711F07010
INE711F08042
INE711F07044
INE711F08075
JAWAHARLAL NEHRU PORT TRUST JAWAHARLAL NEHRU PORT TRUST JAWAHARLAL NEHRU PORT TRUST JAWAHARLAL NEHRU PORT TRUST JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED
INE281G07012
INE281G07020
4.60% Secured Redeemable NonConvertible Bonds In The Nature Secured 5.15% Of Debentures. Redeemable NonConvertible Bonds In The Nature Secured 5.40% Of Debentures. Redeemable NonConvertible Bonds In The Nature Secured 5.65% Of Debentures. Redeemable NonConvertible Bonds In The Nature Of Debentures. Mibor + 90 Bps NonConvertible Debenture. Date of Maturity: 22.03.2002. LOA Mibor + 75 Bps NonConvertible Debenture. Date of Maturity: 26.03.2002. LOA Mibor + 75 Bps Unsecured NonConvertible Debenture. Date of Maturity: + 100 Overnight Mibor Bps Unsecured NonConvertible Debenture. Date of Maturity: Mibor + 75 Bps Unsecured NonConvertible Debenture. Date of Maturity: Mibor + 75 Bps Unsecured NonConvertible Debenture. Date of Maturity: Mibor + 75 Bps Unsecured NonConvertible Debenture. Date of Maturity: Mibor + 90 Bps Unsecured NonConvertible Debenture. Date of Maturity: 13-09Mibor + 75 Bps Unsecured NonConvertible Debenture. Date of Maturity: 18-09-
INE281G07038
INE281G07046
INE364A08017
INE364A08025
INE364A08033
INE364A08041
INE364A08058
INE364A08066
INE364A08074
INE364A08082
INE364A08090
JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED
INE364A08108
INE364A08116
Overnight Mibor + 90 Bps Unsecured NonConvertible Debenture. Date of Maturity: + 80 Bps Overnight Mibor 27-09Unsecured NonConvertible Debenture. Date of Maturity: + 90 Bps Overnight Mibor Unsecured NonConvertible Debenture. Date of Maturity: + 80 Bps Overnight Mibor Unsecured NonConvertible Debenture. Date of Maturity: + 90 Bps Overnight Mibor Unsecured NonConvertible Debenture. Date of Maturity: + 80 Bps Overnight Mibor Unsecured NonConvertible Debenture. Date of Maturity: + 80 Bps Overnight Mibor Unsecured NonConvertible Debenture. Date of Maturity: + 65 Bps Overnight Mibor Unsecured NonConvertible Debenture. Date of Mibor + 80 65 Overnight Bps Unsecured NonConvertible Debenture. Date of Mibor + 75 Bps Overnight Unsecured NonConvertible Debenture. Date of Mibor + 75 Bps Overnight Unsecured NonConvertible Debenture. Date of Mibor + 75 Bps Overnight Unsecured NonConvertible Debenture. Date of Mibor + 75 Bps Overnight Unsecured NonConvertible Debenture. Date of
INE364A08124
INE364A08132
INE364A08140
INE364A08157
INE364A08165
INE364A08173
INE364A08181
INE364A08199
INE364A08207
INE364A08223
INE364A08215
JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED
INE364A08231
INE364A08249
Overnight Mibor + 75 Bps Unsecured NonConvertible Debenture. Date of Mibor + 75 Bps Overnight Unsecured NonConvertible Debenture. Date of Mibor + 75 Bps Overnight Unsecured NonConvertible Debenture. Date of Mibor + 75 Bps Overnight Unsecured NonConvertible Debenture. Date Mibor + 50 Bps NSE of Unsecured NonConvertible Debenture. Letter of Allotment. NSE Mibor + 50 Bps Unsecured NonConvertible Debenture. Letter of Allotment. NSE Mibor + 70 Bps Unsecured NonConvertible Debenture. Letter of Allotment. NSE Mibor + 50 Bps Unsecured NonConvertible Debentures. Letter of Allotment. Mibor+ 70bps Unsecured NCD-LOA
INE364A08256
INE364A08264
INE364A08280
INE364A08272
INE364A08298
INE364A08306
INE364A08314
INE364A08322
INE364A08330
NSE MIBOR + 75 bps Unsecured Redeemable Non-Convertible Debentures. Letter of NSE Mibor+70bps Unsecured NCD-LOA
INE364A08348
INE364A08363
NSE MIBOR + 70 bps Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 50 of Unsecured Redeemable Non-Convertible Debentures. Letter of
JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED
INE364A08355
INE364A08371
NSE MIBOR + 50 bps Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 70 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 55 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 70 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 55 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 70 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 70 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 70 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 70 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 55 of Unsecured Redeemable Non-Convertible Debentures. Letterbps NSE MIBOR + 50 of p.a. (NSE daily 10.00 am fixing and compounded daily)MIBOR + 10 bps NSE Unsecured p.a. (NSE daily 9.40 am fixing and compounded daily)MIBOR + 10 bps NSE Unsecured p.a. (NSE daily 9.40 am fixing and compounded daily) Unsecured
INE364A08389
INE364A08397
INE364A08405
INE364A08413
INE364A08421
INE364A08439
INE364A08447
INE364A08454
INE364A08462
INE364A08470
INE364A08488
JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JAY SHREE TEA & INDUSTRIES LIMITED JIK INDUSTRIES LIMITED JINDAL STAINLESS LIMITED JINDAL STEEL & POWER LIMITED JK CORP LIMITED
INE364A08496
INE364A08504
NSE MIBOR + 10 bps p.a. (NSE daily 9.40 am fixing and compounded daily)MIBOR + 10 bps NSE Unsecured p.a. (NSE daily 9.40 am fixing and compounded daily)MIBOR + 10 bps NSE Unsecured p.a. (NSE daily 9.40 am fixing and compounded daily)MIBOR + 10 bps NSE Unsecured p.a. (NSE daily 9.40 am fixing and compounded daily)MIBOR + 15 bps NSE Unsecured p.a. (NSE daily 9.40 am fixing and compounded daily)MIBOR + 15 bps NSE Unsecured p.a. (NSE daily 9.40 am fixing and compounded daily)MIBOR NSE daily NSE Unsecured 9.40 am fixing and compounded daily Unsecured Redeemable NSE MIBOR + 5 bps p.a. (NSE daily 9.40 am fixing and compounded daily) Unsecured Redeemable NSE MIBOR + 5 bps p.a. (NSE daily 9.40 am fixing and compounded daily) Unsecured Redeemable 15% Optionally Fully Convertible Unsecured Debentures
INE364A08512
INE364A08520
INE364A08538
INE364A08546
INE364A08553
INE364A08561
INE364A08579
INE026B08010
INE220G08018
9.75% Unsecured Redeemable Nonconvertible Debentures. 14.00% Secured NCD. Date of final redemption: 26/12/2003 13.50% Secured NCD. Series D & Series UD.Interest payable quarterly.
INE749A07052
INE786A07039
KARNATAKA NEERAVARI NIGAM LTD. KARNATAKA NEERAVARI NIGAM LTD. KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION
INE262F09028
INE262F07022
Secured Non Convertible Series I Reset Bonds in the form of Promissory Notes.Date ofConvertible Secured Non final Series II Reset Bonds .Date of final redemption: 01.03.2005 Bonds 2002 11 % KSFC (II Series). Date of Maturity: 25.06.2002
INE549F08285
INE549F08087
11 % KSFC Bonds 2002 (III Series). Date of Maturity: 11.11.2002 12 % KSFC Bonds 199798 Series I. Date of Maturity: 13.11.2002 11 % KSFC Bonds 2003. Date of Maturity: 11.2.2003 13.5 % KSFC Bonds 2003. Date of Maturity: 11.8.2003 13.5 % KSFC Bonds 2004. Date of Maturity: 05.01.2004 12.5 % KSFC Bonds 2004. Date of Maturity: 01.09.2004 12.5 % KSFC Bonds 2005. Date of Maturity: 2.2.2005 14 % KSFC Bonds 2005. Date of Maturity: 2.8.2005 14 % KSFC Bonds 2005 (II Series). Date of Maturity: 06.12.2005 14 % KSFC Bonds 2006. Date of Maturity: 13.3.2006
INE549F08111
INE549F08095
INE549F08103
INE549F08020
INE549F08012
INE549F08202
INE549F08210
INE549F08038
INE549F08137
KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE FINANCIAL CORPORAION KARNATAKA STATE INDUSTRIAL INVESTMENT & DEVELOPMENT KARNATAKA STATE INDUSTRIAL INVESTMENT & DEVELOPMENT KARNATAKA STATE INDUSTRIAL INVESTMENT & DEVELOPMENT KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION
INE549F08194
13.85 % KSFC Bonds 2006. Date of Maturity: 18.9.2006 13.75 % KSFC Bonds 2007. Date of Maturity: 28.01.2007 13 % KSFC Bonds 2007. Date of Maturity: 27.8.2007 12.3 % KSFC Bonds 2007. Date of Maturity: 22.10.2007 13 % KSFC Bonds 2007(II Series). Date of Maturity: 22.12.2007 12.3 % KSFC Bonds 2008. Date of Maturity: 21.01.2008 13 % KSFC Bonds 2008. Date of Maturity: 16.2.2008 12.55% Unsecured Redeemable NonConvertible Bonds 2001 In The Form Of 12.55% Unsecured Redeemable NonConvertible Bonds 2001 In The Form Of 13.00% Unsecured Redeemable NonConvertible Bonds 2001 In The Form Of 11%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 13.50%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 13.50%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes
INE549F08335
INE549F08327
INE549F08251
INE549F08269
INE549F08244
INE549F08152
INE260G09012
INE260G09020
INE260G09038
INE818F09019
INE818F09167
INE818F09175
KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION KERALA FINANCIAL CORPORATION
INE818F09183
INE818F09191
12.50%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 12.50%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 14%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 14%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 14.00%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 13.85%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 13.75%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 13.65%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 13%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 12.3%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 13%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 12.3%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes 12.30%Secured Redeemable Nonconvertible Bonds in the form of Promissory Notes
INE818F09209
INE818F09217
INE818F09225
INE818F09233
INE818F09241
INE818F09258
INE818F09142
INE818F09266
INE818F09159
INE818F09274
INE818F09282
KERALA INFRASTRUCTURE INVESTMENT FUND BOARD KERALA INFRASTRUCTURE INVESTMENT FUND BOARD STATE KERALA
INE658F09019
INE658F09027
13.25% Unsecured Redeemable NonConvertible KIFB Bonds in the form of Promissory 10.50% Unsecured Redeemable NonConvertible KIFB Bonds in the form of Promissory 11.50% State Government guaranteed Non Convertible SLR bonds inSecured Non 12.00% the form of Convertible Debenture. Date of Maturity:22.02.2002 13.00% Secured Redeemable NonConvertible Debenture Series 2. Date OF 13.00% Secured Redeemable NonConvertible Debenture Series 2. Date OF 14.00% Secured Redeemable NonConvertible Debenture Series 1. Date OF 14.00% Secured Redeemable NonConvertible Debenture Series 1. Date OF 14.00% Secured Redeemable NonConvertible Debenture Series 1. Date OF 10.50% Secured Redeemable NonConvertible Debentures. Date ofSecured : 8.40% Maturity Redeemable NonConvertible Debenture. Letter Of Allotment. 1.50% over RMIOR Unsecured NonConvertible Bonds. Date of redemption: 1.50% over RMIOR Unsecured NonConvertible Bonds. Date of redemption:
INE558G07054 INDUSTRIAL DEVELOPMENT CORPORATION KESORAM INDUSTRIES INE087A07016 LTD. KINETIC FINANCE LTD INE139C07045
INE139C07052
INE139C07011
INE139C07029
INE139C07037
INE139C08019
INE139C07060
KITCHEN APPLIANCES INE006D08018 (INDIA) LIMITED KITCHEN APPLIANCES INE006D08026 (INDIA) LIMITED
KITCHEN APPLIANCES INE006D08034 (INDIA) LIMITED KITCHEN APPLIANCES INE006D07010 (INDIA) LIMITED KITCHEN APPLIANCES INE006D08042 (INDIA) LIMITED KITCHEN APPLIANCES INE006D08059 (INDIA) LIMITED KITCHEN APPLIANCES INE006D08067 (INDIA) LIMITED KITCHEN APPLIANCES INE006D08075 (INDIA) LIMITED KITCHEN APPLIANCES INE006D07028 (INDIA) LIMITED KITCHEN APPLIANCES INE006D07036 (INDIA) LIMITED KITCHEN APPLIANCES INE006D07044 (INDIA) LIMITED KITCHEN APPLIANCES INE006D07051 (INDIA) LIMITED KITCHEN APPLIANCES INE006D07069 (INDIA) LIMITED KITCHEN APPLIANCES INE006D07077 (INDIA) LIMITED KONKAN IRRIGATION DEVELOPMENT CORPORATION INE766F07014
1.50% over RMIOR Unsecured NonConvertible Debentures. Date ofover RMIOR 1.50% redemption: Secured Non-Convertible Debentures. Date of redemption: RMIOR 1.50% over 22/10/2002. Secured Non-Convertible Debentures. Date of redemption: RMIOR 1.50% over Secured Non-Convertible Debentures. Date of redemption: RMIOR 1.50% over Secured Non-Convertible Debentures. Date of redemption: RMIOR 1.50% over Secured Non-Convertible Debentures. Letter of Allotment RMIOR 1.50% over Secured Non-Convertible Debentures. Letter of Allotment RMIOR 1.50% over Secured Non-Convertible Debentures. Letter of Allotment RMIOR 1.50% over Secured Non-Convertible Debentures. Letter of Allotment RMIOR 1.50% over Secured Non-Convertible Debentures. Letter of Allotment RMIOR 1.50% over Secured Non-Convertible Debentures. Letter of Allotment RMIOR 1.50% over Secured Non-Convertible Debentures. Letter of Allotment 13.25% Secured Redeemable NonConvertible Bonds. Series-I. Date of Maturity
KONKAN IRRIGATION DEVELOPMENT CORPORATION KONKAN IRRIGATION DEVELOPMENT CORPORATION KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED
INE766F07022
INE766F07030
14.50% Secured Redeemable NonConvertible Bonds. Series-II. Date of Maturity 13.50% Secured Redeemable NonConvertible Bonds. Series-III. Date of 10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -7A, Date of 10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -1A, Date 10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -1B, Date 10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -1C, Date of 10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -2A, Date 10.50% Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -2B, Date of 10.50% Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -2C, Date 10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -2D, Date of 10.50% Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -3A, Date 10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Infrastructure 9.25% Series -3C, Date Secured Non Convertible Bonds in the form of Promissory Notes Series -
INE139F09200
INE139F09010
INE139F09028
INE139F09036
INE139F09044
INE139F09051
INE139F09069
INE139F09077
INE139F09085
INE139F09093
INE139F09218
KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED
INE139F09101
INE139F09119
10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -4A, Date of 10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -4B, Date 10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -4C, Date 13.00%Taxable Secured Non Convertible Bonds in the form of Promissory Notes Series -8A, Date 10.65% Taxable Secured Non Convertible Bonds in the form of Promissory Notes Series -10A-1, 8.75%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -5A, Date of 11.00% Taxable Secured Non Convertible Bonds in the form of Promissory Notes Series -10D-II, 12.36% Taxable Secured Non Convertible Bonds in the form of Promissory Notes Taxfree Secured 8.75% Series -9A, Date Non Convertible Bonds in the form of Promissory Notes Series -5B-I, Date 9.00%Taxfree Secured Non Convertible Bonds in the form of Promissory NotesSeries -5B-II, Date 10.15% Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -8C, Date of 10.50% Infrastructure Secured Non Convertible Bonds in the form of Promissory Notes Series 8.25%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -5C-I, Date
INE139F09127
INE139F09226
INE139F09291
INE139F09135
INE139F09325
INE139F09267
INE139F09143
INE139F09150
INE139F09242
INE139F09259
INE139F09168
KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED KONKAN RAILWAY CORPORATION LIMITED
KONKAN RAILWAY CORPORATION LIMITED
INE139F09176
INE139F09341
8.95%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -5C-II, Date 11.00% Taxable Secured Non Convertible Bonds in the form of Promissory Notes Series -10H-II, 12.52% Taxable Secured Non Convertible Bonds in the form of Promissory Notes Series - 9A, Date 10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -6B, Date 10.50%Taxfree Secured Non Convertible Bonds in the form of Promissory Notes Series -6C, Date 11.10% Taxable Secured of
Non Convertible Bonds in the form of Promissory Notes Series -10I, Date of
INE139F09275
INE139F09184
INE139F09192
INE139F09358
INE139F09366
Kotak Mahindra Finance INE237A08064 Limited KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED INE237A07074
6.35% TaxFree Secured Bondsin the form of Promissory Notes. Date of Maturity: 01/12/2007. 9.25% Secured Redeemable Non Convertible Debenture (Letter ofConvertible 9% Non Allotment) Debenture (Series PPD XIX- E)
INE237A08114
INE237A07116
8.60% Secured Redeemable NonConvertible Debenture (Letter Secured 8.60% of Allotment)Redeemable NonConvertible Debenture Series PPD XX -C. Date 8.60% Secured Redeemable NonConvertible Debenture Series PPD XX -C. Date 13.00% Secured Redeemable NonConvertible Debenture Series PPD XV-A Date of
INE237A07165
INE237A07272
KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED
INE237A08122
INE237A07124
8.90% KMFL Secured Redeemable NonConvertible Debenture PPD XX-D Secured 8.90% KMFL Redeemable NonConvertible Debenture PPD XX-D 8.50% Secured Redeemable NonConvertible Debenture Series PPD XXI-A. Date 8.50% Secured Redeemable NonConvertible Debenture Series PPD XXI-A. Date 13.00% Secured Redeemable NonConvertible Debenture Series PPD XV-B Date of 9.25% KMFL 28.08.2002 Secured Redeemable Non-Convertible Debenture -XIX-A 9.25% KMFL 13.09.2002 Fully Secured Redeemable NonConvertible Debenture 9.25% KMFL 13.09.2002 Fully Secured Redeemable NonConvertible Debenture 9.25% KMFL 04.10.2002 Secured Redeemable Non-Convertible Debenture-Series PPD 9.25% Secured Redeemable NonConvertible Debenture Series PPD 22 Date of 9.00% Secured Redeemable NonConvertible Debenture Series PPD 22-C & PPD 9.00% Secured Redeemable NonConvertible Debenture Series+ 140 22-CSecured Mibor PPD Bps & PPD Redeemable NonConvertible Debenture (Letter of Allotment)-
INE237A08148
INE237A07207
INE237A07280
INE237A07181
INE237A08049
INE237A07041
INE237A07173
INE237A08213
INE237A08247
INE237A07363
INE237A08098
KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED
INE237A07082
INE237A07132
Mibor + 140 Bps Secured Redeemable NonConvertible Debenture Series+ 140 XX Secured Mibor PPD Bps Redeemable NonConvertible Debenture Series PPD XX 9.00% Secured Redeemable NonConvertible Debenture Series PPD 22-G Date of 9.00% Secured Redeemable NonConvertible Debenture Series PPD 22-G Date of 8.85% Secured Redeemable Non Convertible Debenture Series PPD 22 L&M 8.85% Secured Redeemable NonConvertible Debenture Series PPD 22-L & M. 9.75% KMFL 2003 Secured Redeemable Non-Convertible Debenture -PPDXIX 6.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-D & 246.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-D & 246.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-H & 24-J. 6.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-H & 6.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-F & G 6.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-F & G
INE237A08254
INE237A07371
INE237A08296
INE237A07413
INE237A07017
INE237A08486
INE237A07603
INE237A08494
INE237A07611
INE237A08502
INE237A07629
KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED
INE237A08510
INE237A07637
6.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-I.Date of 6.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-I.Date of 9.20% Secured Redeemable NonConvertible Debenture Series PPD 21-E/ XXI-F 9.20% Secured Redeemable NonConvertible Debenture Series PPD 21-E/ 21I-F 9.00% Secured Redeemable NonConvertible Debenture Series PPD 21-H Date of 9.00% Secured Redeemable NonConvertible Debenture Series PPD 21-H Date of 11.60% Secured Redeemable NonConvertible Debenture Series PPD XVII Date of 9.30% Secured Redeemable NonConvertible Debenture Series PPD 21-G Date 9.30% Secured Redeemable NonConvertible Debenture Series PPD 21-G Date 6.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-K & L 6.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-K & L 6.75% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-P.Date of 6.75% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-P.Date of
INE237A08189
INE237A07249
INE237A08205
INE237A07264
INE237A07298
INE237A08197
INE237A07256
INE237A08528
INE237A07645
INE237A08437
INE237A07553
KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED
INE237A08445
INE237A07561
6.75% Secured Redeemable Nonconvertible DebenturesSeries PPD 24.Date of 6.75% Secured Redeemable Nonconvertible DebenturesSeries PPD 24.Date of 9.50% Secured Redeemable NonConvertible Debenture Series PPD 22-A Date of 9.50% Secured Redeemable NonConvertible Debenture Series PPD 22-A Date of 9.50% Secured Redeemable NonConvertible Debenture Series PPD 22-B Date of 9.50% Secured Redeemable NonConvertible Debenture Series PPD 22-B Date of 11.60% Secured Redeemable NonConvertible Debenture Series PPD XVII-A Date 6.85% Secured Redeemable NonConvertible Debentures Series PPD 25-E. Letter 6.85% Secured Redeemable NonConvertible Debentures Series PPD 25-E. 9.45% Secured Redeemable NonConvertible Debenture Series PPD 22-E & PPD 9.45% Secured Redeemable NonConvertible Debenture Series PPD 22-E & PPD 9.1% Secured Redeemable Non Convertible Debenture Series PPD 22 K 9.10% Secured Redeemable NonConvertible Debenture Series PPD 22-K Date of
INE237A08221
INE237A07348
INE237A08239
INE237A07355
INE237A07306
INE237A08676
INE237A07793
INE237A08262
INE237A07389
INE237A08288
INE237A07405
KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED
INE237A08270
INE237A07397
9.25% Secured Redeemable NonConvertible Debenture Series PPD 22-H & 22-I 9.25% Secured Redeemable NonConvertible Debenture Series PPD 22-H & 22-I 9.25% Secured Redeemable NonConvertible Debenture Series PPD 22-J. Date of 9.25% Secured Redeemable NonConvertible Debenture Series PPD 22-J. Date of 8.65% Secured Redeemable NonConvertible Debenture Series PPD 22-P. Date of 8.65% Secured Redeemable NonConvertible Debenture Series PPD 22-P. Date of 8.85% Secured Redeemable NonConvertible Debenture Series PPD 22-O. Date 8.85% Secured Redeemable NonConvertible Debenture Series PPD 22-O. Date 9.10% Secured Redeemable NonConvertible Debenture Series PPD 22-N. Date of 9.10% Secured Redeemable NonConvertible Debenture Series PPD 22-N. Date of 6.85% Secured Redeemable NonConvertible Debentures Series PPD 25-J. 8.00% Secured Redeemable Nonconvertible DebenturesSeries PPD 23,23-A, 238.00% Secured Redeemable Nonconvertible DebenturesSeries PPD 23,23-A ,23-
INE237A08304
INE237A07421
INE237A08338
INE237A07454
INE237A08320
INE237A07447
INE237A08312
INE237A07439
INE237A07843
INE237A08361
INE237A07488
KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED
INE237A08650
INE237A07777
6.20% Secured Redeemable Nonconvertible DebenturesSeries PPD 25-C Date of 6.20% Secured Redeemable Nonconvertible DebenturesSeries PPD 25-C Date of 6.65% Secured Redeemable NonConvertible Debentures Series PPD 25-G. Letter 6.65% Secured Redeemable NonConvertible Debentures Series PPD 25-G. 6.90% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-B.Date of 6.90% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-B.Date of 6.90% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-A.Date of 6.80% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-C.Date of 6.90% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-A.Date of 6.80% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-C.Date of 6.95% Secured Redeemable NonConvertible Debentures Series PPD 25-F. Letter 6.95% Secured Redeemable NonConvertible Debentures Series PPD 25-F. 6.65% Secured Redeemable NonConvertible Debentures Series PPD 25-H. Letter
INE237A08692
INE237A07819
INE237A08478
INE237A07595
INE237A08452
INE237A08460
INE237A07579
INE237A07587
INE237A08684
INE237A07801
INE237A08700
KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED
INE237A07827
INE237A08718
6.65% Secured Redeemable NonConvertible Debentures Series PPD 25-H. 6.65% Secured Redeemable NonConvertible Debentures Series PPD 25-I. Letter of 6.65% Secured Redeemable NonConvertible Debentures Series PPD 25-I. 7.25% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-M & 237.25% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-M & 239.00% Secured Redeemable NonConvertible Debenture Series PPD XXI-C. Date 9.00% Secured Redeemable NonConvertible Debenture Series PPD XXI-C. Date 9.25% Secured Redeemable NonConvertible Debenture Series PPD XXI-D. Date 9.25% Secured Redeemable NonConvertible Debenture Series PPD XXI-D. Date 7.25% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-O.Date of 7.25% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-O.Date of 13.00% Secured Redeemable NonConvertible Debenture Series PPD 18-B. Date of 6.05% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-V .Date of
INE237A07835
INE237A08411
INE237A07538
INE237A08163
INE237A07223
INE237A08171
INE237A07231
INE237A08429
INE237A07546
INE237A07322
INE237A08619
KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED
INE237A07736
INE237A07314
6.05% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-V .Date of 12.60% Secured Redeemable NonConvertible Debenture Series PPD 18-C. Date of 6.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 25 Date of 6.10% Secured Redeemable Nonconvertible DebenturesSeries PPD 25 Date of 12.60% Secured Redeemable NonConvertible Debenture Series PPD 18-D. Date of 6.25% Secured Redeemable Nonconvertible DebenturesSeries Secured .Date 6.25% PPD 24-O Redeemable Nonconvertible DebenturesSeries PPD 24-O .Date 6.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-M & N 6.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-M & N 6.25% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-P .Date of 6.25% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-P .Date of 6.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-R & 246.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-R & 24-
INE237A08627
INE237A07744
INE237A07330
INE237A08536
INE237A07652
INE237A08544
INE237A07660
INE237A08551
INE237A07678
INE237A08569
INE237A07686
KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED
INE237A08577
INE237A07694
6.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-Q & 246.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-Q & 24Daily NSE MIBOR + 95 bps Secured Redeemable NonconvertibleMIBOR ++ 95 Daily NSE Debenturesbps Secured Redeemable Nonconvertible Debentures6.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-U .Date of 6.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-U .Date of 6.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-T .Date of 6.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 24-T .Date of 8.70% Secured Redeemable NonConvertible Debenture Series PPD 22-S. Date of 8.70% Secured Redeemable NonConvertible Debenture Series PPD 22-S. Date of 6.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 25-A Date of 6.35% Secured Redeemable Nonconvertible DebenturesSeries PPD 25-A Date of 8.25% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-G1, 23-
INE237A08585
INE237A07702
INE237A08601
INE237A07728
INE237A08593
INE237A07710
INE237A08353
INE237A07470
INE237A08635
INE237A07751
INE237A08387
INE237A07504
8.25% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-G1, 236.95% Secured Redeemable
Non-Convertible Debentures Series ppd 25-D
KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED
INE237A07785
INE237A08395
6.95% Secured Redeemable NonConvertible Debentures Series PPD 25-D 7.85% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-I.Date of 7.85% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-I.Date of 9.75% Secured Redeemable NonConvertible Debenture Series PPD XXI-B. Date 9.75% Secured Redeemable NonConvertible Debenture Series PPD XXI-B. Date 6.90% Secured Redeemable NonConvertible Debentures Series PPD 25-K. 7.80% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-K & 237.80% Secured Redeemable Nonconvertible DebenturesSeries PPD+ 200 & 23NSE Mibor 23-K Bps (Floor of 8.90% and Cap of 8.95%) Secured Redeemable NonNSE Mibor + 200 Bps (Floor of 8.90% and Cap of 8.95%) Secured Redeemable Non6.30% Secured Redeemable Nonconvertible DebenturesSeries PPD 25-B Date of
INE237A07512
INE237A08155
INE237A07215
INE237A07850
INE237A08403
INE237A07520
INE237A08346
INE237A07462
INE237A08643
KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA FINANCE LIMITED KOTAK MAHINDRA IN VESTMENTS LIMITED KOTAK MAHINDRA IN VESTMENTS LIMITED KOTAK MAHINDRA IN VESTMENTS LIMITED
INE237A07769
INE237A08379
6.30% Secured Redeemable Nonconvertible DebenturesSeries PPD 25-B Date of 8.50% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-D, 23-E & 8.50% Secured Redeemable Nonconvertible DebenturesSeries PPD 23-D, 23-E & 10.35% KMFL 2004 Secured Redeemable Non-Convertible Debenture -PPDXIX 10% Secured Redeemable Non Convertible Debenture (Series PPD XX- A) 10% Secured Redeemable Non Convertible Debenture (Series PPD XX- A) 10% Secured Redeemable NonConvertible Debenture (Letter of Allotment)10% Secured Redeemable NonConvertible Debenture (Series PPD XX -B) Date 10% Secured Non Convertible Debenture (Series PPD XXI) (Letter of Allotment) 10.00% Secured Redeemable NonConvertible Debenture Series PPD XXI. Date OF 6.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 8.75% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 8.75% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment.
INE237A07496
INE237A07025
INE237A07090
INE237A07140
INE237A08106
INE237A07157
INE237A08130
INE237A07199
INE975F08027
INE975F08019
INE975F08019
KOTAK MAHINDRA INE975F08035 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F08043 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07052 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F08050 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F08068 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07037 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07094 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07045 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07011 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07029 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07102 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07110 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07060 INVESTMENTS LIMITED
NSE MIBOR + 125 bps Unsecured Redeemable Non-Convertible Debentures. Letter of 6.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 7.75% Secured Redeemable NonConvertible Debentures. Letter Of Allotment. 6.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 6.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.85% Secured Redeemable NonConvertible Debentures. Letter Of Allotment. 5.85% Secured Redeemable NonConvertible DebenturesSeries 04/XIII. Letter Of 5.85% Secured Redeemable NonConvertible Debentures. Letter Of Allotment. 5.85% Secured Redeemable NonConvertible Debentures. Letter Of Allotment. 5.85% Secured Redeemable NonConvertible Debentures. Letter Of Allotment. 4.90% Secured Redeemable NonConvertible Debentures-. Letter Of Allotment. 4.90% Secured Redeemable NonConvertible Debentures-. Letter Of Allotment. 5.55% Secured Redeemable NonConvertible DebenturesSeries 04/I. Letter Of
KOTAK MAHINDRA INE975F07078 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07086 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07144 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07128 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07136 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07151 INVESTMENTS LIMITED KOTAK MAHINDRA INE975F07169 INVESTMENTS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED INE916D07127
5.60% Secured Redeemable NonConvertible DebenturesSeries 04/II. Letter Of 5.50% Secured Redeemable NonConvertible DebenturesSeries 04/III. Letter Of 4.75% Secured Redeemable NonConvertible Debentures Series 04/XLIV. Letter Of 4.75% Secured Redeemable NonConvertible Debentures-. Letter Of Allotment. 4.85% Secured Redeemable NonConvertible Debentures Series 04/XLIII. Letter Of 4.80% Secured Redeemable NonConvertible Debentures Series benchmark G-Sec 1 year 04/XLV. Letter Of average bid / offer rate as published on Reuters page INBMK + 25 bps 11%Non-Convertible Debentures
INE916D07242
12.20% Non Convertible Debentures - Sr. 134 9.25% Non Convertible Debentures - Series - 180 9.25% Non Convertible Debentures - Series - 179 11.4% Non Convertible Debentures-Series CVIII 12.50% Non Convertible Debentures - Sr. 124
INE916D07267
INE916D07275
INE916D07366
INE916D07168
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07291
9.75% Non Convertible Debentures - Series 176 9% Secured Redeemable Non-Convertible Debentures-Series CXCVIII-[Letter of 9% Secured Redeemable Non-Convertible Debentures-Series CXCVIII-198 8.75% Non Convertible Debentures Series CC (Letter NonAllotment) 8.75% of Convertible Debentures Series CC -200
INE916D08158
INE916D07630
INE916D08174
INE916D07655
INE916D07317
11.15% Non Convertible Debentures - Series 153 11.15% Non Convertible Debentures-Series CLIV 10%non-Convertible Debentures(Letter Of Allotment) 13.25% Secured Non Convertible Debentures Date of Maturity11.02.2002 Series LXXXI 12.95% Non Convertible Debentures Sr 100
INE916D07432
INE916D08117
INE916D07614
INE916D07192
INE916D08208
INE916D07689
8.40% Non Convertible Debentures Serues CCIII (Letter NonAllotment) 8.40% of Convertible Debentures Serues CCIII -203
INE916D08323
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08315
INE916D08331
MIBOR +80 bps Secured Non-convertible Debentures - date of maturity :17th Non 9.05% Secured Convertible Debentures Date of Maturity18/03/2002 Series CCXIV 11.60% Secured Non Convertible Debentures Date of Maturity28.03.2002 Convertible 11.9% Non Series CLXI Debentures-Series CXLVII
INE916D07564
INE916D07358
INE916D07150
14% Non Convertible DebenturesSr 74 9.30% Secured Redeemable NonConvertible DebenturesSeries CXCVII-[Letter of 9.30% Secured Redeemable NonConvertible DebenturesSeries CXCVII-197 13.10% Non Convertible Debentures - Series 136
INE916D08141
INE916D07622
INE916D07309
INE916D07259
13.10% Non Convertible Debentures - Series - 138 11.00% Non Convertible Debentures - Series 162 12.39% Secured Non Convertible Debentures Date of Maturity13/05/2002 Series 12.62% Secured Non Convertible Debentures (Series CXL) (140)
INE916D07325
INE916D08299
INE916D07770
INE916D08372
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08380
INE916D07341
8.50% Secured Non Convertible Debentures Date of Maturity27/05/2002 Series 10.90% Non Convertible Debentures - Series 171
INE916D08273
INE916D07747
9.15% Secured Non Convertible Debentures Date of Maturity11/06/2002 Series CCXI 9.15% Secured Non Convertible Debentures Date of Maturity11/06/2002 Series CCXI Mibor + 65 Bps Secured Non Convertible Debenture Series M01/44. Letter of 9.50% Secured Non Convertible Debentures Date of Maturity14/06/2002 Series 9.50% Secured Non Convertible Debentures Date of Maturity14/06/2002 Series 9.50% Secured Non Convertible Debentures Date of Maturity18/06/2002 Series 9.50% Secured Non Convertible Debentures Date of Maturity18/06/2002 Series 9.25% Secured Non Convertible Debentures Date of Maturity22/06/2002 Series CCXVI 9.45% Secured Non Convertible Debentures Date of Maturity22/06/2002 Series 9.25% Secured Non Convertible Debentures Date of Maturity22/06/2002 Series CCXVI 9.45% Secured Non Convertible Debentures Date of Maturity22/06/2002 Series
INE916D08398
INE916D08406
INE916D07812
INE916D08414
INE916D07820
INE916D08349
INE916D08422
INE916D07788
INE916D07838
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08067
9.8%non-Convertible Debentures(Letter Of Allotment) 9.80% Secured Non Convertible DebenturesDate Of Maturity24/6/02(Series CXCII) 9.80% Secured Non Convertible DebenturesDate Of Maturity27/6/02(Series CXCIII) 9.45% Secured Non Convertible Debentures Date of Maturity27/06/2002 Series 9.45% Secured Non Convertible Debentures Date of Maturity27/06/2002 Series 9.45% Secured Non Convertible Debentures Date of Maturity27/06/2002 Series 10%non-Convertible Debentures
INE916D07069
INE916D07051
INE916D08430
INE916D08430
INE916D07846
INE916D07119
INE916D08455
INE916D08463
Mibor + 80 Bps Secured Non Convertible Debenture Series M01/47. Letter of Mibor + 80 Bps Secured Non Convertible Debenture Series M01/48 & M01/49. Letter of 9.05% Non Convertible Debentures Series CCI (Letter NonAllotment) 9.05% of Convertible Debentures Series CCI -201
INE916D08182
INE916D07663
INE916D07200
13% Non Convertible Debentures Sr. 126 9.80% Secured Non Convertible Debentures Date of Maturity16/07/2002 Series
INE916D07028
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08356
INE916D07796
8.90% Secured Non Convertible Debentures Date of Maturity16/07/2002 Series 8.90% Secured Non Convertible Debentures Date of Maturity16/07/2002 Series Mibor + 70 Bps Secured Non Convertible Debenture Series M01/50. Letter of Mibor + 80 Bps Secured Non Convertible Debenture Series M01/51 .Mibor + 80 Bps Secured Letter of Allotment. Date Non Convertible Debenture Series M01/52 .Mibor + 80 Bps Secured Letter of Allotment. Date Non Convertible Debenture Series M01/53 .Mibor + 80 Bps Secured Letter of Allotment. Date Non Convertible Debenture Series M01/54 .Mibor + 80 Bps Secured Letter of Allotment. Date Non Convertible Debenture Series M02/01 . Letter of ConvertibleDate 13% Non Allotment. Debentures Sr. 123
INE916D08489
INE916D08505
INE916D08513
INE916D08539
INE916D08562
INE916D08570
INE916D07218
INE916D08588
INE916D07531
Mibor + 80 Bps Secured Non Convertible Debenture Series M02/02 . Letter of Allotment. Date 10.00% Secured Non Convertible Debentures Date of Maturity06.08.2002bps Secured Mibor + 80 Series Non Convertible Debentures Date of Maturity-06-08-2002 8.75% Secured Non Convertible Debentures (Letter of allotment) Date of Maturity-07.08.2002
INE916D08604
INE916D08232
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
KOTAK MAHINDRA PRIMUS LIMITED
INE916D07705
INE916D08240
8.75% Secured Non Convertible Debentures Date of Maturity07.08.2002 Series CCVII8.75% Secured Non Convertible Debentures (Letter of allotment) Date of Maturity-08.08.2002 8.75% Secured Non Convertible Debentures Date of Maturity08.08.2002 Series CCVIII 10% Non-convertible debentures-
INE916D07713
INE916D07101
INE916D08612
INE916D08042
Mibor + 80 Bps Secured Non Convertible Debenture Series M02/06 . Letter of Allotment. Date 10% Non-Convertible Debentures (lLetter of Allotment)
INE916D07044
INE916D08653
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07176
12.95% Non Convertible Debentures -Sr. 99 13.10% Secured Non Convertible Debentures Date of Maturity27.08.2002 Series 9.25% Secured Non Convertible Debentures Date of Maturity29/08/2002 Series CCX 9.25% Secured Non Convertible Debentures Date of Maturity29/08/2002 Series CCX 13.10% Secured Non Convertible Debentures Date of Maturity10.09.2002 Series
INE916D07606
INE916D08265
INE916D07739
INE916D07580
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07457
INE916D07523
13.10% Secured Non Convertible Debentures Date of Maturity14.09.2002 Series 13.10% Secured Non Convertible Debentures Date of Maturity23.09.2002 Series 13.10% Secured Non Convertible Debentures Date of Maturity27.09.2002 Series 13.10% Secured Non Convertible Debentures (Series LXXXXI) (Series 91) 13.10% Secured Non Convertible Debentures Date of Maturity04.10.2002 Series 8.75% Secured Non Convertible Debentures Date of Maturity: 11/10/2002 Series 8.75% Secured Non Convertible Debentures Date of Maturity: 11/10/2002 Series 13.10% Secured Non Convertible Debentures Date of Maturity15.10.2002 Convertible 9.05% Non Series Debentures Series CCII (Letter of Allotment) Convertible 9.05% Non Debentures Series CCII -202
INE916D07515
INE916D07499
INE916D07507
INE916D08620
INE916D07929
INE916D07473
INE916D08190
INE916D07671
INE916D07465
INE916D07440
13.10% Secured Non Convertible Debentures Date of Maturity29.10.2002 Convertible 12.7% Non Series Debentures-Series CXXXIX
INE916D08281
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07754
INE916D08224
9.15% Secured Non Convertible Debentures Date of Maturity03/11/2002 Series CCXII 9.25% Secured Non Convertible Debentures (Letter of allotment) Date of Maturity-05.11.2002 13.00% Secured Non Convertible Debentures Date of Maturity05.11.2002 Series 9.25% Secured Non Convertible Debentures Date of Maturity05.11.2002 Series CCV9.05% Secured Non Convertible Debentures Date of Maturity07/11/2002 Series 9.05% Secured Non Convertible Debentures Date of Maturity07/11/2002 Series 6.90% Secured Redeemable NonConvertible Debentures. Series CCLIV. Letter of 6.90% Secured Redeemable NonComvertible Debentures. Series CCLIV. . Date 8.90% Secured Non of
Convertible Debentures Date of Maturity: 23/11/2002 Series CCXXXII 8.90% Secured Non Convertible Debentures Date of Maturity: 23/11/2002 Series CCXXXII
INE916D07598
INE916D07697
INE916D08596
INE916D07911
INE916D08844
INE916D07AM5
INE916D08638
INE916D07937
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07333
12.50% Non Convertible Debentures - Series 142 8.85% Secured Non Convertible Debentures Date of Maturity: 10/12/2002 Series 8.85% Secured Non Convertible Debentures Date of Maturity: 10/12/2002 Series
INE916D08695
INE916D07952
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08687
INE916D07978
8.45% Secured Non Convertible Debentures Date of Maturity: 11/12/2002 Series 8.45% Secured Non Convertible Debentures Date of Maturity: 11/12/2002 Series 9.15% Secured Non Convertible Debentures Date of Maturity13/12/2002 Series CCXIII 9.15% Secured Non Convertible Debentures Date of Maturity13/12/2002 Series CCXIII 8.65% Secured Non Convertible Debentures Date of Maturity:13/12/2002 8.65% Secured Non Convertible Debentures Date of Maturity:13/12/2002 11%Non-Convertible Debentures(Letter Of Allotment)
INE916D08307
INE916D07762
INE916D08679
INE916D07986
INE916D08091
INE916D07093
11%Non-Convertible Debentures (Series 173) 7.75% Secured Non Convertible Debentures Date of Maturity:10/01/2003 8.75% Secured Non Convertible Debentures Date of Maturity12/01/2003 Series 8.75% Secured Non Convertible Debentures Date of Maturity12/01/2003 Series 10.95% Non Convertible Debentures - Series 181
INE916D08778
INE916D08471
INE916D07861
INE916D07283
INE916D08AE0
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08AF7
INE916D08AG5
6.50% Secured Redeemable NonComvertible Debentures. Series CCLXXVI. Date of Zero Coupon Secured Redeemable NonComvertible Debentures. Series CCLXXVII. Date of 8.75% Secured Non Convertible Debentures Date of Maturity12/02/2003 Series 8.75% Secured Non Convertible Debentures Date of Maturity12/02/2003 Series Zero coupon nonconvertible debentures(letter of allotment)
INE916D08364
INE916D07804
INE916D08075
INE916D07077
Zero coupon nonconvertible debentures12.95% Non Convertible Debentures -Sr. 101 6.30% Secured Redeemable NonComvertible Debentures. Series CCLXXXVIII. Date 10.20% Secured Non Convertible Debentures Date of Maturity06.03.2003 (Series 6.95% Secured Redeemable NonComvertible Debentures. Series CCLXI. Letter of 6.95% Secured Redeemable NonComvertible Debentures. Series CCLXI. . Non of 9.27% Secured Date Convertible Debentures Date of Maturity28/03/2003 Series 9.27% Secured Non Convertible Debentures Date of Maturity28/03/2003 Series
INE916D07184
INE916D08AM3
INE916D07143
INE916D08919
INE916D07AT0
INE916D08448
INE916D07853
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08521
INE916D07887
9.25% Secured Non Convertible Debentures Date of Maturity02/04/2003 Series 9.25% Secured Non Convertible Debentures Date of Maturity02/04/2003 Series 6.75% Secured Redeemable NonComvertible Debentures. Series CCLXVI. Date of 6.75% Secured Redeemable NonComvertible Debentures. SeriesSecured Non of 7.3% CCLXVI Date Convertible Debenture Series CCLII. Letter of Allotment. DateNon 7.3% Secured of Convertible Debenture Series CCLII. . Date of Maturity:08/04/2003 7.3% Secured Non Convertible Debenture Series CCLIII. Letter of Allotment. DateNon 7.3% Secured of Convertible Debenture Series CCLIII. . Date of Maturity:09/04/2003 8.80% Secured Non Convertible Debentures Date of Maturity10/04/2003 Series 8.80% Secured Non Convertible Debentures Date of Maturity10/04/2003 Series 6.80% Secured Redeemable NonComvertible Debentures. Series CCLXVII. . Date of 6.80% Secured Redeemable NonComvertible Debentures. Series CCLXVII Date of 11.85% Non Convertible Debentures-Series CLXIV
INE916D08950
INE916D07AX2
INE916D08836
INE916D07AL7
INE916D08828
INE916D07AK9
INE916D08497
INE916D07879
INE916D08968
INE916D07AY0
INE916D07374
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07036
INE916D08869
10.20% Secured Non Convertible Debentures Date of Maturity16/04/2002 Series 7.30% Secured Redeemable NonComvertible Debentures. Series CCLVI. Letter of 7.30% Secured Redeemable NonComvertible Debentures. Series CCLVI. . Date of 7.50% Secured Redeemable NonConvertible Debentures. Series CCCIV. Letter of 11.85% Non Convertible Debentures-Series CLXV
INE916D07AO1
INE916D08BA6
INE916D07382
INE916D08AC4
INE916D07BE0
6.30% Secured Redeemable NonComvertible Debentures. Series CCLXXIII. Date of 6.30% Secured Redeemable NonComvertible Debentures. Series CCLXXIII. Date of 9.25% Secured Non Convertible Debentures Date of Maturity02/05/2003 Series 9.25% Secured Non Convertible Debentures Date of Maturity02/05/2003 Series 6.85% Secured Redeemable NonComvertible Debentures. Series CCLXXXIX. Date 6.85% Secured Redeemable NonComvertible Debentures. Series CCLXXXIX. Date 11.85% Non Convertible Debentures-Series CLXVIII
INE916D08547
INE916D07903
INE916D08AN1
INE916D07BK7
INE916D07390
INE916D08AO9
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07BL5
INE916D08AA8
6.60% Secured Redeemable NonComvertible Debentures. Series CCLXXXX. Date 6.35% Secured Redeemable NonComvertible Debentures. Series CCLXXI . Date of 6.35% Secured Redeemable NonComvertible Debentures. Series CCLXXI . Date of 6.35% Secured Redeemable NonComvertible Debentures. Series CCLXXII . Date of 6.35% Secured Redeemable NonComvertible Debentures. Series CCLXXII . Date of 9.25% Secured Non
Convertible Debentures Date of Maturity: 28/05/2003 Series 9.25% Secured Non Convertible Debentures Date of Maturity: 28/05/2003 Series
INE916D07BC4
INE916D08AB6
INE916D07BD2
INE916D08646
INE916D07945
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07408
11.55% Non Convertible Debentures-Series CLXXII 8.40% Secured Non Convertible Debentures Date of Maturity:03/06/2003 8.25% Secured Non Convertible Debentures Date of Maturity:03/06/2003 8.25% Secured Non Convertible Debentures Date of Maturity:03/06/2003 8.40% Secured Non Convertible Debentures Date of Maturity:03/06/2003 6.30% Secured Redeemable NonComvertible Debentures. Series CCLXXIV. Date of
INE916D08737
INE916D08729
INE916D07AC6
INE916D07AD4
INE916D08AD2
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07BF7
INE916D08AS0
6.30% Secured Redeemable NonComvertible Debentures. Series CCLXXIV. Date of 7.25% Secured Redeemable NonConvertible Debentures Series CCLXXXXV. 7.25% Secured Redeemable NonConvertible Debentures Series CCLXXXXV. 5.50% Secured Redeemable NonConvertible Debentures. Series CCCX. Letter of 8.75% Secured Non Convertible Debentures Date of Maturity: 08-062003 Series CCXLI (241) 8.75% Secured Non Convertible Debentures Date of Maturity: 08-062003 Series CCXLI (241) 7.00% Secured Redeemable Nonconvertible Debentures. Series CCLXXXXIV. Date 7.00% Secured Redeemable Nonconvertible Debentures. Series CCLXXXXIV. Date 9.10% Secured Non Convertible Debentures Date of Maturity: 12/06/2003 Series 9.10% Secured Non Convertible Debentures Date of Maturity: 12/06/2003 Series 7.35% Secured Redeemable NonComvertible Debentures. Series CCLVII. Letter of 7.15% Secured Redeemable NonComvertible Debentures. Series CCLXII. Letter of 7.35% Secured Redeemable NonComvertible Debentures. Series CCLVII. . Date of
INE916D07BQ4
INE916D08BF5
INE916D08703
INE916D07994
INE916D08AR2
INE916D07BO9
INE916D08661
INE916D07960
INE916D08877
INE916D08927
INE916D07AP8
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07AU8
INE916D08059
7.15% Secured Redeemable NonComvertible Debentures. Series CCLXII. . Date of 9.80%Non-Convertible Debentures-(letter of Allotment)
INE916D08083
11.2%Non-Convertible Debentures(Letter of Allotment) 10.20% Secured Non Convertible Debentures Date Of Maturity30/6/03.Series CLXXIV 8.50% Secured Non Convertible Debentures Date of Maturity:01/07/2003 8.50% Secured Non Convertible Debentures Date of Maturity:01/07/2003 8.9% Secured Non Convertible Debentures Date of Maturity: 02-072003 Series CCXLII (242) 8.9% Secured Non Convertible Debentures Date of Maturity: 02-072003 Series CCXLII (242) 6.90% Secured Redeemable NonConvertible Debentures Series Secured 6.67% Redeemable NonConvertible Debentures Series-SecuredLetter of 6.90% CCCII. Redeemable NonConvertible Debentures Series CCLXXXXVIII. 6.67% Secured Redeemable NonConvertible Debentures Series-Secured Non 8.50% CCCII. Convertible Debentures Date of Maturity:07/07/2003
INE916D07085
INE916D08760
INE916D07AB8
INE916D08711
INE916D07AA0
INE916D08AV4
INE916D08AY8
INE916D07BS0
INE916D07BV4
INE916D08752
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
KOTAK MAHINDRA PRIMUS LIMITED
INE916D07AF9
INE916D08AJ9
8.50% Secured Non Convertible Debentures Date of Maturity:07/07/2003 6.20% Secured Redeemable NonComvertible Debentures. Series CCLXXIV. Date of 6.20% Secured Redeemable NonComvertible Debentures. Series CCLXXIV. Date of 8.45% Secured Non Convertible Debentures Date of Maturity:11/07/2003 8.45% Secured Non Convertible Debentures Date of Maturity:11/07/2003 Mibor + 200 Bps Secured
Non Convertible Debenture Series M02/15 . Letter of Allotment. Date of
INE916D07BH3
INE916D08745
INE916D07AE2
INE916D08794
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
KOTAK MAHINDRA PRIMUS LIMITED
INE916D07AH5
INE916D08AT8
Mibor + 200 Bps Secured Non Convertible Debenture Series M02/15 . . DateSecured 7.25% of Redeemable Nonconvertible Debentures. Series Secured 7.25% Redeemable Nonconvertible Debentures. Series CCLXXXXVI. 12.60% Secured Non
INE916D07BR2
INE916D07556
INE916D08786
INE916D07AG7
INE916D08AW2
8.10% Secured Non Convertible Debentures.: Date of Maturity:01/08/2003 6.75% Secured Redeemable NonConvertible Debentures Series-CCC Letter of
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08AX0
INE916D07BT8
6.60% Secured Redeemable NonConvertible Debentures Series-CCCI Letter of 6.75% Secured Redeemable NonConvertible Debentures Series-CCC 6.60% Secured Redeemable NonConvertible Debentures Series-CCCI 7.65% Secured Non Convertible Debenture Series CCLI. Letter of Allotment. Date of 7.65% Secured Non Convertible Debenture Series CCLI. . Date of Maturity:12/08/2003 7.80% Secured Redeemable NonComvertible Debentures. Series CCLV. Letter of 7.80% Secured Redeemable NonComvertible Debentures. Series CCLV. . Date of 6.80% Secured Redeemable Nonconvertible Debentures. Series CCLXXXXIII. Date 6.80% Secured Redeemable Nonconvertible Debentures. Series CCLXXXXIII. Date 6.80% Secured Redeemable Nonconvertible Debentures. Series CCLXXXXIII. Date 7.05% Secured Redeemable NonComvertible Debentures. Series CCLXX. . Date of 7.05% Secured Redeemable NonComvertible Debentures. Series CCLXX Date of 13% non Convertible Debentures Sr. 122
INE916D07BU6
INE916D08810
INE916D07AJ1
INE916D08851
INE916D07AN3
INE916D08AQ4
INE916D08AQ4
INE916D07BN1
INE916D08992
INE916D07BB6
INE916D07234
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08893
INE916D07AR4
7.45% Secured Redeemable NonComvertible Debentures. Series CCLIX. Letter of 7.45% Secured Redeemable NonComvertible Debentures. Series CCLIX. . Date of 13% Non Convertible Debentures Sr. 125
INE916D07226
INE916D08935
INE916D07AV6
7.25% Secured Redeemable NonComvertible Debentures. Series CCLXIV. Letter of 7.25% Secured Redeemable NonComvertible Debentures. Series CCLXIV Date of 7.10% Secured Redeemable NonComvertible Debentures. Series CCLXIX. . Date of 7.20% Secured Redeemable NonComvertible Debentures. Series CCLXVIII. . Date 7.10% Secured Redeemable NonComvertible Debentures. Series CCLXIX Date of 7.20% Secured Redeemable NonComvertible Debentures. Series CCLXVIIINon of 9.50% Secured Date Convertible Debentures Date of Maturity30/10/2003 Series 9.50% Secured Non Convertible Debentures Date of Maturity30/10/2003 Series MIBOR + 15 bps Secured Redeemable NonConvertible Debentures Series M03-64. Letter of 12.50% Secured Non Convertible Debentures Date of Maturity01.12.2003 Series CXLVI
INE916D08976
INE916D08984
INE916D07AZ7
INE916D07BA8
INE916D08554
INE916D07895
INE916D07CY6
INE916D07549
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08AI1
INE916D07BG5
6.50% Secured Redeemable NonComvertible Debentures. Series CCLXXIX. Date of 6.50% Secured Redeemable NonComvertible Debentures. Series CCLXXIX. Date of 6.40% Secured Redeemable NonComvertible Debentures. Series CCLXXXII. Date of 7.15% Secured Redeemable NonComvertible Debentures. Series CCLXXXIII. Date 6.40% Secured Redeemable NonComvertible Debentures. Series CCLXXXII. Date of 7.15% Secured Redeemable NonComvertible Debentures. Series CCLXXXIII. Date 5.40% Secured Redeemable NonConvertible Debentures Series CCCLV. Letter of 6.25% Secured Redeemable NonConvertible Debentures. Series CCCVIII. NCD. Sr 6.25% Secured Letter of CCCVIII
INE916D08AK7
INE916D08AL5
INE916D07BI1
INE916D07BJ9
INE916D07CS8
INE916D08BD0
INE916D07BZ5
INE916D07DG1
INE916D07CR0
MIBOR + 15 bps Secured Redeemable NonConvertible Debentures Series M03-90. Letter of 5.55% Secured Redeemable NonConvertible Debentures Series CCCLIV. Letter of MIBOR + 20 bps Secured Redeemable NonConvertible Debentures Series M03-99. Letter of 5.60% Secured Redeemable NonConvertible Debentures Series CCCLVII. Letter of
INE916D07DM9
INE916D07CU4
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08BY6
5.6% Secured NCD. Sr, CCCXLIV-LOA 5.45% Secured Redeemable NonConvertible Debentures Series+ 10 Bps Secured Mibor CCCLVI. Letter of Non Convertible Debenture Series M03/103 . Letter of Mibor + 10 Bps Secured Non Convertible Debenture Series M03/105 . Letter of 5.05% Secured Redeemable NonConvertible Debentures. Series CCCLXIV. Letter 5.75% Secured Redeemable NonConvertible Debentures. Series CCCXIII. NCD. Sr 5.75% Secured Letter of CCCXIII
INE916D07CT6
INE916D07DN7
INE916D07DO5
INE916D07CZ3
INE916D08BI9
INE916D07CD0
INE916D08BC2
INE916D07BY8
6.40% Secured Redeemable NonConvertible Debentures. Series CCCVII. Letter of 6.4% Secured NCD. Sr CCCVII
INE916D07DA4
INE916D07DV0
5.05% Secured Redeemable NonConvertible Debentures. Series CCCLXV. Letter 5% Secured Redeemable Non-Convertible Debentures. Series CCCLXXXIV. Letter of 5.75% Secured NonConvertible Deebntures. Series CCCXXXII. Letter of Allotment 5.75% Secured NCD. Sr CCCXXXII
INE916D08BR0
INE916D07CM1
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07DB2
INE916D08885
5.05% Secured Redeemable NonConvertible Debentures. Series CCCLXVI. Letter 8.05% Secured Redeemable NonComvertible Debentures. Series CCLVIII. Letter of 8.05% Secured Redeemable NonComvertible Debentures. Series+ 15 Bps Secured Mibor CCLVIII. . Date of Non Convertible Debenture Series M03/115 . Letter of 5.20% Secured Redeemable NonConvertible Debentures. Series CCCLXXII. Letter NSE Mibor compounded daily + 10 Bps Secured Non Convertible Debenture Series 8.10% Secured Redeemable NonComvertible Debentures. Series CCLXIII. Letter of 8.10% Secured Redeemable NonComvertible Debentures. Series CCLXIII Date of 8.45% Secured Redeemable NonComvertible Debentures. Series CCLXXXVI. Date 8.45% Secured Redeemable NonComvertible Debentures. Series CCLXXXVI. Date 6.50% Secured Redeemable NonConvertible Debentures Series - CCCIII. Letter of 6.5% Secured NCD. Sr CCCIII
INE916D07AQ6
INE916D07DU2
INE916D07DE6
INE916D07EG9
INE916D08943
INE916D07AW4
INE916D08AH3
INE916D07BW2
INE916D08AZ5
INE916D07BX0
INE916D07EC8
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07EJ3
INE916D08BE8
NSE Mibor + 5 Bps Secured Non Convertible Debenture Series M04/01 . LetterSecured 6.45% of Allotment. Redeemable NonConvertible Debentures. Series CCCIX. Letter of 6.45% Secured NCD. Sr CCCIX
INE916D07CA6
INE916D08BG3
INE916D07CB4
6.45% Secured Redeemable NonConvertible Debentures. Series CCCXI. Letter of 6.45% Secured NCD. Sr CCCXI
INE916D08BH1
INE916D07CC2
6.60% Secured Redeemable NonConvertible Debentures. Series CCCXII.NCD. Sr 6.6% Secured Letter of CCCXII
INE916D08BW0
5.75% Secured NCD. Sr CCCXL-LOA 4.80% Secured NonConvertible Debentures. Series CCCXCIV. Letter of Allotment. Secured Zero Coupon Redeemable NonConvertible Debentures. Series CCCXIV. Letter of 6.5% Secured NCD. Sr CCCXIV
INE916D07EP0
INE916D08BJ7
INE916D07CE8
INE916D07DZ1
INE916D07DR8
5.20% Secured Redeemable NonConvertible Debentures. Series CCCLXXXVII. 5.75% Secured Redeemable NonConvertible Debentures. Series CCCLXXXI.
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07DT4
INE916D08BL3
5.20% Secured Redeemable NonConvertible Debentures. Series CCCLXXXIII. 5.95% Secured Redeemable NonConvertible Debentures. Series CCCXX. Non- of 5.75% Secured Letter Convertible Deebntures. Series CCCXXV. Letter of Allotment 5.95% Secured NCD. Sr CCCXX
INE916D08BP4
INE916D07CG3
INE916D07CK5
5.75% Secured NCD. Sr CCCXXV 5.85% Secured Redeemable NonConvertible Debentures. Series CCCXXII. Letter of 5.85% Secured NCD. Sr CCCXXII
INE916D08BM1
INE916D07CI9
INE916D08BO7
INE916D07CJ7
5.85% Secured NonConvertible Deebntures. Series CCCXXIII. Letter of Allotment 5.85% Secured NCD. Sr CCCXXIII
INE916D07DY4
INE916D08BN9
5.30% Secured Redeemable NonConvertible Debentures. Series CCCLXXXVI. 5.95% Secured Redeemable NonConvertible Debentures. Series CCCXXI.NCD. Sr 5.95% Secured Letter of CCCXXI
INE916D07CH1
INE916D07DC0
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07DX6
INE916D07EQ8
5.30% Secured Redeemable NonConvertible Debentures. Series CCCLXXXV. 4.90% Secured NonConvertible Debentures. Series CCCXCV. Letter of Allotment. 5.85% Secured NonConvertible Deebntures. Series CCCXXXI. Letter of Allotment 5.85% Secured NCD. Sr CCCXXXI
INE916D08BQ2
INE916D07CL3
INE916D08BS8
5.85% Secured NCDLOA Series CCCXXXIII 5.85% Secured NCD. Sr CCCXXXIII Zero Coupon Secured NCD SR 336-LOA 6.1% Secured NCD Sr. CCCXXXIX-LOA MIBOR + 200 bps (with af floor of 9.00% p.a & cap of 9.05% p.a) Secured Redeemable 11.2% Non Convertible Debentures-Series CLXXVIII
INE916D07CN9
INE916D08BV2
INE916D08BX8
INE916D07CP4
INE916D07416
INE916D07EK1
INE916D08802
5.05% Secured NonConvertible Debentures. Series CCCXCI. Letter of Allotment. 8.65% Secured Non Convertible Debenture Series CCXLX. Letter of Allotment. Date of 8.65% Secured Non Convertible Debenture Series CCXLX. . Date of Maturity:26/07/2004
INE916D07AI3
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
KOTAK MAHINDRA PRIMUS LIMITED
INE916D07424
10.45% Non Convertible Debentures-Series CLXXXIV 5.9% Secured NCD. Sr. CCCXXXV-LOA 5.00% Secured NonConvertible Debentures. Series CCCXCII. Letter of Allotment. 6.50% Secured Redeemable Nonconvertible Debentures. Series CCLXXXXII. Date 6.50% Secured Redeemable Nonconvertible Debentures. Series CCLXXXXII. Date 6.50% Secured Redeemable Nonconvertible Debentures. Series CCLXXXXII. Date 10.30% Secured Non Convertible Debentures (Series CXCI)
INE916D08CA4
INE916D07EM7
INE916D08AP6
INE916D08AP6
INE916D07BM3
INE916D07010
INE916D08AU6
INE916D07BP6
7.65% Secured Redeemable Non-Convertible Debentrues Series CCLXXXXVII.Letter of Allotment. 7.65% Secured Redeemable Non-Convertible Debentrues Series CCLXXXXVII..
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D08901
INE916D07AS2
8.30% Secured Redeemable NonComvertible Debentures. Series CCLX. Letter of 8.30% Secured Redeemable NonComvertible Debentures. Series CCLX. . Date of 10.20% Secured Non Convertible Debentures (Letter of allotment) Date of Maturity-06.03.2003 10.85%non-Convertible Debentures(Letter Of Allotment)
INE916D08133
INE916D08125
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07135
10.85%non-Convertible Debentures (Series CXCIV) 5.40% Secured Redeemable NonConvertible Debentures. Series CCCLXIX. Letter Zero Coupon Secured Redeemable NonConvertible Debentures. Series CCCXLIX. Letter 5.09% Secured NonConvertible Debentures. Series D04/0007. Letter of Allotment. 5.09% Secured NonConvertible Debentures. Series D04/0008. Letter of Allotment. 5.20% Secured NonConvertible Debentures. Series CCCLXXXIX. Letter of Allotment. 5.09% Secured NonConvertible Debentures. Series D04/0010. Letter of Allotment. Secured Zero Coupon Non-Convertible Debentures. Series D04/0011. Letter of 6.20% Secured Redeemable NonConvertible Debentures. Series+ 70 Bps Secured Mibor CCCLXII. Letter Non Convertible Debenture Series M03/106 . Letter of NSE Mibor compounded daily + 90 Bps Secured Non Convertible Debenture Series NSE Mibor compounded daily + 80 Bps Secured Non Convertible Debenture SeriesNon 10.30% Secured Convertible Debentures Date of Maturity26.11.2004 Series CCIX
INE916D07DD8
INE916D07DF3
INE916D07FE1
INE916D07FC5
INE916D07EH7
INE916D07FF8
INE916D07FG6
INE916D07CX8
INE916D07DP2
INE916D07EE4
INE916D07EF1
INE916D08257
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07721
INE916D08BK5
10.30% Secured Non Convertible Debentures Date of Maturity26.11.2004 Series CCIX 6.35% Secured Redeemable NonConvertible Debentures. Series CCCXV. NCD. Sr 6.35% Secured Letter of CCCXV
INE916D07CF5
INE916D07EN5
INE916D07EA2
5.30% Secured NonConvertible Debentures. Series CCCXCIII. Letter of Allotment. 90 Bps NSE Mibor + (Floor 5.40% p.a. & Cap 5.45% p.a.) Secured Non Convertible compounded NSE Mibor Debenture daily + 90 Bps Secured Non Convertible Debenture Series 6.25% Secured NCD Sr338-LOA
INE916D07ED6
INE916D08BT6
INE916D07EI5
INE916D07FD3
5.25% Secured NonConvertible Debentures. Series CCCXC. Letter of Allotment. 4.75% Secured NonConvertible Debentures. Series D04/0009. Letter of Allotment. 6.25% Secured NCD. Sr. CCCXLV-LOA
INE916D08BZ3
INE916D07CQ2
INE916D07CO7
6.28% Secured Redeemable NonConvertible Debentures Series CCCLIII. Letter of 6.28% Secured Redeemable NonConvertible Debentures. Series CCCXLVII. Letter NSE Mibor + 75 Bps Secured Non Convertible Debenture Series M04/06 .Letter of Allotment.
INE916D07EO3
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
INE916D07EU0
INE916D07DI7
5.15% Secured NonConvertible Debentures. Series D04/0001. Letter of Allotment. 5.65% Secured Redeemable NonConvertible Debentures. Series CCCLXXIV. 5.75% Secured Redeemable NonConvertible Debentures. Series CCCLXXIII. Letter 5.75% Secured Redeemable NonConvertible Debentures. Series CCCLXXV. Letter 5.75% Secured Redeemable NonConvertible Debentures. Series CCCLXXVII. 5.00% Secured NonConvertible Debentures. Series D04/0002. Letter of Allotment.Bps Secured Mibor + 125 Non Convertible Debenture Series M03/112 (Floor : Secured Mibor + 140 Bps 5.75% , Non Convertible Debenture Series M03/116 . Letter of 6.5% Unsecured NCD SR-337 - LOA
INE916D07DH9
INE916D07DL1
INE916D07DK3
INE916D07EW6
INE916D07DS6
INE916D07DW8
INE916D08BU4
INE916D07CV2
INE916D07CW0
6.50% Secured Redeemable NonConvertible Debentures Series CCCLVIII. Letter 6.50% Secured Redeemable NonConvertible Debentures. Series CCCXLVI. Bps NSE Mibor + 125 Letter Secured Non Convertible Debenture Series M04/17 .Letter Secured 5.95% of Allotment. Redeemable NonConvertible Debentures. Series CCCLXXVI.
INE916D07ET2
INE916D07DJ5
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LIMITED
Kotak Mahindra Primus Limited
INE916D07DQ0
INE916D07EB0
Mibor + 140 Bps Secured Non Convertible Debenture Series M03/107 . Letter of NSE Mibor + 150 Bps Compounded daily (Floor 5.73% p.a. & Cap 5.83% p.a.) Secured120 Bps NSE Mibor + Non Secured Non Convertible Debenture Series M04/16 .Letter of Allotment. NSE Mibor + 125 Bps Secured Non Convertible Debenture Series M04/10 .Letter of Allotment. NSE Mibor + 80 Bps Secured Non Convertible Debenture Series F04/03 .Letter of Allotment. NSE Mibor + 85 Bps Secured Non Convertible Debenture Series F04/02 . Floor - 5.35% , Bps NSE Mibor + 85 Cap Secured Non Convertible Debenture Series F04/04 .Letter of Allotment. NSE Mibor + 100 Bps Secured Non Convertible Debenture Series F04/06 & F04/07. + 145 Bps NSE Mibor Secured Non Convertible Debenture Series M04/03 .Letter of Allotment. NSE Mibor + 110 Bps Secured Non Convertible Debenture Series F04/01 .Letter of Allotment. Fully Secured Non-Convertible
Debentures (Letter of Allotment)
INE916D07ES4
INE916D07ER6
INE916D07EZ9
INE916D07EY2
INE916D07EX4
INE916D07FB7
INE916D07EL9
INE916D07EV8
INE916D08026
INE916D08034
Fully Secured Non-Convertible Debentures (Letter of Allotment) Fully Secured Non-Convertible Debentures (Letter of Allotment)
INE916D08018
KOTAK MAHINDRA PRIMUS LIMITED KOTAK MAHINDRA PRIMUS LTD. KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD
KOTAK SECURITIES LTD
INE916D07FA9
INE916D08BB4
NSE Mibor + 85 Bps Secured Non Convertible Debenture Series F04/05. 6.85% Secured Redeemable NonConvertible Debentures. Series CCCVI. Letter of 6.05% Secured Redeemable OCD. Lettter of Allotment
INE028E08119
INE028E08135
5.85% Unsecured Redeemable OCD. Lettter of Allotment 6.50% Unsecured Redeemable OCD. Lettter of Allotment 6.05% Unsecured Redeemable Optionally Convertible Debentures. Lettter Unsecured 5.75% of Allotment Redeemable Optionally Convertible Debentures. Lettter Unsecured 5.75% of Allotment Redeemable Optionally Convertible Debentures. Lettter of Allotment 6.85% Secured Redeemable
OCD. Lettter of Allotment
INE028E08143
INE028E08176
INE028E08150
INE028E08184
INE028E08101
KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD
INE028E08200
INE028E08226
5.55% Unsecured Redeemable Optionally Convertible Debentures. Lettter Unsecured 5.60% of Allotment Redeemable Optionally Convertible Debentures. Lettter of Allotment NSE MIBOR + 45 bps Unsecured Redeemable Optionally Convertible Debentures. Lettter of 5.85% Unsecured Redeemable Optionally Convertible Debentures. Lettter of Allotment
INE028E08234
INE028E08242
KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD
INE028E08127
6.25% Secured Redeemable OCD. 6.50% Unsecured Redeemable Optionally Convertible Debentures. Lettter Unsecured 5.55% of Allotment Redeemable Optionally Convertible Debentures. Lettter Unsecured 5.23% of Allotment Redeemable Optionally Convertible Debentures. Lettter Unsecured 5.23% of Allotment Redeemable Optionally Convertible Debentures. Lettter Secured 5.50% of Allotment Redeemable Optionally Convertible Debentures. Lettter Secured 6.50% of Allotment Redeemable Optionally Convertible Debentures.
INE028E08218
INE028E08267
INE028E08259
INE028E08275
INE028E07061
INE028E08168
INE028E07038
INE028E07046
5.60% Secured Redeemable Optionally Convertible Debentures. Lettter Secured 6.50% of Allotment Redeemable Optionally Convertible Debentures. Lettter of Allotment am NSE MIBOR at 9.40 + 25 bps Unsecured Redeemable Optionally Convertible Debentures. 5.40% Secured Redeemable Optionally Convertible Debentures. Lettter Secured 5.40% of Allotment. Redeemable Optionally Convertible Debentures. Lettter Secured 5.85% of Allotment. Redeemable Optionally Convertible Debentures. Lettter of Allotment.
INE028E08283
INE028E07103
INE028E07095
INE028E07202
KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD KOTAK SECURITIES LTD. KOTAK SECURITIES LTD. KOTAK SECURITIES LTD. KOTAK SECURITIES LTD. KOTAK SECURITIES LTD. KOTAK SECURITIES LTD.
INE028E07079
INE028E07194
5.87% Secured Redeemable Optionally Convertible Debentures. Letter of Allotment 6.10% Secured Redeemable Optionally Convertible Debentures. Lettter Secured 6.02% of Allotment. Redeemable Optionally Convertible Debentures. Letter of Allotment 6.20% Secured Redeemable Optionally Convertible Debentures. Lettter of Allotment NSE MIBOR + 50 bps Unsecured Redeemable Optionally Convertible Debentures. Lettter of 5.70% Unsecured Redeemable Optionally Convertible Debentures. Lettter Secured 6.50% of Allotment Redeemable Optionally Convertible Debentures. Lettter of Allotment 9.2% Unsecured Optionally Convertible Debentures. LOA. Date of Maturity 16/12/2002 6.90% Unsecured Optionally Convertible Debentures. LOA. Date of Maturity :22/01/2003 6.60% Unsecured Optionally Convertible Debentures. LOA. Date of Maturity :07/03/2003 6.55% Unsecured Optionally Convertible Debentures. LOA. Date of Maturity :11/03/2003 6.50% Unsecured Optionally Convertible Debentures. LOA. Date of Maturity :12/03/2003 6.50% Unsecured Optionally Convertible Debentures. LOA. Date of Maturity :18/03/2003
INE028E07087
INE028E07053
INE028E08291
INE028E08309
INE028E07020
INE028E08036
INE028E08085
INE028E08044
INE028E08051
INE028E08069
INE028E08077
KOTAK SECURITIES LTD. KOTAK SECURITIES LTD. KPL INTERNATIONAL LIMITED KRISHNA BHAGYA JALA NIGAM LTD. KRISHNA BHAGYA JALA NIGAM LTD. KRISHNA BHAGYA JALA NIGAM LTD. KRISHNA BHAGYA JALA NIGAM LTD. KRISHNA KNITWEAR TECHNOLOGY LTD.
INE028E08028
INE028E08093
10.75% Secured Optionally Convertible Debentures. LOA. Date of Maturity 31/03/2003 6.25% Unsecured Optionally Convertible Debentures. LOA. Date of Maturity :21/04/2003 12.50% Unsecured Redeemable NonConvertible Debentures issued in lieu of Equity 13% Secured Redeemable NonConvertible Debentures SeriesIX-A 13.15% Secured Non Convertible Bonds Series IX A-I. Date of maturity 24.01.2008 13.05% Secured Non Convertible Bonds Series IX A-II. Date of maturity 31.01.2008 13.00% Secured Non Convertible Bonds Series IX A-III. Date of maturity 15.03.2008 12.50% Secured redeemeable NonConvertible Debentures. Date Of 9.00% Unsecured Non Convertible Debentures . Date of Maturity: 30/01/2002.LOA 8.75% Redeemable Unsecured Non Convertible Debenture
INE174B08018
INE990D07015
INE990D07049
INE990D07056
INE990D07031
INE206E08020
NSE Mibor + 125 bps Compounded daily Redeemable Unsecured Non Convertible bps NSE Mibor + 75 Compounded daily Redeemable Unsecured Non Convertible Mibor + 85 Bps Unsecured NCD (Letter Of Allotment). Date Of Maturity: 05/03/2002
NSE Mibor + 100 bps Compounded daily Redeemable Unsecured Non Convertible bps NSE Mibor + 100 Compounded daily Non Convertible Debenture (Letter Unsecured Non 8.50% Of Allotment). Convertible Debentures . Date of Maturity: 18/03/2002.LOA bps NSE Mibor + 80 Compounded daily Non Convertible Debenture (Letter Unsecured Non 9.15% Of Allotment) Convertible Debentures . Date of Maturity: 20/03/2002.LOA Non 9.00% Unsecured Convertible Debentures . Date of Maturity: 03/04/2002.LOA Bps NSE Mibor + 130 Unsecured NCD (Letter Of Allotment). Date Of Maturity:12/04/2002 8.90% Non Convertible Debentures . Date of Maturity: 19/04/2002.LOA
8.75% Unsecured Non Convertible Debentures . Date of Maturity: 22/04/2002.LOA bps NSE Mibor + 110 Unsecured Non Convertible Debentures . Date of Unsecured Non 8.90% Maturity: Convertible Debentures . Date of Maturity: 23/04/2002.LOANon 8.90% Secured Convertible Debentures . Date of Maturity: 08/05/2002.LOA Non 8.25% Unsecured Convertible Debentures, Letter of Allotment . Date of Maturity:08/05/2002
NSE Mibor + 90 Bps Unsecured Non Convertible Debentures (DateMibor + 90 Bps NSE of Unsecured Non Convertible Debentures . Date Mibor + 100 Bps NSE of Unsecured Non Convertible Debentures . Date Mibor + 90 Bps NSE of Unsecured Non Convertible Debentures . Date ofUnsecured Non 8.90% Convertible Debentures . Date of Maturity:24/05/2002.LOA NSE Mibor + 85 Bps Unsecured Non Convertible Debentures . Date Mibor + 110 Bps NSE of Unsecured Non Convertible Debentures . Date ofSecured Non 8.90% Convertible Debentures, Letter of Allotment . Date of Maturity:05/06/2002 8.90% Secured Non Convertible Debentures, Letter of Allotment . Date of Maturity:10/06/2002 NSE Mibor + 100 Bps Secured Non Convertible Debentures, Letter of Allotment . Date ofNon 9.60% Unsecured Convertible Debentures, Letter of Allotment . Date of Maturity:21/06/2002 9.85% Unsecured Non Convertible Debentures, Letter of Allotment . Date of Maturity:25/06/2002 9.25% Unsecured Non Convertible Debentures, Letter of Allotment . Date of Maturity:01/07/2002
NSE Mibor + 90 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date NSE Mibor + 100 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date NSE Mibor + 90 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date NSE Mibor + 85 Bps Unsecured Non Convertible Debentures, Letter of Allotment Non 8.85% Unsecured . Date Convertible Debentures, Letter of Allotment . Date of Maturity:24/07/2002 9.00% Unsecured Non Convertible Debentures, Letter of Allotment . Date of Maturity:26/07/2002 8.25% Unsecured Non Convertible Debentures, Letter of Allotment . Date of Maturity:29-07-2002 9.05% Secured Non Convertible Debentures, Letter of Allotment . Date of Maturity:02/08/2002 9.20% Unsecured Non Convertible Debentures . Date of Maturity:02/08/2002.LOA 9.00% Secured Non Convertible Debentures, Letter of Allotment . Date of Maturity:03/08/2002 NSE Mibor + 100 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date 9.05% Secured Non Convertible Debentures, Letter of Allotment . Date of Maturity:07/08/2002 NSE Mibor + 85 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date
INE523E08515
9.05% Secured Non Convertible Debentures, Letter of Allotment . Date of Maturity:19/08/2002 9.05% Unsecured Non
Convertible Debentures, Letter of Allotment . Date of Maturity:23/08/2002 NSE Mibor + 100 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date of 8.95% Unsecured Non Convertible Debentures, Letter of Allotment . Date of Maturity:26/08/2002
INE523E08507
INE523E08523
NSE Mibor + 85 bps Unsecured Non Convertible Debentures, Letter of Allotment Non 9.00% Unsecured . Date Convertible Debentures, Letter of Allotment . Date of Maturity:02/09/2002 9.05% Unsecured Non Convertible Debentures, Letter of Allotment . Date of Maturity:02/09/2002 NSE Mibor +100 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date NSE Mibor + 85 Bps Unsecured Non Convertible Debentures, Letter of Allotment Non 8.85% Unsecured . Date Convertible Debentures, Letter of Allotment . Date of Maturity:20-09-2002 9.00% Unsecured Non Convertible Debentures, Letter of Allotment . Date of Maturity:20-09-2002 NSE Mibor + 85 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date NSE Mibor + 85 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date
9.25% Unsecured Non Convertible Debentures, Letter of Allotment . Date of Maturity:27-09-2002 8.75% Unsecured Non Convertible Debentures, Letter of Allotment . Date of Maturity:01/10/2002 NSE Mibor + 100 Bps Unsecured Non Convertible Debentures, Letter of Allotment Non 9.00% Unsecured . Date Convertible Debentures, Letter of Allotment . Date of Maturity:11/10/2002 NSE Mibor + 120 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date NSE Mibor + 120 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date NSE Mibor + 120 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date NSE Mibor + 70 Bps Unsecured Non Convertible Debentures, Letter of Allotment Non8.30% Unsecured . Date Convertible Debentures, Letter of Allotment. Date of Maturity: 25/10/2002 8.30% Unsecured NonConvertible Debentures, Latter of Allotment.Date of Maturity:30/10/2002 8.45% Unsecured Non Convertible Debentures, Letter of Allotment . Date of Maturity:01/11/2002 8.00% Unsecured NonConvertible Debentures, Latter of Allotment.Date of Maturity:01/11/2002 NSE Mibor + 120 Bps Unsecured Non Convertible Debentures, Letter of Allotment . Date
7.78% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity:15/11/2002 7.65% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity:20/11/2002 7.60% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity:22/11/2002 7.90% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity:22/11/2002 7.50% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity:29/11/2002 7.75% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity:29/11/2002 11.80% Secured NonConvertible Debentures..Date of Maturity: 05/12/2002 7.40% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity:16/12/2002 7.40% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity:17/12/2002 7.40% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity:18/12/2002 10.00% Secured Non Convertible Debentures . Date of Maturity: 23/12/2002.LOA Non 10.00% Secured Convertible Debentures . Date of Maturity: 23/12/2002.+ 85 Bps NSE Mibor Unsecured Non Convertible Debentures, Letter of Allotment . Date
NSE Mibor + 85 Bps Unsecured Non Convertible Debentures, Letter ofSecured Non11.90% Allotment . Date Convertible Debentures..Date of Maturity: 05/01/2003 7.40% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: + 120 Bps NSE Mibor 08/01/2003 Unsecured NonConvertible Debentures, Letter of Allotment.Date 7.25% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 20/01/2003 8.25% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: + 120 Bps NSE Mibor 20/01/2003 Unsecured NonConvertible Debentures..Date of 8.15% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 21/01/2003 7.30% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 22/01/2003 7.50% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 27/01/2003 7.25% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: + 120 Bps NSE Mibor 29/01/2003 Unsecured NonConvertible Debentures.Letter Non7.00% Unsecured of Convertible Debentures, Letter of Allotment.Date of Maturity: 06/02/2003
7.00% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: + 70 Bps NSE Mibor 07/02/2003 Unsecured NonConvertible Debentures, Letter of Allotment.Date 7.05% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: + 70 Bps NSE Mibor 12/02/2003 Unsecured NonConvertible Debentures, Letter of Allotment.Date 6.95% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 19/02/2003 6.90% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 21/02/2003 6.50% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 28/02/2003 6.25% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 14/03/2003 6.25% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Non6.30% Unsecured Convertible Debentures, Letter of Allotment.Date ofNon7.00% Unsecured Convertible Debentures, Letter of Allotment.Date of Maturity: 25/03/2003 7.00% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 28/03/2003 6.30% Secured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 07/04/2003
7.90% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 10/04/2003 7.25% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 17/04/2003 6.40% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 17/04/2003 6.40% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 21/04/2003 7.90% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 21/04/2003 7.00% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 24/04/2003 6.45% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 28/04/2003 6.40% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 29/04/2003 7.90% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: + 70 Bps NSE Mibor 05/05/2003 Unsecured NonConvertible Debentures, Letter of Allotment.Date 7.40% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 07/05/2003 6.75% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 12/05/2003 6.50% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 14/05/2003
6.50% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 14/05/2003 7.00% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 14/05/2003 7.00% Unsecured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 21/05/2003 8.00% Unsecured NonConvertible Debentures. Letter of Allotment
NSE Mibor + 70 bps Unsecured NonConvertible Debentures Letter of Allotment NSE Mibor + 65 bps Unsecured NonConvertible Debentures Letter of Allotment NSE Mibor + 60 bps Unsecured NonConvertible Debentures Letter of Allotment 7.85% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 7.90% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 7.85% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 8.00% UnSecured Redeemable NonConvertible Debentures. Letter of Allotment 8.15% UnSecured Redeemable NonConvertible Debentures. Letter of Allotment 8.00% UnSecured Redeemable NonConvertible Debentures. Letter of Allotment
8.15% UnSecured Redeemable NonConvertible Debentures. Letter of Allotment 7.90% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 6.90% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment NSE MIBOR+ 50 bps Unsecured Redeemable Non-Convertible Debentures. Letter of 6.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR+ 50 bps Unsecured Redeemable Non-Convertible Debentures. Letter of 7.90% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 6.40% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.35% Unsecured Redeemable NonConvertible Debentures.Letter of NSE MIBOR+ 140 bps Unsecured Redeemable Non-Convertible Debentures.+ 40 bps NSE MIBIR Letter of Unsecured Redeemable Non-Convertible Debentures. Letter of NSE Mibor + 35 Bps Unsecured NonConvertible Debentures, Letter of Allotment. NSE Mibor + 30 Bps Unsecured NonConvertible Debentures, Letter of Allotment.
5.80% Unsecured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 30 bps Unsecured Redeemable Non-Convertible Debentures. Letter of 5.60% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.00% Unsecured Redeemable NonConvertible Debentures. Letter ofSecured Non12.00% Allotment Convertible Debentures. Date of Maturity: 04/09/2003 12.25% Secured NonConvertible Debentures. Date of Maturity: 04/09/2003 5.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.70% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment NSE Mibor+40bps Unsecured NCD-LOA
6.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment NCD5.65% Unsecured LOA
NSE MIBOR + 30 bps Unsecured Redeemable Non-Convertible Debentures. Letter of 7.15% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.75% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotmentbps NSE MIBOR + 30 Unsecured Redeemable Non-Convertible Debentures. Letter of 7.15% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotmentbps NSE MIBOR + 30 Unsecured Redeemable Non-Convertible Debentures. Letter of 5.40% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotmentbps NSE MIBOR + 25 Unsecured Redeemable Non-convertible Debentures. Letter of 5.30% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment
NSE MIBOR + 25 bps Unsecured Redeemable Non-convertible Debentures. Letter of 6.00% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment 5.15% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment 5.15% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotmentbps NSE MIBOR + 20 Unsecured Redeemable Non-convertible Debentures. Letter of 5.40% Unsecured Redeemable Non-convertible Debentures. 5.35% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotmentbps NSE MIBOR + 30 Unsecured Redeemable Non-convertible Debentures. Letter of 5.35% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment 5.40% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment NSE Mibor + 145 bps Compounded daily Non Convertible Debenture (Letter+of Allotment) Mibor 145 Bps Secured NCD . Date Of Maturity:04/01/2004
5.15% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment 7.00% Unsecured Redeemable Nonconvertible Debentures. Letter of+Allotment MIBOR 20 bps Unsecured Redeemable Non-convertible Debentures. Letter of 5.45% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment 7.00% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment 5.15% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment 5.45% Unsecured Redeemable Nonconvertible Debentures. Letter of+Allotment MIBOR 30 bps Unsecured Redeemable Non-convertible Debentures. Letter of 10.85% Non Convertible Debentures . Date of Maturity: 30/01/2004 (LOA) Secured Non 10.85% Convertible Debentures . Date of Maturity: 30/01/2004. bps MIBOR + 30 Unsecured Redeemable Non-convertible Debentures. Letter of 5.15% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment 5.15% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.
5.00% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.10% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 6.00% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.10% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 4.95% Unsecured Redeemable Nonconvertible Debentures. Letter ofSecured Non 10.55% Allotment. Convertible Debentures, Letter of Allotment . Date of 10.55% Secured Non Convertible Debentures . Date of Maturity:27/02/2004. 7.00% Unsecured Redeemable Nonconvertible Debentures. Letter ofSecured Non 10.25% Allotment. Convertible Debentures, Letter of Allotment . Date of 10.25% Secured Non Convertible Debentures.Date of Maturity: 28/02/2004. NSE MIBOR + 20 bps Unsecured Redeemable Non-convertible Debentures. Letter of 5.00% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.80% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.
5.20% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.15% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.15% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.10% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.10% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.25% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.08% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.08% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.08% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 6.00% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.08% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.08% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR + 0 bps Compounded Daily Unsecured Redeemable Non-convertible
5.05% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR +10 bps Compounded Daily Unsecured Redeemable Non-convertible 5.75% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR +0 bps Compounded Daily Unsecured Redeemable Non-convertible bps NSE MIBOR - 10 Compounded Daily Unsecured Redeemable Non-convertible 4.90% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR - 20 bps Unsecured Redeemable Non-convertible Debentures. Letter of NSE MIBOR - 20 bps Unsecured Redeemable Non-convertible Debentures. Letter of 4.70% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 4.75% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 4.70% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 6% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR - 10 bps Unsecured Redeemable Non-convertible Debentures. Letter of
NSE MIBOR - 13 bps Unsecured Redeemable Non-convertible Debentures. Letter of NSE MIBOR - 15 bps Unsecured Redeemable Non-convertible Debentures. Letter of 4.65% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR - 20 bps Unsecured Redeemable Non-convertible Debentures. Letter of 4.70% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 4.70% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR - 10 bps Unsecured Redeemable Non-convertible Debentures. Letter of 4.75% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. NSE MIBOR - 10 bps Unsecured Redeemable Non-convertible Debentures. Letter of 4.80% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 4.71% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.75% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment. 5.14% Unsecured Redeemable Nonconvertible Debentures. Letter of Allotment.
8.25% Secured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 20/11/2004 8.10% Secured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 04/12/2004 8.00% Secured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 31/12/2004 6.00% Secured Redeemable NonConvertible Debentures. Letter Of Allotment. 8.00% Secured NonConvertible Debentures, Letter of Allotment.Date of Maturity: 06/01/2005 7.75% Secured Redeemable NonConvertible Debentures. Letter of Allotment 7.75% Secured Redeemable NonConvertible Debentures.Letter Non7.85% Unsecured of Convertible Debentures Series-II.
INE981F08025
INE981F08017
8.00% Unsecured NonConvertible Debentures Series-I. 11.10% Secured Redeemable Non Convertible Debentures Series I Secured 11.20% Redeemable Non Convertible Debentures Series IISecured 11.30% Redeemable Non Convertible Debentures Series III 11.40% Secured Redeemable Non Convertible Debentures Series IV
INE118D07021
INE118D07039
INE118D07047
INE118D07054
INE118D07062
INE118D08011
11.50% Secured Redeemable Non Convertible Debentures Series V 7.95% Secured Redeemable Non Convertible Debentures Series 1. Date of 7.95% Secured Redeemable Non Convertible Debentures Series 1. Date of 7.95% Secured Redeemable Non Convertible Debentures Series2. Date of Maturity; 7.95% Secured Redeemable Non Convertible Debentures Series2. Date of Maturity; 7.95% Secured Redeemable Non Convertible Debentures Series 3. Date of 7.95% Secured Redeemable Non Convertible Debentures Series 3. Date of Non11.25% Secured Convertible Debentures. Date of maturity: 06/03/2003 11.25% Secured NonConvertible Debentures. Date of maturity: 27/04/2003 + 71 bps NSE MIBOR (Floor of 5.60% & Cap of 5.70%) Secured Redeemable + 42 bps NSE MIBOR NonSecured Redeemable Non-Convertible Debentures. Letter of 5.99% Secured Redeemable NonConvertible Debentures. Letter of Allotment 9.25% Secured NonConvertible Debentures. Date of maturity: 31/08/2005. Letter of
INE118D07070
INE118D08029
INE118D07088
INE118D08037
INE118D07096
LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD.
INE933D07015
INE933D07023
INE933D07130
INE933D07148
INE933D07072
INE933D08013
LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD.
INE933D08021
INE933D07031
8.80% Secured NonConvertible Debentures. Date of maturity: 31/08/2005. Letter of 9.25% Secured NonConvertible Debentures. Date of maturity: 31/08/2005. 8.80% Secured NonConvertible Debentures. Date of maturity: 31/08/2005. 8.85% Secured NonConvertible Debentures. Date of maturity: 03/09/2005. Letter of 8.85% Secured NonConvertible Debentures. Date of maturity: 03/09/2005. 8.75% Secured NonConvertible Debentures. Date of maturity: 03/10/2005. Letter of 8.75% Secured NonConvertible Debentures. Date of maturity: 03/10/2005. 5.75% Secured Redeemable NonConvertible Debentures. Letter of Allotment NSE MIBOR + 110 bps(Floor of 5.60% & Cap of 5.70%) Secured Redeemable Non5.75% Secured Redeemable NonConvertible Debentures. Letter of Allotment 5.75% Secured Redeemable NonConvertible Debentures. Letter of Allotmentbps NSE MIBOR + 75 Secured Redeemable Non-Convertible Debentures. Letter of 6.50% Secured Redeemable NonConvertible Debentures. Letter of Allotment.
INE933D07049
INE933D08039
INE933D07056
INE933D08047
INE933D07064
INE933D07098
INE933D07106
INE933D07122
INE933D07114
INE933D07163
INE933D08054
LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LAKSHMI GENERAL FINANCE LTD. LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED
INE933D08062
INE933D07080
6.50% Secured Redeemable NonConvertible Debentures. Letter of Allotment. 5.65% Secured Redeemable NonConvertible Debentures. Letter of Allotment bps NSE MIBOR + 105 Secured Redeemable Non-Convertible Debentures. Letter of 8.05% Non Convertible Debentures -Letter Of Allotment
INE933D07155
INE018A08126
INE018A08134
8.00% Non Convertible Debentures -Letter Of Allotment NSE MIBOR + .50% Non Convertible Debentures Letter Of Allotment NSE MIBOR + .50% Non Convertible Debentures Letter Of Allotment NSE MIBOR + 1% Non Convertible DebenturesLetter Of Allotment NSE MIBOR + .50% Non Convertible Debentures Letter Of Allotment 8.10% Non Convertible Debentures , NCD/FXD/ 008 - Letter Of Allotment 8.15% Non Convertible Debentures , NCD/FXD/ 009 - Letter Of Allotment 8.05% Non Convertible Debentures , NCD/FXD/ 010 - Letter Of Allotment 7.80% Non Convertible Debentures , NCD/FXD/ 011 & NCD/FXD/012 Date Of Maturity
INE018A08175
INE018A08167
INE018A08068
INE018A08183
INE018A08191
INE018A08209
INE018A08217
INE018A08225
LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED
INE018A08084
INE018A07300
NSE MIBOR + 1.25% Non Convertible Debentures -Letter Of Allotment NSE MIBOR + 1.25% Non Convertible Debentures
INE018A08092
INE018A07318
NSE MIBOR + 1.10% Non Convertible Debentures -Letter Of Allotment NSE MIBOR + 1.10% Non Convertible Debentures
INE018A08449
INE018A08308
Mibor + 0.40% Secured Non Convertible Debentures , NCD/FXD/02-03/ 05 Date Series 60-NSE Mibor + 0.40% Non Convertible, Debentures Date Of Maturity 06/03/2002 8.20% Non Convertible Debentures,NCD/FXD/ 013 - (Letter of Allotment)
INE018A08316
INE018A08324
INE018A08340
61-NSE Mibor + 0.40% Non Convertible, Debentures Date Of Maturity 18/03/2002 7.50% Non Convertible Debentures , NCD/FXD/ 014 - Letter of Allotment
INE018A08332
INE018A08357
62 -NSE Mibor + 0.40% Non Convertible, Debentures Date Of Maturity Mibor + 40 BPS 63-NSE 12/04/2002 Non Convertible, Debentures Date Of Maturity Mibor + 0.40% 66-NSE 28/04/2002.LOA Non Convertible, Debentures Date Of Maturity 27/05/2002.LOA NSE MIBOR + 1.25% Non Convertible Debentures -Letter Of Allotment
INE018A08373
INE018A08118
LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED
LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED
INE018A07334
NSE MIBOR + 1.25% Non Convertible Debentures NSE MIBOR + .40% Non Convertible Debentures Date Of Maturity :15/07/2002Convertible 8.00% Non ,Letter Of Debentures , NCD/FXD/02-03/ 01 Date Of Maturity 16/08/2002 Mibor + 0.40% Secured
Non Convertible Debentures , NCD/FXD/0203/ 02 Date Of Maturity Mibor + 0.40% Secured Non Convertible Debentures , NCD/FXD/0203/ 03 Date Of Maturity
INE018A08399
INE018A08407
INE018A08415
INE018A08423
LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED
INE018A08431
INE018A08456
Mibor + 0.40% Secured Non Convertible Debentures , NCD/FXD/02-03/ 04 Date Mibor + 0.40% Secured Non Convertible Debentures , NCD/FXD/02-03/ 06 Date Mibor + 0.40% Secured Non Convertible Debentures , NCD/02-03/ 07 Date Of Maturity 02Option1- 8.5% (Book Building) Non Convertible Debentures-Letter Of Allotment 8.5% Non Option2 Convertible Debentures Letter Of Allotment
INE018A08464
INE018A08142
INE018A08159
INE018A07342
Option1- 8.5% (Book Building) Non Convertible DebenturesOption2 - 8.5% Non Convertible Debentures 7.90% Secured Non Convertible Debentures , NCD/FXD/02 & 03/Date Of Maturity 06/09/2002
INE018A07359
INE018A08480
LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED
INE018A08472
INE018A08498
Mibor + 0.40% Secured Non Convertible Debentures , NCD/02-03/ 08 & 09. Date Of Maturity 7.82% Secured Non Convertible Debentures , NCD/FXD/04. Date Of Maturity 11-09-2002. 7.15% Secured Non Convertible Debentures , NCD/FXD/02-03/ 05 Date Of Maturity 04/10/2002 Mibor + 0.30% Secured Non Convertible Debentures , NCD/0203/16.+ 0.30% Secured Mibor Date Of Maturity Non Convertible Debentures , NCD/0203/17.+ 0.25% Secured Mibor Date Of Maturity Non Convertible Debentures , NCD/0203/18.+ 0.20% Secured Mibor Date Of Maturity Non Convertible Debentures , NCD/0203/19.+ 0.15% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/20. Date Of Maturity: 6.30% Secured Non Convertible Debentures , NCD/FXD/02-03/ 10 Date Of Maturity: 04/12/2002. Mibor + 0.25% Secured Non Convertible Debentures , NCD/0203/21.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/22.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/23.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/24. Date Of Maturity:
INE018A08530
INE018A08563
INE018A08571
INE018A08589
INE018A08597
INE018A08605
INE018A08613
INE018A08654
INE018A08670
INE018A08662
INE018A08688
LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED
INE018A08696
INE018A08704
6.20% Secured Non Convertible Debentures , NCD/FXD/12. Date Of Maturity:0.25% Secured Mibor + 20/01/2003. Non Convertible Debentures , NCD/0203/25.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/26.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/28.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/29.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/31.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/32.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/27.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/34 & NCD/02-03/35. 5.65% Secured Non Convertible Debentures , NCD/FXD/013. Date Of Maturity:0.25% Secured Mibor + 25/03/2003. Non Convertible Debentures , NCD/0203/40.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/41.+ 0.25% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/42 & NCD/02-03/43.
INE018A08712
INE018A08738
INE018A08746
INE018A08753
INE018A08761
INE018A08720
INE018A08787
INE018A08795
INE018A08837
INE018A08845
INE018A08852
LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED LARSEN & TOUBRO LIMITED
INE018A08860
INE018A08878
Mibor + 0.25% Secured Non Convertible Debentures , NCD/0203/44 + 0.10% Secured Mibor Date Of Maturity: Non Convertible Debentures , NCD/0203/45MIBOROf 1.50% NSE Date + Maturity: Non Convertible Debentures -Letter Of Allotment NSE MIBOR + 1.50% Non Convertible Debentures
INE018A08100
INE018A07326
INE018A08886
INE018A07284
Mibor + 0.20% Secured Non Convertible Debentures , NCD/0203/46 & Non Convertible 11.25% NCD/02-03/47. Debentures
INE018A08076
11.75% Non Convertible Debentures- Letter Of Allotment 8.40% Secured Non Convertible Debentures , NCD/FXD/02-03/ 06 Date Of Maturity: 22/07/2007 8.09% Secured Non Convertible Debentures , NCD/FXD/02-03/ 07 Date Of Maturity: 25/07/2007 8.09% Secured Non Convertible Debentures , NCD/FXD/02-03/ 07 Date Of Maturity: 25/07/2007 Mibor + 0.40% Secured Non Convertible Debentures , NCD/0203/12 + 0.40% Secured Mibor & 13. Date Of Non Convertible Debentures , NCD/0203/14 0.15% Secured Mibor + & 15. Date OfNon
Convertible Debentures, NCD/02-03/48. Letter Of Allotment
INE018A08555
INE018A08548
INE018A08548
LARSEN AND TOUBRO INE018A08506 LIMITED LARSEN AND TOUBRO INE018A08514 LIMITED
LARSEN AND TOUBRO LIMITED INE018A08902
LARSEN AND TOUBRO INE018A08522 LIMITED LARSEN AND TOUBRO INE018A07375 LIMITED LARSEN AND TOUBRO INE018A08944 LIMITED LARSEN AND TOUBRO INE018A08951 LIMITED LARSEN AND TOUBRO INE018A08969 LIMITED LARSEN AND TOUBRO INE018A07458 LIMITED LARSEN AND TOUBRO INE018A07466 LIMITED LARSEN AND TOUBRO INE018A07474 LIMITED LARSEN AND TOUBRO INE018A07482 LIMITED LARSEN AND TOUBRO INE018A08910 LIMITED LARSEN AND TOUBRO INE018A07433 LIMITED
LARSEN AND TOUBRO LIMITED INE018A08894
Mibor + 0.60% Secured Non Convertible Debentures , CALL/NCD/02-03/10. Mibor + 0.60% Secured Non Convertible Debentures , CALL/NCD/02-03/10. MIBOR + 0.05% Secured Redeemable NonConvertible Debentures Series NCD/03-04/01. Mibor+15bps Secured NCD SR-03-04/02. LOA Mibor+10bps Secured NCD-LOA MIBOR - .10% Secured Redeemable NonConvertible Debentures. Series NCD/03-04/05. MIBOR - .05% Secured Redeemable NonConvertible Debentures. Series NCD/03-04/06. MIBOR - .10% Secured Redeemable NonConvertible Debentures. Series NCD/03-04/07. MIBOR Secured Redeemable Non-Convertible Debentures. Series MIBOR + 1.10% Secured Redeemable NonConvertible Debentures Series CALLNCD/02MIBOR+110 bps Secured NCD Series CALL/NCD//02-3/49
6.60% Secured Redeemable NonConvertible Debentures NCD/FXD/02-03/14 Letter
11.00% Unsecured NCD, Date Of Maturity: 01.12.2002 11.00% Unsecured NCD, Date Of Maturity: 30/04/2003
11.30% Unsecured NCD, Date Of Maturity: 08/05/2003
INE090F08058
INE090F08066
13.00% Unsecured Redeemable NonConvertible Debentures 13.25% Unsecured Redeemable NonConvertible Debentures 10.00% Unsecured NCD, Date Of Maturity: 03.01.2004 12.75% Unsecured Redeemable NonConvertible Debentures 12.20% Unsecured Redeemable NonConvertible Debentures 11.39% Unsecured Redeemable NonConvertible Debentures 11.16% Unsecured Redeemable NonConvertible Debentures 11.00% Unsecured Redeemable NonConvertible Debentures
INE090F08074
10.60% Unsecured Redeemable NonConvertible Debentures 10.25% Secured NCD, Date Of Maturity: 12/03/2005 10.25% Secured NCD, Date Of Maturity: 24/03/2005
10.25% Unsecured NCD, Date Of Maturity: 29/04/2005
INE090F08041
9.95% Unsecured NCD, Date Of Maturity: 30/07/2005. 9.1% Unsecured NCD, Date Of Maturity: 23/08/2005. 9.4% Unsecured NCD, Date Of Maturity: 25/09/2005. 9.4% Unsecured NCD, Date Of Maturity: 25/09/2005. 9.20% Unsecured NCD, Date Of Maturity: 29/10/2005 8.85% Unsecured NCD, Date Of Maturity: 29/11/2005 9.30% Unsecured NCD, Date Of Maturity: 02/12/2005 8.75% Unsecured NCD, Date Of Maturity: 13/12/2005
9.30% Unsecured NCD, Date Of Maturity: 16/12/2005 8.70% Unsecured NCD, Date Of Maturity: 30/12/2005 8.50% Unsecured Redeemable NonConvertible Debentures. 8.80% Unsecured Redeemable NonConvertible Debentures. 8.25% Unsecured Redeemable NonConvertible Debentures 8.10% Unsecured Redeemable NonConvertible Debentures 8.60% Unsecured Redeemable NonConvertible Debentures 7.50% Unsecured Redeemable NonConvertible Debentures. 7.2% Secured NCD
7.30% Unsecured Redeemable NonConvertible Debentures 6.70% Secured Redeemable NonConvertible Debentures. 7.35% Unsecured Redeemable NonConvertible Debentures
LIC HOUSING FINANCE INE115A07155 LIMITED LIC HOUSING FINANCE INE115A08039 LIMITED LIC HOUSING FINANCE INE115A07031 LIMITED LIC HOUSING FINANCE INE115A08112 LIMITED LIC HOUSING FINANCE INE115A07114 LIMITED LIC HOUSING FINANCE INE115A08161 LIMITED LIC HOUSING FINANCE INE115A07163 LIMITED LIC HOUSING FINANCE INE115A08054 LIMITED LIC HOUSING FINANCE INE115A07056 LIMITED LORD KRISHNA BANK LTD. LORD KRISHNA BANK LTD. LORD KRISHNA BANK LTD. LUPIN LIMITED INE624F09029
7.10% Secured NonConvertible Debentures.Option I.(STRPP) Date of 9.00% Non Convertible Debenture.Option 1 Date of Maturity: 18.02.2007, Letter Of Allotment 9.00% Non Convertible Debenture.Option 1 Date of Maturity: 18.02.2007. 7.80% Secured NonConvertible Debentures. Date of Maturity : 27/08/2007. Letter of 7.80% Secured NonConvertible Debentures. Date of Maturity : 27/08/2007. 7.10% Secured NonConvertible Debentures.Option I.(STRPP) Date Non7.10% Secured of Convertible Debentures.Option I.(STRPP) Date of 9.50% Non Convertible Debenture.Option III Part A, Date of Maturity: 18.02.2008,Convertible 9.50% Non Letter Of Debenture.Option III Part A, Date of Maturity: 18.02.2008. 12.20% Unsecured Redeemable NonConvertible Subordinate Bonds- 2001 in the 12.50% Unsecured Redeemable NonConvertible Subordinate Bonds -2001 in the 13.00% Unsecured Redeemable NonConvertible Subordinate Bonds -2000 in the 13.5 % Secured Non Convertible Redeemeable Debentures. Series-I.
INE624F09037
INE624F09011
INE326A07042
MAARS SOFTWARE INTERNATIONAL LTD. MADHYA PRADESH FINANCIAL CORPORATION MADHYA PRADESH FINANCIAL CORPORATION MADHYA PRADESH FINANCIAL CORPORATION MADHYA PRADESH FINANCIAL CORPORATION MADHYA PRADESH FINANCIAL CORPORATION MADHYA PRADESH FINANCIAL CORPORATION MADHYA PRADESH FINANCIAL CORPORATION MADHYA PRADESH FINANCIAL CORPORATION MADHYA PRADESH FINANCIAL CORPORATION MADHYA PRADESH FINANCIAL CORPORATION MADHYA PRADESH FINANCIAL CORPORATION MADHYA PRADESH FINANCIAL CORPORATION
INE390A08012
INE348F09017
14.00% Unsecured Redeemable Nonconvertible Debentures. Date of Maturity : 11.00% Non Convertible MPFC Bonds 2002Series II (issued in the form of promissory 11.00% Secured Bonds in the form of Promissory Notes, Series 2003 I, Date of Secured Bonds 13.50% in the form of Promissory Notes, Series 2003 I, Date of Secured Bonds 13.50% in the form of Promissory Notes, Series 2004 I, Date of Secured Bonds 12.50% in the form of Promissory Notes, Series 2004 II, Date of Secured Bonds 12.50% in the form of Promissory Notes, Series 2005 I, Date of Secured Bonds 14.00% in the form of Promissory Notes, Series 2005 II, Date of Secured Bonds 14.00% in the form of Promissory Notes, Series 2005 III, Date of Secured Bonds 13.85% in the form of Promissory Notes, Series 2006 I, Date of Secured Bonds 13.00% in the form of Promissory Notes, Series 2007 I, Date of Secured Bonds 13.00% in the form of Promissory Notes, Series 2007 II, Date of Secured Bonds 12.30% in the form of Promissory Notes, Series 2008 I, Date of
INE348F09025
INE348F09033
INE348F09041
INE348F09058
INE348F09066
INE348F09074
INE348F09082
INE348F09090
INE348F09108
INE348F09116
INE348F09124
INE707F07018
INE010E07010
13.00% Secured Redeemable NonConvertible Bonds . Series-I.Secured Maturity 11.00% Date of Redeemable NonConvertible Bonds Series I Secured 14.50% Redeemable NonConvertible Bonds Series IISecured I (Semi 15.00% -Option Redeemable NonConvertible Bonds Series IISecured II 14.50% -Option Redeemable NonConvertible Bonds Series III 13.50% Secured Redeemable NonConvertible Bonds Series IV Date Of 13.50% Secured Redeemable NonConvertible Bonds Series IV Date Of 13.25% Secured Redeemable NonConvertible Bonds Series V(for 1st Yr) (Semi 13.20% -Option B & RBI + 5.2% Secured Redeemable NonConvertible Bonds 13.00% Secured Redeemable NonConvertible Bonds Series VII Option I 14.35% Bonds SR-V
MAHARASHTRA INE010E07028 JEEVAN PRADHIKARAN MAHARASHTRA INE010E07036 JEEVAN PRADHIKARAN MAHARASHTRA INE010E07044 JEEVAN PRADHIKARAN MAHARASHTRA INE010E07051 JEEVAN PRADHIKARAN MAHARASHTRA INE010E07192 JEEVAN PRADHIKARAN MAHARASHTRA INE010E07077 JEEVAN PRADHIKARAN MAHARASHTRA INE010E07101 JEEVAN PRADHIKARAN MAHARASHTRA INE010E07119 JEEVAN PRADHIKARAN MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION INE343E07031
INE343E07205
INE343E07049
MAHARASHTRA INE343E07213 KRISHNA VALLEY DEVELOPMENT CORPORATION STATE INE342E07058 MAHARASHTRA ELECTRICITY BOARD MAHARASHTRA STATE INE342E07066 ELECTRICITY BOARD MAHARASHTRA STATE INE342E07090 ELECTRICITY BOARD MAHARASHTRA STATE INE342E07140 ELECTRICITY BOARD MAHARASHTRA STATE INE342E07132 ELECTRICITY BOARD MAHARASHTRA STATE INE342E07181 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08544 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08213 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08551 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08221 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08569 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08239 ELECTRICITY BOARD
11.5% Bonds SR-2000/A Option-B. Letter Of Allotment. 14.75% Secured NonConvertible Bonds-Series II, Option I. Date of Maturity:Secured Non14.50% 31/03/2003 Convertible Bonds-Series II, Option II. Date of Maturity:Secured Non14.50% 31/03/2003 Convertible Bonds-Series III(A), Option I. Date of Maturity:Secured Non14.50% 31/10/2003 Convertible Bonds-Series III(B), Option I. Date of Maturity:Secured Non14.50% 31/10/2003 Convertible Bonds-Series III(A), Option V. Date of Maturity:Secured Non14.50% 30/11/2003 Convertible Bonds-Series III(B), Option V. Date of maturity: 30/11/2003 Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds.
MAHARASHTRA STATE INE342E08577 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08247 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08585 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08254 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08593 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08262 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08601 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08270 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08619 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08288 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08627 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08296 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08635 ELECTRICITY BOARD
Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds.
MAHARASHTRA STATE INE342E08304 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08643 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08312 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08650 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08320 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08668 ELECTRICITY BOARD MAHARASHTRA STATE INE342E07017 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08338 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08676 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08346 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08684 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08353 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08692 ELECTRICITY BOARD
Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Secured Non11.00% Convertible Bonds-Series I, Option I. Date of Maturity:14/02/2005 Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds.
MAHARASHTRA STATE INE342E08361 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08700 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08379 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08718 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08387 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08726 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08395 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08734 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08403 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08742 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08411 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08759 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08429 ELECTRICITY BOARD
Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds.
MAHARASHTRA STATE INE342E08767 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08437 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08775 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08445 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08783 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08452 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08791 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08460 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08809 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08478 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08817 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08486 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08825 ELECTRICITY BOARD
Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds.
MAHARASHTRA STATE INE342E08494 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08833 ELECTRICITY BOARD MAHARASHTRA STATE INE342E07207 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08502 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08841 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08510 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08858 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08528 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08866 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08049 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08072 ELECTRICITY BOARD MAHARASHTRA STATE INE342E08130 ELECTRICITY BOARD MAHARASHTRA STATE INE342E07074 ELECTRICITY BOARD
Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Secured Non12.00% Convertible Bonds-Series IV. Date of Maturity: 19/07/2006 Unsecured Zero Coupon Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Zero Coupon Unsecured Non-Convertible Redeemable Vidyut Bonds. Unsecured Non13.00% Convertible Bonds-Series V (A) Option I, Date of Maturity:Unsecured Non13.00% 18/11/2007 Convertible Bonds-Series V (B) Option I, Date of Maturity:Unsecured Non11.50% 30/12/2007 Convertible Redeemable bonds-Series VIII A, Option I.Secured Non14.75% Letter of Convertible Bonds-Series II, Option III. Date of Maturity: 30/04/2008
MAHARASHTRA STATE INE342E07082 ELECTRICITY BOARD MAHARASHTRA STATE INE934E09041 FINANCIAL CORPORATION MAHARASHTRA STATE INE934E09058 FINANCIAL CORPORATION MAHARASHTRA STATE INE934E09207 FINANCIAL CORPORATION MAHARASHTRA STATE INE934E09215 FINANCIAL CORPORATION MAHARASHTRA STATE INE934E09223 FINANCIAL CORPORATION MAHARASHTRA STATE INE934E09231 FINANCIAL CORPORATION MAHARASHTRA STATE INE934E09249 FINANCIAL CORPORATION MAHARASHTRA STATE INE934E09256 FINANCIAL CORPORATION MAHARASHTRA STATE INE934E09264 FINANCIAL CORPORATION MAHARASHTRA STATE INE934E09181 FINANCIAL CORPORATION MAHARASHTRA STATE INE934E09272 FINANCIAL CORPORATION MAHARASHTRA STATE INE934E09199 FINANCIAL CORPORATION
14.50% Secured NonConvertible Bonds-Series II, Option IV. Date of Maturity:Non Convertible 11.00% 30/04/2008 Maharashtra State Guaranteed MSFC Bonds 2002(50th Series) 11.00% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2003(51st Series) 13.50% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2003(66th Series) 12.50% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2004(67th Series) 12.50% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2005(68th Series) 14.00% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2005(69th Series) 14.00% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2005(70th Series) 13.85% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2006(71st Series) 13.75% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2007(72nd Series) 13.00% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2007(64th Series) 12.30% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2007(73rd Series) 13.00% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2007(65th Series)
MAHARASHTRA STATE INE934E09280 FINANCIAL CORPORATION MAHARASHTRA STATE INE341E07019 ROAD DEVELOPMENT CORPORATION MAHARASHTRA STATE INE341E08181 ROAD DEVELOPMENT CORPORATION MAHARASHTRA STATE INE341E08215 ROAD DEVELOPMENT CORPORATION MAHARASHTRA STATE INE341E07035 ROAD DEVELOPMENT CORPORATION MAHARASHTRA WATER CONSERVATION CORPORATION MAHAVIR SPINNING MILLS LTD. MAHAVIR SPINNING MILLS LTD. MAHAVIR SPINNING MILLS LTD. MAHAVIR SPINNING MILLS LTD. MAHAVIR SPINNING MILLS LTD. MAHAVIR SPINNING MILLS LTD. MAHINDRA & MAHINDRA LIMITED INE825A08025 INE872F07010
12.30% Non Convertible Maharashtra State Guaranteed MSFC Bonds 2008(74th Non14.00% Secured Series) Convertible Debentures (Regular Return Bond) Series I,Secured 10.50% Date OF (Guaranteed & Rated)Bonds. Series XVII Option V. Letter of 10.50% Secured (Guaranteed & Rated)Bonds. Series XVIII Option I-C. Letter of 13.65% Secured NonConvertible Debentures Series II, Instrument A Date OFSecured 13.00% maturity: Redeemable NonConvertible Bonds SeriesI. 9.00% Unsecured Redeemable NonConvertible Debentures. Date of Maturity : Mibor + 75 bps Unsecured Redeemable Non-Convertible Debentures. Date of Mibor + 75 bps Unsecured Redeemable Non-Convertible Debentures. Date of MIBOR + 60 bps UnSecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 60 bps UnSecured Redeemable Non-Convertible Debentures. Letter of 12.10% Secured Redeemable NonConvertible Debentures. Date of Maturity : NCD. 13.10% Unsecured Date of maturity: 23.10.2003
INE825A08017
INE825A08025
INE825A08041
INE825A08058
INE825A07019
INE101A08013
MAHINDRA & MAHINDRA LIMITED MAHINDRA & MAHINDRA LIMITED MAHINDRA & MAHINDRA LIMITED MAHINDRA & MAHINDRA LIMITED
INE101A07015
10.60% Secured NCD. Date of Maturity: 22.05.2005 14.00% Secured NCD. Date of maturity: 21.08.2005 11.65% Secured NCD. Date of maturity: 18.10.2007 11.15%-I Secured NCD. Date of maturity: 27.04.2008 14.30% Secured Redeemable Non Convertible Debentures 14.20% Secured Redeemable Non Convertible Debenture Series FD Non Convertible Debenture (Letter of Allotment) -Series CV Mibor + 0.85% Non Convertible Debenture (Letter of Allotment) Series CW % Non Mibor+ 0.90 Convertible Debenture (Letter of Allotment) Series CX & CY Mibor+ 0.85% Non Convertible Debenture (Letter of Allotment) Series+0.90% Secured Mibor CZ Non Convertible Debenture, Series- DF Date of maturity Mibor + 0.85% Unsecured Non Convertible Debenture, Series- DI, Date of Mibor + 0.85% Unsecured Non Convertible Debenture, Series- DH& DK Date of
INE101A07114
INE101A07056
INE101A07072
MAHINDRA & INE774D07088 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07070 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08052 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08078 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08094 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08102 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08151 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08193 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08177 MAHINDRA FINANCIAL SERVICES LIMITED
MAHINDRA & INE774D08201 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08219 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08227 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08268 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08276 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08284 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08300 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08326 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08409 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08334 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08342 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08359 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08367 MAHINDRA FINANCIAL SERVICES LIMITED
8.95% Unsecured Non Convertible Debenture, Series- DN, Date of maturity 0.85% Mibor + :21/03/2002 Unsecured Non Convertible Debenture, Series- DL, Date of Mibor + 0.90% Unsecured Non Convertible Debenture, Series-UnSecuredofNon 9.15% DM, Date Convertible Debenture, Series- DR, Date of maturity 08/04/2002Non 9.15% UnSecured Convertible Debenture, Series- DS, Date of maturity 10/04/2002Non 9.25% UnSecured Convertible Debenture, Series- DT, Date of maturityUnSecured Non 9.00% 10/04/2002 Convertible Debenture, Series- DV, Date of maturity 85 bps Mibor + 15/04/2002 Unsecured Non Convertible Debenture (Letter Unsecured Non 9.50% of Allotment) Convertible Debenture, Series- EJ Date of maturity 26/04/2002 8.50% Unsecured Non Convertible Debenture (Letter of Allotment) (Series+0.85% Mibor DY) Unsecured Non Convertible Debenture (Letter+of90 Bps Allotment) Mibor Unsecured Non Convertible Debenture, Series- EA & EB, Date of Mibor + 0.85% Unsecured Non Convertible Debenture, Series- EC Date of
MAHINDRA & INE774D08573 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08144 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07260 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08375 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08391 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08581 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08169 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07278 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08383 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08185 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07328 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08425 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08243 MAHINDRA FINANCIAL SERVICES LIMITED
8.90% Unsecured Non Convertible Debenture, Series- FD Date of maturity: 24/05/2002 . 9.25% Non Convertible Debenture -Series DE(letter of allotment) 9.25% Secured Non Convertible Debenture, Series- DE Date of maturity :30/05/2002 Mibor + 0.85% Unsecured Non Convertible Debenture, Series- ED Date of Mibor + 0.85% Unsecured Non Convertible Debenture, Series-Unsecured Non 9.00% EE Date of Convertible Debenture, Series- FE Date of maturity: 11/06/2002 . 9.25% Secured Non Convertible Debenture, Series- DG Date of maturity :13/06/2002 9.25% Secured Non Convertible Debenture, Series- DG Date of maturity :13/06/2002 Mibor + 0.85% Unsecured Non Convertible Debenture, Series-Secured & EH 9.00% EF, EG Non Convertible Debenture, Series- DJ, Date of maturity :18/06/2002 9.00% Secured Non Convertible Debenture, Series- DJ, Date of maturity :18/06/2002 9.50% Unsecured Non Convertible Debenture, Series- EI Date of maturity 21/06/2002 9.00% Secured Non Convertible Debenture, Series- DP, Date of maturity :24/06/2002
MAHINDRA & INE774D07336 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08417 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07021 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08235 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07286 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08433 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08490 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08029 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08441 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08458 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08508 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08250 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08292 MAHINDRA FINANCIAL SERVICES LIMITED
9.00% Secured Non Convertible Debenture, Series- DP, Date of maturity :24/06/2002 Mibor + 0.90 Unsecured Non Convertible Debenture, Series- EK Date of maturity 10.45% Secured Redeemable Non Convertible Debenture 9.00% Secured Non Convertible Debenture, Series- DO, Date of maturity :26/06/2002 9.00% Secured Non Convertible Debenture, Series- DO, Date of maturity :26/06/2002 Mibor + 0.90% Unsecured Non Convertible Debenture, Series-Unsecured Non 9.00% EL Date of Convertible Debenture, Series- EM Date of maturity 28/06/2002 9.25% Secured Redeemable Non Convertible DebentureLeter of Allotment-Series Mibor + 0.85% Unsecured Non Convertible Debenture, Series-Unsecured Non 9.00% EN Date of Convertible Debenture, Series- EO Date of maturity 01/07/2002 Mibor + 0.90% Unsecured Non Convertible Debenture, Series-Secured Non of 9.00% ET & EV Date Convertible Debenture, Series- DQ, Date of maturity 08/07/2002 Secured Non Convertible Debenture, Series- DU, Date of maturity 08/07/2002
MAHINDRA & INE774D07294 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07310 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08466 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08631 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08474 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08516 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08524 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08532 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08557 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08565 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08011 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08599 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07195 MAHINDRA FINANCIAL SERVICES LIMITED
Secured Non Convertible Debenture, Series- DU, Date of maturity 08/07/2002 9.00% Secured Non Convertible Debenture, Series- DQ, Date of maturity 08/07/2002 9.00% Unsecured Non Convertible Debenture, Series- EQ Date of maturity 08/072002 9% Unsecured Non Convertible Debenture, Series- FU, Date of maturity :8-7-2002 (Letter 9.00% Unsecured Non Convertible Debenture, Series- ER Date of maturity 10/072002Non 8.90% Unsecured Convertible Debenture, Series- EW Date of maturity :0.90% Mibor + 10/07/2002 Unsecured Non Convertible Debenture, Series- EX Date of Mibor + 0.85% Unsecured Non Convertible Debenture, Series-Unsecured Non 9.00% FA Date of Convertible Debenture, Series- FB Date of maturity: 24/07/2002 . 9.00% Unsecured fully Non Convertible Debenture, Series- FC Date ofSecured 9.25% maturity: Redeemable Non Convertible DebentureLetter of Allotment-Series 9.00% Unsecured Non Convertible Debenture, Series- FI Date of maturity: 02/08/2002 . Secured Redeemable Non Convertible Debenture (Zero Coupon Bond)
8.95% Unsecured Non Convertible Debenture, Series- FM, Date of maturity :13/08/2002 9.05% Unsecured Non
Convertible Debenture, Series- FO, Date of maturity :20/08/2002 (Letter Of 9.20% Unsecured Non Convertible Debenture, Series- FQ & FR, Date of maturity :20/08/2002 (Letter
INE774D08623
MAHINDRA & INE774D07054 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08649 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08755 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08672 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08698 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08714 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08706 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08482 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08748 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08730 MAHINDRA FINANCIAL SERVICES LIMITED
11.66% Secured Redeemable Non Convertible Debenture Series P 9.2% Unsecured Non
Convertible Debenture, Series- FT, Date of maturity :28-08-02 (Letter 8.00% Unsecured Non Convertible Debenture, Series-GU, Date of maturity Bps Mibor+ 85 Unsecured Non Convertible Debenture, Series-GB, Date of Non 8.70% Unsecured Convertible Debenture, Series-GE, Date of maturity 18/09/2002 8.65% Unsecured Non Convertible Debenture, Series-GH, Date of maturity 20/09/2002 8.65% Unsecured Non Convertible Debenture, Series-GG, Date of maturity 24/09/2002 9.00% Unsecured Non Convertible Debenture, Series- EP Date of maturity 27/09/2002 8.10% Unsecured Non Convertible Debenture, Series-GQ, Date of maturity 8.10% Unsecured Non Convertible Debenture, Series-GR, Date of maturity
MAHINDRA & INE774D08771 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08763 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08813 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08037 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07203 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08060 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07211 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08847 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08854 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08862 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08086 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07229 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08128 MAHINDRA FINANCIAL SERVICES LIMITED
8.25% Unsecured Non Convertible Debenture, Series-GX, Date of maturity 8.25% Unsecured Non Convertible Debenture, Series-GV, Date of maturity 8.95% Unsecured Nonconvertibel Debentures, Series-FN.Date of Maturity :11/10/2002 9.67% Non Convertible Debenture (Letter of Allotment) -Series CS 9.67% Non Convertible Debenture -Series CS Non Convertible Debenture (Letter of Allotment) -Series CT (Zero Coupon) Non Convertible Debenture -Series CT (Zero Coupon) 7.00% Unsecured Nonconvertibel Debentures, Series-HL.Date of Maturity : 01/11/2002 7.00% Unsecured Nonconvertible Debentures, Series-HR.Date of Maturity : 06/11/2002 7.05% Unsecured Nonconvertible Debentures, Series-HT.Date of Maturity : 08/11/2002 9.60% Non Convertible Debenture (Letter of Allotment) -Series DA 9.60% Non Convertible Debenture Series DA 10% Secured Non Convertible Debenture, Series- DB Date of maturity :19/11/2002
MAHINDRA & INE774D07237 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08110 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07245 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08821 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08136 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07252 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08979 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08656 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08888 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08896 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08912 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08920 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08953 MAHINDRA FINANCIAL SERVICES LIMITED
10% Secured Non Convertible Debenture, Series- DB Date of maturity :19/11/2002 8.90% Fully Secured Non Convertible Debenture (Letter of Allotment) -Series DC 8.90% Fully Secured Non Convertible Debenture -Series DC 9.20% Unsecured Nonconvertibel Debentures, Series-FV.Date of Maturity :25/11/2002 9.40% Secured Non Convertible Debenture, Series- DD Date of maturity :26/11/2002 9.40% Secured Non Convertible Debenture, Series- DD 6.99% Unsecured Nonconvertible Debentures SR IJ.Date of Maturity : 26/11/2002. Letter of 9.2% Unsecured Non Convertible Debenture, Series- FY, Date of maturity :29-119.20% Unsecured Non Convertible Debenture, Series- FY, Date of maturity :29/11/2002 6.75% Unsecured Nonconvertible Debentures, Series-ID.Date of Maturity 75 Bps Secured Mibor + : 06/12/2002 Non Convertible Debenture, Series-IE, Date ofSecured Non 6.80% maturity Convertible Debenture, Series-IH, Date of maturity 13/12/2002. 6.98% Unsecured Nonconvertible Debentures, Series-IT.Date of Maturity : 20/12/2002. Letter of
MAHINDRA & INE774D08946 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08961 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08987 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07153 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07104 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08318 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07302 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AC7 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AF0 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AD5 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AE3 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AG8 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AH6 MAHINDRA FINANCIAL SERVICES LIMITED
7.25% Unsecured Nonconvertible Debentures, Series-IN.Date of Maturity : 31/12/2002. 7.50% Unsecured Nonconvertible Debentures, Series-IR.Date of Maturity : 31/12/2002. 6.80% Unsecured Nonconvertible Debentures Sr IV.Date of Maturity : 03/01/2003. Letter of 12.75% Secured Redeemable Non Convertible Debenture Series Q 12.75% Secured Redeemable Non Convertible Debenture Series AB 9.75% Secured Non Convertible Debenture (Letter of Allotment) Series DX 9.75% Unsecured Non Convertible Debenture, Series- DX, Date of maturity 17/01/2003 6.35% UnSecured Nonconvertible Debentures SR JC.Date of Maturity :28/01/2003. Letter of 6.50% UnSecured Nonconvertible Debentures SR JF.Date of Maturity :30/01/2003. Letter of 6.40% UnSecured Nonconvertible Debentures SR JH.Date of Maturity :04/02/2003. Letter of 6.50% UnSecured Nonconvertible Debentures SR JI.Date of Maturity :06/02/2003. Letter of Mibor + 50Bps UnSecured Nonconvertible Debentures Series+ 50Bps of Maturity Mibor JJ.Date UnSecured Nonconvertible Debentures Series JK.Date of
MAHINDRA & INE774D08AJ2 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AR5 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AK0 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AL8 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AN4 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AP9 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AQ7 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AO2 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AM6 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AT1 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07179 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AS3 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AV7 MAHINDRA FINANCIAL SERVICES LIMITED
Mibor + 50Bps UnSecured Nonconvertible Debentures Series JN.Date of Non 6.15% Unsecured Convertible Debenture, Series-KJ, Date of maturity 50 Bps Mibor + 17/02/2003 UnSecured Nonconvertible Debentures Series JO.Date of Non6.45% UnSecured convertible Debentures Series JS.Date of MaturityUnSecured Non6.25% :21/02/2003. convertible Debentures Series JX.Date of Maturity 50 Bps Secured Mibor + :26/02/2003. Non Convertible Debenture, Series-KK, Date of maturitySecured Mibor + 45 Bps Non Convertible Debenture, Series-KL, Date ofSecured Non 6.25% maturity Convertible Debenture, Series-KM, Date of maturity 18/03/2003 6.42% UnSecured Nonconvertible Debentures Series JV.Date of Maturity :25/03/2003. 6.35% Unsecured Non Convertible Debenture, Series-LC, Date of maturity Secured 12.75% 08/04/2003. Redeemable Non Convertible Debenture Series T 6.35% Unsecured Non Convertible Debenture, Series-LD, Date of maturity 6.45% Unsecured Non Convertible Debenture, Series-LH, Date of maturity 10/04/2003.
MAHINDRA & INE774D08AW5 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AU9 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AX3 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AY1 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AZ8 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BA9 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BB7 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BC5 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BD3 MAHINDRA FINANCIAL SERVICES LIMITED
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED INE774D08BF8
6.32% Unsecured Non Convertible Debenture, Series-LJ, Date of maturity 10/04/2003. 6.35% Unsecured Non Convertible Debenture, Series-JU, Date of maturity 14/04/2003. 6.50% Unsecured Non Convertible Debenture, Series-LV, Date of maturity 02/05/2003. 6.50% Unsecured Non Convertible Debenture, Series-LW, LY & LZ, Date ofUnsecured Non 6.50% maturity Convertible Debenture, Series-MA, Date of maturity 07/05/2003. 6.50% Unsecured Non Convertible Debenture, Series-MB, Date of maturity 09/05/2003. 6.50% Unsecured Non Convertible Debenture, Series-ME, Date of maturity 12/05/2003. 6.45% Unsecured Non Convertible Debenture, Series-JT. Letter of Allotment 6.25% Unsecured Non Convertible Debenture, Series-JY. Letter of Allotment 6.75% Unsecured
Redeemable NonConvertible Debentures Series-MH Letter of
INE774D08BE1
MAHINDRA & INE774D08BL6 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08680 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07351 MAHINDRA FINANCIAL SERVICES LIMITED
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED INE774D08BJ0
6.90% Unsecured Redeemable NonConvertible Debentures. Series-MP. Letter of 9.30% Secured Non Convertible Debenture, Series-GC, Date of maturity 16/06/2003 9.30% Secured Non Convertible Debenture, Series-GC, Date of maturity 16/06/2003. 6.40% Secured Non
Convertible Debenture, SeriesMN.Letter Of Allotment
MAHINDRA & INE774D08BM4 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BK8 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07047 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07187 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08664 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07344 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08722 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07369 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BS1 MAHINDRA FINANCIAL SERVICES LIMITED
6.90% Unsecured Redeemable NonConvertible Debentures. Series-MQ. Letter of 6.85% Unsecured Redeemable NonConvertible Debentures. Series-MO. Letter of 11.75% Secured Redeemable Non Convertible DebentureSeries MB 11.75% Secured Redeemable Non Convertible Debenture Series Secured Non 9.25% MC Convertible Debenture, Series-GA & Series-GD Date ofSecured 27-069.25% maturity Non Convertible Debenture, Series-GA & Series GD, Date ofUnsecured Non 8.50% maturity 27-06Convertible Debenture, Series-GS, Date of maturity :02/07/2003 8.50% Unsecured Non Convertible Debenture, Series-GS, Date of maturity :02/07/2003 6.35% Unsecured NCDLOA SR MX
MAHINDRA & INE774D08BN2 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BO0 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BT9 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07112 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08797 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07385 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BV5 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BX1 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BY9 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BW3 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BZ6 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07161 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CK6 MAHINDRA FINANCIAL SERVICES LIMITED
6.45% Unsecured Redeemable NonConvertible Debentures Series-LI. Letter of 6.32% Unsecured Redeemable NonConvertible Debentures Series-LK. Letter of 6.35% Unsecured NCDLOA SR MY 12.75% Secured Redeemable Non Convertible DebentureSeries S 7.95% Secured Non Convertible Debenture, Series-HC, Date of maturity 7.95% Secured Non Convertible Debenture, Series-HC, Date of maturity :15/07/2003 5.55% Unsecured Redeemable NonConvertible Debentures. Series-NB. Letter of 5.50% Unsecured Redeemable NonConvertible Debentures. Series-NG. Letter of 5.65% Unsecured Redeemable NonConvertible Debentures. Series-NE. Letter of 5.65% Unsecured Redeemable NonConvertible Debentures. Series-NF. Letter of 5.65% Unsecured Redeemable NonConvertible Debentures. Series-ND. Letter of 12.75% Secured Redeemable Non Convertible Debenture Series Unsecured Non5.65% V Convertible Debentures. Series OJ,Series OK and Series OL. Letter of
MAHINDRA & INE774D08CO8 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CL4 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CM2 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CT7 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CS9 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CV3 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CU5 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CW1 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CY7 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CX9 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07120 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CZ4 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08DC1 MAHINDRA FINANCIAL SERVICES LIMITED
5.6% Unsecured NCD Sr. ON-LOA 5.8% Unsecured NCD Sr. OQ. LOA 5.8% Unsecured NCD Sr. OS. LOA 5.70% Unsecured Redeemable NonConvertible Debentures. 5.75% Unsecured Redeemable NonConvertible Debentures. Series-PP. Letter of 5.15% Unsecured Redeemable NonConvertible Debentures. Series-PR. Letter of 5.10% Unsecured Redeemable NonConvertible Debentures. Series-PT5 bps Letter of MIBOR + & PV. UnSecured Redeemable Non-Convertible Debentures Series QH. 5.25% Unsecured Redeemable NonConvertible Debentures. Series-QN. Letter of 5.25% Unsecured Redeemable NonConvertible Debentures. Series-QP. Letter of 12.10% Secured Redeemable Non Convertible DebentureSeries AO5 bps MIBOR + UnSecured Redeemable Non-Convertible Debentures Series RD. 5.10% Unsecured Redeemable NonConvertible Debentures. Series-PU. Letter of
MAHINDRA & INE774D08DB3 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08DA5 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BR3 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07500 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08DD9 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BP7 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07484 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BQ5 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07492 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07138 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07146 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CC3 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07583 MAHINDRA FINANCIAL SERVICES LIMITED
5.10% Unsecured Redeemable NonConvertible Debentures. Series-PW. Letter of 5.15% Unsecured Redeemable NonConvertible Debentures. Series-PS. Letter of 7.45% Secured Redeemable NonConvertible Debentures. Series-MT. Letter of 7.45% Secured Redeemable NonConvertible Debentures. Series-MT. Unsecured NSE MIBOR Redeemable NonConvertible Debentures. Series-RW, RX & RY. 7.45% Secured Redeemable NonConvertible Debentures. Series-MR. Letter of 7.45% Secured Redeemable NonConvertible Debentures. Series-MR. 7.25% Secured Redeemable NonConvertible Debentures. Series-MS & Series MU.. 7.25% Secured Redeemable NonConvertible Debentures. Series-MS & Series MU. 11.60% Secured Redeemable Non Convertible DebentureSeries BC 11.60% Secured Redeemable Non Convertible Debenture 6.20% Secured Redeemable NonConvertible Debentures. Series-NQ Letter of 6.20% Secured Redeemable NonConvertible Debentures. Series-NQ
MAHINDRA & INE774D08CD1 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07542 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CJ8 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07013 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08DF4 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CQ3 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CI0 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08DG2 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07682 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07690 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07732 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07740 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07765 MAHINDRA FINANCIAL SERVICES LIMITED
6.20% Secured Redeemable NonConvertible Debentures. Series-NH(1) Letter of 6.20% Secured Redeemable NonConvertible Debentures. Series-NH(1). 6.20% Secured Redeemable NonConvertible Debentures, Series-NY. 11.40% Secured Redeemable Non Convertible Debenture NSE MIBOR Unsecured Redeemable NonConvertible Debentures. Series-TA. + 105bps NSE Mibor Secured NCD Sr. OM6.10% Secured Redeemable NonConvertible Debentures, Series-NX. + 5 bps NSE MIBOR Unsecured Redeemable Non-Convertible Debentures. Series-TS. NSE MIBOR compounding on business day + 80 bps Secured Redeemable NSE MIBOR compounding on business day + 85 bps Secured Redeemable NSE MIBOR + 100 bps Secured Redeemable Non-Convertible Debentures Seriesbps NSE MIBOR + 95 RH. Secured Redeemable Non-Convertible Debentures Series RG. NSE MIBOR business days + 99 bps Secured Redeemable NonConvertible Debentures
MAHINDRA & INE774D08CE9 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07559 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07773 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07781 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07799 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07831 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07880 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CB5 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07534 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CG4 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07575 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07856 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08BU7 MAHINDRA FINANCIAL SERVICES LIMITED
6.50% Secured Redeemable NonConvertible Debentures. Series-NH(2) Letter of 6.50% Secured Redeemable NonConvertible Debentures. Series-NH(2) + 100 bps NSE MIBOR Secured Redeemable Non-Convertible Debentures Series RO. NSE MIBOR Compounding on business days + 100 bps with a minimum interest NSE MIBOR Compounding On Business Days + 95 bps Secured Redeemable 5.25% Secured Redeemable NonConvertible Debentures Series RZ. Letter of 5.30% Secured Redeemable NonConvertible Debentures Series SV. Letter of 7.00% Secured Redeemable NonConvertible Debentures. Series-NL. Letter of 7.00% Secured Redeemable NonConvertible Debentures. Series-NL. 6.90% Secured Redeemable NonConvertible Debentures, Series-NI Letter of 6.90% Secured Redeemable NonConvertible Debentures, Series-NI . 5.50% Secured Redeemable NonConvertible Debentures Series SR. Letter of 7.00% Secured Redeemable NonConvertible Debentures. Series-NC. Letter of
MAHINDRA & INE774D07518 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07716 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CA7 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07526 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CF6 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07567 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07807 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08789 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07377 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CR1 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07757 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08870 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08805 MAHINDRA FINANCIAL SERVICES LIMITED
7.00% Secured Redeemable NonConvertible Debentures. Series-NC. + 130 bps NSE MIBOR Secured Redeemable Non-Convertible Debentures Series QY. 7.10% Secured Redeemable NonConvertible Debentures. Series-NJ. Letter of 7.10% Secured Redeemable NonConvertible Debentures. Series-NJ. 7.00% Secured Redeemable NonConvertible Debentures. Series-NH(3) Letter of 7.00% Secured Redeemable NonConvertible Debentures. Series-NH(3). NSE MIBOR Compounding On Business Days + 135 bps Secured Redeemable 9.60% Unsecured Non Convertible Debenture, Series-GT, Date of maturity :05/07/2005 9.60% Unsecured Non Convertible Debenture, Series-GT, Date of maturity :05/07/2005 Sr. 6.75% Secured NCD OP NSE MIBOR compounding on business days + 145 bps Secured Redeemable 9.00% Secured Nonconvertible Debentures, Series-HU.Date of Maturity : 16/07/2005 8.50% Secured Non Convertible Debenture, Series-HD, Date of maturity
MAHINDRA & INE774D07393 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08839 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07401 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07609 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CH2 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07419 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07617 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08904 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07427 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08938 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07435 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07658 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07666 MAHINDRA FINANCIAL SERVICES LIMITED
8.50% Secured Non Convertible Debenture, Series-HD, Date of maturity :18/07/2005 8.00% Secured Non Convertible Debenture, Series-HI, Date of maturity : 8.00% Secured Non Convertible Debenture, Series-HI, Date of maturity : 31/07/2005 6.75% Secured Redeemable NonConvertible Debentures Series OZ. 6.75% Secured Redeemable NonConvertible Debentures, Series-NS 9.00% Secured Nonconvertible Debentures, Series-HU.Date of Maturity : 16/08/2005 NSE MIBOR + 131 bps Secured Redeemable Non-Convertible Debentures Series PI. 8.80% Secured Non Convertible Debenture, Series-IG, Date of maturity 18/09/2005. 8.80% Secured Non Convertible Debenture, Series-IG, Date of maturity 18/09/2005. 8.80% Secured Nonconvertible Debentures, Series-IQ.Date of Maturity : 03/10/2005. 8.80% Secured Nonconvertible Debentures, Series-IQ.Date of Maturity : 03/10/2005. NSE MIBOR + 120 bps Secured Redeemable Non-Convertible Debentures Series QJ-1. 5.75% Secured Redeemable NonConvertible Debentures Series QJ-2. Letter of
MAHINDRA & INE774D08995 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07476 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AA1 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AB9 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07443 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07450 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07724 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07708 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08AI4 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07468 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07872 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07864 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07849 MAHINDRA FINANCIAL SERVICES LIMITED
8.50% Secured Nonconvertible Debentures SR IY.Date of Maturity : 23/10/2005. Letter of 8.50% Secured Nonconvertible Debentures SR IY.Date of Maturity : 23/10/2005. 8.50% Secured Nonconvertible Debentures SR IZ.Date of Maturity : 25/10/2005. Letter of 8.25% Secured Nonconvertible Debentures SR JA.Date of Maturity : 25/10/2005. Letter of 8.50% Secured Nonconvertible Debentures SR IZ.Date of Maturity : 25/10/2005. 8.25% Secured Nonconvertible Debentures SR JA.Date of Maturity : 25/10/2005. 5.85% Secured Redeemable NonConvertible Debentures Series RB. Letter ofbps NSE MIBOR + 135 Secured Redeemable Non-Convertible Debentures Series Non7.25% UnSecured QZ. convertible Debentures SR JM.Date of Maturity :21/11/2005. Letter of 7.25% Secured Nonconvertible Debentures SR JM.Date of Maturity :21/11/2005. NSE MIBOR Compounding On Business Days + 130 bps Secured Redeemable NSE MIBOR Compounding On Business Days + 145 bps Secured Redeemable NSE MIBOR Compounding On Business Days + 140 bps Secured Redeemable
MAHINDRA & INE774D07898 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07948 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CP5 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07823 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08CN0 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07591 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07625 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07633 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07641 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07674 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07815 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07997 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07906 MAHINDRA FINANCIAL SERVICES LIMITED
NSE MIBOR Compounding On Business Days + 125 bps Secured Redeemable NSE MIBOR plus 105 bps Secured Redeemable NonConvertible Debentures 6.9% Secured NCD Sr. OO NSE MIBOR Compounding On Business Days + 145 bps Secured Redeemable 6.9% Secured NCD Sr. OR 6.90% Secured Redeemable NonConvertible Debentures Series OY. + 160 bps NSE MIBOR Secured Redeemable Non-Convertible Debentures Series PJ. 6.10% Secured Redeemable NonConvertible Debentures Series QI-1. Letter of NSE MIBOR + 150 bps Secured Redeemable Non-Convertible Debentures Series QI-2. NSE MIBOR + 155 bps Secured Redeemable Non-Convertible Debentures Series QV. NSE MIBOR Compounding On Business Days + 165 bps Secured Redeemable NSE MIBOR plus 105 bps Secured Redeemable NonConvertible Debentures NSE MIBOR Compounding On Business Days + 150 bps Secured Redeemable
MAHINDRA & INE774D07914 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07922 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07930 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07955 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07963 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07989 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07971 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D07AA3 MAHINDRA FINANCIAL SERVICES LIMITED MAHINDRA & INE774D08540 MAHINDRA FINANCIAL SERVICES LIMITED
MAHINDRA & MAHINDRA FINANCIAL SERVICES LTD. INE774D08BI2
6.20% Secured Redeemable NonConvertible Debentures Series TG-1. Letter of 6.20% Secured Redeemable NonConvertible Debentures Series TJ. Letter of NSE MIBOR plus 150 bps Secured Redeemable NonConvertible Debentures NSE MIBOR plus 125 bps Secured Redeemable NonConvertible Debentures 1 year GOISEC benchmark plus 80 bps Secured Redeemable Non-Convertible 6.30% Secured Redeemable NonConvertible Debentures Series GOISEC of 1 year TT. Letter benchmark plus 90 bps Secured Redeemable Non-Convertible 1 year GOISEC benchmark plus 80 bps Secured Redeemable Non-Convertible 11.19% Unsecured Non Convertible Debenture, Series- AAA Date of maturity : 28/09/2007 6.25% Unsecured
Redeemable Non-Convertible Debentures Series-MM.Letter of Allotment 6.60% Unsecured Redeemable Non-Convertible Debentures Series-MK Letter of Allotment 6.60% Unsecured Redeemable Non-Convertible Debentures Series-ML Letter of Allotment
INE774D08BG6
INE774D08BH4
INE101A08021
MAHINDRA & MAHINDRA LIMITED MAHINDRA & MAHINDRA LIMITED MANAKSIA LIMITED (FORMERLY HINDUSTHAN SEAL LIMITED) LIMITED MANAKSIA (FORMERLY HINDUSTHAN SEAL LIMITED) LIMITED MANAKSIA (FORMERLY HINDUSTHAN SEAL LIMITED) LIMITED MANAKSIA (FORMERLY HINDUSTHAN SEAL LIMITED) LIMITED MANAKSIA (FORMERLY HINDUSTHAN SEAL LIMITED) LIMITED MANAKSIA (FORMERLY HINDUSTHAN SEAL LIMITED) LIMITED MANAKSIA (FORMERLY HINDUSTHAN SEAL LIMITED) LIMITED MANAKSIA (FORMERLY HINDUSTHAN SEALS LIMITED) LIMITED MANAKSIA (FORMERLY HINDUSTHAN SEALS LIMITED) LIMITED MANAKSIA (FORMERLY HINDSUTHAN SEALS LTD) MANAKSIA LIMITED (FORMERLY HINDSUTHAN SEALS LTD)
INE101A08039
8.00% Unsecured Unrated NCD. Date of maturity:25/09/2002.LOA 6.25% Unsecured NCD. Date of maturity:26/09/2002.LOA 4.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.55% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.60% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.55% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.95% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.83% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.64% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.75% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment.
INE101A08054
INE015D08423
INE015D08415
INE015D08449
INE015D08464
INE015D08456
INE015D08472
INE015D08480
INE015D08399
INE015D08431
INE015D08357
INE015D08365
MANAKSIA LIMITED (FORMERLY HINDSUTHAN SEALS LTD) MANAKSIA LIMITED (FORMERLY HINDSUTHAN SEALS LTD) MANAKSIA LIMITED (FORMERLY HINDSUTHAN SEALS LTD) MANGALORE REFINERY & PETROCHEMICALS LTD. MANGALORE REFINERY & PETROCHEMICALS LTD. MANGALORE REFINERY & PETROCHEMICALS LTD. MANGALORE REFINERY & PETROCHEMICALS LTD. MANGALORE REFINERY & PETROCHEMICALS LTD.India Ltd. Max
INE015D08373
INE015D08407
4.59% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.48% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 4.59% Unsecured Redeemable NonConvertible Debentures. Letter ofFully Secured 16.00% Allotment. NCD. Date of Maturity:07.08.2003
INE015D08381
INE103A07011
INE103A09017
INE103A09025
MIBOR + .15 bpos Unsecured Redeemable Non-Convertible bonds in the form+of Promissory MIBOR .15 bps Unsecured Redeemable Non-Convertible bonds in the form+of Promissory MIBOR 25 bps Unsecured Redeemable NonConvertible bps MIBOR + .23 Unsecured Redeemable Non-Convertible bonds in the form of Promissory 12% Secured Non Convertible Debenture (Date of Maturity : 16th January, 2003) 6.00% Secured Redeemable Noncumulative Nonconvertible Govt. of India 10.50% Secured Redeemable NonConvertible Debentures. Date of Maturity : 13.00% Unsecured Taxable NCD. Date of Maturity; 25/07/2002
INE103A09033
INE103A09041
INE180A07019
MECON LIMITED
INE174G07027
INE771A08039
INE083A08021
INE083A08013
MOREPEN LABORATORIES LTD. MOREPEN LABORATORIES LTD. MOREPEN LABORATORIES LTD. MOSER BAER INDIA LTD. MOSER BAER INDIA LTD. MOSER BAER INDIA LTD. MOSER BAER INDIA LTD. MOSER BAER INDIA LTD. MOSER BAER INDIA LTD. MOSER BAER INDIA LTD. MOSER BAER INDIA LTD. MOSER BAER INDIA LTD. MOSER BAER INDIA LTD.
INE083A07015
13.00% Secured NCD. Date of Maturity: 21/06/2003 11.50% Unsecured Taxable NCD. Date of Maturity; 30/10/2003 13.00% Secured NCD. Date of Maturity: 03/08/2004 Mibor + 70 Bps Unsecured NCD. Date of Maturity:21/01/2003. Letter + 70 Bps Mibor of Allotment Unsecured NCD. Date of Maturity:19/02/2003. LetterUnsecured NCD. 6.2% of Allotment Date of Maturity:25/02/2003. Letter of Allotment NCD. 5.95% Unsecured Date of Maturity:13/03/2003. Letter of Allotment NCD. 5.92% Unsecured Date of Maturity:17/03/2003. Letter of Allotment NCD. 5.95% Unsecured Date of Maturity:26/03/2003. Letter of Allotment Non5.30% Unsecured Convertible Debentures. Letter of Allotment
INE083A08039
INE083A07023
INE739A08010
INE739A08028
INE739A08036
INE739A08044
INE739A08069
INE739A08051
INE739A08077
INE739A08085
5.25% Unsecured NonConvertible Debentures. Letter of Allotment 5.30% Unsecured NonConvertible Debentures. Letter of Allotment 5.32% Unsecured NonConvertible Debentures. Letter of Allotment
INE739A08093
INE739A08101
MULTIFACED FINSTOCK PVT. LTD. MYSORE BREWERIES LIMITED MYSORE BREWERIES LIMITED MYSORE BREWERIES LIMITED MYSORE BREWERIES LIMITED NALCO
INE879F08013
INE605C08019
Zero Coupon Unsecured Redeemable NonConvertible Bonds. Date of maturity :01/11/2007 7.45% Unsecured Redeemable NonConvertible Debentures.
INE605C08027
7.30% Unsecured Redeemable NonConvertible Debentures. 7.30% Unsecured Redeemable NonConvertible Debentures. 7.50% Unsecured Redeemable NonConvertible Debentures. 8.60% Bonds Series 2002-02 . Date Of Maturity: 21/03/2007.LOA 8.60% Bonds Series 2002-02 . Date Of Maturity: 21/03/2007 11.60% Secured NCD. Date of Maturity: 07.02.2007 8.60% Bonds Series 2001 . LOA, Date Of Maturity: 15/11/2004 8.60% Bonds Series 2001 . Date Of Maturity: 15/11/2004 8.60% Fully Secured Non Convertible Bonds Series 2002-01 LOA, Date Of Maturity: 8.60% Bonds Series 2002-01 . Date Of Maturity: 15/02/2005 13.50% Secured Redeemable NonConvertible Bonds 2003 Series X III issued in the
INE605C08035
INE605C08043
INE139A08039
NALCO
INE139A07049
INE344A07011
NATIONAL ALUMINIUM INE139A08013 COMPANY LIMITED NATIONAL ALUMINIUM INE139A07023 COMPANY LIMITED NATIONAL ALUMINIUM INE139A08021 COMPANY LIMITED NATIONAL ALUMINIUM INE139A07031 COMPANY LIMITED NATIONAL BANK FOR INE261F09418 AGRICULTURE AND RURAL DEVELOPMENT
NATIONAL BANK FOR INE261F09053 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09426 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09061 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09095 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09111 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09137 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09145 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09152 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09160 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09178 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09186 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09194 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09202 AGRICULTURE AND RURAL DEVELOPMENT
9% Unsecured Redeemable Tax Free Bonds issued in the nature of Promissory 12.50% Secured Redeemable NonConvertible Bonds 2004 Series Unsecured in the 8.25% XIV issued Redeemable Tax Free Bonds issued in the nature of Promissory 11% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 10% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 10.40% Unsecured Redeemable Non Priority Sector Bonds issued in the nature of Promissory 7.50% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 7.10% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 7.10% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 7.00% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 6.75% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 7.00% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 7.10% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory
NATIONAL BANK FOR INE261F09012 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09228 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09079 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09244 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09087 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09343 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09350 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09434 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09020 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09475 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09103 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09129 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09525 AGRICULTURE AND RURAL DEVELOPMENT
14.00% GOI Guaranteed Redeemable SLR Bonds issued in the nature of Promissory Notes - NB 4.80% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 8.25% Unsecured Redeemable Tax Free Bonds issued in the nature of Promissory 5.45% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 11.25% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 5.72 % Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 5.65 % Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 5.40 % Unsecured Redeemable Priority Sector Bonds issued in the nature of Guaranteed 13.85% GOI Promissory Redeemable SLR Bonds issued in the nature of Promissory Notes - NB 4.90 % Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 10.25% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 10.75% Unsecured Redeemable Non Priority Sector Bonds issued in the nature of Promissory 4.85 % Unsecured Redeemable Non Covertible Bonds issued in the nature of
NATIONAL BANK FOR INE261F09533 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09541 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09517 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09558 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09566 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09590 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09608 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09624 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09616 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09632 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09640 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F08014 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09210 AGRICULTURE AND RURAL DEVELOPMENT
4.80 % Unsecured Redeemable Non Covertible Bonds issued in the nature of 4.80 % Unsecured Redeemable Non Covertible Bonds issued in the nature of 4.80 % Unsecured Redeemable Non Covertible Bonds issued in the nature of 4.80 % Unsecured Redeemable Non Covertible Bonds issued in the nature of 4.75 % Unsecured Redeemable Non Covertible Bonds issued in the nature of 4.80 % Unsecured Redeemable Non Covertible Bonds issued in the nature of 4.80 % Unsecured Redeemable Non Covertible Bonds issued in the nature of 4.80 % Unsecured Redeemable Non Covertible Bonds issued in the nature of 4.80 % Unsecured Redeemable Non Covertible Bonds issued in the nature of 4.80 % Unsecured Redeemable Non Covertible Bonds issued in the nature of 4.80 % Unsecured Redeemable Non Covertible Bonds issued in the nature of 7.00% Unsecured Redeemable Nonconvertible Capital Gains Bonds.Unsecured 6.60% Date of Maturity Redeemable Priority Sector Bonds issued in the nature of Promissory
NATIONAL BANK FOR INE261F09400 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09236 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09251 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09038 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09335 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMEN INE261F09293
13.00% Secured Redeemable NonConvertible Bonds 2007 Series XII issued in the 6.00% Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 5.60 % Unsecured Redeemable Priority Sector Bonds issued in the nature of Guaranteed 12.30% GOI Promissory Redeemable SLR Bonds issued in the nature of Promissory Notes - NB 5.25% Unsecured NonConvertible TFB BondsIVF-2008 issued in the nature of promissory 5.25 % Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 5.25 % Unsecured Redeemable Priority Sector Bonds issued in the nature of Promissory 5.25% Unsecured NonConvertible TFB BondsIVD-2008 issued in the nature of promissory 5.10% Unsecured NonConvertible TFPSB Bonds- IVE-2008 issued in the nature of 5.10% Unsecured NonConvertible TFB BondsIVA-2008 issued in the nature of promissory 5.10% Unsecured NonConvertible TFB BondsIVB-2008 issued in the nature of promissory 5.10% Unsecured NonConvertible TFB BondsIVC-2008 issued in the nature ofTaxable Bonds 13.50% promissory (2005) - Unsecured Bonds Letter of Allotment. Date of
INE261F09301
INE261F09319
INE261F09327
NATIONAL BANK FOR INE261F09269 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09277 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL BANK FOR INE261F09285 AGRICULTURE AND RURAL DEVELOPMENT NATIONAL CAPITAL REGION PLANNING BOARD INE525E08056
NATIONAL CAPITAL REGION PLANNING BOARD NATIONAL CAPITAL REGION PLANNING BOARD NATIONAL CAPITAL REGION PLANNING BOARD NATIONAL CAPITAL REGION PLANNING BOARD NATIONAL CAPITAL REGION PLANNING BOARD NATIONAL CAPITAL REGION PLANNING BOARD NATIONAL CAPITAL REGION PLANNING BOARD NATIONAL CAPITAL REGION PLANNING BOARD NATIONAL CAPITAL REGION PLANNING BOARD NATIONAL CAPITAL REGION PLANNING BOARD NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA
NATIONAL HIGHWAYS AUTHORITY OF INDIA
INE525E08064
INE525E09013
14.00% Taxable Bonds (2005) - Unsecured Bonds Letter of Allotment. Date of 10.50% NCRPB TaxfreeBonds (2005) Series I- Unsecured Bonds in the form of 10.50% NCRPB TaxfreeBonds (2005) Series I B- Unsecured Bonds in the form of 10.50% NCRPB TaxfreeBonds (2005) Series I B- Unsecured Bonds in Taxable Bonds 10.50% the form of (2005) - Unsecured Bonds Letter of Allotment. Date of 10.50% NCRPB TaxfreeBonds (2005) Series I C- Unsecured Bonds in the formBonds 9.70% Tax Free of (2006) - Unsecured Bonds Letter of Allotment. Date ofBonds 13.50% Taxable (2006) - Unsecured Bonds Letter of Allotment. Date of 13.50% NCRPB TaxfreeBonds (2006) Series I - Unsecured Bonds. Date of 13.50% NCRPB TaxfreeBonds (2006) Series I - Unsecured Bonds. Date of NHAI 54EC Bonds 200203 in the form of Debentures. Option I. Date of Allotment:31-05NHAI 54EC Bonds 200203 in the form of Debentures. Option V. Date 54EC Bonds 2002-03 NHAI of Allotment:31-05in the form of Debentures. Option I. Date of Allotment:30-06-2002
INE525E09021
INE525E09039
INE525E08049
INE525E09047
INE525E08072
INE525E08031
INE525E08098
INE525E08106
INE906B07346
INE906B07387
INE906B07395
NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA
INE906B07437
INE906B07445
INE906B07486
INE906B07494
INE906B07536
INE906B07544
INE906B07585
INE906B07593
NHAI 54EC Bonds 2002-03 in the form of Debentures. Option V. Date of Allotment:30-06-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option I. Date of Allotment:31-07-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option V. Date of Allotment:31-07-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option I. Date of Allotment:31-08-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option V. Date of Allotment:31-08-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option I. Date of Allotment:30-09-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option V. Date of Allotment:30-09-2002
INE906B07635
NHAI 54EC Bonds 200203 in the form of Debentures. Option I. Date 54EC Bonds 2002-03 NHAI of Allotment:31-10in the form of Debentures. Option V. Date of Allotment:31-10-2002
INE906B07643
NHAI 54EC Bonds 2002-03 in the form of Debentures. Option I. Date of Allotment:30-11-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option V. Date of Allotment:30-112002
INE906B07684
INE906B07692
INE906B07734
NHAI 54EC Bonds 200203 in the form of Debentures. Option I. Date of Allotment:31-12NHAI 54EC Bonds 200203 in the form of Debentures. Option V. Date of Allotment:31-12-
NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA
NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA
INE906B07742
INE906B07783
NHAI 54EC Bonds 200203 in the form of Debentures. Option I. Date of Allotment:31-01NHAI 54EC Bonds 200203 in the form of Debentures. Option V. Date of Allotment:31-01NHAI 54EC Bonds 200203 in the form of Debentures. Option III. Date of Allotment:31-05NHAI 54EC Bonds 200203 in the form of Debentures. Option IV. Date 54EC Bonds 2002-03 NHAI of Allotment:31-05in the form of Debentures. Option III. Date of Allotment:30-06-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option IV. Date of Allotment:30-06-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option III. Date of Allotment:31-07-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option IV. Date of Allotment:31-07-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option III. Date of Allotment:31-08-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option IV. Date of Allotment:31-08-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option III. Date of Allotment:30-09-2002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option IV. Date of Allotment:30-09-2002
INE906B07361
INE906B07379
INE906B07411
INE906B07429
INE906B07460
INE906B07478
INE906B07510
INE906B07528
INE906B07569
INE906B07577
INE906B07619
NHAI 54EC Bonds 200203 in the form of Debentures. Option III. Date of Allotment:31-10-
INE906B07627
INE906B07668
NHAI 54EC Bonds 200203 in the form of Debentures. Option IV. Date of Allotment:31-10NHAI 54EC Bonds 2002-03 in
the form of Debentures. Option III. Date of Allotment:30-112002 NHAI 54EC Bonds 2002-03 in the form of Debentures. Option IV. Date of Allotment:30-112002
INE906B07676
NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA NATIONAL HIGHWAYS AUTHORITY OF INDIA LIMITED NATIONAL HIGHWAYS AUTHORITY OF INDIA LIMITED NATIONAL HIGHWAYS AUTHORITY OF INDIA LIMITED NATIONAL HIGHWAYS AUTHORITY OF INDIA LIMITED NATIONAL HIGHWAYS AUTHORITY OF INDIA LIMITED NATIONAL HIGHWAYS AUTHORITY OF INDIA LIMITED
INE906B07718
INE906B07726
NHAI 54EC Bonds 200203 in the form of Debentures. Option III. Date of Allotment:31-12NHAI 54EC Bonds 200203 in the form of Debentures. Option IV. Date of Allotment:31-12NHAI 54EC Bonds 200203 in the form of Debentures. Option III. Date of Allotment:31-01NHAI 54EC Bonds 200203 in the form of Debentures. Option IV. Date of Allotment:31-019% NHAI 54EC Bonds in the form of Debentures. Option III. Date of Maturity:31.07.2006 in 9% NHAI 54EC Bonds the form of Debentures. Option III. Date of Maturity:29.08.2006 in 9% NHAI 54EC Bonds the form of Debentures. Option III. Date of Maturity:31.08.2006 in 9% NHAI 54EC Bonds the form of Debentures. Option III. Date of Maturity:31.10.2006 in 9% NHAI 54EC Bonds the form of Debentures. Option III. Date of Maturity:30.11.2006 in 9% NHAI 54EC Bonds the form of Debentures. Option III. Date of Maturity:06.12.2006
INE906B07767
INE906B07775
INE906B07064
INE906B07122
INE906B07098
INE906B07155
INE906B07189
INE906B07213
NATIONAL HIGHWAYS AUTHORITY OF INDIA LIMITED NATIONAL HIGHWAYS AUTHORITY OF INDIA LIMITED NATIONAL HIGHWAYS AUTHORITY OF INDIA LIMITED NATIONAL HIGHWAYS AUTHORITY OF INDIA LIMITED NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK
INE906B07247
INE906B07304
8.5% NHAI 54EC Bonds in the form of Debentures. Option III. Date of 8.5% NHAI 54EC Bonds in the form of Debentures. Option III. Date of 8.5% NHAI 54EC Bonds in the form of Debentures. Option III. Date of 8.5% NHAI 54EC Bonds in the form of Debentures. Option III. Date of NHB Bonds 2004 13.50% (Sixth Series)in the form of Promissory notes. Date of Maturity: 22-0213.50% NHB Priority Sector Bonds 1996-97 (Type II)in the form of Promissory notes. Date 12.50% NHB Bonds 2004 (Seventh Series)in the form of Promissory notes. Date ofNHB-Golden 9.50% Maturity: 13-12Jubilee Rural Housing Finance Tax Free Priority Sector Bonds 1997-98in 9.50 % NHB - Swarna Jayanti Rural Housing Finance Tax Free Bonds 1998-99NHB Priority 12.50% (First Series)in Sector Bonds 1998-99 (Taxable)in the form of Promissory notes. Date 5.00% NHB Swarna Jayanti Rural Housing Finance Bonds 20032004 (Tax Free). Letter of 14.00% NHB Bonds 2006 (Eight Series)in the form of Promissory notes. Date % NHB - Swarna 9.15 of Maturity: 09-01Jayanti Rural Housing Finance Tax Free Bonds 1998-99 (Second
INE906B07338
INE906B07270
INE557F09062
INE557F09120
INE557F09070
INE557F09138
INE557F09153
INE557F09161
INE557F08254
INE557F09088
INE557F09187
NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HOUSING BANK NATIONAL HYDROELECTRIC POWER CORPORATION LTD NATIONAL HYDROELECTRIC POWER CORPORATION LTD NATIONAL HYDROELECTRIC POWER CORPORATION LTD NATIONAL HYDROELECTRIC POWER CORPORATION LTD NATIONAL ORGANIC CHEMICAL INDUSTRIES LTD. NATIONAL ORGANIC CHEMICAL INDUSTRIES LTD.
INE557F09245
INE557F08130
10.25% NHB Priority Sector Bonds 2000-01 (Second Series)in the form of NHB Priority 6.00% Promissory notes. Sector Bonds 2002-2003 (Taxable). Letter of Allotment 6.00% NHB Priority Sector Bonds 2002-2003 (Taxable). Letter of Allotment Swarna 8.50% NHB Jayanti Rural Housing Finance Tax Free Bonds 1999-2000 (Third 13.75% NHB Bonds 2007 (Ninth Series)in the form of Promissory notes. Date of Maturity: 28-0113.00% NHB Bonds 2007 (Fifth Series)in the form of Promissory notes. Date of Maturity: 21-1212.30% NHB Bonds 2008 (Tenth Series)in the form of Promissory notes. Date of Maturity: 24-0316.00% NHPC Taxable Bonds Series L2. Date of maturity -31.03.2004
INE557F08148
INE557F09195
INE557F09096
INE557F09054
INE557F09112
INE848E07013
INE848E07021
10.50% NHPC Tax Free Bonds Series L2. Date of maturity -31.03.2004 9.55% NHPC Taxable Bonds Series M. Date of maturity -07.01.2007 (Letter NHPC Secured 9.55% of Allotment) Redeemable NonConvertibleTaxable Bonds.Series M. Date of 16.00% Secured Redeemable Nonconvertible Debentures, Series X.Date of maturity 8.50% Secured Redeemable Nonconvertible Debentures.Date of
INE848E08011
INE848E07039
INE163A07015
INE163A08013
NATIONAL ORGANIC CHEMICAL INDUSTRIES LTD. NATIONAL ORGANIC CHEMICAL INDUSTRIES LTD. NATIONAL ORGANIC CHEMICAL INDUSTRIES LTD. NATIONAL TEXTILE CORPORATION LIMITED NATIONAL TEXTILE CORPORATION LIMITED NATIONAL TEXTILE CORPORATION LIMITED NATIONAL TEXTILE CORPORATION LIMITED NATIONAL TEXTILE CORPORATION LIMITED NATIONAL TEXTILE CORPORATION LIMITED NATIONAL TEXTILE CORPORATION LIMITED NATIONAL TEXTILE CORPORATION LIMITED NATIONAL TEXTILE CORPORATION LIMITED NATIONAL TEXTILE CORPORATION LIMITED
INE163A07023
INE163A07031
16.00% Secured Redeemable Nonconvertible Debentures, Series XI.Date of maturity 16.00% Secured Redeemable Nonconvertible Debentures, Series XII.Date of 16.00% Secured Redeemable Nonconvertible Debentures, Series XIII.Date of 9.5% Taxfree Bonds. Date of Maturity: 31.12.2006.
INE163A07049
INE935E07018
INE935E08016
INE935E07034
10.00% Taxable Government Guaranteed Bonds (Series-I) . Letter of Allotment.Date of 10.00% Taxable Government Guaranteed Bonds (Series-I).Date of Maturity:Taxable 10.00% 02/05/2007 Government Guaranteed Bonds (Series-II) . Letter of Allotment.Date of 10.00% Taxable Government Guaranteed Bonds (Series-II).Date of Maturity: 19/07/2007 9.70% Taxable Government Guaranteed Bonds (Series-III) . Letter of Allotment.Date of 9.70% Taxable Government Guaranteed Bonds (Series-III) .Date of Maturity: 12/09/2007 7.00% Taxable Government Guaranteed Bonds (Series-IV) . Letter of Allotment.Date of 7.00% Taxable Government Guaranteed Bonds (Series-IV) .
INE935E08024
INE935E07042
INE935E08032
INE935E07026
INE935E08040
INE935E07059
INE935E08057
NATIONAL TEXTILE CORPORATION LIMITED NATIONAL THERMAL POWER CORPORATION LIMITED THERMAL NATIONAL POWER CORPORATION LIMITED THERMAL NATIONAL POWER CORPORATION LIMITED THERMAL NATIONAL POWER CORPORATION LIMITED THERMAL NATIONAL POWER CORPORATION LIMITED THERMAL NATIONAL POWER CORPORATION LIMITED THERMAL NATIONAL POWER CORPORATION LIMITED PIRAMAL NICHOLAS INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
INE935E07067
7.75% Taxable Government Guaranteed Bonds (Series-V) . 8.05% Secured NonCumulative NonConvertible Taxable Bonds in the nature of 8.05% Secured NonCumulative NonConvertible Taxable Bonds in the nature of 8.05% Secured NonCumulative NonConvertible Taxable Bonds in the nature of 8.05% Secured NonCumulative NonConvertible Taxable Bonds in the nature of 10.00% Secured NonConvertble Taxable Bonds with Separately Transferable 10.00% Secured NonConvertble Taxable Bonds with Separately Transferable Non9.55% Secured cumulative Nonconvertible Redeemable Taxable Bonds in the 7.50% Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 14/03/2003 Mibor + 90BPS Fully paid up Secured Non Convertible Debenture Letter of Allotment, Date 9.35% Secured Non Convertible Debenture Letter of Allotment, Date of Maturity: 29/03/2002 Mibor + 95BPS Fully paid up Secured Non Convertible Debenture Letter + 90 BPS Secured Mibor of Allotment, Date Non Convertible Debenture -Letter of Allotment, Date of
INE733E08072
INE733E07173
INE733E08080
INE733E07181
INE733E08015
INE733E07116
INE733E07017
INE140A08680
INE140A08102
INE140A08144
INE140A08094
INE140A08193
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
INE140A08276
INE140A08300
8.75% Unsecured Non Convertible Debenture Letter of Allotment, Date of Maturity: 30/07/2002 Mibor + 90Bps Unsecured Non Convertible Debenture Letter + 90Bps Mibor of Allotment, Date Unsecured Non Convertible Debenture Letter + 75Bps Secured Mibor of Allotment, Date Non Convertible Debentures -Letter of Allotment, Date of Non 8.75% Unsecured Convertible Debenture Letter of Allotment, Date of Maturity: 27/10/2002 Mibor + 50BPS Secured Non Convertible Debenture -Letter of Allotment, Date Secured Mibor + 50BPS of Non Convertible Debenture -Letter of Allotment, Date Secured Mibor + 50BPS of Non Convertible Debenture -Letter of Allotment, Date Secured Mibor + 50BPS of Non Convertible Debenture -Letter of Allotment, Date Secured Mibor + 50BPS of Non Convertible Debenture -Letter of Allotment, Date Fully paid Mibor + 80BPS of up Secured Non Convertible Debenture Letter + 50BPS Fully paid Mibor of Allotment, Date up Secured Non Convertible Debenture Letter + 0.75% Secured Mibor of Allotment, Date Non Convertible Debentures -Letter of Allotment, Date of
INE140A08318
INE140A08391
INE140A08375
INE140A08052
INE140A08045
INE140A08078
INE140A08060
INE140A08086
INE140A08110
INE140A08128
INE140A08490
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
INE140A08516
INE140A08136
Mibor + 0.40% Secured Non Convertible Debentures -Letter of Allotment, Date Secured Mibor + 80BPS of Non Convertible Debenture -Letter of Allotment, Date of 8.00% Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 21/01/2003 Mibor + 0.90% Secured Non Convertible Debentures -Letter of Allotment, Date Secured Mibor + 0.70% of Non Convertible Debentures -Letter of Allotment, Date of Mibor + 50 BPS Secured Non Convertible Debenture -Letter of Allotment, Date of Mibor + 0.50% Unsecured Non Convertible Debenture Letter + 0.50% Mibor of Allotment, Date Unsecured Non Convertible Debenture Letter + 70 Bps Secured Mibor of Allotment, Date Non Convertible Debentures -Letter of Allotment, Date of Mibor + 80 Bps Secured Non Convertible Debentures -Letter of Allotment, Date of Mibor + 80 Bps Secured Non Convertible Debentures -Letter of Allotment, Date of 7.50% Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 02/03/2003 Mibor + 0.50% Unsecured Non Convertible Debenture Letter of Allotment, Date
INE140A08540
INE140A08532
INE140A08524
INE140A08151
INE140A08169
INE140A08177
INE140A08615
INE140A08649
INE140A08656
INE140A08664
INE140A08185
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
INE140A08672
INE140A08722
Mibor + 80 Bps Secured Non Convertible Debentures -Letter of Allotment, Date of 7.50% Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 25/03/2003 7.50% Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 01/04/2003 Mibor + 0.50% Secured Non Convertible Debenture -Letter of Allotment, DateSecured Mibor + 0.50% of Non Convertible Debenture -Letter of Allotment, DateSecured Mibor + 0.50% of Non Convertible Debenture -Letter of Allotment, DateSecured Mibor + 0.80% of Non Convertible Debenture -Letter of Allotment, Date of 7.50% Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 30/04/2003 Mibor + 0.50% Secured Non Convertible Debenture -Letter of Allotment, DateSecured Mibor + 0.80% of Non Convertible Debenture -Letter of Allotment, DateSecured Mibor + 0.50% of Non Convertible Debenture -Letter of Allotment, DateSecured Mibor + 0.80% of Non Convertible Debenture -Letter of Allotment, DateSecured Mibor + 0.80% of Non Convertible Debenture -Letter of Allotment, Date of
INE140A08755
INE140A08219
INE140A08201
INE140A08227
INE140A08235
INE140A08888
INE140A08268
INE140A08250
INE140A08243
INE140A08284
INE140A08292
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
INE140A08326
INE140A08334
Mibor + 80Bps Secured Non Convertible Debenture -Letter of Allotment, DateSecured Mibor + 50Bps of Non Convertible Debenture -Letter of Allotment, DateSecured Mibor + 50Bps of Non Convertible Debenture -Letter of Allotment, DateSecured Mibor + 50Bps of Non Convertible Debentures -Letter of Allotment, DateSecured Mibor + 50Bps of Non Convertible Debentures -Letter of Allotment, DateSecured Mibor + 50Bps of Non Convertible Debentures -Letter of Allotment, DateSecured Mibor + 80Bps of Non Convertible Debentures -Letter of Allotment, DateSecured Mibor + 50Bps of Non Convertible Debentures -Letter of Allotment, DateSecured Mibor + 80Bps of Non Convertible Debentures -Letter of Allotment, Date of 5.80% Secured Non Convertible Debentures Letter of Allotment.
INE140A08342
INE140A08359
INE140A08367
INE140A08383
INE140A08409
INE140A08417
INE140A08433
INE140A08AK0
INE140A08425
INE140A08AL8
Mibor + 50Bps Secured Non Convertible Debentures -Letter of Allotment, Date of 5.80% Secured Non Convertible Debentures Letter of Allotment.
INE140A08AM6
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
INE140A08441
INE140A08AO2
Mibor + 50Bps Secured Non Convertible Debentures -Letter of Allotment, Date of 5.80% Secured Non Convertible Debentures Letter of Allotment.
INE140A08458
INE140A08466
Mibor + 30Bps Secured Non Convertible Debentures -Letter of Allotment, DateSecured Mibor + 45Bps of Non Convertible Debentures -Letter of Allotment,10 bps Secured MIBOR + Date of Redeemable NonConvertible Debentures. Letter of Allotment 5.50% Unsecured Redeemable NonConvertible Debentures. Letter + 0.45% Secured Mibor of Allotment Non Convertible Debentures -Letter of Allotment, Date Secured Mibor + 0.45% of Non Convertible Debentures -Letter of Allotment,10 bps Secured MIBOR + Date of Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 10 bps Unsecured Redeemable Non-Convertible Debentures. Letter of Mibor + 0.45% Secured Non Convertible Debentures -Letter of Allotment,10 bps MIBOR + Date of Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 10 bps Unsecured Redeemable Non-Convertible Debentures. Letter of
INE140A08AU9
INE140A08BC5
INE140A08474
INE140A08482
INE140A07039
INE140A08AX3
INE140A08508
INE140A08AZ8
INE140A08BA9
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
INE140A08573
INE140A08BB7
Mibor + 0.40% Secured Non Convertible Debentures -Letter of Allotment,10 bps MIBOR + Date of Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR Unsecured Redeemable NonConvertible Debentures. Letter + 0.40% Secured Mibor of Allotment Non Convertible Debentures -Letter of Allotment, Date Secured Mibor + 0.80% of Non Convertible Debentures -Letter of Allotment, Date of MIBOR Unsecured Redeemable NonConvertible Debentures. Letter ofUnsecured MIBOR Allotment Redeemable NonConvertible Debentures. Letter + 40 Bps Secured Mibor of Allotment Non Convertible Debentures -Letter of Allotment,10 bps MIBOR + Date of Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 10 bps Unsecured Redeemable Non-Convertible Debentures. Letter of Mibor + 40 Bps Secured Non Convertible Debentures -Letter of Allotment,10 bps MIBOR + Date of Unsecured Redeemable Non-Convertible Debentures. Letter of Mibor + 10 Bps Secured Non Convertible Debentures -Letter of Allotment, Date of
INE140A08BD3
INE140A08581
INE140A08599
INE140A08BE1
INE140A08BH4
INE140A08607
INE140A08BF8
INE140A08BG6
INE140A08623
INE140A08BI2
INE140A08631
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
INE140A08BJ0
INE140A08698
MIBOR Unsecured Redeemable NonConvertible Debentures. Letter of 30 Bps Mibor + Allotment Secured Non Convertible Debentures -Letter of Mibor + 30 Bps Secured Non Convertible Debentures -Letter of Allotment, Date of Mibor + 70 Bps Secured Non Convertible Debentures -Letter of Allotment, Date of Mibor + 40 Bps Secured Non Convertible Debentures -Letter of Allotment, Date of Mibor + 40 Bps Secured Non Convertible Debentures -Letter of Allotment,10 bps MIBOR + Date of Unsecured Redeemable Non-Convertible Debentures. Letter of 30 bps Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 03/01/2004 40 bps Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 10/01/2004 30 bps Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 10/01/2004 30 bps Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 15/01/2004 70 bps Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 15/01/2004 MIBOR + 10 bps Unsecured Redeemable Non-Convertible Debentures. Letter of
INE140A08706
INE140A08714
INE140A08730
INE140A08748
INE140A08BK8
INE140A08763
INE140A08771
INE140A08789
INE140A08797
INE140A08805
INE140A08BL6
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
NICHOLAS PIRAMAL INDIA LIMITED
INE140A08813
INE140A08821
30 bps Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 17/01/2004 70 bps Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 17/01/2004 30 bps Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 22/01/2004 30 bps Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: bps Secured Mibor + 30 27/01/2004 Non Convertible Debentures -Letter of Allotment, Date Secured Mibor + 30 bps of Non Convertible Debentures -Letter of Allotment, Date Secured Mibor + 70 bps of Non Convertible Debentures -Letter of Allotment, Date of 30 bps Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: bps Secured Mibor + 80 31/01/2004 Non Convertible Debentures -Letter of Allotment, Date Secured Mibor + 80 bps of Non Convertible Debentures -Letter of Allotment, Date Secured Mibor + 30 bps of Non Convertible Debentures -Letter of Allotment Mibor + 70 Bps Secured
Redeemable NonConvertible Debentures Letter of Allotment
INE140A08839
INE140A08847
INE140A08854
INE140A08862
INE140A08870
INE140A08896
INE140A08904
INE140A08912
INE140A08920
INE140A08938
INE140A08BM4
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
INE140A08946
INE140A08979
Mibor + .25% Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 0.25% Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 0.25% Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 0.25% Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 0.15% Secured Redeemable NonConvertible Debentures. Letter of+Allotment. MIBOR 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 0.60% Secured Redeemable NonConvertible Debentures. Letter of+Allotment. MIBOR .60% Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of
INE140A08BN2
INE140A08961
INE140A08953
INE140A08BO0
INE140A08987
INE140A08BP7
INE140A08BQ5
INE140A08995
INE140A08AA1
INE140A08BS1
INE140A08BR3
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
INE140A08AB9
INE140A08AC7
MIBOR + .60% Secured Redemable NonConvertible Debentures. Letter of+Allotment MIBOR .60% Secured Non-Convertible Debentures. Letter of Allotment 15 bps Secured MIBOR + Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + .60% Secured Non-Convertible Debentures. Letter of Allotment Bps Secured Mibor + 10 Non Convertible Debentures -Letter of Allotment.60 bps Secured MIBOR + Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 10 bps Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 60 bps Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 10 bps Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 15 bps Secured Redeemable NonConvertible Debentures. Letter of Allotment
INE140A08AD5
INE140A08BT9
INE140A08BU7
INE140A08AE3
INE140A08AF0
INE140A08AG8
INE140A08AH6
INE140A08BV5
INE140A08AI4
INE140A08AJ2
INE140A08AN4
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED
INE140A08AP9
INE140A08AQ7
MIBOR + 10 bps Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 10 bps Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 10 bps Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 10 bps Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 10 bps Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 25 bps Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 0 bps Unsecured Redeemable Non-Convertible Debentures. Letter of Mibor+15bps Secured NCD-LOA
INE140A08BX1
INE140A08BW3
INE140A08AR5
INE140A08AS3
INE140A08AT1
INE140A08AV7
INE140A08BY9
INE140A08AW5
INE140A08BZ6
INE140A07054
MIBOR + 0 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR Secured Redeemable NonConvertible Debentures. Letter of+Allotment MIBOR 10 bps Secured Redeemable NonConvertible Debentures. Letter of Allotment
INE140A07047
NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICHOLAS PIRAMAL INDIA LIMITED NICOLAS PIRAMAL INDIA LIMITED NICOLAS PIRAMAL INDIA LIMITED NICOLAS PIRAMAL INDIA LIMITED NICOLAS PIRAMAL INDIA LIMITED NICOLAS PIRAMAL INDIA LIMITED NIIT LIMITED
INE140A08AY1
INE140A08CA7
MIBOR + 10 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 0 bps Unsecured Redeemable Non-Convertible Debentures. Letter of 6.90% Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 28/10/2004 6.90% Secured Non Convertible Debentures .
INE140A08565
INE140A07021
INE140A08557
INE140A07013
7.00% Secured Non Convertible Debentures Letter of Allotment, Date of Maturity: 28/10/2005 7.00% Secured Non Convertible Debentures.
INE140A08CB5
INE140A08CC3
MIBOR + 0 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR - 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR - 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR - 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR - 5 bps Unsecured Redeemable Non-Convertible Debentures. Letter of 6.50% Secured Redeemable NonConvertible Debentures. Series 1. Part-A. 6.50% Secured Redeemable NonConvertible Debentures. Series 1. Part-B.
INE140A08CD1
INE140A08CF6
INE140A08CE9
INE161A08017
NIIT LIMITED
INE161A08025
NIIT LIMITED
INE161A08033
NIRMA LIMITED
INE091A07067
6.50% Secured Redeemable NonConvertible Debentures. Series 1. Part-C. 8.4% Secured Redeemable NonConvertible Debentures Series L (Regular Return) 8.5% Secured Redeemable NonConvertible Debentures Series N 8.8% Secured Redeemable NonConvertible Debentures Series O (Letter of 8% Secured Redeemable Non-Convertible Debentures - Series P (Letter ofRedeemable Secured Allotment) Deep Discount Bonds ( Series -B). Date of Maturity : 06/06/2003 7.80% Secured Redeemable NonConvertible Debentures Series Q (Letter of 7.10% Secured Redeemable NonConvertible Debentures Series R (Letter of 8.6% Secured Redeemable NonConvertible Debentures Series M + 0.60% NSE mibor Secured Redeemable Non-Convertible Debentures - Series S RMIOR + 0.65% Secured Redeemable NonConvertible Debentures Series T (Letter of 13.5% Secured Redeemable
NCD - Series A
NIRMA LIMITED
INE091A07083
NIRMA LIMITED
INE091A08073
NIRMA LIMITED
INE091A08081
NIRMA LIMITED
INE091A11036
NIRMA LIMITED
INE091A08099
NIRMA LIMITED
INE091A08107
NIRMA LIMITED
INE091A07075
NIRMA LIMITED
INE091A08115
NIRMA LIMITED
INE091A08123
Nirma Limited
INE091A07018
INE636F07019
NORTH EASTERN ELECTRIC POWER CORPORATION LTD. NORTH EASTERN ELECTRIC POWER CORPORATION LTD. NORTH EASTERN ELECTRIC POWER CORPORATION LTD. NORTH EASTERN ELECTRIC POWER CORPORATION LTD. NUCLEAR POWER CORPORATION OF INDIA LTD. NUCLEAR POWER CORPORATION OF INDIA LTD. NUCLEAR POWER CORPORATION OF INDIA LTD. NUCLEAR POWER CORPORATION OF INDIA LTD. NUCLEAR POWER CORPORATION OF INDIA LTD. NUCLEAR POWER CORPORATION OF INDIA LTD. NUCLEAR POWER CORPORATION OF INDIA LTD. ORIENTAL BANK OF COMMERCE Oriental Bank of commerce
INE636F07027
INE636F07035
9.25% Secured NonConvertible PSU Bonds Series-4 1st Tranche. Date of Maturity : Non10.50% Secured Convertible PSU Bonds Series-4 2nd Tranche. Date of Maturity : Non10.50% Secured Convertible PSU Bonds Series-4 2nd Tranche. Date ofSecured Non9.75% Maturity : Convertible PSU Bonds Series-5 . Date of Maturity Taxable Secured 14.00% : 01/01/2007 Non-Convertible Bonds in the form of Promissory Notes, Series 10C2, 10.50% Taxfree Secured Non-Convertible Bonds in the form of Promissory Notes, Series 10B2, 14.50% Taxable Secured Non-Convertible Bonds in the form of Promissory Notes, Series 10C1, 10.50% Taxfree Secured Non-Convertible Bonds in the form of Promissory Notes, Series 9A, Letter 10.50% Taxfree Secured Non-Convertible Bonds in the form of Promissory Notes, Series 10A1, 10.25% Taxfree Secured Non-Convertible Bonds in the form of Promissory Notes, Series 11A1, 10.00% Taxfree Secured Non-Convertible Bonds in the form of Promissory Notes, Unsecured Letter 9.70% Series 11B, Redeemable NCD Tier II bonds nature of Promissory Notes 9.70% Unsecured Redeemable NCD Tier II bonds nature of Promissory Notes (Letter
INE636F07043
INE636F07050
INE206D09079
INE206D09053
INE206D09061
INE206D09038
INE206D09046
INE206D09087
INE206D09103
INE141A09025
INE141A09017
ORIENTAL BANK OF COMMERCE ORIENTAL BANK OF COMMERCE ORIX AUTO FINANCE (INDIA) LIMITED
INE141A09033
INE141A09041
7.15% Unsecured Redeemable Non Convertible Bonds in the nature of Promissory 7.15% Unsecured Redeemable Non Convertible Bonds in the nature ofSecured Non 13.50% Promissory Convertible Debentures. Date of Maturity: 05/12/2003 10.80% Secured Non Convertible Debentures. Letter of Allotment. Date of maturity:25/03/2004 10.80% Secured Non Convertible Debentures. Date of maturity:25/03/2004 7.50% Secured Non Convertible Debentures 11.15% Secured NCD. Date of Maturity: 14/03/2003 13.50% Secured NCD. Date of Maturity: 12/06/2003 Zero Coupon Secured Non Convertible Debenture, Letter of Allotment Zero Coupon Secured Non Convertible Debenture, Letter of Allotment. Date of Zero Coupon Secured Non Convertible Debenture,
INE098C07027
OSCAR INVESTMENTS INE221D08013 LTD. OSCAR INVESTMENTS INE221D07015 LTD. OSCAR INVESTMENTS INE221D08021 LTD. PAN INDIA PARYATAN LIMITED PAN INDIA PARYATAN LIMITED PANATONE FINVEST LIMITED PANATONE FINVEST LIMITED PANATONE FINVEST LIMITED PANATONE FINVEST LIMITED PANATONE FINVEST LIMITED INE498F07022
INE498F07014
INE116F08010
INE116F08028
INE116F07012
INE116F07020
INE116F08036
Zero Coupon Secured Non Convertible Debenture. Date of Maturity :21/02/2003. 6.70 Secured Redeemable NonConvertible Debentures.Date Of
PANATONE FINVEST LIMITED PANATONE FINVEST LIMITED PANATONE FINVEST LIMITED PARAMOUNT COMMUNICATIONS LIMITED PARAMOUNT COMMUNICATIONS LTD PARAMOUNT COMMUNICATIONS LTD PATEL ENGINEERING LIMITED
PIRAMAL HEALTHCARE
INE116F07038
INE116F08044
6.70 Secured Redeemable NonConvertible Debentures.Date Of 6.60% Secured Redeemable NonConvertible Debentures (Date of Maturity: 6.60% Secured Redeemable NonConvertible Debentures.
INE116F07046
INE074B08010
INE074B07012
NSE Mibor +3.00% Compounded daily Unsecured NCD. Date Of Maturity:27.05.2002. LOA NSE Mibor +3.00% Compounded daily Secured NCD. Date Of Maturity:28/01/2003 NSE Mibor +3.00% Compounded daily Secured NCD. Date Of Maturity:07/02/2003 12.00% Secured Non Convertible Debenture. Date of Maturity: 10/08/2004. Letter of 7.90% Unsecured
Redeemable Non-Convertible Debentures. Letter of Allotment
INE074B07020
INE244B07011
INE144A08013
PIRAMAL HOLDINGS LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED
INE144A08021
INE134E07067
6.75% Unsecured Redeemable NonConvertible Debentures. Letter ofSLR BONDS 13.50% Allotment [SECURED NONCONVERTIBLE](2010) VI SERIES BONDS 13% SLR [SECURED NONCONVERTIBLE](2007) V SERIESUnsecured Tax 10.40% Free PFC Bonds (1998) Series I (Maturity date14.09.2008) 10.50% Secured Tax Free PFC Bonds (2003) Series VI (Maturity date29.03.2003)
INE134E07059
INE134E09154
INE134E09014
POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED
INE134E09022
INE134E09030
10.50% Secured Tax Free PFC Bonds (2003) Series VI (Maturity date06.05.2003) 10.50% Secured Tax Free PFC Bonds (2003) Series VI (Maturity date04.06.2003) 10.50% Secured Tax Free PFC Bonds (2003) Series VI (Maturity date05.07.2003) 10.50% Secured Tax Free PFC Bonds (2003) Series VI (Maturity date25.07.2003) 12.75% Taxable PFC Bonds (2003) IInd SeriesUnsecured Nonconvertible(Letter Of 12.75% Unsecured Taxable PFC Bonds (2003) Series II (Maturity Date -30.10.2003) 10.50% Secured Tax Free PFC Bonds (2003) Series VII (Maturity date10.02.2004) 10.50% Secured Tax Free PFC Bonds (2003) Series VII (Maturity date10.03.2004) 10.50% Secured Tax Free PFC Bonds (2003) Series VII (Maturity date10.04.2004) 8.85% Secured Tax free PFC Bonds (2004) Series VIII (Maturity date13.11.2004) 8.85% Secured Tax free PFC Bonds (2004) Series VIII (Maturity date18.11.2004) 13.25% Taxable PFC Bonds (2005) Ist SeriesUnsecured Nonconvertible Taxable Unsecured NonConvertible Bonds (2011), X th Series, with Seperately Transferable
INE134E09048
INE134E09055
INE134E08040
INE134E08321
INE134E09063
INE134E09071
INE134E09089
INE134E09097
INE134E09105
INE134E09170
INE134E08180
POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED
INE134E08198
INE134E08073
Taxable Unsecured NonConvertible Bonds (2011), X th Series, with Seperately Transferable 11.90% Taxable PFC Bonds (2007) IVth SeriesUnsecured Nonconvertible(Letter Of 11.90% Unsecured Taxable PFC Bonds (2007) Series IV (Maturity Date -04.01.2007) 11.20% Taxable PFC Bonds (2007) Vth SeriesUnsecured Nonconvertible(Letter Of 11.20% Unsecured Taxable PFC Bonds (2007) Series V (Maturity Date -14.03.2007) 11.20% Taxable PFC Bonds (2007) Vth SeriesUnsecured Nonconvertible(Letter Of 11.20% Unsecured Taxable PFC Bonds (2007) Series V (Maturity Date -29.03.2007) 10.68% Taxable PFC Bonds (2007) VIth SeriesUnsecured Nonconvertible(Letter Of 10.68% Unsecured Taxable PFC Bonds (2007) Series VI (Maturity Date -01.06.2007) 10.68% Taxable PFC Bonds (2007) VIth SeriesUnsecured Nonconvertible(Letter Of 10.68% Unsecured Taxable PFC Bonds (2007) Series VI (Maturity Date -23.06.2007) 11.89% Taxable PFC Bonds (2007) VIIth Series-Unsecured Nonconvertible(Letter Of 11.89% Unsecured Taxable PFC Bonds (2007) Series VII (Maturity Date -
INE134E08354
INE134E08081
INE134E08362
INE134E08099
INE134E08370
INE134E08107
INE134E08388
INE134E08115
INE134E08396
INE134E08123
INE134E08404
POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER FINANCE CORPORATION LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED
INE134E08131
INE134E08412
11.89% Taxable PFC Bonds (2007) VIIth Series-Unsecured Nonconvertible(Letter Of 11.89% Unsecured Taxable PFC Bonds (2007) Series VII (Maturity Date - PFC 11.89% Taxable Bonds (2007) VIIth Series-Unsecured Nonconvertible(Letter Of 11.89% Unsecured Taxable PFC Bonds (2007) Series VII (Maturity Date - PFC 11.89% Taxable Bonds (2007) VIIth Series-Unsecured Nonconvertible(Letter Of 11.89% Unsecured Taxable PFC Bonds (2007) Series VII (MaturityUnsecured NonTaxable Date Convertible Bonds (2011), X th Series, with Seperately Transferable 11.30% Taxable PFC Bonds (2008) VIIIth Series-Unsecured Nonconvertible(Letter Of 11.30% Unsecured Taxable PFC Bonds (2007) Series VIII (Maturity Date - bonds in 13.00% Taxable the form of Promissory notes VI-Issue 199798.Date of Maturity: 7.85% Taxable bonds XIII-Issue 2002-03.OptionII Letter of Allotment. STRPP-A ,Datebonds 7.85% Taxable Of XIII-Issue 2002-03.OptionII STRPP-A ,Date Of Maturity: 31/07/2003 7.85% Taxable bonds XIII-Issue 2002-03.OptionII STRPP-A ,Date Of Maturity: 31/07/2003
INE134E08149
INE134E08420
INE134E08156
INE134E08438
INE134E08206
INE134E08164
INE134E08446
INE752E09013
INE752E08445
INE752E07421
INE752E07421
POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED
INE752E09021
INE752E07017
13.50% Taxable bonds in the form of Promissory notes VII-Issue 1998-99, Date of Maturity: bonds 12.25% Taxable IX-Issue 2000-2001, Date of Maturity: 22.08.2003
INE752E09047
INE752E08130
13.00% Taxable Bonds in the form of Promissory Notes VI-Issue 199798.Date of Maturity: XI9.20% Taxable bonds Issue 2001-02. Letter of Allotment. STRPP-A. ,Date Of Maturity: 9.20% Taxable bonds XIIssue 2001-02. . STRPPA. ,Date Of Maturity: 07/12/2003 6.10% Secured Redeemable NonConvertible Taxable bonds XIV-Issue 20037.85% Taxable bonds XIII-Issue 2002-03.OptionII Letter of Allotment. STRPP-B ,Datebonds 7.85% Taxable Of XIII-Issue 2002-03.OptionII STRPP-B ,Date Of Maturity: 31/07/2004 7.85% Taxable bonds XIII-Issue 2002-03.OptionII STRPP-B ,Date Of Maturity:Taxable Bonds in 13.50% 31/07/2004 the form of Promissory Notes VII-Issue 1998-99, Date of Maturity: bonds 12.25% Taxable IX-Issue 2000-2001, Date of Maturity: 22.08.2004
INE752E07249
INE752E07603
INE752E08452
INE752E07439
INE752E07439
INE752E09138
INE752E07025
INE752E09054
INE752E08148
13.00% Taxable Bonds in the form of Promissory Notes VI-Issue 199798.Date of Maturity: XI9.20% Taxable bonds Issue 2001-02. Letter of Allotment. STRPP-B ,Date Of Maturity:
POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED
INE752E07256
INE752E09039
9.20% Taxable bonds XIIssue 2001-02. . STRPPB ,Date Of Maturity: 07/12/2004 10.35% Taxable bonds in the form of Promissory notes VIII-Issue 20002001, Date of Maturity: 6.10% Secured Redeemable NonConvertible Taxable bonds XIV-Issue 20037.85% Taxable bonds XIII-Issue 2002-03.OptionII Letter of Allotment. STRPP-C ,Datebonds 7.85% Taxable Of XIII-Issue 2002-03.OptionII STRPP-C ,Date Of Maturity: 31/07/2005 7.85% Taxable bonds XIII-Issue 2002-03.OptionII STRPP-C ,Date Of Maturity:Taxable Bonds in 13.50% 31/07/2005 the form of Promissory Notes VII-Issue 1998-99, Date of Maturity: bonds 12.25% Taxable IX-Issue 2000-2001, Date of Maturity: 22.08.2005
INE752E07611
INE752E08460
INE752E07447
INE752E07447
INE752E09146
INE752E07033
INE752E09062
INE752E08015
13.00% Taxable Bonds in the form of Promissory Notes VI-Issue 199798.Date of Maturity: XI9.80% Taxable bonds Issue 2001-02. Letter of Allotment. STRPP-A. ,Date Of Maturity: 9.20% Taxable bonds XIIssue 2001-02. Letter of Allotment. STRPP-C ,Date Of Maturity: 9.80% Taxable bonds XIIssue 2001-02. . STRPPA. ,Date Of Maturity: 07/12/2005 9.20% Taxable bonds XIIssue 2001-02. . STRPPC ,Date Of Maturity: 07/12/2005
INE752E08155
INE752E07124
INE752E07264
INE752E08205
9.70% Taxable bonds XIIIssue 2001-02. Letter of Allotment. STRPP-A. ,Date Taxable bonds 9.70% Of Maturity: XIIIssue 2001-02. 07. STRPPA. ,Date Of Maturity: 28/03/2006
POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED
INE752E09179
INE752E07629
10.35% Taxable Bonds in the form of Promissory Notes VIII-Issue 20002001, Date of Maturity: 6.10% Secured Redeemable NonConvertible Taxable bonds XIV-Issue 20038.63% Taxable bonds XIII-Issue 2002-03.OptionI Letter of Allotment. STRPP-A ,Datebonds 7.85% Taxable Of XIII-Issue 2002-03.OptionII Letter of Allotment. STRPP-D ,Datebonds 8.63% Taxable Of XIII-Issue 2002-03.OptionI STRPP-A ,Date Of Maturity: 31/07/2006 7.85% Taxable bonds XIII-Issue 2002-03.OptionII STRPP-D ,Date Of Maturity: 31/07/2006 8.63% Taxable bonds XIII-Issue 2002-03.OptionI STRPP-A ,Date Of Maturity: 31/07/2006 7.85% Taxable bonds XIII-Issue 2002-03.OptionII STRPP-D ,Date Of Maturity:Taxable Bonds in 13.50% 31/07/2006 the form of Promissory Notes VII-Issue 1998-99, Date of Maturity: bonds 12.25% Taxable IX-Issue 2000-2001, Date of Maturity: 22.08.2006
INE752E08320
INE752E08478
INE752E07306
INE752E07454
INE752E07306
INE752E07454
INE752E09153
INE752E07041
INE752E09070
13.00% Taxable Bonds in the form of Promissory Notes VI-Issue 199798.Date of Maturity:
POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED
INE752E08023
INE752E08163
9.80% Taxable bonds XIIssue 2001-02. Letter of Allotment. STRPP-B ,Date Of Maturity: 9.20% Taxable bonds XIIssue 2001-02. Letter of Allotment. STRPP-D ,Date Of Maturity: 9.80% Taxable bonds XIIssue 2001-02. . STRPPB ,Date Of Maturity: 07/12/2006 9.20% Taxable bonds XIIssue 2001-02. . STRPPD ,Date Of Maturity: 07/12/2006 9.70% Taxable bonds XIIIssue 2001-02. Letter of Allotment. STRPP-B ,Date Taxable bonds 9.70% Of Maturity: XIIIssue 2001-02. 07. STRPPB ,Date Of Maturity: 28/03/2007
INE752E07132
INE752E07272
INE752E08213
POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED
INE752E09187
INE752E07637
10.35% Taxable Bonds in the form of Promissory Notes VIII-Issue 20002001, Date of Maturity: 6.10% Secured Redeemable NonConvertible Taxable bonds XIV-Issue 20038.63% Taxable bonds XIII-Issue 2002-03.OptionI Letter of Allotment. STRPP-B ,Datebonds 7.85% Taxable Of XIII-Issue 2002-03.OptionII Letter of Allotment. STRPP-E ,Datebonds 8.63% Taxable Of XIII-Issue 2002-03.OptionI STRPP-B ,Date Of Maturity: 31/07/2007 7.85% Taxable bonds XIII-Issue 2002-03.OptionII STRPP-E ,Date Of Maturity: 31/07/2007 8.63% Taxable bonds XIII-Issue 2002-03.OptionI STRPP-B ,Date Of Maturity: 31/07/2007
INE752E08338
INE752E08486
INE752E07314
INE752E07462
INE752E07314
POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED POWER GRID CORPORATION OF INDIA LIMITED
INE752E07462
INE752E09161
7.85% Taxable bonds XIII-Issue 2002-03.OptionII STRPP-E ,Date Of Maturity:Taxable Bonds in 13.50% 31/07/2007 the form of Promissory Notes VII-Issue 1998-99, Date of Maturity: bonds 12.25% Taxable IX-Issue 2000-2001, Date of Maturity: 22.08.2007
INE752E07058
INE752E09088
INE752E08031
13.00% Taxable Bonds in the form of Promissory Notes VI-Issue 199798.Date of Maturity: XI9.80% Taxable bonds Issue 2001-02. Letter of Allotment. STRPP-C ,Date Of Maturity: 9.20% Taxable bonds XIIssue 2001-02. Letter of Allotment. STRPP-E ,Date Of Maturity: 9.80% Taxable bonds XIIssue 2001-02. . STRPPC ,Date Of Maturity: 07/12/2007 9.20% Taxable bonds XIIssue 2001-02. . STRPPE ,Date Of Maturity: 07/12/2007 6.68% Secured Redeemable NonConvertible Taxable bonds XV-Issuebonds XII9.70% Taxable 2003-04. Issue 2001-02. Letter of Allotment. STRPP-C ,Date Taxable bonds 9.70% Of Maturity: XIIIssue 2001-02. 07. STRPPC ,Date Of Maturity: 28/03/2008
INE752E08171
INE752E07140
INE752E07280
INE752E07728
INE752E08221
INE752E09195
INE474B09036
10.35% Taxable Bonds in the form of Promissory Notes VIII-Issue 20002001, Date of Maturity: 12.50% Unsecured
Redeemable NonConvertible Bonds in the form of Promissory Notes.
PSL LIMITED INE474B09044 (Earlier PSL HOLDINGS LTD) PSL LIMITED INE474B09051 (Earlier PSL HOLDINGS LTD) PSL HOLDINGS LTD. INE474B09010
12.50% Unsecured Redeemable NonConvertible Bonds in the form of Promissory 11.00% Unsecured Redeemable NonConvertible Bonds in the form of Promissory Bond 13.50% Unsecured in the form of Promissory Note. (Date of Unsecured Bond 13.50% Maturity : 27th in the form of Promissory Note.
INE474B09028
INE608A09015
9.00% Unsecured NonConvertible Bonds in the form of Promissory Notes. Series IV. Date of 13.25% Unsecured NonConvertible Bonds in the form of Promissory Notes. Series II. 11.60% Unsecured NonConvertible Bonds in the form of Promissory Notes. Unsecured Non7.90% Series III. Convertible Bonds in the form of Promissory Notes. Series V. 13.95% Unsecured Redeemable NonConvertible Bonds in the form of Promissory 11.95% Unsecured Redeemable Nonconvertible Bonds in the form of Promissory 12.00% Unsecured Redeemable NonConvertible Bonds in the form of Promissory 13.50% PSEB Bonds 2003- 1st Series (SLR BONDS).
PUNJAB NATIONAL BANK PUNJAB NATIONAL BANK PUNJAB NATIONAL BANK PUNJAB STATE ELECTRICITY BOARD PUNJAB STATE ELECTRICITY BOARD
INE160A09058
INE160A09074
INE160A09066
INE078G09380
INE078G09398
INE078G09364
13.00% PSEB Bonds 2007- 1std Series (SLR BONDS). 13.00% PSEB Bonds 2007- 2nd Series (SLR BONDS). 12.90% Unsecured Redeemable NonConvertible PSIDC Bonds-2000. Series II. 12.90% Unsecured Redeemable NonConvertible PSIDC Bonds-2000. Series II. 12.90% Unsecured Redeemable NonConvertible PSIDC Bonds-2000. Series II. 11.74% Unsecured Redeemable NonConvertible PSIDC Bonds-2001. Series I. 11.74% Unsecured Redeemable NonConvertible PSIDC Bonds-2001. Series I. 11.74% Unsecured Redeemable NonConvertible PSIDC Bonds-2001. Series I. 11.74% Unsecured Redeemable NonConvertible PSIDC Bonds-2001. Series I. 11.7% Unsecured Redeemable NonConvertible PSIDC Bonds-2002. Series I. 11.7% Unsecured Redeemable NonConvertible PSIDC Bonds-2002. Series I. 11% Unsecured Redeemable NonConvertible PSIDC Bonds-2002. Series II. 6.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment
INE078G09372
PUNJAB STATE INE973F08014 INDUSTRIAL DEVELOPMENT CORP. LTD PUNJAB STATE INE973F08022 INDUSTRIAL DEVELOPMENT CORP. LTD PUNJAB STATE INE973F08030 INDUSTRIAL DEVELOPMENT CORP. LTD PUNJAB STATE INE973F08048 INDUSTRIAL DEVELOPMENT CORP. LTD PUNJAB STATE INE973F08055 INDUSTRIAL DEVELOPMENT CORP. LTD PUNJAB STATE INE973F08063 INDUSTRIAL DEVELOPMENT CORP. LTD PUNJAB STATE INE973F08071 INDUSTRIAL DEVELOPMENT CORP. LTD PUNJAB STATE INE973F08089 INDUSTRIAL DEVELOPMENT CORP. LTD PUNJAB STATE INE973F08097 INDUSTRIAL DEVELOPMENT CORP. LTD PUNJAB STATE INE973F08105 INDUSTRIAL DEVELOPMENT CORP. LTD. PUNJAB TRACTORS INE170A08018 LIMITED
PUNJAB TRACTORS LIMITED PUNJAB TRACTORS LIMITED PUNJAB TRACTORS LIMITED PUNJAB TRACTORS LIMITED PUNJAB TRACTORS LIMITED PUNJAB TRACTORS LIMITED RABO INDIA FIN ANCE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE170A08026
INE170A08034
6.10% Unsecured Redeemable NonConvertible Debentures.Letter of 5.10% Unsecured Redeemable NonConvertible Debentures.Letter of 5.05% Unsecured Redeemable NonConvertible Debentures.Letter of 5.00% Unsecured Redeemable NonConvertible Debentures.Letter of 4.98% Unsecured Redeemable NonConvertible Debentures.Letter of 4.85% Unsecured Redeemable NonConvertible Debentures.Letter of 1 year INBMK + 65 bps Secured Redeemable Non-Convertible Debentures. Series U6.60% Secured Redeemable NonConvertible Debentures. Series B-2003 Option-A. 6.70% Secured Redeemable NonConvertible Debentures. Series B-2003 Option-B. MIBOR+25bps Secured NCD SR-H 2003
INE170A08059
INE170A08042
INE170A08067
INE170A08075
INE035E07BL2
INE035E08AE7
INE035E08AF4
INE035E08AN8
INE035E08AL2
5.5% Secured NCD SR-J 2003 II MIBOR+50bps Secured NCD SR-J 2003 I 4.70% Secured Redeemable NonConvertible Debentures. Series Y-2004. Letter of
INE035E08AM0
INE035E07BO6
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E07BH0
INE035E07BI8
NSE MIBOR - 15 bps Secured Redeemable Non-Convertible Debentures. Series 25 NSE O/N MIBOR + Sbps Secured Redeemable NonConvertible Debentures. NSE O/N MIBOR - 15 bps Secured Redeemable NonConvertible Secured Reset Rate Debentures. Redeemable NonConvertible Debentures. Series R-2004. Letter of 7.85% Fully Secured Non Convertible Debentures -(Series C 2002) (Letter of 8.30% Fully Secured Non Convertible Debentures -Series AN(1) -2001 (Letter of 8.50% Secured Non Convertible Debentures Series Q -2002(1) -Date of maturity -21/05/2002. 8.40% Fully Secured Non Convertible Debentures -Series AN(2) -2001 Secured 8.50% Fully (Letter of Non Convertible Debentures -Series AN(3) -2001 Secured 8.55% Fully (Letter of Non Convertible Debentures -(Series A 2002) (Letter of NSE O/N MIBOR+ 115 BP Secured NCD -Series X-2001 Date Of Maturity: 05/08/2002 Mibor + 1.20% Secured redeemable Non Convertible Debentures Series I -2001 Date of 9.00% Secured Non Convertible Debentures Series Q -2002(2) -Date of maturity -12/09/2002.
INE035E07BN8
INE035E07BG2
INE035E08338
INE035E08262
INE035E08510
INE035E08288
INE035E08270
INE035E08320
INE035E07157
INE035E07041
INE035E08528
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E07470
INE035E07025
9.00% Secured Non Convertible Debentures Series Q -2002(2) -Date of maturity -12/09/2002. NSE O/N MIBOR+ 60 Bps Secured Redeemable Non Convertible Debentures 9.05% Secured redeemable Non Convertible Debentures Series K -2001 Date of NSE MIBOR +1.25% Fully Secured Non Convertible Debenture (Series M-2001) - Letter NSE MIBOR+1.25% Secured Redeemable Non Convertible Debentures (Series M8.50% Secured Redeemable Non Convertible Debentures Series F-2002 (Letter of 9%Secured Non Convsertible Debentures(Series N2001) - Letter of -Series 9% Secured NCD N-2000
INE035E07033
INE035E08015
INE035E07017
INE035E08361
INE035E08023
INE035E07058
INE035E07066
9.00% Secured NCD Series O-2001 NSE MIBOR + 1.25% Secured NCD -Series P2001 NSE MIBOR + 1.25% Secured NCD -Series Q2001 8.55% Secured NCD Series R-2001 8.15% Secured Non Convertible Debenture (Series T-2001)-LOA. Date of Maturity:
INE035E07074
INE035E07082
INE035E07108
INE035E08080
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E07116
INE035E08106
8.15% Secured Non Convertible Debenture (Series T-2001). Date of Maturity: 30/10/2002 8.30% Secured Non Convertible Debenture (Series U-2001)-LOA. Date ofSecured Non 8.30% Maturity: Convertible Debenture (Series U-2001). Date of Maturity: 04.11.02 8.25% Secured Non Convertible Debenture (Series W-2001). Date of Maturity:11/11/2002 8.20% Secured redeemable Non Convertible Debentures Series Z-2001 (Letter of 8.20% Secured redeemable Non Convertible Debentures Series Z-2001 -Date of 9.90% Fully Secured redeemable Non Convertible Debentures Series F -2001 (Letter of 9.90% Fully Secured redeemable Non Convertible Debentures Series F -2001 (Letter of 8.25% Secured redeemable Non Convertible Debentures Series AA/AB -2001 8.25% Secured redeemable Non Convertible Debentures Series AA/AB -2001-Date 8.40% Secured redeemable Non Convertible Debentures Series AC -2001 (Letter 8.40% Secured redeemable Non Convertible Debentures Series AC -2001 )-Date 8.80% Secured redeemable Non Convertible Debentures Series AD -2001 (Letter
INE035E07124
INE035E07140
INE035E08148
INE035E07173
INE035E08254
INE035E07090
INE035E08155
INE035E07181
INE035E08163
INE035E07199
INE035E08171
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E07207
INE035E08296
8.80% Secured redeemable Non Convertible Debentures Series AD -2001 -Date of 8.40% Fully Secured Non Convertible Debentures -(Series AH 2001) (Letter of Non 8.60% Secured Convsertible Debentures(Series AI2001) -Secured 8.25% Letter of redeemable Non Convertible Debentures Series AE -2001-Date of 8.55 Secured Non Convsertible Debentures(Series AK2001) - Letter of + 85 Bps NSE O/N Mibor Secured redeemable Non Convertible Debentures Series AL -2001 (Letter 8.55% Secured redeemable Non Convertible Debentures Series AM -2001 (Letter 8.90 Secured Non Convsertible Debentures(Series AO2001) -Fully Secured 8.00% Letter of Non Convertible Debentures -(Series B 2002) (Letter of 8.50% Secured redeemable Non Convertible Debentures Series AE -2002 (Letter 8.5% Secured redeemable Non Convertible Debentures Series AE -2002 Non of 8.25% Secured -Date Convertible Debentures (Series D -2002) (Letter of Allotment) NSE O/N Mibor +60 Bps Secured Redeemable Non Convertible Debentures -Series H-
INE035E08213
INE035E07215
INE035E08205
INE035E08239
INE035E08221
INE035E08304
INE035E08312
INE035E08585
INE035E07579
INE035E08346
INE035E08379
INE035E08387
INE035E08643
8.35% Secured Redeemable Non Convertible Debentures Series I-2002 redeemable 9.00% Secured(Letter of
Non Convertible Debentures -Series AK 2002 (Letter of allotment)-
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
RABO INDIA FINANCE PRIVATE LIMITED
INE035E07637
INE035E08411
9.00% Secured redeemable Non Convertible Debentures Series AK -2002 -Date of 7.60% Secured
INE035E08668
Redeemable Non Convertible Debentures Series L-2002, LOA.Date 9.00% Secured redeemable
Non Convertible Debentures -Series AM 2002 (Letter of allotment)-
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E07413
INE035E07652
7.60% Secured Redeemable Non Convertible Debentures Series L-2002, Date of 9.00% Secured redeemable Non Convertible Debentures Series AM -2002 -Date of 7.75% Secured Redeemable Non Convertible Debentures Series J-2002, LOA.Date 7.75% Secured Redeemable Non Convertible Debentures Series J-2002, Date of 8.65% Secured Redeemable Non Convertible Debentures Series+ 1.85 % Secured Mibor N-2002(1) (Letter Redeemable Non Convertible Debentures Series N-2002(2) (Letter 8.65% Secured Redeemable Non Convertible Debentures Series+ 1.85 % Securedof Mibor N-2002(1) -Date Redeemable Non Convertible Debentures Series N-2002(2) -Date of
INE035E08403
INE035E07397
INE035E08437
INE035E08445
INE035E07439
INE035E07447
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E08460
INE035E07454
NSE O/N MIBOR+ 60 BP Secured NCD -Series O2002 & P-2002. Date Of Maturity: 07/03/2003 BP NSE O/N MIBOR+ 60 Secured NCD -Series O2002 & P-2002. Date Of Maturity: 07/03/2003 BP NSE O/N MIBOR+ 60 Secured NCD -Series U2002 . Date Of Maturity: 14/03/2003 NSE O/N MIBOR+ 190 BP Secured NCD -Series S-2002 . Date Of Maturity: 14/03/2003 NSE O/N MIBOR+ 190 BP Secured NCD -Series S-2002 . Date Of Maturity: 14/03/2003 BP NSE O/N MIBOR+ 60 Secured NCD -Series U2002 . Date Of Maturity: 14/03/2003 NSE O/N MIBOR+ 70 BP Secured NCD -Series T2002 . Date Of Maturity: 17/03/2003 NSE O/N MIBOR+ 70 BP Secured NCD -Series T2002 . Date Of Maturity: 17/03/2003 8.80% Secured Redeemable Non Convertible Debentures Series W-2002 -Date of 8.80% Secured Redeemable Non Convertible Debentures Series W-2002 -Date of 8.80% Secured Non Convertible Debentures Series X-2002 -Date of maturity -26/03/2003. 8.80% Secured Non Convertible Debentures Series X-2002 -Date of maturity -26/03/2003. 9.10% Secured Non Convertible Debentures Series Y-2002 & Series Z2002 -Date of maturity -
INE035E08486
INE035E08502
INE035E07496
INE035E07512
INE035E08494
INE035E07504
INE035E08536
INE035E07520
INE035E08544
INE035E07538
INE035E08551
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E07546
INE035E08577
9.10% Secured Non Convertible Debentures Series Y-2002 & Series Z2002 O/N Mibor +60 Bps NSE -Date of maturity Secured Redeemable Non Convertible Debentures -Series ACNSE O/N Mibor +60 Bps Secured Redeemable Non Convertible Debentures -Series AC9.50% Secured redeemable Non Convertible Debentures Series R -2002 -Date of NSE O/N Mibor +60 Bps Secured Redeemable Non Convertible Debentures -Series AD9.50% Secured redeemable Non Convertible Debentures Series R -2002 -Date of NSE O/N Mibor +60 Bps Secured Redeemable Non Convertible Debentures -Series ADNSE O/N Mibor + 60Bps Secured redeemable Non Convertible Debentures Series AGMibor +(Letter NSE O/N -2002 60Bps Secured redeemable Non Convertible Debentures Series AGMibor +-Date of NSE O/N -2002 60Bps Secured redeemable Non Convertible Debentures Series AHMibor +(Letter NSE O/N -2002 60Bps Secured redeemable Non Convertible Debentures Series AHMIBOR-Date of NSE O/N -2002 + 60 bps Secured redeemable Non Convertible Debentures -Series 60 NSE O/N MIBOR + AI bps Secured redeemable Non Convertible Debentures -Series AI -
INE035E07553
INE035E08478
INE035E08569
INE035E07488
INE035E07561
INE035E08593
INE035E07587
INE035E08601
INE035E07595
INE035E08627
INE035E07611
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E08635
INE035E08650
INE035E08676
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E07629
8.20% Secured redeemable Non Convertible Debentures -Series AJ 2002 (Letter of allotment)8.80% Secured redeemable Non Convertible Debentures -Series AL2002 (Letter of allotment)8.20% Secured redeemable Non Convertible Debentures -Series AJ 2002/001 (Letter of
INE035E07645
8.20% Secured redeemable Non Convertible Debentures Series AJ -2002 -Date of 8.80% Secured redeemable Non Convertible Debentures Series AL-2002 -Date of 8.20% Secured redeemable Non Convertible Debentures Series AJ -2002/001 8.6% Secured
INE035E07660
INE035E08684
INE035E07678
redeemable Non Convertible Debentures Series AN-2002 (Letter of 8.60% Secured redeemable Non Convertible Debentures Series AN -2002 -Date of 8.25% Secured redeemable Non Convertible Debentures Series AP -2002 -Date of 8.25% Secured redeemable Non Convertible Debentures Series AP -2002 -Date of 9.15% Secured redeemable Non Convertible Debentures Series AF -2001 (Letter 9.15% Secured redeemable Non Convertible Debentures Series AF -2001 -Date of 8.30% Secured Redeemable Non Convertible Debentures Series AR-2002 (Letter of
INE035E08692
INE035E07686
INE035E08247
INE035E07223
INE035E08718
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E07702
INE035E08726
8.30% Secured Redeemable Non Convertible Debentures Series AR-2002 -Date of 8.80% Secured Redeemable Non Convertible Debentures Series AQ-2002 (Letter of 8.80% Secured Redeemable Non Convertible Debentures Series AQ-2002 -Date of 7.05% Secured Redeemable Non Convertible Debentures Series AS-2002 (Letter of 7.05% Secured Redeemable Non Convertible Debentures Series AS-2002 -Date of 9.00% Secured Redeemable Non Convertible Debentures Series E-2002 (Letter of 7.05% Secured Redeemable Non Convertible Debentures Series AZ-2002 (Letter of 7.05% Secured Redeemable Non Convertible Debentures Series AZ-2002 -Date of NSE mibor + 45 Bps Secured Redeemable Non Convertible Debentures+ 45 Bps NSE mibor -Series BCSecured Redeemable Non Convertible Debentures -Series BCNSE O/N Mibor + 45 Bps Secured Redeemable Non Convertible Debentures -Series BENSE O/N Mibor + 45 Bps Secured Redeemable Non Convertible Debentures -Series BENSE O/N Mibor + 45 Bps Secured Redeemable Non Convertible Debentures -Series BG-
INE035E07710
INE035E08734
INE035E07728
INE035E08353
INE035E08791
INE035E07785
INE035E08825
INE035E07801
INE035E08833
INE035E07819
INE035E08841
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E08866
INE035E07827
6.80% Secured Redeemable Non Convertible Debentures Series BF-2002 + 45 Bps NSE O/N Mibor (Letter of Secured Redeemable Non Convertible Debentures -Series BG6.80% Secured Redeemable Non Convertible Debentures Series BF-2002 + 90 Bps NSE O/N Mibor -Date of Secured Redeemable Non Convertible Debentures -Series BHNSE O/N Mibor + 90 Bps Secured Redeemable Non Convertible Debentures -Series BH12.35% minus NSE O/N Mibor (for first 182 days) & then NSE O/N Mibor+ 90 Bps Secured Mibor 12.35% -NSE O/N (for first 182 days) & then NSE O/N Mibor+ 90 Bps Secured Redeemable 8.75% Secured Non Convertible Debenture (Series V-2001)-LOA. Date ofSecured Non 8.75% Maturity: Convertible Debenture (Series V-2001). Date of Maturity: 07/11/2003 6.40% Secured Redeemable Non Convertible Debentures Series BK-2002 -Date of 6.40% Secured Redeemable Non Convertible Debentures Series BK-2002 -Date of NSE O/N MIBOR+ 125 BP Secured NCD -Series Y-2001. Date Of Maturity: 12/11/2003 Mibor +40 bps Secured Redeemable Non Convertible Debentures Series BL-2002 -Date of
INE035E07843
INE035E08858
INE035E07835
INE035E08874
INE035E07850
INE035E08098
INE035E07132
INE035E08882
INE035E07868
INE035E07165
INE035E08916
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E07892
INE035E08908
Mibor +40 bps Secured Redeemable Non Convertible Debentures Series BL-2002 -Date of 6.30% Secured Redeemable Non Convertible Debentures Series BN-2002 -Date of 6.30% Secured Redeemable Non Convertible Debentures Series BN-2002bps of O/N Mibor + 45 -Date Secured Redeemable Non Convertible Debentures -Series BO6.30% Secured Redeemable Non Convertible Debentures Series BO-2002(2) -Date 5.95% Secured Redeemable Non Convertible Debentures SeriesSecured 6.3% BO-2002(3) -Date Redeemable Non Convertible Debentures Series BP-2002(1) -Date 6.10% Secured Redeemable Non Convertible Debentures Series BP-2002(2) -Date 5.95 Secured Redeemable Non Convertible Debentures Series BP-2002(3) -Date 6.30% Secured Redeemable Non Convertible Debentures Series BO-2002(2) -Date 5.95% Secured Redeemable Non Convertible Debentures SeriesSecured 6.3% BO-2002(3) -Date Redeemable Non Convertible Debentures Series BP-2002(1) -Date 6.10% Secured Redeemable Non Convertible Debentures Series BP-2002(2) -Date
INE035E07884
INE035E08924
INE035E08932
INE035E08940
INE035E08965
INE035E08973
INE035E08981
INE035E07900
INE035E07918
INE035E07934
INE035E07942
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E08957
INE035E07926
6.3% Secured Redeemable Non Convertible Debentures SeriesSecured -Date of 6.3% BQ-2002 Redeemable Non Convertible Debentures Series BQ-2002bps of O/N Mibor + 25 -Date Secured Redeemable Non Convertible Debentures -Series BRO/N Mibor + 25 bps Secured Redeemable Non Convertible Debentures -Series BRO/N Mibor + 25 bps Secured Redeemable Non Convertible Debentures -Series BSO/N Mibor + 25 bps Secured Redeemable Non Convertible Debentures -Series BSO/N Mibor + 25 bps Secured Redeemable Non Convertible Debentures -Series BTO/N Mibor + 25 bps Secured Redeemable Non Convertible Debentures -Series BTO/N Mibor + 50 bps Secured Redeemable Non Convertible Debentures -Series BUO/N Mibor + 50 bps Secured Redeemable Non Convertible Debentures -Series BUO/N Mibor + 10 bps Secured Redeemable Non Convertible Debentures -Series AO/N Mibor + 10 bps Secured Redeemable Non Convertible Debentures -Series A6.95% Secured Redeemable NonConvertible Debentures. Series C-2003 .
INE035E08999
INE035E07959
INE035E08AA5
INE035E07967
INE035E08AB3
INE035E07975
INE035E08AC1
INE035E07983
INE035E08AD9
INE035E07991
INE035E08AG2
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E08AH0
INE035E08AI8
5.30% Secured Redeemable NonConvertible Debentures. Series D-2003 . 5.50% Secured Redeemable NonConvertible Debentures. Series E-2003 . + 10 NSE O/N MIBOR bps Secured Redeemable NonConvertible Debentures. NSE O/N MIBOR + 60 bps Secured Redeemable NonConvertible Debentures. 5.45% Secured Redeemable NonConvertible Debentures. Series K-2003. Letter of 5.35% Secured Redeemable NonConvertible Debentures. Series L-2003.10 bps of O/N MIBOR + Letter Secured Redeemable Non-Convertible Debentures. Series M5.30% Secured Redeemable NonConvertible Debentures. Series N-2003. Letter of 5.30% Secured Redeemable NonConvertible Debentures. Series O-2003. Letter of NSE O/N MIBOR Secured Redeemable Non-Convertible Debentures. Series P13.50% Minus NSE O/N Mibor Secured Redeemable Non Convertible Debentures 13.50% Minus NSE O/N Mibor Secured Redeemable Non Convertible Debentures NSE O/N MIBOR Secured Redeemable Non-Convertible Debentures. Series Q-
INE035E08AJ6
INE035E08AK4
INE035E07AA7
INE035E07AB5
INE035E07AC3
INE035E07AD1
INE035E07AE9
INE035E07AF6
INE035E08783
INE035E07777
INE035E07AG4
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E07AH2
INE035E07BC1
NSE O/N MIBOR Secured Redeemable Non-Convertible Debentures. Series R4.60% Secured Redeemable NonConvertible Debentures. Series N-2004. Letter of 4.55% Secured Redeemable NonConvertible Debentures. Series P-2004.25 bps of O/N MIBOR + Letter Secured Redeemable Non-Convertible Debentures. + 25 bps O/N MIBOR Series SSecured Redeemable Non-Convertible Debentures. Secured O/N MIBOR Series TRedeemable NonConvertible Debentures. Series U-2003. Letter of NSE O/N MIBOR + 0.45% Secured Redeemable NonConvertible Debentures. 6.60% Secured Redeemable Non Convertible Debentures Series BM-2002 -Date of 6.60% Secured Redeemable Non Convertible Debentures Series BM-2002 -Date of NSE O/N MIBOR + 0.75% Secured Redeemable NonConvertible Debentures. NSE O/N MIBOR + 0.50% Secured Redeemable NonConvertible Debentures. 4.95% Secured Redeemable NonConvertible Debentures. Series Y-2003. Letter of NSE O/N MIBOR + 65 bps Secured Redeemable NonConvertible Debentures.
INE035E07BD9
INE035E07AI0
INE035E07AJ8
INE035E07AK6
INE035E07AM2
INE035E08890
INE035E07876
INE035E07AL4
INE035E07AN0
INE035E07AP5
INE035E07AO8
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E07AQ3
INE035E07AR1
NSE O/N MIBOR + 65 bps Secured Redeemable NonConvertible Debentures. 4.85% Secured Redeemable NonConvertible Debentures. Series C-2004. Letter bps NSE O/N MIBOR + 0 of Secured Redeemable Non-Convertible Debentures. Series 35 NSE O/N MIBOR + Dbps Secured Redeemable NonConvertible Debentures. 4.85% Secured Redeemable NonConvertible Debentures. Series F-2004. Letter of 9.30% Secured Redeemable Non Convertible Debentures Series G-2002 (1) (Letter 9.30% Secured Redeemable Non Convertible Debentures Series G-2002 (1) -Date 4.95% Secured Redeemable NonConvertible Debentures. Series G-2004. Letter of 9.30% Secured Redeemable Non Convertible Debentures Series K-2002 (Letter of 9.30% Secured Redeemable Non Convertible Debentures Series K-2002 -Date of 4.95% Secured Redeemable NonConvertible Debentures. Series Rate Secured of Reset H-2004. Letter Redeemable NonConvertible Debentures. Series I-2004. Letter of 4.90% Secured Redeemable NonConvertible Debentures. Series J-2004. Letter of
INE035E07AS9
INE035E07AT7
INE035E07AU5
INE035E08395
INE035E07389
INE035E07AW1
INE035E08429
INE035E07405
INE035E07AV3
INE035E07AX9
INE035E07AY7
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED
INE035E08452
INE035E07421
9.30% Secured redeemable Non Convertible Debentures Series M -2002(I) -Date 9.30% Secured redeemable Non Convertible Debentures Series M -2002 (I)+ 10 NSE O/N MIBOR -Date bps Secured Redeemable NonConvertible Secured Reset Rate Debentures. Redeemable NonConvertible Debentures. Series K-2004. Letter bps NSE O/N MIBOR + 5 of Secured Redeemable Non-Convertible Debentures. Series 15 NSE O/N MIBOR + Mbps Secured Redeemable NonConvertible Debentures. 4.60% Secured Redeemable NonConvertible Debentures. Series Q-2004. Letter of NSE O/N MIBOR - 20 bps Secured Redeemable NonConvertible Debentures. NSE O/N MIBOR - 20 bps Secured Redeemable NonConvertible Debentures. 9.25% Secured redeemable Non Convertible Debentures Series AO - 2002 -Date 9.25% Secured redeemable Non Convertible Debentures Series AOMIBOR - 15 NSE O/N - 2002 -Date bps Secured Redeemable NonConvertible Debentures. 8.40% Secured Redeemable Non Convertible Debentures Series AV-2002 (Letter of
INE035E07AZ4
INE035E07BA5
INE035E07BB3
INE035E07BE7
INE035E07BF4
INE035E07BK4
INE035E07BJ6
INE035E08700
INE035E07694
INE035E07BM0
INE035E08775
RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PRIVATE LIMITED RABO INDIA FINANCE PVT. LTD.
INE035E07769
INE035E08817
8.40% Secured Redeemable Non Convertible Debentures Series AV-2002 -Date of 7.50%(to be reset semiannually) Secured Redeemable Non Convertible Debentures 7.50%(Reset Rate) Secured Redeemable Non Convertible Debentures -Series BB10.31% Un-Secured Redeemable Non Convertible Debentures Series D 2000 U. Date of 9.60% Secured redeemable Non Convertible Debentures Series AF -2002 (Letter 9.60% Secured redeemable Non Convertible Debentures Series AF -2002 -Date of 7.64% Secured Redeemable Non Convertible Debentures Series AT-2002 (Letter of 7.64% Secured Redeemable Non Convertible Debentures Series AT-2002 -Date of 7.57% (to be reset semiannually)Secured Redeemable Non Convertible Debentures 7.57% (to be reset semiannually)Secured Redeemable Non Convertible Debentures 7.56% (to be reset semiannually)Secured Redeemable Non Convertible Debentures 7.56% (to be reset semiannually)Secured Redeemable Non Convertible Debentures 8.30% Secured Redeemable Non Convertible Debentures Series AN-1 -Date of
INE035E07793
INE035E08809
INE035E08619
INE035E07603
INE035E08742
INE035E07736
INE035E08759
INE035E07744
INE035E08767
INE035E07751
INE035E07272
RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD. RABO INDIA FINANCE PVT. LTD.
INE035E07280
INE035E07298
8.40% Secured Redeemable Non Convertible Debentures Series AN-2-2001 -Date 8.50% Secured Redeemable Non Convertible Debentures Series AN-3-2001 -Date 8.55% Secured Redeemable Non Convertible Debentures Series A-2002 -Date of 8.50% Secured Redeemable Non Convertible Debentures Series F-2002 -Date of 8.40% Secured Redeemable Non Convertible Debentures Series AH-2001 -Date of 8.60% Secured redeemable Non Convertible Debentures Series AI -2001 -Date of 8.55% Secured redeemable Non Convertible Debentures Series AK -2001 -Date of 8.55% Secured redeemable Non Convertible Debentures Series AM -2001-Date of 8.90% Secured Redeemable Non Convertible Debentures Series AO-2001 -Date of 8.00% Secured Redeemable Non Convertible Debentures Series B-2002 -Date of 8.25% Secured Redeemable Non Convertible Debentures Series D-2002 -DateBps NSE O/N Mibor +60 of Secured Redeemable Non Convertible Debentures -Series H8.35% Secured Redeemable Non Convertible Debentures Series I-2002 -Date of
INE035E07314
INE035E07355
INE035E07231
INE035E07249
INE035E07256
INE035E07264
INE035E07306
INE035E07322
INE035E07330
INE035E07363
INE035E07371
RABO INDIA FINANCE PVT. LTD. RADHA MADHAV INVESTMENTS LTD. RAJASTHAN STATE INDUSTRIAL DEVELOPMENT & INVESTMENT LIMITED RALLIS INDIA
INE035E07348
INE608F07018
9.00% Secured Redeemable Non Convertible Debentures Series E-2002 -Date of 10.75% Secured NonConvertible Debentures. Date of Maturity:11/09/2004State 13.50% Unsecured Government Guaranteed Redeemeable Non Convertible Debentures. 11.50% Unsecured Redeemeable Non Convertible Debentures in the form of promissory 11.50% Unsecured Unrated Redeemable Non Convertible Debentures in the form of 10.50% Unsecured Redeemeable Taxable Non Convertible Debentures in the form of 12.25% Secured Redeemable Nonconvertible Debentrues. Date of Secured 12.25% Redeemable Nonconvertible Debentrues. Date ofUnsecured 7.25% maturity:Redeemable NonConvertible Debentures. Letter of Allotment 7.25% Unsecured Redeemable NonConvertible Debentures. Letter + 185 bps (floor of Mibor of Allotment 5.90% & cap of 6.00%) Secured Redeemable Non-convertible Non 8.35% Secured Convertible Debentures . Date of Maturity: 22/03/2002.LOA Mibor + 110 Bps UnSecured Non Convertible Debentures . Date of Maturity:
INE561F08066
INE613A09015
INE613A09023
INE613A09031
RAMCO INDUSTRIES LTD. RAMCO INDUSTRIES LTD. RAMCO SYSTEMS LIMITED RAMCO SYSTEMS LIMITED RANBAXY HOLDING COMPANY RAYMOND LIMITED
INE614A07017
INE614A07025
INE246B08022
INE246B08014
INE267G07029
INE301A08068
RAYMOND LIMITED
INE301A08076
RAYMOND LIMITED
INE301A08084
RAYMOND LIMITED
INE301A08134
Mibor + 110 Bps Secured Non Convertible Debentures . Date of Maturity: 31/05/2002.LOA 7.90% Secured Non Convertible Debentures . Date of Maturity: 07/06/2002.LOANon 8.15% Secured Convertible Debentures . Date of Maturity: 17/06/2002.LOA 7.87% Non Convertible Debentures . Date of Maturity: 08/07/2002.LOA
RAYMOND LIMITED
INE301A08092
RAYMOND LIMITED
INE301A08100
RAYMOND LIMITED
INE301A08118
7.87% Non Convertible Debentures . Date of Maturity: 15/07/2002.LOA 7.85% Non Convertible Debentures . Date of Maturity: 19/07/2002.LOA 7.9% Non Convertible Debentures (Letter of Allotment) 7.90% Secured Non Convertible Debentures . Date of Maturity: 06/09/2002.LOANon 7.90% Secured Convertible Debentures . Date of Maturity: 11/09/2002.LOANon 7.90% Secured Convertible Debentures . Date of Maturity: 13/09/2002.LOA Mibor + 115 Bps Unsecured Non Convertible Debentures . Date ofSecured Non 7.27% Maturity: Convertible Debentures . Date of Maturity: 04/10/2002.LOANon 6.37% Secured Convertible Debentures . Date of Maturity: 15/11/2002
RAYMOND LIMITED
INE301A08126
RAYMOND LIMITED
INE301A08142
RAYMOND LIMITED
INE301A08159
RAYMOND LIMITED
INE301A08167
RAYMOND LIMITED
INE301A08175
RAYMOND LIMITED
INE301A08183
RAYMOND LIMITED
INE301A08191
RAYMOND LIMITED
INE301A08209
RAYMOND LIMITED
INE301A08217
RAYMOND LIMITED
INE301A08233
6.35% Secured Non Convertible Debentures .Letter of Allotment. Date of Maturity: 20/11/2002 6.27% Unsecured Non Convertible Debentures.LOA . Date of Maturity: 09/12/2002 6.25% Unsecured Non Convertible Debentures.LOA . Date of Maturity: 11/12/2002 6.40% Unsecured Non Convertible Debentures.LOA . Date of Maturity: 01/01/2003 6.35% Unsecured Non Convertible Debentures.LOA . Date of Maturity: Bps Mibor + 80 06/01/2003 Unsecured Non Convertible Debentures.LOA . Non 6.10% Unsecured Date Convertible Debentures.LOA . Date of Maturity: 12/02/2003 6.05% Unsecured Non Convertible Debentures.LOA . Date of Maturity: 14/02/2003 5.70% Secured Non Convertible Debentures.LOA . Date of Maturity: 28/02/2003 5.70% Secured Non Convertible Debentures.LOA . Date of Maturity: 03/03/2003 6.10% Secured Non Convertible Debentures.LOA . Date of Maturity: bps Non Mibor + 90 06/01/2008 Convertible Debentures . Date of Maturity: 18/02/2002 6.20% Secured Non Convertible Debentures. LOA . Date of Maturity: 04/12/2002
RAYMOND LIMITED
INE301A08241
RAYMOND LIMITED
INE301A08258
RAYMOND LIMITED
INE301A08266
RAYMOND LIMITED
INE301A08274
RAYMOND LIMITED
INE301A08282
RAYMOND LIMITED
INE301A08290
RAYMOND LIMITED
INE301A08316
RAYMOND LIMITED
INE301A08308
RAYMOND LIMITED
INE301A08324
Raymond Ltd.
INE301A08050
RAYMOND LTD.
INE301A08225
RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD
INE013A11014
INE013A07012
Secured Redeemable Non-Convertible Deep Discount Bond .Series DDB II. Date Of Maturity: 16.00% Secured Redeemable NonConvertible Debenture .Series RCLBOND 1. 15.75% Secured Redeemable NonConvertible Debenture .Series RCLBOND III. Secured Redeemable Non-Convertible Deep Discount Bond .Series DDB IV. Date Of Maturity: Secured Redeemable Non-Convertible Deep Discount Bond .Series DDB V. Date Of Secured Redeemable Non-Convertible Deep Discount Bond .Series DDB VI. Date Of Secured Redeemable Non-Convertible Deep Discount Bond .Series DDB VII. Redeemable Secured Date Of Non-Convertible Deep Discount Bond .Series DDB VIII.Redeemable Secured Date Of Non-Convertible Deep Discount Bond .Series DDB IX. Date Of Secured Redeemable Non-Convertible Deep Discount Bond .Series DDB X. Date Of 12.00% Secured Redeemable NonConvertible Debenture .Series RCLBOND VIII. 11.50% Secured Redeemable NonConvertible Debenture .Series RCLBOND VI. 12.00% Secured Redeemable NonConvertible Debenture .Series RCLBOND VII.
INE013A07020
INE013A11022
INE013A11030
INE013A11048
INE013A11055
INE013A11063
INE013A11071
INE013A11089
INE013A07079
INE013A07038
INE013A07046
RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD RELIANCE CAPITAL LTD
INE013A07053
INE013A07061
12.00% Secured Redeemable NonConvertible Debenture .Series RCLBOND VII. 12.00% Secured Redeemable NonConvertible Debenture .Series RCLBOND VII. 12.00% Secured Redeemable NonConvertible Debenture .Series RCLBOND IX. 12.00% Secured Redeemable NonConvertible Debenture .SeriesDISCOUNT BOND DEEP RCLBOND XI. - PPD 34.Tranche 2. O/N Mibor + 40 Bps Secured Non-Convertible Debenture - PPD 132 (Letter of Allotment) O/N Mibor + 40 Bps Secured Non-Convertible Debenture - PPD 133 (Letter of Allotment) NSE Mibor + 40Bps Secured Non-Convertible Debenture - PPD 138 (Letter of Allotment) NSE Mibor + 40Bps Secured Non-Convertible Debenture - PPD 139 (Letter of Allotment) NSE Mibor + 40Bps Secured Non-Convertible Debenture - PPD 145(Letter of 40Bps NSE Mibor + Allotment) Secured Non-Convertible Debenture - PPD 147 (Letter of Allotment) 6.85% Secured NonConvertible Debenture PPD 149 (Letter of Allotment). Date of NSE Mibor + 40Bps Secured Non-Convertible Debenture - PPD 148 (Letter of Allotment).Date
INE013A07087
INE013A07095
RELIANCE INDUSTRIES INE002A11025 LIMITED RELIANCE INDUSTRIES INE002A08146 LTD. RELIANCE INDUSTRIES INE002A08153 LTD. RELIANCE INDUSTRIES INE002A08187 LTD. RELIANCE INDUSTRIES INE002A08195 LTD. RELIANCE INDUSTRIES INE002A08245 LTD. RELIANCE INDUSTRIES INE002A08252 LTD. RELIANCE INDUSTRIES INE002A08286 LTD. RELIANCE INDUSTRIES INE002A08278 LTD.
RELIANCE INDUSTRIES INE002A08294 LTD. RELIANCE INDUSTRIES INE002A08310 LTD. RELIANCE INDUSTRIES INE002A08328 LTD. RELIANCE INDUSTRIES INE002A08351 LTD. RELIANCE INDUSTRIES INE002A08369 LTD. RELIANCE INDUSTRIES INE002A08377 LTD. RELIANCE INDUSTRIES INE002A08385 LTD. RELIANCE INDUSTRIES INE002A08450 LTD. RELIANCE INDUSTRIES INE002A08468 LTD. RELIANCE INDUSTRIES INE002A08179 LTD. RELIANCE INDUSTRIES INE002A07585 LTD. RELIANCE INDUSTRIES INE002A07478 LTD. RELIANCE INDUSTRIES INE002A07486 LTD.
6.85% Secured NonConvertible Debenture PPD 150 (Letter of Allotment). Date of NSE Mibor + 40Bps Secured Non-Convertible Debenture - PPD 152 (Letter of Allotment).Date NSE Mibor + 40Bps Secured Non-Convertible Debenture - PPD 154 (Letter of Allotment).Date NSE Mibor + 40Bps Secured Non-Convertible Debenture - PPD 156 (Letter of Allotment).Date NSE Mibor + 40Bps Secured Non-Convertible Debenture - PPD 157 (Letter Secured Non6.30% of Allotment).Date Convertible Debenture PPD 158 (Letter of Allotment).Date of NSE Mibor + 40Bps Secured Non-Convertible Debenture - PPD 159 (Letter of Allotment). O/N Mibor + 35 bps Secured Non-Convertible Debenture - PPD 164 .Date of Maturity: Overnight NSE MIBOR + 20 bps Secured Redeemeable NonConvertible Debentures8.25% Secured NonConvertible Debenture PPD 136 (Letter of Allotment) 8.25% Secured NonConvertible Debenture PPD 136 Non Convertible Debentures (PPD 110) Non Convertible Debentures (PPD 112)
RELIANCE INDUSTRIES INE002A07494 LTD. RELIANCE INDUSTRIES INE002A07528 LTD. RELIANCE INDUSTRIES INE002A07536 LTD. RELIANCE INDUSTRIES INE002A08336 LTD. RELIANCE INDUSTRIES INE002A07668 LTD. RELIANCE INDUSTRIES INE002A08161 LTD. RELIANCE INDUSTRIES INE002A07577 LTD. RELIANCE INDUSTRIES INE002A08229 LTD. RELIANCE INDUSTRIES INE002A07593 LTD. RELIANCE INDUSTRIES INE002A08203 LTD. RELIANCE INDUSTRIES INE002A07627 LTD. RELIANCE INDUSTRIES INE002A08237 LTD. RELIANCE INDUSTRIES INE002A07635 LTD.
Non Convertible Debentures (PPD 114) Non Convertible Debentures (PPD 115) Non Convertible Debentures (PPD 116) 7.70% Secured NonConvertible Debenture PPD 155 (Letter of Allotment). Date Non7.70% Secured of Convertible Debenture PPD 155 . Date of Maturity: 07/08/2006 8.45% Secured NonConvertible Debenture PPD 135 (Letter of Allotment) 8.45% Secured NonConvertible Debenture PPD 135 8.70% Secured NonConvertible Debenture PPD 140 (Letter of Allotment). Date Non8.70% Secured of Convertible Debenture PPD 140 . Date of Maturity: 19/04/2007 8.65% Secured NonConvertible Debenture PPD 143 (Letter of Allotment) 8.65% Secured NonConvertible Debenture PPD 143 8.65% Secured NonConvertible Debenture PPD 146 (Letter of Allotment). Date Non8.65% Secured of Convertible Debenture PPD 146 . Date of Maturity: 02/06/2007
RELIANCE INDUSTRIES INE002A08302 LTD. RELIANCE INDUSTRIES INE002A07643 LTD. RELIANCE INDUSTRIES INE002A08344 LTD. RELIANCE INDUSTRIES INE002A07650 LTD. RELIANCE INDUSTRIES INE002A08393 LTD. RELIANCE INDUSTRIES INE002A08401 LTD. RELIANCE INDUSTRIES INE002A07676 LTD. Reliance Petroleum Ltd. INE014A07382
8.00% Secured NonConvertible Debenture PPD 151 (Letter of Allotment). Date Non8.00% Secured of Convertible Debenture PPD 151 . Date of Maturity: 19/06/2007 Benchmark Rate plus .90% Secured Redeemable NonConvertible Debentures.Benchmark Rate plus .90% Secured Redeemable NonConvertible Debentures.6.20% Secured NonConvertible Debenture PPD 160 & 161. Date of Maturity: 6.20% Secured NonConvertible Debenture PPD 162 .Date of Maturity: 6.20% Secured NonConvertible Debenture PPD 160 & 161. Date of Maturity: 9.90% Secured Redeemable Non Convertible Debentures PPD 45 9.50% Secured Redeemable NCD -PPD VIII. Letter of Allotment. Date ofSecured 9.50% Maturity: Redeemable NCD -PPD VIII. . Date of Maturity: 15/03/2007 Secured Zero Coupon Redeemable NonConvertible Debentures. Letter of Allotment. 9.75% Non Convertible Debentures (Series I)
RELIANCE PORTS & TERMINALS LTD. RELIANCE PORTS & TERMINALS LTD. RELIANCE POWER LIMITED RELIANCE TELECOM LTD. RELIANCE TELECOM LTD.
INE941D08016
INE941D07083
INE077G08012
INE516C07010
INE516C07044
RELIANCE UTILITIES AND POWER LIMITED RELIANCE UTILITIES AND POWER LIMITED RELIANCE UTILITIES AND POWER LIMITED RELIANCE UTILITIES AND POWER LIMITED RELIANCE UTILITIES AND POWER LIMITED RELIANCE UTILITIES AND POWER LIMITED RELIANCE UTILITIES AND POWER LIMITED RESTILE CREAMICS LIMITED RESTILE CREAMICS LIMITED RESTILE CREAMICS LIMITED RESTILE CREAMICS LIMITED RESTILE CREAMICS LIMITED RESTILE CREAMICS LIMITED
INE936D11010
INE936D11028
Secured Redeemable Non Convertible Debentures PPD II SeriesI(Deep Discount Bond) Secured Redeemable Non Convertible Debentures PPD II SeriesII(Deep Discount Bond) Secured Redeemable Non Convertible Debentures PPD II SeriesIII(Deep Discount Bond) Secured Redeemable Non Convertible Debentures PPD II SeriesIV(Deep Discount Bond) Secured Redeemable Non Convertible Debentures PPD II SeriesV(Deep Discount Bond) 9.50% Secured Redeemable Non Convertible Debentures PPD VI. Letter of 9.50% Secured Redeemable Non Convertible Debentures PPD VI. 2% Secured Fully Convertible Debentures.
INE936D11036
INE936D11044
INE936D11051
INE936D08016
INE936D07059
INE298E07011
INE298E07037
2% Secured Fully Convertible Debentures. 2% Secured Fully Convertible Debentures. Zero Coupon Secured Fully Convertible Debentures. Zero Coupon Secured Fully Convertible Debentures. Zero Coupon Secured Fully Convertible Debentures.
INE298E07052
INE298E07029
INE298E07045
INE298E07060
RPG LIFE SCIENCES LTD. RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED
INE629A07015
INE020B09326
15.00% Secured Redeemable NonConvertible Debentures. Date of Maturity: 11.00% Govt. Guaranteed NonConvertible SLR BONDS 2002 SERIES 16 Non10.50% Secured in the Convertible Tax Free BONDS - 2003 SERIES 30 in the nature of 13.50% Govt. Guaranteed NonConvertible SLR BONDS 2004 SERIES 25 in the 9.25% Secured NonConvertible Tax Free BONDS - 2004 SERIES 32 in the NSE MIBOR Overnight nature of minus 10 bps (cap of 4.75%) Unsecured Redeemable NonOvernight NSE MIBOR10 bps (cap of 4.75%) Unsecured Redeemable Non-convertibleMIBOR-in Overnight NSE Bonds 10 bps (cap of 4.75%) Unsecured Redeemable Non-convertibleMIBOR-in Overnight NSE Bonds 10 bps (cap of 4.75%) Unsecured Redeemable Non-convertible Non- in 8.75% Secured Bonds Convertible Tax Free Priotity Sector BONDS 2004 SERIES 33 in the 12.50% Govt. Guaranteed NonConvertible SLR BONDS 2004 SERIES 27 in the 8.35% Secured NonConvertible Tax Free Priotity Sector BONDS 2005 SERIES 34 in the 8.70% Secured NonConvertible Tax Free Priotity Sector BONDS 2005 SERIES 36 (Ist
INE020B09235
INE020B09193
INE020B09250
INE020B08294
INE020B08302
INE020B08401
INE020B08328
INE020B09268
INE020B09201
INE020B09276
INE020B09292
RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED
INE020B09300
INE020B09318
8.00% Secured NonConvertible Tax Free Priotity Sector BONDS 2005 SERIES 36 (IInd 8.90% Secured NonConvertible Tax Free Priotity Sector BONDS 2005 SERIES 36 (IIIrd 14.00% Govt. Guaranteed NonConvertible SLR BONDS 2006 SERIES 29(Ist 14.00% Govt. Guaranteed NonConvertible SLR BONDS 2006 SERIES 29(IInd 8.50%(Annually) 54EC bonds in the Form of Debentures( On Tap Issue).rate (SemiReset , Date Of Maturity: annually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Reset rate (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Reset rate (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Reset rate (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Reset rate (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Reset rate (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity:
INE020B09219
INE020B09227
INE020B07122
INE020B07130
INE020B07148
INE020B07155
INE020B07163
INE020B07171
INE020B07189
INE020B07197
INE020B07205
RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED
INE020B07213
INE020B07221
Cumulative interest (On Maturity,5.25% on principal & 5.25% on interest) 54EC bonds in 8.50% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.70% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity,8.70% on principal & 10% on interest) Govt. bonds in 13.85% 54EC Guaranteed NonConvertible SLR BONDS 2006 SERIES 31 in the 8.50% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.70% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity,8.70% on principal & 10% on interest) 54EC bonds in 8.50% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). LOA, 8.70% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). LOA, Date Of Cumulative interest (On Maturity,8.70% on principal & 10% on interest) 54EC bonds in 8.50% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.70% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity:
INE020B07239
INE020B07247
INE020B09243
INE020B07254
INE020B07262
INE020B07270
INE020B08195
INE020B08203
INE020B08211
INE020B07288
INE020B07296
RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED
INE020B07304
INE020B08229
Cumulative interest (On Maturity,8.70% on principal & 10% on interest) 54EC bonds in 8.50% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). LOA, 8.70% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). LOA, Date Of Cumulative interest (On Maturity,8.70% on principal & 10% on interest) 54EC bonds in Cumulative interest (On Maturity,8.70% on principal & 10% on interest) 54EC bonds in 8.50% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.70% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). (Semi- Of Maturity: 8.50% , Date annually)54EC bonds in the Form of Debentures( On Tap Issue). LOA, 8.70% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). LOA, Date Of Cumulative interest (On Maturity,8.70% on principal & 10% on interest) 54EC bonds in 8.50% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.70% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity,8.70% on principal & 10% on interest) 54EC bonds in
INE020B08237
INE020B08245
INE020B07338
INE020B07312
INE020B07320
INE020B08252
INE020B08260
INE020B08278
INE020B07346
INE020B07353
INE020B07361
RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED
INE020B07379
INE020B07387
8.50% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.70% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity,8.70% on principal & 10% on interest) 54EC bonds in 8.50% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.70% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity,8.70% on principal & 10% on interest) 54EC bonds in 7.85% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.00% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity,8.00% on principal & 9.50% on interest) 54EC bonds in 8.50% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.70% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity,8.70% on principal & 10% on interest) 54EC bonds in 9.00% Infrastructure Bonds. Date of Redemption : 31/03/2007.
INE020B07395
INE020B07403
INE020B07411
INE020B07429
INE020B07486
INE020B07494
INE020B07502
INE020B07437
INE020B07445
INE020B07452
INE020B07460
RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED
INE020B07627
INE020B07635
7.85% (Semiannually)54EC Long Tem Capital Gain bonds in the Form of Debentures( On 8.00% (Annually) 54ECLong Tem Capital Gain bonds in the Form of Debentures( On Tap Cumulative interest (On Maturity 8.00% on principal and 9.50% on accumulated interest) Cumulative interest (On Maturity 8.00% on principal and 9.00% on accumulated interest) 7.85% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.00% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity 8.00% on principal and 9.00% on accumulated interest) 9.00% Infrastructure Bonds in the form of debentures.(On Tap Issue) Date of 7.85% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.00% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity 8.00% on principal and 9.00% on accumulated interest) 9.00% Infrastructure Bonds in the form of debentures.(On Tap Issue) Date of 9.00% Infrastructure Bonds in the form of debentures.(On Tap Issue) Date of
INE020B07643
INE020B07650
INE020B07668
INE020B07676
INE020B07684
INE020B07510
INE020B07692
INE020B07700
INE020B07718
INE020B07528
INE020B07536
RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED
INE020B07726
INE020B07734
7.85% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 8.00% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity 8.00% on principal and 9.00% on accumulated interest) 7.35% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 7.50% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity 7.50% on principal and 8.00% on accumulated interest) 8.00%(Annually) Infrastructure Bonds in the form of debentures.(On Tap 7.35% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 7.50% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: Cumulative interest (On Maturity 7.50% on principal and 8.00% on accumulated interest) 8.00%(Annually) Infrastructure Bonds in the form of debentures.(On Tap 7.10% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 7.25% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity:
INE020B07742
INE020B07759
INE020B07767
INE020B07775
INE020B07544
INE020B07783
INE020B07791
INE020B07809
INE020B07551
INE020B07817
INE020B07825
RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED
INE020B07569
INE020B07841
8.00%(Annually) Infrastructure Bonds in the form of debentures.(On Tap 7.10% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 7.25% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: 8.00%(Annually) Infrastructure Bonds in the form of debentures.(On Tap 6.60% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 6.75% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: 7.50%(Annually) Infrastructure Bonds in the form of debentures.(On Tap 6.60% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 6.75% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity: 7.50%(Annually) Infrastructure Bonds in the form of debentures.(On Tap 13.00% Govt. Guaranteed NonConvertible SLR BONDS 2008 SERIES 24 in the 6.00% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 6.10% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Date Of Maturity:
INE020B07858
INE020B07577
INE020B07874
INE020B07882
INE020B07585
INE020B07908
INE020B07916
INE020B07593
INE020B09185
INE020B07932
INE020B07940
RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RURAL ELECTRIFICATION CORPORATION LIMITED RVK ENERGY PVT. LTD. RVK ENERGY PVT. LTD.
SAKTHI SUGARS LTD.
INE020B07601
INE020B09284
7.50%(Annually) Infrastructure Bonds in the form of debentures.(On Tap 12.30% Govt. Guaranteed NonConvertible SLR BONDS 2008 SERIES 35 in the 6.00% (Semiannually)54EC bonds in the Form of Debentures( On Tap Issue). , Date Of 6.10% (Annually) 54EC bonds in the Form of Debentures( On Tap Issue). , Secured Maturity: 14.50% Date Of NonConvertible Debentures. Date of Maturity : 15/03/2006 13.00% Secured NonConvertible Debentures. Date of Maturity : 15/12/2006 10.00% Secured Non
Convertible Debentures.Series IV. Date of Maturity: 15/02/2006
INE020B07965
INE020B07973
INE683F07029
INE683F07011
INE623A07034
INE624A08022
INE624A08030
8.10% Unsecured Non ConvertibleDebentures. Date Of Maturity: 24.05.2002. 8.25% Unsecured Non ConvertibleDebentures. Date Of Maturity: 21/08/2002 7.00% Unsecured Non
INE624A08048
INE570F08125
SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED
INE570F08182
INE570F08190
MIBOR + 40 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 50 bps Unsecured Redeemable Non-Convertible Debentures. Letter of
SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PRIVATE LIMITED SARABHAI PIRAMAL PHARMACEUTICALS PVT. LTD. SARABHAI PIRAMAL PHARMACEUTICALS PVT. LTD.
INE570F08208
INE570F08216
MIBOR + 50 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 50 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 50 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 40 bps Unsecured Redeemable Non-Convertible Debentures. Letter of Mibor + .70% Secured Redeemable NonConvertible Debentures Letter of+Allotment MIBOR 20 bps Unsecured Redeemable Non-Convertible Debentures. Letter of MIBOR + 10 bps Unsecured Redeemable Non-Convertible Debentures. Letter of Mibor + .70% Secured Redeemable NonConvertible Debentures Letter + 70 Bps Secured Mibor of Allotment Redeemable NonConvertible Debentures Letter of Allotment MIBOR+70bps Secured NCD-LOA
INE570F08224
INE570F08232
INE570F08133
INE570F08240
INE570F08257
INE570F08141
INE570F08158
INE570F08166
INE570F08174
INE570F08026
MIBOR + 50 bps Unsecured Redeemable Non-Convertible Debentures. Letter of Mibor + 0.75% Secured Non Convertible Debentures. Date of Maturity:04/10/2002 Mibor + 0.75% Secured Non Convertible Debentures. Date of Maturity:11/12/2002
INE570F08034
SARABHAI PIRAMAL PHARMACEUTICALS PVT. LTD. SARABHAI PIRAMAL PHARMACEUTICALS PVT. LTD. SARABHAI PIRAMAL PHARMACEUTICALS PVT. LTD. SARABHAI PIRAMAL PHARMACEUTICALS PVT. LTD. SARABHAI PIRAMAL PHARMACEUTICALS PVT. LTD. SARABHAI PIRAMAL PHARMACEUTICALS PVT. LTD. SARABHAI PIRAMAL PHARMACEUTICALS PVT. LTD. SARABHAI PIRAMAL PHARMACEUTICALS PVT. LTD. SARABHAI PIRAMAL PHARMACEUTICALS PVT. LTD. SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED
INE570F08117
INE570F08018
Mibor + 0.80% Secured Non Convertible Debentures. Date of Maturity:28/04/2003 Mibor + 0.95% Secured Non Convertible Debentures. Date of Maturity:14/06/2003. Mibor + 0.80% Secured Non Convertible Debentures. Date of Maturity:09/09/2003 Mibor + 0.80% Secured Non Convertible Debentures. Date of Maturity:27/09/2003 Mibor + 0.75% Secured Non Convertible Debentures. Date of Maturity:04/10/2003 Mibor + 0.80% Secured Non Convertible Debentures. Date of Maturity:25/10/2003 Mibor + 0.75% Secured Non Convertible Debentures -Letter of Allotment, Date Secured Mibor + 0.80% of Non Convertible Debentures. Date of Maturity:06/12/2003 Mibor + 0.80% Secured Non Convertible Debentures. Date of Maturity:21/01/2004 14% Secured Non Convertible Bond (Date of maturity : 30th November, 2002) 17.5% Secured Non Convertible Bond in the nature of promissory Notes (Date of maturity : 14.50% Secured Non Convertible Bond (Date of maturity : 20th March, 2004) Secured Non 15.00% Convertible Bond (Date of maturity : 20th March, 2004)
INE570F08042
INE570F08059
INE570F08067
INE570F08075
INE570F08083
INE570F08091
INE570F08109
INE670E07011
INE670E09025
INE670E07037
INE670E07045
SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED SARDAR SAROVAR NARMADA NIGAM LIMITED
INE670E07029
INE670E07144
11.50% Secured Non Convertible Bond (Date of maturity : 31st January,Regular Secured 15.50% 2005) Redeemeable Non Convertible Bond. Date of Maturity: 11/03/2006 12.75% Secured Non Convertible Infrastructure Bond (Date of maturity : 20th May, 2006) 13% Secured Non Convertible Infrastructure Bond (Date of maturity : 20th May, 2006) Secured 13.65% Regular Redeemable Non Convertible Bond (Date of maturity : 27th 12.25% Infrastructure Secured Redeemable Non Convertible Bond (Date of Infrastructure 12.65% maturity : 27th Secured Redeemable Non Convertible Bond (Date of Regular Secured 12.35% maturity : 27th Redeemeable Non Convertible Bond. Date of Maturity: 31/05/2007 9.20% Secured Non Convertible Taxfree Bonds, Letter of Allotment. Series-I9.20% Secured Non Convertible Taxfree Bonds,.Series-I-A. Date of Maturity: 30/09/2007 9.20% Secured Non Convertible Taxfree Bonds, Letter of Allotment. Series-II-A . 9.20% Secured Non Convertible Taxfree Bonds, Series-II-A. Date of Maturity: 21/10/2007 13.00% Secured Fully Convertible Debentures. Date of Maturity :31/03/2003
INE670E07052
INE670E07060
INE670E07078
INE670E07094
INE670E07102
INE670E07136
INE670E08076
INE670E07227
INE670E08092
INE670E07243
13.00% Secured Loan Instrument. Date of Maturity :31/03/2003 13.00% Secured Redeemable Non Convertible Debenture Date MIBOR Unsecured NSE of Maturity Redeemable Non Convertible bonds in the nature of Promissory 17.50% Secured Redeemable NonConvertible Debentures. Date of Maturity 17.50% Secured Redeemable NonConvertible Debentures. Date of Maturity w.ef. 14.25% (12.25% 01.10.2000) Secured Redeemable NonConvertible Debentures. 8.50% Unsecured Redeemable NCD (LOA). Date of Maturity: 13/03/2003 13.50% Secured Redeemable NonConvertible Bonds,2003 issued in the form of 13.00% Secured Redeemable NonConvertible Bonds,2007 issued in the form of 11.10% Taxable Secured NCD . Date of Maturity: 02.01.2003
SBI FACTORS AND COMMERCIAL SERVICES PRIVATE LIMITED MULTIFAB SHAMKEN LTD. SHAMKEN MULTIFAB LTD. SHREE DIGVIJAY CEMENT CO. LIMITED SICOM LIMITED
INE009E09018
INE565B07019
INE565B07027
INE232A07018
INE569E08021
SICOM LIMITED
INE569E07015
SICOM LIMITED
INE569E07023
SILVERLINE TECHNOLOGIES LTD. SILVERLINE TECHNOLOVIGES LIMITED SKF BEARINGS INDIA LIMITED SKF BEARINGS INDIA LIMITED
INE368A07010
INE368A07028
INE640A07020
11.10% Taxable Secured NCD . Date of Maturity: 02.01.2003 and date of Allotment 16/03/2002 14.50% Secured Non Convertible Debentures . Series VIII. Date Of maturity:22/09/2002 14.25% Secured Non Convertible Debentures . Series XIII. Date Of maturity:25/08/2003
INE640A07038
INE640A07046
INE640A07012
14.25% Secured Non Convertible Debentures . Series IX. Date Of maturity:25/08/2003 9.00% Secured Redeemable Non Convertible Debentures with Priority Sector 10% tradeable warrants.
Unsecured Bonds Series I (Option III). Date of Maturity: 01-02-2003 10% Priority Sector Unsecured Bonds - On-Tap Deal. Date of Maturity: 1002-2003 9.75% Priority Sector Unsecured Bonds Series II (Option II). Date of Maturity: 23-03-2003
SMALL INDUSTRIES INE556F08017 DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES INE556F08025 DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES INE556F08033 DEVELOPMENT BANK OF INDIA
INE556F09031
SMALL INDUSTRIES INE556F08041 DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES INE556F08074 DEVELOPMENT BANK OF INDIA
13.50% SIDBI SLR Bonds ( Series III)in the form of Promissory Notes. Date Sector 9.50% Priorityof Maturity:
INE556F09049
Unsecured Bonds Series III (Option II). Date of Maturity: 20-10-2003 10.70% Priority Sector Unsecured Bonds (Structured Deals). Date of Maturity: 13-12-2003
SMALL INDUSTRIES INE556F08058 DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES INE556F08066 DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES INE556F08140 DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES INE556F08157 DEVELOPMENT BANK OF INDIA
13.50% SIDBI SLR Bonds (Series IV)in the form of Promissory Notes. Priority Maturity: 10.50% Date of Sector
Unsecured Bonds Series IV (Option I). Date of Maturity: 03-01-2004 9.70% Priority Sector Unsecured Bonds Series VI (Option II). Date of Maturity: 14-02-2004 10.30% SIDBI Unsecured Bonds (Structured Deals). Date of Maturity: 27-022004 10.10% SIDBI Unsecured Bonds (Structured Deals). Date of Maturity: 15-032004
INE556F09056
7.60% Priority Sector Unsecured Bonds (Structured Deals). Date of Maturity: 28-09-2004
SMALL INDUSTRIES INE556F08090 DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES INE556F08108 DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES INE556F08116 DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES INE556F08124 DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES INE556F08132 DEVELOPMENT BANK OF INDIA
12.50% SIDBI SLR Bonds(Series V)in the form of Promissory Notes. Date Sector 7.60% Priorityof Maturity:
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
INE556F08165
Unsecured Bonds (Structured Deals). Date of Maturity: 09-01-2005 8.00% Priority Sector Unsecured Bonds (Structured Deals). Date of Maturity: 10-01-2005 7.75% Priority Sector Unsecured Bonds (Structured Deals). Date of Maturity: 12-01-2005 7.85% Priority Sector Unsecured Bonds (Structured Deals). Date of Maturity: 18-01-2005 7.75% Priority Sector Unsecured Bonds (Structured Deals). Date of Maturity: 22-01-2005
INE556F08173
7.45% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 01/02/2005 7.50% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 01/02/2005 7.50% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 08/02/2005 7.40% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 09/02/2005 7.00% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 15/02/2005 7.30% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 25/02/2005
INE556F08181
INE556F08199
INE556F08207
INE556F08215
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
INE556F08223
INE556F08231
7.30% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 27/02/2005 7.30% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 04/03/2005 7.50% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 08/03/2005 7.25% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 15/03/2005 7.00% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 15/03/2005 7.00% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 21/03/2005 6.75% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 22/03/2005 6.95% Unsecured Priority Sector Bonds (Structured Deals).Date of Maturity: 28/03/2005 7.50% Unsecured SIDBI Capital Gains Bonds.Option I, Annual Interest Payment. Date of 7.25% Unsecured SIDBI Capital Gains Bonds.Option I, Annual Interest Payment. Date of 7.50% Unsecured SIDBI Capital Gains Bonds.Option I, Cumulative Interest 7.25% Unsecured SIDBI Capital Gains Bonds.Option I, Cumulative Interest 14.00% SIDBI SLR Bonds ( Series VI)in the form of Promissory Notes. Date of Maturity:
INE556F08249
INE556F08256
INE556F08264
INE556F08272
INE556F08280
INE556F08298
INE556F08306
INE556F08314
INE556F08322
INE556F08330
INE556F09064
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
INE556F08884
6.00% Unsecured Priority Sector Bonds . 7.25% Unsecured SIDBI Capital Gains Bonds.Option I, Annual Interest Payment. Date of 7.25% Unsecured SIDBI Capital Gains Bonds.Option I, Cumulative Interest 7.25% Unsecured SIDBI Capital Gains Bonds.Option I, Annual Interest Payment. Date of 7.00% Unsecured SIDBI Capital Gains Bonds.Option I, Annual Interest Payment. Date of 7.25% Unsecured SIDBI Capital Gains Bonds.Option I, Cumulative Interest 7.00% Unsecured SIDBI Capital Gains Bonds.Option I, Cumulative Interest 7.00% Unsecured SIDBI Capital Gains Bonds.Option I, Annual Interest Payment. Date of 6.50% Unsecured SIDBI Capital Gains Bonds.Option I, Annual Interest Payment. Date of 7.00% Unsecured SIDBI Capital Gains Bonds.Option I, Cumulative Interest 6.50% Unsecured SIDBI Capital Gains Bonds.Option I, Cumulative Interest 6.50% Unsecured SIDBI Capital Gains Bonds.Option I, Annual Interest Payment. Date of 6.25% Unsecured SIDBI Capital Gains Bonds.Option I, Annual Interest Payment. Date of
INE556F08389
INE556F08397
INE556F08421
INE556F08439
INE556F08447
INE556F08454
INE556F08504
INE556F08512
INE556F08520
INE556F08538
INE556F08587
INE556F08595
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
INE556F08603
INE556F08611
6.50% Unsecured SIDBI Capital Gains Bonds.Option I, Cumulative Interest 6.25% Unsecured SIDBI Capital Gains Bonds.Option I, Cumulative Interest 5.75% Unsecured SIDBI
Capital Gains Bonds. Annual Interest Payment. Date of Maturity:31/01/2006 5.75% Unsecured SIDBI Capital Gains Bonds. Cumulative Interest Payment. Date of Maturity:31/01/2006 5.50% Unsecured SIDBI Capital Gains Bonds. Annual Interest Payment. Date of Maturity:31/01/2006 5.50% Unsecured SIDBI Capital Gains Bonds. Cumulative Interest Payment. Date of Maturity:31/01/2006 5.00% Unsecured SIDBI Capital Gains Bonds.Annual Interest Payment. Date of Maturity:31/01/2006 5.00% Unsecured SIDBI Capital Gains Bonds. Cumulative Interest Payment. Date of Maturity:31/01/2006
INE556F08660
INE556F08678
INE556F08702
INE556F08710
INE556F08744
INE556F08751
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
INE556F08BX7
6.25% Unsecured Capital Gains Bonds. Annual Interest Payment. 6.25% Unsecured Capital Gains Bonds. Cumulative Interest Payment. 5.00% Unsecured SIDBI Capital Gains Bonds.Annual Interest Payment. 5.00% Unsecured SIDBI Capital Gains Bonds.Cumulative Interest Payment. Capital 5.50% Unsecured Gains Bonds. Annual Interest Payment.
INE556F08BY5
INE556F08785
INE556F08793
INE556F08CB1
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
INE556F08CC9
5.50% Unsecured Capital Gains Bonds. Cumulative Interest Payment. 5.50% Unsecured Priority Sector Bonds 5.95% Unsecured Priority Sector Bonds 5.40% Unsecured Priority Sector Bonds 5.60% Unsecured Priority Sector Bonds 5.70% Unsecured Priority Sector Bonds . 5.00% Unsecured SIDBI Capital Gains Bonds.Annual Interest Payment. 5.00% Unsecured SIDBI Capital Gains Bonds.Cumulative Interest Payment. SIDBI 5.00% Unsecured Capital Gains Bonds.Annual Interest Payment. 5.00% Unsecured SIDBI Capital Gains Bonds.Cumulativel Interest Payment. SIDBI 5.50% Unsecured Capital Gains Bonds.Cumulative Interest Payment. Capital 5.25% Unsecured Gains Bonds. Annual Interest Payment.
INE556F08892
INE556F08900
INE556F08918
INE556F08926
INE556F08934
INE556F08843
INE556F08850
INE556F08942
INE556F08959
INE556F08983
INE556F08991
INE556F08AA7
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
INE556F08AB5
INE556F08AC3
5.25% Unsecured Capital Gains Bonds. One Time Interest Payment on 01/06/2004. 5.25% Unsecured SIDBI Capital Gains Bonds.Annual Interest Payment. 5.25% Unsecured SIDBI Capital Gains Bonds. Cumulative Interest Payment. 5.50% Unsecured SIDBI Capital Gains Bonds.Annual Interest Payment. 5.50% Unsecured SIDBI Capital Gains Bonds. Cumulative Interest Payment. 5.25% Unsecured SIDBI Capital Gains Bonds. One time Interest Payment on 30/06/2004. 5.25% Unsecured Capital Gains Bonds. Annual Interest Payment.
INE556F08AD1
INE556F08AG4
INE556F08AH2
INE556F08AK6
INE556F08AN0
INE556F08AO8
INE556F08AR1
5.25% Unsecured Capital Gains Bonds. Cummulative Interest Payment. 5.50% Unsecured Capital Gains Bonds. Annual Interest Payment.
INE556F08AS9
INE556F08AV3
5.50% Unsecured Capital Gains Bonds. Cummulative Interest Payment. 5.50% Unsecured Capital Gains Bonds. Annual Interest Payment
INE556F08AW1
INE556F08AL4
5.50% Unsecured Capital Gains Bonds. Cummulative Interest Payment 5% Unsecured Priority Sector Bonds.
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
INE556F08AM2
4.90% Priority Sector Bonds 4.80% Unsecured Priority Sector Bonds. 5.50% Unsecured Capital Gains Bonds. Annual Interest Payment 5.50% Unsecured Capital Gains Bonds. Cummulative Interest Payment 5.00% Unsecured Capital Gains Bonds. Annual Interest Payment
INE556F08AZ4
INE556F08BA5
INE556F08BB3
INE556F08BE7
INE556F08BF4
INE556F08BJ6
5.00% Unsecured Capital Gains Bonds. Cummulative Interest Payment 5.00% Unsecured Capital Gains Bonds. Annual Interest Payment.
INE556F08BK4
INE556F08BI8
5.00% Unsecured Capital Gains Bonds. Cummulative Interest Payment. 4.80% Unsecured Priority Sector Bonds.
INE556F08BN8
5.00% Unsecured Capital Gains Bonds. Annual Interest Payment. 5.00% Unsecured Capital Gains Bonds. Cummulative Interest Payment 5.00% Unsecured Capital Gains Bonds. Annual Interest Payment.
INE556F08BO6
INE556F08BR9
INE556F08BS7
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
INE556F08BV1
4.75% Unsecured Non Convertible Priority Sector Bonds. 5.00% Unsecured Capital Gains Bonds. Annual Interest Payment. 5.00% Unsecured Capital Gains Bonds. Cumulative Interest Payment. 13.75% SIDBI SLR Bonds ( Series VII)in the form of Promissory Notes. Unsecured Non 4.70% Date of Maturity: Convertible Priority Sector Bonds.
INE556F08CE5
INE556F08CF2
INE556F09072
INE556F08CD7
INE556F08CM8
5.00% Unsecured Capital Gains Bonds. Annual Interest Payment. 5.00% Unsecured Capital Gains Bonds. Cumulative Interest Payment. 4.60% Unsecured Priority Sector Bonds. 4.50% Unsecured Priority Sector Bonds. 4.50% Unsecured Priority Sector Bonds. 5.00% Unsecured Capital Gains Bonds. Annual Interest Payment. 5.00% Unsecured Capital Gains Bonds. Cumulative Interest Payment. 7.50% Unsecured SIDBI Capital Gains Bonds.Option II, Annual Interest Payment. Date of
INE556F08CN6
INE556F08CG0
INE556F08CK2
INE556F08CL0
INE556F08CQ9
INE556F08CR7
INE556F08348
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
INE556F08355
INE556F08363
7.25% Unsecured SIDBI Capital Gains Bonds.Option II, Annual Interest Payment. Date of 7.50% Unsecured SIDBI Capital Gains Bonds.Option II, Cumulative Interest 7.25% Unsecured SIDBI Capital Gains Bonds.Option II, Cumulative InterestBonds 13.00%SIDBI SLR ( Series I)in the form of Promissory Notes. Date of Maturity: 16-09-2007 7.25% Unsecured SIDBI Capital Gains Bonds.Option II, Annual Interest Payment. Date of 7.25% Unsecured SIDBI Capital Gains Bonds.Option II, Cumulative Interest 7.50% Unsecured Capital Gains Bonds. Annual Interest Payment.
INE556F08371
INE556F09015
INE556F08405
INE556F08413
INE556F08BW9
INE556F08462
INE556F08470
7.25% Unsecured SIDBI Capital Gains Bonds.Option II, Annual Interest Payment. Date of 7.00% Unsecured SIDBI Capital Gains Bonds.Option II, Annual Interest Payment. Date of 7.25% Unsecured SIDBI Capital Gains Bonds.Option II, Cumulative Interest 7.00% Unsecured SIDBI Capital Gains Bonds.Option II, Cumulative Interest 7.25% Unsecured SIDBI Capital Gains Bonds. Annual Interest Payment. Face Value - Rs.1000 7.00% Unsecured SIDBI Capital Gains Bonds.Option II, Annual Interest Payment. Date of
INE556F08488
INE556F08496
INE556F08CH8
INE556F08546
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
INE556F08553
INE556F08561
6.50% Unsecured SIDBI Capital Gains Bonds.Option II, Annual Interest Payment. Date of 7.00% Unsecured SIDBI Capital Gains Bonds.Option II, Cumulative Interest 6.50% Unsecured SIDBI Capital Gains Bonds.Option II, Cumulative Interest 13.00 % SIDBI SLR Bonds ( Series II)in the form of Promissory Notes. Unsecured SIDBI 6.50% Date of Maturity: Capital Gains Bonds.Option II, Annual Interest Payment. Date of 6.25% Unsecured SIDBI Capital Gains Bonds.Option II, Annual Interest Payment. Date of 6.50% Unsecured SIDBI Capital Gains Bonds.Option II, Cumulative Interest 6.25% Unsecured SIDBI Capital Gains Bonds.Option II, Cumulative Interest 5.75% Unsecured SIDBI
Capital Gains Bonds. Annual Interest Payment. Date of Maturity:31/01/2008 5.75% Unsecured SIDBI Capital Gains Bonds, Cumulative Interest Payment. Date of Maturity:31/01/2008 5.50% Unsecured SIDBI Capital Gains Bonds. Annual Interest Payment. Date of Maturity:31/01/2008 5.50% Unsecured SIDBI Capital Gains Bonds. Cumulative Interest Payment. Date of Maturity:31/01/2008 5.00% Unsecured SIDBI Capital Gains Bonds. Annual Interest Payment. Date of Maturity:31/01/2008
INE556F08579
INE556F09023
INE556F08629
INE556F08637
INE556F08645
INE556F08652
INE556F08686
INE556F08694
INE556F08728
INE556F08736
INE556F08769
INE556F08777
5.00% Unsecured SIDBI Capital Gains Bonds. Cumulative Interest Payment. Date of Maturity:31/01/2008
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED
INE556F08BZ2
6.25% Unsecured Capital Gains Bonds. Annual Interest Payment. 6.25% Unsecured Capital Gains Bonds. Cumulative Interest Payment. 5.00% Unsecured SIDBI Capital Gains Bonds.Annual Interest Payment. 5.00% Unsecured SIDBI Capital Gains Bonds.Cumulative Interest Payment. 12.30% SIDBI SLR Bonds ( Series VIII)in the form of Promissory Notes. Unsecured SIDBI 5.00% Date of Maturity: Capital Gains Bonds.Annual Interest Payment. 5.00% Unsecured SIDBI Capital Gains Bonds.Cumulative Interest Payment. SIDBI 5.00% Unsecured Capital Gains Bonds.Annual Interest Payment. 5.00% Unsecured SIDBI Capital Gains Bonds.Cumulative Interest Payment. Overnight NSE MIBOR + 70 bps Unsecured NonConvertible Bonds. Letter of Allotment Overnight NSE MIBOR + 65 bps Unsecured NonConvertible Bonds. Letter of Allotment Overnight NSE MIBOR + 70 bps Unsecured NonConvertible Bonds. Letter of Allotment
INE556F08CA3
INE556F08801
INE556F08819
INE556F09080
INE556F08868
INE556F08876
INE556F08967
INE556F08975
INE872A08043
INE872A08050
INE872A08068
SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED
INE872A08076
Mibor+60bps Non Convertible Bonds Overnight NSE MIBOR + 55 bps Unsecured NonConvertible Bonds. Letter of Allotment Overnight NSE MIBOR + 70 bps Unsecured NonConvertible Bonds. Letter of Allotment Overnight NSE MIBOR + 55 bps Unsecured NonConvertible Bonds. Letter of Allotment Overnight NSE MIBOR + 45 bps Unsecured NonConvertible Bonds. Letter of Allotment Overnight NSE MIBOR + 40 bps Unsecured NonConvertible Bonds. Letter of Allotment Overnight NSE MIBOR + 30 bps Unsecured NonConvertible Bonds. Letter of Allotment Overnight NSE MIBOR + 30 bps Unsecured NonConvertible Bonds. Letter of Allotment. MIBOR + Overnight NSE 25 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 30 bps Unsecured NonConvertible Bonds. Letter of Allotment. MIBOR + Overnight NSE 25 bps Unsecured NonConvertible Bonds. Letter of Allotment. MIBOR + Overnight NSE 30 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 25 bps Unsecured NonConvertible Debentures. Letter of Allotment.
INE872A08084
INE872A08035
INE872A08092
INE872A08100
INE872A08118
INE872A08126
INE872A08134
INE872A08142
INE872A08159
INE872A08167
INE872A08175
INE872A08183
SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED
INE872A08191
INE872A08209
Overnight NSE MIBOR + 20 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 25 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 70 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 30 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 25 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 30 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 20 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 30 bps Unsecured NonConvertible Debentures. Letter of Allotment.Non5.20% Unsecured Convertible Debentures. Letter of Allotment.
INE872A08217
INE872A08225
INE872A08241
INE872A08233
INE872A08258
INE872A08274
INE872A08282
INE872A08290
5.25% Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 10 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 5 bps Unsecured NonConvertible Debentures. Letter of Allotment. Mibor+105bps Secured NCD-LOA
INE872A08308
INE872A08316
INE872A07029
SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED
INE872A07037
INE872A08324
Overnight NSE MIBOR + 120 bps Secured NonConvertible Debentures. Letter of Allotment Overnight NSE MIBOR Unsecured NonConvertible Debentures. Letter of Allotment.Non5.17% Unsecured Convertible Debentures. Letter of Allotment.
INE872A08332
INE872A08407
5.20% Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 7 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 8 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 10 bps Unsecured NonConvertible Debentures. Letter of Allotment. Overnight NSE MIBOR + 10 bps Unsecured NonConvertible Debentures. Letter of Allotment.Non5.25% Unsecured Convertible Debentures. Letter of Allotment.
INE872A08340
INE872A08357
INE872A08365
INE872A08373
INE872A08381
INE872A08399
INE872A08415
Overnight NSE MIBOR + 20 bps Unsecured NonConvertible Debentures. Letter of Allotment.Non5.20% Unsecured Convertible Debentures. Letter of Allotment.
INE872A08423
INE872A08431
Overnight MIBOR + 15 bps Unsecured NonConvertible Debentures. Letter of Allotment. 20 Overnight MIBOR + bps Unsecured NonConvertible Debentures. Letter of Allotment.
SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED SREI INTERNATIONAL FINANCE LIMITED
SREI INTERNATIONAL FINANCE LTD.
INE872A08449
5.20% Unsecured NonConvertible Debentures. Letter of Allotment. Overnight MIBOR + 15 bps Unsecured NonConvertible Debentures. Letter of Allotment. 12 Overnight MIBOR + bps Unsecured NonConvertible Debentures. Letter of Allotment. 10 Overnight MIBOR + bps Unsecured NonConvertible Debentures. Letter of NSE MIBOR OvernightAllotment. + 30
bps Unsecured NonConvertible Debentures. Letter of Allotment.
INE872A08456
INE872A08464
INE872A08472
INE872A08266
STATE BANK OF TRAVANCORE STATE BANK OF TRAVANCORE STATE BANK OF TRAVANCORE STATE BANK OF TRAVANCORE STATE BANK OF TRAVANCORE STATE BANK OF HYDERABAD State Bank of Indore
INE654A09019
INE654A09027
16.25% Unsecured Non Convertible Redeemeable Subordinated SBT Bonds 11.35% Unsecured Non Convertible Redeemeable Subordinated SBT Bonds 11.10% Unsecured Non Convertible Redeemeable Subordinated SBT Bonds 11.05% Unsecured Non Convertible Redeemeable Subordinated SBT Bonds 11.00% Unsecured Non Convertible Redeemeable Subordinated SBT Bonds 11.50% Unsecured Redeemable NonConvertible Boonds
INE654A09035
INE654A09043
INE654A09050
INE649A08011
INE650A09017
INE650A09025
13.70%Fully Paidup Unsecured Non Convertible Redeemable Subordinated Paidup in 11.75% Fully Bonds Unsecured Non Convertible Redeemable Subordinated Bonds in
INE651A09015
STEEL AUTHORITY OF INE114A07273 INDIA LIMITED STEEL AUTHORITY OF INE114A07034 INDIA LTD. STEEL AUTHORITY OF INE114A07059 INDIA LTD. STEEL AUTHORITY OF INE114A07240 INDIA LTD. STEEL AUTHORITY OF INE114A07018 INDIA LTD. STEEL AUTHORITY OF INE114A08016 INDIA LTD. STEEL AUTHORITY OF INE114A07026 INDIA LTD. STEEL AUTHORITY OF INE114A07042 INDIA LTD. STEEL AUTHORITY OF INE114A07067 INDIA LTD. STEEL AUTHORITY OF INE114A07075 INDIA LTD. STEEL AUTHORITY OF INE114A07083 INDIA LTD. STEEL AUTHORITY OF INE114A07091 INDIA LTD.
9.40% Unsecured Non Convertible Tier II Bonds in the form of Promissory Notes,% (Taxable) Govt. 12.95 Series IV. Letter Guaranteed Secured Redeemable NonConvertible BondsXI-I 13.5 % (Taxable) Secured Redeemeable Non-Convertible BondsVII-II Series (M 13.75 % (Taxable) Secured Redeemeable Non-Convertible BondsVIII-I Series (O 10 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsXIV-I 10% (Taxable) Govt.Guaranteed Redeemable Non Convertible Bonds-XIV 10% (Taxable) Govt.Guaranteed Redeemable Non Convertible Bonds-XIV 14.5 % (Taxable) Secured Redeemeable Non-Convertible BondsVII-I Series (L 14 % (Taxable) Secured Redeemeable NonConvertible BondsVIII-I Series (N Series), Date of 14.5 % (Taxable) Secured Redeemeable Non-Convertible BondsIXI Series (P Series), Date 12 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsX-I 12.15 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsX-I 11.1 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsX-II
STEEL AUTHORITY OF INE114A07109 INDIA LTD. STEEL AUTHORITY OF INE114A07125 INDIA LTD. STEEL AUTHORITY OF INE114A07133 INDIA LTD. STEEL AUTHORITY OF INE114A08024 INDIA LTD. STEEL AUTHORITY OF INE114A07257 INDIA LTD. STEEL AUTHORITY OF INE114A07141 INDIA LTD. STEEL AUTHORITY OF INE114A07182 INDIA LTD. STEEL AUTHORITY OF INE114A07190 INDIA LTD. STERLITE INDUSTRIES INE268A08028 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08036 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08069 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08077 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08085 (INDIA) LIMITED
11.25 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsX-II 11.25 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsX-II 11.1 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsX-II 10.25 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsXVI-I 10.25 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsXVI-I 12.15 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsX-III 11.3 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsXII-I 11.6 % (Taxable) Govt. Guaranteed Secured Redeemeable NonConvertible BondsXII-I 8.25% Unsecured Redeemable NCD Date of Maturity:04/03/2002LOA Unsecured 8.25% Redeemable NCD Date of Maturity:29/03/2002LOA Unsecured 8.05% Redeemable NCD Date of Maturity:08/05/2002LOA Unsecured 7.97% Redeemable NCD Date of Maturity:29/05/2002LOA Unsecured 7.97% Redeemable NCD Date of Maturity:01/06/2002LOA
STERLITE INDUSTRIES INE268A08192 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08184 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08119 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08218 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08127 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08135 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08150 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08168 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08176 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08226 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08200 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08044 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08051 (INDIA) LIMITED
7.87% Secured Redeemable NCD Date of Maturity: 05/07/2002. Letter of Allotment 7.87% Secured Redeemable NCD Date of Maturity: 08/07/2002. Letter of Allotment Bps NSE Mibor + 0.90% Unsecured NCD-LOA, Date of Maturity:09/08/2002 7.25% UnSecured Redeemable NCD Date of Maturity:09/08/2002.Lette NSE Mibor + 0.75% Bps Unsecured NCD-LOA, Date of Maturity:12/08/2002 Bps NSE Mibor + 0.75% Unsecured NCD-LOA, Date of Maturity:16/08/2002 8% Non Convertible Debentures (Letter of Allotment) 8% Non Convertible Debentures (Letter of Allotment) 8% Non Convertible Debentures (Letter of Allotment) 6.85% UnSecured Redeemable NCD Date of Maturity:16/09/2002.Lette NSE Mibor + 75 Bps Secured NCD-LOA, Date of Maturity:20/09/2002 NSE Mibor + 0.70% Bps Secured NCD-LOA, Date of Maturity: 30/12/2002 NSE Mibor + 0.70% Bps Secured NCD-LOA, Date of Maturity: 31/12/2002
STERLITE INDUSTRIES INE268A07038 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08234 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08242 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08267 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08259 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08093 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08101 (INDIA) LIMITED STERLITE INDUSTRIES INE268A07079 (INDIA) LIMITED STERLITE INDUSTRIES INE268A07087 (INDIA) LIMITED
STERLITE INDUSTRIES (INDIA) LIMITED INE268A08275
10.75% Secured Redeemable NCD Date of Maturity: 20/02/2003 6.50% UnSecured Redeemable NCD Date of Maturity:22/02/2003.Lette 6.65% UnSecured Redeemable NCD Date of Maturity:04/03/2003.Lette 6.15% UnSecured Redeemable NCD Date of Maturity:20/03/2003.Lette 7.00% UnSecured Redeemable NCD Date of Maturity:28/03/2003.Lette 9.55% secured Redeemable NCD Date of Maturity:10/04/2003LOA secured 8.95% Redeemable NCD Date of Maturity:10/04/2003LOA Secured 9.55% Redeemable NCD Date of Maturity:10/04/2003 8.95% Secured Redeemable NCD Date of Maturity:10/04/2003
7.20% UnSecured Redeemable NCD Date of Maturity:20/05/2003.Letter of Allotment.
STERLITE INDUSTRIES INE268A08283 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08291 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08358 (INDIA) LIMITED
7.20% Unsecured NonConvertible Debentures Letter of Allotment 7.55% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.35% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment
STERLITE INDUSTRIES INE268A08366 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08374 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08416 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08416 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08333 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08382 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08390 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08341 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08408 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08440 (INDIA) LIMITED STERLITE INDUSTRIES INE268A07053 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08457 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08424 (INDIA) LIMITED
6.25% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.40% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment NCD 6.35% Unsecured LOA 6.35% Unsecured NCD LOA 7.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.25% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.25% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.65% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.55% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.50% Unsecured Redeemable NonConvertible Debentures. Letter ofSecured 14.50% Allotment Redeemable NCD Date of Maturity: 30/09/2003 5.55% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.55% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment
STERLITE INDUSTRIES INE268A08432 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08523 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08515 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08556 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08465 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08481 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08473 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08531 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08499 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08507 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08549 (INDIA) LIMITED STERLITE INDUSTRIES INE268A08309 (INDIA) LIMITED STERLITE INDUSTRIES INE268A07061 (INDIA) LIMITED
5.55% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.40% Unsecured Redeemable NonConvertible Debentures. 5.40% Unsecured Redeemable NonConvertible Debentures. Letter of 5.30% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 5.30% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.75% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.30% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.15% Unsecured Redeemable NonConvertible Debentures. 6.60% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.60% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 4.95% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment. 7% Secured NCD-LOA
STERLITE INDUSTRIES INE268A07012 (INDIA) LIMITED STERLITE OPPORTUNITIES AND VENTURES LIMITED STERLITE OPPORTUNITIES AND VENTURES LIMITED STERLITE OPPORTUNITIES AND VENTURES LIMITED STERLITE OPPORTUNITIES AND VENTURES LIMITED STERLITE OPTICAL TECHNOLOGIES LIMITED STERLITE OPTICAL TECHNOLOGIES LIMITED STERLITE OPTICAL TECHNOLOGIES LIMITED STERLITE OPTICAL TECHNOLOGIES LIMITED STERLITE OPTICAL TECHNOLOGIES LIMITED STERLITE OPTICAL TECHNOLOGIES LIMITED STERLITE OPTICAL TECHNOLOGIES LIMITED
SUDARSHAN CHEMICAL INDUSTRIES LIMITED
INE120G07012
11.83% Fully Secured Non Convertible Debenture (Date of 7.00% Secured Redeemable NonConvertible Debentures STRPP Part A. 7.00% Secured Redeemable NonConvertible Debentures STRPP Part B. 7.00% Secured Redeemable NonConvertible Debentures STRPP Part C. 7.00% Secured Redeemable NonConvertible Debentures STRPP Part D. Non 7.70% Unsecred Convertible Debentures (Letter of Allotment)
INE120G07020
INE120G07038
INE120G07046
INE089C08016
INE089C08040
INE089C08057
7.70% Unsecured NCD. Date of maturity: 30/05/2002. Letter of Allotment 7.95% Unsecured NCD. Date of maturity:01/07/2002. Letter of Allotment 8.75% Secured NCD. Date of maturity: 10/04/2003. Letter of Allotment 8.75% Secured NCD. Date of maturity: 10/04/2003.
INE089C08024
INE089C07026
INE089C08032
INE089C07018
8.75% Secured NCD. Date of maturity: 05/05/2003. Letter of Allotment 8.75% Secured NCD. Date of maturity: 05/05/2003.
INE659A09034
Mibor + 250 Bps Unsecured Bonds in the form of Promissory notes. Letter of Allotment
SUDARSHAN CHEMICAL INDUSTRIES LIMITED SUDARSHAN CHEMICAL INDUSTRIES LTD. SUDARSHAN CHEMICAL INDUSTRIES LTD. SUDARSHAN CHEMICAL INDUSTRIES LTD. SUDARSHAN CHEMICAL INDUSTRIES LTD. SUNDARAM FINANCE LIMITED SUNDARAM FINANCE LIMITED SUNDARAM FINANCE LIMITED SUNDARAM FINANCE LIMITED SUNDARAM FINANCE LIMITED SUNDARAM FINANCE LIMITED SUNDARAM FINANCE LIMITED SUNDARAM FINANCE LIMITED
INE659A09042
Mibor + 250 Bps Bonds in the form of Promissory notes. Letter of Allotment 8.00 % Unsecured Non Convertible Debentures. Date of Maturity: 19/12/2002 8.00 % Unsecured Non Convertible Debentures. Date of Maturity:21/01/2003 in Mibor + 2.50% Bonds the form of Promissory notes. Date of maturity: 30.04.2003 Bps Bonds Mibor + 250 in the form of Promissory notes. Date of maturity: 13.06.2003 + 0.50% NSE MIBOR Secured Non Convertible Debenture. Series D-1. Letter of NSE MIBOR + 0.40% Secured Non Convertible Debenture. Series D-3. Letter of NSE MIBOR + 0.35% Secured Non Convertible Debenture. Series D-6. Letter of NSE MIBOR + 0.35% Secured Non Convertible Debenture. Series D-7. Letter of NSE MIBOR + 0.28% Secured Non Convertible Debenture. Series D-9. Letter of NSE MIBOR + 0.70% Secured Non Convertible Debenture. Series D-4. Letter of NSE MIBOR + 0.62% Secured Non Convertible Debenture. Series D-8. Letter of NSE MIBOR + 0.65% (Floor Rate 5.45% and Cap Rate 5.55%) Secured Non -
INE659A08010
INE659A08028
INE659A09018
INE659A09026
INE660A07747
INE660A07762
INE660A07796
INE660A07804
INE660A07820
INE660A07770
INE660A07812
INE660A07838
SUNDARAM FINANCE LIMITED SUNDARAM FINANCE LIMITED SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD
INE660A07754
INE660A07788
NSE MIBOR + 1.00% Secured Non Convertible Debenture. Series D-2. Letter of NSE MIBOR + 0.90% Secured Non Convertible Debenture. Series D-5. LetterNon 11.50% Secured of Convertible Debenture Series S-XXI
INE660A07127
INE660A07184
11.41% Secured Non Convertible Debenture Series S-XXVII 11.50% Secured Non Convertible Debenture Series S-XXVI 11.53% Secured Non Convertible Debenture Series S-XXVIII Mibor +1.35% Secured Non -Convertible Debenture Series S-XVIII 10.30% Secured Non Convertible Debenture Series S A-1 Mibor + 1.30% Secured Non -Convertible Debenture Series S-XXIX 10.08% Secured Non Convertible Debenture Series S A-2 & S A-3 Mibor + 1.00% Secured Non -Convertible Debenture Series S-XXXI 9.35% Secured Non Convertible Debenture Series S A-5 12% Secured Non Convertible Debenture Series S-XIII
INE660A07176
INE660A07192
INE660A07093
INE660A07226
INE660A07200
INE660A07234
INE660A07218
INE660A07259
INE660A07051
SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD
INE660A07101
12% Secured Non Convertible Debenture Series S-XIX 12% Secured Non Convertible Debenture Series S-XIV 11.80% Secured Non Convertible Debenture Series S-XVI 9.15% Secured Non Convertible Debenture . Series B-4.Date of Maturity: 08/05/2003.9.00% Secured Non Convertible Debenture . Series B-4.Date of Maturity: 08/05/2003.9.00% Secured Non Convertible Debenture . Series B-2.Date of Maturity: 9.00% Secured Non Convertible Debenture . Series B-2.Date of Maturity: 09/05/2003. 12% Secured Non Convertible Debenture Series S-XXII
INE660A07069
INE660A07077
INE660A08042
INE660A07291
INE660A08026
INE660A07275
INE660A07135
INE660A08091
INE660A07341
Zero Coupon Secured Non -Convertible Debenture . Series B7.Date of Maturity: Zero Coupon Secured Non -Convertible Debenture . Series B7.Date of Maturity: 12% Secured Non Convertible Debenture Series S-XXIII
INE660A07143
INE660A07242
10.30% Secured Non Convertible Debenture Series S A-4 11.50% Secured Non Convertible Debenture Series S-XVII
INE660A07085
SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD
INE660A07150
12% Secured Non Convertible Debenture Series S-XXIII(A) 8.00% Secured Non Convertible Debentures . Series B-13.Date of Maturity: 30/07/2003.8.10% Secured Non Convertible Debentures . Series B-14.Date of Maturity: 30/07/2003.8.00% Secured Non Convertible Debentures . Series B-13.Date of Maturity: 30/07/2003.8.10% Secured Non Convertible Debentures . Series B-14.Date of Maturity: 30/07/2003.7.10% Secured Non Convertible Debenture. Letter of Allotment Series B-20.Date of 7.10% Secured Non Convertible Debenture. Series B-20.Date of Maturity: 26/09/2003 12% Secured Non Convertible Debenture Series S-IX
INE660A08158
INE660A08166
INE660A07408
INE660A07416
INE660A08224
INE660A07473
INE660A07010
INE660A08083
INE660A07333
9.00% Secured Non Convertible Debenture . Series B-6.Date of Maturity: 07/12/2003.9.00% Secured Non Convertible Debenture . Series B-6.Date of Maturity:Secured Non 11.50% 07/12/2003. Convertible Debenture Series S-XXIV
INE660A07168
INE660A07028
13.50% Secured Non Convertible Debenture Series S-XI 12% Secured Non Convertible Debenture Series S-XX
INE660A07119
SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD
INE660A07036
13.50% Secured Non Convertible Debenture Series S-XII 9.25% Secured Non Convertible Debenture Series B-1. Letter of Allotment 9.25% Secured Non Convertible Debenture Series B-1.
INE660A08018
INE660A07267
INE660A08034
INE660A07283
9.15% Secured Non Convertible Debenture . Series B-3 Date of Maturity: 09/05/2004.9.15% Secured Non Convertible Debenture . Series B-3 Date of Maturity: 09/05/2004.9.25% Secured Non Convertible Debenture . Series B-5.Date of Maturity: 24/05/2004.9.25% Secured Non Convertible Debenture . Series B-5.Date of Maturity: 24/05/2004. C5.7% Secured NCD Sr 2. LOA
INE660A08059
INE660A07309
INE660A08331
INE660A08364
5.6% Secured NCD Sr C5. LOA 12.50% Secured Non Convertible Debenture Series S-XII (D) 5.65% Secured NCD Sr C-3. LOA MIBOR+70bps Secured NCD Sr C-4. LOA MIBOR + .70% Secured Non -Convertible Debenture. Letter of Allotment Series C-8.
INE660A07044
INE660A08349
INE660A08356
INE660A07572
SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD
INE660A08174
INE660A07424
8.35% Secured Non Convertible Debentures . Series B-15.Date of Maturity: 31/07/2004.8.35% Secured Non Convertible Debentures . Series B-15.Date of Maturity: 31/07/2004.5.50% Secured Non Convertible Debenture. Letter of Allotment Series C-9. 7.60% Secured Non Convertible Debenture. Letter of Allotment Series B-17.Date of 7.60% Secured Non Convertible Debenture. Series B-17.Date of Maturity: 13/09/2004 5.25% Secured Non Convertible Debenture. Series C-14. Letter of Allotment 6.80% Secured Non Convertible Debenture. Letter of Allotment Series B-22.Date of 6.75% Secured Non Convertible Debenture. Letter of Allotment Series B-24.Date of 6.80% Secured Non Convertible Debenture. Series B-22.Date of Maturity: 28/11/2004 6.75% Secured Non Convertible Debenture. Series B-24.Date of Maturity: 28/11/2004 6.60% Secured Non Convertible Debenture. Letter of Allotment Series B-25.Date of 6.60% Secured Non Convertible Debenture. Series B-25.Date of Maturity: 07/12/2004 NSE MIBOR + 0.73% Secured Non Convertible Debenture. Series C-15. Letter of
INE660A07580
INE660A08190
INE660A07440
INE660A07630
INE660A08240
INE660A08265
INE660A07499
INE660A07515
INE660A08273
INE660A07523
INE660A07648
SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD
INE660A07655
INE660A07663
NSE MIBOR + 0.73% Secured Non Convertible Debenture. Series C-16. Letter of NSE MIBOR + 0.73% Secured Non Convertible Debenture. Series C-17. Letter of 6.60% Secured Non Convertible Debenture. Letter of Allotment Series B-28.Date of 6.60% Secured Non Convertible Debenture. Series B-28.Date of Maturity: 31/12/2004 NSE MIBOR + 0.70% Secured Non Convertible Debenture. Series C-18. Letter of NSE MIBOR + 0.70% Secured Non Convertible Debenture. Series C-19. Letter of NSE MIBOR + 0.15% Secured Non Convertible Debenture. Series C-20. Letter of NSE MIBOR + 0.15% Secured Non Convertible Debenture. Series C-21. Letter of NSE MIBOR + 0.15% Secured Non Convertible Debenture. Series+ 0.50% Secured Mibor C-22. Letter of Non -Convertible Debenture Series A-6. Letter + 0.45% Secured Mibor of Allotment Non -Convertible Debenture Series A-7. Letter + 0.50% Secured Mibor of Allotment Non -Convertible Debenture Series A-6.
INE660A08307
INE660A07556
INE660A07671
INE660A07689
INE660A07697
INE660A07705
INE660A07713
INE660A08067
INE660A08075
INE660A07317
INE660A07325
SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD
INE660A08372
BR+100bps Secured NCD Sr C-6. LOA 5.95% Secured Non Convertible Debenture. Letter of Allotment Series C-7. 8.75% Secured Non Convertible Debentures . Series B-16.Date of Maturity: 31/07/2005.8.75% Secured Non Convertible Debentures . Series B-16.Date of Maturity: 31/07/2005.5.78% Secured Non Convertible Debenture. Letter of Allotment Series C-10. 5.45% Secured Non Convertible Debenture. Series C-11. Letter of Allotment 8.15% Secured Non Convertible Debenture. Letter of Allotment Series B-18.Date of 8.05% Secured Non Convertible Debenture. Letter of Allotment Series B-19.Date of 8.15% Secured Non Convertible Debenture. Series B-18.Date of Maturity: 27/09/2005 8.05% Secured Non Convertible Debenture. Series B-19.Date of Maturity: 27/09/2005 5.45% Secured Non Convertible Debenture. Series C-12. Letter of Allotment Mibor + 0.45% Secured Non -Convertible Debenture. Letter of Allotment Series B- 7.15% Secured Non Convertible Debenture. Letter of Allotment Series B-23.Date of
INE660A07564
INE660A08182
INE660A07432
INE660A07598
INE660A07606
INE660A08208
INE660A08216
INE660A07457
INE660A07465
INE660A07614
INE660A08232
INE660A08257
SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD SUNDARAM FINANCE LTD. SUNDARAM FINANCE LTD.
INE660A07481
INE660A07507
Mibor + 0.45% Secured Non -Convertible Debenture. Series B21.Date of Maturity: 7.15% Secured Non Convertible Debenture. Series B-23.Date of Maturity: 28/11/2005 6.85% Secured Non Convertible Debenture. Letter of Allotment Series B-26.Date of 6.83% Secured Non Convertible Debenture. Letter of Allotment Series B-27.Date of 6.85% Secured Non Convertible Debenture. Series B-26.Date of Maturity: 07/12/2005 6.83% Secured Non Convertible Debenture. Series B-27.Date of Maturity:.45% Secured Mibor + 07/12/2005 Non -Convertible Debentures . Series B29. Letter of Allotment NSE MIBOR + 0.93% Secured Non Convertible Debenture. Series+ .35%Letter of Mibor C-23. Secured Non -Convertible Debentures . Series C-1. Letter of+Allotment MIBOR 0.15% Secured Non -Convertible Debenture. Series C-13. Letter of Allotment NSE MIBOR + 1.20% Secured Non Convertible Debenture. Series C-24. Letter of 8.85% Secured Non Convertible Debenture . Series B-8.Date of Maturity: 17/06/2003.8.85% Secured Non Convertible Debenture . Series B-8.Date of Maturity: 17/06/2003.
INE660A08281
INE660A08299
INE660A07531
INE660A07549
INE660A08315
INE660A07721
INE660A08323
INE660A07622
INE660A07739
INE660A08109
INE660A07358
SUNDARAM FINANCE LTD. SUNDARAM FINANCE LTD. SUNDARAM FINANCE LTD. SUNDARAM FINANCE LTD. SUNDARAM FINANCE LTD. SUNDARAM FINANCE LTD. SUNDARAM FINANCE LTD. SUNDARAM FINANCE LTD.
INE660A08125
INE660A08133
8.74% Secured Non Convertible Debenture . Series B-10.Date of Maturity: 27/06/2003. Zero Coupon Secured Non -Convertible Debenture . Series B11.Date of Maturity: 8.74% Secured Non Convertible Debenture . Series B-10.Date of Maturity: 27/06/2003. Zero Coupon Secured Non -Convertible Debenture . Series B11.Date of Maturity: 9.25% Secured Non Convertible Debenture . Series B-9.Date of Maturity: 28/06/2005.9.25% Secured Non Convertible Debenture . Series B-9.Date of Maturity: 28/06/2005.9.30% Secured Non Convertible Debenture . Series B-12.Date of Maturity: 02/07/2005.9.30% Secured Non Convertible Debenture . Series B-12.Date of Maturity: 02/07/2005. 7.25% Secured Non
Convertible Debenture.
INE660A07374
INE660A07382
INE660A08117
INE660A07366
INE660A08141
INE660A07390
SUNDARAM HOME FINANCE LTD. SUNDARAM HOME FINANCE LTD. SUNDARAM HOME FINANCE LTD. SUNFLOWER TRUST (Trustee-IL&FS Trust Company Limited)
INE667F08012
INE667F07014
9.50% Secured Non Convertible Debenture.Date of Maturity: 16/08/2007 9.50% Secured Non Convertible Debenture.Date of Maturity: 16/08/2007 7.25% Secured Non Convertible Debenture.Date of Maturity: Deep Unsecured Discount Debentures
INE667F08020
INE919F11011
INE335A09015
INE335A08017
13.00% Unsecured NonConvertible Debentures in the form of promissory notes. Date of maturity : 13.00% Unsecured NonConvertible Debentures Date of maturity : 18/01/2003. Letter of 18.50% Secured NCD. Date of final redemption: 14/02/2003
INE335A07035
INE335A07084
18.50% Secured NCD. Date of final redemption: 08/04/2003 19.00% Secured NCD. Date of final redemption:30/04/2003 6.15% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.15% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 6.75% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 5.50% Unsecured Redeemable NonConvertible Debentures. Letter ofUnsecured 13.50% Allotment. Redeemable NonConvertible Subordinated Bonds in the form of 14.00% Unsecured Redeemable NonConvertible Subordinated Bonds in the form of 11.50% Unsecured Redeemable NonConvertible Subordinated Bonds in the form of 11.00% Unsecured T.N.E.B. Power Bonds (Guaranteed by Govt. of Tamil Nadu) Series
INE335A07019
SWARAJ ENGINES LIMITED SWARAJ ENGINES LIMITED SWARAJ ENGINES LIMITED SWARAJ ENGINES LIMITED SYNDICATE BANK
INE277A08029
INE277A08037
INE277A08011
INE277A08045
INE667A09011
SYNDICATE BANK
INE667A09029
SYNDICATE BANK
INE667A09037
INE084G09115
TAMILNADU INDUSTRIAL DEVELOPMENT CORPORATION LTD. TAMILNADU INDUSTRIAL DEVELOPMENT CORPORATION LTD. TAMILNADU INDUSTRIAL DEVELOPMENT CORPORATION LTD. TAMILNADU INDUSTRIAL DEVELOPMENT CORPORATION LTD. TAMILNADU INDUSTRIAL DEVELOPMENT CORPORATION LTD. TAMILNADU INDUSTRIAL DEVELOPMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD.
INE085F08017
INE085F08025
11.00% Unsecured Non Convertible bonds in the form of Debentures. Date of Maturity: 29.09.2002 13.50% Unsecured Non Convertible bonds in the form of Debentures. Date of Maturity: 08.09.2003 12.90% Unsecured Non Convertible bonds in the form of Debentures. Date of Maturity: 09.01.2007 13.00% Unsecured Non Convertible bonds in the form of Debentures. Date of Maturity: 07.10.2007 12.25% Unsecured Non Convertible bonds in the form of Debentures. Date of Maturity: 31.10.2007 12.75% Unsecured Non Convertible bonds in the form of Debentures. Date of Maturity: 02.11.2007 11.00% Unsecured NonConvertible TIIC SLR Bonds-2002 in the form of Promisory Notes.Date 11.00% Unsecured NonConvertible TIIC SLR Bonds-2003 in the form of Promisory Notes.Date 13.50% Unsecured NonConvertible TIIC SLR Bonds-2003 in the form of Promisory Notes.Date 13.50% Unsecured NonConvertible TIIC SLR Bonds-2004 in the form of Promisory Notes.Date 12.50% Unsecured NonConvertible TIIC SLR Bonds-2004 in the form of Promisory Notes.Date 12.50% Unsecured NonConvertible TIIC SLR Bonds-2005 in the form of Promisory Notes.Date 14.00% Unsecured NonConvertible TIIC SLR Bonds-2005 in the form of Promisory Notes.Date
INE085F08090
INE085F08033
INE085F08108
INE085F08116
INE638F09011
INE638F09029
INE638F09177
INE638F09185
INE638F09193
INE638F09201
INE638F09219
TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD. TAPI IRRIGATION DEVELOPMENT CORPORATION TAPI IRRIGATION DEVELOPMENT CORPORATION TAPI IRRIGATION DEVELOPMENT CORPORATION TAPI IRRIGATION DEVELOPMENT CORPORATION Tata Industries Ltd.
INE638F09227
INE638F09235
14.00% Unsecured NonConvertible TIIC SLR Bonds-2005 in the form of Promisory Notes.Date 13.85% Unsecured NonConvertible TIIC SLR Bonds-2006 in the form of Promisory Notes.Date 13.75% Unsecured NonConvertible TIIC SLR Bonds-2007 in the form of Promisory Notes.Date 13.00% Unsecured NonConvertible TIIC SLR Bonds-2007 in the form of Promisory Notes.Date 12.30% Unsecured NonConvertible TIIC SLR Bonds-2007 in the form of Promisory Notes.Date 13.00% Unsecured NonConvertible TIIC SLR Bonds-2007 in the form of Promisory Notes.Date 12.30% Unsecured NonConvertible TIIC SLR Bonds-2008 in the form of Promisory Notes.Date 12.30% Unsecured NonConvertible TIIC SLR Bonds-2008 in the form of Promisory Notes.Date 13.25% Secured Redeemable NonConvertible Bonds. Series-I.Secured Maturity: 14.50% Date of Redeemable NonConvertible Bonds. Series-II. Date of 13.50% Secured Redeemable NonConvertible Bonds. Series-III. Date of 13.00% Secured Redeemable NonConvertible Bonds. Series-IV. Date of 9.80% Unsecured Redeemable Non Convertible Debentures (Date of Maturity : 03rd
INE638F09243
INE638F09151
INE638F09250
INE638F09169
INE638F09268
INE638F09276
INE689F07018
INE689F07026
INE689F07034
INE689F07042
INE760E08018
INE764F07019
11.35% Secured Redeemable Nonconvertible Debentures. Date % Secured : 7.18 of maturity Redeemable NonConvertible Debentures. Date % Secured : 7.18 of Maturity Redeemable NonConvertible Debentures.Part A Date 7.18 % Secured Redeemable NonConvertible Debentures. Date % Secured : 7.18 of Maturity Redeemable NonConvertible Debentures. Part B Date of Maturity : 7.18 % Secured Redeemable NonConvertible Debentures. Date % Secured : 7.18 of Maturity Redeemable NonConvertible Debentures Part C. Date of Maturity : 11.10% Unsecured NonConvertible Redeemable Debentures. Date Of Maturity: 03.01.2003 7% Secured Convertible Debentures -with Detachable warrants
TATA ENGINEERING & LOCOMOTIVE COMPANY LTD. TATA ENGINEERING & LOCOMOTIVE COMPANY LTD. TATA ENGINEERING & LOCOMOTIVE COMPANY LTD. TATA ENGINEERING & LOCOMOTIVE COMPANY LTD. TATA ENGINEERING & LOCOMOTIVE COMPANY LTD.
INE155A07011
INE155A08019
INE155A07110
8.10% Secured NonConvertible Debenture Letter Of allotment, Date of Maturity: 11/11/2002 12.25% Secured Redeemeable Non Convertible DebenturesSeries E10 .Date of 13.50% Secured Redeemeable Non Convertible DebenturesSeries E11-Option A.( No 13.50% Se.Date of Maturity:23/07/2005cured Redeemeable Non Convertible Debentures-
INE155A07052
INE155A07060
TATA ENGINEERING & LOCOMOTIVE COMPANY LTD. TATA ENGINEERING & LOCOMOTIVE COMPANY LTD. TATA ENGINEERING & LOCOMOTIVE COMPANY LTD. TATA ENGINEERING & LOCOMOTIVE COMPANY LTD. TATA ENGINEERING & LOCOMOTIVE COMPANY LTD. TATA ENGINEERING & LOCOMOTIVE COMPANY LTD.
INE155A07102
INE155A08035
11.85% Secured Redeemeable Non Convertible DebenturesSeries E16 .DateNCD. 7.70% Secured of Date of Maturity: 07/10/2006. Letter of Allotment. 7.70% Secured NCD. Date of Maturity: 07/10/2006.
INE155A07136
INE155A07094
INE155A08027
11.40% Secured Redeemeable Non Convertible DebenturesSeries E14. .Date of Floating Rate (one year INBMK + 140 bps ) for one year payable semiannually Rate (one year Floating Secured NCD. INBMK + 140 bps ) for one year payable semiannuallySecured NCD. 13.25% Secured Redeemable NonConvertible Debentures
INE155A07128
12.25% Secured Redeemable NonConvertible Debentures 6.00% Secured Redeemable NonConvertible Debentures. Letter ofUnsecured 10.00% Allotment Redeemable NonConvertible Debentures. Letter Of Allotment. 10.00% Unsecured Redeemable NonConvertible Debentures. Letter Of Allotment. 7.00% Secured Rated Redeemable NonConvertible Debentures. Letter Of Allotment. 10.00% Unsecured Redeemable NonConvertible Debentures. Letter Of Allotment.
10.00% Unsecured Redeemable NonConvertible Debentures. Letter Of Allotment. 10.00% Unsecured Redeemable NonConvertible Debentures. Letter Of Allotment. 10.00% Unsecured Redeemable NonConvertible Debentures. Letter Of Allotment. 10.00% Unsecured Redeemable NonConvertible Debentures. Letter Of Allotment. 10.00% Unsecured Redeemable NonConvertible Debentures. Letter Of Allotment. 13.00% Secured Redeemable NonConvertible Debentures
INE265A07026
INE265A07083
INE265A07042
INE265A07059
INE265A07117
INE265A07018
INE265A07067
INE265A07075
12.95 % secured NonConvertible Debentures Part F(Detachable Interest Coupon Strips)-Series I 12.95 % secured NonConvertible Debentures Part A(Principal Strips)-Series II
INE265A08156
11.25% Unsecured Redeemable NonConvertible Debentures. LOA. Date of 5.90% Unsecured Redeemable NonConvertible Debentures.
6.50% Unsecured Redeemable NonConvertible Debentures. 6.25% Unsecured Redeemable NonConvertible Debentures. 6.25% Unsecured Redeemable NonConvertible Debentures. 6.00% Unsecured Redeemable NonConvertible Debentures. 6.00% Unsecured Redeemable NonConvertible Debentures. 6.00% Unsecured Redeemable NonConvertible Debentures. 6.00% Unsecured Redeemable NonConvertible Debentures. 6.15% Unsecured Redeemable NonConvertible Debentures. 7.25% Unsecured Redeemable NonConvertible Debentures.
TATA INVESTMENT CORPORATION LIMITED TATA INVESTMENT CORPORATION LIMITED TATA INVESTMENT CORPORATION LIMITED TATA INVESTMENT CORPORATION LIMITED TATA INVESTMENT CORPORATION LIMITED TATA INVESTMENT CORPORATION LIMITED TATA INVESTMENT CORPORATION LIMITED TATA INVESTMENT CORPORATION LIMITED Tata Sons Limited
INE672A08013
Zero Coupon Secured Non Convertible Cumulative Exchangeable Premium Zero Coupon Secured Convertible Debentures. Part A, Date of Conversion: 31.03.2002. Zero Coupon Secured Convertible Debentures. Part A, Date of Conversion: 31.03.2002. Zero Coupon Secured Convertible Debentures. Part B Date of Conversion: 31.03.2003. Zero Coupon Secured Non- Convertible Redeembale Debentures. Part C Date of Zero Coupon Secured Convertible Debentures. Part B Date of Conversion: 31.03.2003. Zero Coupon Secured Non- Convertible Debentures. Part C Date of Redemption: 4.00% Secured Redeemable NonConvertible Debentures. Letter of Allotment. 4.00% Secured Redeemable NonConvertible Debentures. Letter of Alotment. 9% Secured Redeemable Non Convertible Debenture (Option I)
INE672A07015
INE672A08021
INE672A08039
INE672A07023
INE672A07031
INE672A08047
INE672A08054
INE895D08030
INE895D07032
9% Secured Redeemable Non Convertible Debenture (Option I) 9.15% Secured Redeemable Non Convertible Debenture (OptionSecured 9.15% II) Redeemable Non Convertible Debenture (Option II)
INE895D08048
INE895D07040
INE895D08055
INE895D07057
9.25% Secured Redeemable Non Convertible Debenture (OptionSecured 9.25% III) Redeemable Non Convertible Debenture (Option III) 14.75% Secured Redeemable NCD .Date of Maturity:28.05.2002
INE895D07073
INE895D07081
12.25% Secured Redeemable NCD .Date of Maturity:01.12.2002 8.75% Secured Redeemable Bonds in the form of Promissory Notes .Date of 13.50% Secured Redeemable NCD .Date of Maturity:01.06.2003
INE895D09012
INE895D07099
INE895D08071
INE895D08105
INE895D08097
NSE Mibor + 40 Bps Unsecured Redeemable Non-Convertible Debentures. Date of 7.85% Secured Redeemable NonConvertible Debentures.Letter of 7.85% Secured Redeemable NonConvertible Debentures.Date of 6.80% Secured Redeemable NonConvertible Debentures.Option-I 6.80% Secured Redeemable NonConvertible Debentures.Option-I 6.35% Secured Redeemable NonConvertible Debentures.Option-I
INE895D07172
INE895D08113
INE895D07180
INE895D08139
INE895D08121
INE895D07198
7.10% Secured Redeemable NonConvertible Debentures.Option-II 7.10% Secured Redeemable NonConvertible Debentures. Option-IISecured 14.00% . Date of Redeemable NonConvertible Debentures. Date of Maturity: 14.00% Secured Redeemable NonConvertible Debentures. Date ofSecured 6.00% Maturity: Redeemable NonConvertible Debenture Date of Maturity: NCD10.50% Unsecured LOA, Date OF Maturity: 09.07.2002
INE675A07018
INE675A07026
INE192A08020
TATA TELESERVICES LIMITED TATA TELESERVICES LIMITED TATA TELESERVICES LIMITED TELCO CONSTRUCTION EQUIPMENT CO. LTD TELCO CONSTRUCTION EQUIPMENT CO. LTD TEXTOOL COMPANY LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD.
INE037E08011
INE037E08029
INE037E07013
Zero Coupon Secured Non-Convertible Debentures. Date of Maturity: 17/10/2003. Zero Coupon Secured Non-Convertible Debentures. Date of Maturity:Unsecured 10.00% 17/10/2003. Redeemeable NCD. Date of Maturity: 18/06/2002.LOA 6.45% Unsecured Redeemeable NCD. Date of Maturity: 31/01/2003.LOA Non12.00% Secured Convertible Debentures. Date of Maturity: 30/06/2003 7.00% Secured Redeemable Taxable Non-Convertible Debenture - Series XIV. 7.00% Secured Redeemable Taxable Non-Convertible Debenture - Series XIV.
INE742E08016
INE742E08040
INE677A07014
INE012A08087
INE012A07162
THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD. THE ASSOCIATED CEMENT COMPANIES LTD.
INE012A08095
INE012A07170
6.30% Secured Redeemable Taxable Non-Convertible Debenture - Series XV. 6.30% Secured Redeemable Taxable Non-Convertible Debenture - Series XV. 7.95% Secured Redeemable Taxable Non-Convertible Debenture - Series XII. 7.95% Secured Redeemable Taxable Non-Convertible Debenture - Series XII. 7.30% Secured Redeemable Taxable Non-Convertible Debenture - Series XIII. 7.30% Secured Redeemable Taxable Non-Convertible Debenture - Series XIII. 9.80% Secured Redeemable Taxable Non-Convertible Debenture - Series VIII. 9.80% Secured Redeemable Taxable Non-Convertible Debenture - Series VIII. . 9.50% Secured Redeemable Taxable Non-Convertible Debenture - Series IX. 9.50% Secured Redeemable Taxable Non-Convertible Debenture - Series IX. . 8.95% Secured Redeemable Taxable Non-Convertible Debenture - Series X. 8.95% Secured Redeemable Taxable Non-Convertible Debenture - Series X. 8.95% Secured Redeemable Taxable Non-Convertible Debenture - Series XI.
INE012A08061
INE012A07147
INE012A08079
INE012A07154
INE012A08020
INE012A07105
INE012A08038
INE012A07113
INE012A08046
INE012A07121
INE012A08053
THE ASSOCIATED CEMENT COMPANIES LTD. The Bombay Dyeing & Manufacturing Co. Ltd. The Bombay Dyeing & Manufacturing Co. Ltd.
INE012A07139
INE032A08028
8.95% Secured Redeemable Taxable Non-Convertible Debenture - SeriesNon 9.25% Unsecured XI. Transferable Redeemable non convertible debentures 10.00% Unsecured non convertible debentures.Date of Maturity:90 Basis points Mibor + 12/06/2002.LOA Unsecured non convertible debentures.Date of Mibor+70 Basis points Unsecured NonConvertible Debentures. Date of Basis points Mibor+80 Unsecured NonConvertible Debentures. Date ofUnsecured Non 6.67% convertible debentures.Date of Maturity:19/03/2003.LOA 6.75% Unsecured Non convertible debentures.Date of Maturity:28/03/2003.LOA NSE MIBOR + 0 bps Secured Redeemable Non-Convertible Debentures. Letter of 8.95% Secured NCD 2002. Date of maturity:09/07/2007.LOA 8.95% Secured NCD 2002. Date of maturity:09/07/2007. 11.75% Unsecured Redeemable Tier II Bonds in the form of Promissory notes, Tier II 9.50% Unsecured Series Bonds in the form of Promissory notes, Series II. Date of Maturity:
INE032A08036
THE BOMBAY DYEING INE032A08069 & MANUFACTURING CO. LTD. THE BOMBAY DYEING INE032A08101 & MANUFACTURING CO. LTD. THE BOMBAY DYEING INE032A08119 & MANUFACTURING CO. LTD. THE BOMBAY DYEING INE032A08168 & MANUFACTURING CO. LTD. THE BOMBAY DYEING INE032A08176 & MANUFACTURING CO. LTD. THE BOMBAY DYEING INE032A07202 & MANUFACTURING CO. LTD. THE GREAT EASTERN INE017A08110 SHIPPING COMPANY LTD. THE GREAT EASTERN INE017A07518 SHIPPING COMPANY LTD. THE BANK OF RAJASTHAN LTD. THE BANK OF RAJASTHAN LTD. INE320A09025
INE320A09017
THE BOMBAY DYEING & MANUFACTURING COMPANY LTD. THE BOMBAY DYEING & MANUFACTURING COMPANY LTD. THE BOMBAY DYEING & MANUFACTURING COMPANY LTD. THE BOMBAY DYEING & MANUFACTURING COMPANY LTD. THE BOMBAY DYEING & MANUFACTURING COMPANY LTD.
INE032A08044
INE032A08051
8.75% Unsecured non convertible debentures.Date of Maturity: 10/07/2002.LOA 9.55% Unsecured non convertible debentures.Date of Maturity: 06/09/2002.LOA Mibor+ 70 Basis points Unsecured NonConvertible Debentures. Date ofUnsecured Non 7.50% convertible debentures.Date of Maturity:06/01/2003.LOA Mibor+ 70 Basis points Unsecured NonConvertible Debentures. Date ofUnsecured non 9.10% convertible debentures.Date of Maturity:09/10/2002.LOA NSE MIBOR - 10 bps Secured Redeemable Non-Convertible Debentures. Letter of NSE MIBOR - 10 bps Secured Redeemable Non-Convertible Debentures. Letter of Mibor+90 Basis points Unsecured NonConvertible Debentures. Date ofUnsecured Non 7.90% convertible debentures.Date of Maturity:27/11/2002.LOA Mibor+ 75 Basis points Unsecured NonConvertible Debentures. Date ofUnsecured Non 6.80% convertible debentures.Date of Maturity:29/04/2003.LOA 6.80% Unsecured Non convertible debentures.Date of Maturity:06/05/2003.LOA
INE032A08127
INE032A08143
INE032A08150
THE BOMBAY DYEING INE032A08077 & MFG COMPANY LTD. THE BOMBAY DYEING & MANUFACTURING CO. LIMITED THE BOMBAY DYEING & MANUFACTURING CO. LIMITED INE032A07244
INE032A07251
THE BOMBAY DYEING INE032A08085 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A08093 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A08135 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A08184 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A08192 & MFG COMPANY LTD.
THE BOMBAY DYEING INE032A08200 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A08226 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A08218 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A08234 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A08259 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A08242 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07012 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07020 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07038 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07046 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07053 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07087 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07061 & MFG COMPANY LTD.
mibor + 70bps unsecured ncds-loa 5.5% Unsecured NCDLOA 5.50% Unsecured Non convertible debentures.Letter of Allotment. 5.5% Unsecured NCDLOA 5.45% Unsecured NCDLOA 5.5% Unsecured NCDLOA 5.50% Secured Redeemable Non convertible debentures. Letter of Allotment 5.20% Secured Redeemable Non convertible debentures. Letter of Allotment 5.50% Secured Redeemable Non convertible debentures. Letter of Allotment 5.17% Secured Redeemable Non convertible debentures. Letter of Allotment 5.17% Secured Redeemable Non convertible debentures. Letter of+Allotment MIBOR 20 bps Secured Redeemable Non convertible debentures. Letter of Allotment 5.23% Secured Redeemable Non convertible debentures. Letter of Allotment
THE BOMBAY DYEING INE032A07079 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07095 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07103 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07111 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07129 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07137 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07145 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07152 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07160 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07178 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07186 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07194 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07210 & MFG COMPANY LTD.
5.25% Secured Redeemable Non convertible debentures. Letter of Allotment 5.20% Secured Redeemable NonConvertible Debentures. Letter of Allotment 5.15% Secured Redeemable NonConvertible Debentures. Letter of Allotment 5.15% Secured Redeemable NonConvertible Debentures. Letter of Allotment 5.15% Secured Redeemable NonConvertible Debentures. Letter of Allotment. 5.15% Secured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR + 20 bps Secured Redeemable Non-Convertible Debentures. Letter of 5.10% Secured Redeemable NonConvertible Debentures. Letter of Allotment. 5.10% Secured Redeemable NonConvertible Debentures. Letter of Allotment. 5.00% Secured Redeemable NonConvertible Debentures. Letter of Allotment. 5.00% Secured Redeemable NonConvertible Debentures. Letter of Allotment. 4.99% Secured Redeemable NonConvertible Debentures. Letter of Allotment. NSE MIBOR + 0 bps Secured Redeemable Non-Convertible Debentures. Letter of
THE BOMBAY DYEING INE032A07228 & MFG COMPANY LTD. THE BOMBAY DYEING INE032A07236 & MFG COMPANY LTD. THE CATHOLIC SYRIAN INE679A08018 BANK LTD. THE CATHOLIC SYRIAN INE679A08026 BANK LTD. THE CATHOLIC SYRIAN INE679A08034 BANK LTD. The Hindustan Times Limited The Hindustan Times Limited THE INDIA CEMENTS LIMITED THE INDIA CEMENTS LIMITED THE INDIA CEMENTS LIMITED THE INDIA CEMENTS LTD. THE INDIAN HOTELS COMPANY LTD. THE INDIAN HOTELS COMPANY LTD. INE946D08015
4.70% Secured Redeemable NonConvertible Debentures. Letter of Allotment. 4.63% Secured Redeemable NonConvertible Debentures. Letter ofUnsecured Non14.25% Allotment. Convertible Bonds. Date of Maturity: 30/06/2004 9.75% Unsecured NonConvertible Bonds. Date of Maturity: 30/06/2007 9.75% Unsecured NonConvertible Bonds. Date of Maturity: 19/07/2007 10.50% Secured Redeemable NCD Series 1 LOA 10.50% Secured Redeemable Non Convertible Debentures (Series 1 ) 14.00% Secured NonConvertible Debenture . Date of Maturity: 01/10/2002 13% Non Convertible Debentures (Letter of Allotment)
INE946D07017
INE383A07027
INE383A08017
INE383A07050
INE383A08025
Zero Coupon Secured Non- Convertible Debenture . Date of Maturity: 02/04/2005 13% Non Convertible Debentures (Letter of Allotment)
INE053A07042
INE053A07059
14.00% Secured Non Convertible Debentures. Date of Maturity: 23/11/2003 14.00% Secured Non Convertible Debentures. Date of Maturity: 25/11/2003
THE INDIAN HOTELS COMPANY LTD. THE INDIAN HOTELS COMPANY LTD. THE INDIAN HOTELS COMPANY LTD. THE INDIAN HOTELS COMPANY LTD. THE INDIAN HOTELS COMPANY LTD. THE LAKSHMI VILAS BANK LTD. THE LAKSHMI VILAS BANK LTD.
INE053A07067
INE053A08016
14.00% Secured Non Convertible Debentures. Date of Maturity: 20/01/2004 6.00% Secured NonConvertible Redeemable Debenture, Letter of allotment. Date of 6.00% Secured NonConvertible Redeemable Debenture, Letter of allotment. Date of 9.75% Secured NonConvertible Redeemable Debenture, Letter of allotment. Date of 9.75% Secured NonConvertible Redeemable Debenture.. Date of Maturity:Unsecured Sub12.85% 02/03/2007 ordinated Bonds In the Form of Promissory Notes and Debentures. 10.40% Unsecured Nonconvertible Sub-ordinated Tier-II Bonds In the Form of Promissory Notes and Mibor + 130 bppa Unsecured Redeemable Non-Convertible Debentures bps Mibor + 130 Unsecured NonConvertible Debentures. Date of Maturity Mibor + 130 bps Unsecured NonConvertible Debentures. Date Coupon Secured Zero of Maturity NCD . Date of Maturity: 15/07/2003. Letter of Allotment Zero Coupon Secured NCD . Date of Maturity: 15/07/2003. 10.00% Secured NCD . Date of Maturity: 16/07/2005. Letter of Allotment
INE053A08024
INE053A08032
INE053A07109
INE694C09029
INE694C09011
THE MADRAS INE223B08062 ALUMINIUM COMPANY LIMITED THE MADRAS INE223B08047 ALUMINIUM COMPANY LTD. THE MADRAS INE223B08054 ALUMINIUM COMPANY LTD. THE MADRAS INE223B08013 ALUMINIUM COMPANY LTD. THE MADRAS INE223B07031 ALUMINIUM COMPANY LTD. THE MADRAS INE223B08021 ALUMINIUM COMPANY LTD.
THE MADRAS INE223B07015 ALUMINIUM COMPANY LTD. THE MADRAS INE223B08039 ALUMINIUM COMPANY LTD. THE MADRAS INE223B07023 ALUMINIUM COMPANY LTD. THE MORARJEE INE138A08015 GOCULDAS SPINNING & WEAVING COMPANY LTD. MORARJEE THE INE138A08023 GOCULDAS SPINNING & WEAVING COMPANY LTD. MORARJEE THE INE138A08031 GOCULDAS SPINNING & WEAVING COMPANY LTD. MORARJEE THE INE138A08049 GOCULDAS SPINNING & WEAVING COMPANY LTD. MORARJEE THE INE138A08056 GOCULDAS SPINNING & WEAVING COMPANY LTD. NATIONAL SMALL INE971F08018 THE INDUSTRIES CORPORATION LTD THE NEDUNGADI BANK INE586A09013 LIMITED THE NEDUNGADI BANK INE586A09021 LIMITED THE NEDUNGADI BANK INE586A09039 LIMITED THE PERIA KARAMALI TEA & PRODUCE CO. LTD. INE431F07015
10.00% Secured NCD . Date of Maturity: 16/07/2005. 10.25% Secured NCD . Date of Maturity: 16/07/2007. Letter of Allotment 10.25% Secured NCD . Date of Maturity: 16/07/2007. 12.25% Secured NonConvertible Debenture ; Date of Maturity:02.03.2002. 12.25% Secured NonConvertible Debenture ; Date of Maturity:05/04/2002. 12.25% Unsecured NonConvertible Debenture ; Date of Maturity:22/07/2002. 12.25% Unsecured NonConvertible Debenture ; Date of Maturity:21/09/2002. 11.00% Unsecured NonConvertible Debenture ; Date of Maturity:02/12/2002. 6.50% Secured Redeemable NonConvertible Govt. Guaranteed Bonds. 14.00% Unsecured Subordinated Redeemable NonConvertible Bonds in the 12.25% Unsecured Subordinated Redeemable NonConvertible Bonds in the 12.25% Unsecured Subordinated Redeemable NonConvertible Bonds in the 15.00% Secured Redeemable NonConvertible Debentures. Date of Final Redemption
THE PRADESHIYA INE637F09013 INDUSTRIAL & INVESTMENT CORPORATION OF U.P. INE637F09021 THE PRADESHIYA INDUSTRIAL & INVESTMENT CORPORATION OF U.P. INE683A09018 THE SOUTH INDIAN BANK LTD. THE SOUTH INDIAN BANK LTD. THE SOUTH INDIAN BANK LTD. THE SOUTH INDIAN BANK LTD. INE683A09026
14.00% Unsecured Govt. Guaranteed NonConvertible Bonds in the form of Promissory Govt. 14.00% Unsecured Guaranteed NonConvertible Bonds in the form of Promissory Unsecured Redeemeable Subordinate Bonds in the form of Promissory Notes,% Unsecured 13.00 SIB Bonds 1998. Redeemeable Subordinate Bonds in the form of Promissory 13.00 % Unsecured Redeemeable Subordinate Bonds in the form of Promissory 13.00 % Unsecured Redeemeable Subordinate Bonds in the form of Promissory 9.70 % Unsecured
Redeemeable Subordinate Bonds in the form of Promissory Notes, SIB
INE683A09034
INE683A09042
THE TATA IRON AND STEEL COMPANY LIMITED THE TATA IRON AND STEEL COMPANY LIMITED THE TATA IRON AND STEEL COMPANY LIMITED THE TATA IRON AND STEEL COMPANY LIMITED THE TATA IRON AND STEEL COMPANY LIMITED THE TATA IRON AND STEEL COMPANY LIMITED
INE081A07159
INE081A07050
18.00% Secured Redeemable NCD , Date of Final Redemption: 20/08/2002 8.90% Secured Redeemable NCD : Date Of Maturity: 18/10/2002
INE081A08108
10.00% Unsecured Redeemable NCD , Date Of Maturity:15/02/2004. 14.00% Secured Redeemable NCD , Date Of Maturity:12/08/2005 9.50% Secured Redeemable NCD , Date Of Maturity:07/11/2006 9.5% Secured Redeemable NCD : Date Of Maturity: 22/01/2007
INE081A07092
INE081A07084
INE081A08082
THE TATA IRON AND STEEL COMPANY LIMITED THE TATA IRON AND STEEL COMPANY LIMITED THE TATA IRON AND STEEL COMPANY LIMITED THE TATA POWER COMPANY LTD. THE TINPLATE COMPANY OF INDIA LIMITED THE TINPLATE COMPANY OF INDIA LIMITED
INE081A07126
9.50% Secured Redeemable NCD. Date Of Maturity:22/01/2007 9.25% Secured Redeemable NCD , Date Of Maturity:28/02/2007(Lette 9.25% Secured Redeemable NCD , Date Of Maturity:07/03/07
INE081A08090
INE081A07134
INE245A07036
INE422C08019
13.75% Secured Redeemable NonConvertible Debenture. Date ofSecured 7.00% Maturity: Redeemable Taxable Non-Convertible Debentures. Letter of 7.00% Secured Redeemable Taxable Non-Convertible Debentures. 14.25% Unsecured Non Convertible Subordinated Bonds in the form of Debentures/Promissory 12.85% Unsecured Non Convertible Subordinated Bonds in the form of Debentures/Promissory 14.50% Unsecured Non Convertible Subordinated Bonds in the form of Debentures/Promissory 9.55% Unsecured Non Convertible Bonds in the form of Debentures/Promissory 12.65% Unsecured NonConvertible Subordinated Bonds form of Promissory Notes.Series 9.75% Secured Non
Convertible Debentures, Series I . Date of Maturity:15/05/2007
INE422C07029
THE UNITED WESTERN INE165A09024 BANK LTD. THE UNITED WESTERN INE165A09032 BANK LTD. THE UNITED WESTERN INE165A09016 BANK LTD. THE UNITED WESTERN INE165A09040 BANK LTD. THE VYSYA BANK LTD. INE166A09014
TISCO
INE081A08041
TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED
INE305A08150
15.00% Unsecured NCD, Series MB XIV A, Date of Maturity:02/06/2002 13.25% Unsecured NCD, Series MB XV Date of Maturity:27/10/2002 13.50% Unsecured NCD, Series MB XVI B Date of Maturity:29/01/2003 14.00% Unsecured NCD, Series MB XVII Date of Maturity:20/02/2003 14.00% Unsecured NCD, Series MB XVIII B Date of Maturity:23/04/2003 14.50% Unsecured NCD, Series MB XVIII A Date of Maturity:23/04/2003 18.00% Unsecured NCD, Series MB XI B, Date of Maturity:04/06/2003 17.25% Unsecured NCD, Series MB XI A, Date of Maturity:04/06/2003 14.00% Unsecured NCD, Series MB XIX Date of Maturity:21/10/2003 14.00% Unsecured NCD, Series MB XX B, Date of Maturity:01/03/2004 14.25% Unsecured NCD, Series MB XXI, Date of Maturity:05/03/2004 12.85% Unsecured NCD, Series MB XXII, Date of Maturity: 04/10/2004 12.50% Unsecured NCD, Series MB XXIII, Date of Maturity: 16/03/2005
INE305A08143
INE305A08135
INE305A08127
INE305A08119
INE305A08200
INE305A08176
INE305A08184
INE305A08101
INE305A08085
INE305A08069
INE305A08051
INE305A08044
TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TOURISM FINANCE CORPORATION OF INDIA LIMITED TRACTORS & FARM EQUIPMENT LTD. TRACTORS & FARM EQUIPMENT LTD.
INE305A08077
13.85% Unsecured NCD, Series MB XX D, Date of Maturity:01/03/2006 14.25% Unsecured NCD, Series MB XX A, Date of Maturity:01/03/2006 16.55% Unsecured NCD, Series MB XIII C, Date of Maturity:18/02/2007 10.00% Unsecured Non Convertible Bonds in the form of Promissory Notes, Series MB XXVII 12.60% Unsecured NCD, Series MB XXIV, Date of Maturity: 16/03/2007
INE305A08093
INE305A08168
INE305A09018
INE305A08036
INE305A08028
11.70% Unsecured NCD, Series MB XXV, Date of Maturity: 01/08/2007 10.75% Unsecured Redeemable Non Convertible transferable Debenture. Date of 10.75% secured Redeemable Non Convertible transferable Debenture. Date of 13.00% Unsecured Redeemable NonConvertible Bonds in the form of Debentures. 13.00% Unsecured Redeemable NonConvertible Bonds in the form of Debentures. 14.25% unsecured Redeemable Nonconvertible Debentures.Date of MIBOR + 05 bps Unsecured Redeemable NOn-convertible Debentures. Letter of NSE Mibor+15bps Unsecured NCD
INE985D08021
INE985D07015
TRANSMISSION INE947F08182 CORPORATION OF A.P. LIMITED TRANSMISSION INE947F08190 CORPORATION OF A.P. LIMITED TTK HEALTHCARE LTD. INE910C08013
INE149A08020
INE149A08038
TUBE INVESTMENTS OF INDIA LTD. TUBE INVESTMENTS OF INDIA LTD. TUBE INVESTMENTS OF INDIA LTD. TUBE INVESTMENTS OF INDIA LTD. TUBE INVESTMENTS OF INDIA LTD. TVS FINANCE AND SERVICES LIMITED TVS FINANCE AND SERVICES LIMITED TVS FINANCE AND SERVICES LIMITED TVS FINANCE AND SERVICES LIMITED TVS FINANCE AND SERVICES LIMITED TVS SRICHAKRA LIMITED TVS SRICHAKRA LIMITED UCO BANK
INE149A08046
INE149A07022
MIBOR + 05 bps Unsecured Redeemable Non-convertible Debentures. Letter of 11.90% Secured Redeemable NCD.Date of maturity: 12/11/2003
INE149A08053
INE149A08012
MIBOR + 05 bps Unsecured Redeemable Non-convertible Debentures. Letter of 6.40% Secured Redeemable NCD.Letter of Allotment. Date of maturity: 14/12/2005 6.40% Secured Redeemable NCD.Date of maturity: 14/12/2005
INE149A07030
INE765A09013
Zero Coupon Bonds in the form of Promissory Notes Zero Coupon Bonds in the form of Promissory Notes Zero Coupon Bonds in the form of Promissory Notes Zero Coupon Bonds in the form of Promissory Notes Zero Coupon Bonds in the form of Promissory Notes 9.95% Unsecured NonConvertible Redeemable Debentures. Date Of Maturity:Secured Non10.25% 19.10.2003 Convertible Redeemable Debentures. Date Of Maturity: 30.11.2003 11% Unsecured Redeemable Subordinated Bonds (Series I) in the form of
INE765A09021
INE765A09039
INE765A09047
INE765A09054
INE421C08011
INE421C07013
INE691A09011
UCO BANK
INE691A09029
INE018A07292
9.50% Unsecured Redeemable Subordinated Bonds (Series II) in the form of 11.75% Non Convertible Debentures-
INE018A07391
INE018A07383
8.40% Secured Non Convertible Debentures , NCD/FXD/02-03/ 06 Date Of Maturity: 22/07/2007 8.09% Secured Non Convertible Debentures , NCD/FXD/02-03/ 07 Date Of Maturity: 25/07/2007 11.25% Subordinated Bonds Issue in the Nature of Promissory Notes-Series II , date of 12.50% Subordinated Bonds Issue in the Nature of Promissory Notes-Series I , date of 9.80% Subordinated Bonds Issue in the Nature of Promissory Notes-Series III , date 9.30% Subordinated Bondsof
Issue in the Nature of Promissory Notes-Series IV , date of Maturity: 05.07.2007.
INE692A09043
UNITECH LIMITED
INE694A07019
12.50% Subordinated Bonds Issue in the Nature of Promissory Notes-Series I , Non of 14.5% Secured date Convertible Debentures Date Of Maturity:29/06/2005Non 11.00% Unsecured Convertible Bonds in the form of Promissory NotesSeries I .Date of Maturity: 7.00% Unsecured Unrated Non-Convertible Redeemable Debentures. Letter Of Allotment. 6.50% Unsecured Unrated Non-Convertible Redeemable Debentures. Letter Of Allotment.
UNITED PHOSPHORUS INE628A08049 LIMITED UNITED PHOSPHORUS INE628A08056 LIMITED UNITED PHOSPHORUS INE628A08064 LIMITED UNITED PHOSPHORUS INE628A08023 LIMITED USHA BELTRON LIMITED USHA BELTRON LIMITED USHA BELTRON LIMITED USHA BELTRON LIMITED USHA BELTRON LIMITED USHA BELTRON LIMITED USHA BELTRON LIMITED USHA BELTRON LIMITED USHA BELTRON LIMITED INE228A08014
7% Unsecured Unrated Non-Convertible Redeemable Debentures. Letter Of Allotment. 6.50% Unsecured Unrated Non-Convertible Redeemable Debentures. Letter Of Allotment. 6.15% Unsecured Unrated Non-Convertible Redeemable Debentures. Letter Of Allotment. 6.50% Unsecured Unrated Non-Convertible Redeemable Debentures. Letter +1.75 BP Non Index Of Allotment. Convertible Non Transferable redeemable Floating 175 Bps Mibor + rate debentures Unsecured Non Convertible Transferable redeemable Private MIBOR +175 BPs Unsecured Non Convertible rivately Placed Redeemable Mibor + 175 Bps Unsecured Non Convertible redeemable Private 175 Bps Mibor + Unsecured Non Convertible redeemable Private 175 Bps Mibor + Unsecured Non Convertible redeemable Private 175 Bps Mibor + Unsecured Non Convertible redeemable Private 175 Bps Mibor + Unsecured Non Convertible redeemable Private 175 Bps Mibor + Unsecured Non Convertible redeemable Private
INE228A08048
INE228A08055
INE228A08063
INE228A08071
INE228A08089
INE228A08097
INE228A08105
INE228A08113
USHA BELTRON LIMITED USHA BELTRON LIMITED USHA BELTRON LIMITED USHA BELTRON LIMITED USHA BELTRON LTD.
INE228A08121
Mibor + 145bps unsecured redeemable NCDs mibor + 145 bps unsecured redeemable NCDs Mibor+145bps Unsecured NCD Mibor+145bps Unsecured NCD Mibor + 175 Bps Non Convertible Transferable redeemable Floating rate debentures. Letter of Mibor + 175 Bps Non Convertible Transferable redeemable Floating rate debentures. Letter of Mibor+145bps Unsecured NCD Letter Of Allotment
INE228A08139
INE228A08154
INE228A08147
INE228A08022
INE228A08030
Mibor+145bps Unsecured NCD Letter Of Allotment 9.80% Unsecured NonConvertible Redeemable Subordinated Bonds (SeriesUnsecured Non9.30% III) Convertible Redeemable Subordinated Bonds (Series IV) 9.00% UnSecured
Redeemable NonConvertible Debentures. Date of Maturity :
INE238A08039
INE238A08047
INE701A08010
VARDHMAN SPINNING INE701A08028 & GENERAL MILLS LTD VARDHMAN SPINNING INE701A08036 & GENERAL MILLS LTD
9.00% UnSecured Redeemable NonConvertible Debentures. Date of Maturity : Mibor + 75 bps Unsecured Redeemable Non-Convertible Debentures. Date of
VARDHMAN SPINNING INE701A08036 & GENERAL MILLS LTD VARDHMAN SPINNING INE701A08044 & GENERAL MILLS LTD VARDHMAN SPINNING INE701A08051 & GENERAL MILLS LTD VARDHMAN SPINNING INE701A07020 & GENERAL MILLS LTD VARDHMAN SPINNING INE701A07012 & GENERAL MILLS LTD VARDHMAN SPINNING INE701A08069 & GENERAL MILLS LTD VIDARBHA IRRIGATION INE739F07011 DEVELOPMENT CORPORATION VIDARBHA IRRIGATION INE739F07029 DEVELOPMENT CORPORATION VIDARBHA IRRIGATION INE739F07037 DEVELOPMENT CORPORATION VIDARBHA IRRIGATION INE739F08043 DEVELOPMENT CORPORATION VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. INE352A08046
Mibor + 75 bps Unsecured Redeemable Non-Convertible Debentures. Date of Mibor + 60 bps Unsecured Redeemable Non-Convertible Debentures. Letter of Mibor + 60 bps Unsecured Redeemable Non-Convertible Debentures. Letter of 12.10% Secured Redeemable NonConvertible Debentures. Date of Maturity : 14.00% Secured Redeemable NonConvertible Debentures. Date ofSecured 7.90% Final Redemption Redeemable NonConvertible Debentures. Letter ofSecured 13.25% Allotment. Date Redeemable NonConvetible Bonds Series III. Date Secured 14.50% of Maturity Redeemable NonConvetible Bonds Series II. Date of Maturity 13.50% Secured Redeemable NonConvetible Bonds Series IV. Date Secured 13.00% of Maturity Redeemable NonConvetible Bonds Series V. Letter of Allotment. 4.50% over RMIOR with a floor of 10.00% and cap of 12.00% Unsecured NCD . Date RMIOR with 4.50% over of Maturity: a floor of 10.00% and cap of 12.00% Unsecured NCD . Date RMIOR with 4.50% over of Maturity: a floor of 11.00% and cap of 11.75% Unsecured Non-Convertible Bonds in
INE352A08053
INE352A09028
VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD.
INE352A08012
INE352A08020
1.50% over RMIOR Unsecured NonConvertible Debentures, LOA. Date of Maturity: 1.50% over RMIOR Unsecured NonConvertible Debentures, LOA. Date of Maturity: 1.50% over RMIOR Unsecured NonConvertible Debentures, LOA. Date of Maturity: 1.50% over RMIOR Unsecured NonConvertible Debentures, LOA. Date of Maturity: 4.50% over RMIOR with a floor of 11.00% and cap of 11.75% Unsecured Non-Convertible Bonds in 1.50% over RMIOR Unsecured NonConvertible Debentures, LOA. Date of Maturity: 1.50% over RMIOR Unsecured NonConvertible Debentures, . Date ofover RMIOR with 4.50% Maturity: a floor of 11.00% and cap of 11.75% Unsecured Non-Convertible Bonds in 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 29/01/2003.LOA 4.5% over RMIOR Secured Non-Convertible Bonds in the form of Promissory Notes. Date 1.50% over RMIOR Secured Non-Convertible Debentures,LOA . Date of Maturity: 03/03/2003 1.50% over RMIOR Secured Non-Convertible Debentures.LOA . Date of Maturity: 05/03/2003 1.50% over RMIOR Secured Non-Convertible Debentures.LOA . Date of Maturity: 20/03/2003
INE352A08038
INE352A08079
INE352A09036
INE352A08061
INE352A08087
INE352A09044
INE352A08095
INE352A09051
INE352A08111
INE352A08129
INE352A08137
VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON APPLIANCES LTD. VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED
INE352A09069
INE352A08145
3.00% over RMIOR with a floor of 9.00% and cap of 12.00% Unsecured Non-Convertible Bonds in 1.5% over RMIOR Secured Non-Convertible Debentures. Date of Maturity: 28/07/2003 1.50% over RMIOR Secured Non-Convertible Debentures.Letter of Allotment RMIOR 1.50% over Secured Non-Convertible Debentures.Letter of Allotment RMIOR 1.50% over Secured Non-Convertible Debentures.Letter of Allotment RMIOR with 3.00% over a floor of 9.00% and cap of 12.00% Unsecured Non-Convertible Bonds in 1.50% over RMIOR Secured Non-Convertible Debentures, Letter of Allotment RMIOR 1.50% over Secured Non-Convertible Debentures, Letter of Allotment RMIOR 1.50% over Secured Non-Convertible Debentures, Letter of Allotment RMIOR 1.50% over Secured Non-Convertible Debentures, Letter of Allotment RMIOR with 4.50% over a floor of 12% and cap of 12.50% Unsecured Non Convertible Bonds in the 4.50% over RMIOR with a floor of 12.00% and cap of 12.50% Unsecured Non-Convertible Bonds in 4.50% over RMIOR with a floor of 12.00% and cap of 12.50% Unsecured Non-Convertible Bonds in
INE352A08152
INE352A08160
INE352A08178
INE352A09077
INE352A07022
INE352A07030
INE352A07048
INE352A07055
INE341A09021
INE341A09047
INE341A09054
VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED
INE341A09039
INE341A08023
4.50% over RMIOR with a floor of 12% and cap of 12.50% Unsecured Non Convertible Bonds in the 1.50% over RMIOR Unsecured NonConvertible Debentures, . Date ofover RMIOR with 4.50% Maturity: a floor of 12% and cap of 12.50% Unsecured Non Convertible Bonds inwith 4.50% over RIMOR the a floor of 12% and cap of 12.50% Unsecured Non Convertible Bonds in the 4.50% over RMIOR with a floor of 12.00% and cap of 12.50% Unsecured Non-Convertible Bonds in 4.50% over RMIOR with a floor of 12.00% and cap of 12.50% Unsecured Non-Convertible Bonds in 4.50% over RMIOR with a floor of 12.00% and cap of 12.50% Unsecured Non-Convertible Bonds in 4.50% over RMIOR with a floor of 12.00% and cap of 12.50% Unsecured Non-Convertible Bonds in 4.50% over RMIOR with a floor of 12.00% and cap of 12.50% Unsecured Non-Convertible Bonds in 4.50% over RMIOR with a floor of 12.00% and cap of 12.50% Unsecured Non-Convertible Bonds in 4.50% over RMIOR with a floor of 12.00% and cap of 12.50% Unsecured Non-Convertible Bonds in 4.50% over RMIOR with a floor of 12.00% and cap of 12.50% Unsecured Non-Convertible Bonds in 4.50% over RMIOR with a floor of 12.00% and cap of 12.50% Unsecured Non-Convertible Bonds in
INE341A09062
INE341A09070
INE341A09088
INE341A09096
INE341A09104
INE341A09112
INE341A09120
INE341A07074
INE341A09138
INE341A09146
INE341A09153
VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED
INE341A08015
14.00% Unsecured Redeemable NCD -LOA 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 25.03.2004 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 05.04.2004 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 14.04.2004 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 19.04.2004 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 23.04.2004 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 17.05.2004 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 07/06/2004 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity:
INE341A07017
INE341A07025
INE341A07033
INE341A07041
INE341A07058
INE341A07066
INE341A07082
INE341A08049
INE341A08056
INE341A08064
INE341A08031
INE341A08072
VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIDEOCON INTERNATIONAL LIMITED VIJAYA BANK
INE341A08080
INE341A08098
1.50% over RMIOR Secured Non-Convertible Debentures. Date of Maturity: 1.50% over RMIOR Secured Non-Convertible Debentures. Date of Maturity: 1.50% over RMIOR Secured Non-Convertible Debentures, . Date of Maturity: 1.50% over RMIOR Secured Non-Convertible Debentures, Date of Maturity: 14% Secured NonConvertible Debentures. Final Date of maturity: 2212-2007 14% Secured NonConvertible Debentures. Final Date of maturity: 1303-2008 14% Secured Non.Convertible Debentures. Final Date of maturity: 13.03.2008.Non14.2% Unsesecured convertible Redeemable Subordinated Bonds. Sr. 1 Date of Maturity04-0412.35% Unsesecured Non-convertible Redeemable Subordinated Bonds. Sr. 11 % Unsesecured Nonconvertible Redeemable VRS Bonds. Date of Maturity Redeemable 11.00% 01-06-2007. Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 11.00% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 13.50% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date
INE341A08106
INE341A08114
INE341A07108
INE341A07116
INE341A08130
INE705A09019
VIJAYA BANK
INE705A09027
VIJAYA BANK
INE705A09035
WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION
INE690F09012
INE690F09020
INE690F09038
WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION WEST BENGAL FINANCIAL CORPORATION WEST BENGAL INFRASTRUCTURE DEVELOPMENT FINANCE WEST BENGAL INFRASTRUCTURE DEVELOPMENT FINANCE
INE690F09046
INE690F09053
13.50% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 12.50% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 14.00% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 14.00% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 13.85% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 13.75% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 13.00% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 12.30% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 13.00% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 12.30% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 12.30% Redeemable Non-Convertible SLR Bonds in the Form of Promossory Notes. Date 13.00% Unsecured Government Guaranteed Taxable Infrastructure Development Non 14.00% Unsecured Government Guaranteed Taxable Infrastructure Development Non
INE690F09061
INE690F09079
INE690F09087
INE690F09095
INE690F09103
INE690F09244
INE690F09111
INE690F09251
INE690F09269
INE740F08017
INE740F08025
WEST BENGAL INFRASTRUCTURE DEVELOPMENT FINANCE WEST BENGAL INFRASTRUCTURE DEVELOPMENT FINANCE WEST BENGAL INFRASTRUCTURE DEVELOPMENT FINANCE WEST BENGAL INFRASTRUCTURE DEVELOPMENT FINANCE WEST BENGAL INFRASTRUCTURE DEVELOPMENT FINANCE INDIA LTD. WHEELS
INE740F08033
INE740F08041
14.00% Unsecured Government Guaranteed Taxable Infrastructure Development Non 13.60% Unsecured Government Guaranteed Taxable Infrastructure Development Non 13.25% Unsecured Government Guaranteed Taxable Infrastructure Development Non 12.75% Unsecured Government Guaranteed Taxable Infrastructure Development Non 13.00% Unsecured Government Guaranteed Taxable Infrastructure Development Non Non 12.50% Unsecured Convertible Debentures, Series XIII. Date of Maturity:27/10/2002Non 10.25% Unsecured Convertible Debentures,Series XXI . Date ofUnsecured Non 7.50% Convertible Debentures,Series XXII . Date ofSecured 9.15% Redeemeable taxable NCD, Letter of Allotment.Series-II (Date 9.15% Secured Redeemeable taxable NCD. Series-II.Date of maturity-01/03/07 12.50% Secured NCD.Series II. Date Of Final redemption: 01/12/2003 17.50% Secured Redeemable NCD., Date of Final Redemption: 07/01/2004 12.50% Secured Redeemable NCD. Letter of Allotment, Date of Maturity: 25/01/2003
INE740F08058
INE740F08074
INE740F08090
INE715A08010
INE715A08028
INE715A08036
WHIRLPOOL OF INDIA LTD. WHIRLPOOL OF INDIA LTD. XEROX MODICORP LIMITED ZUARI CEMENT LIMITED ZUARI CEMENT LTD.
INE716A08018
INE716A07010
INE034E07044
INE051F07011
INE051F08019
INE217A08017
ZUARI INDUSTRIES LIMITED ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD.
INE217A08173
10.50% Unsecured Redeemeable NonConvertible Debenture . Date ofUnsecured 7.50% Maturity: Redeemable NonConvertible Debentures. Letter ofUnsecured 10.30% Allotment Redeemeable NonConvertible Debenture . Date of Maturity: 11.00% Unsecured Redeemeable NonConvertible Debenture . Date of Maturity: 10.00% Unsecured Redeemeable NonConvertible Debenture . Date of Maturity: 10.50% Unsecured Redeemeable NonConvertible Debenture . Date ofUnsecured 9.50% Maturity: Redeemable NonConvertible Debenture . Date ofUnsecured 9.50% Maturity: Redeemeable NonConvertible Debenture . Date ofUnsecured 9.50% Maturity: Redeemable NonConvertible Debenture . Date ofUnsecured 9.50% Maturity: Redeemable NonConvertible Debenture . Date ofUnsecured 9.50% Maturity: Redeemable NonConvertible Debenture . Date ofUnsecured 9.50% Maturity: Redeemable NonConvertible Debenture . Date of Maturity: 9.5% Unsecured Redeemable NCD-LOA
INE217A08025
INE217A08033
INE217A08041
INE217A08058
INE217A08074
INE217A08066
INE217A08108
INE217A08082
INE217A08090
INE217A08116
INE217A08124
ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD. ZUARI INDUSTRIES LTD.
INE217A08132
INE217A08157
9.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 9.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 9.50% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment 9.00% Unsecured Redeemable NonConvertible Debentures. Letter of Allotment
INE217A08140
INE217A08165
10,000,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
AARTI INDUSTR 10,000,000.00 5.25 LOA 11JU04 FV RS 1 CR AARTI INDUSTR 10,000,000.00 5.25 LOA 17JU04 FV RS 1 CR AARTI INDUSTR 10,000,000.00 4.98 LOA 20JL04 FV RS 1 CR AARTI INDUSTR 4.9 LOA 08SP04 FV RS 1 CR 10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
AARTI INDUSTR 10,000,000.00 4.95 LOA 13SP04 FV RS 1 CR AARTI INDUSTR 10,000,000.00 4.95 LOA 14SP04 FV RS 1 CR AARTI INDUSTR 4.9 LOA 15OT04 FV RS 1 CR
AARTI INDUSTR 9.25 LOA 13SP02
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10000000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
30,000,000
30,000,000
30,000,000
30,000,000
50,000,000.000
50,000,000.000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
ABN AMRO SEC 10,000,000.000 SR B-1 BR LOA 05MR05 FVRS 1CR ABN AMRO SEC 10,000,000.00 B-3 BR LOA 19AP05 FV RS 1 CR
10,000,000.000
10,000,000.00
10,000,000.000
10,000,000.000
100
100
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.000
10,000,000.000
25,00,000
25,00,000
ALLAHABAD BK-1 12.3 BD 15AP07 FV RS 25 LAC ALOK INDUSTRIES 6.5 LOA 19NV03
25,00,000
25,00,000
100,000.00
100,000.00
100,000.00
100,000.00
100.00
100.00
100
100
100
100
100
100
90
10,000,000
10,000,000
10,000,000.000
10,000,000.000
20
20
35
35
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100
100
100
100
100
100
100.00
100.00
100.00
100.00
100.00
100.00
AMTEK INDIA LTD 8.4 NCD 30NV07 FV RS 10 LAC ANDHRA BANK 13.6 BD 03AG06 FV RS 1 LAC
1,000,000
1,000,000
1,00,000
1,00,000
1,00,000
1,00,000
5,000,000.00
5,000,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
APPFC 2/00 OPTD 13.1 LOA 21NV07 FV RS 1 LAC APPFC 2/00 OPTA 13.1 BD 22NV07 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
APPFC 2/00 OPTD 13.1 LOA 03JN08 FV RS 1 LAC APPFC 2/00 OPTA 13.1 BD 03JN08 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
APPFC 1/01 OPTD 13.1 LOA 14JN08 FV RS 1 LAC APPFC 1/01 OPTA 13.1 BD 14JN08 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
APPFC 1/01 OPTD 13.1 LOA 03MR08 FV RS 1 LAC APPFC 1/01 OPTA 13.1 BD 03MR08 FV RS 1 LAC APPFC 1/01 OPTD 13.1 BD 03MR08 FV RS 1 LAC APPFC 2/01 OPTA 12.3 LOA 16MR08
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
APPFC 2/01 OPTA 12.3 BD 16MR08 FV RS 1 LAC APPFC 2/01 OPTA 12.3 LOA 29MR08
1,00,000
1,00,000
1,00,000
1,00,000
APPFC 2/01 OPTA 12.3 BD 29MR08 FV RS 1 LAC APPFC 2/01 OPTA 12.3 LOA 27AP08
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100,000
100,000
10,000
3,400
100
100
100.000
100.000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
9,862,200
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
9,563,750
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10000000
10,000,000
10000000
10,000,000
9,114,570
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
9,105,560
10,000,000
10,000,000
10,000,000
10000000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.000
10,000,000.000
ASHOK LEY FIN SR-8 5.07LOA27FB04 FVRS 1CR ASHOK LEY FIN SR-9 5.07LOA08MR04 FVRS 1CR ASHOK LEY FIN NCD 27AP04 LOA Upto 16JL03 ASHOK LEY FIN NCD 21MY04 LOA Upto 12AG03
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
9,417,700
10,000,000
9,438,410.00
10,000,000.00
10,000,000
10,000,000
ASHOK LEY FIN 9.75 NCD 07AG04 FV RS 1 CR ASHOK LEY FIN 5.65 LOA 30AG04 FV RS 1 CR ASHOK LEY FIN 9.75 LOA 28MR05
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10000000
10,000,000
ASHOK LEY FIN 9.75 NCD 28MR05 FV RS 1 CR ASHOK LEY FIN 9.85 LOA 24MY02
10,000,000
10,000,000
10000000
10,000,000
10,000,000.00
10,000,000.00
10,000,000
10,000,000
ASHOK LEY FIN 10.05 NCD 05AG05 FV RS 1 CR ASHOK LEY FIN BR LOA 27AG05 FV RS 1 CR ALFL SR-7 BR LOA 06OT05 FV RS 1 CR
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
1,000,000.000
10,000,000.000
100
25
100
33.34
100
33.34
100
33.34
100
33.34
ASHOK LEY. AL10 6.2 NCD 20JU06 LOA Upto 25AG03 FV RS 1 CR ASHOK LEY. AL9A 8.15 LOA 15OT07
10,000,000.00
10,000,000.00
10,000,000
10,000,000
ASHOK LEY. AL9A 8.15 NCD 15OT07 FV RS 1 CR ASIANET SATEL. 16 NCD 09MY04
10,000,000
10,000,000
1,000,000
1,000,000
1,000,000
1,000,000
ASIANET SATEL. 16 NCD 28AG04 FV RS 10 LAC ASIANET SATEL. 16 NCD 04SP04 FV RS 10 LAC ASIANET SATEL. 16 NCD 14NV04 FV RS 10 LAC ASIANET SATEL. 16 NCD 21NV04 FV RS 10 LAC
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
ASIANET SATEL. 16 NCD 13DC04 FV RS 10 LAC ASIANET SATEL. 16 NCD 19MR05 FV RS 10 LAC ASIANET SATEL. 16 NCD 03AP05 FV RS 10 LAC AIFS SR-107 6.55 LOA 04SP03
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
100,000
100,000
100,000
100,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000
100,000
100,000
100,000
AIFS SR-162 5.38 LOA 23SP04 FV RS 1 LAC AIFS SR-112 6.7 LOA 03OT03
100,000.000
100,000.000
100,000
100,000
100,000
100,000
100,000
100,000
100,000.00
100,000.00
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000.00
100,000
100000
100000
100000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
100,000
100,000
100000
100000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100000
100000
1,00,000
1,00,000
100000
100000
1,00,000
1,00,000
1,00,000
1,00,000
100000
100000
100000
1,00,000
1,00,000
1,00,000
1,00,000
94,188
1,00,000
94,188
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
91,848
1,00,000
1,00,000
1,00,000
91,848
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000
100,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
AIFS SR-154 5.18 NCD 23DC03 LOA UPTO 21SP03 AIFS SR-104 OP1 6.3 LOA 08JN04
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
AIFS SR-141 5.55 NCD 12JN04 LOA UPTO 21SP03 AIFS SR-148 5.35 NCD 27JN04 LOA UPTO 21SP03 AIFS SR-53 9.5 LOA 06FB04
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
100,000.000
100,000.000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.000
100,000.000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000
100,000
100,000
100,000
100,000.00
100,000.00
100,000.00
100,000.00
94,652.20
100,000.00
94,652.20
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
1,000,000.000
1,000,000.000
94,652.20
100,000.00
94,652.20
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
AIFS SR-155 5.4 NCD 23JU04 LOA UPTO 21SP03 AIFS SR-137 5.75 NCD 29JU04 LOA UPTO 21SP03 AIFS SR-167 LOA 06JL04 FV RS 1 LAC
100,000.00
100,000.00
100,000.00
100,000.00
96,173.600
100,000.000
AIFS SR-139 5.76 LOA 08JL04 LOA UPTO 21SP03 FV RS 1 LAC AIFS SR-DS 22 10 LOA 12JL04
100,000.00
100,000.00
1,00,000
1,00,000
AIFS SR-22 10 NCD 12JL04 FV RS 1 LAC AIFS SR-77 OP-1 8.75 LOA 26JL04
1,00,000
1,00,000
1,00,000
1,00,000
AIFS SR-77 OP-1 8.75 NCD 26JL04 FV RS 1 LAC AIFS SR-149 5.55 NCD 03AG04 LOA UPTO 21SP03 FV RS 1 LAC
1,00,000
1,00,000
100,000.00
100,000.00
1,000,000.000
1,000,000.000
100,000.00
100,000.00
ASSOCIATES INDI SR186 5 LOA 17AG04 FVRS 10LAC ASSOCIATES INDI 188 5.05 LOA 03SP04 FVRS10LAC ASSOCIATES INDI SR185 5 LOA 09SP04 FVRS 10LAC
AIFS SR-86 OPT-1 7.75 LOA 16SP04
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,00,000
1,00,000
AIFS SR-86 OPT-1 7.75 NCD 16SP04 FV RS 1 LAC AIFS SR-161 5.4 LOA 20SP04 FV RS 1 LAC AIFS SR-164 5.45 LOA 28SP04 FV RS 1 LAC AIFS SR-168 5.3 LOA 08OT04 FV RS 1 LAC AIFS SR-169 5.25 LOA 14OT04 FV RS 1 LAC ASSOCIATES INDI SR171 5.2LOA25OT04 FVRS 10LAC ASSOCIATES INDI SR 172/1 LOA 08NV04 FV RS 10 LAC ASSOCIATES INDI SR 172/2 5.4 LOA 08NV04 FV RS 10 LAC
1,00,000
1,00,000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
1,000,000.000
1,000,000.000
948,900.000
1,000,000.000
1,000,000.000
1,000,000.000
1,00,000
1,00,000
AIFS SR-95 6.9 NCD 12NV04 FV RS 1 LAC AIFS SR-95 6.9 NCD 12NV04 FV RS 1 LAC AIFS SR-42 OPT2 9.45 LOA 26NV04
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
AIFS SR-42 OPT2 9.45 NCD 26NV04 FV RS 1 LAC AIFS SR-98 6.65 LOA 29NV04
1,00,000
1,00,000
1,00,000
1,00,000
AIFS SR-98 6.65 NCD 29NV04 FV RS 1 LAC AIFS SR-98 6.65 NCD 29NV04 FV RS 1 LAC ASSOCIATES INDI SR-175 5.4LOA03DC04 FVRS 10LAC ASSOCIATES INDI SR-176 5.4LOA08DC04 FVRS 10LAC AIFS SR-102 6.55 LOA 07JN05
1,00,000
1,00,000
1,00,000
1,00,000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,00,000
1,00,000
AIFS SR-102 6.55 NCD 07JN05 FV RS 1 LAC AIFS SR-102 6.55 NCD 07JN05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,000,000.000
1,000,000.000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
AIFS SR-127 BR NCD 19AP05 FV RS 1 LAC AIFS SR-122 BR NCD 02MY05 FV RS 1 LAC AIFS SR-70 9.8 LOA 30MY05
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
AIFS SR-70 9.8 NCD 30MY05 FV RS 1 LAC ASSOCIATES INDI SR-177 BRLOA03JU05 FVRS 10LAC ASSOCIATES INDI SR-179 BRLOA08JU05 FVRS 10LAC AIFS -73 OPT-1A 9.75 LOA 14JU05
1,00,000
1,00,000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,00,000
1,00,000
AIFS -73 OPT-1A 9.75 NCD 14JU05 FV RS 1 LAC AIFS SR-136 BR LOA 17JU05
1,00,000
1,00,000
100,000.00
100,000.00
AIFS SR-136 BR NCD 17JU05 FV RS 1 LAC AIFS -73 OPT-1B 9.75 LOA 28JU05
100,000.00
100,000.00
1,00,000
1,00,000
AIFS 73 OPT-1B 9.75 NCD 28JU05 FV RS 1 LAC AIFS SR-138 BR NCD 04JL05 LOA UPTO 21SP03 LAC AIFS SR-140 6.1 NCD 12JL05 LOA UPTO 21SP03 LAC AIFS SR-143 6.1 NCD 12JL05 LOA UPTO 21SP03 LAC AIFS SR-146 6.15 NCD 19JL05 LOA UPTO 21SP03 LAC AIFS SR-77 OP-2 9 LOA 26JL05
1,00,000
1,00,000
100,000.00
FV RS 1
100,000.00
100,000.00
FV RS 1
100,000.00
100,000.00
FV RS 1
100,000.00
100,000.00
FV RS 1
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
AIFS SR-151 5.85 NCD 08AG05 LOA UPTO 21SP03 FV RS 1 LAC AIFS SR-147 6.15 NCD 23AG05 LOA UPTO 21SP03 FV RS 1 LAC AIFS SR-156 5.93 NCD 26AG05 LOA UPTO 21SP03 FV RS 1 LAC AIFS SR-82 OP-2 8.1 LOA 30AG05
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
AIFS SR-82 OP-2 8.1 NCD 30AG05 FV RS 1 LAC AIFS SR-84 BR LOA 02SP05
1,00,000
1,00,000
1,00,000
1,00,000
AIFS SR-84 BR NCD 02SP05 FV RS 1 LAC AIFS SR-89 7.8 LOA 14OT05
1,00,000
1,00,000
1,00,000
1,00,000
AIFS SR-89 7.8 NCD 14OT05 FV RS 1 LAC AIFS SR-96 7.07 LOA 15NV05
1,00,000
1,00,000
1,00,000
1,00,000
AIFS SR-96 7.07 NCD 15NV05 FV RS 1 LAC AIFS SR-96 7.07 NCD 15NV05 FV RS 1 LAC ASSOCIATES INDI SR-173 BR LOA 18NV05 FV RS 10 LAC ASSOCIATES INDI SR-174 5.7LOA23NV05 FVRS 10LAC ASSOCIATES INDI SR-178 BRLOA05DC05 FVRS 10LAC AIFS SR-100 6.9 LOA 09DC05
1,00,000
1,00,000
1,00,000
1,00,000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,00,000
1,00,000
1,00,000
1,00,000
AIFS SR-100 6.9 NCD 09DC05 FV RS 1 LAC AIFS SR-101 6.72 LOA 23DC05
1,00,000
1,00,000
1,00,000
1,00,000
AIFS SR-101 6.72 NCD 23DC05 FV RS 1 LAC AIFS SR-101 6.72 NCD 23DC05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
ASSOCIATES INDI 182-5.75 LOA 09JN06 FVRS 10LAC ASSOCIATES INDI 180-BR LOA 10JN06 FVRS 10 LAC ASSOCIATES INDI SR187 BR LOA 17FB06 FVRS 10LAC
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
ASSOCIATES INDI 1,000,000.00 SR190 5.75LOA08MR06 FVRS10LAC ASSOCIATES INDI 1,000,000.00 SR191 BR LOA 09MR06 FVRS10LAC
AIFS SR-153 6.25 NCD 21AG06 LOA UPTO 21SP03 FV RS 1 LAC AIFS SR-157 6.1 NCD 29AG06 LOA UPTO 21SP03 FV RS 1 LAC AIFS SR-160 5.95 NCD 01SP06 LOA UPTO 21SP03 FV RS 1 LAC AIFS SR-158/159 5.95 NCD 04SP06 LOA UPTO 21SP03 FV RS 1 LAC
1,000,000.00
1,000,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
AIFS SR-163 6.05 LOA 25SP06 FV RS 1 LAC ASSOCIATES INDI SR-170 5.7 LOA 23OT06 FV RS 1 LAC
100,000.00
100,000.00
100,000.000
100,000.000
1,000,000.000
1,000,000.000
1,00,000
1,00,000
AIFS -73 OPT-2A 10.25 NCD 14JU07 FV RS 1 LAC AIFS -73 OPT-2B 10.25 LOA 28JU07
1,00,000
1,00,000
1,00,000
1,00,000
AIFS 73 OPT-2B 10.25 NCD 28JU07 FV RS 1 LAC ATUL LIMITED BR LOA 27MR04
1,00,000
1,00,000
100
100
5,00,00,000
5,00,00,000
100.00
100.00
BAJAJ HINDUSTAN 10,000,000.00 6.3 LOA 04MY05 FV RS 1 CR BAJAJ HINDUSTAN 10,000,000.00 6.3 LOA 05MY05 FV RS 1 CR BAJAJ HINDUSTAN 6.25 LOA 12MY05 FVRS1CR 10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
100.00
100.00
100
100
100.00
100.00
100.00
100.00
100.00
100.000
100.000
100,000.00
100,000.00
100
100
100
100
100.00
100.00
10,000,000.000
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
304
304
100.00
100.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
BGLR.DEVP AUTH. 8.5 LOA 14AG07 FV RS 10 LAC BOB SR 3 OPTII 10.85 BD 30JN06 FV RS 1 LAC BOB SR 3 OPT I 11.15 BD 30AP08 FV RS 1 LAC BOI SR-3 9.2 LOA 08MY07 FV RS 1 LAC BANK OF MAH SR1 12.6 BD 26AP06 FV RS 1 LAC
1,000,000
1,000,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
100
100
100
100
100
100
100.00
100.00
BHARAT FORG-15A 9.25 NCD 11AG05 FV RS 1 LAC BHARAT OVERSEAS 12.25 NCD 22AP07 FV RS 100 BSNL TX 10.4 NCD 30MR06
1,00,000
1,00,000
100
100
10,00,000
10,00,000
10,00,000
10,00,000
5,00,00,000
5,00,00,000
50,000,000.00
50,000,000.00
1,00,00,000
1,00,00,000
100
100
100
100
100.00
100.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
50,00,000
50,00,000
50,00,000
50,00,000
25
25
100
100
50,000
50,000
50,000
50,000
50,000
50,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
50,000
50,000
50,000
50,000
1,00,00,000
1,00,00,000
50,000
50,000
1,00,00,000
1,00,00,000
50,000
50,000
100
100
10,000,000.00
10,000,000.00
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
30,00,000
30,00,000
CADILA STRPP-1 8.4 NCD 20AG04 FV RS 30 LAC CADILA STRPP-2 8.4 LOA 20AG05
30,00,000
30,00,000
70,00,000
70,00,000
CADILA STRPP-2 8.4 NCD 20AG05 FV RS 70 LAC CANARA BANK OP1 13.85 BD 22AP04
70,00,000
70,00,000
5,00,000
5,00,000
CANARA BANK OP2 14.2 BD 22AP06 FV RS 5 LAC CANARA BANK 9.7 BPN 12AP07 FV RS 5 LAC CANARA BANK 11.95 BD 14AP07
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
CANARA BANK 11.95 BD 14AP07 FV RS 5 LAC CANBANK FACTORS 6.25 LOA 22JL03
5,00,000
5,00,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
CANBANK FACTORS 5.06 LOA 03MR04 FVRS 10LAC CANBANK FACTORS 5.06 LOA 05MR04 FV RS 10 LAC CANBANK FACTORS 5.1 LOA 08MR04 FV RS 10 LAC CANBANK FACTORS 4.97 LOA 25MR04 FV RS 10 LAC
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
CANBANK FACTORS 1,000,000.000 4.95 LOA 28AP04 FV RS 10 LAC CANBANK FACTORS 1,000,000.000 4.95 LOA 30AP04 FV RS 10 LAC CANBANK FACTORS 1,000,000.000 5.05 LOA 12MY04 FV RS 10 LAC CANBANK FACTORS 1,000,000.00 5.05 LOA 21MY04 FV RS 10 LAC CANBANK FACTORS 1,000,000.00 5.08 LOA 21MY04 FV RS 10 LAC CANBANK FACTORS 1,000,000.000 5.1 LOA 31MY04 FV RS 10 LAC CANBANK FACTORS 1,000,000.00 4.75 LOA 09AG04 FV RS 10 LAC CANBANK FACTORS 1,000,000.00 4.71 LOA 20AG04 FV RS 10 LAC CANBANK FACTORS 1,000,000.00 4.71 LOA 27AG04 FV RS 10 LAC CANBANK FACTORS 1,000,000.000 4.75 LOA 10SP04 FV RS 10 LAC CANBANK FACTORS 1,000,000.00 4.75 LOA 29SP04 FV RS 10 LAC CANBANK FACTORS 1,000,000.00 4.75 LOA 11OT04 FV RS 10 LAC
CANBANK FACTORS 8.25 LOA 30SP07
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.00
1,000,000.00
1,000,000.000
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.000
1,000,000.00
1,000,000.00
1,000,000
1,000,000
CANBANK FACTORS 8.25 BD 30SP07 FV RS 10 LAC CARBORUNDUM UNI 13.75 NCD 01AG03
1,000,000
1,000,000
100
100
10,000,000.00
10,000,000.00
100.000
100.000
1,00,000
1,00,000
1,00,000
1,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
500,000.00
500,000.00
CBI SR-6 OPT-1 8.15 LOA 25AP08 FV RS 5 LAC CENTURION BANK 12.95 BD 04MY05 FV RS 25 LAC CENTURY ENKA 12 NCD 01OT04 FV RS 71
5,00,000
5,00,000
25,00,000
25,00,000
71
71
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10000000
10000000
10,000,000
10,000,000
CHAMBAL FERT 10,000,000.000 BR LOA 09AG04 FV RS 1 CR CHAMBAL FERT 10,000,000.000 BR LOA 10AG04 FV RS 1 CR CHAMBAL FERT 4.7 LOA 21SP04 FV RS 1 CR CHAMBAL FERT BR LOA 21SP04 FV RS 1 CR CHAMBAL FERT BR LOA 22SP04 FV RS 1 CR CHAMBAL FERT BR LOA 08OT04 FV RS 1 CR
CHAMBAL FERT 8.95 LOA 02SP02
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
100,000.000
100,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
100
100
CHAMBAL FERT 10,000,000.000 5.08 LOA 19AP04 FV RS 1 CR CHAMBAL FERT BR LOA 21AP04 FV RS 1 CR CHAMBAL FERT BR LOA 28AP04 FV RS 1 CR CHAMBAL FERT BR LOA 30AP04 FV RS 1 CR 10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
CHAMBAL FERT 1,000,000.00 BR LOA 10MY04 FV RS 1 CR CHAMBAL FERT 1,000,000.00 4.61 LOA 12MY04 FV RS 1 CR CHAMBAL FERT 10,000,000.00 4.88 LOA 24JU04 FV RS 1 CR CHAMBAL FERT 4.9 LOA 25JU04 FV RS 1 CR 10,000,000.00
1,000,000.00
1,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
CHAMBAL FERT 10,000,000.00 BR LOA 16JL04 FV RS 1 CR CHAMBAL FERT 10,000,000.00 BR LOA 19JL04 FV RS 1 CR CHAMBAL FERT 10,000,000.00 BR LOA 26JL04 FV RS 1 CR CHAMBAL FERT 10,000,000.00 BR LOA 28JL04 FV RS 1 CR CHAMBAL FERT 1,000,000.00 BR LOA 02AG04 FV RS 1 CR
CHOLA.INVT ST72 BR LOA 18JL03
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000.00
100,000.00
CHOLA.INVST.139 6.6 NCD 21MY06 LOA Upto 27AG03 FV RS 1 LAC CHOLA.INVST-140 BR NCD 21MY06 LOA Upto 27AG03 FV RS 1 LAC
100,000.00
100,000.00
100,000.00
100,000.00
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000.00
100,000.00
100
100
100
100
1,00,000
100,000
1,00,000
100,000
1,00,000
100,000
1,00,000
100,000
100
100
100
100
100
100
1,00,000
100,000
1,00,000
100,000
1,00,000
100,000
1,00,000
100,000
1,00,000
100,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
100,000
1,00,000
100,000
1,00,000
100,000
100
100
1,00,000
100,000
1,00,000
100,000
100
100
100
100
1,00,000
100,000
100
100
100
100
1,00,000
1,00,000
100
100
1,00,000
100,000
1,00,000
100,000
1,00,000
100,000
1,00,000
100,000
1,00,000
1,00,000
100
100
100
100
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
100,000
1,00,000
100,000
1,00,000
100,000
100
100
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
1,00,000
100
100
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100
100
100
100
100
100
100
100
1,00,000
1,00,000
100
100
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100
100
1,00,000
1,00,000
1,00,000
1,00,000
100
100
100
100
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
1,00,000
1,00,000
100,000
100,000
100,000
1,00,000
100,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.000
100,000.000
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100
100
100,000.000
100,000.000
100
100
100
100
100
100
100
100
CHOLAMANDALAM ST109 BR LOA 22MR04 FVRS 1LAC CHOLA.INVST-102 9.6 LOA 30MR04
100,000.000
100,000.000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
CHOLAMANDALAM ST110/111 BR LOA 08AP04 FVRS 1LAC CHOLAMANDALAM ST113 BR LOA16AP04 FVRS 1 LAC CHOLAMANDALAM ST112 4.8LOA 19AP04 FVRS 1LAC CHOLAMANDALAM ST114 BR LOA 26AP04 FVRS 1LAC
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
CHOLAMANDALAM 100,000.00 ST120 BR LOA 03MY04 FVRS 1LAC CHOLAMANDALAM 100,000.000 ST115 BR LOA 07MY04 FVRS 1LAC CHOLAMANDALAM 116/119 BR LOA 14MY04 FVRS 1LAC 100,000.000
100,000.00
100,000.000
100,000.000
CHOLAMANDALAM 100,000.000 117/118 BR LOA14MY04 FVRS1LAC CHOLAMANDALAM ST121 4.87 LOA 14MY04 FVRS 1LAC
CHOLA.INVST.-112 9.58 LOA 23MY04
100,000.000
100,000.00
100,000.00
1,00,000
100,000
1,00,000
100,000
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
CHOLA.INVST-133 8.1 NCD 21OT05 FV RS 1 LAC CHOLA.INVST-135 7.6 LOA 22NV05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
100,000
1,00,000
100,000
1,00,000
1,00,000
CHOLAMANDALAM 100,000.00 ST127 BR LOA 11AG04 FVRS 1LAC CHOLAMANDALAM 1,000,000.000 ST132 BR LOA 16AG04 FV RS 10 LAC CHOLAMANDALAM 100,000.00 ST129 BR LOA 27AG04 FVRS 1LAC CHOLAMANDALAM ST130 BR LOA 03SP04 FVRS 1LAC 100,000.000
100,000.00
1,000,000.000
100,000.00
100,000.000
CHOLAMANDALAM ST131 BR LOA 10SP04 FV RS 1 LAC CHOLAMANDALAM ST133 BR LOA 10SP04 FVRS10LAC CHOLAMANDALAM 134 4.64 LOA 10SP04 FVRS10LAC CHOLAMANDALAM ST135 BR LOA 17SP04 FVRS10LAC
100,000.000
100,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
91,014
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100
100
100
100
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.000
100,000
100,000
100,000
100,000
CFIL SR-109 OP1 6.65 NCD 21AP05 FV RS 1 LAC CFIL SR-109 OP2 BR NCD 21AP05 FV RS 1 LAC CFIL SR-100 9.55 LOA 30AP05
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
CITICORP FINANC SR-115 BRLOA05JU05 FVRS 10LAC CFIL SR-102 8.9 LOA 19JU05
1,000,000.000
1,000,000.000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
CFIL SR-103 OP1 8.2 NCD 16AG05 FV RS 1 LAC CFIL SR-103 OP2 BR NCD 16AG05 FV RS 1 LAC CFIL SR-104 OP1 7.75 LOA 24SP05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
CFIL SR-104 OP1 7.75 NCD 24SP05 FV RS 1 LAC CFIL SR-104 OP2 BR NCD 24SP05 FV RS 1 LAC CFIL SR-105 OPT-1 7.1 LOA 16OT05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
CFIL SR-105 OPT-1 7.1 NCD 16OT05 FV RS 1 LAC CFIL SR-105 OPT-2 BR NCD 16OT05 FV RS 1 LAC CFIL SR-106 OP1 7.07 LOA 11NV05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
CFIL SR-106 OP1 7.07 NCD 11NV05 FV RS 1 LAC CFIL SR-106 OP2 BR NCD 11NV05 FV RS 1 LAC CITICORP FINANC SR 114 BRLOA01DC05 FVRS 10LAC CFIL SR-107 6.75 LOA 30DC05
1,00,000
1,00,000
1,00,000
1,00,000
1,000,000.000
1,000,000.000
1,00,000
1,00,000
CFIL SR-107 6.75 NCD 30DC05 FV RS 1 LAC CFIL SR-108 OP1 7 LOA 04FB06
1,00,000
1,00,000
100,000
100,000
100,000
100,000
100,000.00
100,000.00
CFIL SR-108 OP2 BR NCD 04FB06 FV RS 1 LAC CITICORP FINANC SR-116 BRLOA05JU06 FVRS 10LAC CFIL SR-111 OP1 6 LOA 11AG06 FV RS 1 LAC
100,000.00
100,000.00
1,000,000.000
1,000,000.000
100,000.00
100,000.00
CFIL SR-111 OP2 BR LOA 11AG06 FV RS 1 LAC CITICORP FINANC SR 113 BR LOA 13NV06 FV RS 10 LAC
100,000.00
100,000.00
1,000,000.000
1,000,000.000
CITICORP FINANC 1,000,000.00 SR117 BR LOA 26MR07 FVRS10LAC CITICORP FINANC 50000000 SR127 BR LOA 27MY07 FVRS5CR CITICORP FINANC SR118 BR LOA 16JL07 FVRS10LAC
CFIL SR-98 10 LOA 27MR08
1,000,000.00
50000000
1,000,000.00
1,000,000.00
1,00,000
1,00,000
1,00,000
1,00,000
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
1,00,00,000
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100.00
100.00
100
100
100.00
100.00
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100.00
100.00
100
100
100
100
100
100
100
100
100
100
100
10,000,000
10,000,000
10,000,000.00
10,000,000.00
100
100
100
100
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
100
100
100
100
10,000,000
10,000,000
10,000,000
10,000,000
100
100
100
100
10,000,000.00
10,000,000.00
100
100
10,000,000.00
10,000,000.00
100
100
100
100
100.00
100.00
100
100
100
100
CITI MARU 03-17 BR NCD 08MY04 LOA UPTO 22JL03 CITI MARU 03-18 BR LOA 09MY04
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
5,000,000
5,000,000
5,000,000.00
5,000,000.00
10,000,000.00
10,000,000.00
100
100
100
100
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
100
100
100
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
100
100
100
100
10,000,000.000
10,000,000.000
9,483,170.00
10,000,000.00
100
100
100
100
100
100
CITI MARU 03-36 5.25 LOA 04SP04 FV RS 1 CR CITI MARU 03-39 BR LOA 29SP04
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
CITI MARU 03-41 5.25 LOA 13OT04 FV RS 1 CR CITICORP MARUTI 03-44 5.2LOA 21OT04 FVRS 50LAC CITICORP MARUTI 2003-45 BR LOA 04NV04 FV RS 1 CR CITICORP MARUTI 2003-46 5.4 LOA 05NV04 FV RS 1 CR CITICORP MARUTI 2003-47 5.4 LOA 09NV04 FV RS 1 CR CITICORP MARUTI 2003-48 5.4 LOA 10NV04 FV RS 1 CR
10,000,000.000
10,000,000.000
5,000,000.000
5,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
CITICORP MARUTI 2003/50 5.4LOA08DC04 FVRS 1CR CITICORP MARUTI 03-53 BR LOA 16DC04 FVRS 1 CR CITI MARU 01-36 9.25 LOA 18DC04
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
100
100
CITI MARU 01-36 9.25 NCD 18DC04 FV RS 100 CITI MARU 02-31 8.75 LOA 14JN05
100
100
100
100
100
100
100
100
CITI MARU 01-45 9.5 NCD 18JN05 FV RS 100 CITI MARU 01-47 9.5 LOA 24JN05
100
100
100
100
CITI MARU 01-47 9.5 NCD 24JN05 FV RS 100 CITI MARU 01-34 9.35 LOA 12FB05
100
100
100
100
CITI MARU 01-34 9.35 NCD 12FB05 FV RS 100 CITI MARU 01-48 9.5 LOA 16FB05
100
100
100
100
CITI MARU 01-48 9.5 NCD 16FB05 FV RS 100 CITI MARU 01-35 9.5 LOA 22MR05
100
100
100
100
CITI MARU 01-35 9.5 NCD 22MR05 FV RS 100 CITI MARU 03-16 BR NCD 21AP05 LOA Upto 22JL03 FV RS 1 CR CITI MARU 03-19 6.1 NCD 12MY05 LOA Upto 22JL03 FV RS 1 CR CITI MARU 03-20 BR NCD 12MY05 LOA Upto 22JL03 FV RS 1 CR
100
100
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
CITI MARU 03-21 6.1 NCD 13JU05 LOA Upto 22JL03 FV RS 1 CR CITI MARU 03-24 6.1 NCD 20JU05 LOA UPTO 17SP03 FV RS 1 CR
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
100
100
100
100
10,000,000.00
10,000,000.00
100
100
100
100
100
100
100
100
CITICORP MARUTI SR 03-49 5.75LOA17NV05 FVRS 1CR CITI MARU 02-47 7 LOA 25NV05
10,000,000.000
10,000,000.000
100
100
100
100
CITICORP MARUTI 03-51 BR LOA 11DC05 FVRS 1 CR CITICORP MARUTI 03-52 5.85 LOA12DC05 FVRS 1CR CITICORP MARUTI 03-54 5.8 LOA 23DC05 FVRS 1CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000
10,000,000
10,000,000
10,000,000
1,000,000
1,000,000
1,000,000
1,000,000
CITICORP MARUTI 10,000,000.00 03-59 5.68 LOA 22AP06 FVRS1CR CITICORP MARUTI 04-04 BR LOA 14JU06 FV RS 1CR CITICORP MARUTI 04-09 BR LOA 07JL06 FVRS 1CR CITICORP MARUTI 04-07 BR LOA 10JL06 FVRS 1CR 10,000,000.000
10,000,000.00
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
CITICORP MARUTI 10,000,000.00 03-57 5.87 LOA 13AP07 FVRS1CR CITICORP MARUTI 10,000,000.00 03-58 5.85 LOA 22AP07 FVRS1CR CITICORP MARUTI 04-01 BR LOA 05MY07 FVRS1CR CITICORP MARUTI 04-02 BR LOA 10MY07 FVRS1CR CITICORP MARUTI 04-05 BR LOA 14JU07 FVRS1CR CITICORP FINANC 119 BR LOA 26JL07 FV RS 5 CR 10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
50,000,000.00
50,000,000.00
CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 193 5.25 LOA 11AP05 FVRS10LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 192 5.35 LOA 06MY05 FVRS10LAC
1,000,000.00
1,000,000.00
CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 195 5.45 LOA 07OT05 FVRS10LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 204 5.45 LOA 01DC05 FVRS10LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 194 5.65 LOA 24MR06 FVRS10LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 196 5.65 LOA 07AP06 FVRS10LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 203/I BR LOA 07JU06 FVRS10LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 198 5.9 LOA 16AP07 FVRS10LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 197 5.9 LOA 23AP07 FVRS10LAC INDI ASSOCIATES 1,000,000.00 199 BR LOA 08MY07 FVRS10LAC ASSOCIATES INDI 200 BR LOA 18MY07 FVRS10LAC 1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 201 5.9 LOA 23MY07 FVRS10LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 202 BR LOA 28MY07 FVRS 10 LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 203/2 BR LOA 07JU07 FVRS10LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 207 BR LOA 11JU07 FVRS 10LAC
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
CITIFINANCIAL 1,000,000.000 CONSUMER FIN. INDIA 206 BR LOA 13JU07 FVRS 10LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 213 BR LOA 19JL06 FV RS 10 LAC ASSOCIATES INDI 1,000,000.00 212 4.8 LOA 10JN05 FVRS10 LAC CITIFINANCIAL 1,000,000.00 CONSUMER FIN. INDIA 210 5.55 LOA 11MR05 FVRS10LAC CITIFINANCIAL 1,000,000.000 CONSUMER FIN. INDIA 208 BR LOA 23JU06 FVRS10LAC CITIFINANCIAL 1,000,000.000 CONSUMER FIN. INDIA 209 BR LOA 28JU07 FV RS 10 LAC ASSOCIATES INDI 1,000,000.00 211 BR LOA 12JL07 FVRS10LAC
CFRSIL SR MMI-K 8.5 LOA 15NV01
1,000,000.000
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.000
1,000,000.000
1,000,000.00
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100.00
100.00
100
100
100.00
100.00
100
100
100.00
100.00
CITI RET MMII-M 6.8 NCD 02AP04 LOA UPTO 30JU03 CITI RET MMII-S 5.75 LOA 14JU04
100
100
100.00
100.00
100.00
100.00
100.00
100.00
100.000
100.000
CITI RET MMII-O 6.35 NCD 08NV04 LOA UPTO 30JU03 FV RS 100 CITI RET MMII-R 6 LOA 14DC04 FV RS 100
100
100
100.00
100.00
100
100
100.00
100.00
CITI RET MMII-J 7.8 NCD 28FB05 LOA UPTO 30JU03 FV RS 100 CITI RET MMII-K BR NCD 03MR05 LOA UPTO 30JU03 FV RS 100 CITI RET MMII-Y 5.55 LOA 11MR05 FV RS 100
100
100
100
100
100.000
100.000
CITI RET MMII-N BR NCD 29AP05 LOA UPTO 30JU03 FV RS 100 CITI RET MMII-P 6.13 NCD 20MY05 LOA UPTO 30JU03 FV RS 100 CITI RET MMII-T 6.2 LOA 14JU05 FV RS 100
100
100
100.00
100.00
100.00
100.00
100.00
100.00
CITIFINANCIAL RETAIL SERV INDIA MMII - Z 5.82 LOA 14NV05 FV RS 100 CITI RET MMII-G 7.3 LOA 21NV05
100.000
100.000
100
100
100.00
100.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
COAL INDIA SR-M 12.25 BD 01DC04 FV RS 1 CR COAL INDIA SR-N 12.25 BD 01DC05 FV RS 1 CR COAL INDIA SR-O 12.25 BD 01DC06 FV RS 1 CR COATES OF INDIA 11.8 NCD 10JL03
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100
100
100
100
100
100
COROMANDEL FERT 100,000.000 11.4 LOA 15FB04 FV RS 1 LAC COROMANDEL FERT 9.71 LOA 19JL04 FV RS37000 37,000.000
100,000.000
37,000.000
50,00,000
50,00,000
50,00,000
50,00,000
COROMANDEL FERT 9.45 NCD 16JN07 FV RS 1 LAC COSMO FILMS BR NCD 07NV02
100000
100000
10,00,000
10,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1000
1000
1,00,000
1,00,000
100,000
100,000
1,00,000
1,00,000
10,000
10,000
10,000
10,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
DCM SHRIRAM CON 10,000,000.000 BR LOA 04MY04 FV RS 1 CR DCM SHRIRAM CON 10,000,000.000 BR LOA 10MY04 FV RS 1 CR DCM SHRIRAM CON 10,000,000.000 BR LOA 11MY04 FV RS 1 CR DCM SHRIRAM CON 10,000,000.00 BR LOA 02JL04 FV RS 1 CR DCM SHRIRAM CON 4.7 LOA 03SP04 FV RS 1 CR 10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.000
10,000,000.000
DCM SHRIRAM CON 4.8 LOA 15SP04 FV RS 1 CR DCM SHRIRAM CON BR LOA 17SP04 FV RS 1 CR
DCM SHRIRAM CONS BR LOA 15JN03
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
DCM SHRIRAM CON 4.8 LOA 26AP04 FV RS 1 CR DCM SHRIRAM CON 4.8 LOA 28AP04 FV RS 1 CR
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
DCM SHRIRAM CON 10,000,000.000 BR LOA 14MY04 FV RS 1 CR DCM SHRIRAM CON 10,000,000.000 BR LOA 18MY04 FV RS 1 CR DCM SHRIRAM CON 10,000,000.00 4.95 LOA 25JU04 FV RS 1 CR
DECCAN CHRONICL 5.75 LOA 22AG04 FV RS 1 LAC
10,000,000.000
10,000,000.000
10,000,000.00
100,000.00
100,000.00
1,000,000.00
1,00,000
1,00,000
DEEPAK FERT 12.5 NCD 30MR05 FV RS 1 LAC DEEPAK FERT 12.5 NCD 01NV05 FV RS 1 LAC DEEPAK NITRITE 15 NCD 24MY03
1,00,000
1,00,000
1,00,000
1,00,000
100
22.51
1,000,000.000
1,000,000.000
DEWAN HOUSING 1,000,000.00 5.4 NCD 23OT04 FV RS 10 LAC DEWAN HOUSING 5.85 NCD 11DC04 FV RS 10 LAC 1,000,000.000
1,000,000.00
1,000,000.000
DEWAN HOUSING 1,000,000.000 5.85 NCD 11JN05 FV RS 10 LAC DEWAN HOUSING 12.9 NCD 23MR06 FV RS 10 LAC
DEWAN HOUSING 11.5 NCD 06NV06
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000
1,000,000
DEWAN HOUSING 10.5 NCD 17MR07 FV RS 10 LAC DEWAN HOUSING 8.5 NCD 19NV07
1,000,000
1,000,000
1,000,000
1,000,000
1,00,000
1,00,000
500,000
500,000
500,000
500,000
10,000,000
10,000,000
1,00,000
1,00,000
EID PARRY 9.71 LOA 18JL04 FV RS 63000 ELECTRO STEEL BR LOA 15FB02
1,00,000
1,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
50,00,000
50,00,000
5000000
5000000
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
50,00,000
50,00,000
5,000,000.000
5,000,000.000
5,000,000.000
5,000,000.000
ENERCON (I) LTD BR NCD 16JN04 FV RS 50 LAC ENERCON (I) LTD BR NCD 23JN04 FV RS 50 LAC ENERCON (I) LTD BR NCD 25FB04 FV RS 50 LAC ESCORTS 12 LOA 08AP03
5,000,000.000
5,000,000.000
5,000,000.000
5,000,000.000
5,000,000.000
5,000,000.000
10
10
10,000,000
10,000,000
10,000,000
10,000,000
10
10
10
10
190(Out of which Rs.85 converted into Equity shares & balance represents NCD) 100,000
105
100,000
100
100
100,000
100,000
1,00,00,000
1,00,00,000
10000000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10000000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10000000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10000000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
ESSEL PROPACK 10,000,000.000 BR NCD 30MR04 FV RS 1 CR ESSEL PROPACK 10,000,000.000 BR NCD 02AP04 FV RS 1 CR ESSEL PROPACK 10,000,000.000 BR NCD 21AP04 FV RS 1 CR ESSEL PROPACK 10,000,000.000 BR NCD 28AP04 FV RS 1 CR ESSEL PROPACK 10,000,000.00 6.5 NCD 05MY04 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
ESSEL PROPACK BR NCD 07JU04 FV RS 1 CR ESSEL PROPACK 5.9 NCD 14JU04 FV RS 1 CR ESSEL PROPACK BR NCD 15JU04 FV RS 1 CR
ESSEL PROPACK 10.8 NCD 24JL04 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
10,000,000.00
1,00,00,000
1,00,00,000
10000000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
ESSEL PROPACK 10,000,000.000 BR NCD 03SP04 FV RS 1 CR ESSEL PROPACK 10,000,000.000 5.9 NCD 03AG04 FV RS 1 CR ESSEL PROPACK 10,000,000.000 BR NCD 10SP04 FV RS 1 CR ESSEL PROPACK 10,000,000.000 5.9 NCD 21SP04 FV RS 1 CR ESSEL PROPACK 10,000,000.000 5.9 NCD 24SP04 FV RS 1 CR ESSEL PROPACK 10,000,000.000 BR NCD 24SP04 FV RS 1 CR ESSEL PROPACK 10,000,000.00 BR NCD 21OT04 FV RS 1 CR
ESSEL PROPACK 8.5 NCD 04MR02
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
1,00,00,000
1,00,00,000
100
100
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
EXIDE INDS 7.15 LOA 09OT04 FV RS 1 CR EXPERT HORTI. BR NCD 30SP04 FV RS 100
1,00,00,000
1,00,00,000
100
100
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,000
1,00,000
10,000,000
10,000,000
1,00,000
1,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
EXIM SR-E8 8.55 BD 20MR07 FV RS 1 CR EXIM SR-E9 8.55 BD 21MR07 FV RS 1 CR EXIM SR-E10 8.55 BD 28MR07 FV RS 1 CR EXIM SR-F1 8.38 BD 23AP07 FV RS 1 CR
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,000,000.00
1,000,000.00
10,000,000
10,000,000
FINOLEX INDUST 7.99 LOA 07OT07 FV RS 1 CR FINOLEX INDUST 7.25 LOA 31OT07 FV RS 1 CR FIRST LEASING 11 NCD 04AP02
10,000,000
10,000,000
10,000,000
10,000,000
100
100
100
100
100
100
100
100
100
100
100
100
19177000
19177000
100
100
1,00,00,000
1,00,00,000
10,000,000
10,000,000
100
100
100
100
100
100
20304000
20304000
FIRST LEASING 11.75 NCD 04OT04 FV RS 100 FIRST LEASING 11.9 NCD 04AP05 FV RS 100
100
100
100
100
100
100
100
100
FIRST LEASING 12.25 NCD 01OT06 FV RS 100 FIRST LEASING 12.25 NCD 04OT06 FV RS 27107000 FIRST LEASING 12.4 NCD 01AP07 FV RS 100
100
100
27107000
27107000
100
100
FIRST LEASING 12.5 NCD 04AP07 FV RS 28768000 FIRST LEASING 12.5 NCD 01OT07 FV RS 100
28768000
28768000
100
100
100
100
FIRST LEASING 12.5 NCD 04AP08 FV RS 32476000 FIRST LEASING 8.25 LOA 07FB04
32476000
32476000
10,000,000.00
10,000,000.00
100
100
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
100.000
100.000
100.000
100.000
FIRST LEASING 10,000,000.000 7.25 NCD 20JN05 FV RS 1 CR FIRST LEASING 10,000,000.000 7.5 NCD 09FB05 FV RS 1 CR FIRST LEASING 10,000,000.000 7.5 NCD 22FB05 FV RS 1 CR FIRST LEASING 9 NCD 04AP05 FV RS 100 FIRST LEASING 12 NCD 04AP05 FV RS 100 FIRST LEASING 6.5 NCD 10JU05 FV RS 100
FIRST LEASING 12 NCD 04OT05
10,000,000.000
10,000,000.000
10,000,000.000
100.00
100.00
100.000
100.000
100.000
100.000
100
100
100
100
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
FORD CRE A-132 BR LOA 22DC03 FORD CRE A-133 BR LOA 23DC03
100,000.00
100,000.00
100,000.00
100,000.00
100,000.000
100,000.000
100,000.000
100,000.000
FORD CRE. KOTAK A-150 BR LOA 23JN04 FVRS 1LAC FORD CRE. KOTAK A160/161 4.9 LOA 18JU04 FVRS 1LAC
FORE CRE.SR-A57 10.35 NCD 24AG04 FV RS 1 LAC FORD CRE.SR-A58 10.35 NCD 27AG04 FV RS 1 LAC FORD CRE.A109 7.65 LOA 27AG04
100,000.000
100,000.000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
FORD CRE.A109 7.65 NCD 27AG04 FV RS 1 LAC FORD CRE.A109 7.65 NCD 27AG04 FV RS 1 LAC FORD CRE.SR-A67 10.3 LOA 24NV04 FV RS 1 LAC FORD CRE.SR-A67 10.3 NCD 24NV04 FV RS 1 LAC FORD CRE.SR-A68 10.3 LOA 26NV04 FV RS 1 LAC FORD CRE.SR-A68 10.3 NCD 26NV04 FV RS 1 LAC FORD CRE.A129 6.55 LOA 26AG05 FV RS 1 LAC
100,000
100,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
FORD CRE A-130 6.55 LOA 29AG05 FV RS 1 LAC FORD INDIA SR-S 9.8 NCD 02AG06 FV RS 1 CR
100,000.00
100,000.00
1,00,00,000
1,00,00,000
1,00,000
1,00,000
5,000,000
5,000,000
5,000,000
5,000,000
5,000,000
5,000,000
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.000
5,000,000.000
5,000,000.000
GARDEN SILK 5,000,000.000 BR LOA 29MR04 FV RS 50 LAC GARDEN SILK 5,000,000.00 BR LOA 29MR04 FV RS 50 LAC
GARDEN SILK BR LOA 28AP04
5,000,000.000
5,000,000.000
5,000,000
5,000,000
GARDEN SILK BR LOA 11JU04 FV RS 50 LAC GARDEN SILK BR LOA 18JU04 FV RS 50 LAC GARDEN SILK BR LOA 21JU04 FV RS 50 LAC
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
GARDEN SILK 5,000,000.00 5.65 LOA 28JU04 FV RS 50 LAC GARDEN SILK 5,000,000.00 5.65 LOA 29JU04 FV RS 50 LAC GARDEN SILK BR LOA 02JL04 FV RS 50 LAC GARDEN SILK BR LOA 06JL04 FV RS 50 LAC 5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000.00
5,000,000
5,000,000
5,000,000
5,000,000
5,000,000
5,000,000
5,000,000
5,000,000
5,000,000
5,000,000
10000000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
5,00,000
5,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10000000
100,00,000
100,00,000
10000000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
100,00,000
100,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
91,82,736
1,00,00,000
10000000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10000000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,68,750
1,68,750
100,00,000
100,00,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
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1,00,00,000
1,00,00,000
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100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
100,00,000
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1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
1,00,00,000
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1,00,00,000
1,00,00,000
100,00,000
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1,00,00,000
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1,00,00,000
1,00,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
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1,00,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
100,00,000
100,00,000
1,00,00,000
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1,00,00,000
100,00,000
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1,00,00,000
10,000,000
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100,00,000
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1,00,00,000
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100,00,000
100,00,000
10,000,000
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10,000,000
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100,00,000
100,00,000
100,00,000
100,00,000
1,68,750
1,68,750
100,00,000
100,00,000
10,000,000
10,000,000
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100,00,000
100,00,000
100,00,000
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1,00,00,000
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10,000,000
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10,000,000.00
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10,000,000.00
100,00,000
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10,000,000
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100,00,000
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100,00,000
100,00,000
100,00,000
100,00,000
10,000,000.00
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100,00,000
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1,00,00,000
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10,000,000
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10,000,000
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100,00,000
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100,00,000
10,000,000
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100,00,000
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10,000,000
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100,00,000
100,00,000
10,000,000
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1,00,00,000
1,00,00,000
100,00,000
100,00,000
10,000,000
10000000
100,00,000
100,00,000
100,00,000
100,00,000
10,000,000
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10,000,000
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1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
100,00,000
100,00,000
10,000,000
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100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
10,000,000.00
10,000,000.00
100,00,000
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100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
1,68,750
1,68,750
25,00,000
25,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
10,000,000.000
10,000,000.000
100,00,000
100,00,000
100,00,000
100,00,000
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
100,00,000
100,00,000
100,00,000
100,00,000
10,000,000.00
10,000,000.00
100,00,000
100,00,000
GE CAP SERVICES S-7 5.35 LOA 31JN04 FV RS 1CR GECSI S-1 5.05 LOA 03FB04
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
GE CAP SERVICES S-25 6 LOA 16FB04 FVRS 1CR GECSI P-7 6.73 NCD 20FB04
10,000,000.000
10,000,000.000
100,00,000
100,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000
10,000,000
10,000,000
10,000,000
10000000
10000000
10,000,000.00
10,000,000.00
GE CAP SERVICES S-10 5.25 LOA 06MY04 FV RS 1 CR GECSI Q-6 5.75 NCD 07MY04
10,000,000.000
10,000,000.000
10,000,000
10,000,000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
GE CAP SERVICES T-15 4.75 LOA 07JU04 FVRS 1CR GE CAP SERVICES T-7 4.9 LOA 13JU04 FV RS 1 CR
GE CAP SERVICES S-20 5.1 LOA 15JU04 FVRS 1 CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
GE CAP SERVICES T-7 4.9 LOA 16JU04 FV RS 1 CR GE CAP SERVICES T17 4.8 LOA 16JU04 FVRS 1CR
GE CAP SERVICES S-20 5.1 LOA 22JU04 FVRS 1 CR GECSI DJU03-23A RR NCD 23JU04
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
GE CAP SERVICES S-16 5.22LOA24JU04 FVRS 1CR GECSI Q-9 BR NCD 26JU04
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
GE CAP SERVICES 10,000,000.000 T-4 5 LOA 12JL04 FV RS 1 CR GE CAP SERVICES T-10/A BR LOA 23JL04 FVRS 1CR GE CAP SERVICES U-5 BR LOA 27JL04 FV RS 1 CR GE CAP SERVICES T-6 4.9 LOA 30JL04 FVRS 1 CR 10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
100,00,000
100,00,000
10,000,000.000
10,000,000.000
100,00,000
100,00,000
10,000,000.000
10,000,000.000
100,00,000
100,00,000
10,000,000.000
10,000,000.000
10,000,000.000
2,500,000.00
2,500,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000
100,00,000
100,00,000
10,000,000.00
10,000,000.00
10,000,000.000
100,00,000
100,00,000
100,00,000
100,00,000
10,000,000.000
10,000,000.000
GE CAP SERVICES 10,000,000.000 T-10/C BR LOA 23SP04 FVRS 1CR GE CAP SERVICES 10,000,000.000 T-12 5.1 LOA 23SP04 FV RS 1CR
GECSI R-13 5.25 LOA 29SP04 FV RS 1 CR GECSI O-3 OPT-B 7.58 NCD 03OT04 FV RS 1 CR GECSI S-2 5.25 LOA 03OT04 FV RS 1 CR GECSI DOT03-7A RR LOA 07OT04
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
100,00,000
100,00,000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
GE CAP SERVICES S-8 5.5 LOA 03NV04 FV RS 1CR GE CAP SERVICES S-9 5.4 LOA 05NV04 FV RS 1 CR GE CAP SERVICES D-NV03 D7-A RR LOA 07NV04 FV RS 1 CR GECSI O-13 6.75 NCD 18NV04 FV RS 1 CR GE CAP SERVICES S-14/A BRLOA18NV04 FVRS 1CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
100,00,000
100,00,000
10,000,000.000
10,000,000.000
GE CAP SERVICES D-NV03/23-A RRLOA23NV04 FV RS 1 CR GE CAP SERVICES D-NV03/23-B RRLOA23NV04 FV RS 1 CR GE CAP SERVICES S-14/A BRLOA24NV04 FVRS 1CR GE CAP SERVICES D-DC03/7A RR LOA 07DC04 FVRS1CR GE CAP SERVICES DDC03/23-B RRLOA23DC04FVRS1CR GE CAP SERVICES DDC03/23-A RRLOA23DC04FVRS1CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
GE CAP SERVICES U-6 BR LOA 23DC04 FVRS 1CR GE CAP SERVICES T-1 BR LOA 04JN05 FV RS 1 CR GE CAP SERVICES DJN04/7A RR LOA07JN05 FVRS1CR
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
100,00,000
100,00,000
10,000,000.000
10,000,000.000
10,000,000.00
GE CAP SERVICES DJN04/23A RRLOA23JN05 FVRS1CR GE CAP SERVICES DJN04/23B RRLOA23JN05 FVRS1CR GECSI L-2 OPT-C
9.1 NCD 29JN05 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
1,00,00,000
1,00,00,000
GE CAP SERVICES DFB04/7B RR LOA07FB05 FVRS1CR GE CAP SERVICES DFB04/23A RRLOA23FB05 FVRS1CR GE CAP SERVICES DFB04/23B RRLOA23FB05 FVRS1CR GE CAP SERVICES T-11 BR LOA 23FB05 FV RS 1 CR GE CAP SERVICES DAP04/7B RRLOA 07AP05 FVRS1CR
GECSI L-14 OP-A 9.2 NCD 10AP05 FV RS 1 CR GECSI L-14 OP-A 9.2 NCD 11AP05 FV RS 1 CR GECSI S-5 5.38 LOA 13AP05 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.000
10,000,000.000
GE CAP SERVICES 10,000,000.00 U-4 RR LOA 22AP05 FV RS 1 CR GE CAP SERVICES DAP04/23A RRLOA23FB05 FVRS1CR 10,000,000.00
10,000,000.00
10,000,000.00
GE CAP SERVICES S-12 BR LOA 10MY05 FV RS 1 CR GE CAP SERVICES S-14/B BRLOA18MY05 FVRS 1CR GE CAP SERVICES S-21 BR LOA 22JU05 FV RS 1 CR GE CAP SERVICES S-24 5.62 LOA 30JU05 FVRS 1CR GECSI N-5 8.6 NCD 12JL05 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
GECSI N-26 7.75 NCD 17SP05 FV RS 1 CR GE CAP SERVICES S-6 5.65 LOA 29OT05 FV RS 1CR GE CAP SERVICES S-19 5.63 LOA 16DC05 FVRS 1CR GE CAP SERVICES S-22 BR LOA 26DC05 FVRS 1CR GE CAP SERVICES S-23 5.75 LOA 26DC05 FVRS 1CR GECSI P-2 6.65 NCD 13JN06 FV RS 1 CR
100,00,000
100,00,000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
100,00,000
100,00,000
GE CAP SERVICES T-5 5.65 LOA 20JN06 FVRS 1 CR GE CAP SERVICES T-18 BR LOA 26MR06 FV RS 1 CR GE CAP SERVICES V-3 BR LOA 23JU06 FV RS 1 CR GE CAP SERVICES V-1 BR LOA 23JL06 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
GE CAP SERVICES 10,000,000.00 V-2 BR LOA 23AG06 FV RS 1 CR GE CAP SERVICES 10,000,000.00 V-4 BR LOA 23SP06 FV RS 1 CR
GE CAP SR-J-14 9.5 NCD 15OT06 FV RS 10 LAC
10,000,000.00
10,000,000.00
10,00,000
10,00,000
10,000,000.00
10,00,000
10,00,000
GECSI SR J-14 9.5 NCD 03DC06 FV RS 10 LAC GECSI SR K-22 9.75 NCD 10JN07 FV RS 25 LAC GECSI L-2 OPT- D 9.5 NCD 18JN07 FV RS 1 CR
10,00,000
10,00,000
25,00,000
25,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
GECSI L-14 OP-B 9.75 NCD 10AP07 FV RS 10 LAC GECSI L-14 OP-B 9.75 NCD 11AP07 FV RS 10 LAC GECSI L-14 OP-B 9.75 NCD 17AP07 FV RS 10 LAC GECSI M-25 9.52 NCD 01JL07 FV RS 10 LAC GECSI M-25 9.52 NCD 03JL07 FV RS 10 LAC GECSI O-5 8.33 NCD 07OT07 FV RS 1 CR GECCFS SR CW-31 10.3 NCD 19JU02
10,00,000
10,00,000
10,00,000
10,00,000
1,000,000
1,000,000
10,00,000
10,00,000
10,00,000
10,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
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1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
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1,00,00,000
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1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
GE COUNTRYWIDE CW59 5.4 LOA 15MY05 FV RS 1CR GE COUNTRYWIDE CW60 5.4 LOA 15JU05 FV RS 1 CR
GE COUNTRYWIDE CW-57 5.58 LOA 29JU05FVRS 1CR
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
GE COUNTRYWIDE CW-61/A 5.8LOA 16OT06 FVRS1CR GE COUNTRYWIDE CW-61/B 5.85LOA 16AP07 FVRS1CR
GERMAN REMEDIES 5.4 LOA 12SP03
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
GHAGHARA SUGAR 10,000,000.00 BR LOA 14JU04 FV RS 1 CR GHAGHARA SUGAR 10,000,000.00 BR LOA 30JU04 FV RS 1 CR GHAGHARA SUGAR 10,000,000.00 BR LOA 30JU04 FV RS 1 CR
GLENMARK SR-C 10 LOA 05SP02
10,000,000.00
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
GLENMARK PHARMA 6.25 LOA 15MR04 FV RS 1 CR GLENMARK PHARMA 6.25 LOA 29MR04 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
GLENMARK PHARMA 5.7 LOA 27OT04 FV RS 5 CR GLENMARK PHARMA 5.6 LOA 03NV04 FV RS 5 CR
GLENMARK SR-E 10.5 NCD 01JN05
50,000,000.00
50,000,000.00
50,000,000.00
50,000,000.00
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000
10,000,000
10,000,000
10,000,000
10000
500000
500000
10000000
100
10000000
1,00,000
1,00,000
1,00,000
1,00,000
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100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100
100
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
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100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.000
100.000
GOETZE INDIA 8.25 LOA 26DC03 GOETZE INDIA 7.6 LOA 02JN04
100.00
100.00
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
1,00,00,000
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50,00,000
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1,00,000
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1,00,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
GUJ AMBUJA CEM 8.7 NCD 10MY06 FV RS 1 CR GUJ AMBUJA CEM 9.28 LOA 10JN07
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
GUJ AMBUJA CEM 8.4 NCD 14MY07 FV RS 1 CR GUJ AMBUJA CEM 8.1 NCD 23JL07 FV RS 1 CR GUJ AMBUJ SR-12 11.9 NCD 03NV02
10,000,000
10,000,000
10,000,000
10,000,000
100
100
1,00,00,000
1,00,00,000
100
100
100
100
100
100
GUJ AMBUJ SR-23 9.25 NCD 08FB05 FV RS 1 CR GUJ AMBUJ SR-14 12.3 NCD 10OT05 FV RS 100
1,00,00,000
1,00,00,000
100
100
GUJ AMBUJ SR-15 11.75 NCD 12DC05 FV RS 1 CR GUJ AMBUJA CEM 6 LOA 26DC05
10000000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
GUJ AMBUJ SR-21 9.28 NCD 10JN07 FV RS 1 CR GUJ AMBUJ SR-22 9.28 NCD 18JN07 FV RS 1 CR GUJ AMBUJ SR-24 9.45 NCD 08FB07 FV RS 1 CR GUJ AMBUJA CEM 8.4 LOA 14MY07
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
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100
100
100
100
1,00,000
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100,000.00
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1000000
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10,000,000
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100
100
1,00,00,000
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50,00,000
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100
100
1,000,000.00
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100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
GUJ ST FIN SR-5 10 LOA 16JN07 FV RS 10 LAC GUJ.FIN SLR3-07 13.75 BD 29JN07 FV RS 100
10,00,000
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100
100
100
100
100
100
100
100
100
100
100
100
100
100
1,00,000
1,00,000
10,000,000.00
5,00,00,000
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5,00,00,000
5,00,00,000
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5,00,00,000
5,00,00,000
50,000,000.00
50,000,000.00
50,000,000.00
50,000,000.00
100
100
HALDIA PET-DCPS 15.5 OFCD 01AP03 FV RS 100 HALDIA PET-DCPS 15.5 OFCD 07JU03
100
100
100
100
100
100
100
100
100
100
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
HALDIA PET-1C 16 OCD 28MR05 FV RS 1 LAC HALDIA PET-1D 16 OCD 28MR05 FV RS 1 LAC HALDIA PET-1D 16 OCD 11MY05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
HALDIA PET-B1 15.25 BD 02JL05 FV RS 1 LAC HALDIA PET-B1/1 15.25 BD 11SP05 FV RS 1 LAC HALDIA PET-C 16 BD 15FB06 FV RS 1 LAC
1,00,000
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1,00,000
1,00,000
1,00,000
1,00,000
HALDIA PET-D 15.25 BD 23JU06 FV RS 1 LAC HALDIA PET-D 15.25 BD 03AG06 FV RS 1 LAC HAMLET CONST. 6.5 LOA 05FB05
1,00,000
1,00,000
1,00,000
1,00,000
100
100
100
100
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
HDFC BANK LTD. 13.75 BD 30JU06 FV RS 1 CR HDFC BANK LTD. 13.75 BD 01SP06 FV RS 1 CR HDFC BANK LTD. 13.75 BD 01SP06 FV RS 25000000 HDFC BANK LTD. 13.75 BD 05SP06 FV RS 25000000 HERO CYCLES 11.25 NCD 15FB05 FV RS 100
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
2,50,00,000
2,50,00,000
2,50,00,000
2,50,00,000
100
100
5,00,00,000
5,00,00,000
10,000,000.00
3,00,000.00
300,000.00
HINDALCO SR-14 6.2 NCD 08JN08 FV RS 5 LAC HINDALCO SR-15 5.95 NCD 14JN08 FV RS 5 LAC 17 NCD 11MY01
500,000
500,000
500,000
500,000
33
33
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
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10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
HOC SR-8 OPT-1 13.5 LOA 30JL04 FV RS 1 LAC HOC SR-8 OPT-2 13 LOA 30JL04 FV RS 1 LAC
100,000.00
100,000.00
100,000.00
100,000.00
HOC SR-11 6.5 LOA 28AG04 FV RS 10 LAC HOC SR-9 13.5 BD 30JU05 FV RS 1 LAC
1,000,000.00
1,000,000.00
100,000.00
100,000.00
50,000,000
50,000,000
50,000,000
50,000,000
50,000,000
50,000,000
50,000,000
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1,00,000
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1,00,000
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1,00,000
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1,00,000
1,00,000
1,00,000
155
51.66
1,00,000
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100,000
100,000
100,000
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100,000
100,000
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100,000.00
100,000.00
100,000.000
100,000.000
100,000.00
100,000.00
100,000.00
100,000.00
HINDUSTAN CONST 100,000.000 BR LOA 26MR04 FV RS 1 LAC HINDUSTAN CONST 5.2 LOA 12AP04 FV RS 1 LAC HINDUSTAN CONST BR LOA 23AP04 FV RS 1 LAC 100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
HINDUSTAN CONST 100,000.000 BR LOA 24MY04 FV RS 1 LAC HINDUSTAN CONST 100,000.000 5.6 LOA 24MY04 FV RS 1 LAC
100,000.000
100,000.000
HINDUSTAN CONST 100,000.000 BR LOA 07JU04 FV RS 1 LAC HINDUSTAN CONST 6 LOA 23JU04 FV RS 1 LAC 100,000.000
100,000.000
100,000.000
HINDUSTAN CONST 100,000.00 4.8 LOA 06AG04 FV RS 1 LAC HINDUSTAN CONST 100,000.00 4.78 LOA 23AG04 FV RS 1 LAC HINDUSTAN CONST 100,000.00 5.45 LOA 20SP04 FV RS 1 LAC HINDUSTAN CONST 5.4 LOA 05OT04 FV RS 1 LAC HINDUSTAN CONST 5.4 LOA 05NV04 FV RS 1 LAC HINDUSTAN CONST 5.4 LOA 22NV04 FV RS 1 LAC HINDUSTAN CONST 5 LOA 24SP04 FV RS 1 LAC 100,000.00
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100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.000
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HINDUSTAN CONST 100,000.000 5.08 LOA 08DC04 FV RS 1 LAC HINDUSTAN CONST 100,000.00 5.4 LOA 08JL05 FV RS 1 LAC HINDUSTAN CONST 100,000.00 5.5 LOA 21JL05 FV RS 1 LAC
HINDUST. COPPER 15 BD 30JU03
100,000.000
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100,000.00
1,00,000
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1,00,000
6.00
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10,00,000
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10,00,000
10,000,000.00
1,00,00,000
1,00,00,000
10,00,00,000
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HINDUSTHAN SEAL 5.15 LOA 08MR04 FV RS 1 CR HINDUSTHAN SEAL 5.1 LOA 09MR04 FV RS 1 CR
10,000,000.000
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10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
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HINDUSTHAN SEAL 10,000,000.000 5.05 LOA 13AP04 FV RS 1 CR HINDUSTHAN SEAL 10,000,000.000 5.02 LOA 07MY04 FV RS 1 CR
HMT OPT-B 11.75 BD 07NV02
10,000,000.000
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1,000,000.00
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9,25,333
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HDFC SR-38 5.4 NCD 17JU04 LOA Upto 30JL03 HDFC SR-34 6 LOA 23DC05
1,000,000.00
1,000,000.00
10,00,000
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10,00,000
10,00,000
10,00,000
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HDFC SR-29 7.05 NCD 11OT07 FV RS 10 LAC HDFC SR-31 6.67 LOA 18NV07
10,00,000
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10,00,000
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HDFC SR-31 6.67 NCD 18NV07 FV RS 10 LAC HDFC SR-32 6.6 LOA 20NV07
10,00,000
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HDFC SR-32 6.6 NCD 20NV07 FV RS 10 LAC HDFC SR-33 6.3 NCD 18DC07
10,00,000
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HDFC SR-33 6.3 NCD 18DC07 FV RS 10 LAC HDFC SR-35 6.1 LOA 09JN08
10,00,000
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10000
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10000
10000
25000
25000
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10000
10000
25000
25000
100000
100000
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5,00,000
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5,00,000
5,00,000
5,00,000
1,00,000
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HUDCO TXNPS-23A 9.25 BD 27MR07 FV RS 5 LAC HUDCO 2002-SD1 9.25 BD 27MR07 FV RS 1 LAC HUDCO TXNPS-24A 9.25 LOA 28MR07
5,00,000
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5,00,000
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HUDCO TXNPS-24A 9.25 BD 28MR07 FV RS 5 LAC HUDCO NTX SR-2A 8 BD 28MR07 FV RS 5 LAC
5,00,000
5,00,000
5,00,000
5,00,000
10,00,000
10,00,000
1,00,00,000
1,00,00,000
10,00,000
10,00,000
1,00,00,000
1,00,00,000
10000
10000
25000
25000
100000
100000
1000000
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5000000
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10000
10000
25000
25000
100000
100000
1000000
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10000
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HUDCO SLR-45D 12.3 BD 27MR08 FV RS 1 LAC HUDCO SLR-45C 12.3 BD 27MR08 FV RS 5 LAC HUDCO SLR-45B 12.3 BD 27MR08 FV RS 10 LAC HUDCO SLR-45A 12.3 BD 27MR08 FV RS 50 LAC HDFC SR-44 8.4 NCD 25FB05 FV RS 10 LAC HDFC SR 22 8.5 NCD 16AG04 FV RS 10 LAC HDFC SR23 LOA 12SP04 8.75
100000
100000
500000
500000
1000000
1000000
5000000
5000000
10,00,000
10,00,000
10,00,000
10,00,000
1000000
HDFC SR-23 8.75 NCD 12SP04 FV RS 10 LAC HDFC SR-26 8.65 LOA 11FB05
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
1,000,000.00
1,000,000.00
10,00,000
10,00,000
1,000,000.00
1,000,000.00
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
HDFC SR-26 8.65 NCD 11FB05 FV RS 10 LAC HDFC SR-40/A6 12 BD 10JU05 FV RS 5 LAC
10,00,000
10,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
10,00,000
10,00,000
HDFC SR-28 8.6 NCD 06MY07 FV RS 10 LAC HDFC SR-40/A10 12 BD 10JU07 FV RS 5 LAC
10,00,000
10,00,000
5,00,000
5,00,000
5,00,000
5,00,000
1,000,000
1,000,000
1,000,000.00
1,000,000.00
100,000
100,000
500000
100000
500000
100000
100000
100000
500000
100000
500000
100000
500000
100000
500000
100000
500000
100000
500000
100000
500000
100000
500000
100000
500000
100000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI NMDJY101 10.35 UNMD 03JL06 FV RS 1 LAC ICICI NMDQ402 9.35 UNMD 28MR07 FV RS 1 LAC ICICI DNOCQ200 12 UNMD 11AG07 FV RS 1 LAC ICICI D/98 13.5 UMD 29MY03
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000.00
100,000
100,000
100,000.00
100,000.00
100,000
100,000
ICICI D/98 13.9 UMD 06MY05 FV RS 1 LAC ICICI D/98 13.9 UMD 15MY05 FV RS 1 LAC ICICI D/98 13.85 UMD 05JU05 FV RS 1 LAC
100,000
100,000
100,000
100,000
100,000
100,000
ICICI 100,000.00 D98 14.25 UMD 24JU05 FV RS 1 LAC ICICI BANK LTD DNMQ100 11.25 UNMD 28JU05 FV RS 1 LAC
ICICI DNPCM700 11.25 UNMD12JL05 FV RS 1 LAC
100,000.00
100,000.00
100,000.00
100,000
100,000
100,000.00
100,000.00
100,000
100,000
ICICI FEB 2003 6.75 TSB1 03AP06 FV RS 5000 ICICI MAR 2003 6.75 TSB1 30AP06 FV RS 5000
5,000.00
5,000.00
5,000.00
5,000.00
100,000.00
100,000.00
5,000.00
6,200.00
5,000.00
6,200.00
10,00,000
10,00,000
100,000
100,000
100,000
100,000
ICICI BANK LTD NMDQ202 9.5 UNMD 07NV07 FV RS 1 LAC ICICI BANK LTD N1DQ4PC0 11.1 UNMD 29MR08 FV RS 1 LAC
ICICI FEB 2003 6.75 TSB3 03AP08 FV RS 5000
100,000.00
100,000.00
100,000.00
100,000.00
5,000.00
5,000.00
100,000.00
100,000.00
5,000.00
5,000.00
100,000.00
1,00,000
1,00,000
ICICI MAR 2002 8.75 TSB1 23AP05 FV RS 5000 ICICI MAR 2002 DDB TSB3 23AG05 FV RS 6625 ICICI PNQ302R 8.9 UPN 16DC06
5,000
5,000
5,000
6,625
1,00,000
1,00,000
5,000
5,000
5,000
5,000
100,000
100,000
100,000
100,000
100,000
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100,000
100,000
100,000
100,000
100,000
100,000
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100,000
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100,000
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100,000
100,000
100,000
100,000
5,000
5,000
ICICI JAN 2003 DDB TSB2 26JU06 FV RS 6250 ICICI AUG-2003 DDB TSB2 09FB07 FV RS 6025 ICICI JAN 2003 7.25 TSB3 26FB08 FV RS 5000 ICICI E97 13 UMD 19SP04 FV RS 1 LAC
5,000
6,250
5,000.000
6,025.000
5,000
5,000
100,000.00
100,000.00
100,000.000
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ICICI B98 14.25 UMD 28FB05 FV RS 1 LAC ICICI B98 14.25 UMD 03MR05 FV RS 1 LAC ICICI B98 14.25 UMD 05MR05 FV RS 1 LAC
100,000.00
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ICICI C98 13.75 UMD 29AP05 FV RS 1 LAC ICICI C98 13.75 UMD 02MY05 FV RS 1 LAC ICICI D/98 13.75 UMD 04MY05 FV RS 1 LAC ICICI D/98 13.75 UMD 11MY05 FV RS 1 LAC ICICI D/98 13.75 UMD 15MY05 FV RS 1 LAC ICICI D98 13.75 UMD 21MY05 FV RS 1 LAC ICICI D98 13.75 UMD 23MY05 FV RS 1 LAC ICICI D/98 13.75 UMD 29MY05 FV RS 1 LAC ICICI D98 14.25 UMD 12JU05 FV RS 1 LAC ICICI D/98 14.25 UMD 13JU05 FV RS 1 LAC ICICI D98 14 UMD 16JU05 FV RS 1 LAC ICICI D/98 14.15 UMD 19JU05 FV RS 1 LAC ICICI DNMQ100 11.1 UNMD 23JU05 FV RS 1 LAC
100,000.00
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100000.000
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ICICI D98 13.75 UMD 25JU05 FV RS 1 LAC ICICI D98 14 UMD 26JU05 FV RS 1 LAC
100000.000
100000.000
100000.000
100000.000
ICICI D98 14.25 UMD 27JU05 FV RS 1 LAC ICICI F98 14.25 UMD 10JL05 FV RS 1 LAC
100,000.00
100,000.00
100,000.00
100,000.00
100,000.000
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100,000.000
ICICI DNOCQ200 11.9 CUNMD 16AG05 FV RS 1 LAC ICICI M8NM5C00 12.05 UNMD 26AG05
100000.000
100000.000
100,000.00
100,000.00
100,000.000
100,000.000
ICICI NMPFM800 12 UNMD 31AG05 FV RS 1 LAC ICICI F98 14.25 UMD 03SP05 FV RS 1 LAC ICICI NMPFM800 12 UNMD 05SP05 FV RS 1 LAC ICICI NMPFM800 12.00 UNMD 07SP05 FV RS 1 LAC ICICI NMPFM800 12UNMD 09SP05 FV RS 1 LAC ICICI NMPFM800 12.05 UNMD 26SP05
100,000.000
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100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
ICICI F98 14.25 UMD 07OT05 FV RS 1 LAC ICICI G98 14 UMD 15OT05 FV RS 1 LAC
100,000.000
100,000.000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
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ICICI G98 14.2 UMD 24OT05 FV RS 1 LAC ICICI G98 14 UMD 26OT05 FV RS 1 LAC
100,000.00
100,000.00
100,000.00
100,000.00
100000.000
100000.000
ICICI NMPCQ300 11.9 UNMD 22NV05 FV RS 1 LAC ICICI NMC31100 12 UNMD 23NV05 FV RS 1 LAC ICICI NMC31100 12 UNMD 24NV05
100,000.00
100,000.00
100,000.000
100,000.000
100000.000
100000.000
ICICI NMPCQ300 11.6 UNMD 15DC05 FV RS 1 LAC ICICI G98 14.25 UMD 17DC05 FV RS 1 LAC
100,000.00
100,000.00
100,000.00
100,000.00
100,000.000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
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ICICI NDQ4C100 11.45 UNMD 12JN06 ICICI G98 14 UMD 13JN06 FV RS 1 LAC
100,000.00
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100,000.000
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100,000.00
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100,000.000
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5,000.000
6,050.000
ICICIBORY129201 14.25 UPN 14JL07 FV RS 1 LAC ICICI DNOCQ200 12 CUNMD 26JL07 FV RS 1 LAC ICICI DNOCQ200 11.5 CUNMD 26JL07 FV RS 1 LAC ICICI DNOCQ200 12 CUNMD 28JL07 FV RS 1 LAC ICICI DNOCQ200 12 CUNMD 04AG07 FV RS 1 LAC ICICI DNOCQ200 12 CUNMD 05AG07 FV RS 1 LAC
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100,000.00
100,000.00
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ICICI NMC31100 12.05 UNMD 21NV07 FV RS 1 LAC ICICI D97 13.25 UMD 19DC07 FV RS 1 LAC ICICI A98 13.25 UMD 19JN08 FV RS 1 LAC
100,000.000
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1,00,000
1,00,000
ICICI F98 14.25 UMD 10SP05 FV RS 1 LAC ICICI F98 14.25 UMD 11SP05 FV RS 1 LAC ICICI F98 14.25 UMD 12SP05 FV RS 1 LAC ICICI M8NM5C00 12.25 CUNMD13SP05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI NMPFM800 12 UNMD 14SP05 FV RS 1 LAC ICICI F98 14.25 UMD 14SP05 FV RS 1 LAC ICICI M8NM5C00 12.25 CUNMD15SP05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI F98 14.25 UMD 18SP05 FV RS 1 LAC ICICI M8NM5C00 12.15 UNMD 18SP05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI F98 14.25 UMD 19SP05 FV RS 1 LAC ICICI M8NM5C00 12.4 UNMD 21SP05
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI F98 14.25 UNMD 29SP05 FV RS 1 LAC ICICI F98 14.25 UMD 30SP05 FV RS 1 LAC ICICI M8NM5C00 12.05 UNMD04OT05
1,00,000
1,00,000
100,000
100,000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
1,00,000
1,00,000
ICICI F98 14 UMD 17OT05 FV RS 1 LAC ICICI F98 14.25 UMD 26OT05 FV RS 1 LAC ICICI F98 14.25 UMD 27OT05 FV RS 1 LAC ICICI Q3NM5C00 12 CUNMD 27OT05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
ICICI G98 14.25 UMD 28OT05 FV RS 1 LAC ICICI G98 14.25 UMD 02NV05 FV RS 1 LAC ICICI Q3NM5C00 12.15 CUNMD02NV05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.000
1,00,000
1,00,000
ICICI G98 14.25 UMD 03NV05 FV RS 1 LAC ICICI G98 14.25 UMD 05NV05 FV RS 1 LAC ICICI G98 14.25 UMD 09NV05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.000
1,00,000
1,00,000
100,000.000
1,00,000
1,00,000
100,000
100,000
ICICI G/98 14.25 UMD 26NV05 FV RS 1 LAC ICICI G98 14.25 UMD 27NV05 FV RS 1 LAC ICICI Q3NM5C00 12 CUNMD01DC05
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI G98 14.25 UMD 04DC05 FV RS 1 LAC ICICI NMC31100 11.65 UNMD04DC05
1,00,000
1,00,000
100,000.00
100,000.00
ICICI NMPCQ300 11.8 UNMD 07DC05 FV RS 1 LAC ICICI NMDDEC00 11.75 UNMD 08DC05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
100,000.000
ICICI NMPCQ300 11.8 UNMD 13DC05 FV RS 1 LAC ICICI G98 14 UMD 18DC05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
100,000.000
1,00,000
1,00,000
ICICI 100,000.000 G98 10 UMD 11JN06 FV RS 1 LAC ICICI 100,000.000 G98 10 UMD 21JN06 FV RS 1 LAC ICICI BANK LTD 100,000.00 G98 14 UMD 25JN06 FV RS 1 LAC ICICI 100,000.000 G98 10 UMD 28JN06 FV RS 1 LAC ICICI 100,000.000 A99 10 UMD 01FB06 FV RS 1 LAC
ICICI A99 13.75 UMD 11MR06 FV RS 1 LAC
100,000.000
100,000.000
100,000.00
100,000.000
100,000.000
1,00,000
1,00,000
ICICI PPLMA101 11.1 UPN 12MR06 FV RS 1 LAC ICICI NMDAP101 11 UNMD 20MR06 FV RS 1 LAC ICICI N1DQ4PC0 10.8 UNMD 21MR06 FV RS 1 LAC ICICI B99 13.5 UPN 23MR06 FV RS 1 LAC ICICI N1DQ4PC0 10.57 UNMD 29MR06 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
60,960
1,00,000
ICICI NMDQ102 9.92 UNMD 08JU06 FV RS 1 LAC ICICI PNQ102 10.3 UPN 19JU06 FV RS 1 LAC ICICI NMDQ102 10.35 UNMD19JU06 FV RS 1 LAC ICICI D/98 14.35 UMD 22JU06 FV RS 1 LAC ICICI NMDQ102 10.5 UNMD 23JU06 FV RS 1 LAC ICICI NMDQ102 10.35 UNMD 25JU06 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
100,000
100,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI G/98 14.35 UMD 02NV06 FV RS 1 LAC ICICI G/98 14.35 UMD 03NV06 FV RS 1 LAC ICICI G/98 14.35 UMD 09NV06 FV RS 1 LAC ICICI G98 14.35 UMD 08DC06 FV RS 1 LAC ICICI G/98 14.35 UMD 09DC06 FV RS 1 LAC ICICI NMDE2602 9.4 UNMD 18DC06 FV RS 1 LAC ICICI NMDQ302R 9.1 UNMD 21DC06
100,000
100,000
100,000
100,000
100,000
100,000
1,00,000
1,00,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI G/98 14.35 UMD 21DC06 FV RS 1 LAC ICICI G/98 14.35 UMD 22DC06 FV RS 1 LAC ICICI G/98 14.35 UMD 23DC06 FV RS 1 LAC
100,000
100,000
100,000
100,000
100,000
100,000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
ICICI NMDMA03 9.35 UNMD 18MR07 FV RS 1 LAC ICICI NMDAP03 9.5 UNMD 28MR07 FV RS 1 LAC ICICI MARH07031 14.5 UPN 09JL07 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI DNOCQ200 100,000 11.75CUNMD26JL07 FV RS 1 LAC ICICI DNOCQ200 12 CUNMD 07AG07 FV RS 1 LAC ICICI DNOCQ200 12 UNMD 08AG07 FV RS 1 LAC ICICI DNOCQ200 12 UNMD 10AG07 FV RS 1 LAC ICICI DNOCQ200 12 CUNMD 19AG07 FV RS 1 LAC ICICI D97 13 UMD 20AG07 FV RS 1 LAC ICICI E97 13.5 UMD 09SP07 FV RS 1 LAC ICICI E97 13.5 UMD 22SP07 FV RS 1 LAC ICICI E97 13.5 UMD 23SP07 FV RS 1 LAC ICICI E97 13.5 UMD 29SP07 FV RS 1 LAC
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
ICICI D97 13.5 UMD 01OT07 FV RS 1 LAC ICICI D97 13 UMD 28NV07 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
1,00,000
1,00,000
100,000.00
100,000
100,000
100,000.00
1,00,000
1,00,000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
ICICI D/98 14 UMD 11AP05 FV RS 1 LAC ICICI D/98 14 UMD 13AP05 FV RS 1 LAC ICICI D/98 14 UMD 15AP05 FV RS 1 LAC ICICI D/98 13.9 UMD 05MY05 FV RS 1 LAC ICICI D/98 13.9 UMD 08MY05 FV RS 1 LAC ICICI D97 12.5 UMD 26NV05 FV RS 1 LAC ICICI D97 12.5 UMD 27NV05 FV RS 1 LAC ICICI D97 12.5 UMD 28NV05 FV RS 1 LAC ICICI D97 12.5 UMD 05DC05 FV RS 1 LAC ICICI D/98 14.35 UMD 11JU06 FV RS 1 LAC ICICI D/98 14.35 UMD 12JU06 FV RS 1 LAC ICICI D/98 14.35 UMD 16JU06 FV RS 1 LAC ICICI F98 14.5 UMD 03AG06 FV RS 1 LAC
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
ICICI F98 14.5 UMD 05AU06 FV RS 1 LAC ICICI F98 14.35 UMD 01SP06 FV RS 1 LAC ICICI F98 14.35 UMD 02SP06 FV RS 1 LAC ICICI F98 14.35 UMD 03SP06 FV RS 1 LAC ICICI F98 14.35 UMD 04SP06 FV RS 1 LAC ICICI F97 12.5 UMD 10DC02
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI E97 13 UMD 18SP04 FV RS 1 LAC ICICI C98 13.75 UMD 25AP05 FV RS 1 LAC ICICI D/98 14.25 UMD 15JU05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI F98 14.25 UMD 06JL05 FV RS 1 LAC ICICI F98 14.25 UMD 04SP05 FV RS 1 LAC ICICI F98 14.22 UMD 18SP05 FV RS 1 LAC ICICI F98 14.25 UMD 28SP05 FV RS 1 LAC ICICI E97 D97 13.5 UMD 12SP07 FV RS 1 LAC ICICI E97 13.5 UMD 27SP07 FV RS 1 LAC ICICI NMDQ102 9.7 UNMD 26JU06
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI HOME FIN. 5.3 BD 07MR05 FV RS 10 LAC ICICI HOME FIN. 5.3 BD 11MR05 FV RS 10 LAC ICICI HOME FIN. 5.3 BD 16MR05 FV RS 10 LAC
ICICI PF-5/96 15.5 UPN 01FB02
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.00
1,000,000.00
10,000
10,000
1000
1000
1,00,000
1,00,000
1,00,000
1,00,000
2,00,000
2,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,000
1,000
1,000
1,000
25,00,000
25,00,000
1,00,000
1,00,000
1,000
1,000
1,00,000
1,00,000
1,00,000
1,00,000
1,000
1,000
1,00,000
1,00,000
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1,00,000
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1,00,000
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1,00,000
1,000
1,000
1,00,000
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1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000/-
1,00,000/-
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI D97 13.25 UMD 12DC07 FV RS 1 LAC ICICI DEBQ399 12 UMD 27NV02
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000/-
1,00,000/-
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,000
1,000
1,00,000
1,00,000
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1,00,000
1,000
1,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,000
1,000
1,000
1,000
1,000
1,000
0.319
1,00,000
1,00,000
1,000
1,000
0.319
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
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1,00,000
1,00,000
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1,00,000
1,00,000
1,00,000
100000
100000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
10,000
10,000
1,00,000
1,00,000
72,844.60
1,00,000
Rs. 1,00,000/-
Rs. 1,39,554/-
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
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1,00,000
1,00,000
1,00,000
1,00,000
86,149.28
116141
86125.80
1,16,141
1,00,000.44
1,34,814/-
90,649.50
1,21,727/-
90661.83
1,21,694
100000
100000
1,00,000
1,00,000
9,15,332
11,93,556
ICICI BORH125197 13.5 UPN 14JL04 FV RS 1 LAC ICICI PDDMY102 DDB UPN 10SP04
1,00,000/-
1,00,000/-
77,349.27
1,00,000
100000
100000
1,00,000
1,00,000
1,00,000
1,00,000
5,000
5,000
1,00,000
1,00,000
5,000
5,000
5,000
FV RS
5,000
ICICI NMDD2602 9.43 UNMD 05DC04 FV RS 1 LAC ICICI F97 12.75 UMD 12DC04 FV RS 1 LAC ICICI D97 13.25 UMD 19DC04 FV RS 1 LAC ICICI NOV 2001 9 TSB1 24DC04 FV RS 5000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
5,000
5,000
33,49,15,564
44,03,24,120
10
10
100000
100000
ICICI NMJ2203D 9.55 UNMD 22JN05 FV RS 1 LAC ICICI A/98 13 UMD 22JN05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
5,000
5,000
ICICI AUG-01 DDB TSB2 27JN05 FV RS 6660 ICICI B98 14 UMD 11FB05 FV RS 1 LAC
5,000
6,660
1,00,000
1,00,000
ICICI B98 14.76 UMD 14FB05 FV RS 1 LAC ICICI B98 14.25 UMD 17FB05 FV RS 1 LAC ICICI B98 14.25 UMD 18FB05 FV RS 1 LAC ICICI NMDF1903 8.35 UNMD 19FB05
1,00,000
1,00,000
100000
100000
1,00,000
1,00,000
1,00,000
1,00,000
5,000
5,000
ICICI B98 14.25 UMD 27FB05 FV RS 1 LAC ICICI SEPT 2001 DDB TSB2 12MR05 RS 6660
1,00,000
1,00,000
5,000
FV
6,660
1,00,000
1,00,000
ICICI NMDQ402 8.6 UNMD 26MR05 FV RS 1 LAC ICICI FEB 2002 9 TSB1 27MR05 FV RS 5000
1,00,000
1,00,000
5,000
5,000
ICICI NOV 2001 DDB TSB2 24AP05 RS 6660 ICICI DEC 2001 DDB TSB2 23MY05 RS 6660
5,000
FV
6,660
5,000
FV
6,660
ICICI D/98 14.25 UMD 18JU05 FV RS 1 LAC ICICI JAN 2002 DDB TSB2 19JU05 RS 6660
1,00,000
1,00,000
5,000
FV
6,660
ICICI D98 14.25 UMD 02JL05 FV RS 1 LAC ICICI F98 14.25 UMD 08JL05 FV RS 1 LAC ICICI D/98 14.25 UMD 08JL05 FV RS 1 LAC ICICI F98 14.25 UMD 13JL05 FV RS 1 LAC ICICI F98 14.25 UMD 20JL05 FV RS 1 LAC ICICI F98 14.25 UMD 21JL05 FV RS 1 LAC ICICI DNOCQ200 11.25CUNMD21JL05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
ICICI FEB 2002 DDB TSB3 27JL05 FV RS 6660 ICICI F98 14.25 UMD 28AG05 FV RS 1 LAC ICICI F98 14 UMD 04SP05 FV RS 1 LAC
5,000
6,660
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
ICICI NMPFM800 12 UNMD 06SP05 FV RS 1 LAC ICICI F98 14 UMD 11SP05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
ICICI NMPFM800 12 UNMD 11SP05 FV RS 1 LAC ICICI F98 14.25 UMD 16SP05 FV RS 1 LAC ICICI F98 14.25 UMD 25SP05 FV RS 1 LAC ICICI PNDD1000 DDB UPN 09OT05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
57,492.76
1,00,000
ICICI G98 14 UMD 31OT05 FV RS 1 LAC ICICI SPPC1000 10 UPN 01NV05 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI PNPL2000 11.9 UPN 17NV05 FV RS 1 LAC ICICI NMC31100 12 UNMD 29NV05
1,00,000
1,00,000
1,00,000
ICICI NMPCQ300 11.4 UNMD 30NV05 FV RS 1 LAC ICICI PPLBOP00 11.8 UPN 30NV05 FV RS 1 LAC ICICI NMC31100 12 UNMD 30NV05
1,00,000
1,00,000
1,00,000
1,00,000
100000
100000
1,00,000
1,00,000
ICICI PMAPL120 11.75 UPN 08DC05 FV RS 1 LAC ICICI PMAPL011 11.25 UPN 09JN06 FV RS 1 LAC ICICI NDQ4C100 11.45 UNMD 16JN06
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI G/98 14.25 UMD 19JN06 FV RS 1 LAC ICICI G/98 14.25 UMD 01FB06 FV RS 1 LAC
1,00,000
1,00,000
1,00,00,000
1,00,000
100000
100000
ICICI AUG-01 DDB MMB1 27FB06 FV RS 7475 ICICI A99 13.42 UMD 31MR06
5,000
7,475
1,00,000
1,00,000
100000
100000
1,00,000
1,00,000
ICICI SEPT 2001 DDB MMB1 12AP06 FV RS 7475 ICICI PNMY902 10.25 UPN 31MY06
5,000
7,475
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
ICICI NOV 2001 DDB MMB1 24JL06 FV RS 7475 ICICI JAN 2002 DDB MMB1 19AG06 FV RS 7480 ICICI PNAGF202 BR UPN 20AG06
5,000
7,475
5,000
7,480
1,00,000
1,00,000
100000
100000
1,00,000
1,00,000
ICICI DEC 2001 DDB MMB1 23AG06 FV RS 7475 ICICI PNADDB02 DDB UPN 31AG06
5,000
7,475
4,57,03,705/-
7,16,37,037/-
ICICI AUG-01 9.25 RIB1 27SP06 FV RS 5000 ICICI AUG-01 9.5 RIB2 27SP06 FV RS 5000
5,000
5,000
5,000
5,000
ICICI AUG-01 9.75 RIB3 27SP06 FV RS 5000 ICICI SEPT 2001 9.25 RIB1 12NV06 5000
5,000
5,000
5,000
FV RS
5,000
ICICI SEPT 2001 9.5 RIB2 12NV06 FV RS 5000 ICICI SEPT 2001 9.75 RIB3 12NV06 5000 ICICI PNNODD02 DDB UPN 29NV06
5,000
5,000
5,000
FV RS
5,000
1,00,00,000
1,53,90,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,53,90,000
1,00,000
1,00,000
1,00,000
1,00,000
100000
100000
100,000
100000
ICICI NMDQ302R 9.5 UNMD 01JN07 FV RS 1 LAC ICICI NMDQ302R 9.35 UNMD 08JN07
100000
100000
100000
100000
1,00,000
1,00,000
1,00,000
1,00,000
100000
100000
ICICI JAN 2002 9 .5 RIB4 19FB07 FV RS 5000 ICICI FEB 2002 9.25 RIB3 27MR07 FV RS 5000 ICICI PN050501 11.05 UPN 05MY07 FV RS 1 LAC
5,000
5,000
5,000
5,000
1,00,000
1,00,000
100,000.000
100,000.000
ICICI NMDQ202 10 UNMD 10SP07 FV RS 1 LAC ICICI AUG-01 DDB TSB3 27MR08 FV RS 9000 ICICI FEB 2002 9.25 TSB2 27MR08 RS 5000 ICICI F98 14.2 UMD 29JL03
1,00,000
1,00,000
5,000
9,000
5,000
FV
5,000
1,00,000
1,00,000
500,000
500,000
500,000
500,000
500,000
500,000
500,000
500,000
500,000
500,000
500,000
500,000
500,000
500,000
500,000.00
500,000.00
500,000.00
500,000.00
ICICI SEC. 500,000.00 BR LOA 21JU04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 28JU04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 14JL04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 23JL04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 03AG04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 05AG04 FV RS 5 LAC
ICICI SEC. BR LOA 03OT02
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
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5,00,000
5,00,000
5,00,000
5,00,000
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5,00,000
5,00,000
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5,00,000
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5,00,000
5,00,000
5,00,000
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5,00,000
5,00,000
5,00,000
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5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
500000
500000
500,000
500,000
500,000
500,000
500,000
500,000
500,000.00
500,000.00
500,000.00
500,000.00
500,000
500,000
500,000
500,000
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
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500,000.00
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500,000.00
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500,000.00
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500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.000
500,000.000
500,000.00
500,000.00
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
ICICI SEC. BR LOA 01MR04 FV RS 5 LAC ICICI SEC. BR LOA 09MR04 FV RS 5 LAC ICICI SEC. BR LOA 16MR04 FV RS 5 LAC ICICI SEC. BR LOA 17MR04 FV RS 5 LAC
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
ICICI SEC. 500,000.000 BR LOA 29MR04 FV RS 5 LAC ICICI SEC. BR LOA 01AP04 FV RS 5 LAC ICICI SEC. BR LOA 07AP04 FV RS 5 LAC ICICI SEC. BR LOA 16AP04 FV RS 5 LAC ICICI SEC. BR LOA 16AP04 FV RS 5 LAC ICICI SEC. BR LOA 21AP04 FV RS 5 LAC ICICI SEC. BR LOA 26AP04 FV RS 5 LAC ICICI SEC. BR LOA 29AP04 FV RS 5 LAC 500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
ICICI SEC. 500,000.000 BR LOA 03MY04 FV RS 5 LAC ICICI SEC. 500,000.000 BR LOA 05MY04 FV RS 5 LAC ICICI SEC. 500,000.000 BR LOA 10MY04 FV RS 5 LAC ICICI SEC. 500,000.000 BR LOA 13MY04 FV RS 5 LAC
500,000.000
500,000.000
500,000.000
500,000.000
ICICI SEC. 500,000.000 BR LOA 14MY04 FV RS 5 LAC ICICI SEC. 500,000.000 BR LOA 19MY04 FV RS 5 LAC ICICI SEC. 500,000.000 BR LOA 25MY04 FV RS 5 LAC ICICI SEC. 500,000.000 BR LOA 01JU04 FV RS 5 LAC ICICI SEC. 500,000.000 BR LOA 02JU04 FV RS 5 LAC ICICI SEC. 500,000.000 BR LOA 03JU04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 10JU04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 14JU04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 15JU04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 02JL04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 05JL04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 06JL04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 08JL04 FV RS 5 LAC
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
ICICI SEC. 500,000.00 BR LOA 09JL04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 19JL04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 21JL04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 11AG04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 13AG04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 16AG04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 17AG04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 23AG04 FV RS 5 LAC ICICI SEC. 500,000.00 BR LOA 24AG04 FV RS 5 LAC ICICI SEC. BR LOA 06SP04 FV RS 5 LAC ICICI SEC. BR LOA 15SP04 FV RS 5 LAC ICICI SEC. BR LOA 16SP04 FV RS 5 LAC ICICI SEC. BR LOA 11OT04 FV RS 5 LAC 500,000.000
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.000
500,000.000
500,000.000
500,000.000
500,000.000
500,000.00
500,000.00
ICICI SEC. BR LOA 12OT04 FV RS 5 LAC ICICI SEC. BR LOA 13OT04 FV RS 5 LAC ICICI SEC. BR LOA 20OT04 FV RS 5 LAC
IDBI OMNI-6 15 RRB 07AP02
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
50000
50000
100000
100000
50000
50000
500000
500000
10000000
10000000
10000000
10000000
10000
10000
10000
10000
10000
10000
10000
18860
25000
25000
50,00,000
50,00,000
100000
100000
100000
100000
10000
10000
50,00,000
50,00,000
10000
10000
100000
100000
100000
100000
IDBI OMNI-8 13 RRB2 06OT04 FV RS 1 LAC IDBI OMNI-9 12.25 RRB305JN05 FV RS 50000 IDBI OMNI-98A 13.25 RRB316FB05 FV RS 5 LAC
100000
100000
50000
50000
500000
500000
100000
100000
25000
25000
10000000
10000000
IDBI OMNI-2000A 12 RRB3 04OT05 FV RS 1 LAC IDBI OMNI-98E 14 RRB4 05OT05 FV RS 10000 IDBI OMNI1 00-B 11.5 BD 08DC0 FV RS 1 LAC
100000
100000
10000
10000
1,00,000
1,00,000
IDBI OMNI-98F 14 RRB4 12DC05 FV RS 10000 IDBI OMNI1 00-A 11.7 BD 29DC05 FV RS 1 LAC
10000
10000
1,00,000
1,00,000
1,00,000
1,00,000
IDBI OMNI-99C 12.3 RRB 06AP07 FV RS 1 LAC IDBI OMNI T1 9.8 BD 20AG07 FV RS 5 LAC
100000
100000
5,00,000
5,00,000
IDBI OMNI-98A 13.5 RRB4 16FB08 FV RS 5 LAC IDBI CAP MKT BR LOA 24MR03
500000
500000
5,00,00,000
5,00,00,000
5,00,00,000
5,00,00,000
5,00,00,000
5,00,00,000
5,00,00,000
5,00,00,000
5,00,00,000
5,00,00,000
1,000,000.000
1,000,000.000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1000
1000
1000
1000
1000
1000
IFCI SR-39 OPT2 12.7 RRB 20DC05 FV RS 1 LAC IFCI SR -42 OP-3 11.2 RRB 20JL06 FV RS 1 LAC IFCI SLR 2007 13 SR62 14SP07 FV RS 1000 IFCI SR-22 13.75 RRB220JL03
1,00,000
1,00,000
1,00,000
1,00,000
1000
1000
1,00,000
1,00,000
100,000.000
100,000.000
IFCI SR-26R OPT-2 9 RRB 01MR04 FV RS 1 LAC IFCI SR-28R OPT-3 9 RRB 07JU04 FV RS 1 LAC IFCI SR -42 10.5 BD 20JL04 FV RS 1 LAC
100,000.000
100,000.000
100,000.000
100,000.000
100000
100000
100,000.000
100,000.000
IFCI SR-29R OPT-3 9 RRB 22JL04 FV RS 1 LAC IFCI SR-30R OPT-3 9 RRB 25OT04 FV RS 1 LAC IFCI SR-31R OPT-3 9 RRB 20NV04 FV RS 1 LAC IFCI SR-18/R 9 RRB 15 FV RS 1 LAC IFCI SR-32R/3 & 34R/3 9 RRB 20JN05 FV RS 1 LAC
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
IFCI SR-20R OPT-2 9 RRB 25JN05 FV RS 1 LAC IFCI SR-33R OPT-3 9 RRB 20MR05 FV RS 1 LAC IFCI SR-35R OPT-3 9 RRB 18MY05 FV RS 1 LAC
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
1,00,000
1,00,000
IFCI SR-22 14.25 RRB3 20JL05 FV RS 1 LAC IFCI SR-36R OPT-1/4 9 RRB 08AG05 FV RS 1 LAC
1,00,000
1,00,000
100,000.000
100,000.000
IFCI SR-37R OPT-3 9 RRB 20SP05 FV RS 1 LAC IFCI SR-38R OPT-3 9 RRB 20NV05 FV RS 1 LAC IFCI SR-39R OPT-2 9 RRB 20DC05 FV RS 1 LAC IFCI SR-24R OPT-1 9 RRB 20JN06 FV RS 1 LAC IFCI SR-26R OPT-1 9 RRB 01MR06 FV RS 1 LAC IFCI SR-27R OPT-1 9 RRB 31MR06 FV RS 1 LAC IFCI SR-41 OP-3 11.75 RRB 20MY06 FV RS 1 LAC
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100000
100000
100,000.000
100,000.000
IFCI SR-28R OPT-2 9 RRB 07JU06 FV RS 1 LAC IFCI SR-42R OPT-3 9 RRB 20JL06 FV RS 1 LAC
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
IFCI SR-30R OPT-2 9 RRB 25OT06 FV RS 1 LAC IFCI SR-31R OPT-2 9 RRB 20NV06 FV RS 1 LAC IFCI SR-32R OPT-2 9 RRB 20JN07 FV RS 1 LAC IFCI SR-33R OPT-2 9 RRB 20MR07 FV RS 1 LAC
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
IFCI SR-37R OPT-2 9 RRB 20SP07 FV RS 1 LAC IFCI SR-38R OPT-2 9 RRB 20NV07 FV RS 1 LAC IFCI SR-20R OPT-1 9 RRB 25JN08 FV RS 1 LAC IFCI SR-33R OPT-4 9 RRB 20MR08 FV RS 1 LAC
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
IFCI SR-27R OPT-2 9 RRB 31MR08 FV RS 1 LAC INDIA FOILS 11.5 LOA 05FB02
100,000.000
100,000.000
100
100
100
100
100
100
INDIA GLYCOLS 12.75 NCD 02JU05 FV RS 100 INDIA GLYCOLS 10.5 NCD 06FB07 FV RS 100
100
100
100
100
100
100
1,00,00,000
1,00,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
100
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000
10,000
5,00,000
5,00,000
5,00,000
1,00,00,000
1,00,00,000
50,00,00,000
50,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
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1,00,00,000
1,00,00,000
1,000,000
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1,000,000.00
1,000,000.00
1,000,000.000
1,000,000.000
1,00,000
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1,00,000
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100,000.00
100,000.00
1,000,000
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1,000,000
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1,000,000
10,00,000
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1000
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1000
1,000
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1,000,000
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1000
1,000
10,00,000
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1,000,000.00
1,000,000.00
1,000,000
1,000,000
1,000,000
1,000,000
10,00,000
10,00,000
1000
1,000
IRFC TX SR-16E 12.8 BD 15JL04 FV RS 10 LAC IRFC SR-46 AAA 5.99 LOA 12AG04
10,00,000
10,00,000
1,000,000.00
1,000,000.00
IRFC SR-46 A 6.25 LOA 12AG04 FV RS 10 LAC IRFC TX SR-42B 8 LOA 29AG04 FV RS 10 LAC
1,000,000.00
1,000,000.00
10,00,000
10,00,000
IRFC TX SR-33C 10.45 LOA 13SP04 FV RS 10 LAC IRFC TX SR-34A 9.95 LOA 13SP04 FV RS 10 LAC IRFC TX SR-33C 10.45 BD 13SP04 FV RS 10 LAC
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
IRFC TX SR-34A 9.95 BD 13SP04 FV RS 10 LAC IRFC STRPP-43B 6.9 LOA 29OT04 FV RS 10 LAC IRFC STRPP-43BB 7.63 LOA 29OT04 FV RS 10 LAC IRFC TX SR-35B 8.71 LOA 15MR05 FV RS 10 LAC
10,00,000
10,00,000
1,000,000
1,000,000
1,000,000
1,000,000
10,00,000
10,00,000
INDIAN RAILWAY FINANCE CORPORATION SR47 5.99LOA IRFC NTX SR-12C 26MR05
10.5 BD 31MR05 FV RS 1000
1,000,000.00
1,000,000.00
1000
1,000
IRFC STRPP-44BB 6.98 LOA 31MR05 FV RS 10 LAC IRFC STRPP-45BB 6.39 LOA 13MY05 FV RS 10 LAC IRFC TX SR-15F 12.9 BD 22JU05 FV RS 10 LAC IRFC TX SR-16F 12.8 BD 15JL05 FV RS 10 LAC IRFC SR-46 BBB 5.99 LOA 12AG05
1,000,000.00
1,000,000.00
1,000,000
1,000,000
10,00,000
10,00,000
10,00,000
10,00,000
1,000,000.00
1,000,000.00
IRFC SR-46 B 6.25 LOA 12AG05 FV RS 10 LAC IRFC TX SR-42C 8 LOA 29AG05 FV RS 10 LAC
1,000,000.00
1,000,000.00
10,00,000
10,00,000
IRFC TX SR-33D 10.45 LOA 13SP05 FV RS 10 LAC IRFC TX SR-34B 9.95 LOA 13SP05 FV RS 10 LAC IRFC TX SR-33D 10.45 BD 13SP05 FV RS 10 LAC IRFC TX SR-34B 9.95 BD 13SP05 FV RS 10 LAC IRFC STRPP-43C 6.9 LOA 29OT05 FV RS 10 LAC IRFC STRPP-43CC 7.63 LOA 29OT05 FV RS 10 LAC IRFC TX SR-24 11.05 BD 17JN06 FV RS 10 LAC IRFC TX SR-25 11.1 BD 22JN06 FV RS 10 LAC IRFC TX SR-35C 8.71 LOA 15MR06 FV RS 10 LAC
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
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1,000
1,000
ILFS 2001 SR-9B 7.25 NCD 11NV05 FV RS 1000 ILFS 2001 SR-9B 7.25 LOA 18NV05
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
ILFS 2001 SR-9B 7.25 NCD 10DC05 FV RS 1000 ILFS 2001 SR-9B 7.15 NCD 10DC05 FV RS 1000 ILFS 2002 SR-2 7.7 NCD 10DC05 FV RS 1000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
ILFS 2000 SR4 11.6 NCD 05JN06 FV RS 1000 ILFS SR-U-97 14 NCD 11JN06 FV RS 1000
1,000
1,000
1,000
1,000
1,000
1,000
1,000.000
1,000.000
ILFS 2002 SR-2 7.95 NCD 28FB06 FV RS 1000 ILFS 2002 SR-2 8.4 NCD 28FB06 FV RS 1000
1,000.00
1,000.00
1,000.00
1,000.00
ILFS 2002 SR-2 7.95 NCD 26MR06 FV RS 1000 ILFS 2002 SR-2 8.4 NCD 26MR06 FV RS 1000 ILFS 2002 SR-12 7 NCD 31MR06 FV RS 1000
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
ILFS 2002 SR-2 7.55 NCD 15MY06 FV RS 1000 ILFS 99 SR1 OP1 13.25 NCD 15JU06 FV RS 1000 ILFS 2000 SR4 10.20 NCD 26JU06 FV RS 1000 ILFS 2000 SR4 10 NCD 13JL06 FV RS 1000
1,000.00
1,000.00
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
ILFS 2000 SR4 9.7 NCD 10AG06 1000 ILFS 2000 SR4 9.7 LOA 17AG06
1,000
FV RS
1,000
1,000
1,000
ILFS 2000 SR4 9.7 NCD 17AG06 1000 ILFS 2000 SR4 9.7 LOA 04SP06
1,000
FV RS
1,000
1,000
1,000
ILFS 2000 SR4 9.7 NCD 04SP06 FV RS 1000 ILFS 2000 SR4 9.7 NCD 13SP06
1,000
1,000
1,000
1,000
1,000
1,000
ILFS 2000 SR4 9.7 NCD 13SP06 FV RS 1000 ILFS 2000 SR4 10.15 NCD 13SP06 FV RS 1000 ILFS 2001 SR-4 9.3 LOA 30OT06
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
ILFS 2000 SR4 9.85 NCD 01DC06 FV RS 1000 ILFS 2000 SR4 9.9 NCD 01DC06 FV RS 1000
1,000
1,000
1,000
1,000
1,000
1,000
ILFS 2000 SR4 10.15 NCD 01DC06 FV RS 1000 ILFS 2001 SR-4 9.6 LOA 10DC06
1,000
1,000
1,000
1,000
ILFS 2001 SR-4 9.6 NCD 10DC06 FV RS 1000 ILFS 2001 SR-2 9.6 NCD 18DC06 FV RS 1000
1,000
1,000
1,000
1,000
1000
1,000
1,000
1,000
ILFS 2001 SR-4 9.6 NCD 24DC06 FV RS 1000 ILFS 2001SR-4 9.5 LOA 28DC06
1,000
1,000
1,000
1,000
1,000
1,000
1,000.000
1,000.000
1,000
1,000
1,000
1,000
ILFS 2001 SR-4A 9.6 NCD 14FB07 1000 ILFS 2001 SR-4 9.6 LOA 20FB07
1,000
FV RS
1,000
1,000
1,000
1,000
1,000
ILFS 2001 SR-4 9.6 NCD 20FB07 1000 ILFS 2001 SR-4A 9.75 NCD 20FB07
1,000
FV RS
1,000
1,000
1,000
1,000
1,000
1,000.000
1,000.000
1,000
1,000
1,000
1,000
ILFS SUB.DEBT00 11.4 NCD 14JU07 FV RS 1000 ILFS SUB.DEBT00 12 NCD 30JU07 FV RS 1000
1,000
1,000
1,000
1,000
1,000
1,000
ILFS SUB.DEBT00 12 NCD 25JL07 FV RS 1000 ILFS 2001 SR-10 9.1 LOA 25JL07
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
ILFS 2001 SR-12 8.25 NCD 29JL07 FV RS 1000 ILFS 2001 SR-12 8.3 LOA 31JL07
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
ILFS 2002 SR-2 8.65 LOA 04SP07 FV RS 1000 ILFS SUB.DEBT00 12 NCD 14SP07 FV RS 1000 ILFS SUB.DEBT00 12 NCD 05OT07 FV RS 1000 ILFS 2001 SR-12 8 LOA 16OT07
1,000
1,000
1,000
1,000
1,000
1,000
1000
1,000
1000
1,000
ILFS SUB.DEBT00 11.6 NCD 20OT07 FV RS 1000 ILFS 2001 SR-12 6.75 LOA 21NV07
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
ILFS 2002 SR-2 7.85 NCD 10DC07 FV RS 1000 ILFS 2002 SR-8 6.85 LOA 02JN08
1,000
1,000
1,000
1,000
ILFS 2002 SR-8 6.85 NCD 02JN08 FV RS 1000 ILFS 2002 SR-8 6.85 LOA 21JN08
1,000
1,000
1,000
1,000
ILFS 2002 SR-8 6.85 NCD 21JN08 FV RS 1000 ILFS 2002 SR-10 7.4 NCD 20FB08 FV RS 1000
1,000
1,000
1,000.000
1,000.000
ILFS 2002 SR-2 8.05 NCD 28FB08 FV RS 1000 ILFS 2002 SR-2 8.5 NCD 28FB08 FV RS 1000
1,000.00
1,000.00
1,000.00
1,000.00
1,000
FV RS
1,000
ILFS 2002 SR-2 8.05 NCD 26MR08 FV RS 1000 ILFS 2002 SR-2 8.5 NCD 26MR08 FV RS 1000 ILFS 2002 SR-12 7 NCD 31MR08 FV RS 1000
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000
1,000
100
100
5,00,000
5,00,000
IOC SR5 STRPP-A 10.25 BD 17JL04 FV RS 20 LAC IOC SR5 STRPP-B 10.25 BD 17JL05 FV RS 20 LAC IOC SR5 STRPP-C 10.25 BD 17JL06 FV RS 20 LAC IOC SR5 STRPP-D 10.25 BD 17JL07 FV RS 20 LAC ITC BHADRA NCD 07NV02
20,00,000
20,00,000
20,00,000
20,00,000
20,00,000
20,00,000
20,00,000
20,00,000
500,000
500,000
1,00,000
1,00,000
ITI BR BD 01AP03
5,00,00,000
5,00,00,000
ITI BR BD 04AP03
5,00,00,000
5,00,00,000
ITI BR BD 07AP03
5,00,00,000
5,00,00,000
ITI BR BD 28AP03
5,00,00,000
5,00,00,000
ITI BR BD 29AP03
5,00,00,000
5,00,00,000
ITI BR BD 01MY03
5,00,00,000
5,00,00,000
ITI BR BD 02MY03
5,00,00,000
5,00,00,000
ITI BR BD 27MY03
5,00,00,000
5,00,00,000
ITI BR BD 29MY03
5,00,00,000
5,00,00,000
ITI BR BD 30MY03
5,00,00,000
5,00,00,000
50,000,000
50,000,000
5,00,00,000
5,00,00,000
5,00,00,000
5,00,00,000
500000
500000
ITI BR BD 08JL04 FV RS 5 CR
50,000,000.000
50,000,000.000
10,000,000.000
10,000,000.000
50,000,000.000
50,000,000.000
10,000,000.00
10,000,000.00
50,000,000.00
50,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
ITI BR BD 07JL05 FV RS 5 CR
ITI SR-J 6.4 LOA 10JN08
50,000,000.00
50,000,000.00
5,00,000
5,00,000
5,00,000
5,00,000
500,000.00
500,000.00
1,00,000
1,00,000
J&K ST POWER DV 12.5 BD 01AG06 LOA Upto 22SP02 FV RS 1 LAC J&K ST POWER DV 12.5 BD 01AG06
1,00,000
1,00,000
1,00,000
1,00,000
J&K ST POWER DV 12.5 BD 01OT06 LOA Upto 22SP02 FV RS 1 LAC J&K ST POWER DV 12.5 BD 01OT06
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
JAWAHARLAL NEHRU PORT TRUST 4.6 LOA 16MR04 FV RS 10 LAC JAWAHARLAL NEHRU PORT TRUST 5.15 LOA 16JU04 FV RS 10 LAC
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
JAWAHARLAL NEHRU PORT TRUST 5.4 LOA 27JU05 FV RS 10 LAC JAWAHARLAL NEHRU
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
JAY SHREE TEA BR LOA 28JN04 FV RS 1 CR JAY SHREE TEA BR LOA 16FB04 FV RS 1 CR JAY SHREE TEA BR LOA 20FB04 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
JAY SHREE TEA 10,000,000.00 BR LOA 30JU04 FV RS 1 CR JAY SHREE TEA BR LOA 02JL04 FV RS 1 CR 10,000,000.00
10,000,000.00
10,000,000.00
JAY SHREE TEA 10,000,000.00 BR LOA 14JL04 FV RS 1 CR JAY SHREE TEA 10,000,000.00 BR LOA 06AG04 FV RS 1 CR JAY SHREE TEA 10,000,000.00 BR LOA 16AG04 FV RS 1 CR JAY SHREE TEA 10,000,000.00 BR LOA 24AG04 FV RS 1 CR JAY SHREE TEA BR LOA 13SP04 FV RS 1 CR JAY SHREE TEA BR LOA 14SP04 FV RS 1 CR JAY SHREE TEA BR LOA 24SP04 FV RS 1 CR JAY SHREE TEA BR LOA 29SP04 FV RS 1 CR JAY SHREE TEA BR LOA 11OT04 FV RS 1 CR
JIK INDUSTRIES 15 FCD 12DC02
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
100
100
100.000
100.000
100
100
1,000.00
1,000.00
1,00,000
1,00,000
1,00,000
1,00,000
100
100
100
100
50,000
50000
KSFC 11 BD 11FB03
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
KARNATAKA STATE INDUS INVEST & DEV CORP LTD 12.55 BD 16NV07 FV RS 1 LAC KARNATAKA STATE INDUS INVEST & DEV CORP LTD 12.55 BD 10JN08 FV RS 1 LAC KARNATAKA STATE INDUS INVEST & DEV CORP LTD 13 BD 15MR08 FV RS 1 LAC KERALA FIN CORP 11 BD 11FB03
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
KIIFB SR-1 13.25 BD 31DC06 FV RS 1 LAC KIIFB SR-2 10.5 BD 30AP07 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
105
105
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
10,00,000
100,000.000
100
100
100
100
100
100
1,00,000
1,00,000
100
100
1,00,000
1,00,000
100
100
100,000
100,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
KITCHEN APPL. 100,000.000 BR LOA 27JL04 FV RS 1 LAC KITCHEN APPL. BR LOA 04SP04 FV RS 1 LAC KITCHEN APPL. BR LOA 10SP04 FV RS 1 LAC
KONKAN IRG SR-1 13.25 BD 14JU03
100,000.000
100,000.000
100,000.000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1000
1,00,000
1,00,000
1000
1000
1000
1000
1000
1000
1,00,000
1,00,000
1,00,000
1,00,000
1000
1000
1,00,000
1,00,000
KRCL TX SR-9A 12.36 BD 01OT05 FV RS 1000 KRCL NTX SR-5B1 8.75 BD 11OT05 FV RS 1000
1000
1000
1000
1000
1000
1000
1,00,000
1,00,000
1,00,000
1,00,000
1000
1000
1000
1000
1,00,000
1,00,000
KRCL TX SR-9A 12.52 BD 01OT06 FV RS 1000 KRCL NTX SR-6B 10.5 BD 09JN07 FV RS 1000
1000
1000
1000
1000
1000
1000
1,00,000
1,00,000
1,000
1,000
1 CRORE
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,000
1,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,000
1,00,000
1,00,00,000
1,00,00,000
10000000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,000
1,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10000000
10,000,000
10000000
10,000,000
5,000,000
5,000,000
5,000,000
5,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,00,000
10,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10000000
10,000,000
10000000
10,000,000
10000000
10,000,000
10000000
10000000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10000000
10000000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,00,000
10,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,00,000
10,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,00,000
10,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
KMFL PPD XIX 10.35 NCD 13AG04 FV RS 1 CR KMFL SR-20A 10 NCD 23NV04 FV RS 1 CR
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
KOTAK MAH.INVST 8.75 LOA 24AG04 FV RS 1 CR KOTAK MAH.INVST 8.75 LOA 24AG04 FV RS 1 CR
10,000,000
10,000,000
10,000,000
10,000,000
1,000,000.000
1,000,000.000
10,000,000.000
10,000,000.000
KOTAK MAH.INVST 7.75 LOA 02MR04 FV RS 1 CR KOTAK MAH.INVST 6.5 LOA 08MR04
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
1,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
KOTAK MAH.INVST 4.9 LOA 06JL04 FV RS 10 LAC KOTAK MAH.INVST 4.9 LOA 09JL04 FV RS 10 LAC KOTAK MAH.INVST 04/I 5.55LOA 13JL04 FVRS10LAC
1,000,000.00
1,000,000.00
1,000,000.00
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KOTAK MAH. PRIM M03/103 BR LOA 03FB04 FV RS 1 LAC KOTAK MAH. PRIM M03/105 BR LOA 06FB04 FV RS 1 LAC
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KOTAK MAH. PRIM SR-384 5 LOA 17FB04 FVRS 1LAC KMPL SR-332 5.75 LOA 23FB04
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KOTAK MAH. PRIM M03/115 BRLOA28FB04 FVRS 1LAC KMPL SR-372 5.2 LOA 05MR04
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KOTAK MAH. PRIM M3/123 BR LOA19MR04 FVRS 1LAC KMPL SR-263 8.1 LOA 01AP04
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KOTAK MAH. PRIM 387 5.2 LOA 25MY04 FVRS 1 LAC KOTAK MAH. PRIM SR-381 5.25LOA28MY04 FVRS 1LAC
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KOTAK MAH. PRIM SR-383 5.2LOA01JU04 FVRS 1LAC KMPL SR-320 5.95 LOA 02JU04
100,000.000
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KOTAK MAH. PRIM 386 5.3 LOA 10JU04 FVRS 1 LAC KMPL SR-321 5.95 LOA 11JU04
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KMPL SR-184 10.45 NCD 02AG04 FV RS 1 LAC KMPL SR-335 5.9 LOA 03AG04 FV RS 1 LAC
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KMPL SR-292 6.5 NCD 14AG04 FV RS 1 LAC KMPL SR-191 10.3 NCD 16AG04 FV RS 1 LAC KMPL SR-297 7.65 LOA 27AG04
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KMPL SR-297 7.65 NCD 27AG04 FV RS 1 LAC KMPL SR-260 8.3 LOA 29AG04
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KMPL SR-260 8.3 NCD 29AG04 FV RS 1 LAC KOTAK MAH. PRIM 10.20 LOA 06MR03
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KMPL SR-194 10.85 NCD 30AG04 FV RS 1 LAC KMPL SR-369 5.40 LOA 17SP04 FV RS 1 LAC KMPL SR-349 LOA 04OT04 FV RS 1 LAC
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KOTAK MAH. PRIM D04/07 5.09 LOA 06OT04 FVRS10LAC KOTAK MAH. PRIM D04/08 5.09 LOA 12OT04 FVRS10LAC KOTAK MAH. PRIM 389 5.2 LOA 13OT04 FVRS 10LAC KOTAK MAH. PRIM D04/10 5.09 LOA 19OT04 FVRS10LAC
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KOTAK MAH. PRIM M03/106 BR LOA 12NV04 FV RS 1 LAC KOTAK MAH. PRIM M3/120 BR LOA 16NV04 FVRS 1 LAC KOTAK MAH. PRIM M3/122 BR LOA19NV04 FVRS 1LAC KMPL SR-209 10.3 LOA 26NV04
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KMPL SR-209 10.3 NCD 26NV04 FV RS 1 LAC KMPL SR-315 6.35 LOA 02DC04
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KOTAK MAH. PRIM 390 5.25LOA 11JN05 FVRS 10LAC KOTAK MAH. PRIM D04/09 4.75 LOA 27JN05 FVRS10LAC
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100,00,000
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10,000,000.00
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10,000,000.00
10,000,000.00
1,000,000,000.000
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10,000,000.00
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10,000,000.000
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10,000,000.000
10,000,000.000
10,000,000.000
1,00,00,000
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1,00,00,000
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10,000,000.000
10,000,000.000
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10,000,000.000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.000
10,000,000.000
L & T FINANCE 5.15 LOA 30JN04 FV RS 1 CR L & T FINANCE 5.15 LOA 11FB04 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
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10,000,000.000
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10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
L & T FINANCE 10,000,000.000 5.15 LOA 07AP04 FV RS 1 CR L & T FINANCE 10,000,000.000 5.15 LOA 09AP04 FV RS 1 CR L & T FINANCE 5.1 LOA 13AP04 FV RS 1 CR L & T FINANCE 5.1 LOA 16AP04 FV RS 1 CR 10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
L & T FINANCE 10,000,000.000 5.25 LOA 21AP04 FV RS 1 CR L & T FINANCE 10,000,000.000 5.08 LOA 28AP04 FV RS 1 CR L & T FINANCE 10,000,000.000 5.08 LOA 10MY04 FV RS 1 CR L & T FINANCE 10,000,000.000 5.08 LOA 12MY04 FV RS 1 CR L & T FINANCE 10,000,000.000 6 LOA 14MY04 FV RS 1 CR L & T FINANCE 10,000,000.000 5.08 LOA 19MY04 FV RS 1 CR L & T FINANCE 10,000,000.000 5.08 LOA 21MY04 FV RS 1 CR L & T FINANCE 10,000,000.00 BR LOA 11JU04 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
L & T FINANCE 10,000,000.00 5.05 LOA 16JU04 FV RS 1 CR L & T FINANCE 10,000,000.00 BR LOA 25JU04 FV RS 1 CR L & T FINANCE 10,000,000.00 5.75 LOA 30JU04 FV RS 1 CR L & T FINANCE 10,000,000.00 BR LOA 02JL04 FV RS 1 CR L & T FINANCE 10,000,000.00 BR LOA 14JL04 FV RS 1 CR L & T FINANCE 10,000,000.00 4.9 LOA 19JL04 FV RS 1 CR L & T FINANCE 10,000,000.00 BR LOA 19JL04 FV RS 1 CR L & T FINANCE 10,000,000.00 BR LOA 20JL04 FV RS 1 CR L & T FINANCE 10,000,000.00 4.7 LOA 27JL04 FV RS 1 CR L & T FINANCE 10,000,000.00 4.75 LOA 27JL04 FV RS 1 CR L & T FINANCE 10,000,000.00 4.7 LOA 28JL04 FV RS 1 CR L & T FINANCE 10,000,000.000 6 LOA 11AG04 FV RS 1 CR L & T FINANCE 10,000,000.00 BR LOA 17AG04 FV RS 1 CR
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.00
L & T FINANCE 10,000,000.00 BR LOA 18AG04 FV RS 1 CR L & T FINANCE 10,000,000.000 BR LOA 19AG04 FV RS 1 CR L & T FINANCE 10,000,000.000 4.65 LOA 25AG04 FV RS 1 CR L & T FINANCE 10,000,000.000 BR LOA 25AG04 FV RS 1 CR L & T FINANCE 10,000,000.00 4.7 LOA 30AG04 FV RS 1 CR L & T FINANCE 4.7 LOA 01SP04 FV RS 1 CR L & T FINANCE BR LOA 03SP04 FV RS 1 CR L & T FINANCE 4.75 LOA 13SP04 FV RS 1 CR L & T FINANCE BR LOA 29SP04 FV RS 1 CR L & T FINANCE 4.8 LOA 15OT04 FV RS 1 CR 10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
L & T FINANCE 10,000,000.00 4.71 LOA 21OT04 FV RS 1 CR L & T FINANCE 10,000,000.00 5.75 LOA 25OT04 FV RS 1 CR L & T FINANCE 10,000,000.00 5.14 LOA 03NV04 FV RS 1 CR
10,000,000.00
10,000,000.00
10,000,000.00
L & T FINANCE 8.25 LOA 20NV04 FV RS 1 CR L & T FINANCE 8.1 LOA 04DC04 FV RS 1 CR
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.000
1,00,00,000
1,00,00,000
L & T FINANCE 7.75 LOA 07AP05 FV RS 1 CR L & T FINANCE 7.75 LOA 08AP05 FV RS 1 CR L & T HOLD SR-2 7.85 NCD 31MR06 FV RS 1 CR L & T HOLD SR-1 8 NCD 31MR08 FV RS 1 CR
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
LAFARGE SR-2 11.2 NCD 29JN05 FV RS 1 CR LAFARGE SR-3 11.3 NCD 29JN06 FV RS 1 CR LAFARGE SR-4 11.4 NCD 29JN07 FV RS 1 CR
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
LAFARGE SR-5 11.5 NCD 29JN08 FV RS 1 CR LAFARGE SR-1 7.95 LOA 31OT05
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
LAFARGE SR-1 7.95 NCD 31OT05 FV RS 1 CR LAFARGE SR-2 7.95 LOA 31OT06
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
LAFARGE SR-2 7.95 NCD 31OT06 FV RS 1 CR LAFARGE SR-3 7.95 LOA 31OT07
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
LAFARGE SR-3 7.95 NCD 31OT07 FV RS 1 CR LAKSHMI GEN FIN 11.25 NCD 06MR03
1,00,00,000
1,00,00,000
100,00,000
100,00,000
100,00,000
100,00,000
LAKSHMI GEN FIN BR LOA 25FB05 FV RS 1 CR LAKSHMI GEN FIN BR LOA 28AP05 FV RS 1 CR
LAKSHMI GEN FIN 5.99 LOA 04AG05 FV RS 1 CR LAKSHMI GEN FIN 9.25 LOA 31AG05
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
100,00,000
100,00,000
100,00,000
100,00,000
LAKSHMI GEN FIN 9.25 NCD 31AG05 FV RS 1 CR LAKSHMI GEN FIN 8.8 NCD 31AG05 FV RS 1 CR
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
LAKSHMI GEN FIN 8.85 NCD 03SP05 FV RS 1 CR LAKSHMI GEN FIN 8.75 LOA 03OT05
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
LAKSHMI GEN FIN 10,000,000.000 5.75 LOA 23DC05 FV RS 1 CR LAKSHMI GEN FIN 10,000,000.000 BR LOA 23DC05 FV RS 1 CR LAKSHMI GEN FIN 10,000,000.000 5.75 LOA 09JN06 FV RS 1 CR LAKSHMI GEN FIN 10,000,000.000 5.75 LOA 27FB06 FV RS 1 CR LAKSHMI GEN FIN BR LOA 28AP06 FV RS 1 CR
LAKSHMI GEN FIN 6.5 LOA 29MY06 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
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1,00,00,000
10,000,000
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1,00,00,000
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1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000
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10,000,000.00
10,000,000.00
10,000,000
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10,000,000.00
10,000,000.00
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000
10,000,000
10,000,000.00
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10,000,000.00
10,000,000
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10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000
10,000,000
LEASEPLAN INDIA 10.6 NCD 15NV04 FV RS 1 CR LEASEPLAN INDIA 10.25 NCD 12MR05 FV RS 1 CR LEASEPLAN INDIA 10.25 NCD 24MR05 FV RS 1 CR LEASEPLAN INDIA 10.25 NCD 29AP05 FV RS 1 CR LEASEPLAN INDIA 9.95 NCD 30JL05 FV RS 1 CR LEASEPLAN INDIA 9.1 NCD 23AG05 FV RS 50 LAC LEASEPLAN INDIA 9.4 NCD 25SP05 FV RS 1 CR
10,000,000.00
10,000,000.00
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
LEASEPLAN INDIA 9.4 NCD 25SP05 FV RS 50 LAC LEASEPLAN INDIA 9.2 NCD 29OT05 FV RS 1 CR
50,00,000
50,00,000
10,000,000
10,000,000
LEASEPLAN INDIA 8.85 NCD 29NV05 FV RS 50 LAC LEASEPLAN INDIA 9.3 NCD 02DC05 FV RS 50 LAC LEASEPLAN INDIA 8.75 NCD 13DC05 FV RS 50 LAC
5,000,000
5,000,000
5,000,000
5,000,000
5,000,000
5,000,000
1,00,00,000
1,00,00,000
LEASEPLAN INDIA 8.7 NCD 30DC05 FV RS 50 LAC LEASEPLAN INDIA 8.5 NCD 29MR06 FV RS 1 CR LEASEPLAN INDIA 8.8 NCD 03AP06 FV RS 1 CR LEASEPLAN INDIA 8.25 NCD 23AP06 FV RS 1 CR LEASEPLAN INDIA 8.1 NCD 28AP06 FV RS 50 LAC LEASEPLAN INDIA 8.6 NCD 30AP06 FV RS 1 CR LEASEPLAN INDIA 7.5 NCD 17JU06 FV RS 1 CR LEASEPLAN INDIA 7.2 LOA 07JL06 FV RS 1 CR
5,000,000
5,000,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
5,000,000.00
5,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
2,500,000
2,500,000
LIC HSGFIN-OPT1 7.1 NCD 02NV06 FV RS 25 LAC LIC HSG FIN -1 9 LOA 18FB07
2,500,000
2,500,000
10000000
10000000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
LIC HOUSING FIN 7.8 NCD 27AG07 FV RS 1 CR LIC HSGFIN-OPT1 7.1 LOA 02NV07
10,000,000
10,000,000
2,500,000
2,500,000
LIC HSGFIN-OPT1 7.1 NCD 02NV07 FV RS 25 LAC LIC HSG FIN -3A 9.5 LOA 18FB08
2,500,000
2,500,000
2000000
2000000
LIC HSG FIN -3A 9.5 NCD 18FB08 FV RS 20 LAC LORD KRISHNA BK 12.2 BD 30JU06 FV RS 10000
20,00,000
20,00,000
10,000
10,000
10,000
10,000
10,000
10,000
100
33.33
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
1,00,000
1,00,000
100000
100000
MJP SR-2 14.5 BD 15OT05 FV RS 1 LAC MJP SR-2 OPT.2 15 BD 15OT05 FV RS 1 LAC
100000
100000
100000
100000
MJP SR-3 14.5 BD 10MR06 FV RS 1 LAC MJP SR-4 13.5 BD 30JU06 FV RS 1 LAC
100000
100000
100000
100000
MJP SR-4 13.5 BD 31AG06 FV RS 1 LAC MJP SR-5 OPT.B 13.25 BD 14DC06 FV RS 1 LAC MJP SR-6 OPT.B BR BD 28AP07 FV RS 1 LAC
100000
100000
100000
100000
100000
100000
100000
100000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
MAHARASHTRA KRISHNA VALLEY DEV CORP SR-2000/A-B 11.5LOA30JU05 FVRS 1LAC MSEB SR-2 OP-1 14.75 BD 31MR03
100,000.000
100,000.000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
MSEB 97,704.200 BD 29JN04 FV RS 1 LAC MSEB 96,942.540 BD 20FB04 FV RS 1 LAC MSEB 96,942.540 BD 29FB04 FV RS 1 LAC MSEB BD 20MR04 FV RS 1 LAC MSEB BD 29MR04 FV RS 1 LAC MSEB BD 20AP04 FV RS 1 LAC 96,235.410
100,000.000
100,000.000
100,000.000
100,000.000
96,235.410
100,000.000
95,485.200
100,000.000
95,485.200
100,000.000
94,764.770
100,000.000
94,764.770
100,000.000
MSEB 94,026.030 BD 20JU04 FV RS 1 LAC MSEB 94,026.030 BD 29JU04 FV RS 1 LAC MSEB 93,316.610 BD 20JL04 FV RS 1 LAC MSEB 93,316.610 BD 29JL04 FV RS 1 LAC MSEB BD 20AG04 FV RS 1 LAC MSEB BD 29AG04 FV RS 1 LAC MSEB BD 20SP04 FV RS 1 LAC MSEB BD 29SP04 FV RS 1 LAC MSEB BD 20OT04 FV RS 1 LAC MSEB BD 29OT04 FV RS 1 LAC 92,589.160
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
92,589.160
100,000.000
91,867.380
100,000.000
91,867.380
100,000.000
91,174.240
100,000.000
91,174.240
100,000.000
MSEB BD 20NV04 FV RS 1 LAC MSEB BD 29NV04 FV RS 1 LAC MSEB BD 20DC04 FV RS 1 LAC MSEB BD 29DC04 FV RS 1 LAC
90,463.490
100,000.000
90,463.490
100,000.000
89,780.950
100,000.000
89,780.950
100,000.000
100,000.000
100,000.000
1,00,000
1,00,000
MSEB 88,386.630 BD 20FB05 FV RS 1 LAC MSEB 88,386.630 BD 28FB05 FV RS 1 LAC MSEB BD 20MR05 FV RS 1 LAC MSEB BD 29MR05 FV RS 1 LAC MSEB BD 20AP05 FV RS 1 LAC MSEB BD 29AP05 FV RS 1 LAC 87,764.060
100,000.000
100,000.000
100,000.000
87,764.060
100,000.000
87,079.890
100,000.000
87,079.890
100,000.000
86,422.880
100,000.000
86,422.880
100,000.000
MSEB 85,749.170 BD 20JU05 FV RS 1 LAC MSEB 85,749.170 BD 29JU05 FV RS 1 LAC MSEB 85,102.190 BD 20JL05 FV RS 1 LAC MSEB 85,102.190 BD 29JL05 FV RS 1 LAC MSEB BD 20AG05 FV RS 1 LAC MSEB BD 29AG05 FV RS 1 LAC MSEB BD 20SP05 FV RS 1 LAC MSEB BD 29SP05 FV RS 1 LAC MSEB BD 20OT05 FV RS 1 LAC MSEB BD 29OT05 FV RS 1 LAC MSEB BD 20NV05 FV RS 1 LAC 84,438.780
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
84,438.780
100,000.000
83,780.530
100,000.000
83,780.530
100,000.000
83,148.410
100,000.000
83,148.410
100,000.000
82,500.230
100,000.000
82,500.230
100,000.000
81,877.770
100,000.000
81,877.770
100,000.000
MSEB 81,239.490 BD 20JN06 FV RS 1 LAC MSEB 81,239.490 BD 29JN06 FV RS 1 LAC MSEB 80,606.190 BD 20FB06 FV RS 1 LAC MSEB 80,606.190 BD 28FB06 FV RS 1 LAC MSEB BD 20MR06 FV RS 1 LAC MSEB BD 29MR06 FV RS 1 LAC MSEB BD 20AP06 FV RS 1 LAC MSEB BD 29AP06 FV RS 1 LAC MSEB BD 20MY06 FV RS 1 LAC MSEB BD 29MY06 FV RS 1 LAC 80,038.420
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
80,038.420
100,000.000
79,414.480
100,000.000
79,414.480
100,000.000
78,815.300
100,000.000
78,815.300
100,000.000
100,000.000
100,000.000
1,00,000
1,00,000
MSEB 77,610.870 BD 20JL06 FV RS 1 LAC MSEB 77,610.870 BD 29JL06 FV RS 1 LAC MSEB BD 20AG06 FV RS 1 LAC MSEB BD 29AG06 FV RS 1 LAC MSEB BD 20SP06 FV RS 1 LAC MSEB BD 29SP06 FV RS 1 LAC
MSEB SR-5A OP-1 13 BD 18NV07 FV RS 1 LAC
100,000.000
100,000.000
77,005.850
100,000.000
77,005.850
100,000.000
76,405.550
100,000.000
76,405.550
100,000.000
1,00,000
1,00,000
1,00,000
1,00,000
MSEB SR-8A OP-1 11.5 LOA 31MR08 FV RS 1 LAC MSEB SR-2 OP-3 14.75 BD 30AP08 FV RS 1 LAC
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
MSFC SR-71 13.85 BD 19SP06 FV RS 1 LAC MSFC SR-72 13.75 BD 30JN07 FV RS 1 LAC MSFC SR-64 13 BD 27AG07 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
100,000
100,000
1,00,000
1,00,000
100,000
100,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,00,000
10,00,000
100
100
10,00,000
10,00,000
M AND M -1 11.15 NCD 27AP08 FV RS 10 LAC M & M FIN 14.3 ncd 01JU02
10,00,000
10,00,000
25,00,000
25,00,000
25,00,000
25,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,00,000
10,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
50,00,000
50,00,000
50,00,000
50,00,000
1,00,00,000
1,00,00,000
10000000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100
100
100
100
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
M & M FIN SERV SR-QN 5.25LOA20JN04 FVRS 1CR M & M FIN SERV SR-QP 5.25LOA27JN04 FVRS 1CR M & M FIN SR AO 12.1 NCD 10FB04
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
1,00,00,000
1,00,00,000
M & M FIN SERV SR-RD BRLOA27FB04 FVRS 1CR M & M FIN SERV SR-PU 5.1 LOA 17MR04 FVRS 1CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
M & M FIN SERV SR-PW 5.1 LOA 19MR04 FVRS 1CR M & M FIN SERV SR-PS 5.15LOA22MR04 FVRS 1CR M & M FIN SR-MT 7.45 LOA 02AP04
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.000
10,000,000.000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
M & M FIN SR-NY 6.2 NCD 24JU04 LOA Upto 31JL03 M & M FIN SERV 11.4 NCD 26JU04
10,000,000.00
10,000,000.00
10000000
1,000,000.00
1,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1,000,000.000
1,000,000.000
10,000,000.000
10,000,000.000
M & M FIN SERV SR QX-1 BR LOA 09NV04 FV RS 1 CR M & M FIN SERV SR-RH BRLOA02DC04 FVRS 1CR M & M FIN SERV SR-RG BRLOA02DC04 FVRS 1CR M & M FIN SERV RM/RN BR LOA 09DC04 FV RS 1CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
M & M FIN-NH(2) 6.5 NCD 10DC04 FV RS 1 CR M & M FIN SERV SR-RO BR LOA 10DC04 FVRS 1CR M & M FIN SERV SR-RP BR LOA 13DC04 FVRS 1 CR M & M FIN SERV SR-RR/1 BR LOA22DC04 FVRS 1CR
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
M & M FIN SERV 10,000,000.000 SR-RZ 5.25LOA 14JN05 FVRS 1CR M & M FIN SERV SV 5.3 LOA 04AP05 FV RS 10 LAC
M & M FIN SR-NL 7 LOA 10AP05
10,000,000.000
1,000,000.00
1,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1,000,000.00
10,000,000
10,000,000
10,000,000.00
10,000,000.00
M & M FIN SERV SR-QY BR LOA 13MY05 FV RS 1 CR M & M FIN SR-NJ 7.1 LOA 20MY05
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
M & M FIN SR-NJ 7.1 NCD 20MY05 FV RS 1 CR M & M FIN-NH(3) 7 LOA 10JU05
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
M & M FIN SERV SR-RR/2 BR LOA24JU05 FVRS 1CR M & M FIN SR-GT 9.6 LOA 05JL05
10,000,000.000
10,000,000.000
1,00,00,000
1,00,00,000
M & M FIN SR-GT 9.6 NCD 05JL05 FV RS 1 CR M M SR-OP 6.75 NCD 07JL05 LOA Upto 31JL03 FV RS 1 CR M & M FIN SERV SR-RK BR LOA 08JL05 FV RS 1CR M & M FIN SR-HU 9 LOA 16JL05
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
M M SR-OZ 6.75 NCD 01AG05 LOA UPTO 01SP03 FV RS 1 CR M & M FIN SR-NS 6.75 NCD 11AG05 LOA UPTO 21AG03 FV RS 1 CR M & M FIN SR-HU 9 NCD 16AG05 FV RS 1 CR
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
M M SR-PI BR NCD 25AG05 LOA UPTO 09SP03 FV RS 1 CR M & M FIN SR-IG 8.8 LOA 18SP05
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
M & M FIN SR-JA 8.25 NCD 25OT05 FV RS 1 CR M & M FIN SERV SR-RB 5.85 LOA 14NV05 FV RS 1 CR M & M FIN SERV SR-QZ BR LOA 14NV05 FV RS 1 CR M & M FIN SR-JM 7.25 LOA 21NV05
1,00,00,000
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10,000,000.000
10,000,000.000
1,00,00,000
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M & M FIN SERV 1,000,000.00 SX BR LOA 27MR06 FV RS 10 LAC M & M FIN SERV 1,000,000.00 SW BR LOA 04AP06 FV RS 10 LAC M & M FIN SERV 10,000,000.000 SR-SP BR LOA 10AP06 FV RS 1CR
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M & M FIN SERV 1,000,000.00 SR-TH BR LOA 16AP06 FVRS10LAC M & M FIN SERV TL BR LOA 28AP06 FVRS 10LAC
M M FIN SR-OO 6.9 NCD 04JL06 LOA Upto 31JL03 FV RS 1 CR
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M & M FIN SERV SR-RT BR LOA 01JN07 FVRS 1 CR M & M FIN SERV UC BR LOA 29JN07 FVRS 10LAC M & M FIN SERV TG-2 BR LOA 16AP07 FVRS10LAC
10,000,000.000
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MANAKSIA LIMITED 10,000,000.000 4.65 LOA 14JU04 FV RS 1 CR MANAKSIA LIMITED 10,000,000.000 4.55 LOA 14JU04 FV RS 1 CR MANAKSIA LIMITED 10,000,000.00 4.6 LOA 14JL04 FV RS 1 CR MANAKSIA LIMITED 10,000,000.000 4.55 LOA 14JL04 FV RS 1 CR MANAKSIA LIMITED 10,000,000.000 4.65 LOA 19JL04 FV RS 1 CR MANAKSIA LIMITED 10,000,000.00 4.95 LOA 11OT04 FV RS 1 CR HINDUSTHAN SEAL 10,000,000.00 4.83 LOA 15OT04 FV RS 1 CR MANAKSIA LIMITED 10,000,000.00 4.5 LOA 19MY04 FV RS 1 CR MANAKSIA LIMITED 10,000,000.00 4.64 LOA 18JU04 FV RS 1 CR MANAKSIA LIMITED 10,000,000.00 4.75 LOA 06MY04 FV RS 1 CR MANAKSIA LIMITED 10,000,000.00 4.65 LOA 13MY04 FV RS 1 CR
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MECON LTD SR-2 6 LOA 24AG06 FV RS 10 LAC MIRZA TANNERS 10.5 LOA 13FB05 FV RS 1 LAC MOREPEN LAB 13 NCD 25JL02
1,000,000.00
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NHB PS-2 10.25 BD 22MR06 FV RS 10 LAC NHB TXPS 6 LOA 31MR06 FV RS 10 LAC NHB TXPS 6 LOA 25AP06 FV RS 10 LAC NHB NTX SR-3 8.5 BD 06SP06 FV RS 1 LAC
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10,000
10,000
NPCIL TX-10C1 14.5 LOA 22AG04 FV RS 1 LAC NPCIL NTX-9A 10.5 LOA 01DC06 FV RS 1 LAC NPCIL NTX-10A1 10.5 LOA 01FB07 FV RS 1 LAC NPCIL NTX-11A1 10.25 LOA 13NV07
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
10,000
10,000
10,00,000
10,00,000
1000000
ORIENTAL BANK 7.15 LOA 22AP08 FV RS 10 LAC ORIENTAL BANK 7.15 BD 22AP08 FV RS 10 LAC ORIX AUTO FIN 13.5 NCD 05DC03
10,00,000
10,00,000
10,00,000
10,00,000
100
100
100
100
100
100
OSCAR INVEST. 7.5 NCD 27DC06 LOA UPTO 16SP03 FV RS 1 CR PAN IND PARYAT. 11.15 NCD 14MR03
10,000,000.00
10,000,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
PANATON FINVEST 6.7 NCD 19DC05 FV RS 1 CR PANATON FINVEST 6.6 LOA 17JN08
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
50,00,000
50,00,000
5,000,000
5,000,000
5,000,000
5,000,000
PATEL ENGINE. 12 NCD 10AG04 FV RS 50 LAC PIRAMAL HEALTH 7.9 LOA 09JU03
50,00,000
50,00,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
1,000
1,000
1,000
1,000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100000
100,000
100,000
20000
20000
20000
20000
20000
20000
100000
100000
100000
100000
PFC TAXABLE SR1 13.25 BD 02JU05 FV RS 1 LAC PFC TX STRPP-A 9.7 BD 23NV05 FV RS 15 LAC
100000
100000
15,00,000
15,00,000
PFC TX STRPP-B 9.7 BD 23NV06 FV RS 14 LAC PFC TAXABLE SR4 11.9 LOA 04JN07
14,00,000
14,00,000
100000
100000
100,000
100,000
1000000
1000000
PFC TAXABLE SR5 11.2 BD 14MR07 FV RS 10 LAC PFC TAXABLE SR5 11.2 LOA 29MR07
1,000,000
1,000,000
1000000
1000000
PFC TAXABLE SR5 11.2 BD 29MR07 FV RS 10 LAC PFC TAXABLE SR6 10.68 LOA 01JU07
1,000,000
1,000,000
100000
100000
PFC TAXABLE SR6 10.68 BD 01JU07 FV RS 1 LAC PFC TAXABLE SR6 10.68 LOA 23JU07
100,000
100,000
100000
100000
PFC TAXABLE SR6 10.68 BD 23JU07 FV RS 1 LAC PFC TAXABLE SR7 11.89 LOA 12OT07
100,000
100,000
100000
100000
100,000
100,000
100000
100000
PFC TAXABLE SR7 11.89 BD 01NV07 FV RS 1 LAC PFC TAXABLE SR7 11.89 LOA 10NV07
100,000
100,000
100000
100000
PFC TAXABLE SR7 11.89 BD 10NV07 FV RS 1 LAC PFC TAXABLE SR7 11.89 LOA 20NV07
100,000
100,000
100000
100000
PFC TAXABLE SR7 11.89 BD 20NV07 FV RS 1 LAC PFC TX STRPP-C 9.7 BD 23NV07 FV RS 14 LAC PFC TAXABLE SR8 11.3 LOA 09JN08
100,000
100,000
14,00,000
14,00,000
100000
100000
100,000
100,000
1000
1000
25,00,000
25,00,000
25,00,000
25,00,000
25,00,000
25,00,000
1000
1000
100000
100000
1000
1000
50,00,000
50,00,000
50,00,000
50,00,000
POWERGRID SR14A 6.1 LOA 17JL04 FV RS 1250000 POWERGRID SR13B 7.85 LOA 31JL04
1,250,000.00
1,250,000.00
25,00,000
25,00,000
POWERGRID SR13B 7.85 BD 31JL04 FV RS 25 LAC POWERGRID SR13B 7.85 BD 31JL04 FV RS 25 LAC POWERGRID SR-7 13.5 BD 04AG04 FV RS 1000
25,00,000
25,00,000
25,00,000
25,00,000
1000
1000
100000
100000
1000
1000
50,00,000
50,00,000
50,00,000
50,00,000
POWERGRID SR-8 10.35 BD 27AP05 FV RS 1000 POWERGRID SR14B 6.1 LOA 17JL05 FV RS 1250000 POWERGRID SR13C 7.85 LOA 31JL05
1000
1000
1,250,000.00
1,250,000.00
25,00,000
25,00,000
POWERGRID SR13C 7.85 BD 31JL05 FV RS 25 LAC POWERGRID SR13C 7.85 BD 31JL05 FV RS 25 LAC POWERGRID SR-7 13.5 BD 04AG05 FV RS 1000
25,00,000
25,00,000
25,00,000
25,00,000
1000
1000
100000
100000
1000
1000
25,00,000
25,00,000
50,00,000
50,00,000
POWERGRID SR11A 9.8 BD 07DC05 FV RS 25 LAC POWERGRID SR11C 9.2 BD 07DC05 FV RS 50 LAC
25,00,000
25,00,000
50,00,000
50,00,000
12,50,000
12,50,000
POWERGRID SR12A 9.7 BD 28MR06 FV RS 1250000 POWERGRID SR-8 10.35 BD 27AP06 FV RS 1000 POWERGRID SR14C 6.1 LOA 17JL06 FV RS 1250000 POWERGRID SR13A 8.63 LOA 31JL06
12,50,000
12,50,000
1000
1000
1,250,000.00
1,250,000.00
12,50,000
12,50,000
25,00,000
25,00,000
POWERGRID SR13A 8.63 BD 31JL06 FV RS 1250000 POWERGRID SR13D 7.85 BD 31JL06 FV RS 25 LAC POWERGRID SR13A 8.63 BD 31JL06 FV RS 1250000 POWERGRID SR13D 7.85 BD 31JL06 FV RS 25 LAC POWERGRID SR-7 13.5 BD 04AG06 FV RS 1000
12,50,000
12,50,000
25,00,000
25,00,000
12,50,000
12,50,000
25,00,000
25,00,000
1000
1000
100000
100000
1000
1000
25,00,000
25,00,000
50,00,000
50,00,000
POWERGRID SR11B 9.8 BD 07DC06 FV RS 25 LAC POWERGRID SR11D 9.2 BD 07DC06 FV RS 50 LAC
25,00,000
25,00,000
50,00,000
50,00,000
12,50,000
12,50,000
POWERGRID SR12B 9.7 BD 28MR07 FV RS 1250000 POWERGRID SR-8 10.35 BD 27AP07 FV RS 1000 POWERGRID SR14D 6.1 LOA 17JL07 FV RS 1250000 POWERGRID SR13B 8.63 LOA 31JL07
12,50,000
12,50,000
1000
1000
1,250,000.00
1,250,000.00
12,50,000
12,50,000
25,00,000
25,00,000
POWERGRID SR13B 8.63 BD 31JL07 FV RS 1250000 POWERGRID SR13E 7.85 BD 31JL07 FV RS 25 LAC POWERGRID SR13B 8.63 BD 31JL07 FV RS 1250000
12,50,000
12,50,000
25,00,000
25,00,000
12,50,000
12,50,000
POWERGRID SR13E 7.85 BD 31JL07 FV RS 25 LAC POWERGRID SR-7 13.5 BD 04AG07 FV RS 1000
25,00,000
25,00,000
1000
1000
100000
100000
1000
1000
25,00,000
25,00,000
50,00,000
50,00,000
POWERGRID SR11C 9.8 BD 07DC07 FV RS 25 LAC POWERGRID SR11E 9.2 BD 07DC07 FV RS 50 LAC
25,00,000
25,00,000
50,00,000
50,00,000
POWER GRID CORPORATION OF INDIA LTD 15/A 6.68 LOA 23FB08 POWERGRID SR12C
9.7 LOA 28MR08
1,250,000.000
1,250,000.000
12,50,000
12,50,000
POWERGRID SR12C 9.7 BD 28MR08 FV RS 1250000 POWERGRID SR-8 10.35 BD 27AP08 FV RS 1000 PSL HOLDINGS 12.5 BD 24MY03
12,50,000
12,50,000
1000
1000
50,000,000
50,000,000
50,000,000.00
50,000,000.00
50,000,000.00
50,000,000.00
50,000,000
50,000,000
50,000,000
50,000,000
1,00,000
1,00,000
PUNJAB&SIND BK2 13.25 BD 11AP06 FV RS 1 LAC PUNJAB&SIND BK3 11.6 BD 08AP07 FV RS 1 LAC
100,000
100,000
100,000.000
100,000.000
100,000
100,000
PNB SR-3 13.95 BD 09AP05 FV RS 10000 PNB SR-5 11.95 BD 12AP06 FV RS 1 LAC PNB SR-4 12 BD 30AP07 FV RS 1 LAC
10,000
10,000
1,00,000
1,00,000
100,000
100,000
500,000.00
500,000.00
100,000.00
100,000.00
500,000.00
500,000.00
100,000.00
100,000.00
100,000
100,000
100,000
100,000
100,000
100,000
PUNJAB STATE INDS DEVPT CORP 01/1 11.74BD 30DC06 FVRS 1LAC PUNJAB STATE INDS DEVPT CORP 01/1 11.74BD 28FB07 FVRS 1LAC PUNJAB STATE INDS DEVPT CORP 01/1 11.74BD 30MR07 FVRS 1LAC PUNJAB STATE INDS DEVPT CORP 01/1 11.74BD 30MY07 FVRS 1LAC PUNJAB STATE INDS DEVPT CORP 02/1 11.7 BD 29SP07 FVRS 1LAC PUNJAB STATE INDS DEVPT CORP 02/1 11.7 BD 30DC07 FVRS 1LAC
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
PUNJAB STATE INDS DEVPT CORP 02/2 11 LOA 13OT06 FVRS1LAC PUNJAB TRACTORS
6.5 LOA 01OT03
100,000.00
100,000.00
100,000.00
100,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
PUNJAB TRACTORS 10,000,000.00 4.85 LOA 04AG04 FV RS 1 CR RABO INDIA FIN 1,000,000.00 U04 BR LOA 01JU07 FV RS 10LAC
RABO B-03 OPT-A 6.6 NCD 22MR04 LOA Upto 15JL03 RABO B-03 OPT-B 6.7 NCD 22MR04 LOA Upto 15JL03 RABO INDIA SR-H BR LOA 01JL04 FV RS 1 CR
10,000,000.00
1,000,000.00
10,000,000
10000000
10,000,000
10000000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
RABO INDIA FIN 1,000,000.00 T04 BR LOA 20MY05 FV RS 10LAC RABO INDIA FIN Z04 BR LOA 20JL05 FV RS 10LAC RABO INDIA FIN R-04 BR LOA 05MY07 FVRS10LAC
RABO SR- C 2002 7.85 LOA 18AP02
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00 ,000
1,00,00 ,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
1,00,00,000
10,000,000
1,00,00,000
10,00,000
10,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
RABO SR-D 2003 5.3 NCD 02JU04 LOA Upto 15JL03 RABO SR-E 2003 5.5 NCD 14JU04 LOA Upto 15JL03 RABO SR-G 2003 BR LOA 15JU04
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
RABO SR K-2003 5.45 LOA 08JL04 FV RS 1 CR RABO SR L-2003 5.35 LOA 13JL04 FV RS 1 CR RABO SR M-2003 BR LOA 19JL04 FV RS 1 CR
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
RABO SR N-2003 5.3 LOA 20JL04 FV RS 10 LAC RABO SR O-2003 5.3 LOA 21JL04 FV RS 10 LAC RABO SR P-2003 BR LOA 10AG04 FV RS 1 CR
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
10,000,000.00
10,000,000.00
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
1,000,000.000
1,000,000.000
RABO INDIA FIN N-04 4.6 LOA 13OT04 FVRS10LAC RABO INDIA FIN P-04 4.55 LOA 18OT04 FVRS10LAC
RABO INDIA FIN S-03 BR LOA 26OT04 FVRS 10LAC RABO INDIA FIN T-03 BR LOA 01NV04 FV RS 10 LAC RABO INDIA FIN U-03 BR LOA 08NV04 FV RS 10 LAC RABO INDIA FIN V-03 BRLOA17NV04 FVRS 10LAC RABO SR-BM 2002 6.6 LOA 18NV04
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
10,000,000
10,000,000
10,000,000
10,000,000
RABO INDIA FIN W-03 BRLOA18NV04 FVRS 10LAC RABO INDIA FIN SR-X/03 BRLOA30NV04 FVRS 10LAC
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
RABO INDIA FIN Y-03 4.95 LOA24DC04 FVRS10LAC RABO INDIA FIN A-04 BR LOA 03JN05 FVRS 10LAC
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
RABO INDIA FIN B-04 BR LOA 06JN05 FVRS 10LAC RABO INDIA FIN C-04 4.85LOA 10JN05 FVRS10LAC RABO INDIA FIN D-04 BR LOA 28JN05 FVRS 10LAC RABO INDIA FIN E-04 BR LOA 03FB05 FVRS 10LAC
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,000,000.000
1,000,000.000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
RABO INDIA FIN H04 4.95 LOA 23FB05 FVRS10LAC RABO INDIA FIN RR LOA 25FB05 FV RS 10 LAC RABO INDIA FIN J04 4.9 LOA 28FB05 FVRS 10LAC
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
10,000,000
10,000,000
10,000,000
10,000,000
RABO INDIA FIN L04 BR LOA 30MR05 FVRS 10LAC RABO INDIA FIN K-04 RR LOA 01AP05 FVRS 10LAC RABO INDIA FIN M-04 BR LOA 04AP05 FV RS 10 LAC RABO INDIA FIN O-04 BR LOA 15AP05 FVRS 10LAC RABO INDIA FIN Q-04 4.6 LOA 20AP05 FVRS10LAC
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
RABO INDIA FIN 1,000,000.000 V04 BR LOA 30MY05 FV RS 10LAC RABO INDIA FIN W04 BR LOA 31MY05 FV RS 10LAC
RABO SR-AO/02 9.25 LOA 17JU05
1,000,000.000
1,000,000.000
1,000,000.000
10,000,000
10,000,000
10,000,000
10,000,000
1,000,000.00
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
RABO SR-BB 2002 RR NCD 09SP05 FV RS 1 CR RABO SR-D/00U 10.31 NCD 08DC05 FV RS 1050000000 RABO SR-AF 9.6 LOA 02MY07
1,00,00,000
1,00,00,000
1,050,000,000
1,050,000,000
10,000,000
10,000,000
RABO SR-AF 9.6 NCD 02MY07 FV RS 1 CR RABO SR-AT/02 7.64 LOA 16JL07
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
RADHA MADHAV 10.75 NCD 11SP04 FV RS 100 RSIDIC LTD 13.5 NCD 06OT03
100
100
100
100
100
100
100
100
100.000
100.000
100
100
1,00,000
1,00,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10000000
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
1,00,000
1,00,000
100
100
100
100
6 30 170
13 60 489
10 00 000
10 00 000
10 00 000
10 00 000
45 63 927
1 00 00 000
45 62 040
1 00 00 000
45 63 923
1 00 00 000
45 63 926
1 00 00 000
45 62 042
1 00 00 000
45 63 926
1 00 00 000
45 63 926
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
1 00 00 000
5,683,395.000
10,000,000.000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10000000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
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10,000,000
10,000,000
10,000,000
10,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
RIL PPD 136 8.25 NCD 20MY06 FV RS 10 LAC RIL PPD 110 9.9 NCD 15JU06 FV RS 1 CR
1,000,000
1,000,000
10000000
10000000
10000000
RIL PPD 115 9.55 NCD 11JL06 FV RS 1 CR RIL PPD 116 9.6 NCD 12JL06 FV RS 1 CR
10000000
10000000
1,000,000
1,000,000
RIL PPD 155 7.7 NCD 07AG06 FV RS 10 LAC RIL PPD 135 8.45 LOA 29MR07
1,000,000
1,000,000
1,000,000
1,000,000
RIL PPD 135 8.45 NCD 29MR07 FV RS 10 LAC RIL PPD 140 8.7 LOA 19AP07
1,000,000
1,000,000
10,00,000
10,00,000
RIL PPD 140 8.7 NCD 19AP07 FV RS 10 LAC RIL PPD 143 8.65 LOA 02MY07
10,00,000
10,00,000
1000000
1,000,000
RIL PPD 143 8.65 NCD 02MY07 FV RS 10 LAC RIL PPD 146 8.65 LOA 02JU07
1000000
1,000,000
10,00,000
10,00,000
10,00,000
10,00,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
1,000,000
RIL PPD 153 BR NCD 09JL07 FV RS 10 LAC RIL PPD 160/161 6.2 LOA 20NV07
1,000,000
1,000,000
1,000,000
1,000,000
RIL PPD 162 6.2 LOA 20NV07 FV RS 10 LAC RIL PPD 160/161 6.2 NCD 20NV07 FV RS 10 LAC RPL PPD 45 9.9 NCD 13JL06 FV RS 1 CR
1,000,000
1,000,000
1,000,000.00
1,000,000.00
10000000
10000000
10,00,000
10,00,000
RPTL PPD 8 9.5 NCD 15MR07 FV RS 10 LAC RELIANCE POWER LOA 31MR06 FV RS 1000
10,00,000
10,00,000
1,000.00
1,000.00
5,00,000
5,00,000
5,00,000
5,00,000
4,39,510.10
10,00,000
4,39,510.10
10,00,000
4,39,510.10
10,00,000
4,39,510.10
10,00,000
4,39,510.10
10,00,000
10,00,000
10,00,000
RUPL PPD 6 9.5 NCD 15MR07 FV RS 10 LAC RESTILE CERAMIC 2 FCD 29AG06 FV RS 100
10,00,000
10,00,000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
75
75
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
RURAL ELECTRIFICATION CORP SR-71 BR LOA 16JU04 RURAL ELECTRIFICATION CORP SR-71 BR LOA 25JU04 RURAL ELECTRIFICATION CORP SR-71 BR LOA 29JL04 RURAL ELECTRIFICATION CORP SR-71 BR LOA RECL NTXPS-33 13AG04
8.75 BD 17NV04 FV RS 10000 RECL SLR SR-27 12.5 BD 22NV04 FV RS 10000
1,000,000.00
1,000,000.00
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.00
1,000,000.00
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
1,000
1,000
10,000
10,000
RECL OPT-1 54EC RR BD 30JU06 RECL OPT-2 54EC RR BD 30JU06 RECL OPT-3 54EC RR BD 30JU06 RECL OPT-1 54EC RR BD 31JL06 RECL OPT-2 54EC RR BD 31JL06 RECL OPT-3 54EC RR BD 31JL06 RECL OPT-2 54EC RR BD 31JL06 RECL OPT-1 54EC RR BD 31JL06
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
RECL SLR SR-31 13.85 BD 13SP06 FV RS 1000 RECL OPT-2 54EC 8.5 BD 30SP06 FV RS 10000
1,000
1,000
10000
10,000
10000
10,000
10000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10000
10,000
10000
10,000
10000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10000
10,000
10000
10,000
10000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10000
10,000
10000
10,000
10000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
RECL OPT-2 54EC 7.85 BD 31MR07 FV RS 10000 RECL OPT-1 54EC 8 BD 31MR07 FV RS 10000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
5,000
5,000
10000
10,000
10000
10,000
10000
10,000
10000
10,000
10,000
10000
10,000
10000
10,000
10000
5,000
5,000
10000
10,000
10000
10,000
10000
10,000
5,000
5,000
5,000
5,000
10000
10,000
10000
10,000
10000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
5,000
FV RS 5000
5,000
10,000
10,000
10,000
10,000
10,000
10,000
5,000
5,000
10,000
10,000
10,000
10,000
5,000
5,000
10000
10,000
10000
10,000
5,000
5,000
10,000
10,000
10,000
10,000
5,000
5,000
10,000
10,000
10,000
10,000
5,000
5,000
10,000
10,000
10,000
10,000
10,000
10,000
5,000.00
5,000.00
RECL SLR SR-35 12.3 BD 26MR08 FV RS 10000 RECL OPT-2 54EC 6 BD 31MR08 FV RS 10000
10,000
10,000
10,000
10,000
10,000
10,000
RVK ENERGY 14.5 NCD 15MR06 FV RS 1 LAC RVK ENERGY 13 NCD 15DC06 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
100
100
100
100
100
100
100
100
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000
10,000,000
10,000,000.000
10,000,000.000
1,000,000.000
1,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
SSNNL 14 BD 30NV02
50,000
50,000
5,000
5,000
50,000
50,000
SSNNL 15 BD 20MR04
50,000
50,000
50,000
50,000
SSNNL 15.5 BD 11MR06 FV RS 1 LAC SSNNL 12.75 IBD 20MY06 FV RS 50000 SSNNL 13 IBD 20MY06 FV RS 50000
1,00,000
1,00,000
50,000
50,000
50,000
50,000
SSNNL 13.65 BD 27OT06 FV RS 50000 SSNNL 12.25 IBD 27OT06 FV RS 50000 SSNNL 12.65 IBD 27OT06 FV RS 50000 SSNNL 12.35 BD 31MY07 FV RS 50000 SSNNL NTX 9.2 LOA 30SP07
50,000
50,000
50,000
50,000
50,000
50,000
50,000
50,000
1,00,000
1,00,000
1,00,000
1,00,000
10,000
10,000
10,000
10,000
100
100
100
100
100
100
50,000,000.00
100
100
100
100
SHR DIGVIJ CEM 12.25 NCD 30NV05 FV RS 100 SICOM LIMITED 8.5 LOA 13MR03
100.000
100.000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,00,000
1,00,00,000
100
100
100
100
500
500
10,00,000
10,00,000
SIDBI PS 10 BD 10FB03
10,00,000
10,00,000
10,00,000
10,00,000
1000
1000
10,000,000
10,000,000
10,000,000
10,000,000
1000
1000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1000
1000
10,000,000
10,000,000
SIDBI PS 8 BD 10JN05
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
SIDBI PS 7 BD 15FB05
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
SIDBI PS 7 BD 15MR05
1,00,00,000
1,00,00,000
SIDBI PS 7 BD 21MR05
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
1000
1000
SIDBI PS 6 BD 28SP05 FV RS 1 CR
10,000,000.00
10,000,000.00
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
SIDBI CAP GAIN 6.25 BD 31JN06 FV RS 10000 SIDBI CAP GAIN 6.25 BD 31JN06 FV RS 10000
SIDBI CAP GAIN 5 BD 28FB06 FV RS 10000
10,000.000
10,000.000
10,000.000
10,000.000
10,000
10,000
10,000
10,000
10,000.000
10,000.000
10,000.000
10,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000
10,000
10,000
10,000
10,000.00
10,000.00
10,000.00
10,000.00
10,000.00
10,000.00
SIDBI CAP GAIN 5.25 BD 31MY06 FV RS 10000 FV RS 10000 SIDBI CAP GAIN 5.25 BD 31MY06 FV RS 10000 FV RS 10000
10,000.00
10,000.00
10,000.00
10,000.00
SIDBI CAP GAIN 5.25 BD 31MY06 FV RS 10000 FV RS 10000 SIDBI CAP GAIN 5.25 BD 30JU06 FV RS 10000
10,000.00
10,000.00
10,000.00
10,000.00
10,000.00
10,000.00
10,000.00
10,000.00
10,000.00
10,000.00
10,000.00
10,000.00
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
SIDBI PS 5 BD 22SP06 FV RS 1 CR
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000,000.000
10,000,000.000
SIDBI CAP GAIN 5 BD 30NV06 FV RS 10000 SIDBI CAP GAIN 5 BD 30NV06 FV RS 10000 SIDBI CAP GAIN 5 BD 31DC06 FV RS 10000 SIDBI CAP GAIN 5 BD 31DC06 FV RS 10000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
10,000.000
SIDBI PS 10,000,000.000 4.75 BD 22JN07 FV RS 1 CR SIDBI CAP GAIN 5 BD 31JN07 FV RS 10000 SIDBI CAP GAIN 5 BD 31JN07 FV RS 10000
SIDBI SLR-7 13.75 BD 04FB07 FV RS 1000
10,000,000.000
10,000.00
10,000.00
10,000.00
10,000.00
1000
1000
SIDBI PS 10,000,000.000 4.7 BD 10FB07 FV RS 1 CR SIDBI CAP GAIN 5 BD 28FB07 FV RS 10000 SIDBI CAP GAIN 5 BD 28FB07 FV RS 10000 10000
10,000,000.000
10000
10000
10000
SIDBI PS 10,000,000.00 4.6 BD 17MR07 FV RS 1 CR SIDBI PS 10,000,000.00 4.5 BD 18MR07 FV RS 1 CR SIDBI PS 10,000,000.00 4.5 BD 31MR07 FV RS 1 CR SIDBI CAP GAIN 5 BD 31MR07 FV RS 10000 SIDBI CAP GAIN 5 BD 31MR07 FV RS 10000
SIDBI CAP GAIN2 RR BD 31AG07 FV RS 10000
10,000,000.00
10,000,000.00
10,000,000.00
10000
10000
10000
10000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
1000
1000
SIDBI CAP GAIN2 RR BD 30SP07 FV RS 10000 FV RS 10000 SIDBI CAP GAIN2 RR BD 30SP07 FV RS 10000 FV RS 10000
10,000
10,000
10,000
10,000
10,000.000
10,000.000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
1,000.00
1,000.00
10,000
10,000
SIDBI CAP GAIN2 6.5 BD 30NV07 FV RS 10000 FV RS 10000 SIDBI CAP GAIN2 7 BD 30NV07 FV RS 10000 FV RS 10000 SIDBI CAP GAIN2 6.5 BD 30NV07 FV RS 10000 FV RS 10000 SIDBI SLR-2 13 BD 15DC07 FV RS 1000
10,000
10,000
10,000
10,000
10,000
10,000
1000
1000
SIDBI CAP GAIN2 6.5 BD 31DC07 FV RS 10000 FV RS 10000 SIDBI CAP GAIN2 6.25 BD 31DC07 FV RS 10000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
SIDBI CAP GAIN 6.25 BD 31JN08 FV RS 10000 SIDBI CAP GAIN 6.25 BD 31JN08 FV RS 10000
SIDBI CAP GAIN 5 BD 28FB08 FV RS 10000
10,000.000
10,000.000
10,000.000
10,000.000
10,000
10,000
10,000
10,000
1000
1000
10,000
10,000
10,000
10,000
10,000.00
10,000.00
10,000.00
10,000.00
100,000
100,000
100,000
100,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000
100,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.000
100,000.000
SREI INTERN FIN BR LOA 13AP04 FV RS 1 LAC SREI INTERN FIN BR LOA 13AP04 FV RS 1 LAC SREI INTERN FIN BR LOA 20AP04 FV RS 1 LAC
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
SREI INTERN FIN 100,000.000 BR LOA 05MY04 FV RS 1 LAC SREI INTERN FIN 100,000.000 BR LOA 07MY04 FV RS 1 LAC SREI INTERN FIN 100,000.000 BR LOA 12MY04 FV RS 1 LAC
100,000.000
100,000.000
100,000.000
SREI INTERN FIN 100,000.000 BR LOA 18MY04 FV RS 1 LAC SREI INTERN FIN 100,000.000 BR LOA 18MY04 FV RS 1 LAC SREI INTERN FIN 100,000.000 BR LOA 19MY04 FV RS 1 LAC SREI INTERN FIN 100,000.000 BR LOA 31MY04 FV RS 1 LAC SREI INTERN FIN 100,000.000 BR LOA 01JU04 FV RS 1 LAC SREI INTERN FIN 100,000.000 BR LOA 02JU04 FV RS 1 LAC SREI INTERN FIN 100,000.000 BR LOA 04JU04 FV RS 1 LAC SREI INTERN FIN 100,000.00 BR LOA 02JL04 FV RS 1 LAC SREI INTERN FIN 100,000.00 5.2 LOA 05JL04 FV RS 1 LAC SREI INTERN FIN 100,000.00 5.25 LOA 19JL04 FV RS 1 LAC SREI INTERN FIN 100,000.00 BR LOA 21JL04 FV RS 1 LAC SREI INTERN FIN 100,000.00 BR LOA 21JL04 FV RS 1 LAC
SREI INTERN FIN BR LOA 31JL04 FV RS 1 CR
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
SREI INTERN FIN 100,000.00 BR LOA 04AG04 FV RS 1 LAC SREI INTERN FIN 100,000.00 5.17 LOA 11AG04 FV RS 1 LAC SREI INTERN FIN 100,000.00 5.2 LOA 31AG04 FV RS 1 LAC SREI INTERN FIN 100,000.00 BR LOA 13AG04 FV RS 1 LAC SREI INTERN FIN 100,000.00 BR LOA 16AG04 FV RS 1 LAC SREI INTERN FIN 100,000.00 BR LOA 16AG04 FV RS 1 LAC SREI INTERN FIN 100,000.00 BR LOA 24AG04 FV RS 1 LAC SREI INTERN FIN 100,000.00 5.25 LOA 24AG04 FV RS 1 LAC SREI INTERN FIN 100,000.00 BR LOA 30AG04 FV RS 1 LAC SREI INTERN FIN 5.2 LOA 06SP04 FV RS 1 LAC SREI INTERN FIN BR LOA 21SP04 FV RS 1 LAC SREI INTERN FIN BR LOA 01OT04 FV RS 1 LAC 100,000.000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.000
100,000.000
100,000.000
100,000.00
100,000.00
SREI INTERN FIN 5.2 LOA 12OT04 FV RS 1 LAC SREI INTERN FIN BR LOA 12OT04 FV RS 1 LAC SREI INTERN FIN BR LOA 15OT04 FV RS 1 LAC SREI INTERN FIN BR LOA 18OT04 FV RS 1 LAC
SREI INTERN FIN BR LOA 04JU04 FV RS 1 LAC
SBT SR-2 16.25 BD 29SP03
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000
100,000
1,00,000
1,00,000
SBT SR-3 11.35 BD 25JU05 FV RS 1 LAC SBT SR-4 OPT-A 11.1 BD 23JU06 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
SBT SR-4 OPT-B 11.05 BD 23JU06 FV RS 1 LAC SBT SR-4 OPT-C 11 BD 23JU06 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
5,00,000
5,00,000
500,000.000
500,000.000
1,00,000
1,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
1,00,000
1,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
SAIL SR 10-1/R 12.15 BD 01FB07 FV RS 5 LAC SAIL SR 10-2/S 11.1 BD 30MR07 FV RS 5 LAC
5,00,000
5,00,000
5,00,000
5,00,000
SAIL SR 10-2/T 11.25 BD 30MR07 FV RS 5 LAC SAIL SR 10-2/V 11.25 BD 15AP07 FV RS 5 LAC SAIL SR 10-2/X 11.1 BD 15AP07 FV RS 5 LAC
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
SAIL SR 16-1/SS 10.25 BD 03JU07 FV RS 5 LAC SAIL SR 10-3/Y 11.15 BD 01SP07 FV RS 5 LAC SAIL SR 12-1/EE 11.3 BD 12MR08 FV RS 5 LAC SAIL SR 12-1/FF 11.6 BD 12MR08 FV RS 5 LAC STERLITE INDS 8.25 LOA 04MR02
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
100
100
100
100
100
100
100
100
100
100
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100
100
100
100
100
100
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
5,00,00,000
5,00,00,000
100
100
100
100
10,000,000
10,000,000
100
100
1,00,00,000
1,00,00,000
100
100
1,00,00,000
1,00,00,000
100
100
100
100
100
100
100
100
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
100,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.000
10,000,000.000
100
100
50,00,000
50,00,000
STERLITE INDS 11.83 NCD 01FB05 FV RS 1 CR STERLITE OPPOR. 7 LOA 09JL04 FV RS 2 LAC
10,000,000
10,000,000
200,000.00
200,000.00
200,000.00
200,000.00
200,000.00
200,000.00
200,000.00
200,000.00
100
100
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100
100
100
100
100
100
100
100
100
100
100
100
SUNDARAM FIN 1,000,000.00 D-1 BR LOA 06AP05 FV RS 10LAC SUNDARAM FIN 1,000,000.00 D-3 BR LOA 11AP05 FV RS 10LAC SUNDARAM FIN 1,000,000.00 D-6 BR LOA 02MY05 FV RS 10LAC SUNDARAM FIN 1,000,000.00 D-7 BR LOA 10MY05 FV RS 10LAC SUNDARAM FIN 1,000,000.00 D-9 BR LOA 19MY05 FV RS 10LAC SUNDARAM FIN 1,000,000.00 D-4 BR LOA 30AP06 FV RS 10LAC SUNDARAM FIN 1,000,000.00 D-8 BR LOA 19MY06 FV RS 10LAC SUNDARAM FIN D-10 BR LOA 16JU06 FVRS 10LAC 1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
1,000,000.00
SUNDARAM FIN 1,000,000.00 D-2 BR LOA 30AP07 FV RS 10LAC SUNDARAM FIN 1,000,000.00 D-5 BR LOA 30AP07 FV RS 10LAC
SUND. FIN S-21 11.5 NCD 16NV01
1,000,000.00
1,000,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
SUND. FIN B-15 8.35 NCD 31JL04 FV RS 1 LAC SUNDARAM FIN C9 5.5 LOA 25AG04 FV RS 1 LAC SUND. FIN B-17 7.6 LOA 13SP04
1,00,000
1,00,000
100,000.00
100,000.00
1,00,000
1,00,000
SUND. FIN B-17 7.6 NCD 13SP04 FV RS 1 LAC SUNDARAM FIN C-14 5.25 LOA 29OT04 FVRS1LAC SUND. FIN B-22 6.8 LOA 28NV04
1,00,000
1,00,000
100,000.000
100,000.000
1,00,000
1,00,000
1,00,000
1,00,000
SUND. FIN B-22 6.8 NCD 28NV04 FV RS 1 LAC SUND. FIN B-24 6.75 NCD 28NV04 FV RS 1 LAC SUND. FIN B-25 6.6 LOA 07DC04
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,000,000.000
1,000,000.000
SUNDARAM FIN C-16 BR LOA 27DC04 FVRS 10 LAC SUNDARAM FIN C-17 BR LOA 29DC04 FVRS 10 LAC
SUND. FIN B-28 6.6 LOA 31DC04
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
10,000,000
10,000,000
10,000,000
10,000,000
SUNDARAM FIN C-18 BR LOA 05JN05 FVRS 10LAC SUNDARAM FIN C-19 BR LOA 06JN05 FVRS 10LAC SUNDARAM FIN C-20 BR LOA 28JN05 FVRS 10LAC SUNDARAM FIN C-21 BR LOA 29JN05 FVRS 10LAC SUNDARAM FIN C-22 BR LOA 01FB05 FVRS 10LAC
SUND. FIN A-6 BR LOA 20MR05
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,000,000.000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
SUNDARAM FIN C6 BR LOA 27JU05 FV RS 1 LAC SUNDARAM FIN C7 5.95 LOA 30JL05 FV RS 1 LAC SUND. FIN B-16 8.75 LOA 31JL05
100,000.00
100,000.00
100,000.00
100,000.00
1,00,000
1,00,000
SUND. FIN B-16 8.75 NCD 31JL05 FV RS 1 LAC SUND.FIN C-10 5.78 LOA 25AG05 FV RS 1 LAC SUND.FIN C-11 5.45 LOA 27AG05 FV RS 1 LAC SUND. FIN B-18 8.15 LOA 27SP05
1,00,000
1,00,000
100,000.00
100,000.00
100,000.000
100,000.000
1,00,000
1,00,000
1,00,000
1,00,000
SUND. FIN B-18 8.15 NCD 27SP05 FV RS 1 LAC SUND. FIN B-19 8.05 NCD 27SP05 FV RS 1 LAC SUND.FIN C-12 5.45 LOA 30SP05 FV RS 1 LAC SUND. FIN B-21 BR LOA 28NV05
1,00,000
1,00,000
1,00,000
1,00,000
100,000.000
100,000.000
1,00,000
1,00,000
1,00,000
1,00,000
SUND. FIN B-21 BR NCD 28NV05 FV RS 1 LAC SUND. FIN B-23 7.15 NCD 28NV05 FV RS 1 LAC SUND. FIN B-26 6.85 LOA 07DC05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,00,000
1,00,00,000
1,00,000
1,00,000
SUND. FIN B-26 6.85 NCD 07DC05 FV RS 1 CR SUND. FIN B-27 6.83 NCD 07DC05 FV RS 1 LAC SUND.FIN B-29 BR LOA 26FB06 FV RS 1 LAC
1,00,00,000
1,00,00,000
1,00,000
1,00,000
100,000
100,000
1,000,000.000
1,000,000.000
100,000
100,000
100,000.000
100,000.000
1,000,000.000
1,000,000.000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
SUND. FIN B-9 9.25 NCD 28JU05 FV RS 1 LAC SUND. FIN B-12 9.3 LOA 02JL05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
SUND.HOME FIN 7.25 NCD 30NV07 FV RS 10 LAC SUND.HOME FIN 9.5 LOA 16AG07
1,000,000
1,000,000
1,000,000
1,000,000
SUND.HOME FIN 9.5 NCD 16AG07 FV RS 10 LAC SUND.HOME FIN 7.25 LOA 30NV07
1,000,000
1,000,000
1,000,000
1,000,000
10
14.24
1,00,000
1,00,000
1,00,000
1,00,000
100
33.34
100
33.34
100
33.33
100,000.00
100,000.00
100,000.00
100,000.00
100,000
100,000
100,000.00
100,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,000,000
1,000,000
100,000.000
100,000.000
TIDCO 11 BD 29SP02
1,000
1,000
1,000
1,000
1,00,000
1,00,000
1,000
1,000
TIDCO 12.25 BD 31OT07 FV RS 1 LAC TIDCO 12.75 BD 02NV07 FV RS 1 LAC TIIC LTD SLR 11 BD 10NV02
1,00,000
1,00,000
1,00,000
1,00,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
TIIC LTD SLR 13.85 BD 24OT06 FV RS 1000 TIIC LTD SLR 13.75 BD 12FB07 FV RS 1000 TIIC LTD SLR 13 BD 01SP07 FV RS 1000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100
100
TATA AUTOCOMP 11.35 LOA 25MR05 FV RS 1 CR TATA CHEM 7.18 LOA 31MR04
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
50,00,000
50,00,000
TATA CHEM 7.18 NCD 31MR05 FV RS 50 LAC TATA CHEM 7.18 LOA 31MR06
50,00,000
50,00,000
1,00,00,000
1,00,00,000
TATA CHEM 7.18 NCD 31MR06 FV RS 1 CR TATA COFFEE 11.1 NCD 03JN03
1,00,00,000
1,00,00,000
50,00,000
50,00,000
65
65
1,00,00,000
1,00,00,000
TELCO SR- E10 12.25 NCD 30NV04 FV RS 100 TELCO E11 OPT-A 13.5 NCD 23JL05 FV RS 5 LAC TELCO E11 OPT-B 13.5 NCD 23JL05 FV RS 5 LAC
100
100
5,00,000
5,00,000
5,00,000
5,00,000
TELCO SR- E16 11.85 NCD 10AG05 FV RS 5 CR TELCO SR-1 7.7 LOA 07OT06
50,000,000
50,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
2500000
10000000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
5,000,000.00
5,000,000.00
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
100
TATA FINANCE 12.30 NCD 09MR06 FV RS 5 CR TATA FIN STRIPS SR 1-B IO 23JU01 1621411
50000000
1621411
4,05,353
4,05,353
12,95,000
12,95,000
12,98,548
12,98,548
3,24,637
3,24,637
1,00,00,000
1,00,00,000
TATA FIN STRIPS SR 1-F IO 23JU05 FV RS 1295000 TATA FIN STRIPS SR 2-A PO 23JU05 FV RS 25 LAC TATA FINANCE 11.25 LOA 11AG03
12,95,000
12,95,000
25,00,000
25,00,000
10,000,000
10,000,000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
TATA INDUSTRIES 10,000,000.000 6 NCD 19AG04 FV RS 1 CR TATA INDUSTRIES 10,000,000.00 6 NCD 06SP04 FV RS 1 CR TATA INDUSTRIES 6.15 NCD 29DC04 FV RS 1 CR
TATA INDUSTRIES 7.25 NCD 15MR05 FV RS 1 CR
10,000,000.000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1,00,000
2,67,830
40
40
40(converted into 1 ordy. Share of Rs.10 at a premium of Rs.30 per share 40(converted into 1 ordy. Share of Rs.10 at a premium of Rs.30 per share 40(converted into 1 ordy. Share of Rs.10 at a premium of Rs.30 per share 25
40
20
40
20
TATA INV CORP 4 LOA 13MY06 FV RS 3333000 TATA INV CORP 4 LOA 13MY07 FV RS 3333000 TATA SONS LTD 9 LOA 19SP02
3,333,000.00
3,333,000.00
3,333,000.00
3,333,000.00
5 CRORE
5 CRORE
5 CRORE
5 CRORE
5 CRORE
5 CRORE
5 CRORE
TATA SONS LTD 9.25 NCD 19SP04 FV RS 5 CR TATA SONS LTD. 14.75 NCD 28MY02
5 CRORE
5 CRORE
5,00,000
5,00,000
5,00,000
5,00,000
5,00,00,000
5,00,00,000
5,00,000
5,00,000
50,00,00,000
50,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
TATA SONS LTD. 7.85 NCD 05SP05 FV RS 1 CR TATA SONS OPT-1 6.8 LOA 25NV05
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
50
50
50
50
TATA TEA 6 NCD 08JU07 LOA Upto 07JL02 FV RS 1 CR TATA TELESERVIC 10.5 LOA 09JL02
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100
100
10,000,000
10,000,000
100
100
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
ACC SR-12 7.95 NCD 06SP06 FV RS 1 CR ACC SR-13 7.3 LOA 18OT06
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
100,00,000
10,00,000
10,00,000
ACC SR-8 9.8 NCD 03MY07 FV RS 10 LAC ACC SR-9 9.5 LOA 27MY07
10,00,000
10,00,000
10,00,000
10,00,000
ACC SR-9 9.5 NCD 27MY07 FV RS 10 LAC ACC SR-10 8.95 LOA 08JL07
10,00,000
10,00,000
100,00,000
100,00,000
ACC SR-10 8.95 NCD 08JL07 FV RS 1 CR ACC SR-11 8.95 LOA 10JL07
100,00,000
100,00,000
100,00,000
100,00,000
ACC SR-11 8.95 NCD 10JL07 FV RS 1 CR BOMBAY DYEING 9.25 NCD 10JU02
100,00,000
100,00,000
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100.00
100.00
10,000,000
10,000,000
GE SHIPPING-02 8.95 NCD 09JL07 FV RS 1 CR BK OF RAJ SR-1 11.75 BD 30JU06 FV RS 1 LAC BK OF RAJ SR-11 9.5 BD 02SP07 FV RS 1 LAC
10,000,000
10,000,000
1,00,000
1,00,000
1,00,000
1,00,000
100
100
100
100
100
100
100
100
100
100
100
100
BOMBAY DYEING 100.00 BR LOA 27AG04 FV RS 100 BOMBAY DYEING BR LOA 20OT04 FV RS 100
BOMBAY DYEING BR LOA 25OT02
100.00
100.00
100.00
100
100
100
100
100
100
100
100
100
100
100
100
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
BOMBAY DYEING 5.1 LOA 13AP04 FV RS 100 BOMBAY DYEING 5.1 LOA 19AP04 FV RS 100 BOMBAY DYEING 5 LOA 24MY04 FV RS 100 BOMBAY DYEING 5 LOA 31MY04 FV RS 100
100.000
100.000
100.000
100.000
100.000
100.000
100.000
100.000
BOMBAY DYEING 100.000 4.99 LOA 04JU04 FV RS 100 BOMBAY DYEING BR LOA 28JU04 FV RS 100 100.00
100.000
100.00
100.00
100.00
100.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100
100
100
100
53,14,070
1,00,00,000
100
100
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
LAKSHMI VILAS 12.85 BD 01JL05 FV RS 1 LAC LAKSHMI VILAS 10.4 BD 30JU07 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
91,74,310
10,000,000
91,74,310
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
NSIC LTD 6.5 LOA 10MR08 FV RS 10 LAC NEDUNGADI BANK 14 BD 01SP04 FV RS 1 LAC
1,000,000
1,000,000
1,00,000
1,00,000
NEDUNGADI BANK 12.25 BD 15JU05 FV RS 1 LAC NEDUNGADI BANK 12.25 BD 01SP05 FV RS 1 LAC PERIA KARAMALAI 15 NCD 10DC05 FV RS 100
1,00,000
1,00,000
1,00,000
1,00,000
100
100
PICUP 14 BD 26SP02
1,00,000
1,00,000
1,00,000
1,00,000
5000
5000
100000
100000
100000
100000
100000
100000
1,00,000
1,00,000
100
33
1,00,00,000
1,00,00,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100
100
10,000,000
10000000
10,000,000.00
10,000,000.00
1,00,000
1,00,000
UNITED WEST BNK 12.85 BD 28AP05 FV RS 1 LAC UNITED WEST BNK 14.5 BD 12JU06 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
UNITED WEST BNK 9.55 BD 08FB08 FV RS 1 LAC VYSYA BANK SR-1 12.65 BD 29AP07 FV RS 1 LAC THOMSON PRESS 9.75 NCD 15MY07 FV RS 50 LAC TISCO 9.45 LOA 11SP06
1,00,000
1,00,000
1,00,000
1,00,000
50,00,000
50,00,000
10000000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,000
1,000
1,000
1,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
TFCI SR-MB-22 12.85 BD 04OT04 FV RS 5 LAC TFCI SR-MB-23 12.5 BD 16MR05 FV RS 5 LAC
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
TFCI SR-MB-20A 14.25 BD 01MR06 FV RS 5 LAC TFCI SR-MB-13C 16.55 BD 18FB07 FV RS 1 LAC TFCI SR-MB-27 10 LOA 01MR07 FV RS 5 LAC TFCI SR-MB-24 12.6 BD 16MR07 FV RS 5 LAC TFCI SR-MB-25 11.7 BD 01AG07 FV RS 5 LAC
5,00,000
5,00,000
1,00,000
1,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
5,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100,000
100,000
100,000
100,000
100
100
10,000,000
10,000,000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
10,000,000.000
10,000,000.000
10,000,000
10,000,000
10,000,000
10,000,000
13,560,000.00
13,560,000.00
13,620,000.00
13,620,000.00
22,150,000.00
22,150,000.00
22,250,000.00
22,250,000.00
72,390,000.00
72,390,000.00
1,00,000
1,00,000
100
100
5,00,000
5,00,000
5,00,000
5,00,000
L AND T 11.75 NCD 11JN06 FV RS 1 CR L AND T 8.4 NCD 22JL07 FV RS 1 CR L AND T 8.09 NCD 25JL07 FV RS 1 CR UNION BANK SR-2 11.25 BD 08MY06 FV RS 1 LAC UNION BK SR-1 12.5 BD 10SP06 FV RS 1 LAC
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100
100
1,00,000
1,00,000
UNITED PHOSPHORUS 10,000,000.000 7 LOA 27AP04 FV RS 1 CR SEARCH CHEM 10,000,000.00 6.5 LOA 19JL04 FV RS 1 CR
10,000,000.000
10,000,000.00
UNITED PHOSPHORUS 10,000,000.00 7 LOA 23JL04 FV RS 1 CR UNITED PHOSPHORUS 10,000,000.000 6.5 LOA 08SP04 FV RS 1 CR UNITED PHOSPHORUS 10,000,000.000 6.15 LOA 17SP04 FV RS 1 CR UNITED PHOSPHORUS 10,000,000.00 6.5 LOA 15AP05 FV RS 1 CR
USHA BELTRON BR LOA 29MR02
10,000,000.00
10,000,000.000
10,000,000.000
10,000,000.00
100
100
100
100
100
100
10,000,000
10,000,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000
10,000,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10000000
10000000
10000000
10000000
10,000,000.00
10,000,000.00
10,000,000.00
10,000,000.00
100
100
100
100
10,000,000.000
10,000,000.000
10,000,000.000
10,000,000.000
5,00,000
5,00,000
5,00,000
5,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000
10,000,000
10,000,000.00
10,000,000.00
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
10,000,000.00
10,000,000.00
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
1,00,00,000
100
100
100
100
100
100
100
100
10000000
10,000,000
100
100
100
100
10,000,000
10,000,000
100
100
10,000,000
10,000,000
100
100
100
100
100
100
10000000
10000000
100
100
100
100
100
100
100
100
10,000,000
10,000,000
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000.00
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
100,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,00,000
1,00,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
VIDEOCON INTNL BR LOA 28AG04 FV RS 1 LAC VIDEOCON INTNL BR LOA 03SP04 FV RS 1 LAC
1,00,000
1,00,000
1,00,000
1,00,000
100
100
100
100
100
100
1,00,000
1,00,000
VIJAYA BANK SR2 12.35 BD 06DC06 FV RS 1 LAC VIJAYA BANK VRS 11 BD 01JU07 FV RS 10000
1,00,000
1,00,000
10,000
10,000
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
1,00,000
1,00,000
WB IDFC TX 14 BD 31DC05
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
1,00,000
100
100
100
100
100
100
WHIRLPOOL SR-2 9.15 LOA 01MR07 FV RS 5 LAC WHIRLPOOL SR-2 9.15 NCD 01MR07 FV RS 5 LAC XEROX MODI SR-2 12.5 NCD 01DC03
5,00,000
5,00,000
5,00,000
5,00,000
1,00,00,000
1,00,00,000
100
33.34
100
100
100
100
10,000,000.00
10,000,000.00
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100
100.00
100.00
100.00
100.00
100.00
100.00
100.000
100.000
Redemption
Coupon Rate
6-Jun-03
7.00%
06/06/2003
03/09/2003
7.00%
02/09/2003
28/11/2003
5.25%
17/12/2003
15/03/2004
5.25%
29/03/2004
11/06/2004
5.25%
26/03/2004
17/06/2004
5.25%
22/04/2004
20/07/2004
4.98%
11/06/2004
08/09/2004
4.90%
16/06/2004
13/09/2004
4.95%
17/06/2004
14/09/2004
4.95%
20/07/2004
15/10/2004
4.90%
17-Jun-02
13-Sep-02
9.25%
13-Sep-02
11-Dec-02
7.50%
11-Dec-02
10-Mar-03
7.00%
4-Oct-02
4-Apr-03
8.00%
16/04/2003
13/10/2003
7.75%
13/10/2003
09/04/2004
6.40%
15-Nov-99
15-Nov-06
12.50%
13-Sep-02
20-Sep-02
Mibor + 1.25%
1-Aug-02
30-Sep-02
7.50%
15-Apr-02
15-Apr-03
8.75%
15-Apr-02
15-Apr-03
8.50%
29-Apr-02
29-Apr-03
Mibor + 1.00%
29-Apr-02
29-Apr-03
8.75%
10-Jun-02
10-Jun-03
8.00%
10-Jun-02
10-Jun-03
8.00%
19-Jul-02
19-Jul-03
Mibor + 1.00%
26-Jul-02
26-Jul-03
7.00%
1-Aug-02
1-Aug-03
Mibor + 1.10%
1-Aug-02
1-Aug-03
Mibor + 1.00%
1-Aug-02
1-Aug-03
8.00%
1-Aug-02
1-Aug-03
7.25%
31-Jul-02
1-Aug-03
7.75%
1-Sep-02
1-Sep-03
Mibor + 1.00%
1-Sep-02
1-Sep-03
Mibor + 1.00%
1-Sep-02
1-Sep-03
7.00%
13-Sep-02
13-Sep-03
7.00%
13-Sep-02
13-Sep-03
Mibor + 1.00%
16-Sep-02
16-Sep-03
Mibor + 1.00%
24-Sep-02
24-Sep-03
Mibor + 1.00%
11-Oct-02
11-Oct-03
Mibor +1.00%
28-Oct-02
28-Oct-03
Mibor +0.95%
20-Nov-02
20-Nov-03
Mibor + 0.80%
4-Dec-02
4-Dec-03
13-Dec-02
13-Dec-03
18-Dec-02
18-Dec-03
Mibor +0.50%
18-Dec-02
18-Dec-03
Mibor +0.50%
19-Dec-02
19-Dec-03
27-Dec-02
27-Dec-03
2-Jan-03
2-Jan-04
6.50%
3-Jan-03
3-Jan-04
14-Jan-03
14-Jan-04
6.50%
17-Jan-03
17-Jan-04
Mibor +0.50%
24-Jan-03
24-Jan-04
25-Mar-03
25-Mar-04
Mibor + 0.45%
02/05/2003
02/05/2004
Mibor + 0.10%
23/05/2003
23/05/2004
Mibor + 0.10%
09/06/2003
09/06/2004
Mibor + 0.10%
8/1/2003
8/21/2004
Equivalent to MIBOR
10/09/2003
10/09/2004
Mibor + 25bps
10/10/2003
10/10/2004
MIBOR + 50bps
10/10/2003
10/10/2004
MIBOR + 25bps
05/03/2004
05/03/2005
Mibor + 0.10%
19/04/2004
19/04/2005
Mibor - 0.10%
17/05/2004
17/05/2005
MIBOR - 0.10%
28-Jul-00
28-Jul-03
13.50%
16-Jan-02
26-Mar-02
9.00%
26-Mar-02
21-Jun-02
9.00%
24-Jun-02
19-Sep-02
8.90%
24-Jul-02
21-Oct-02
7.90%
23-Oct-02
20-Jan-03
7.40%
27-Aug-01
27-Aug-04
12.75%
29/06/2004
24/09/2004
15-Oct-01
14-Apr-07
16-Dec-99
15-Apr-07
12.30%
22/08/2003
19/11/2003
6.50%
26/08/2003
21/11/2003
6.50%
13/08/2003
13/08/2004
10.00%
21/9/00
20/3/02
16%
7-Jul-00
1-Jun-02
16%
22-Oct-01
21-Oct-02
13%
5-Sep-01
4-Dec-02
14.00%
13-Mar-03
9-Jun-03
7.90%
15/09/2003
14/11/2003
7.25%
13-Aug-90
13-Aug-03
14%
13-Aug-90
13-Aug-03
14%
6-Jun-01
5-Dec-02
11.25%
18-Aug-01
17-Aug-06
11.50%
31-Jul-02
2-Mar-03
13.00%
31-Jul-02
30-Mar-03
13.00%
31-Jul-02
30-Apr-03
13.00%
26/05/2003
25/12/2003
26/05/2003
25/01/2004
26/05/2003
25/02/2004
30-Nov-02
30-Nov-07
8.40%
3-May-99
3-Aug-06
13.60%
27-May-00
27-Aug-07
11.10%
17/04/2001
31/03/2004
12.50%
21-Sep-00
20-Sep-07
13.10%
21-Sep-00
20-Sep-07
13.10%
28-Sep-00
27-Sep-07
13.10%
28-Sep-00
27-Sep-07
13.10%
31-Oct-00
30-Oct-07
13.10%
31-Oct-00
30-Oct-07
13.10%
22-Nov-00
21-Nov-07
13.10%
22-Nov-00
21-Nov-07
13.10%
22-Nov-00
21-Nov-07
13.10%
22-Nov-00
21-Nov-07
13.10%
6-Dec-00
5-Dec-07
13.10%
6-Dec-00
5-Dec-07
13.10%
6-Dec-00
5-Dec-07
13.10%
6-Dec-00
5-Dec-07
13.10%
4-Jan-01
3-Jan-08
13.10%
4-Jan-01
3-Jan-08
13.10%
4-Jan-01
3-Jan-08
13.10%
4-Jan-01
3-Jan-08
13.10%
15-Jan-01
14-Jan-08
13.10%
15-Jan-01
14-Jan-08
13.10%
15-Jan-01
14-Jan-08
13.10%
15-Jan-01
14-Jan-08
13.10%
30-Jan-01
29-Jan-08
13.10%
30-Jan-01
29-Jan-08
13.10%
30-Jan-01
29-Jan-08
13.10%
30-Jan-01
29-Jan-08
13.10%
4-Mar-01
3-Mar-08
13.10%
4-Mar-01
3-Mar-08
13.10%
4-Mar-01
3-Mar-08
13.10%
4-Mar-01
3-Mar-08
13.10%
17-Mar-01
16-Mar-08
12.30%
17-Mar-01
16-Mar-08
12.30%
30-Mar-01
29-Mar-08
12.30%
30-Mar-01
29-Mar-08
12.30%
28-Apr-01
27-Apr-08
12.30%
28-Apr-01
27-Apr-08
12.30%
12-Nov-87
12-Nov-02
11.00%
11-Feb-88
11-Feb-03
11.00%
11-Aug-93
11-Aug-03
13.50%
3-Jan-94
3-Jan-04
13.50%
28-Aug-94
28-Aug-04
12.50%
31-Jan-95
31-Jan-05
12.50%
2-Aug-95
2-Aug-05
14.00%
6-Dec-95
6-Dec-05
14.00%
18-Sep-96
18-Sep-06
13.85%
29-Jan-97
29-Jan-07
13.75%
27-Aug-92
27-Aug-07
13.00%
22-Oct-97
22-Oct-07
12.30%
22-Dec-92
22-Dec-07
13.00%
21-Jan-98
21-Jan-08
12.30%
16-Mar-98
16-Mar-08
12.30%
10/04/2003
07/07/2003
6.35%
18-Aug-97
18-Aug-03
15.50%
30-Apr-00
31-May-05
15.00%
03/01/2001
1/3/2006
14.50%
8-Apr-02
9%
6-May-00
6-May-02
12.00%
15-Mar-02
21-May-02
9.40%
2-Apr-02
1-Jun-02
N.A.
6-Mar-02
3-Jun-02
9.25%
8-Apr-02
7-Jun-02
8.50%
15-Mar-02
12-Jun-02
9.40%
15-Mar-02
12-Sep-02
10%
2-Apr-02
29-Sep-02
N.A.
12-Oct-01
11-Oct-02
10.20%
24-Oct-01
23-Oct-02
24-May-02
20-Nov-02
Step up Series with Put & Call Option at the end of 3rd month (23.01.2002) 9.15% 9.30%
24-May-02
20-Dec-02
9.30%
2-Apr-02
28-Mar-03
N.A.
4-Apr-02
2-Apr-03
10.40%
15-Mar-02
4-Apr-03
10.5%
11-Apr-02
10-Apr-03
N.A.
6-May-00
6-May-03
12.00%
24-May-02
24-May-03
9.70%
31-Jul-02
30-Jul-03
8.75%
31-Jul-02
30-Jul-03
8.75%
7-Aug-02
7-Aug-03
9.00%
7-Aug-02
7-Aug-03
9.00%
12/09/2003
10/12/2003
5.05%
01/12/2003
27/02/2004
5.07%
10/12/2003
08/03/2004
5.07%
29/04/2003
27/04/2004
Yield rate-6.20%
22/05/2003
21/05/2004
N.A.
7-Aug-02
7-Aug-04
9.75%
7-Aug-02
7-Aug-04
9.75%
01/09/2003
30/08/2004
5.65%
31-May-02
28-Mar-05
9.75%
31-May-02
28-Mar-05
9.75%
24-May-02
24-May-05
9.85%
25/07/2003
25/07/2005
7-Aug-02
5-Aug-05
10.05%
7-Aug-02
5-Aug-05
10.05%
27/08/2003
27/08/2005
06/10/2003
06/10/2005
06/10/2003
06/10/2006
8-Aug-97
8-Aug-02
14.00%
1-Oct-99
1-Oct-02
12.50%
1-Oct-99
1-Oct-02
12.25%
24-Oct-02
18.00%
1-Dec-02
12.50%
20/06/2003
20/06/2006
6.20%
15-Oct-02
15-Oct-07
8.15%
15-Oct-02
15-Oct-07
8.15%
9-Nov-01
9-May-04
16%
28-Dec-01
28-Jun-04
16%
28-Feb-02
28-Aug-04
16%
4-Mar-02
4-Sep-04
16%
14-May-02
14-Nov-04
16%
21-May-02
21-Nov-04
16%
13-Jun-02
13-Dec-04
16%
19-Sep-02
19-Mar-05
16%
3-Oct-02
3-Apr-05
16%
6-Mar-03
4-Sep-03
6.55%
6-Mar-03
4-Sep-03
6.55%
17/03/2003
12/09/2003
6.65%
17/03/2003
12/09/2003
6.65%
26-Feb-03
23-Jan-04
MIBOR + 1.00%
26-Feb-03
23-Jan-04
MIBOR + 1.00%
24/09/2003
23/09/2004
5.38%
4-Apr-03
3-Oct-03
6.70%
4-Apr-03
3-Oct-03
6.70%
28/04/2003
27/10/2003
6.50%
17/04/2003
11/11/2003
6.00%
16/04/2003
18/11/2003
6.30%
07/04/2003
05/04/2004
6.70%
16/04/2003
12/04/2004
6.70%
25/04/2003
23/04/2004
6.25%
30/04/2003
30/04/2004
6.05%
06/05/2003
04/05/2004
6.45%
02/05/2003
02/05/2005
Mibor + 1.20%
26-Sep-01
20-Dec-01
9.25%
26-Sep-01
20-Dec-01
9.25%
16-Mar-99
15-Mar-02
13.75%
16-Mar-99
15-Mar-02
13.75%
11-Apr-01
10-Apr-02
10.70%
11-Apr-01
10-Apr-02
10.70%
30-Apr-01
29-Apr-02
10.60%
30-Apr-01
29-Apr-02
10.60%
8-Nov-00
8-May-02
11.65%
8-Nov-00
8-May-02
11.65%
1-Jun-01
31-May-02
10.15%
1-Jun-01
31-May-02
10.15%
13-Dec-01
13-Jun-02
8.65%
13-Dec-01
13-Jun-02
8.65%
6-Jul-01
5-Jul-02
6-Jul-01
5-Jul-02
11-Jul-01
9-Jul-02
9.90%
11-Jul-01
9-Jul-02
N.A.
19-Jul-01
18-Jul-02
19-Jul-01
18-Jul-02
25-Jul-00
25-Jul-02
11.00%
25-Jul-00
25-Jul-02
11.00%
18-Feb-02
16-Aug-02
8.55%
18-Feb-02
16-Aug-02
8.55%
28-Aug-01
27-Aug-02
9.20%
28-Aug-01
27-Aug-02
9.20%
28-Aug-01
27-Aug-02
9.20%
28-Aug-01
27-Aug-02
9.20%
6-Mar-02
2-Sep-02
6-Mar-02
2-Sep-02
6-Sep-01
5-Sep-02
10-Sep-01
9-Sep-02
19-Mar-02
16-Sep-02
8.25%
19-Sep-01
18-Sep-02
19-Sep-01
18-Sep-02
21-Mar-02
20-Sep-02
9.25%
21-Mar-02
20-Sep-02
9.25%
25-Sep-01
24-Sep-02
25-Sep-01
24-Sep-02
23-Oct-01
22-Oct-02
23-Oct-01
22-Oct-02
1-Feb-02
24-Oct-02
N.A.
1-Feb-02
24-Oct-02
N.A.
3-May-02
29-Oct-02
9.00%
3-May-02
29-Oct-02
9.00%
6-May-02
4-Nov-02
8.35%
8-Nov-00
8-Nov-02
11.75%
12-Nov-01
11-Nov-02
12-Nov-01
11-Nov-02
12-Nov-01
11-Nov-02
12-Nov-01
11-Nov-02
24-May-02
22-Nov-02
8.80%
24-May-02
22-Nov-02
8.80%
29-Nov-01
28-Nov-02
8.90%
29-Nov-01
28-Nov-02
Zero coupon
29-Nov-01
28-Nov-02
8.90%
29-Nov-01
28-Nov-02
Zero coupon
7-Dec-01
5-Dec-02
7-Dec-01
5-Dec-02
14-Jun-02
11-Dec-02
8.80%
14-Jun-02
11-Dec-02
8.80%
7-Jan-02
6-Jan-03
7-Jan-02
6-Jan-03
14-Jan-02
13-Jan-03
14-Jan-02
13-Jan-03
21-Jan-02
20-Jan-03
5-Aug-02
23-Jan-03
7.00%
5-Aug-02
23-Jan-03
7.00%
22-Feb-02
21-Feb-03
8.92%
22-Feb-02
21-Feb-03
8.92%
25-Feb-02
24-Feb-03
25-Feb-02
24-Feb-03
1-Mar-02
28-Feb-03
2-Apr-02
1-Apr-03
8.60%
28-Mar-02
2-Apr-03
9.00%
28-Mar-02
2-Apr-03
9.00%
4-Apr-02
3-Apr-03
9.00%
4-Apr-02
3-Apr-03
9.00%
9-Apr-02
8-Apr-03
9.50%
9-Apr-02
8-Apr-03
9.50%
15-Apr-02
14-Apr-03
15-Apr-02
14-Apr-03
3-May-02
30-Apr-03
9.00%
3-May-02
30-Apr-03
9.00%
5-May-01
5-May-03
11.00%
5-May-01
5-May-03
11.00%
16-May-02
15-May-03
9.00%
16-May-02
15-May-03
9.00%
25-Nov-02
27-May-03
6.27%
25-Nov-02
27-May-03
6.27%
25-Nov-02
27-May-03
6.27%
7-Mar-03
5-Jun-03
6.39%
7-Mar-03
5-Jun-03
6.39%
14-Jun-02
12-Jun-03
9.00%
14-Jun-02
12-Jun-03
9.00%
20-Jun-01
20-Jun-03
10.30%
20-Jun-01
20-Jun-03
10.30%
6-Jan-03
3-Jul-03
6.20%
6-Jan-03
3-Jul-03
6.20%
6-Jan-03
3-Jul-03
6.20%
5-Jul-01
5-Jul-03
10.00%
5-Jul-01
5-Jul-03
10.00%
12-Jul-02
8-Jul-03
8.70%
12-Jul-02
8-Jul-03
8.70%
10-Jul-02
9-Jul-03
Mibor+ 1.25% with a floor of 8.45% p.a. and cap of 8.65% p.a.
10-Jul-02
9-Jul-03
Mibor+ 1.25% with a floor of 8.45% p.a. and cap of 8.65% p.a. 6.20%
20-Jan-03
15-Jul-03
20-Jan-03
15-Jul-03
6.20%
30-Jan-02
30-Jul-03
9.10%
30-Jan-02
30-Jul-03
9.10%
4-Feb-03
5-Aug-03
6.30%
4-Feb-03
5-Aug-03
6.30%
14/05/2003
14/08/2003
5.30%
14/05/2003
14/08/2003
5.30%
26-Aug-02
25-Aug-03
26-Aug-02
25-Aug-03
3-Sep-02
2-Sep-03
7.50%
3-Sep-02
2-Sep-03
7.50%
27-Sep-02
26-Sep-03
7-Oct-02
7-Oct-03
Mibor + 0.50%
7-Oct-02
7-Oct-03
Mibor + 0.50%
09/07/2003
09/10/2003
5.40%
13-Oct-98
13-Oct-03
11.75%
13-Oct-98
13-Oct-03
11.75%
23-Oct-02
23-Oct-03
6.95%
24-Oct-02
23-Oct-03
Mibor + 0.50%
23-Oct-02
23-Oct-03
6.95%
28/04/2003
27/10/2003
6.50%
8-Nov-02
7-Nov-03
6.60%
8-Nov-02
7-Nov-03
6.60%
8-Nov-02
7-Nov-03
6.60%
14/05/2003
10/11/2003
5.85%
14/05/2003
10/11/2003
5.85%
17/04/2003
11/11/2003
6.00%
14/08/2003
14/11/2003
5.22%
16/04/2003
18/11/2003
6.30%
24-Feb-03
20-Nov-03
Mibor + 1.00%
24-Feb-03
20-Nov-03
Mibor + 1.00%
26-Nov-01
26-Nov-03
9.20%
26-Nov-01
26-Nov-03
9.20%
09/06/2003
04/12/2003
5.35%
09/06/2003
04/12/2003
5.35%
9-Dec-02
9-Dec-03
6.36%
9-Dec-02
9-Dec-03
6.36%
9-Dec-02
9-Dec-03
6.36%
16/06/2003
12/12/2003
5.35%
16/06/2003
12/12/2003
5.35%
27-Jun-02
18-Dec-03
27-Jun-02
18-Dec-03
21/08/2003
23/12/2003
5.18%
13-Jan-03
8-Jan-04
6.30%
13-Jan-03
8-Jan-04
NSE Mibor + 80bps with a floor of 6.25% and a cap of 6.30% p.a 6.30%
13-Jan-03
8-Jan-04
13-Jan-03
8-Jan-04
NSE Mibor + 80bps with a floor of 6.25% and a cap of 6.30% p.a 6.30%
13-Jan-03
8-Jan-04
13-Jan-03
8-Jan-04
NSE Mibor + 80bps with a floor of 6.25% and a cap of 6.30% p.a 5.55%
14/07/2003
12/01/2004
29/07/2003
27/01/2004
5.35%
6-Feb-02
6-Feb-04
9.50%
6-Feb-02
6-Feb-04
9.50%
29/09/2003
17/02/2004
5.05%
29-Aug-02
24-Feb-04
7.57%
29-Aug-02
24-Feb-04
7.57%
27/05/2003
24/02/2004
5.50%
27/05/2003
24/02/2004
5.50%
04/06/2003
08/03/2004
5.55%
04/06/2003
08/03/2004
5.55%
03/10/2003
12/03/2004
5.10%
07/04/2003
05/04/2004
6.70%
16/04/2003
12/04/2004
6.70%
25/04/2003
23/04/2004
6.25%
29-Oct-02
27-Apr-04
Mibor + 1.20%
29-Oct-02
27-Apr-04
Mibor + 1.20%
29-Apr-02
29-Apr-04
9.40%
29-Apr-02
29-Apr-04
9.40%
30/04/2003
30/04/2004
6.05%
06/05/2003
04/05/2004
6.45%
08/05/2003
07/05/2004
5.95%
08/05/2003
07/05/2004
08/05/2003
07/05/2004
5.95%
08/05/2003
07/05/2004
26/05/2003
25/05/2004
Zero Coupon
26/05/2003
25/05/2004
Zero Coupon
30/05/2003
28/05/2004
Mibor + 0.20%
30/05/2003
28/05/2004
Mibor + 0.20%
05/03/2004
03/06/2004
4.90%
09/06/2003
08/06/2004
Zero Coupon
09/06/2003
08/06/2004
Zero Coupon
17/06/2003
16/06/2004
5.65%
17/06/2003
16/06/2004
5.65%
25/08/2003
23/06/2004
5.40%
30-Jun-03
29-Jun-04
5.75%
06/10/2003
06/07/2004
N.A.
09/07/2003
08/07/2004
5.76%
12-Jul-01
12-Jul-04
10.00%
12-Jul-01
12-Jul-04
10.00%
26-Jul-02
26-Jul-04
8.75%
26-Jul-02
26-Jul-04
8.75%
04/08/2003
03/08/2004
5.55%
09/02/2004
09/08/2004
4.95%
13/08/2003
12/08/2004
5.80%
17/02/2004
17/08/2004
5.00%
05/03/2004
03/09/2004
5.05%
10/02/2004
09/09/2004
5.00%
16-Sep-02
16-Sep-04
7.75%
16-Sep-02
16-Sep-04
7.75%
22/09/2003
20/09/2004
5.40%
29/09/2003
28/09/2004
5.45%
09/10/2003
08/10/2004
5.30%
15/10/2003
14/10/2004
5.25%
27/10/2003
25/10/2004
5.20%
10-Nov-03
8-Nov-04
10-Nov-03
8-Nov-04
5.40%
12-Nov-02
12-Nov-04
6.90%
12-Nov-02
12-Nov-04
6.90%
12-Nov-02
12-Nov-04
6.90%
26-Nov-01
26-Nov-04
9.455
26-Nov-01
26-Nov-04
9.455
5-Dec-02
29-Nov-04
6.65%
5-Dec-02
29-Nov-04
6.65%
5-Dec-02
29-Nov-04
6.65%
04/12/2003
03/12/2004
5.40%
09/12/2003
08/12/2004
5.40%
7-Jan-03
7-Jan-05
6.55%
7-Jan-03
7-Jan-05
6.55%
7-Jan-03
7-Jan-05
6.55%
14/01/2004
12/01/2005
5.25%
15/07/2003
14/01/2005
6.00%
08/08/2003
07/02/2005
5.68%
20/05/2003
19/04/2005
MIBOR + 1.00%
20/05/2003
19/04/2005
Mibor + 1.00%
02/05/2003
02/05/2005
Mibor +1.20%
30-May-02
30-May-05
9.80%
30-May-02
30-May-05
9.80%
03/12/2003
03/06/2005
NSE Mibor + 115 bps with a floor of 5.65% pa.a and a cap of 5.75% NSE Mibor + 115 bps with floor of 5.65% p.a. & cap of 5.75% 9.75%
08/12/2003
08/06/2005
14-Jun-02
14-Jun-05
14-Jun-02
14-Jun-05
9.75%
17/06/2003
17/06/2005
Mibor + 1.00%
17/06/2003
17/06/2005
Mibor+1.00%
28-Jun-02
28-Jun-05
9.75%
28-Jun-02
28-Jun-05
9.75%
4-Jul-03
4-Jul-05
Mibor + 1.00%
14/07/2003
12/07/2005
6.10%
18/07/2003
12/07/2005
6.10%
21/07/2003
19/07/2005
6.15%
26-Jul-02
26-Jul-05
9.00%
26-Jul-02
26-Jul-05
9.00%
08/08/2003
08/08/2005
5.85%
29/07/2003
23/08/2005
6.15%
26/08/2003
26/08/2005
5.93%
30-Aug-02
30-Aug-05
8.10%
30-Aug-02
30-Aug-05
8.10%
2-Sep-02
2-Sep-05
Mibor + 1.55%
2-Sep-02
2-Sep-05
Mibor + 1.55%
14-Oct-02
14-Oct-05
7.80%
14-Oct-02
14-Oct-05
7.80%
15-Nov-02
15-Nov-05
7.07%
15-Nov-02
15-Nov-05
7.07%
15-Nov-02
15-Nov-05
7.07%
18-Nov-03
18-Nov-05
Mibor + 1%
24/11/2003
23/11/2005
5.70%
05/12/2003
05/12/2005
NSE Mibor + 125 bps with a floor of 5.75% p.a. and cap of 5.85% p.a. 6.90%
9-Dec-02
9-Dec-05
9-Dec-02
9-Dec-05
6.90%
9-Dec-02
9-Dec-05
6.90%
23-Dec-02
23-Dec-05
6.72%
23-Dec-02
23-Dec-05
6.72%
23-Dec-02
23-Dec-05
6.72%
09/01/2004
09/01/2006
5.75%
12/01/2004
10/01/2006
20/02/2004
17/02/2006
MIBOR + 95 bps
15/03/2004
08/03/2006
5.75%
12/03/2004
09/03/2006
NSE Mibor + 1.20% with a floor of 5.60% and a cap of 5.70% 6.25%
21/08/2003
21/08/2006
29/08/2003
29/08/2006
6.10%
04/09/2003
01/09/2006
5.95%
04/09/2003
04/09/2006
5.95%
25-Sep-03
25-Sep-06
6.05%
23/10/2003
23/10/2006
5.70%
08/01/2004
08/01/2007
6.00%
14-Jun-02
14-Jun-07
10.25%
14-Jun-02
14-Jun-07
10.25%
28-Jun-02
28-Jun-07
10.25%
28-Jun-02
28-Jun-07
10.25%
28/03/2003
27/03/2004
25-Jun-02
20-Sep-02
8.90%
27/03/2003
27/03/2006
8.50%
05/05/2004
04/05/2005
6.30%
06/05/2004
05/05/2005
6.30%
13/05/2004
12/05/2005
6.25%
26/06/2003
23/09/2003
11.00%
30-Nov-02
30-Nov-03
9.00%
27/01/2004
23/04/2004
6.75%
10/06/2003
10/06/2004
10.00%
25/08/2003
25/08/2004
9.00%
20/10/2003
20/10/2004
9.00%
21/05/2004
03/11/2004
6.00%
17/03/2003
17/03/2006
10% upto 18 months from date of allotment & 11% thereafter till maturitgy in case put/call option not exercised
21/04/2003
21/04/2006
10.00%
21/04/2003
21/04/2006
10.00%
12/05/2004
19/04/2005
6.10%
1-Feb-02
1-May-02
12.50%
26-Nov-01
25-May-02
12%
30-Jan-02
28-Jul-02
9.50%
11-Jan-02
10-Jan-03
10%
23-Jan-02
22-Jan-03
13.00%
28-Jan-02
28-Jan-03
12.00%
1-Aug-02
30-Jan-03
11.50%
15-Feb-02
14-Feb-03
10.00%
7-Mar-02
7-Mar-03
12.00%
13-Mar-02
12-Mar-03
10.00%
5-Apr-02
5-Apr-03
12.50%
8-Apr-02
7-Apr-03
10.00%
30-Nov-02
30-Nov-03
9.00%
16-Jul-02
15-Jan-04
9.50%
17/03/2003
17/03/2006
20-Feb-02
22-Mar-02
8.00%
1-Jan-02
29-Mar-02
MIBOR + 65 bps
3-Apr-02
1-Jul-02
Mibor + 65 bps
2-Jul-02
27-Sep-02
Mibor + 90 bps
21/04/2003
19/07/2003
5.80%
5-Aug-02
14-Aug-07
8.50%
6/30/2006
10.85%
4/30/2008
11.15%
8-Feb-02
8-May-07
9.20%
26-Aug-99
26-Apr-06
12.60%
14-Feb-01
14-May-06
11.50%
29-Jan-02
29-Apr-07
9.45%
29-Jan-02
29-Apr-07
9.45%
23-Mar-02
23-Jun-07
9.30%
15-Nov-02
15-Nov-05
6.20%
15-Nov-02
15-Nov-05
6.20%
15-Nov-02
15-Nov-05
6.20%
29-Nov-01
26-Feb-02
8.75%
25-Jan-02
24-Apr-02
8.31%
26-Feb-02
26-May-02
8.25%
28/07/2003
27/07/2004
7.25%
12-Aug-02
11-Aug-05
9.25%
23-Feb-01
22-Apr-07
12.25%
N.A.
30-Mar-06
10.40%
30.3.2001
30-Mar-06
10.40%
31-Oct-02
27-Apr-03
22/07/2003
17/01/2004
30-Apr-02
30-Sep-02
8.75%
20-Mar-02
19-Mar-03
9.00%
20-Mar-02
19-Mar-03
9.00%
20-Mar-03
20-Mar-06
6.40%
12-Nov-01
9-Feb-02
Floating rate -Index + 1.30%p.a. compunded daily Floating rate -Index + 1.25%p.a. compunded daily Floating rate -Index + 1.25%p.a. compunded daily Floating at Index +1.25%(compounding daily) Floating at index+ 1.10% p.a. compounded daily Floating at inded+1.05% p.a. compounded daily Floating at index+1.00% p.a. compounded daily 11.40%
18-Jan-02
17-Apr-02
9-Apr-02
5-Jul-02
5-Jul-02
1-Oct-02
30/04/2003
28/07/2003
7-Jul-03
3-Oct-03
10/07/2003
07/10/2003
6-Feb-01
28-Jan-02
6-Feb-01
30-Jan-03
11.40%
14-Feb-91
14-Aug-03
15.50%
29-Jun-01
28-Jun-02
02-Jul-01
15-Aug-02
02-Jul-01 (proposed)
15-Dec-02
13.00%
2-Jul-01
15-Feb-03
13.00%
4/10/2003
12.05%
10-Apr-01
10-Apr-03
12.05%
02-Jul-01 (proposed)
15-Jun-03
13.00%
2-Jul-01
15-Aug-03
13.00%
10-Apr-01
10-Oct-03
12.05%
02-Jul-01 (proposed)
15-Dec-03
13.00%
10-Apr-01
10-Apr-04
12.05%
02-Jul-01 (proposed)
15-Dec-05
13.00%
18-Dec-00
18-Dec-03
10.90%
15/01/2007
11.5%
14-May-02
9.50%
18-May-02
9-Aug-02
9.50%
29-Jul-02
18-Oct-02
8.75%
19-Aug-02
6-Nov-02
8.75%
20-Sep-02
6-Dec-02
8.25%
20-Sep-02
9-Dec-02
8.25%
7-Oct-02
27-Dec-02
8.25%
26-Oct-02
15-Jan-03
8.25%
26-Oct-02
17-Jan-03
8.10%
13-Feb-02
13-Feb-07
8.34%
15-Jul-02
6-Jan-03
6.78%
14-Aug-02
16-Feb-04
5.98%
16-Sep-02
17-Mar-04
6.25%
11-Oct-02
12-Apr-04
6.20%
24-Feb-03
23-May-03
6.45%
23/05/2003
20/08/2003
6.45%
19/08/2003
15/11/2003
5.38%
12/09/2003
10/12/2003
5.30%
28-Sep-02
18-Dec-02
6.90%
28-Sep-02
23-Dec-02
6.90%
28-Sep-02
23-Sep-03
7.00%
28-Sep-02
23-Sep-03
7.00%
20-Aug-02
20-Aug-04
8.40%
20-Aug-02
20-Aug-04
8.40%
20-Aug-02
20-Aug-05
8.40%
20-Aug-02
20-Aug-05
8.40%
22-Jan-99
22-Apr-04
13.85%
22-Jan-99
22-Apr-06
14.20%
12-Sep-01
12-Apr-07
9.70%
14-Dec-00
14-Apr-07
11.95%
14-Dec-00
14-Apr-07
11.95%
24/04/2003
22/07/2003
6.25%
25/04/2003
23/07/2003
6.15%
07/05/2003
04/08/2003
6.05%
03/06/2003
29/08/2003
5.85%
11/06/2003
08/09/2003
5.80%
13/06/2003
10/09/2003
5.80%
27-Jun-03
24-Sep-03
5.80%
29/07/2003
24/10/2003
5.65%
04/08/2003
31/10/2003
5.65%
29/08/2003
25/11/2003
5.52%
01/09/2003
28/11/2003
5.15%
08/09/2003
05/12/2003
5.10%
10/09/2003
08/12/2003
5.10%
05/12/2003
03/03/2004
5.06%
08/12/2003
05/03/2004
5.06%
10/12/2003
08/03/2004
5.10%
31/12/2003
25/03/2004
4.97%
1/2/2004
25/03/2004
4.95%
30/01/2004
28/04/2004
4.95%
04/02/2004
30/04/2004
4.95%
13/02/2004
12/05/2004
5.05%
23/02/2004
21/05/2004
5.05%
23/02/2004
21/05/2004
5.08%
03/03/2004
31/05/2004
5.10%
12/05/2004
09/08/2004
4.75%
24/05/2004
20/08/2004
4.71%
27/08/2004
4.71%
10/09/2004
4.75%
02/07/2004
29/09/2004
4.75%
14/07/2004
11/10/2004
4.75%
30-Sep-07
8.25%
30-Sep-07
8.25%
1-Aug-03
13.75%
15/09/2003
10/12/2003
4.95%
12/09/2003
10/12/2003
NSE Mibor+0.70%
9-Feb-99
9-May-04
13.90%
22-Mar-00
22-Jun-05
11.35%
28-Mar-01
28-Jun-06
11%
28-Sep-01
28-Apr-07
9.80%
29-Dec-01
29-Apr-07
9.40%
29/12/2001
29/04/2007
9.40%
25-Sep-02
25-Apr-08
8.15%
4-Feb-00
4-May-05
12.95%
26-Nov-01
1-Oct-04
12.00%
27/03/2003
24/06/2003
7.95%
28/03/2003
25/06/2003
8.00%
31-Mar-03
28-Jun-03
8.00%
08/04/2003
04/07/2003
6.50%
07/05/2003
04/08/2003
5.78%
12/05/2004
09/08/2004
MIBOR-10bps
13/05/2004
10/08/2004
MIBOR-10bps
24/06/2004
21/09/2004
4.70%
24/06/2004
21/09/2004
Mibor - 12 bps
25/06/2004
22/09/2004
Mibor - 12 bps
13/07/2004
08/10/2004
Mibor - 15 bps
5-Jun-02
2-Sep-02
8.95%
4-Oct-02
1-Jan-03
6.50%
11-Oct-02
8-Jan-03
6.70%
9-Jan-03
17-Mar-03
6.15%
9-Jan-03
20-Mar-03
6.15%
13-Jan-03
27-Mar-03
6.18%
17-Jan-03
27-Mar-03
6.05%
4-Jul-03
18/08/2003
5.44%
09/07/2003
23/08/2003
5.40%
13/06/2003
10/09/2003
5.55%
13/06/2003
10/09/2003
5.61%
16/06/2003
12/09/2003
5.55%
25-Jun-03
22-Sep-03
5.50%
26-Jun-03
23-Sep-03
5.50%
25/09/2003
07/11/2003
5.00%
09/10/2003
10/11/2003
5.09%
07/10/2003
02/01/2004
Mibor + 15 bps
19/11/2003
16/02/2004
Mibor + 30 bps
30-Mar-01
30-Mar-04
11.75%
21/01/2004
19/04/2004
5.08%
23/01/2004
21/04/2004
Mibor
30/01/2004
28/04/2004
Mibor + 0 bps
05/02/2004
30/04/2004
Mibor + 0 bps
08/04/2004
10/05/2004
Mibor - 12 bps
12/04/2004
12/05/2004
4.61%
29/03/2004
24/06/2004
4.88%
29/03/2004
25/06/2004
4.90%
29/03/2004
25/06/2004
20/04/2004
16/07/2004
21/04/2004
19/07/2004
28/04/2004
26/07/2004
Mibor- 12 bps
30/04/2004
28/07/2004
MIBOR-15 bps
05/05/2004
02/08/2004
Mibor-17 bps
21-Apr-03
18-Jul-03
Overnight MIBOR+ 25 bps daily compounding except f Overnight Mibor+50 bps daily compounding except for holidays & other daysMibor + 25 bps Overnight when MIBOR daily compouding except for holidays & other days when MIBOR is not being Overnight MIBOR + 20 bps Daily compoundig except f
21/04/2003
18/07/2003
23/04/2003
21/07/2003
30/04/2003
28/07/2003
06/05/2003
01/08/2003
5.50%
13/05/2003
08/08/2003
21/05/2003
21/05/2006
21/05/2003
21/05/2006
20/03/2003
21/04/2003
6.70%
25/03/2003
25/04/2003
6.75%
5-Mar-03
5-May-03
6.40%
10-Feb-03
9-May-03
Mibor + 50 bps
28-Feb-03
28-May-03
4-Mar-03
30-May-03
Overnight MIBOR + 40 bps daily compounding except for holidays and other days when Mibor is not being quoted 6.50%
19/03/2003
16/06/2003
6.70%
21/03/2003
18/06/2003
6.75%
28-Mar-03
25-Jun-03
28-Mar-03
25-Jun-03
17/04/2003
15/07/2003
25-Jan-99
25-Jan-02
16-Feb-99
16-Feb-02
14.00%
20-Dec-01
18-Mar-02
24-Dec-01
20-Mar-02
NSE Mibor + 90 bps (Daily Compounding on except on sundays & holidays) 9.00%
24-Dec-01
21-Mar-02
2-Jan-02
31-Mar-02
NSE Mibor + 90 bps (Daily Compounding on except on sundays & holidays) 9.00%
26-Dec-01
8-Apr-02
9.00%
21-Dec-01
11-Apr-02
9.00%
28-Dec-01
26-Apr-02
9.05%
1-Feb-02
30-Apr-02
1-Feb-02
30-Apr-02
NSE Mibor + 85 bps (Daily Compounding on except on sundays & holidays) + 80 bps NSE Mibor (Daily Compounding on except on sundays & holidays) + 85 bps NSE Mibor (Daily Compounding on except on sundays & holidays) + 85 bps NSE Mibor (Daily Compounding on except on sundays & holidays) + 85 bps NSE Mibor
5-Feb-02
3-May-02
7-Feb-02
7-May-02
5-Mar-02
31-May-02
2-May-02
31-May-02
7-Mar-02
3-Jun-02
12-Mar-02
7-Jun-02
19-Mar-02
14-Jun-02
27-Mar-02
14-Jun-02
NSE Mibor + 85 bps(Daily compounding except for sundays & holidays) 9.05%
24-Jun-02
9.40%
24-Jun-02
9.25%
2-Apr-02
27-Jun-02
NSE Mibor + 80 bps(daily compounding except for sundays & holidays) 10.25%
29-Jun-01
29-Jun-02
6-Jul-01
6-Jul-02
10.50%
11-Apr-02
8-Jul-02
NSE Mibor + 80 bps(daily compounding except for sundays & holidays) 10.40%
9-Jul-01
9-Jul-02
7-Jan-02
9-Jul-02
9.40%
15-Apr-02
12-Jul-02
17-Jan-02
17-Jul-02
9.40%
1-Feb-02
5-Aug-02
8.90%
1-Feb-02
5-Aug-02
8.90%
4-Feb-02
6-Aug-02
8.90%
4-Feb-02
6-Aug-02
8.90%
17-May-02
13-Aug-02
NSE Mibor + 80 bps(daily compounding except for sundays & holidays) 13.00%
16-Aug-99
16-Aug-02
16-Aug-99
16-Aug-02
12.50%
20-May-02
16-Aug-02
NSE Mibor + 80 bps(daily compounding except for sundays & holidays) NSE Mibor + 80 bps(daily compounding except for sundays & holidays) NSE Mibor + 80 bps(daily compounding except for sundays & holidays) 9.00%
22-May-02
18-Aug-02
31-May-02
27-Aug-02
27-Feb-02
29-Aug-02
27-Feb-02
29-Aug-02
9.00%
5-Jun-02
2-Sep-02
9.25%
14-Jun-02
11-Sep-02
8.55%
17-Jun-02
13-Sep-02
19-Jun-02
15-Sep-02
10-May-02
16-Sep-02
9.10%
10-May-02
16-Sep-02
9.10%
4-Jul-02
30-Sep-02
4-Jul-02
1-Oct-02
NSE Mibor + 80 bps Daily compounding except for sundays & holidays + 80 bps NSE Mibor Daily compounding except for sundays & holidays + 80 bps NSE Mibor Daily compounding except for sundays & holidays + 80 bps NSE Mibor Daily compounding except for sundays & holidays 13.00%
9-Jul-02
4-Oct-02
11-Jul-02
8-Oct-02
28-Oct-99
28-Oct-02
7-May-02
1-Nov-02
9.15%
7-May-02
1-Nov-02
9.15%
6-Aug-02
1-Nov-02
29-Apr-02
18-Nov-02
NSE Mibor + 75 bps daily compounding except for Sundays and other days when MIBOR is not being 9.20%
29-Apr-02
18-Nov-02
9.20%
26-Aug-02
22-Nov-02
29-Aug-02
26-Nov-02
Overnight Mibor + 70 bps daily compounding except for holidays and other daysMibor + 70 bps Overnight when MIBOR daily compounding except for holidays and other days when MIBOR 9.25%
7-Dec-01
6-Dec-02
11-Sep-02
8-Dec-02
13-Sep-02
10-Dec-02
Overnight Mibor + 65 bps daily compounding except for holidays and other daysMibor + 60 bps Overnight when MIBOR daily compounding except for holidays and other daysMibor + 60 bps Overnight when MIBOR daily compounding except for holidays and other daysMibor + 60 bps Overnight when MIBOR daily compounding except for holidays and other daysMibor +60 bps Overnight when MIBOR daily compounding except for holidays and other daysMibor +60 bps Overnight when MIBOR daily compounding except for holidays and other daysMibor +55 bps Overnight when MIBOR daily compounding except for holidays and other days when MIBOR
13-Dec-02
20-Dec-02
3-Oct-02
30-Dec-02
4-Oct-02
31-Dec-02
8-Oct-02
3-Jan-03
8-Oct-02
3-Jan-03
10-May-02
6-Jan-03
Overnight Mibor +60 bps daily compounding except for holidays and other days when MIBOR 9.35%
10-May-02
6-Jan-03
9.35%
10-Oct-02
6-Jan-03
11-Oct-02
7-Jan-03
Overnight Mibor +55 bps daily compounding except for holidays and other daysMibor +55 bps Overnight when MIBOR daily compounding except for holidays and other daysMibor +55 bps Overnight when MIBOR daily compounding except for holidays and other days when MIBOR 12.00%
13-Jan-03
18-Jan-03
20-Jan-00
20-Jan-03
12.00%
24-Jan-00
24-Jan-03
12.00%
25-Jan-02
24-Jan-03
9.00%
24-Jan-03
28-Jan-03
Overnight Mibor +50 bps daily compounding except for holidays and other days when MIBOR 12.00%
1-Nov-02
28-Jan-03
6.41%
1-Nov-02
28-Jan-03
1-Nov-02
29-Jan-03
Overnight Mibor + 45 bps daily compounding except for holidays and other days when MIBOR 6.41%
1-Feb-00
1-Feb-03
11.70%
6-Nov-02
2-Feb-03
14-Nov-02
10-Feb-03
Overnight Mibor + 45 bps daily compounding except for holidays and other daysMibor +MIBOR Overnight when 45 bps daily compounding except for holidays and other days when MIBOR 8.90%
26-Feb-02
25-Feb-03
26-Feb-02
25-Feb-03
8.90%
29-Nov-02
26-Feb-03
3-Dec-02
26-Feb-03
Overnight Mibor + 45 bps Daily compounding except for Holidays and other daysMibor + 30 bps Overnight when MIBOR Daily compounding except for Holidays and other daysMibor + 25 bps Overnight when MIBOR Daily compounding except for Holidays and other days when MIBOR 9.10%
5-Dec-02
4-Mar-03
5-Mar-02
5-Mar-03
5-Mar-02
5-Mar-03
9.10%
19-Dec-02
18-Mar-03
Overnight Mibor + 30 bps Daily compounding except for Holidays and other days when MIBOR
26-Dec-02
25-Mar-03
27-Dec-02
26-Mar-03
Overnight Mibor + 50 bps Daily compounding except for Holidays and other daysMibor + 50 bps Overnight when MIBOR Daily compounding except for Holidays and other daysMIBOR + Overnight when MIBOR 50bps Compounding except for holidays and other daysMibor +45 bps Overnight when MIBOR daily compounding except for holidays and other daysMibor +40 bps Overnight when MIBOR daily compounding except for holidays and other daysMibor +40 bps Overnight when MIBOR daily compounding except for holidays and other daysMibor +40 bps Overnight when MIBOR daily compounding except for holidays and other daysMIBOR + Overnight when MIBOR 40bps daily Compounding except for holidays and other days 6.15%
30-Dec-02
28-Mar-03
3-Jan-03
2-Apr-03
6-Jan-03
5-Apr-03
8-Jan-03
7-Apr-03
21-Jan-03
17-Apr-03
25-Jan-03
23-Apr-03
28-Jan-03
25-Apr-03
29-Jan-03
28-Apr-03
14-Feb-03
14-May-03
Overnight MIBOR + 40bps daily Compounding except for holidays and other 40 Overnight Mibor + days bps Daily compounding except for holidays and other days when MIBOR 9.35%
10-Jun-02
9-Jun-03
10-Jun-02
9-Jun-03
9.35%
9-Jul-02
8-Jul-03
8.65%
9-Jul-02
8-Jul-03
8.65%
12-Jul-02
11-Jul-03
8.50%
12-Jul-02
11-Jul-03
8.50%
15-Jul-02
14-Jul-03
8.60%
15-Jul-02
14-Jul-03
8.60%
23-Jul-02
22-Jul-03
8.50%
23-Jul-02
22-Jul-03
8.50%
28/04/2003
25/07/2003
Overnight Mibor+25 bps daily Overnight Mibor+15 bps daily Overnight MIBOR+ 15 bps Overnight Mibor+15 bps daily compounding except fo Overnight Mibor+15 bps daily compounding except fo
30/05/2003
27/08/2003
11/06/2003
08/09/2003
16-Jun-03
12-Sep-03
18-Jun-03
15-Sep-03
25-Jun-03
22-Sep-03
5.40%
25/06/2003
22/09/2003
5.40%
27/06/2003
24/09/2003
Overnight MIBOR+15 bps daily compounding except fo Overnight MIBOR+20 bps daily compounding except fo 7.27%
01/07/2003
26/09/2003
3-Oct-02
1-Oct-03
3-Oct-02
1-Oct-03
7.27%
05/07/2003
01/10/2003
Overnight MIBOR +35 bps daily compounding except Overnight MIBOR+15 bps daily compounding except fo 7.30%
03/10/2003
6-Oct-03
7-Oct-02
6-Oct-03
7.25%
7-Oct-02
6-Oct-03
7.30%
7-Oct-02
6-Oct-03
7.25%
11/07/2003
08/10/2003
14/07/2003
10/10/2003
5.40%
22/07/2003
17/10/2003
23/07/2003
20/10/2003
Overnight MIBOR+10 bps daily compounding except for holidays & other daysMIBOR+10 bps Overnight when MIBOR daily compounding except for holidays & other daysMIBOR+10 bps Overnight when MIBOR daily compounding except for holidays & other days when MIBOR 7.00%
24/07/2003
21/10/2003
25-Oct-02
24-Oct-03
25-Oct-02
24-Oct-03
7.00%
7/29/2003
10/24/2003
01/08/2003
29/10/2003
Overnight MIBOR+10 bps daily compounding except for holidays & other daysMIBOR+ 10 Overnight when MIBOR bps daily compounding except for holidays & other daysMibor + 10 bps Overnight when MIBOR daily compounding except
11/08/2003
06/11/2003
13/08/2003
10/11/2003
04/09/2003
02/12/2003
04/09/2003
02/12/2003
overnight MIbor+0.10%
09/09/2003
05/12/2003
4.90%
08/09/2003
05/12/2003
15-Sep-03
12-Dec-03
O/n MIBOR+ 10BPS O/N MIBOR + 15bps Overnight Mibor + 80 bps Daily compounding except for Holidays and other daysMibor + 80 bps Overnight when MIBOR daily compounding except for holidays and other daysMibor + 80 bps Overnight when MIBOR Daily compounding except for Holidays and other daysMibor + 80 bps Overnight when MIBOR daily compounding except for holidays and other days when MIBOR O/N MIBOR+ 10BPS
15-Sep-03
12-Dec-03
16-Dec-02
15-Dec-03
16-Dec-02
15-Dec-03
18-Dec-02
17-Dec-03
18-Dec-02
17-Dec-03
22-Sep-03
19-Dec-03
22-Dec-00
22-Dec-03
11.70%
29/09/2003
26/12/2003
MIBOR + 30bps
27-Dec-00
27-Dec-03
11.70%
10-Jan-01
10-Jan-04
11.70%
31-Jan-02
31-Jan-04
9.30%
31-Jan-02
31-Jan-04
9.30%
24/12/2003
22/03/2004
30-Mar-02
30-Mar-04
30-Mar-02
30-Mar-04
9.60%
3-Apr-02
2-Apr-04
9.57%
3-Apr-02
2-Apr-04
9.57%
12/01/2004
08/04/2004
20/01/2004
16/04/2004
Overnight NSE Mibor daily compounding except for Holidays & other daysMIBOR + 23 Overnight when MIBOR bps daily compounding except for Holidays & other days when MIBOR 4.80%
21/01/2004
19/04/2004
28/01/2004
26/04/2004
27/02/2004
03/05/2004
Overnight MIBOR + 30 bps daily compounding except for holidays & other daysMibor + 22 bps Overnight when MIBOR daily compounding except for holidays & other daysMIBOR-5 bps Overnight when MIBOR daily compounding except for holidays & other daysMIBOR Minus Overnight when MIBOR 5 bps daily compounding except for holidays & other days when MIBOR
09/02/2004
07/05/2004
16/02/2004 17/02/2004
14/05/2004
14/05/2004
14/05/2004
Overnight MIBOR Plus 24 bps daily compounding except for holidays & other days 4.87%
24-May-02
23-May-04
9.58%
24-May-02
23-May-04
9.58%
05/03/2004
31/05/2004
13-Jun-02
11-Jun-04
Overnight MIBOR + 25 bps daily compounding except for holidays & other days when MIBOR 9.35%
13-Jun-02
11-Jun-04
9.35%
14-Jun-02
14-Jun-04
9.35%
14-Jun-02
14-Jun-04
9.35%
17-Jun-02
16-Jun-04
9.35%
17-Jun-02
16-Jun-04
9.35%
17-Jun-02
17-Jun-04
9.35%
17-Jun-02
17-Jun-04
9.35%
18-Jun-02
18-Jun-04
9.35%
18-Jun-02
18-Jun-04
9.35%
28-Jun-02
28-Jun-04
9.05%
28-Jun-02
28-Jun-04
9.05%
1-Jul-02
1-Jul-04
9.50%
1-Jul-02
1-Jul-04
9.50%
3-Jul-02
3-Jul-04
9.00%
3-Jul-02
3-Jul-04
9.00%
27/04/2004
23/07/2004
10-Aug-02
6-Aug-05
Overnight Mibor - 28 bps daily compounding except for holidays & other days when MIBOR INBMK + 210 bps
10-Aug-02
6-Aug-05
16-Aug-02
16-Aug-05
8.75%
16-Aug-02
16-Aug-05
8.75%
23-Aug-02
23-Aug-05
23-Aug-02
23-Aug-05
Greater of : (I) 14.75% p.a. minus INBMK or (ii) Zero/* payable every 182 days Greater of : (I) 14.75% p.a. minus INBMK or (ii) Zero/* payable every 182 days 8.20%
27-Sep-02
26-Sep-05
27-Sep-02
26-Sep-05
8.20%
21-Oct-02
21-Oct-05
8.10%
21-Oct-02
21-Oct-05
8.10%
22-Nov-02
22-Nov-05
7.60%
25-Nov-02
25-Nov-05
7.50%
25-Nov-02
25-Nov-05
7.50%
14/05/2004
11/08/2004
15/06/2004
16/08/2004
Overnight Mibor-20 bps daily compounding except for holidays & other days when MIBOR 4.60%
01/06/2004
27/08/2004
08/06/2004
03/09/2004
Overnight Mibor-22 bps daily compounding except for holidays & other daysNSE Mibor - 20 Overnight when MIBOR bps daily compounding exc
14/06/2004
10/09/2004
Overnight NSE MIBOR + 5 bps daily compounding exce Overnight NSE Mibor - 20 bps daily compounding except for holidays & other days when MIBOR 4.64%
14/06/2004
10/09/2004
15/06/2004
10/09/2004
22/06/2004
17/09/2004
07/07/2004
04/10/2004
18-Apr-01
4-Apr-02
9-Apr-01
8-Apr-02
10.70%
9-Apr-01
9-Apr-02
10.70%
14-May-01
9-Apr-02
10.50%
14-May-01
14-May-02
10.50%
22-Jun-01
21-Jun-02
N.A.
16-Aug-01
16-Aug-02
9.25%
14-May-01
14-Nov-02
10.60%
30-Nov-99
30-Nov-02
11.95%
31-Dec-01
31-Dec-02
9.15%
31-Dec-01
31-Dec-02
9.15%
14-Jan-00
14-Jan-03
11.85%
1-Feb-00
1-Feb-03
11.85%
25-Feb-02
25-Feb-03
Mibor + 2%
25-Feb-02
25-Feb-03
Mibor + 2%
6-Mar-02
6-Mar-03
8.90%
6-Mar-02
6-Mar-03
8.90%
8-Apr-02
3-Apr-03
9.00%
8-Apr-02
3-Apr-03
9.00%
17-May-02
17-May-03
9.00%
11-Dec-98
11-Jun-03
12.50%
30-Jun-03
12.00%
30-Sep-03
12.10%
3-Nov-03
11.55%
15-Dec-00
15-Dec-03
4-May-01
4-May-04
21-May-01
21-May-04
10.75%
18/10/2003
18/10/2004
MIBOR + 75bps
21/04/2003
21/04/2005
6.65%
21/04/2003
21/04/2005
Mibor + 1.25%
21/04/2003
21/04/2005
6.65%
21/04/2003
21/04/2005
Mibor + 1.25%
30-Apr-02
30-Apr-05
9.55%
30-Apr-02
30-Apr-05
9.55%
05/12/2003
05/06/2005
MIBOR + 1 %
19-Jun-02
19-Jun-05
8.90%
19-Jun-02
19-Jun-05
8.90%
01/07/2003
01/07/2005
Mibor +1.00%
16-Aug-02
16-Aug-05
8.20%
16-Aug-02
16-Aug-05
Mibor + 1.50%
16-Aug-02
16-Aug-05
8.20%
16-Aug-02
16-Aug-05
Mibor + 1.50%
24-Sep-02
24-Sep-05
7.75%
24-Sep-02
24-Sep-05
Mibor + 1.50%
24-Sep-02
24-Sep-05
7.75%
24-Sep-02
24-Sep-05
Mibor + 1.50%
16-Oct-02
16-Oct-05
7.10%
16-Oct-02
16-Oct-05
Mibor + 1.20%
16-Oct-02
16-Oct-05
7.10%
16-Oct-02
16-Oct-05
Mibor + 1.20%
11-Nov-02
11-Nov-05
7.07%
11-Nov-02
11-Nov-05
Mibor + 1.15%
11-Nov-02
11-Nov-05
7.07%
11-Nov-02
11-Nov-05
Mibor + 1.15%
01/12/2003
01/12/2005
30-Dec-02
30-Dec-05
30-Dec-02
30-Dec-05
6.75%
11-Feb-03
4-Feb-06
7.00%
11-Feb-03
4-Feb-06
Mibor + 1.25%
11/02/2003
04/02/2006
7.00%
11/02/2003
04/02/2006
Mibor + 1.25%
05/12/2003
05/06/2006
Mibor + 1.25%
11/08/2003
11/08/2006
6.00%
11/08/2003
11/08/2006
Mibor + 1%
13/11/2003
13/11/2006
9% minus libor or 0% p.a. whichever is higher 3 years GOI Benchmark + 0.70% 5/27/2007 Reference Rate+0.50 % (Refer remark)
26/03/2004
26/03/2007
27/05/2005
16/07/2004
16/07/2007
MIBOR + 1.25% p.a. subject to a daily cap of 5.85% & a floor of 5.75% 10.00%
27-Mar-02
27-Mar-08
27-Mar-02
27-Mar-08
10.00%
12-Oct-01
10-Jan-02
8.30%
15/10/01
14/1/02
8.30%
15-Oct-01
14-Jan-02
8.30%
4-May-00
4-May-02
10.85%
4-May-00
4-May-02
10.85%
10-May-99
9-May-02
12.75%
10-May-99
9-May-02
12.75%
2-Jul-01
30-Jun-02
9.80%
2-Jul-01
30-Jun-02
9.80%
9-Apr-02
7-Aug-02
8.40%
9-Apr-02
7-Aug-02
8.40%
24-Dec-01
21-Aug-02
24-Dec-01
21-Aug-02
8.65% on Maturity & 8.50% on exercise of Put/Call Option 8.65% on Maturity & 8.50% on exercise of Put/Call 1.25% Mibor + Option
25-Feb-02
26-Aug-02
25-Feb-02
26-Aug-02
Mibor + 1.25%
9-Jan-02
9-Sep-02
8.50%
9-Jan-02
9-Sep-02
8.50%
12-Sep-01
12-Sep-02
Mibor+0.5%
12-Sep-01
12-Sep-02
Mibor+0.5%
15-Apr-02
12-Sep-02
8.40%
15-Apr-02
12-Sep-02
8.40%
10-Dec-01
1-Oct-02
8.30%
13-Oct-01
11-Oct-02
9.00%
15-Apr-02
11-Oct-02
8.50%
15-Apr-02
11-Oct-02
8.50%
2-Nov-01
1-Nov-02
Mibor + 0.50%
6-May-02
2-Nov-02
8.55%
6-May-02
2-Nov-02
8.55%
8-Nov-01
7-Nov-02
Mibor + 0.50%
8-Nov-01
7-Nov-02
Mibor + 0.50%
13/10/01
10-Nov-02
9.00%
15-Apr-02
11-Nov-02
8.50%
15-Apr-02
11-Nov-02
8.50%
15-Nov-01
15-Nov-02
Mibor + 0.50%
22-Nov-01
22-Nov-02
Mibor + 0.50%
7-Dec-01
7-Dec-02
Mibor + 0.50%
15-Apr-02
11-Dec-02
8.60%
15-Apr-02
11-Dec-02
8.60%
12-Dec-01
12-Dec-02
Mibor+0.5%
4-Jan-00
20-Dec-02
11.75%
28-Dec-01
28-Dec-02
MIBOR + 1.00%
28-Dec-01
28-Dec-02
MIBOR + 1.00%
10-Jan-02
10-Jan-03
MIBOR + .50%
10-Jan-02
10-Jan-03
MIBOR + .50%
17-Jan-02
17-Jan-03
Mibor + 0.50%
22-Apr-02
17-Jan-03
Zero Coupon
22-Apr-02
17-Jan-03
Zero Coupon
1-Feb-02
1-Feb-03
Mibor + 0.50%
14-Jun-02
14-Feb-03
MIBOR+175 BPS (with a cap of 8.80% and a floor of 8.70%) MIBOR+175 BPS (with a cap of 8.80% and a floor of 8.70%) 6.05%
14-Jun-02
14-Feb-03
20-Nov-02
18-Feb-03
26-Mar-02
26-Feb-03
Mibor + 0.75%
28-Mar-02
26-Feb-03
Mibor + 0.75%
28-Mar-02
26-Feb-03
Mibor + 0.60%
26-Mar-02
26-Feb-03
Mibor + 0.75%
27-Feb-02
27-Feb-03
8.65%
27-Feb-02
27-Feb-03
8.65%
13-Mar-02
13-Mar-03
Mibor + 0.50%
22-Mar-02
22-Mar-03
Mibor + 0.50%
28-Mar-02
27-Mar-03
9%
28-Mar-02
27-Mar-03
9.00%
3-Apr-02
3-Apr-03
9%
3-Apr-02
3-Apr-03
Mibor + 0.60%
5-Apr-02
3-Apr-03
8.75%
3-Apr-02
3-Apr-03
9%
5-Apr-02
3-Apr-03
8.75%
16-Jul-02
12-Apr-03
7.80%
16-Jul-02
12-Apr-03
7.80%
15-Jan-03
15-Apr-03
6.00%
15-Jan-03
15-Apr-03
6.00%
3-May-02
3-May-03
Mibor + 0.60%
3-May-02
3-May-03
Mibor + 0.60%
7-Nov-02
6-May-03
Mibor + 0.75%
7-Nov-02
6-May-03
Mibor + 0.75%
9-May-02
7-May-03
9-May-02
7-May-03
Reset Rate :8.75% upto 05th Nov, 2002 & 9.00 % upto:Reset Rate 07th May, 8.75% upto 05th Nov, 2002 & 9.00 %+ 0.60% May, Mibor upto 07th
8-May-02
8-May-03
8-May-02
8-May-03
Mibor + 0.60%
11-Nov-02
9-May-03
Mibor + 0.75%
11-Nov-02
9-May-03
Mibor + 0.75%
13-Jun-01
13-Jun-03
10.05%
19-Jun-00
19-Jun-03
11.25%
5-Jul-02
5-Jul-03
Mibor + 1.25%
5-Jul-02
5-Jul-03
Mibor + 1.25%
08/04/2003
07/07/2003
6.00%
08/04/2003
07/07/2003
6.00%
10/04/2003
09/07/2003
6.00%
10/04/2003
09/07/2003
6.00%
11-Jul-02
11-Jul-03
Mibor + 0.50%
15-Jul-02
15-Jul-03
Mibor + 0.50%
18-Jul-02
18-Jul-03
Mibor + 0.50%
19-Jul-02
19-Jul-03
Mibor + 0.50%
19-Aug-02
19-Aug-03
Mibor + 0.50%
19-Aug-02
19-Aug-03
Mibor + 0.50%
20-Feb-03
20-Aug-03
6.70%
20/02/2003
20/08/2003
6.70%
3-Sep-01
4-Sep-03
9.55%
3-Sep-01
4-Sep-03
9.55%
11-Sep-02
11-Sep-03
Mibor + 0.50%
19-Sep-02
19-Sep-03
Mibor + 0.50%
7-Oct-02
7-Oct-03
Mibor + 0.50%
1-Nov-02
1-Nov-03
Mibor + 0.50%
10/04/2003
06/11/2003
6.15%
10/04/2003
06/11/2003
6.15%
18-Nov-02
18-Nov-03
Mibor + 0.50%
26-Nov-02
26-Nov-03
Mibor + 0.50%
13/08/2003
15/12/2003
5.13%
09/07/2003
07/01/2004
5.55%
14-Jan-03
14-Jan-04
6.35%
14-Jan-03
14-Jan-04
6.35%
17-Jan-03
16-Jan-04
6.35%
17-Jan-03
16-Jan-04
6.35%
27-Feb-03
23-Jan-04
Mibor + 0.50%
5-Feb-03
5-Feb-04
Mibor + 50 Bps
11/08/2003
06/02/2004
5.20%
17-Feb-03
17-Feb-04
Mibor + 0.50%
01/09/2003
28/02/2004
5%
4-Mar-03
4-Mar-04
Mibor + 0.50%
07/04/2003
05/04/2004
6.90%
07/04/2003
05/04/2004
6.90%
22-Apr-02
22-Apr-04
9.25%
22-Apr-02
22-Apr-04
9.25%
08/05/2003
08/05/2004
Mibor + 0.30%
09/05/2003
09/05/2004
Mibor + 0.30%
10/05/2003
10/05/2004
6.30%
10/05/2003
10/05/2004
6.30%
28/04/2004
28/05/2004
Mibor
14-Jun-02
14-Jun-04
9.25%
14-Jun-02
14-Jun-04
9.25%
19/06/2003
18/06/2004
Mibor + 0.30%
28/05/2004
28/06/2004
NSE Mibor
2-Jul-01
1-Jul-04
10.15%
2-Jul-01
1-Jul-04
10.15%
04/07/2003
03/07/2004
Mibor + 0.30%
09/07/2003
08/07/2004
Mibor + 30 bps
12/09/2003
08/07/2004
Mibor+ 0.67%
9-Jul-02
9-Jul-04
Mibor + 1.75%
9-Jul-02
9-Jul-04
Mibor + 1.75%
28/06/2004
28/07/2004
NSE Mibor
11/08/2003
10/08/2004
Zero Coupon
27-Aug-01
27-Aug-04
9.75%
27-Aug-01
27-Aug-04
9.75%
3-Sep-01
3-Sep-04
9.85%
3-Sep-01
3-Sep-04
9.85%
05/09/2003
04/09/2004
5.25%
29/09/2003
29/09/2004
10/10/2003
10/10/2004
13/10/2003
13/10/2004
5.25%
23/10/2003
21/10/2004
5.20%
5-Nov-03
4-Nov-04
6-Nov-03
5-Nov-04
5.40%
10-Nov-03
9-Nov-04
5.40%
11-Nov-03
10-Nov-04
5.40%
09/12/2003
08/12/2004
5.40%
17/12/2003
16/12/2004
Mibor + 0.30%
18-Dec-01
18-Dec-04
9.25%
18-Dec-01
18-Dec-04
9.25%
17-Jul-02
14-Jan-05
8.75%
17-Jul-02
14-Jan-05
8.75%
18-Jan-02
18-Jan-05
9.50%
18-Jan-02
18-Jan-05
9.50%
24-Jan-02
24-Jan-05
9.50%
24-Jan-02
24-Jan-05
9.50%
12-Feb-02
12-Feb-05
9.35%
12-Feb-02
12-Feb-05
9.35%
16-Feb-02
16-Feb-05
9.50%
16-Feb-02
16-Feb-05
9.50%
22-Mar-02
22-Mar-05
9.50%
22-Mar-02
22-Mar-05
9.50%
21/04/2003
21/04/2005
Mibor + 1.40%
12/05/2003
12/05/2005
6.10%
12/05/2003
12/05/2005
Mibor + 1.00%
13/06/2003
13/06/2005
6.10%
20/06/2003
20/06/2005
6.10%
07/01/2004
29/06/2005
5.60%
04/07/2003
04/07/2005
Mibor + 1.00%
5-Jul-02
5-Jul-05
9.50%
5-Jul-02
5-Jul-05
9.50%
10/07/2003
09/07/2005
6.10%
26-Jul-02
26-Jul-05
Mibor + 1.50%
26-Jul-02
26-Jul-05
Mibor + 1.50%
17-Sep-02
26-Jul-05
Mibor + 1.60%
17-Sep-02
26-Jul-05
Mibor + 1.60%
17-Nov-03
17-Nov-05
5.75%
26-Nov-02
25-Nov-05
7.00%
26-Nov-02
25-Nov-05
7.00%
11/12/2003
11/12/2005
Mibor + 1.25% with a daily cap of 5.85% and a flooo rate of 5.75% 5.85%
12/12/2003
12/12/2005
23/12/2003
23/12/2005
5.80%
09/01/2004
23/12/2005
5.75%
6-Jan-03
6-Jan-06
6.70%
6-Jan-03
6-Jan-06
6.70%
7-Feb-03
7-Feb-06
7.00%
07/02/2003
07/02/2006
7.00%
22/04/2004
22/04/2006
5.68%
14/06/2004
14/06/2006
NSE Mibor + 0.70% with a floor of 5.45% p.a. and a cap of 5.55% NSE Mibor + 0.80% with a floor of 5.48% and a cap of 5.58% NSE Mibor + 1.00% with a floor of 5.55% and a cap of 5.65%
08/07/2004
07/07/2006
10/07/2004
10/07/2006
23/07/2004
21/07/2006
NSE Mibor +0.80% with a floor of 5.40% and a cap of 5.50% 6.25%
22/08/2003
22/08/2006
26/08/2003
26/08/2006
Mibor + 1.00%
13/10/2003
13/10/2006
5.85%
20/10/2003
20/10/2006
5.81%
13/04/2004
13/04/2007
5.87%
22/04/2004
22/04/2007
5.85%
05/05/2004
05/05/2007
NSE Mibor +1.25% with daily cap of 5.85% and a floor of 5.75% NSE MIBOR + 1.20% with a floor of 5.75% and cap of 5.85% NSE Mibor + 1.00% with a floor of 5.55% p.a. and a cap of 5.65% Mid fix rate of 12 mth MIOIS as set on page IRS08 of Reuters at 4.30 p.m. every day.If this 5.25%
5/17/2004
10/05/2007
15/06/2004
14/06/2007
26/07/2004
7/26/2007
12/04/2004
11/04/2005
19/03/2004
06/05/2005
5.35%
07/04/2004
07/10/2005
5.45%
01/06/2004
01/12/2005
5.45%
06/04/2004
24/03/2006
5.65%
07/04/2004
07/04/2006
5.65%
07/06/2004
07/06/2006
23/04/2004
16/04/2007
5.90%
23/04/2004
23/04/2007
5.90%
10/05/2004
08/05/2007
NSE Mibor + 1.25% with a floor of 5.75% & cap of 5.85% NSE Mibor + 1.20% with a floor of 5.70% & a cap of 5.80% 5.90%
18/05/2004
18/05/2007
24/05/2004
23/05/2007
28/05/2004
28/05/2007
NSE Mibor + 1.20% with a floor of 5.70% p.a. and a cap of 5.80% NSE Mibor + 0.90%
07/06/2004
07/06/2007
11/06/2004
11/06/2007
NSE Mibor + 1.10% p.a. with a floor of 5.60% and a cap of 5.70%
14/06/2004
13/06/2007
NSE Mibor + 1.00% p.a. with a floor of 5.60% and cap of 5.70% NSE Mibor + 0.75% with a floor of 5.50% p.a. and a cap of 5.60% 4.80%
19/07/2004
19/07/2006
14/07/2004
10/01/2005
15/06/2004
11/03/2005
5.55%
25/06/2004
23/06/2006
Mibor + 0.75% with a floor of 5.30% & cap of 5.40% NSE Mibor + 1.00% with a floor of 5.60% p.a and a cap of 5.70% NSE Mibor +1.00% with a floor of 5.65%p.a. and a cap of 5.75% p.a. 8.50%
28/06/2004
28/06/2007
12/07/2004
12/07/2007
16-Aug-01
15-Nov-01
23-Aug-01
21-Nov-01
8.40%
15-Nov-01
14-May-02
8.75%
15-Nov-01
14-May-02
8.75%
24-Nov-01
23-May-02
8.60%
24-Nov-01
23-May-02
8.60%
12-Sep-01
13-Sep-02
8.35%
29-Oct-01
5-Oct-02
9.05%
16-Oct-01
15-Oct-02
9.15%
17-Oct-01
18-Oct-02
8.50%
17-Oct-01
18-Oct-02
8.50%
16-Oct-01
31-Oct-02
9.15%
13-Nov-01
14-Nov-02
9.05%
13-Nov-01
14-Nov-02
9.05%
18-Jan-02
17-Jan-03
9.10%
18-Jan-02
17-Jan-03
9.10%
4-Apr-02
2-Apr-03
9.10%
4-Apr-02
2-Apr-03
9.10%
10-Mar-03
10-Jun-03
6.57%
3-Jul-02
2-Jul-03
8.90%
3-Jul-02
2-Jul-03
8.90%
2-Sep-02
1-Sep-03
Mibor + 1.25%
2-Sep-02
1-Sep-03
Mibor + 1.25%
15-Nov-02
14-Nov-03
6.77%
15/11/2002
14/11/2003
6.77%
8-Jan-03
8-Jan-04
6.50%
08/01/2003
08/01/2004
6.50%
26-Feb-01
17-Feb-04
11.05%
09/06/2003
10/03/2004
5.60%
04/04/2003
02/04/2004
6.80%
16-Jun-03
14-Jun-04
5.75%
28/07/2003
27/07/2004
5.70%
29/08/2003
27/08/2004
5.28%
03/10/2003
01/10/2004
5.50%
07/05/2003
08/11/2004
6.35%
13-Jun-03
14-Dec-04
6.00%
27-Jan-03
27-Jan-05
6.70%
27/01/2003
27/01/2005
6.70%
28-Feb-03
28-Feb-05
0.078
3-Mar-03
3-Mar-05
Mibor + 2%
06/10/2003
11/03/2005
5.55%
30/04/2003
29/04/2005
Mibor + 1.35%
22/05/2003
20/05/2005
6.13%
19-Jun-03
14-Jun-05
6.20%
04/07/2003
04/07/2005
6.40%
14-Nov-03
14-Nov-05
5.82%
21-Nov-02
21-Nov-05
7.30%
21/11/2002
21/11/2005
7.30%
1-Dec-99
1-Dec-02
12.25%
1-Dec-99
1-Dec-03
12.25%
1-Dec-99
1-Dec-04
12.25%
1-Dec-99
1-Dec-05
12.25%
1-Dec-99
1-Dec-06
12.25%
10-Jul-00
10-Jul-03
11.80%
11-Aug-00
1-Oct-03
12.00%
5-Jan-01
5-Jan-04
12.60%
22/01/2004
15/02/2004
11.40%
22/01/2004
19/07/2004
9.71%
13-Mar-00
15-Sep-03
11.75%
28-Jan-00
28-Jan-04
11.85%
16-Jan-02
16-Jan-07
9.45%
15-May-02
7-Nov-02
17-Nov-00
17-Nov-05
12.50%
28-Dec-87
28-Dec-02
11%
31-Mar-98
31-Mar-03
10.50%
31-Mar-99
31-Mar-04
13.50%
26-Sep-94
26-Sep-04
12.50%
15-Feb-00
15-Feb-05
12.00%
22-Sep-95
22-Sep-05
14%
16-Jan-96
16-Jan-06
14%
18-Sep-96
18-Sep-06
13.85%
7-Jan-97
7-Jan-07
13.85%
21-Sep-92
21-Sep-07
13%
23-Nov-92
23-Nov-07
13%
8-Dec-97
8-Dec-07
12.3%
12-Mar-03
9-Jun-03
45 basis points overnight NSE MIBOR 35 bps overnight NSE Mibor 40 bps over NSE Mibor
4-Apr-03
2-Jul-03
4-Apr-03
2-Jul-03
24/04/2003
22/07/2003
30 basis points overnight NSE Mibor 25 basis points over overnight NSE Mibor 25 bps over overnight NSE MIBOR 25 bps over overnight NSE Mibor 25 bps over overnight NSE Mibor 25 bps over overnight NSE Mibor
30/04/2003
28/07/2003
06/05/2003
01/08/2003
14/05/2003
11/08/2003
22/05/2003
19/08/2003
26/05/2003
22/08/2003
4-Jul-03
1-Oct-03
25 bps over overnight NSE Mibor 25 bps over overnight NSE Mibor 10 bps over overnight NSE Mibor 20 bps over overnight NSE Mibor 10 bps over overnight NSE Mibor 25 bps over overnight NSE Mibor 20 bps over overnight NSE Mibor 15 bps over overnight NSE Mibor 10 bps over overnight NSE Mibor 10 bps over overnight NSE Mibor Mibor + 5 bps
7-Jul-03
03/10/2003
01/08/2003
29/10/2003
14/08/2003
11/11/2003
22/08/2003
19/11/2003
25/08/2003
22/11/2003
17/12/2003
15/03/2004
05/02/2004
04/05/2004
11/02/2004
10/05/2004
12/02/2004
11/05/2004
05/04/2004
02/07/2004
07/06/2004
03/09/2004
4.70%
16/06/2004
13/09/2004
4.73%
18/06/2004
15/09/2004
4.80%
22/06/2004
17/09/2004
Mibor + 0 bps daily compounding 85 basis points overnight NSE Mibor 70 basis points overnight NSE Mibor 65 basis points overnight NSE Mibor 4.80%
18-Oct-02
15-Jan-03
29-Oct-02
27-Jan-03
17-Jan-03
16-Apr-03
26/03/2004
26/04/2004
29/03/2004
28/04/2004
4.80%
16/02/2004
14/05/2004
10 bps over overnight NSE Mibor 10 bps over overnight NSE Mibor 4.95%
19/02/2004
18/05/2004
29/03/2004
25/06/2004
8/22/2003
8/22/2004
5.75%
16/07/2004
15/07/2005
6.00%
22-Dec-98
10-Apr-04
14.75%
22-Dec-98
30-Mar-05
12.50%
22-Dec-98
1-Nov-05
12.50%
24-May-91
24-May-03
15.00%
12/04/2004
5.80%
23/10/2004
5.40%
12/12/2003
11/12/2004
5.85%
12/01/2004
11/01/2005
5.85%
24/03/2000
23/03/2006
12.90%
7-Nov-01
6-Nov-06
11.50%
18-Mar-02
17-Mar-07
10.50%
20-Nov-02
19-Nov-07
8.50%
10-May-02
9-Jul-02
15-May-99
14-May-02
13.00%
15-May-99
14-May-02
12.60%
31-May-00
30-May-03
10.90%
1-Dec-00
30-Nov-07
12%
19.07.2001
7/18/2004
9.71%
20-Nov-01
15-Feb-02
22-Nov-01
19-Feb-02
27-Nov-01
22-Feb-02
29-Nov-01
26-Feb-02
8-Feb-02
11-Mar-02
8.10%
20-Dec-01
19-Mar-02
27-Jun-02
26-Aug-02
7.95%
5-Jul-02
1-Oct-02
18-Sep-02
20-Oct-02
6.50%
23-Sep-02
23-Oct-02
6.50%
29-Jul-02
25-Oct-02
26-Aug-02
22-Nov-02
1-Oct-02
27-Dec-02
22-Nov-02
19-Feb-03
6.25%
27-Aug-02
22-Nov-02
Mibor + 75 bps
17/04/2003
15/07/2003
Mibor + 60 bps
11/07/2003
08/10/2003
Mibor + 50 bps
18/07/2003
15/10/2003
Mibor + 30 bps
23/07/2003
20/10/2003
Mibor 25 bps
22/08/2003
19/11/2003
Mibor+ 25 bps
21-Nov-02
20-Nov-03
Mibor + 75 bps
01/10/2003
29/12/2003
Mibor + 50 bps
06/10/2003
02/01/2004
MIBOR + 50bps
20/10/2003
16/01/2004
Mibor + 50 bps
29/10/2003
23/01/2004
Mibor + 75 bps
28/11/2003
25/02/2004
MIBOR + 40 bps
12-Apr-02
8-Apr-03
12.00%
19-Jul-02
19-Jan-04
12.00%
19/07/2002
7/7/2005
12.00%
31-Jan-03
31-Jan-06
12.00%
31/01/2003
31/01/2006
12.00%
21-Apr-95
20-Apr-03
14%
7-Mar-03
7-Mar-04
MIFOR + 100 bp
26-Jun-98
1-Apr-07
14%
7-Mar-03
7-Mar-04
MIFOR + 100 bp
2-Jan-02
22-Jan-02
9.00%
18-Jun-01
31-May-02
10.60%
2-Apr-02
28-Jun-02
9.50%
1-Jul-02
27-Sep-02
8.50%
27-Sep-02
26-Nov-02
7.25%
18-Jun-01
30-Nov-02
10.75%
2-Dec-02
1-Jan-03
6.15%
1-Jan-03
15-Jan-03
6.15%
14-Jan-03
18-Feb-03
6.15%
18-Feb-03
3-Apr-03
6.55%
18-Feb-03
3-Apr-03
6.55%
18-Jun-01
30-Jun-03
10.75%
24-Jul-01
24-Jul-03
10.80%
1-Aug-01
1-Aug-03
10.80%
26-Sep-03
24-Dec-03
29-Sep-03
26-Dec-03
01/10/2003
29/12/2003
18-Jun-01
31-Dec-03
07/10/2003
02/01/2004
01/01/2004
02/02/2004
01/01/2004
30/03/2004
6.50%
01/01/2004
30/03/2004
NSE MIBOR plus a spread of 25 bps interest daily compounded NSE Mibor plus a spread of 15 bps (interest compounded daily) NSE Mibor plus a spread of 15 bps interest daily c NSE Mibor plus a spread of 10 bps, interest daily 6.50%
06/01/2004
02/04/2004
23/01/2004
21/04/2004
30/01/2004
28/04/2004
02/04/2004
05/05/2004
10/03/2004
07/06/2004
12/05/2004
14/06/2004
18/03/2004
15/06/2004
24-Jul-01
24-Jul-04
28/04/2004
26/07/2004
1-Aug-01
2-Aug-04
18-Jun-01
14-May-06
10.90%
3-Apr-03
6.40%
5-May-03
6.20%
3-Apr-03
1-Jul-03
7.50%
28/04/2003
12/06/2003
5.95%
05/05/2003
01/07/2003
6.00%
30/06/2003 01/07/2003
26/09/2003
5.60%
03/07/2003
29/09/2003
5.60%
02/04/2004
30/06/2004
07/06/2004
03/09/2004
14/06/2004
03/08/2004
5.90%
15/06/2004
10/09/2004
24/06/2004
21/09/2004
5.90%
29/06/2004
24/09/2004
5.90%
29/06/2004
24/09/2004
26/07/2004
21/10/2004
8-Feb-02
4-Mar-02
11/13/2001
8-Feb-02
21-Mar-02
20-Apr-02
26-Dec-00
26-Dec-03
11.30%
9-Oct-02
9-Oct-04
7.15%
1-Apr-03
30-Sep-04
19/06/2003
19/06/2006
5.70%
23/06/2003
23/06/2006
5.70%
21/08/2003
21/08/2006
5.55%
01/09/2003
01/09/2006
5.20%
17-Sep-01
17-Sep-06
8.95%
24-Oct-01
24-Oct-06
8.90%
29-Oct-01
29-Oct-06
8.80%
9-Nov-01
9-Nov-06
8.73%
15-Nov-01
15-Nov-06
8.70%
21-Nov-01
21-Nov-06
8.70%
3-Dec-01
3-Dec-06
8.55%
23-Dec-02
23-Dec-06
6.20%
28-Jan-02
28-Jan-07
8.60%
20-Mar-02
20-Mar-07
8.55%
21-Mar-02
21-Mar-07
8.55%
28-Mar-02
28-Mar-07
8.55%
23-Apr-02
23-Apr-07
8.38%
26-Apr-02
26-Apr-07
8.38%
29-Apr-02
29-Apr-07
8.38%
10-May-02
10-May-07
8.30%
18-Nov-02
19-Nov-07
6.25%
21-Nov-02
21-Nov-07
6.50%
22-Nov-02
22-Nov-07
6.50%
25-Nov-02
26-Nov-07
6.17%
29-Nov-02
29-Nov-07
6.10%
6-Dec-02
6-Dec-07
5.95%
10-Dec-02
10-Dec-07
6.35%
19-Dec-02
19-Dec-07
6.30%
24-Dec-02
24-Dec-07
6.05%
30-Dec-02
30-Dec-07
6.25%
3-Jan-03
3-Jan-08
6.20%
6-Jan-03
6-Jan-08
6.15%
28/07/2004
28/07/2006
1 yr INBMK + 25 bps
15-Jul-02
15-Jul-05
8.15%
7-Oct-02
7-Oct-07
7.99%
31-Oct-02
31-Oct-07
7.25%
6-Jun-01
4-Apr-02
11.00%
6-Jun-01
4-Oct-02
11.25%
22-Mar-02
17-Mar-03
10.50%
6-Jun-01
4-Apr-03
11.40%
11-Jul-02
6-Jul-03
10.50%
6-Jun-01
4-Oct-03
11.50%
2-Feb-00
4-Oct-03
11.75%
14-Oct-02
9-Oct-03
10.5%
14-Nov-02
14-Nov-03
9.45%
16-Nov-02
14-Nov-03
9%
19-Nov-02
17-Nov-03
9%
4-Dec-02
4-Dec-03
13.00%
6-Jun-01
4-Apr-04
11.60%
2-Feb-00
4-Apr-04
11.75%
6-Jun-01
4-Oct-04
11.75%
6-Jun-01
4-Apr-05
11.90%
29-Mar-01
1-Oct-05
12%
29-Mar-01
1-Apr-06
12.10%
29-Mar-01
1-Oct-06
12.25%
2-Feb-00
4-Oct-06
12.25%
29-Mar-01
1-Apr-07
12.40%
2-Feb-00
4-Apr-07
12.50%
29-Mar-01
1-Oct-07
12.50%
29-Mar-01
1-Apr-08
12.60%
2-Feb-00
4-Apr-08
12.50%
14/08/2003
07/02/2004
8.25%
24/03/2003
23/03/2004
10.50%
16/07/2003
15/07/2004
8.25%
21/04/2004
20/07/2004
5.70%
13/08/2003
12/08/2004
9.50%
08/12/1999
04/10/2004
12.00%
22-Oct-03
21-Oct-04
9.50%
21/01/2004
20/01/2005
7.25%
10/02/2004
09/02/2005
7.50%
23/02/2004
22/02/2005
7.50%
05/04/2004
04/04/2005
9.00%
08/12/1999
04/04/2005
12.00%
10/06/2004
10/06/2005
6.50%
17-Apr-00
4-Oct-05
12%
17-Apr-00
4-Apr-07
12.50%
13-Nov-01
8-Feb-02
MIBOR + 90bps
8-Jan-02
8-Feb-02
8.25%
27-Dec-01
12-Mar-02
8.75%
15-Mar-02
2-Apr-02
8.90%
10-Jan-02
9-Apr-02
Mibor + 75 bps
23-Jan-02
22-Apr-02
8.75%
24-Apr-02
9-May-02
8.15%
20-Feb-02
20-May-02
21-Feb-02
21-May-02
Mibor + 80 bps
27-Feb-02
27-May-02
Mibor + 75 bps
4/29/2002
5/29/2002
8.75%
15-Mar-02
12-Jun-02
Mibor + 75 bps
7-Jun-02
9-Jul-02
7.95%
11-Jan-02
11-Jul-02
9.10%
11-Jan-02
11-Jul-02
9.10%
24-Apr-02
22-Jul-02
30-Apr-02
28-Jul-02
Mibor + 80 bps
9-Nov-01
9-Aug-02
8.80%
12-Nov-01
12-Aug-02
8.80%
24-Aug-00
24-Aug-02
13.10%
6-Jun-02
3-Sep-02
MIBOR + 75bps
29-Jul-02
25-Oct-02
Mibor + 80 bps
3-Nov-00
4-Nov-02
12.60%
28-Aug-02
25-Nov-02
Mibor + 70 bps
31-Aug-02
28-Nov-02
Mibor + 60 bps
25-Jan-00
10-Dec-02
13.15%
15-Feb-00
13-Dec-02
13.15%
8-Oct-02
3-Jan-03
Mibor + 70 bps
9-Oct-02
6-Jan-03
Mibor + 55 bps
21-Oct-02
17-Jan-03
Mibor + 55 bps
1-Nov-02
29-Jan-03
Mibor + 70 bps
23-Dec-02
21-Mar-03
Mibor + 40 bps
27-Dec-02
26-Mar-03
Mibor + 55 Bps
4-Apr-02
3-Apr-03
9.15%
4-Apr-02
3-Apr-03
9.15%
30-Apr-01
15-Apr-03
11.85%
23-Jan-03
22-Apr-03
Mibor + 40 bps
30-Apr-01
24-Apr-03
11.85%
30-Jan-03
29-Apr-03
30-Jan-03
29-Apr-03
6.10%
3-Feb-03
2-May-03
Mibor + 40 bps
5-Feb-03
2-May-03
6.25%
4-Mar-03
30-May-03
6.85%
20-Dec-02
20-Jun-03
6.15%
20-Dec-02
20-Jun-03
6.15%
20-Dec-02
20-Jun-03
6.15%
24-Dec-02
24-Jun-03
6.15%
24-Dec-02
24-Jun-03
6.15%
24-Dec-02
24-Jun-03
6.15%
13-Jul-00
11-Jul-03
12.50%
14-Jul-00
14-Jul-03
12.50%
17-Jul-00
17-Jul-03
12.40%
27-Jan-03
25-Jul-03
6.20%
27-Jan-03
25-Jul-03
6.20%
27-Jan-03
25-Jul-03
6.20%
29-Jan-03
28-Jul-03
6.20%
29-Jan-03
28-Jul-03
6.20%
29-Jan-03
28-Jul-03
6.20%
31-Jul-01
31-Jul-03
11.00%
30/05/2003
27/08/2003
Mibor + 10 bps
11/08/2003
17/10/2003
5.25%
13/08/2003
21/10/2003
5.25%
24-Sep-03
22-Dec-03
25-Sep-03
23-Dec-03
26/09/2003
24/12/2003
23/10/2003
20/01/2004
Mibor + 30 bps
24/12/2003
23/01/2004
Mibor + 25 bps
4.90%
24-Aug-01
24-Aug-04
10.35%
27-Aug-01
27-Aug-04
10.35%
26-Feb-03
27-Aug-04
7.65%
26-Feb-03
27-Aug-04
7.65%
26-Feb-03
27-Aug-04
7.65%
28-Nov-01
24-Nov-04
10.30%
28-Nov-01
24-Nov-04
10.30%
28-Nov-01
26-Nov-04
10.30%
28-Nov-01
26-Nov-04
10.30%
26/08/2003
26/08/2005
6.55%
29/08/2003
29/08/2005
6.55%
2-Aug-01
2-Aug-06
9.80%
30-Mar-00
30-Mar-03
11.75%
24/02/2003
23/05/2003
10-Mar-03
3-Jun-03
11-Mar-03
6-Jun-03
17-Mar-03
13-Jun-03
06/06/2003
03/09/2003
10/06/2003
05/09/2003
17/06/2003
12/09/2003
09/07/2003
06/10/2003
5.50%
08/09/2003
05/12/2003
12/09/2003
09/12/2003
15/09/2003
12/12/2003
Mibor + 50bps
05/02/2004
23/03/2004
26/12/2003
24/03/2004
04/03/2004
29/03/2004
11/03/2004
29/03/2004
29/04/2003
28/04/2004
15/03/2004
11/06/2004
23/03/2004
18/06/2004
24/03/2004
21/06/2004
11/05/2004
28/06/2004
5.65%
27/04/2004
29/06/2004
5.65%
06/04/2004
02/07/2004
08/04/2004
06/07/2004
16-Sep-02
13-Dec-02
18-Dec-02
14-Mar-03
29-Jul-02
28-Jul-03
29-Oct-02
28-Oct-03
28-Jan-03
27-Jan-04
21-Sep-01
21-Dec-01
9.25%
5-Nov-01
23-Jan-02
8.25%
28-Nov-01
28-Feb-02
8.25%
15-Sep-99
28-Feb-02
7-Dec-01
7-Mar-02
10-Dec-01
18-Mar-02
26-Dec-01
21-Mar-02
28-Mar-02
28-Apr-02
9.75%
9-Nov-01
9-May-02
19-Sep-01
19-May-02
29-Apr-02
29-May-02
8.50%
20-Nov-01
20-Jun-02
20-Dec-01
20-Jun-02
26-Mar-02
26-Jun-02
9%
27-Nov-01
27-Jun-02
8.60%
28-Mar-02
28-Jun-02
8.80%
30-Mar-02
30-Jun-02
8.80%
22-Mar-02
2-Jul-02
3-Apr-02
3-Jul-02
10-Jan-02
10-Jul-02
8.50%
17-Apr-02
17-Jul-02
8.50%
29-Apr-02
29-Jul-02
8.5%
29-Apr-02
29-Jul-02
9.70%
30-Apr-01
30-Jul-02
24-Apr-02
31-Jul-02
5-Nov-01
5-Aug-02
10-Aug-01
10-Aug-02
13-May-02
13-Aug-02
9.85%
15-May-02
15-Aug-02
9.85%
16-May-02
16-Aug-02
9.85%
25-Feb-02
25-Aug-02
8.45%
22-Nov-01
6-Sep-02
8.75%
10-Apr-02
7-Sep-02
8-Jun-01
9-Sep-02
29-Nov-01
11-Sep-02
9.00%
7-Feb-02
12-Sep-02
8.45%
20-Sep-01
20-Sep-02
29-May-02
26-Sep-02
8.25%
28-Mar-02
28-Sep-02
9%
31-May-02
28-Sep-02
8.25%
30-Mar-02
30-Sep-02
9.00%
1-Jul-02
1-Oct-02
8.30%
11-Jul-02
11-Oct-02
7.35%
16-Oct-01
16-Oct-02
MIBOR+1.40%
22-Oct-01
23-Oct-02
8.80%
25-Jul-02
25-Oct-02
6.90%
31-Oct-01
31-Oct-02
5-Nov-01
5-Nov-02
Floating rate(NSE MIBOR+MARGIN 1.40%) Floating Rate(NSE Mibor + Margin 1.25%) Floating Rate (GE Capital 30 days Reset Rate) 9.10%
5-Feb-02
5-Nov-02
7-Nov-01
7-Nov-02
8-May-02
8-Nov-02
8-May-01
8-Nov-02
10-May-02
10-Nov-02
13-Nov-01
13-Nov-02
N.A.
20-Nov-01
20-Nov-02
Floating Rate (Reuters CP Rate + Margin 0.35% Floating Rate (NSE Mibor + GE Capital 30Days Reset Rate) (NSE Mibor + GE Capital 30Days Reset Rate) 8.75%
23-Nov-01
23-Nov-02
23-Nov-01
23-Nov-02
27-Nov-01
27-Nov-02
3-Dec-01
3-Dec-02
7-Dec-01
7-Dec-02
7-Dec-01
7-Dec-02
8.80%
7-Dec-01
7-Dec-02
Floating Rate (NSE Mibor + GE Capital 30Days Reset Rate) Floating Rate (NSE Mibor + GE Capital 30Days Reset Rate) 8.35%
7-Dec-01
7-Dec-02
12-Jun-02
7-Dec-02
14-Jun-02
9-Dec-02
8.35%
11-Dec-01
11-Dec-02
Floating Rate (NSE Mibor + 0.95%) Floating Rate (NSE Mibor + 0.95%) 13.50%
13-Dec-01
13-Dec-02
14-Dec-98
14-Dec-02
21-Jun-02
16-Dec-02
8.35%
18-Dec-01
18-Dec-02
Floating Rate (NSE Mibor + 0.95%) NSE Mibor + Margin 1.25% Floating Rate (NSE Mibor + GE Capital 30Days Reset Rate) Floating Rate (NSE Mibor + GE Capital 30Days Reset Rate)
31-Jul-02
18-Dec-02
24-Dec-01
23-Dec-02
24-Dec-01
23-Dec-02
24-Jun-02
24-Dec-02
8.55%
26-Dec-01
26-Dec-02
26-Jun-02
26-Dec-02
8.55%
27-Sep-02
27-Dec-02
6.70%
3-Oct-02
27-Dec-02
6.70%
1-Jul-02
1-Jan-03
8.55%
1-Oct-02
1-Jan-03
7.20%
7-Jan-02
2-Jan-03
2-Jul-02
2-Jan-03
3-Jul-02
3-Jan-03
8.45%
3-Oct-02
3-Jan-03
7.20%
7-Jan-02
7-Jan-03
15-Jul-02
15-Jan-03
15-Jan-02
16-Jan-03
8.70%
18-Jan-02
19-Jan-03
8.70%
23-Jan-02
23-Jan-03
GE Capital 30 Day Floating Reset Rate GE Capital 30 Day Fixed Reset Rate 7.15%
23-Jan-02
23-Jan-03
23-Jul-02
23-Jan-03
29-Jan-02
29-Jan-03
30-Jan-02
30-Jan-03
29-Jan-02
30-Jan-03
8.70%
5-Nov-02
5-Feb-03
6.65%
7-Feb-02
7-Feb-03
GE Capital 30 Day Fixed Reset Rate GE Capital 30 Day Floating Reset Rate 8.65%
7-Feb-02
7-Feb-03
8-Feb-02
8-Feb-03
19-Aug-02
19-Feb-03
7.40%
25-Feb-02
23-Feb-03
GE Capital 30 Day Floating Reset Rate GE Capital 30 day fixed Reset rate 7.00%
25-Feb-02
23-Feb-03
23-Aug-02
23-Feb-03
26-Feb-02
26-Feb-03
8.75%
26-Aug-02
26-Feb-03
7.00%
12-Apr-02
27-Feb-03
8.80%
1-Mar-02
1-Mar-03
4-Dec-02
4-Mar-03
7-Mar-02
7-Mar-03
(Floating Rate (GE Capital 30 day Fixed Reset Rate) (Floating Rate (GE Capital 30 day Floating Reset Rate) 8.65%
7-Mar-02
7-Mar-03
7-Mar-02
8-Mar-03
26-Mar-02
23-Mar-03
Floating Rate (GE Capital 30 Day Fixed Reset Rate) Floating Rate (GE Capital 30 Day Floating Reset Rate)
26-Mar-02
23-Mar-03
28-Mar-02
2-Apr-03
9.5%
28-Mar-02
3-Apr-03
9.2%
30-Mar-02
5-Apr-03
9.20%
8-Apr-02
8-Apr-03
8.8%
10-Apr-02
10-Apr-03
8.80%
13-Mar-03
11-Apr-03
6.48%
16-Oct-01
16-Apr-03
MIBOR+1.40%
19-Apr-02
19-Apr-03
9.00%
23-Apr-02
23-Apr-03
(GE Capita 30 day Fixed Reset Rate) (GE Capita 30 day Fixed Reset Rate) 8.95%
23-Apr-02
23-Apr-03
26-Apr-02
26-Apr-03
27-Jan-03
27-Apr-03
6.65%
30-Apr-02
30-Apr-03
8.95%
3-May-02
3-May-03
9.20%
7-May-02
7-May-03
Floating rate(GE Capital Days Fixed Rate) Floating Rate (GE Capital 30 Day Floating Reset Rate) 6.50%
7-May-02
7-May-03
7-Nov-02
7-May-03
18-Dec-02
7-May-03
8-May-02
8-May-03
9.40%
8-May-02
8-May-03
9.30%
9-May-02
9-May-03
9-May-02
9-May-03
10-May-02
10-May-03
9.40%
10-May-02
10-May-03
9.02%
14-May-02
14-May-03
9.40%
27-Dec-02
16-May-03
17-May-02
17-May-03
8.75%
17-May-02
17-May-03
9.50%
4-Apr-03
20-May-03
7.00%
23-May-02
23-May-03
(GE Capital 30 day Fixed Reset Rate) (GE Capital 30 day Floating Reset Rate) 8.75%
23-May-02
23-May-03
24-May-02
23-May-03
24-May-02
24-May-03
8.75%
4-Dec-02
4-Jun-03
6.25%
7-Jun-02
7-Jun-03
10-Jun-02
10-Jun-03
8.85%
13-Mar-03
11-Jun-03
6.65%
12/05/2003
12/06/2003
6.45%
13-Jun-02
13-Jun-03
14-Jun-02
14-Jun-03
8.85%
14-Dec-98
14-Jun-03
13.50%
17-Jun-02
17-Jun-03
8.85%
20-Mar-03
18-Jun-03
6.65%
19/05/2003
18/06/2003
6.00%
24-Jun-02
23-Jun-03
GE Capital 30 Day Fixed Reset Rate GE Capital 30 Day Floating Reset Rate 8.65%
24-Jun-02
23-Jun-03
24-Jun-02
24-Jun-03
24-Jun-02
24-Jun-03
8.85%
26-Mar-03
24-Jun-03
6.65%
27-Jun-02
27-Jun-03
8.70%
24-Jun-02
3-Jul-03
8.90%
3-Jul-02
3-Jul-03
8.85%
3-Jul-02
3-Jul-03
8.60%
8-Jul-02
7-Jul-03
8-Apr-03
7-Jul-03
8-Apr-03
8-Jul-03
6.50%
9-Jul-02
9-Jul-03
8.40%
16/04/2003
16/07/2003
5.75%
23-Jul-02
23-Jul-03
GE Capital 30 day fixed Reset Rate GE Capital 30 day floating Reset Rate NSE Mibor + 1.50%
23-Jul-02
23-Jul-03
23-Jul-02
23-Jul-03
26-Jun-03
28-Jul-03
6.00%
30-Jul-02
30-Jul-03
7.75%
7-Aug-02
7-Aug-03
Floating Rate(GE Capital 30 day Floating Reset rate) GE Capital 30 day Fixed Reset Rate
7-Aug-02
7-Aug-03
13-Aug-02
13-Aug-03
7.50%
6-Nov-02
13-Aug-03
6.85%
16-Aug-02
16-Aug-03
7.50%
16-Aug-02
16-Aug-03
19-Aug-02
19-Aug-03
7.50%
19-Aug-02
19-Aug-03
7.75%
23-Aug-02
23-Aug-03
GE Capital 30 day fixed Reset Rate NSE Mibor + Margin .95% 7.40%
25-Feb-03
25-Aug-03
29-Aug-02
29-Aug-03
6-Mar-03
2-Sep-03
6.60%
4-Mar-03
4-Sep-03
6.60%
5-Sep-02
5-Sep-03
7.40%
6-Sep-02
6-Sep-03
6-Mar-03
6-Sep-03
6.60%
7-Mar-03
7-Sep-03
6.55%
9-Sep-02
9-Sep-03
7.20%
13-Mar-03
12-Sep-03
6.75%
16-Sep-02
16-Sep-03
7.40%
20-Mar-03
19-Sep-03
6.75%
23-Sep-02
23-Sep-03
25-Sep-02
25-Sep-03
28-Mar-03
28-Sep-03
6.75%
1-Oct-02
1-Oct-03
7.15%
3-Oct-02
3-Oct-03
7.15%
3-Apr-03
3-Oct-03
6.85%
3-Apr-03
3-Oct-03
6.85%
9-Apr-03
6-Oct-03
6.40%
7-Oct-02
7-Oct-03
9-Oct-98
9-Oct-03
16/04/2003
13/10/2003
6.00%
16-Oct-02
16-Oct-03
Mibor + 1.25%
18-Oct-02
18-Oct-03
NSE Mibor + margin 1.25% GE Capital 30 day fixed Reset Rate 6.70%
23-Oct-02
23-Oct-03
31-Oct-02
31-Oct-03
5-Nov-02
5-Nov-03
6.65%
7-Nov-02
7-Nov-03
24-Sep-03
10-Nov-03
15-Nov-02
15-Nov-03
6.60%
23-Aug-02
23-Nov-03
7.77%
25-Nov-02
23-Nov-03
25-Nov-02
25-Nov-03
2-Dec-02
2-Dec-03
6.45%
9-Dec-02
7-Dec-03
13-Dec-02
13-Dec-03
14-Dec-98
14-Dec-03
13.50%
14-Dec-98
14-Dec-03
13.50%
30-Dec-02
30-Dec-03
6.30%
3-Oct-02
3-Jan-04
7.30%
5-Jul-02
5-Jan-04
8.75%
27-Dec-02
6-Jan-04
6.30%
06/10/2003
06/01/2004
5.00%
7-Jan-03
7-Jan-04
7-Jan-03
7-Jan-04
8-Jul-02
8-Jan-04
11/07/2003
11/01/2004
5.55%
15/07/2003
15/01/2004
5.55%
17-Jan-03
17-Jan-04
6.25%
23-Jan-03
23-Jan-04
28/07/2003
28/01/2004
30-Jan-03
30-Jan-04
6.45%
31/10/2003
31/01/2004
5.35%
03/10/2003
03/02/2004
5.05%
04/08/2003
04/02/2004
5.20%
7-Feb-03
7-Feb-04
GE Capital 30 day fixed reset rate GE Capital 30 day floating reset rate
7-Feb-03
7-Feb-04
14-Feb-03
16-Feb-04
6.65%
30/12/2003
16/02/2004
6.00%
20-Feb-03
20-Feb-04
6.73%
25-Feb-03
25-Feb-04
4-Mar-03
4-Mar-04
7-Mar-03
7-Mar-04
08/09/2003
08/03/2004
5.10%
16/09/2003
16/03/2004
5.15%
24-Mar-03
23-Mar-04
3-Apr-03
3-Apr-04
20-Mar-03
5-Apr-04
6.90%
7-Apr-03
7-Apr-04
9-Apr-03
9-Apr-04
10-Mar-03
10-Apr-04
6.80%
26-Mar-03
11-Apr-04
6.90%
17/04/2003
17/04/2004
6.60%
23/04/2003
23/04/2004
06/11/2003
06/05/2004
07/05/2003
07/05/2004
5.75%
07/11/2003
07/05/2004
5.15%
13/02/2004
13/05/2004
17-Nov-03
17-May-04
5.15%
19-Nov-03
19-May-04
5.20%
23/05/2003
23/05/2004
23/02/2004
23/05/2004
02/12/2003
02/06/2004
5.20%
09/06/2003
07/06/2004
12/03/2004
07/06/2004
13/02/2004
13/06/2004
4.90%
15/12/2003
15/06/2004
5.10%
16/02/2004
16/06/2004
4.90%
16/03/2004
16/06/2004
4.80%
22/12/2003
22/06/2004
5.10%
23/06/2003
23/06/2004
24/11/2003
24/06/2004
26-Jun-03
26-Jun-04
7-Jul-03
7-Jul-04
07/10/2003
07/07/2004
MIBOR + 0.80%
7-Jul-03
08/07/2004
5.75%
08/07/2003
08/07/2004
08/04/2004
08/07/2004
4.50%
10/10/2003
10/07/2004
MIBOR + 0.80%
11/07/2003
11/07/2004
12/01/2004
12/07/2004
5.00%
23/02/2004
23/07/2004
27/04/2004
27/07/2004
30/01/2004
30/07/2004
4.90%
03/02/2004
03/08/2004
4.90%
07/08/2003
07/08/2004
12-Aug-02
12-Aug-04
13/02/2004
13/08/2004
16-Aug-02
16-Aug-04
7.68%
16/02/2004
16/08/2004
6.00%
21-Aug-02
21-Aug-04
7.77%
23/02/2004
23/08/2004
27/11/2003
27/08/2004
05/09/2003
05/09/2004
05/09/2003
05/09/2004
08/09/2003
07/09/2004
07/01/2004
07/09/2004
8-Mar-04
8-Sep-04
9-Sep-02
9-Sep-04
7.50%
11/09/2003
11/09/2004
Mibor + 75bps
11/03/2004
11/09/2004
4.90%
12-Sep-02
12-Sep-04
7.56%
16-Sep-02
16-Sep-04
7.56%
23/09/2003
23/09/2004
23/02/2004
23/09/2004
23/02/2004
23/09/2004
5.10%
29/09/2003
29/09/2004
5.25%
3-Oct-02
3-Oct-04
7.58%
03/10/2003
03/10/2004
5.25%
07/10/2003
07/10/2004
03/11/2003
03/11/2004
05/11/2003
05/11/2004
5.40%
07/11/2003
07/11/2004
18-Nov-02
18-Nov-04
18-Nov-03
18-Nov-04
24-Nov-03
23-Nov-04
GE Capital 30 day Fixed Reset Rate GE Capital 30 day floating reset rate NSE MIBOR + 0.80%
24-Nov-03
23-Nov-04
24/11/2003
24/11/2004
08/12/2003
07/12/2004
GE Capital 30 day fixed Reset Rate GE Capital 30 day floating reset rate GE Capital 30 day fixed Reset Rate NSE Mibor + 0.15%
23/12/2003
23/12/2004
23/12/2003
23/12/2004
23/04/2004
23/12/2004
06/01/2004
04/01/2005
07/01/2004
07/01/2005
08/04/2004
08/01/2005
10-Jan-03
10-Jan-05
6.50%
12/01/2004
10/01/2005
5.14%
13/04/2004
13/01/2005
23/01/2004
23/01/2005
GE Capital 30 day Fixed Reset Rate GE CAPITAL 30 day Floating Reset Rate 9.10%
23/01/2004
23/01/2005
29-Jan-02
29-Jan-05
09/02/2004
07/02/2005
GE Capital 30 day floating reset rate GE Capital 30 day fixed Reset Rate GE Capital 30 day floating reset rate NSE MIBOR + 0.70%
23/02/2004
23/02/2005
23/02/2004
23/02/2005
23/02/2004
23/02/2005
07/04/2004
07/04/2005
10-Apr-02
10-Apr-05
11-Apr-02
11-Apr-05
9.20%
13/10/2003
13/04/2005
5.38%
22/04/2004
22/04/2005
23/04/2004
23/04/2005
Reset Rate till 26-July-2004: NSE Mibor + 0.15%, till 26-Oct-2004: NSE GE Capital 30 day fixed reset rate
10/11/2003
10/05/2005
18-Nov-03
18-May-05
22/12/2003
22/06/2005
30/12/2003
30/06/2005
5.62%
12-Jul-02
12-Jul-05
8.60%
5-Aug-02
5-Aug-05
8.17%
17-Sep-02
17-Sep-05
17-Sep-02
17-Sep-05
7.75%
29/10/2003
29/10/2005
5.65%
16/12/2003
16/12/2005
5.63%
26/12/2003
26/12/2005
26/12/2003
26/12/2005
5.75%
13-Jan-03
13-Jan-06
6.65%
20/01/2004
20/01/2006
5.65%
26/03/2004
26/03/2006
23/07/2004
23/06/2006
NSE Mibor + 0.92%(subject to a floor of 5.40% & cap of 5.50%) NSE Mibor + 0.97%(subject to a floor of 5.45% & cap 5.55%) NSE Mibor + 0.97%(subject to a floor of 5.45% & cap of 5.55%) NSE Mibor + 1.02%(subject to a floor of 5.50% & cap of 5.60%) 9.50%
23/07/2004
23/07/2006
23/07/2004
23/08/2006
23/07/2004
23/09/2006
15-Oct-01
15-Oct-06
23/07/2004
23/10/2006
30-Nov-01
30-Nov-06
NSE Mibor + 1.02% (subject to floor of 5.50% and cap of 5.60% on a daily basis) 9.50%
3-Dec-01
3-Dec-06
9.50%
10-Jan-02
10-Jan-07
9.75%
18-Jan-02
18-Jan-07
9.50%
29-Jan-02
29-Jan-07
9.50%
10-Apr-02
10-Apr-07
9.75%
11-Apr-02
11-Apr-07
9.75%
17-Apr-02
17-Apr-07
9.75%
1-Jul-02
1-Jul-07
9.52%
3-Jul-02
3-Jul-07
9.52%
7-Oct-02
7-Oct-07
8.33%
19-Jun-01
19-Jun-02
10.30%
25-Jun-01
25-Jun-02
10.30%
26-Jun-01
26-Jun-02
10.30%
1-Jul-02
6-Sep-02
8.45%
11-Jan-02
11-Sep-02
8.95%
23-Nov-01
23-Sep-02
9.00%
1-Jul-02
1-Oct-02
8.45%
2-May-02
2-Nov-02
9.50%
23-Nov-01
23-Nov-02
9.10%
26-Nov-01
26-Nov-02
9.10%
13-Jun-02
11-Dec-02
8.70%
1-Jul-02
29-Dec-02
8.70%
1-Jul-02
29-Dec-02
8.70%
10-Jun-02
10-Mar-03
8.90%
4-Oct-02
4-Apr-03
6.95%
7-Oct-02
7-Apr-03
6.95%
15-Nov-02
14-May-03
6.60%
21-May-01
21-May-03
26-Feb-03
26-May-03
28-May-02
28-May-03
8.85%
28-Feb-03
28-May-03
6.75%
7-Jun-02
6-Jun-03
10-Jun-02
9-Jun-03
9.00%
12-Jun-02
11-Jun-03
9.00%
13-Jun-02
12-Jun-03
9.00%
18-Oct-02
27-Jun-03
7.00%
1-Jul-02
30-Jun-03
9.00%
7-Apr-03
7-Jul-03
6.40%
25/04/2003
25/07/2003
5.45%
31-Jan-03
31-Jul-03
6.35%
24/06/2003
22/09/2003
5.35%
4-Apr-03
4-Oct-03
6.75%
4-Apr-03
4-Oct-03
6.75%
7-Apr-03
7-Oct-03
6.55%
25/04/2003
25/10/2003
5.65%
5-Nov-02
4-Nov-03
6.85%
16/07/2003
16/01/2004
5.60%
17/07/2003
17/01/2004
5.55%
4-Apr-03
2-Apr-04
6.95%
4-Apr-03
2-Apr-04
6.95%
06/06/2003
04/06/2004
5.75%
12/06/2003
10/06/2004
5.65%
25/03/2004
15/05/2005
5.40%
25/03/2004
15/06/2005
5.40%
29/12/2003
29/06/2005
5.58%
01/01/2004
01/07/2005
5.62%
16/04/2004
16/10/2006
5.80%
16/04/2004
16/04/2007
5.85%
18/06/2003
12/09/2003
5.40%
24/11/2003
20/02/2004
55 bps over overnight NSE MIBOR 35 Basis points over overnight NSE Mibor 20 bps over overnight NSE Mibor 35 bps over overnight NSE Mibor 25 bps over overnight NSE Mibor 10.00%
03/12/2003
01/03/2004
17/03/2004
14/06/2004
02/04/2004
30/06/2004
02/04/2004
30/06/2004
7-Sep-01
5-Sep-02
7-Sep-01
5-Sep-02
10.00%
2-Jan-02
1-Jan-03
9.50%
16/04/2003
14/07/2003
7.00%
16/07/2003
13/10/2003
7.00%
16/12/2003
15/03/2004
6.25%
30/12/2003
29/03/2004
6.25%
07/05/2004
7/6/2004
5.40%
14-Aug-01
13-Aug-04
10.05%
14-Aug-01
13-Aug-04
10.35%
14-Aug-01
13-Aug-04
10.05%
14-Aug-01
13-Aug-04
10.35%
23/04/2004
27/10/2004
5.70%
07/05/2004
03/11/2004
5.60%
2-Jan-02
1-Jan-05
10.50%
14/07/2004
07/01/2005
5.70%
21-Jan-03
18-Apr-03
5.80%
21-Jan-03
18-Apr-03
5.95%
31-Dec-98
30-Dec-04
14.00%
22-Mar-99
21-Apr-05
14.00%
31-Mar-99
30-Apr-05
14.00%
6-Mar-00
5-Apr-06
12.00%
29-Dec-96
25-Dec-06
17.50%
9-Mar-01
8-May-07
11.30%
8-Feb-99
31-Mar-04
14.50%
10-Sep-99
10-Mar-07
13.50%
22-Jun-00
15-Sep-07
13.00%
17-Jun-02
14-Sep-02
9.75%
19-Jun-02
16-Sep-02
11.10%
21-Jun-02
18-Sep-02
11.10%
28-Jun-02
25-Sep-02
11.10%
23-Aug-02
20-Nov-02
11.10%
16-Sep-02
14-Dec-02
11.00%
18-Sep-02
16-Dec-02
11.00%
26-Sep-02
24-Dec-02
11.00%
13-Dec-02
12-Mar-03
10.50%
16-Dec-02
14-Mar-03
10.50%
24-Dec-02
21-Mar-03
10.50%
24/02/2003
23/05/2003
10.50%
13-Mar-03
10-Jun-03
10.50%
21/03/2003
18/06/2003
10.50%
04/06/2003
01/09/2003
9.10%
09/06/2003
05/09/2003
9.10%
10/06/2003
05/09/2003
9.75%
11/06/2003
08/09/2003
9.75%
11/06/2003
08/09/2003
9.10%
12/06/2003
09/09/2003
9.10%
16-Sep-02
16-Sep-03
11.00%
19/06/2003
16/09/2003
9.75%
1-Jul-03
26-Sep-03
9.10%
16/07/2003
13/10/2003
9.00%
14/08/2003
11/11/2003
8.40%
29/08/2003
25/11/2003
8.35%
02/09/2003
28/11/2003
8.35%
05/09/2003
03/12/2003
8.00%
06/09/2003
04/12/2003
8.00%
09/09/2003
05/12/2003
8.00%
05/12/2003
9.00%
15/12/2003
9%
22/09/2003
19/12/2003
6.00%
29-Sep-03
26-Dec-03
8.25%
06/10/2003
02/01/2004
7.60%
04/12/2003
02/02/2004
7.25%
28/11/2003
25/02/2004
7.50%
01/12/2003
27/02/2004
7.50%
05/12/2003
03/03/2004
7.30%
05/12/2003
03/03/2004
8.70%
08/12/2003
05/03/2004
7.45%
08/12/2003
05/03/2004
7.30%
08/12/2003
05/03/2004
8.70%
9-Nov-01
6-Feb-02
10.50%
23-Nov-01
20-Feb-02
10.50%
6-Feb-02
8-Mar-02
10.00%
8-Mar-02
22-Mar-02
10.00%
26-Dec-01
25-Mar-02
10.75%
26-Feb-02
28-Mar-02
10.00%
22-Mar-02
19-Jun-02
11.15%
26-Mar-02
21-Jun-02
11.15%
28-Mar-02
25-Jun-02
11.20%
15-Oct-01
11-Jan-02
Overnight MIBOR+0.40%
13-Aug-02
13-Aug-07
14% CMTI
13-Aug-02
13-Aug-07
20-Aug-02
20-Aug-07
7.55%
20-Aug-02
20-Aug-07
7.55%
1-Apr-98
1-Apr-08
15.00%
5-Dec-01
4-Dec-02
8.00%
27-Feb-03
26-Feb-04
6.35%
8-Feb-02
8-Feb-05
9.25%
26/12/2002
26/12/2005
6.00%
10/05/2002
10/05/2006
8.70%
10-Jan-02
10-Jan-07
9.28%
18-Jan-02
18-Jan-07
9.28%
8-Feb-02
8-Feb-07
9.45%
14/05/2002
14/05/2007
8.40%
23/07/2002
23/07/2007
8.10%
4-Nov-99
3-Nov-02
11.90%
6-Dec-01
5-Dec-02
8.00%
27-Jan-99
26-Jan-04
13.50%
6-Mar-99
5-Mar-04
13.50%
30-Mar-99
29-Mar-04
13.50%
8-Feb-02
8-Feb-05
9.25%
10-Oct-00
10-Oct-05
12.30%
12-Dec-00
12-Dec-05
11.75%
26-Dec-02
26-Dec-05
6.00%
10-May-02
10-May-06
8.70%
10-Jan-02
10-Jan-07
9.28%
18-Jan-02
18-Jan-07
9.28%
8-Feb-02
8-Feb-07
9.45%
14-May-02
14-May-07
8.40%
23-Jul-02
23-Jul-07
8.10%
4-Aug-93
4-Aug-03
13.50%
6-Oct-92
6-Oct-07
13.00%
31-Mar-01
7-Feb-08
14.00%
01/04/2004
07/02/2008
10.00%
26-Feb-98
25-Feb-05
13.25%
26-Feb-98
25-Feb-05
13.50%
4-Jun-98
3-Jun-05
13.25%
22-Jan-02
21-Apr-02
14-Feb-02
13-May-02
10.50%
19-Apr-02
16-Jul-02
14-May-02
10-Aug-02
10.50%
5-Jul-02
1-Oct-02
10.50%
17-Jul-02
14-Oct-02
3-Oct-02
30-Dec-02
9.50%
7-Jan-02
6-Jan-03
MIBOR + 65 bps
14-Oct-02
10-Jan-03
Mibor + 1.25%
20-Mar-02
19-Mar-03
Mibor + 65 bps
31-Dec-02
30-Mar-03
9.50%
8-Apr-02
7-Apr-03
Mibor + 65 bps
10-Jan-03
9-Apr-03
Mibor + 1.25%
28-Mar-03
25-Jun-03
8.50%
13-Sep-02
13-Sep-03
Mibor + .65%
2-Dec-02
1-Dec-03
7.00%
10-Dec-02
10-Dec-03
Mibor + 0.65%
3-Jan-03
2-Jan-04
7.00%
3-Feb-03
2-Feb-04
7.50%
4-Mar-03
3-Mar-04
7.50%
5-Mar-03
4-Mar-04
Mibor + 65 bps
24/05/2004
19/08/2004
Mibor + 30 bps
10-Jul-00
10-Jul-05
12.00%
9-Apr-03
7-Jul-03
25/06/2003
22/09/2003
8.50%
7-Apr-03
7-Apr-04
7.25%
05/05/2003
04/05/2004
7.10%
09/05/2003
08/05/2004
7.10%
03/06/2003
01/06/2004
7.00%
12/06/2003
10/06/2004
7.00%
02/04/2004
29/06/2004
Mibor + 35 bps
7-Feb-94
7-Feb-04
13.5%
24-Mar-00
23-Mar-05
11.25%
27-Aug-98
10-Aug-05
13.00%
14-Dec-00
13-Dec-07
12.50%
30-Mar-93
30-Mar-08
13%
30/06/2004
31/03/2007
7.00%
16-Aug-00
3-Jan-06
11.50%
9-Nov-87
9-Nov-02
11.00%
11-Feb-98
11-Feb-03
11.00%
11-Aug-93
11-Aug-03
13.50%
5-Jan-94
5-Jan-04
13.50%
1-Sep-94
1-Sep-04
12.50%
2-Feb-95
2-Feb-05
12.50%
2-Aug-95
2-Aug-05
14.00%
4-Dec-95
4-Dec-05
14.00%
18-Sep-96
18-Sep-06
13.85%
16-Jan-02
16-Jan-07
10.00%
29-Jan-97
29-Jan-07
13.75%
19-Mar-97
19-Mar-07
13.65%
27-Aug-92
27-Aug-07
13.00%
22-Oct-97
22-Oct-07
12.30%
22-Dec-92
22-Dec-07
13.00%
21-Oct-98
21-Jan-08
12.30%
16-Feb-93
16-Feb-08
13.00%
30-Mar-01
29-Mar-08
14.25%
17/05/2004
13/08/2004
MIBOR + 30 bps
1-Oct-02
1-Jan-03
9.90%
4-Oct-02
4-Jan-03
9.90%
3-Jan-03
3-Jul-03
9.90%
6-Jan-03
6-Jul-03
9.90%
7-Jul-03
7-Oct-03
8.10%
10-Jul-03
10/10/2003
8.10%
30-Mar-00
29-Mar-03
15.50%
23-Apr-00
1-Apr-03
15.50%
8-Jun-00
7-Jun-03
15.50%
27-Jun-00
26-Jun-03
15.50%
20-Jul-00
19-Jul-03
15.50%
17-Aug-00
16-Aug-03
15.50%
13-Aug-97
12-Aug-04
16.75%
5-Dec-99
4-Dec-04
16.00%
14-Jan-00
13-Jan-05
16.00%
27-Jan-00
26-Jan-05
16.00%
29-Mar-00
28-Mar-05
16.00%
29-Mar-00
28-Mar-05
16.00%
12-May-00
11-May-05
16.00%
30-Jun-00
29-Jun-05
16.00%
3-Jul-98
2-Jul-05
15.25%
12-Sep-98
11-Sep-05
15.25%
16-Feb-99
15-Feb-06
16.00%
24-Jun-99
23-Jun-06
15.25%
4-Aug-99
3-Aug-06
15.25%
6-Feb-03
5-Feb-05
6.50%
30-Jun-00
15-Apr-05
15.50%
29-Jan-98
29-Jul-04
13.00%
31-Jan-98
31-Jul-04
13.00%
2-Feb-98
2-Aug-04
13.00%
20-Mar-98
20-Sep-04
13.00%
22-Mar-01
22-Jun-06
11.00%
23-Mar-01
23-Jun-06
11.00%
30-Mar-99
30-Jun-06
13.75%
1-Jun-99
1-Sep-06
13.75%
1-Jun-99
1-Sep-06
13.75%
5-Jun-99
5-Sep-06
13.75%
16-Feb-00
15-Feb-05
11.25%
16-Feb-00
15-Feb-06
11.45%
29/04/2004
27/07/2004
5.10%
25/07/2001
25/07/2004
9.45%
08/01/2003
08/01/2008
6.20%
14/01/2003
14/01/2008
5.95%
11-May-01
17%
12-Jan-01
12-Jan-08
11.22%
28-Aug-02
23-Aug-07
28-Aug-02
23-Aug-07
28-Aug-02
23-Aug-07
28-Aug-02
23-Aug-07
28-Aug-02
28-Aug-07
28-Aug-02
28-Aug-07
28-Aug-02
28-Aug-07
28-Aug-02
28-Aug-07
7.20%
31/07/2001
30/07/2004
13.50%
31/07/2001
30/07/2004
13.00%
29/08/2003
28/08/2004
6.50%
01/07/2002
30/06/2005
13.50%
18-Jun-02
17-Jun-03
NSE Mibor + 0.40% (reset on a daily basis with daily compounding) NSE Mibor + 0.40% (reset on a daily basis with daily compounding) NSE Mibor + 0.40% (reset on a daily basis with daily compounding) NSE Mibor + 0.40% (reset on a daily basis with daily compounding) NSE Mibor + 0.40% (reset on a daily basis with daily compounding) 9.75%
26-Jun-02
25-Jun-03
27-Jun-02
26-Jun-03
28-Jun-02
27-Jun-03
1-Jul-02
30-Jun-03
11-Dec-01
11-Jun-02
18-Jul-02
14-Oct-02
9.75%
18-Jul-02
14-Oct-02
9.50%
22-Jul-02
18-Oct-02
9.50%
1-Aug-02
29-Oct-02
9.75%
26-Aug-02
23-Nov-02
9.75%
18-Oct-02
15-Jan-03
9.00%
30-Jan-96
30-Jan-03
16.50%
6-Aug-02
3-Feb-03
9.90%
3-Sep-02
3-Mar-03
9.80%
21-Feb-03
21-May-03
7.50%
28-Feb-03
28-May-03
Mibor + 1.00%
28-Feb-03
28-May-03
Mibor + 1.50%
15-Jan-03
14-Jul-03
8.00%
04/06/2003
01/09/2003
7.00%
04/06/2003
01/09/2003
Mibor +1.00%
24/07/2003
21/10/2003
5.50%
29/08/2003
25/11/2003
5.35%
29/08/2003
25/11/2003
29/08/2003
25/11/2003
MIBOR + 0.25%
22/07/2003
16/01/2004
7.00%
29/09/2003
26/02/2004
6.00%
08/09/2003
05/03/2004
5.60%
25-Sep-03
23-Mar-04
5.50%
29/12/2003
26/03/2004
21/01/2004
12/04/2004
5.20%
27/01/2004
23/04/2004
Mibor + 0.15%
25/02/2004
24/05/2004
Mibor + 0.25%
25/02/2004
24/05/2004
5.60%
10/03/2004
07/06/2004
26/12/2003
23/06/2004
6.00%
10/05/2004
06/08/2004
4.80%
26/05/2004
23/08/2004
4.78%
24/03/2004
20/09/2004
5.45%
08/04/2004
05/10/2004
5.40%
10/05/2004
05/11/2004
5.40%
26/05/2004
22/11/2004
5.40%
28/06/2004
24/09/2004
5.00%
14/06/2004
08/12/2004
5.08%
09/07/2004
08/07/2005
5.40%
21/07/2004
21/07/2005
5.50%
30-Jun-03
15.00%
2-Oct-00
2-Oct-05
12.25%
6-Oct-00
6-Oct-05
12.25%
10-Oct-00
10-Oct-05
12.45%
02/07/2003
01/01/2005
9.00%
4-Feb-02
4-Feb-07
8.50%
4-Feb-02
4-Feb-07
8.50%
18/06/2004
15/09/2004
6.30%
29-Jan-02
26-Apr-02
9.00%
26-Apr-02
24-Jul-02
9.00%
24-Jul-02
21-Oct-02
9.00%
16-Sep-02
13-Dec-02
7.25%
21-Oct-02
18-Jan-03
9.00%
20-Nov-02
17-Feb-03
6.45%
4-Dec-02
3-Mar-03
6.30%
18-Feb-03
28-Mar-03
6.20%
17-Jan-03
16-Apr-03
6.30%
24-Jan-03
23-Apr-03
6.25%
19-Feb-03
19-May-03
6.90%
9-Apr-03
7-Jul-03
6.25%
9-Apr-03
7-Jul-03
6.30%
17/04/2003
15/07/2003
6.25%
22/05/2003
19/08/2003
5.75%
4-Jul-03
1-Oct-03
5.60%
7-Jul-03
3-Oct-03
5.60%
16-Jul-03
13/10/2003
5.60%
23/07/2003
20/10/2003
5.60%
24/07/2003
21/10/2003
5.60%
24/07/2003
21/10/2003
5.55%
14/08/2003
10/11/2003
5.35%
26-Sep-03
24-Dec-03
01/10/2003
29/12/2003
03/10/2003
31/12/2003
5.30%
14/10/2003
09/01/2004
5.30%
10/12/2003
08/03/2004
5.15%
11/12/2003
09/03/2004
5.10%
29/12/2003
22/03/2004
5.10%
09/01/2004
22/03/2004
4.98%
31/12/2003
29/03/2004
5.10%
09/01/2004
07/04/2004
5.05%
15/01/2004
13/04/2004
5.05%
10/02/2004
07/05/2004
5.02%
7-Nov-00
7-Nov-02
1.75%
8-Nov-00
8-Nov-02
11.75%
13-Nov-00
13-Nov-02
11.75%
23-Nov-00
23-Nov-02
11.75%
29-Nov-02
29-Nov-03
7.50%
16/03/2004
16/03/2006
6.50%
4-Apr-02
27-Mar-03
Zero Coupon
4-Apr-02
27-Mar-03
Zero Coupon
17/06/2003
17/06/2004
5.40%
23-Dec-02
23-Dec-05
6.00%
23-Dec-02
23-Dec-05
6.00%
11-Oct-02
11-Oct-07
7.05%
11-Oct-02
11-Oct-07
7.05%
18-Nov-02
18-Nov-07
6.67%
18-Nov-02
18-Nov-07
6.67%
20-Nov-02
20-Nov-07
6.60%
20-Nov-02
20-Nov-07
6.60%
18-Dec-02
18-Dec-07
6.30%
18-Dec-02
18-Dec-07
6.30%
9-Jan-03
9-Jan-08
6.10%
9-Jan-03
9-Jan-08
6.10%
14-Dec-87
14-Dec-02
11.00%
14-Dec-87
14-Dec-02
11.00%
14-Dec-87
14-Dec-02
11.00%
14-Dec-87
14-Dec-02
11.00%
14-Dec-87
14-Dec-02
11.00%
11/06/2003
08/09/2003
28-Mar-94
28-Mar-04
28-Mar-94
28-Mar-04
13.5%
28-Mar-94
28-Mar-04
13.5%
28-Mar-94
28-Mar-04
13.5%
28-Mar-94
28-Mar-04
13.5%
31/03/2004
25/06/2004
27-Mar-95
27-Mar-05
27-Mar-95
27-Mar-05
12.5%
27-Mar-95
27-Mar-05
12.5%
27-Mar-95
27-Mar-05
12.5%
27-Mar-95
27-Mar-05
12.5%
31/03/2004
31/03/2005
5.50%
11-Mar-96
11-Mar-06
14.00%
11-Mar-96
11-Mar-06
14.00%
11-Mar-96
11-Mar-06
14.00%
11-Mar-96
11-Mar-06
14.00%
11-Mar-96
11-Mar-06
14.00%
11-Mar-96
11-Mar-06
14.00%
11-Mar-96
11-Mar-06
14.00%
20-Jul-01
20-Jul-06
10.30%
30-Jan-02
30-Jan-07
9.50%
30-Jan-02
30-Jan-07
8.40%
06-mar-02(date of allotment)
6-Mar-07
8.50%
6-Mar-02
6-Mar-07
8.50%
27-Mar-02
27-Mar-07
9.25%
27-Mar-02
27-Mar-07
9.25%
27-Mar-02
27-Mar-07
9.25%
27-Mar-02
27-Mar-07
9.25%
28-Mar-02
28-Mar-07
9.25%
28-Mar-02
28-Mar-07
9.00%
28-Mar-02
28-Mar-07
8.00%
28-Mar-02
28-Mar-07
9.00%
28-Mar-02
28-Mar-07
9.25%
28-Mar-02
28-Mar-07
8.00%
28-Jun-02
28-Jun-07
9.00%
28-Jun-02
28-Jun-07
9.00%
28-Jun-02
28-Jun-07
9.00%
28-Jun-02
28-Jun-07
9.00%
21-Sep-92
21-Sep-07
13.00%
21-Sep-92
21-Sep-07
13.00%
21-Sep-92
21-Sep-07
13.00%
21-Sep-92
21-Sep-07
13.00%
21-Sep-92
21-Sep-07
13.00%
25-Nov-92
25-Nov-07
13.00%
25-Nov-92
25-Nov-07
13.00%
25-Nov-92
25-Nov-07
13.00%
25-Nov-92
25-Nov-07
13.00%
25-Nov-92
25-Nov-07
13.00%
27-Mar-98
27-Mar-08
12.30%
27-Mar-98
27-Mar-08
12.3%
27-Mar-98
27-Mar-08
12.3%
27-Mar-98
27-Mar-08
12.3%
27-Mar-98
27-Mar-08
12.3%
25-Feb-02
25-Feb-05
8.40%
16-Aug-04
8.50%
12-Sep-04
8.75%
12-Sep-01
12-Sep-04
8.75%
11-Feb-02
11-Feb-05
8.65%
25-Feb-02
25-Feb-05
8.40%
28/07/2004
28/07/2006
20-Dec-01
20-Dec-06
21/05/2004
21/05/2007
24-Mar-98
10-Jun-03
12.00%
24-Mar-98
10-Dec-03
12.00%
24-Mar-98
10-Jun-04
12.00%
24-Mar-98
10-Dec-04
12.00%
11-Feb-02
11-Feb-05
8.65%
24-Mar-98
10-Jun-05
12.00%
24-Mar-98
10-Dec-05
12.00%
24-Mar-98
10-Jun-06
12.00%
24-Mar-98
10-Dec-06
12.00%
6-May-02
6-May-07
8.60%
5-May-02
6-May-07
8.60%
24-Mar-98
10-Jun-07
12.00%
24-Mar-98
10-Dec-07
12.00%
28/04/2003
24/07/2003
26/05/2003
23/08/2003
29-Mar-00
29-Mar-07
31-Mar-98
10-Dec-02
12.00%
6-Dec-99
15-Dec-02
12.75%
31-Mar-98
10-Jun-03
12.00%
6-Dec-99
15-Jun-03
12.75%
23-Oct-98
23-Oct-03
12.75%
29-Oct-98
29-Oct-03
12.75%
31-Mar-98
10-Dec-03
12.00%
6-Dec-99
15-Dec-03
12.75%
31-Mar-98
10-Jun-04
12.00%
6-Dec-99
15-Jun-04
12.75%
31-Mar-98
10-Dec-04
12.00%
6-Dec-99
15-Dec-04
12.75%
31-Mar-98
10-Jun-05
12.00%
6-Dec-99
15-Jun-05
12.75%
31-Mar-98
10-Dec-05
12.00%
6-Dec-99
15-Dec-05
12.75%
31-Mar-98
10-Jun-06
12.00%
6-Dec-99
15-Jun-06
12.75%
31-Mar-98
10-Dec-06
12.00%
6-Dec-99
15-Dec-06
12.75%
31-Mar-98
10-Jun-07
12.00%
6-Dec-99
15-Jun-07
12.75%
31-Mar-98
10-Dec-07
12.00%
6-Dec-99
15-Dec-07
12.75%
25-Nov-97
25-Nov-02
12.75%
2-Jun-00
2-Jun-03
10.45%
3-Jun-00
3-Jun-03
10.45%
3-Jul-01
3-Jul-06
10.35%
28-Mar-02
28-Mar-07
9.35%
11-Aug-00
11-Aug-07
12.00%
29-May-98
29-May-03
100000
13-Jul-98
13-Jul-03
14.00%
28-Jul-98
28-Jul-03
14.25%
14-Sep-98
14-Sep-03
14.05%
17-Sep-97
17-Sep-04
13.00%
31-Oct-97
31-Oct-04
12.75%
12-Nov-97
12-Nov-04
12.40%
05/12/1997
05/12/2004
12.75%
26-Mar-98
26-Mar-05
14.75%
28/03/2000
28/03/2005
11.25%
4-Apr-98
4-Apr-05
14%
6-May-98
6-May-05
13.90%
15-May-98
15-May-05
13.90%
5-Jun-98
5-Jun-05
13.85%
24/06/1998
24/06/2005
14.25%
28/06/2000
28/06/2005
11.25%
12-Jul-00
12-Jul-05
11.25%
17/07/1998
17/07/2005
14.25%
10-Oct-00
10-Oct-05
11.95%
03/04/2003
03/04/2006
6.75%
30/04/2003
30/04/2006
6.75%
30/07/2001
30/07/2006
9.80%
03/04/2003
03/08/2006
N.A.
30/04/2003
30/08/2006
N.A.
26-Jul-01
26-Apr-07
9.75%
3-Aug-00
3-Aug-07
12.00%
12-Aug-00
12-Aug-07
12%
07/11/2001
07/11/2007
9.50%
29/03/2001
29/03/2008
11.10%
03/04/2003
03/04/2008
6.75%
04/04/2001
04/04/2008
11.20%
30/04/2003
30/04/2008
6.75%
29/01/1999
29/01/2006
14.25%
7-Aug-00
7-Aug-03
10.10%
23-Apr-02
23-Apr-05
8.75%
23-Apr-02
23-Aug-05
N.A.
16-Dec-01
16-Dec-06
8.90%
23-Apr-02
23-Apr-07
9.00%
23-Apr-02
23-Apr-08
9.00%
20-Jun-98
20-Jun-03
14.20%
13-Feb-99
13-Feb-04
14.00%
7-Feb-98
7-Feb-05
14.00%
11-Mar-98
11-Mar-05
14.25%
9-Jul-98
9-Jul-05
14.25%
31-Jul-98
31-Jul-05
14.25%
15-Sep-98
15-Sep-05
14.25%
15-Oct-98
15-Oct-05
10.00%
16-Oct-98
16-Oct-05
10.00%
19-Oct-00
19-Oct-05
12.00%
27-Oct-98
27-Oct-05
10.00%
30-Oct-98
30-Oct-05
6-Nov-98
6-Nov-05
14.27%
18-Jan-01
18-Jan-06
11.40%
26-Feb-03
26-Feb-06
7.00%
26-Feb-03
26-Jun-06
N.A.
09/10/2003
09/02/2007
N.A.
26-Feb-03
26-Feb-08
7.25%
19-Sep-97
19-Sep-04
13.00%
22/09/1997
22/09/2004
13.00%
05/11/1997
05/11/2004
12.25%
11/27/1997
11/27/2004
12.75%
03/12/1997
03/12/2004
12.75%
15-Dec-97
15-Dec-04
12.75
20/02/1998
14/01/2005
13.00%
20-Feb-98
2-Feb-05
13.00%
13/02/1998
13/02/2005
14.75%
16-Feb-98
16-Feb-05
14.25%
19/02/1998
19/02/2005
14.00%
23-Feb-98
23-Feb-05
14.25%
24-Feb-98
24-Feb-05
14.25%
26-Feb-98
26-Feb-05
14.25%
28-Feb-98
28-Feb-05
14.25%
03/03/1998
03/03/2005
14.25%
5-Mar-98
5-Mar-05
14.25%
06/03/1998
06/03/2005
14.25%
07/03/1998
07/03/2005
14.25%
3/12/1998
3/12/2005
14.75%
17/03/1998
17/03/2005
14.25%
18-Mar-98
18-Mar-05
14.25%
25-Mar-98
25-Mar-05
14.25%
4-Apr-98
4-Apr-05
13.75%
07/04/1998
07/04/2005
14.00%
07/04/1998
07/04/2005
14.00%
20-May-98
24-Apr-05
13.75%
5/20/1998
4/29/2005
13.75%
20/05/1998
02/05/2005
13.75%
04/05/1998
04/05/2005
13.75%
11-May-98
11-May-05
13.75%
15/05/1998
15/05/2005
13.75%
21-May-98
21-May-05
13.75%
23-May-98
23-May-05
13.75%
29-May-98
29-May-05
13.75%
12-Jun-98
12-Jun-05
14.25%
13/06/1998
13/06/2005
14.25%
16-Jun-98
16-Jun-05
14.00%
19/06/1998
19/06/2005
14.15%
23/06/2000
23/06/2005
11.10%
25-Jun-98
25-Jun-05
13.75%
26-Jun-98
26-Jun-05
14.00%
27-Jun-98
27-Jun-05
14.25%
10-Jul-98
10-Jul-05
14.25%
14/07/2000
14/07/2005
11.25%
21-Jul-00
21-Jul-05
11.20%
24-Jul-00
24-Jul-05
11.20%
7/27/1998
7/27/2005
14.25%
3-Aug-00
3-Aug-05
11.90%
5-Aug-00
5-Aug-05
11.90%
08/08/2000
08/08/2005
11.57%
8/11/1998
8/11/2005
14.10%
11/08/2000
11/08/2005
11.90%
16-Aug-00
16-Aug-05
11.90%
26-Aug-00
26-Aug-05
12.05%
29/08/1998
29/08/2005
14.00%
31/08/2000
31/08/2005
12.00%
3-Sep-98
3-Sep-05
14.25%
5-Sep-00
5-Sep-05
12.00%
7-Sep-00
7-Sep-05
12.00%
9-Sep-00
9-Sep-05
12.00%
26-Sep-00
26-Sep-05
12.05%
07/10/1998
07/10/2005
14.25%
15-Oct-98
15-Oct-05
14.00%
21-Oct-00
21-Oct-05
12.00%
22-Oct-98
22-Oct-05
14.00%
23-Oct-00
23-Oct-05
12.00%
24-Oct-98
24-Oct-05
14.20%
26-Oct-98
26-Oct-05
14.00%
7-Nov-00
7-Nov-05
11.95%
22-Nov-00
22-Nov-05
11.90%
23/11/2000
23/11/2005
12.00%
24-Nov-00
24-Nov-05
12.00%
15-Dec-00
15-Dec-05
11.60%
17-Dec-98
17-Dec-05
14.25%
21/12/1998
21/12/2005
14.00%
29-Dec-98
29-Dec-05
14.00%
1-Jan-99
1-Jan-06
14.00%
11-Jan-01
11-Jan-06
11.45%
12-Jan-01
12-Jan-06
11.45%
13/01/1999
13/01/2006
14.00%
17-Jan-01
17-Jan-06
11.45%
22-Feb-01
22-Feb-06
11.20%
24/02/1999
24/02/2006
13.75%
28-Feb-01
28-Feb-06
11.00%
5-Apr-99
5-Apr-06
13.17%
23-Apr-01
23-Apr-06
11.05%
2-May-01
2-May-06
10.95%
23/05/2001
23/05/2006
10.65%
31-May-01
31-May-06
10.75%
1-Jun-01
1-Jun-06
10.50%
4-Jun-01
4-Jun-06
10.50%
27-Jul-01
27-Jul-06
9.85%
27/07/2001
27/07/2006
9.80%
11/08/2001
11/08/2006
9.70%
25-Aug-01
25-Aug-06
10.00%
29-Aug-01
29-Aug-06
10.00%
19/09/2001
19/09/2006
10.15%
9-Oct-03
9-Oct-06
5.75%
9-Dec-00
9-Dec-06
12.00%
12/12/2000
12/12/2006
12.00%
15/12/2003
15/12/2006
5.60%
17/01/2002
17/01/2007
9.70%
05/02/2004
05/02/2007
5.50%
15/12/2003
15/06/2007
NA
14/07/1997
14/07/2007
14.25%
26-Jul-00
26-Jul-07
12.00%
26/07/2000
26/07/2007
11.50%
28-Jul-00
28-Jul-07
12.00%
4-Aug-00
4-Aug-07
12.00%
5-Aug-00
5-Aug-07
12.00%
05/02/2004
05/08/2007
NA
08/08/2000
08/08/2007
11.90%
07/09/2001
07/09/2007
10.00%
12/09/2001
12/09/2007
9.90%
24-Sep-97
24-Sep-07
13.50%
25-Sep-97
25-Sep-07
13.50%
6-Oct-97
6-Oct-07
13.50%
21/11/2000
21/11/2007
12.05%
19-Dec-97
19-Dec-07
13.25%
20-Feb-98
19-Jan-08
13.25%
20-Jan-98
20-Jan-08
13.25%
28-Feb-01
29-Feb-08
11.15%
13-Mar-01
13-Mar-08
11.00%
15-Mar-01
15-Mar-08
11.00%
16-Mar-01
16-Mar-08
11.00%
16-Mar-01
16-Mar-08
11.10%
19-Mar-01
19-Mar-08
11.20%
20/03/2001
20/03/2008
11.20%
21/03/2001
21/03/2008
11.20%
23/03/2001
23/03/2008
11.10%
27/03/2001
27/03/2008
11.20%
28-Mar-01
28-Mar-08
11.25%
28/03/2001
28/03/2008
11.10%
4-Apr-01
4-Apr-08
11.25%
06/04/2001
06/04/2008
11.20%
9-Apr-01
9-Apr-08
11.25%
10/04/2001
10/04/2008
11.25%
20/04/2001
20/04/2008
11.20%
4/21/2001
4/21/2008
11.20%
4/21/2001
4/21/2008
11.20%
11-Sep-97
11-Sep-02
12.50%
17-Sep-97
17-Sep-02
12.50%
18-Nov-99
18-Nov-02
12.00%
24-Nov-99
24-Nov-02
12.00%
30-Nov-99
30-Nov-02
12.05%
30-Nov-99
30-Nov-02
11.90%
1-Dec-99
1-Dec-02
11.90%
8-Dec-99
8-Dec-02
12.05%
9-Dec-97
9-Dec-02
12.75%
12-Dec-97
12-Dec-02
12.50%
12-Dec-97
12-Dec-02
12.75%
16-Dec-99
16-Dec-02
12.00%
19-Dec-97
19-Dec-02
12.75%
20-Dec-99
20-Dec-02
12.00%
22-Dec-97
22-Dec-02
12.75%
1-Jan-97
1-Jan-03
16.00%
29-Jan-98
29-Jan-03
14.25%
3-Feb-98
3-Feb-03
14%
5-Feb-98
5-Feb-03
14.00%
11-Feb-98
11-Feb-03
14.00%
12-Feb-98
12-Feb-03
14.60%
16-Feb-98
16-Feb-03
14.00%
17-Feb-98
17-Feb-03
14.00%
18-Feb-98
18-Feb-03
14.00%
23-Feb-98
23-Feb-03
14%
24-Feb-98
24-Feb-03
14.00%
25-Feb-98
25-Feb-03
14.50%
26-Feb-98
26-Feb-03
14.00%
28-Feb-98
28-Feb-03
14.00%
2-Mar-98
2-Mar-03
14.00%
4-Mar-98
4-Mar-03
14%
5-Mar-98
5-Mar-03
14.50%
9-Mar-98
9-Mar-03
15.15%
11-Mar-98
11-Mar-03
14.00%
11-Mar-98
11-Mar-03
15.20%
11-Mar-00
11-Mar-03
10.85%
12-Mar-98
12-Mar-03
14.00%
14-Mar-98
14-Mar-03
14.00%
18-Mar-98
18-Mar-03
14.00%
19-Mar-98
19-Mar-03
15.20%
19-Mar-98
19-Mar-03
14.80%
20-Mar-98
20-Mar-03
15.00%
23-Mar-98
23-Mar-03
14.50%
25-Mar-98
25-Mar-03
14.00%
28-Mar-98
28-Mar-03
14.00%
31-Mar-98
31-Mar-03
14.00%
13-Apr-00
13-Apr-03
10.70%
22-Apr-98
22-Apr-03
13.50%
23-Apr-98
23-Apr-03
13.50%
24-Apr-98
24-Apr-03
13.50%
25-Apr-98
25-Apr-03
13.50%
27-Apr-98
27-Apr-03
13.50%
27-Apr-98
27-Apr-03
13.50%
5-May-98
5-May-03
13.15%
22-May-96
22-May-03
16.00%
22-May-98
22-May-03
13.50%
5-Jun-98
5-Jun-03
13.60%
6-Jun-00
6-Jun-03
10.85%
7-Jun-00
7-Jun-03
10.85%
8-Jun-98
8-Jun-03
13.50%
8-Jun-00
8-Jun-03
10.85%
11-Jun-98
11-Jun-03
13.75%
14-Jun-00
14-Jun-03
10.95%
17-Jun-98
17-Jun-03
14.00%
21-Jun-00
21-Jun-03
10.95%
22-Jun-98
22-Jun-03
14.00%
22-Jun-00
22-Jun-03
10.95%
25-Jun-98
25-Jun-03
14.00%
27-Jun-98
27-Jun-03
13.85%
1-Jul-98
1-Jul-03
13.90%
2-Jul-98
2-Jul-03
14.00%
6-Jul-98
6-Jul-03
14.00%
6-Jul-98
6-Jul-03
14.05%
7-Jul-00
7-Jul-03
11.20%
7-Jul-98
7-Jul-03
14.00%
8-Jul-98
8-Jul-03
14.00%
15-Jul-98
15-Jul-03
14.00%
16-Jul-98
16-Jul-03
14.00%
17-Jul-98
17-Jul-03
14.00%
21-Jul-98
21-Jul-03
14.00%
22-Jul-98
22-Jul-03
14%
24-Jul-98
24-Jul-03
14.00%
27-Jul-98
27-Jul-03
13.75%
28-Jul-98
28-Jul-03
14.20%
28-Jul-98
28-Jul-03
14%
29-Jul-98
29-Jul-03
13.75%
29-Jul-98
29-Jul-03
14.00%
31-Jul-98
31-Jul-03
14.20%
31-Jul-98
31-Jul-03
14.05%
1-Aug-98
1-Aug-03
14.00%
3-Aug-98
3-Aug-03
14.20%
03/08/1998
03/08/2003
14.00%
4-Aug-98
4-Aug-03
14.05%
5-Aug-98
5-Aug-03
14.00%
7-Aug-98
7-Aug-03
14.00%
13-Aug-98
13-Aug-03
14.05%
6-Sep-00
6-Sep-03
11.5%
7-Sep-98
7-Sep-03
14.05%
17-Sep-98
17-Sep-03
14.00%
21-Sep-98
21-Sep-03
14.05%
27-Sep-98
27-Sep-03
14.00%
27-Sep-00
27-Sep-03
12.05%
3-Oct-98
3-Oct-03
14.00%
13-Oct-98
13/10/2003
13.85%
30-Oct-98
30-Oct-03
13.85%
2-Nov-98
2-Nov-03
14.00%
6-Nov-98
6-Nov-03
13.85%
13-Nov-98
13-Nov-03
14.00%
14-Nov-98
14-Nov-03
14%
27-Nov-00
27-Nov-03
11.70%
15-Dec-98
15-Dec-03
14.00%
15-Dec-98
15-Dec-03
13.85%
16-Dec-98
16-Dec-03
13.85%
19-Dec-98
19-Dec-03
14%
21-Dec-98
21-Dec-03
Zero Coupon
31-Dec-98
31-Dec-03
14.00%
1-Jan-97
1-Jan-04
16.00%
6-Jan-99
6-Jan-04
14%
6-Jan-99
6-Jan-04
13.85%
7-Jan-99
7-Jan-04
14.00%
11-Jan-99
11-Jan-04
14.00%
11-Jan-99
11-Jan-04
13.85%
13-Jan-99
13-Jan-04
13.85%
15-Jan-99
15-Jan-04
13.85%
18-Jan-99
18-Jan-04
13.85%
5-Feb-99
5-Feb-04
14.00%
08/09/2000
08/03/2004
N.A.
25-Apr-01
25-Apr-04
10.60%
24-May-01
24-May-04
10.00%
25-May-01
25-May-04
10.50%
7-Jun-01
7-Jun-04
9.95%
15-Jul-01
15-Jul-04
10.35%
26-Sep-97
26-Sep-04
13.00%
27/09/1997
27/09/2004
13.00%
18-Oct-01
18-Oct-04
Zero Coupon
23/10/2001
23/10/2004
8.65%
24-Nov-97
24-Nov-04
12.00%
1-Dec-97
1-Dec-04
12.75% upto 14th Feb, 2002 & 10% p.a. thereafter 12.75% upto 14th Feb, 2002 & 10% p.a. thereafter 12.75% upto 14-Feb-02 & 10.00% thereafter
2-Dec-97
2-Dec-04
5-Dec-97
5-Dec-04
22-Dec-97
22-Dec-04
12.75%
26/12/1997
26/12/2004
10% (13.00% p.a. upto 30-Jun-02) 10% (13% upto 30.06.2002) 10% (13.00% upto 30Jun-02) 9.50%
31/12/1997
31/12/2004
02/01/1998
02/01/2005
03/01/2002
03/01/2005
05/01/1998
05/01/2005
06/01/1998
06/01/2005
9-Jul-97
9-Jan-05
16-Jan-98
16-Jan-05
13.00%
6-Feb-98
6-Feb-05
14%
10-Feb-98
10-Feb-05
14.00%
10-Feb-98
10-Feb-05
14.25%
11-Feb-98
11-Feb-05
15.25%
11-Feb-98
11-Feb-05
14.25%
12/02/1998
12/02/2005
14.25%
13-Feb-98
13-Feb-05
14.30%
19-Feb-98
19-Feb-05
14.25%
20-Feb-98
20-Feb-05
14.75%
20/02/1998
20/02/2005
14.25%
25-Feb-98
25-Feb-05
14.25%
4-Mar-98
4-Mar-05
14.25%
10-Mar-98
10-Mar-05
14.25%
12-Mar-98
12-Mar-05
14.25%
13-Mar-98
13-Mar-05
14.25%
14-Mar-98
14-Mar-05
14.25%
16-Mar-98
16-Mar-05
14.25%
17-Mar-99
17-Mar-05
13.65%
29-Mar-00
29-Mar-05
11.25%
30-Mar-00
30-Mar-05
11.25%
31-Mar-00
31-Mar-05
11.25%
03/04/2000
03/04/2005
11.25%
03/04/2000
03/04/2005
21-Apr-98
21-Apr-05
13.75%
20/05/1998
22/04/2005
13.75%
23-Apr-98
23-Apr-05
13.75%
27/04/1998
27/04/2005
13.75%
20/05/1998
28/04/2005
13.75%
20/05/1998
20/05/2005
13.75%
2-Jun-98
2-Jun-05
13.75%
11-Jun-98
11-Jun-05
14.25%
16-Jun-98
16-Jun-05
14.25%
6/17/1998
6/17/2005
14.25%
18-Jun-98
18-Jun-05
14%
19-Jun-98
19-Jun-05
14.25%
22-Jun-98
22-Jun-05
14.25%
25-Jun-98
25-Jun-05
14.25%
26-Jun-98
26-Jun-05
14.25%
29-Jun-98
29-Jun-05
14.25%
1-Jul-98
1-Jul-05
14.25%
1-Jul-00
1-Jul-05
11.25%
3-Jul-98
3-Jul-05
14.25%
6-Jul-00
6-Jul-05
11.30%
6-Jul-98
6-Jul-05
14.25%
11/07/2000
11/07/2005
11.25%
14-Jul-98
14-Jul-05
14.25%
14-Jul-00
14-Jul-05
11.30%
15-Jul-98
15-Jul-05
14.25%
16-Jul-98
16-Jul-05
14.25%
18-Jul-00
18-Jul-05
11.30%
19-Jul-00
19-Jul-05
11.30%
20-Jul-00
20-Jul-05
11.20%
21-Jul-00
21-Jul-05
11.30%
21-Jul-00
21-Jul-05
11.25%
22-Jul-98
22-Jul-05
14.25%
24-Jul-98
24-Jul-05
14.25%
26-Jul-00
26-Jul-05
11.4%
28/07/2000
28/07/2005
11.90%
28/07/2000
28/07/2005
11.75%
29-Jul-00
29-Jul-05
11.90%
30-Jul-98
30-Jul-05
14.25%
1-Aug-00
1-Aug-05
11.90%
4-Aug-98
4-Aug-05
14.25%
7-Aug-00
7-Aug-05
11.90%
7-Aug-98
7-Aug-05
14.25%
9-Aug-00
9-Aug-05
11.90%
10/08/2000
10/08/2005
11.90%
11-Aug-98
11-Aug-05
14.25%
23-Aug-00
23-Aug-05
11.95%
26-Aug-98
26-Aug-05
14.25%
03/09/1998
03/09/2005
14.00%
04/09/1998
04/09/2005
14%
7-Sep-98
7-Sep-05
14.00%
07/09/1998
07/09/2005
14.25%
8-Sep-00
8-Sep-05
12.25%
10-Sep-98
10-Sep-05
14.25%
11-Sep-98
11-Sep-05
14.25%
12-Sep-98
12-Sep-05
14.25%
13-Sep-00
13-Sep-05
12.25%
14-Sep-00
14-Sep-05
12.00%
14-Sep-98
14-Sep-05
14.25%
15-Sep-00
15-Sep-05
12.25%
18-Sep-98
18-Sep-05
14.25%
18-Sep-00
18-Sep-05
12.15%
18-Sep-00
18-Sep-05
12.05%
19-Sep-98
19-Sep-05
14.25%
21-Sep-00
21-Sep-05
12.40%
23/09/1998
23/09/2005
14.00%
24/09/1998
24/09/2005
14.10%
26-Sep-98
26-Sep-05
14.25%
27-Sep-98
27-Sep-05
14%
27-Sep-00
27-Sep-05
12.25%
29-Sep-98
29-Sep-05
14.25%
30/09/1998
30/09/2005
14.25%
04/10/2000
04/10/2005
12.05%
6-Oct-00
6-Oct-05
12.15%
6-Oct-98
6-Oct-05
14.40% upto 14th Feb, 2002 & 10% p.a. thereafter 14.40% upto 14th Feb, 2002 & 10% p.a. thereafter 14.40% upto 14th Feb, 2002 & 10% p.a. thereafter 14.00%
7-Oct-98
7-Oct-05
8-Oct-98
8-Oct-05
08/10/1998
08/10/2005
13-Oct-00
13-Oct-05
12.10%
17-Oct-98
17-Oct-05
14.00%
26-Oct-98
26-Oct-05
14.25%
27-Oct-98
27-Oct-05
14.25%
27/10/2000
27/10/2005
12.00%
28-Oct-98
28-Oct-05
14.25%
2-Nov-98
2-Nov-05
14.25%
2-Nov-00
2-Nov-05
12.15%
02/11/1998
02/11/2005
3-Nov-00
3-Nov-05
3-Nov-98
3-Nov-05
14.25%
5-Nov-98
5-Nov-05
14.25%
9-Nov-98
9-Nov-05
14.25%
13/11/1998
13/11/2005
16-Nov-00
16-Nov-05
11.75%
17/11/1998
17/11/2005
20-Nov-98
20-Nov-05
25-Nov-00
25-Nov-05
12.00%
26/11/1998
26/11/2005
14.25%
27-Nov-98
27-Nov-05
14.25%
1-Dec-00
1-Dec-05
12%
4-Dec-00
4-Dec-05
12.00%
4-Dec-98
4-Dec-05
14.25%
04/12/2000
04/12/2005
11.65%
7-Dec-00
7-Dec-05
11.80%
8-Dec-00
8-Dec-05
11.75%
08/12/1998
08/12/2005
13-Dec-00
13-Dec-05
11.80%
18-Dec-98
18-Dec-05
14%
18/12/1998
18/12/2005
14.25%
24-Dec-98
24-Dec-05
14%
29-Dec-00
29-Dec-05
11.90%
01/01/1999
01/01/2006
9-Jan-01
9-Jan-06
11/01/1999
11/01/2006
21/01/1999
21/01/2006
25/01/1999
25/01/2006
28/01/1999
28/01/2006
01/02/1999
01/02/2006
11-Mar-99
11-Mar-06
12-Mar-01
12-Mar-06
11.10%
20-Mar-01
20-Mar-06
11.00%
21-Mar-01
21-Mar-06
10.80%
23-Mar-99
23-Mar-06
13.50%
29-Mar-01
29-Mar-06
10.57%
30/03/1999
30/03/2006
13.17%
3-Apr-01
3-Apr-06
11.00%
21-Apr-01
21-Apr-06
10.95%
27/04/2001
27/04/2006
10.80%
28-Apr-01
28-Apr-06
11.05%
30-Apr-01
30-Apr-06
11.05%
30-Apr-01
30-Apr-06
11.05%
16-May-01
16-May-06
10.75%
22-May-01
22-May-06
N.A.
8-Jun-01
8-Jun-06
9.92%
19-Jun-01
19-Jun-06
10.30%
19-Jun-01
19-Jun-06
10.35%
22/06/1998
22/06/2006
14.35%
23-Jun-01
23-Jun-06
10.50%
25-Jun-01
25-Jun-06
10.35%
27/06/2001
27/06/2006
10.25%
05/07/2001
05/07/2006
10.35%
15-Jul-01
15-Jul-06
10.65%
31-Aug-01
31-Aug-06
10.00%
8-Sep-01
8-Sep-06
8.95%
23-Oct-01
23-Oct-06
9.85%
02/11/1998
02/11/2006
14.35%
03/11/1998
03/11/2006
14.35%
09/11/1998
09/11/2006
14.35%
8-Dec-98
8-Dec-06
14.35%
09/12/1998
09/12/2006
14.35%
18-Dec-01
18-Dec-06
9.40%
21-Dec-01
21-Dec-06
9.10%
21/12/1998
21/12/2006
14.35%
22/12/1998
22/12/2006
14.35%
23/12/1998
23/12/2006
14.35%
27/12/2001
27/12/2006
9.70%
4-Jan-02
4-Jan-07
9.50%
7-Mar-02
7-Mar-07
8.95%
18-Mar-02
18-Mar-07
9.35%
28-Mar-02
28-Mar-07
9.50%
9-Jul-97
9-Jul-07
14.50%
26-Jul-00
26-Jul-07
11.75%
7-Aug-00
7-Aug-07
12.00%
8-Aug-00
8-Aug-07
12.00%
10-Aug-00
10-Aug-07
12.00%
19-Aug-00
19-Aug-07
12.00%
20-Aug-97
20-Aug-07
13.00%
9-Sep-97
9-Sep-07
13.50%
22-Sep-97
22-Sep-07
13.50%
23-Sep-97
23-Sep-07
13.50%
29/09/1997
29/09/2007
13.50%
1-Oct-97
1-Oct-07
13.50%
28-Nov-97
28-Nov-07
13.00%
5-Dec-00
5-Dec-07
12.10%
6-Dec-97
6-Dec-07
13.25%
18/12/1997
18/12/2007
13.50%
8-Jan-01
8-Jan-08
11.70%
9-Jan-01
9-Jan-08
11.70%
10-Jan-01
10-Jan-08
11.70%
11-Jan-01
11-Jan-08
11.70%
12-Jan-01
12-Jan-08
11.4%
20/02/1998
13/01/2008
13.25%
16-Jan-01
16-Jan-08
11.70%
17/01/2001
17/01/2008
11.55%
27-Jan-01
27-Jan-08
11.50%
20/02/1998
27/01/2008
13.25%
2-Feb-98
2-Feb-08
13.25%
22/02/2001
22/02/2008
11.20%
28-Feb-01
29-Feb-08
11.20%
2-Mar-01
2-Mar-08
11.2%
02/03/1998
02/03/2008
14.25%
21-Mar-01
21-Mar-08
11.10%
22-Mar-01
22-Mar-08
11.10%
22/03/2001
22/03/2008
11.15%
27-Mar-01
27-Mar-08
11.10%
28-Mar-01
28-Mar-08
11.20%
29/03/2001
29/03/2008
11.20%
02/04/2001
02/04/2008
11.20%
03/04/2001
03/04/2008
11.20%
7-Apr-01
7-Apr-08
11.20%
9-Apr-01
9-Apr-08
11.20%
9-Apr-01
9-Apr-08
11.10%
24-Apr-01
24-Apr-08
11.30%
25-Apr-01
25-Apr-08
11.30%
27/04/2001
27/04/2008
11.20%
10/09/1997
10/09/2004
13.00%
11/09/1997
11/09/2004
13.00%
13/09/1997
13/09/2004
13.00%
06/11/1997
06/11/2004
12.25%
25/03/1998
25/03/2005
15.25%
11/04/1998
11/04/2005
14.00%
13/04/1998
13/04/2005
14.00%
15/04/1998
15/04/2005
14.00%
05/05/1998
05/05/2005
13.90%
08/05/1998
08/05/2005
13.90%
26/11/1997
26/11/2005
12.50%
27/11/1997
27/11/2005
12.50%
28/11/1997
28/11/2005
12.50%
05/12/1997
05/12/2005
12.50%
11/06/1998
11/06/2006
14.35%
12/06/1998
12/06/2006
14.35%
16/06/1998
16/06/2006
14.35%
3-Aug-98
3-Aug-06
14.50%
05/08/1998
05/08/2006
14.50%
01/09/1998
01/09/2006
14.35%
02/09/1998
02/09/2006
14.35%
3-Sep-98
3-Sep-06
14.35%
04/09/1998
04/09/2006
14.35%
10-Dec-97
10-Dec-02
12.50%
22-Dec-97
22-Dec-02
12.50%
5-Aug-98
5-Aug-03
14.10%
16-Sep-98
16-Sep-03
14.05%
14-Oct-00
14-Oct-03
11.90%
18-Sep-97
18-Sep-04
13%
25-Apr-98
25-Apr-05
13.75%
15-Jun-98
15-Jun-05
14.25%
6-Jul-98
6-Jul-05
14.25%
4-Sep-98
4-Sep-05
14.25%
18-Sep-98
18-Sep-05
14.22%
28-Sep-98
28-Sep-05
14.25%
12-Sep-97
12-Sep-07
13.50%
27-Sep-97
27-Sep-07
13.50%
26-Jun-01
26-Jun-06
9.70%
08/03/2004
07/03/2005
5.30% (Actual/365)
12/03/2004
11/03/2005
5.30% (actual/365)
17/03/2004
16/03/2005
20/02/1997
01/02/2002
3-Feb-97
3-Feb-02
15.50%
20-Mar-97
20-Mar-02
15.75%
31-Mar-97
31-Mar-02
15.50%
31-Mar-97
31-Mar-02
15.75%
7-Apr-97
7-Apr-02
15.50%
11-Apr-97
11-Apr-02
15.50%
12-Apr-99
12-Apr-02
12.75
6-May-99
6-May-02
12.50%
9-Jun-95
15-May-02
14%
15-May-97
15-May-02
13.95%
15-May-97
15-May-02
13.95%
30-May-97
29-May-02
13.50%
7-Jun-99
7-Jun-02
12.25%
21-Jun-87
8-Jun-02
11.00%
13-Jun-97
13-Jun-02
13.50%
23-Jun-99
23-Jun-02
12.25%
10-Jun-82
23-Jun-02
7.75%
24-Jun-99
24-Jun-02
12.25%
25-Jun-97
25-Jun-02
14.35%
25-Jun-99
25-Jun-02
12.25%
26-Jun-99
26-Jun-02
12.25%
27-Jun-97
27-Jun-02
13.95%
28-Jun-99
28-Jun-02
12.25%
1-Jul-97
1-Jul-02
13.95%
3-Sep-97
3-Sep-02
12.50%
16-Sep-99
16-Sep-02
12.05%
19-Sep-97
19-Sep-02
12.50%
19-Sep-95
19-Sep-02
16.00%
22-Sep-97
22-Sep-02
12.50%
25-Sep-97
25-Sep-02
12.50%
25-Sep-98
25-Sep-02
14.00%
27-Sep-99
27-Sep-02
12.05%
28-Sep-99
28-Sep-02
12.05%
29-Sep-99
29-Sep-02
12.05%
18-Oct-87
26-Oct-02
11.00%
28-Oct-99
28-Oct-02
12.05%
29-Oct-99
29-Oct-02
12.05%
2-Nov-99
2-Nov-02
12.05%
3-Nov-99
3-Nov-02
12.05%
5-Nov-99
5-Nov-02
12.05%
5-Nov-99
5-Nov-02
12.25%
5-Nov-97
5-Nov-02
12.25%
17-Nov-99
17-Nov-02
12.00%
18-Nov-97
18-Nov-02
12.00%
19-Nov-99
19-Nov-02
12.00%
20-Nov-99
20-Nov-02
12.00%
24-Nov-99
24-Nov-02
12.00%
25-Nov-99
25-Nov-02
12.00%
26/11/1999
26/11/2002
12.00%
27-Nov-97
27-Nov-02
12.75%
27-Nov-99
27-Nov-02
12%
29-Nov-99
29-Nov-02
12.00%
30-Nov-99
30-Nov-02
12.00%
1-Dec-99
1-Dec-02
12.00%
2-Dec-99
2-Dec-02
12.00%
4-Dec-99
4-Dec-02
12.00%
4-Dec-97
4-Dec-02
12.85%
6-Dec-99
6-Dec-02
12.00%
18-Dec-99
18-Dec-02
12.05%
28-Jan-98
28-Jan-03
12.75%
29-Feb-88
1-Feb-03
11.00%
9-Feb-98
9-Feb-03
14.50%
19-Feb-98
19-Feb-03
14.00%
20-Feb-98
20-Feb-03
14.75%
24-Feb-98
24-Feb-03
14.75%
1-Mar-00
1-Mar-03
9-Mar-98
9-Mar-03
Floating Rate ( Spread over the benchmark rate on the Reset Reference Date) every year) 15.00%
16-Mar-98
16-Mar-03
15.00%
17-Mar-98
17-Mar-03
14.00%
18-Mar-98
18-Mar-03
15.20%
21-Mar-98
21-Mar-03
15.20%
24-Mar-98
24-Mar-03
15.00%
25-Mar-98
25-Mar-03
15%
30-Mar-98
30-Mar-03
15.00%
4/30/1996
30-Apr-03
16.00%
4-May-98
4-May-03
13.60%
5-May-98
5-May-03
13.60%
8-May-98
8-May-03
13.50%
5/15/1996
15-May-03
16.00%
5/30/1996
30-May-03
16.00%
6/6/1996
6-Jun-03
16.00%
6-Jun-96
6-Jun-03
0.00%
10-Jun-98
10-Jun-03
13.55%
6/11/1996
11-Jun-03
16.00%
12-Jun-96
12-Jun-03
0.00%
15-Jun-98
15-Jun-03
13.90%
15-Jun-98
15-Jun-03
13.55%
20-Jun-98
20-Jun-03
13.70%
6-Jul-98
6-Jul-03
14.30%
16-Jul-98
16-Jul-03
14.30%
20-Jul-98
20-Jul-03
13.75%
22-Jul-98
22-Jul-03
13.75%
22-Jul-98
22-Jul-03
14.30%
28-Jul-98
28-Jul-03
14.25%
3-Aug-98
3-Aug-03
13.75%
3-Aug-98
3-Aug-03
14.17%
4-Aug-98
4-Aug-03
13.75%
5-Aug-98
5-Aug-03
13.75%
5-Aug-98
5-Aug-03
14.25%
6-Aug-98
6-Aug-03
14.00%
24-Oct-98
24-Oct-03
13.85%
30-Oct-98
30-Oct-03
14%
5-Nov-98
5-Nov-03
14%
6-Nov-00
6-Nov-03
11.80%
6-Nov-98
6-Nov-03
12.75%
23-Nov-98
23-Nov-03
14%
13-Dec-00
13-Dec-03
11.50%
29-Dec-98
29-Dec-03
14.10%
30-Dec-98
30-Dec-03
14.10%
30-Dec-98
30-Dec-03
14.10%
4-Jan-99
4-Jan-04
14.10%
5-Jan-89
5-Jan-04
9% (Tax Free)
7-Jan-99
7-Jan-04
14.10%
8-Jan-01
8-Jan-04
9-Jan-01
9-Jan-04
11-Jan-99
11-Jan-04
14.10%
19-Jan-99
19-Jan-04
14.10%
22-Jan-99
22-Jan-04
14.10%
25-Jan-99
25-Jan-04
14.10%
28-Jan-99
28-Jan-04
14.10%
29-Jan-99
29-Jan-04
14.10%
3-Feb-99
3-Feb-04
14.10%
4-Feb-99
4-Feb-04
14.00%
5-Feb-99
5-Feb-04
14.10%
6-Feb-99
6-Feb-04
14.10%
9-Feb-99
9-Feb-04
14.10%
18-Feb-99
18-Feb-04
14.00%
19-Feb-99
19-Feb-04
14%
22-Feb-99
22-Feb-04
14.00%
24-Feb-99
24-Feb-04
14%
27-Feb-99
27-Feb-04
14.00%
3-Mar-99
3-Mar-04
13.75%
11-Apr-01
11-Apr-04
10.95%
15-Apr-01
15-Apr-04
10.70%
17-May-01
17-May-04
0%
16-May-01
17-May-04
N.A.
23-May-01
23-May-04
Zero Coupon
24-May-01
24-May-04
Zero Coupon
25-May-01
25-May-04
10.30%
31-May-01
31-May-04
10.25%
18-Jun-01
18-Jun-04
10.00%
7/12/2001
12-Jul-04
0%
14-Jul-97
14-Jul-04
13.50%
10-Sep-01
10-Sep-04
Zero Coupon
24-Sep-01
24-Sep-04
10.00%
24-Sep-97
24-Sep-04
13.00%
25-Sep-97
25-Sep-04
13.00%
27-Sep-01
27-Sep-04
9%
29-Sep-97
29-Sep-04
13.00%
12-Nov-01
12-Nov-04
9%
12-Nov-01
12-Nov-04
9.50%
5-Dec-01
5-Dec-04
9.43%
12-Dec-97
12-Dec-04
12.75%
19-12-1997
19-Dec-04
13.25%
24-Dec-01
24-Dec-04
9%
1-Jan-02
1-Jan-05
N.A
1-Jan-02
1-Jan-05
Zero Coupon
8-Jan-02
8-Jan-05
9.50%
22-Jan-02
22-Jan-05
9.55%
22-Jan-98
22-Jan-05
13.00%
23-Jan-02
23-Jan-05
9%
27-Sep-01
27-Jan-05
N.A.
11-Feb-98
11-Feb-05
14.00%
14-Feb-98
14-Feb-05
14.76%
17-Feb-98
17-Feb-05
14.25%
18-Feb-98
18-Feb-05
14.25%
19-Feb-02
19-Feb-05
8.35%
19-Feb-02
19-Feb-05
9%
27-Feb-98
27-Feb-05
14.25%
12-Nov-01
12-Mar-05
N.A.
20-Mar-98
20-Mar-05
14.25%
26-Mar-02
26-Mar-05
8.60%
27-Mar-02
27-Mar-05
9%
24-Dec-01
24-Apr-05
Zero
23-Jan-02
23-May-05
N.A.
18-Jun-98
18-Jun-05
14.25%
19-Feb-02
19-Jun-05
Zero
2-Jul-98
2-Jul-05
14.25%
8-Jul-98
8-Jul-05
14.25%
8-Jul-98
8-Jul-05
14.25%
13-Jul-98
13-Jul-05
14.25%
20/07/1998
20/07/2005
14.25%
21-Jul-98
21-Jul-05
14.25%
21-Jul-00
21-Jul-05
11.25%
27-Mar-02
27-Jul-05
Zero
28-Aug-98
28-Aug-05
14.25%
4-Sep-98
4-Sep-05
14.00%
5-Sep-98
5-Sep-05
14.00%
5-Sep-98
5-Sep-05
14.00%
6-Sep-00
6-Sep-05
12.00%
11-Sep-98
11-Sep-05
14.00%
11-Sep-00
11-Sep-05
12.00%
16-Sep-98
16-Sep-05
14.25%
25-Sep-98
25-Sep-05
14.25%
9-Oct-00
9-Oct-05
Zero Coupon
31-Oct-98
31-Oct-05
14.00%
1-Nov-00
1-Nov-05
10.00%
11-Nov-98
11-Nov-05
14.00%
17-Nov-00
17-Nov-05
11.90%
29-Nov-00
29-Nov-05
12.00%
30-Nov-00
30-Nov-05
11.40%
30-Nov-00
30-Nov-05
11.80%
30-Nov-00
30-Nov-05
12.00%
1-Dec-00
1-Dec-05
12.00%
8-Dec-00
8-Dec-05
11.75%
9-Jan-01
9-Jan-06
11.25%
16-Jan-01
16-Jan-06
11.45%
19-Jan-99
19-Jan-06
14.25%
1-Feb-99
1-Feb-06
14.25%
17-Feb-01
17-Feb-06
11.20%
27-Sep-01
27-Feb-06
N.A.
31-Mar-99
31-Mar-06
13.42%
9-Apr-01
9-Apr-06
10.70%
12-Apr-01
12-Apr-06
10.75%
12-Nov-01
12-Apr-06
N.A.
31-May-01
31-May-06
10.25%
1-Jun-01
1-Jun-06
10.25%
13-Jun-01
13-Jun-06
10.00%
19-Jul-01
19-Jul-06
9.35%
24-Dec-01
24-Jul-06
N.A.
19-Feb-02
19-Aug-06
N.A.
20-Aug-01
20-Aug-06
23-Aug-01
23-Aug-06
23-Aug-01
23-Aug-06
23-Jan-02
23-Aug-06
31-Aug-01
31-Aug-06
Zero Coupon
27-Sep-01
27-Sep-06
9.25%
27-Sep-01
27-Sep-06
9.50%
27-Sep-01
27-Sep-06
9.75%
12-Nov-01
12-Nov-06
9.25%
12-Nov-01
12-Nov-06
9.50%
12-Nov-01
12-Nov-06
9.75%
29-Nov-01
29-Nov-06
Zero Coupon
29-Nov-01
29-Nov-06
29-Nov-01
29-Nov-06
29-Nov-01
29-Nov-06
Zero Coupon
5-Dec-01
5-Dec-06
9.15%
7-Dec-01
7-Dec-06
9.05%
27-Dec-01
27-Dec-06
9.25%
29-Dec-01
29-Dec-06
9.05%
1-Jan-02
1-Jan-07
9.50%
8-Jan-02
8-Jan-07
9.35%
17/01/2002
17/01/2007
9.45%
22/01/2002
22/01/2007
9.20%
24-Jan-02
24-Jan-07
9.25%
19-Feb-02
19-Feb-07
N.A.
27-Mar-02
27-Mar-07
9.25%
5-May-01
5-May-07
11.05%
09/08/2000
09/08/2007
12.00%
10-Sep-01
10-Sep-07
10.00%
27-Sep-01
27-Mar-08
N.A.
27-Mar-02
27-Mar-08
9.25%
29-Jul-98
29-Jul-03
14.20%
17-Apr-03
15-Jul-03
NSE Mibor
19-Apr-03
17-Jul-03
NSE Mibor
24/04/2003
22/07/2003
NSE Mibor
26/04/2003
24/07/2003
NSE Mibor
28/04/2003
25/07/2003
03/05/2003
31/07/2003
NSE Mibor
07/05/2003
04/08/2003
NSE MIBOR
17/05/2003
14/08/2003
NSE MIBOR
30/05/2003
27/08/2003
NSE MIBOR
24/03/2004
21/06/2004
NSE Mibor
31/03/2004
28/06/2004
NSE Mibor
16/04/2004
14/07/2004
27/04/2004
23/07/2004
NSE Mibor
06/05/2004
03/08/2004
NSE Mibor
08/05/2004
05/08/2004
NSE MIBOR
3-Oct-02
NSE Mibor
9-Oct-02
NSE Mibor
16-Jul-02
10-Oct-02
15-Jul-02
11-Oct-02
Reuter's Mibor (10.00 a.m.) (Interest will be compounded daily, NSE Mibor
18-Jul-02
14-Oct-02
NSE Mibor
28-Oct-02
NSE Mibor
1-Nov-02
1-Nov-02
NSE Mibor
21-Nov-02
NSE Mibor
3-Dec-02
NSE Mibor
14-Sep-02
12-Dec-02
NSE Mibor
26-Sep-02
26-Dec-02
NSE Mibor
5-Oct-02
2-Jan-03
NSE Mibor
11-Oct-02
8-Jan-03
NSE Mibor
14-Oct-02
9-Jan-03
NSE Mibor
23-Oct-02
17-Jan-03
NSE Mibor
25-Oct-02
22-Jan-03
NSE Mibor
31-Oct-02
28-Jan-03
NSE Mibor
1-Nov-02
29-Jan-03
20-Nov-02
17-Feb-03
6.05%
21-Nov-02
18-Feb-03
23-Nov-02
20-Feb-03
29-Nov-02
26-Feb-03
5.95%
3-Dec-02
28-Feb-03
NSE Mibor
4-Dec-02
3-Mar-03
NSE Mibor
10-Dec-02
7-Mar-03
NSE Mibor 6.42% NSE Mibor 6.42% NSE Mibor 6.42% NSE Mibor
14-Dec-02
13-Mar-03
16-Dec-02
14-Mar-03
21-Mar-03
25-Mar-03
NSE Mibor
30-Dec-02
28-Mar-03
7.00%
8-Jan-03
7-Apr-03
6.05%
09/01/2003
4/8/2003
NSE Mibor
10/01/2003
4/9/2003
6.10%
10-Jan-03
9-Apr-03
6.00%
16-Jan-03
10-Apr-03
NSE MIBOR
22-Jan-03
21-Apr-03
NSE MIBOR
28-Jan-03
25-Apr-03
NSE Mibor
29-Jan-03
28-Apr-03
30-Jan-03
29-Apr-03
NSE Mibor
6-Feb-03
6-May-03
NSE Mibor
15-Feb-03
14-May-03
NSE Mibor
20/02/2003
20/05/2003
NSE Mibor
26-Feb-03
26-May-03
NSE Mibor
4-Mar-03
30-May-03
Reuters Mibor
5-Mar-03
2-Jun-03
NSE Mibor
24-Mar-03
20-Jun-03
NSE Mibor
3-Apr-03
1-Jul-03
NSE Mibor
09/04/2003
04/07/2003
NSE Mibor
10/04/2003
08/07/2003
NSE Mibor
10/06/2003
05/09/2003
NSE Mibor
14/06/2003
11/09/2003
NSE Mibor
19/06/2003
16/09/2003
NSE Mibor
20/06/2003
17/09/2003
NSE Mibor
27-Jun-03
24-Sep-03
NSE Mibor
28-Jun-03
25-Sep-03
NSE Mibor
03/10/2003
NSE Mibor
09/10/2003
NSE Mibor
15/07/2003
10/10/2003
NSE Mibor
16/07/2003
13/10/2003
NSE Mibor
17/07/2003
14/10/2003
NSE Mibor
18/07/2003
15/10/2003
NSE Mibor
17/10/2003
NSE Mibor
20/10/2003
NSE Mibor
25/07/2003
22/10/2003
01/08/2003
29/10/2003
NSE Mibor
04/08/2003
30/10/2003
NSE Mibor
07/08/2003
04/11/2003
NSE Mibor
09/08/2003
06/11/2003
NSE Mibor
16/08/2003
13/11/2003
NSE Mibor
27/08/2003
24/11/2003
NSE Mibor
29/08/2003
25/11/2003
NSE Mibor
28/11/2003
NSE Mibor
03/12/2003
NSE Mibor
06/09/2003
04/12/2003
NSE Mibor
18/09/2003
16/12/2003
NSE Mibor
24-Sep-03
22-Dec-03
NSE Mibor
25/09/2003
23/12/2003
NSE Mibor
03/10/2003
30/12/2003
NSE Mibor
09/10/2003
06/01/2004
NSE Mibor
14/10/2003
09/01/2004
NSE MIBOR
22/10/2003
19/01/2004
22/10/2003
19/01/2004
NSE Mibor
23/01/2004
NSE Mibor
30/01/2004
NSE Mibor
6-Nov-03
3-Feb-04
NSE Mibor
12/11/2003
09/02/2004
NSE Mibor
13-Nov-03
10-Feb-04
NSE Mibor
17/11/2003
13/02/2004
NSE MIBOR
19/11/2003
16/02/2004
NSE MIBOR
20/11/2003
17/02/2004
NSE MIBOR
20/02/2004
NSE Mibor
25/02/2004
NSE MIBOR
02/12/2003
28/02/2004
NSE MIBOR
03/12/2003
01/03/2004
NSE MIBOR
11/12/2003
09/03/2004
NSE Mibor
18/12/2003
16/03/2004
NSE Mibor
19/12/2003
17/03/2004
NSE Mibor
22/12/2003
19/03/2004
NSE Mibor
31/12/2003
29/03/2004
NSE Mibor
03/01/2004
01/04/2004
NSE Mibor
09/01/2004
07/04/2004
NSE Mibor
19/01/2004
16/04/2004
NSE Mibor
19/01/2004
16/04/2004
23/01/2004
21/04/2004
NSE Mibor
28/01/2004
26/04/2004
NSE Mibor
31/01/2004
29/04/2004
NSE Mibor
05/02/2004
03/05/2004
NSE Mibor
06/02/2004
05/05/2004
NSE Mibor
11/02/2004
10/05/2004
NSE Mibor
14/02/2004
13/05/2004
NSE Mibor
16/02/2004
14/05/2004
NSE MIBOR
20/02/2004
19/05/2004
NSE Mibor
26/02/2004
25/05/2004
NSE Mibor
04/03/2004
01/06/2004
NSE Mibor
05/03/2004
02/06/2004
NSE Mibor
06/03/2004
03/06/2004
NSE Mibor
13/03/2004
10/06/2004
NSE Mibor
17/03/2004
14/06/2004
NSE Mibor
18/03/2004
15/06/2004
NSE Mibor
05/04/2004
02/07/2004
NSE Mibor
07/04/2004
05/07/2004
NSE Mibor
08/04/2004
06/07/2004
NSE Mibor
10/04/2004
08/07/2004
NSE Mibor
12/04/2004
09/07/2004
NSE Mibor
21/04/2004
19/07/2004
NSE Mibor
23/04/2004
21/07/2004
NSE Mibor
14/05/2004
11/08/2004
NSE MIBOR
18/05/2004
13/08/2004
NSE MIBOR
19/05/2004
16/08/2004
NSE MIBOR
20/05/2004
17/08/2004
NSE Mibor
26-May-04
23-Aug-04
NSE Mibor
27/05/2004
24/08/2004
09/06/2004
06/09/2004
NSE Mibor
18/06/2004
15/09/2004
NSE Mibor
19/06/2004
16/09/2004
NSE Mibor
14/07/2004
11/10/2004
15/07/2004
12/10/2004
NSE MIBOR
16/07/2004
13/10/2004
NSE Mibor
23/07/2004
20/10/2004
NSE Mibor
7-Apr-97
7-Apr-02
15%
6-Oct-97
6-Oct-02
12.50%
5-Jan-98
5-Jan-03
12.00%
16-Feb-98
16-Feb-03
13.00%
24-Mar-98
6-Apr-03
14.75%
26-Mar-98
8-Apr-03
14.50%
15-Jul-98
15-Jul-03
12.75%
15-Jul-98
15-Jul-03
13.10%
15-Jul-98
15-Jul-03
13.50%
15-Jul-98
15-Jul-03
N.A.
7-Aug-98
7-Aug-03
13.75%
8-Sep-98
8-Sep-03
12.75%
4-Oct-00
4-Oct-03
11.40%
4-Oct-00
4-Oct-03
11.75%
5-Oct-98
5-Oct-03
13.75%
31-Oct-98
31-Oct-03
12.75%
12-Dec-98
12-Dec-03
13.75%
2-Jul-01
2-Jul-04
10.25%
2-Jul-01
2-Jul-04
10.50%
6-Oct-97
6-Oct-04
13.00%
5-Jan-98
5-Jan-05
12.25%
16-Feb-98
16-Feb-05
13.25%
6-Jan-00
6-Apr-05
12.10%
7-Aug-98
7-Aug-05
14.00%
3-Oct-98
3-Oct-05
14.00%
4-Oct-00
4-Oct-05
12.00%
5-Oct-98
5-Oct-05
14.00%
8-Dec-00
8-Dec-05
11.50%
12-Dec-98
12-Dec-05
14.00%
1-Dec-00
29-Dec-05
11.70%
9-Jan-01
9-Jan-06
11.10%
6-Jan-00
6-Apr-07
12.30%
20-Feb-02
20-Aug-07
9.80%
16-Feb-98
16-Feb-08
13.50%
8-Jan-03
24-Mar-03
NSE Mibor
09-Jan-03 29-Jan-03
25-Mar-03
NSE Mibor
31-Jan-03
27-Mar-03
NSE Mibor
2-Jan-03
28-Mar-03
NSE Mibor
1-Jan-03
31-Mar-03
NSE Mibor
01/10/2003
01/05/2006
6.00%
28-May-02
26-Aug-02
8.75%
31-May-02
28-Aug-02
8.75%
12-Jun-02
9-Sep-02
8.75%
17-Jun-02
14-Sep-02
8.75%
24-Jun-02
20-Sep-02
8.75%
30-Apr-02
30-Sep-02
8.75%
7-Oct-02
3-Jan-03
9.00%
26-Nov-02
23-Feb-03
8.50%
28-Mar-02
28-Mar-03
11.50%
28-May-02
28-May-03
10.50%
14/05/2003
11/08/2003
9.00%
17/07/2003
14/10/2003
8.00%
04/09/2003
02/12/2003
8.00%
27/06/2003
26/06/2004
10.00%
3/10/1987
3/10/2002
11%
24.11.1987
11/24/2002
11%
2/17/1988
2/17/2003
11%
20-Dec-00
20-Dec-05
12.70%
20-Jul-01
20-Jul-06
11.20%
14.09.1992
9/14/2007
13%
20-Jul-98
20-Jul-03
13.75%
20/01/1999
20/01/2004
9.00%
01/03/1999
01/03/2004
9.00%
07/06/1999
07/06/2004
9.00%
20-Jul-01
20-Jul-04
First Year - 10.5% Second Year - 11% Third Year - 11.25% 9.00%
20/07/2001
20/07/2004
22/07/1999
22/07/2004
9.00%
25/10/1999
25/10/2004
9.00%
20/11/1999
20/11/2004
9.00%
15/01/1998
15/01/2005
9.00%
20/01/2000
20/01/2005
9.00%
25/01/1998
25/01/2005
9.00%
20/03/2000
20/03/2005
9.00%
18/05/2000
18/05/2005
9.00%
20-Jul-98
20-Jul-05
14.00%
20-Jul-98
20-Jul-05
14.25%
08/08/2000
08/08/2005
9.00%
20/09/2000
20/09/2005
9.00%
20/11/2000
20/11/2005
9.00%
20/12/2000
20/12/2005
9.00%
20/01/1999
20/01/2006
9.00%
01/03/1999
01/03/2006
9.00%
31/03/1999
31/03/2006
9.00%
20-May-01
20-May-06
11.75%
20/05/2001
20/05/2006
9.00%
07/06/1999
07/06/2006
9.00%
20/07/2001
20/07/2006
9.00%
22/07/1999
22/07/2006
9.0%
08/08/2000
08/08/2006
9.00%
25/10/1999
25/10/2006
9.00%
20/11/1999
20/11/2006
9.00%
20/01/2000
20/01/2007
9.00%
20/03/2000
20/03/2007
9.00%
20/04/2000
20/04/2007
9.00%
18/05/2000
18/05/2007
9.00%
08/08/2000
08/08/2007
9.00%
20/09/2000
20/09/2007
9.00%
20/11/2000
20/11/2007
9.00%
25/01/1998
25/01/2008
9.00%
20/03/2000
20/03/2008
9.00%
20/03/2001
20/03/2008
9.00%
31/03/1999
31/03/2008
9.00%
9-Nov-01
5-Feb-02
11.50%
27-Dec-00
26-Dec-03
12.25%
26-Jan-99
25-Jan-04
14.25%
3-Jun-00
2-Jun-05
12.75%
31-Jan-02
6-Feb-07
10.50%
30-Apr-02
30-Apr-07
10.50%
11-Oct-02
10-Oct-07
9.25%
23-Aug-02
20-Nov-02
Overnight NSE MIBOR + 30 bps per annum compounded daily NSE Overnight Mibor + 30 basis points per annum compounded daily Overnight Mibor + NSE 30 basis points per annum compounded daily Overnight Mibor + NSE 30 basis points per annum compounded daily O/N MIBOR+ NSE 0.25%
20-Nov-02
17-Feb-03
17-Feb-03
16-May-03
17-Feb-03
16-May-03
26-Sep-03
24-Dec-03
24-Aug-01
22-Feb-04
10.60%
20-Nov-02
20-Nov-07
6.60%
20-Nov-02
20-Nov-07
6.60%
18-Jan-99
18-Jan-04
13.75%
8-Mar-01
8-Oct-06
11.45%
31-Dec-01
31-Jul-07
9.40%
8-Dec-01
11-Jun-02
8.30%
19-Jun-02
16-Sep-02
8.50%
3-Jul-02
30-Sep-02
7.40%
3-Sep-02
27-Nov-02
6.40%
8-Dec-01
10-Dec-02
8.75%
27-Sep-02
24-Mar-03
6.40%
27-Sep-02 01-Oct-02
24-Mar-03
6.45%
24-Mar-03
6.45%
29-Apr-03
Mibor + 75 bps
27-Sep-02
27-Sep-03
6.60%
22/04/2003
17/10/2003
Mibor + 50 bps
04/08/2003
1/30/2004
Mibor + 25 bps
23/10/2003
20/04/2004
Mibor + 25 bps
4-Jul-97
4-Jul-04
14.20%
25/07/2001
25/07/2004
10.20%
31-May-99
31-May-05
14.50%
31/05/1999
31/05/2005
14.50%
25-Jun-02
25-Jun-07
9.90%
25-Jun-02
25-Jun-07
9.90%
12-Jul-02
12-Jul-07
9.60%
12-Jul-02
12-Jul-07
9.60%
22-Jun-99
22-Jun-02
12.90%
15-Jul-99
15-Jul-02
12.80%
13-Sep-01
13-Sep-02
10.45%
3-Apr-93
3-Apr-03
10.50%
8-May-93
8-May-03
10.50%
22-Jun-99
22-Jun-03
12.90%
15-Jul-99
15-Jul-03
12.80%
29-Aug-02
29-Aug-03
8.00%
13-Sep-01
13-Sep-03
10.45%
29-Oct-02
29-Oct-03
6.90%
29-Oct-02
29-Oct-03
7.63%
8-Mar-97
8-Mar-04
10.50%
15-Mar-02
15-Mar-04
8.71%
31-Mar-03
31-Mar-04
6.98%
13/05/2003
13/05/2004
6.10%
13/05/2003
13/05/2004
6.39%
22-Jun-99
22-Jun-04
12.90%
26-Jun-97
26-Jun-04
10.50%
15-Jul-99
15-Jul-04
12.80%
12/08/2003
12/08/2004
5.99%
12/08/2003
12/08/2004
6.25%
29-Aug-02
29-Aug-04
8.00%
13-Sep-01
13-Sep-04
10.45%
13-Sep-01
13-Sep-04
9.95%
13-Sep-01
13-Sep-04
10.45%
13-Sep-01
13-Sep-04
9.95%
29-Oct-02
29-Oct-04
6.90%
29-Oct-02
29-Oct-04
7.63%
15-Mar-02
15-Mar-05
8.71%
26/03/2004
26/03/2005
5.99%
31-Mar-98
31-Mar-05
10.50%
31-Mar-03
31-Mar-05
6.98%
13/05/2003
13/05/2005
6.39%
22-Jun-99
22-Jun-05
12.90%
15-Jul-99
15-Jul-05
12.80%
12/08/2003
12/08/2005
5.99%
12/08/2003
12/08/2005
6.25%
29-Aug-02
29-Aug-05
8.00%
13-Sep-01
13-Sep-05
10.45%
13-Sep-01
13-Sep-05
9.95%
13-Sep-01
13-Sep-05
10.45%
13-Sep-01
13-Sep-05
9.95%
29-Oct-02
29-Oct-05
6.90%
29-Oct-02
29-Oct-05
7.63%
17-Jan-01
17-Jan-06
11.05%
22-Jan-01
22-Jan-06
11.10%
15-Mar-02
15-Mar-06
8.71%
26/03/2004
26/03/2006
5.99%
30-Mar-01
30-Mar-06
10.90%
30-Mar-01
30-Mar-06
10.90%
31-Mar-01
31-Mar-06
10.90%
31-Mar-03
31-Mar-06
6.98%
9-Apr-99
9-Apr-06
10.75%
13/05/2003
13/05/2006
6.10%
13/05/2003
13/05/2006
6.39%
22-Jun-99
22-Jun-06
12.90%
15-Jul-99
15-Jul-06
12.80%
18-Jul-01
18-Jul-06
9.25%
12/08/2003
12/08/2006
5.99%
12/08/2003
12/08/2006
6.20%
12/08/2003
12/08/2006
6.25%
14-Aug-01
14-Aug-06
9.25%
29-Aug-02
29-Aug-06
8.00%
13-Sep-01
13-Sep-06
10.45%
13-Sep-01
13-Sep-06
9.95%
13-Sep-01
13-Sep-06
10.45%
13-Sep-01
13-Sep-06
9.95%
29-Oct-02
29-Oct-06
6.90%
29-Oct-02
29-Oct-06
7.63%
15-Mar-02
15-Mar-07
8.71%
26/03/2004
26/03/2007
5.99%
27-Mar-02
27-Mar-07
7.80%
31-Mar-00
31-Mar-07
10.95%
31-Mar-03
31-Mar-07
6.98%
18-Apr-00
18-Apr-07
10.80%
20-Apr-00
20-Apr-07
10.80%
13/05/2003
13/05/2007
6.39%
14-May-02
14-May-07
8.40%
22-Jun-99
22-Jun-07
12.90%
14-Jul-00
14-Jul-07
10.90%
15-Jul-99
15-Jul-07
12.80%
15-Jul-02
15-Jul-07
8.05%
1-Aug-02
1-Aug-07
7.95%
12/08/2003
12/08/2007
5.99%
12/08/2003
12/08/2007
6.25%
29-Aug-02
29-Aug-07
8.00%
29-Aug-02
29-Aug-07
7.65%
13-Sep-01
13-Sep-07
10.45%
13-Sep-01
13-Sep-07
9.95%
13-Sep-01
13-Sep-07
10.45%
13-Sep-01
13-Sep-07
9.95%
29-Oct-02
29-Oct-07
6.90%
29-Oct-02
29-Oct-07
7.63%
24-Nov-00
24-Nov-07
11.70%
26/03/2004
26/03/2008
5.99%
30-Mar-98
30-Mar-08
10.50%
31-Mar-03
31-Mar-08
5.20%
31-Mar-03
31-Mar-08
6.98%
31-Mar-03
31-Mar-08
6.10%
31-Mar-03
31-Mar-08
6.10%
30-Mar-96
30-Mar-03
10.50%
1-Jan-97
1-Jan-04
10.50%
27-Mar-97
27-Mar-04
10.50%
31-Mar-97
31-Mar-04
10.50%
17-Feb-98
17-Feb-05
9.50%
23-Feb-98
23-Feb-05
9.50%
23-Mar-98
23-Mar-05
9.50%
22-Dec-98
22-Dec-05
10.50%
5-Jan-99
5-Jan-06
10.50%
16-Mar-99
16-Mar-06
10.50%
17-Mar-99
17-Mar-06
10.50%
1-Oct-99
1-Oct-06
10.00%
30-Aug-00
30-Aug-07
8.50%
31-Aug-00
31-Aug-07
8.75%
1-Sep-00
1-Sep-07
9.00%
1-Jun-01
1-Jun-04
10.00%
6-Jun-01
6-Jun-04
9.70%
25-Jul-01
25-Jul-04
9.45%
25-Jul-01
25-Jul-04
9.45%
23-Apr-02
23-Apr-07
8.70%
23-Apr-02
23-Apr-07
8.70%
8-Jan-03
8-Jan-08
6.20%
14-Jan-03
14-Jan-08
5.95%
5/30/2006
12%
1-Mar-01
30-May-06
12%
2-Jun-87
2-Jun-02
11.00%
23-Sep-87
23-Sep-02
11.00%
8-Dec-87
8-Dec-02
11.00%
8-Mar-88
8-Mar-03
11.00%
25-Aug-93
25-Aug-03
13.50%
7-Oct-92
23-Sep-07
13.00%
7-Oct-92
7-Oct-07
13.00%
2-Dec-92
2-Dec-07
13.00%
30-Jul-99
30-Jul-02
12.20%
6-Aug-99
6-Aug-02
12.00%
3-Sep-99
3-Sep-02
12.00%
4-Oct-99
4-Oct-02
12.00%
17-Oct-97
17-Oct-02
12.25%
2-Nov-99
2-Nov-02
12.00%
7-Nov-97
7-Nov-02
12.00%
26-Nov-99
26-Nov-02
11.90%
30-Nov-99
30-Nov-02
11.90%
29-Nov-99
29-Dec-02
11.90%
8-Jan-00
8-Jan-03
11.65%
19-Feb-98
19-Feb-03
14.80%
19-Feb-98
19-Feb-03
20.00%
20-Feb-98
20-Feb-03
14.80%
24-Feb-98
24-Feb-03
14.80%
26-Feb-98
26-Feb-03
14.80%
27-Feb-98
27-Feb-03
14.80%
3-Mar-98
3-Mar-03
14.80%
18-Mar-98
18-Mar-03
14.75%
19-Mar-98
19-Mar-03
14.75%
25-Mar-98
25-Mar-03
14.00%
27-Mar-98
27-Mar-03
14.00%
11-Aug-98
11-Aug-03
13.50%
2/3/1999
2/3/2004
13.75%
17-Feb-01
17-Feb-04
11.00%
6-Apr-99
6-Apr-04
13.25%
08/05/2001
08/05/2004
10.30%
18-May-01
18-May-04
10.35%
6-Jun-01
6-Jun-04
10.00%
15/06/1999
15/06/2004
12.50%
27-Jun-01
27-Jun-04
9.60%
28-Jun-99
28-Jun-04
12.50%
29/06/2001
29/06/2004
9.75%
01/07/1999
01/07/2004
12.25%
01/07/1999
01/07/2004
12.50%
02/07/1999
02/07/2004
12.25%
02/07/1999
02/07/2004
12.50%
4-Jul-01
4-Jul-04
9.50%
5-Jul-01
5-Jul-04
N.A.
5-Jul-01
5-Jul-04
N.A.
6-Jul-01
6-Jul-04
9.40%
06/07/1999
06/07/2004
12.50%
08/07/1999
08/07/2004
12.5%
08/07/1999
08/07/2004
12.40%
12-Jul-01
12-Jul-04
9.20%
22/07/1999
22/07/2004
12.50%
23/07/1999
23/07/2004
12.40%
24/07/1997
24/07/2004
12.75%
27-Jul-99
27-Jul-04
12.50%
28-Jul-99
28-Jul-04
12.50%
31/07/1999
31/07/2004
12.70%
13/08/1999
13/08/2004
12.50%
20-Aug-99
20-Aug-04
12.50%
23-Aug-99
23-Aug-04
12.50%
24-Aug-99
24-Aug-04
12.50%
26-Aug-99
26-Aug-04
12.50%
27-Aug-99
27-Aug-04
12.50%
01/09/1999
01/09/2004
12.40%
2-Sep-97
2-Sep-04
13.00%
06/09/1999
06/09/2004
12.40%
07/09/1999
07/09/2004
12.40%
10-Sep-99
10-Sep-04
12.50%
13-Sep-97
13-Sep-04
N.A.
14/09/1999
14/09/2004
12.50%
20-Sep-97
20-Sep-04
N.A.
20/09/1999
20/09/2004
12.30%
23-Sep-99
23-Sep-04
12.25%
23-Sep-97
23-Sep-04
13.25%
24/09/1997
24/09/2004
13.25%
28/09/1999
28/09/2004
12.20%
01/10/1997
01/10/2004
12.75%
03/10/1997
03/10/2004
13.25%
6-Oct-97
6-Oct-04
13.25%
07/10/1997
07/10/2004
13.25%
13-Oct-97
13-Oct-04
12.75%
14-Oct-97
14-Oct-04
13.00%
15/10/1999
15/10/2004
12.1%
29/10/1999
29/10/2004
12.15%
31-Oct-97
31-Oct-04
12.25%
31-Oct-97
31-Oct-04
12.65%
3-Nov-97
3-Nov-04
12.25%
6-Nov-97
6-Nov-04
12.00%
11/11/1997
11/11/2004
12.36%
13-Nov-97
13-Nov-04
12.25%
17/11/1997
17/11/2004
12.36%
19-Nov-97
19-Nov-04
12.00%
29/11/1999
29/11/2004
12.00%
1-Dec-97
1-Dec-04
12.75%
2-Dec-97
2-Dec-04
12.75%
8-Dec-97
8-Dec-04
12.40%
18/12/2001
18/12/2004
9.25%
29/12/1997
29/12/2004
12.90%
02/01/1998
02/01/2005
12.90%
31-Jan-97
31-Jan-05
24.50%
31-Jan-97
31-Jan-05
15.50%
31-Jan-97
31-Jan-05
15.00%
5-Feb-02
5-Feb-05
9%
5-Feb-02
5-Feb-05
N.A.
13-Mar-00
13-Mar-05
11.00%
15-Mar-02
15-Mar-05
9.25%
18-Mar-98
18-Mar-05
14.75%
23/03/1998
23/03/2005
14.50%
25-Mar-98
25-Mar-05
14.50%
30-Mar-00
30-Mar-05
10.70%
30/03/1998
30/03/2005
14.50%
31/03/1998
31/03/2005
14.50%
23-Apr-98
23-Apr-05
14.00%
24-Apr-98
24-Apr-05
14.00%
27-Apr-98
27-Apr-05
14.00%
27-Apr-00
27-Apr-05
10.65%
28-Apr-98
28-Apr-05
14.00%
28-Apr-00
28-Apr-05
10.65%
29-Apr-98
29-Apr-05
14.00%
30-Apr-02
30-Apr-05
9.00%
02/05/2000
02/05/2005
10.70%
5-May-00
5-May-05
10.65%
23/05/2000
23/05/2005
10.70%
28-May-98
28-May-05
13.50%
02/06/1998
02/06/2005
13.75%
4-Jun-98
4-Jun-05
13.55%
12-Jun-98
12-Jun-05
13.50%
12-Jun-98
12-Jun-05
13.50%
14-Jun-02
14-Jun-05
9.25%
14-Jun-02
14-Jun-05
9.50%
19/06/2000
19/06/2005
10.70%
26-Jun-00
26-Jun-05
11.00%
26/06/2002
26/06/2005
9.25%
27/06/2000
27/06/2005
10.60%
30/06/1998
30/06/2005
14.00%
02/07/1998
02/07/2005
14.00%
11-Jul-02
11-Jul-05
9.00%
18/07/2000
18/07/2005
10.70%
20-Jul-98
20-Jul-05
14.25%
21-Jul-00
21-Jul-05
11.00%
25/07/2000
25/07/2005
10.70%
27-Apr-00
27-Jul-05
10.80%
5-Aug-02
5-Aug-05
9.00%
5-Aug-02
5-Aug-05
9.25%
10-Aug-00
10-Aug-05
12.00%
11-Aug-00
11-Aug-05
12.00%
16-Aug-00
16-Aug-05
12.00%
22-Aug-02
22-Aug-05
8.40%
28-Aug-98
28-Aug-05
14.25%
29/08/1998
29/08/2005
13.75%
31/08/1998
31/08/2005
13.75%
2-Sep-98
2-Sep-05
14.25%
5-Sep-02
5-Sep-05
8.75%
5-Sep-02
5-Sep-05
9.00%
15-Mar-02
15-Sep-05
N.A.
3-Sep-02
26-Sep-05
9.00%
5-Oct-02
5-Oct-05
8.50%
5-Oct-02
5-Oct-05
8.75%
10-Oct-00
10-Oct-05
12.00%
10-Oct-00
10-Oct-05
12.00%
11-Oct-00
11-Oct-05
12.00%
14/10/2000
14/10/2005
12.00%
3-Nov-00
3-Nov-05
12.00%
04/11/2000
04/11/2005
11.80%
5-Nov-02
5-Nov-05
8.50%
5-Nov-02
5-Nov-05
9.00%
7-Nov-00
7-Nov-05
12.00%
8-Nov-02
8-Nov-05
8.25%
8-Nov-02
8-Nov-05
8.50%
8-Nov-00
8-Nov-05
12.00%
08/11/2000
08/11/2005
11.75%
9-Nov-00
9-Nov-05
12.00%
11/11/1998
11/11/2005
14.00%
16-Nov-98
16-Nov-05
14.00%
23/11/2000
23/11/2005
11.60%
25-Nov-02
25-Nov-05
8.25%
30-Apr-02
30-Nov-05
5-Dec-02
5-Dec-05
8.00%
5-Dec-02
5-Dec-05
8.25%
6-Dec-00
6-Dec-05
11.60%
9-Dec-02
9-Dec-05
7.75%
9-Dec-02
9-Dec-05
8.00%
16/12/2000
16/12/2005
11.50%
20/12/2000
20/12/2005
11.50%
6-Jan-03
6-Jan-06
7.50%
6-Jan-03
6-Jan-06
8.00%
17-Jan-03
17-Jan-06
8.00%
3-Feb-99
3-Feb-06
14.00%
5-Feb-03
5-Feb-06
7.25%
5-Feb-03
5-Feb-06
7.50%
08/02/1999
08/02/2006
14.00%
10-Feb-99
10-Feb-06
14.00%
10-Feb-03
10-Feb-06
7.00%
10-Feb-03
10-Feb-06
7.25%
19/02/2003
19/02/2006
23-Feb-99
23-Feb-06
14.00%
24-Feb-99
24-Feb-06
14.00%
26-Feb-01
26-Feb-06
11.10%
4-Mar-03
4-Mar-06
7.25%
5-Mar-03
5-Mar-06
6.75%
5-Mar-03
5-Mar-06
6.75%
7-Mar-01
7-Mar-06
11.00%
8-Mar-01
8-Mar-06
11.00%
14/03/2003
14/03/2006
7.00%
22-Mar-99
22-Mar-06
13.50%
23-Mar-99
23-Mar-06
13.50%
27-Mar-01
27-Mar-06
11.00%
28-Mar-01
28-Mar-06
11.00%
29-Mar-01
29-Mar-06
11.00%
29/03/2001
29/03/2006
10.25%
31-Mar-99
31-Mar-06
13.50%
31-Mar-03
31-Mar-06
6.75%
31-Mar-03
31-Mar-06
6.75%
31-Mar-03
31-Mar-06
7.00%
31-Mar-03
31-Mar-06
7.25%
03/04/2001
03/04/2006
10.25%
05/04/1999
05/04/2006
13.50%
6-Apr-99
6-Apr-06
13.25%
06/04/1999
06/04/2006
13.50%
07/04/1999
07/04/2006
13.50%
24/04/1999
24/04/2006
12.75%
25/04/2003
25/04/2006
7.00%
27/04/1999
27/04/2006
12.75%
30/04/2003
30/04/2006
7.25%
2-May-01
2-May-06
10.50%
02/05/2003
02/05/2006
7.30%
03/05/2001
03/05/2006
10.75%
4-May-99
4-May-06
12.75%
05/05/2003
05/05/2006
7.00%
05/05/2003
05/05/2006
7.25%
06/05/1999
06/05/2006
12.75%
10-May-99
10-May-06
12.75%
11/05/1999
11/05/2006
12.75%
12/05/1999
12/05/2006
12.75%
13-May-99
13-May-06
12.75%
14-May-01
14-May-06
10.80%
14-May-99
14-May-06
12.75%
15-May-01
15-May-06
10.75%
17-May-99
17-May-06
12.75%
25-Nov-02
25-May-06
25-May-99
25-May-06
26-May-99
26-May-06
12.75%
27-May-99
27-May-06
12.75%
28-May-01
28-May-06
10.75%
28-May-99
28-May-06
12.75%
31-May-99
31-May-06
14.00%
1-Jun-99
1-Jun-06
12.75%
2-Jun-99
2-Jun-06
12.75%
3-Jun-99
3-Jun-06
12.75%
05/06/2003
05/06/2006
6.85%
05/06/2003
05/06/2006
7.00%
05/06/2003
05/06/2006
7.25%
05/06/2003
05/06/2006
Mibor + 1.5%
6-Jun-01
6-Jun-06
10.15%
7-Jun-99
7-Jun-06
12.75%
8-Jun-99
8-Jun-06
12.75%
09/06/2003
09/06/2006
6.75%
10-Jun-99
10-Jun-06
12.75%
11-Jun-99
11-Jun-06
12.75%
14/06/2003
14/06/2006
6.50%
14/06/2003
14/06/2006
6.75%
16/06/2003
16/06/2006
6.65%
19-Jun-99
19-Jun-06
12.50%
21/06/1999
21/06/2006
12.75%
23-Jun-99
23-Jun-06
12.75%
25-Jun-98
25-Jun-06
14.35%
25-Jun-99
25-Jun-06
12.75%
25/06/2003
25/06/2006
Mibor + 1.50%
26-Jun-98
26-Jun-06
14.35%
28-Jun-99
28-Jun-06
12.75%
29-Jun-99
29-Jun-06
12.75%
1-Jul-98
1-Jul-06
14.35%
1-Jul-99
1-Jul-06
12.75%
2-Jul-99
2-Jul-06
12.75%
02/07/2003
02/07/2006
6.40%
02/07/2003
02/07/2006
6.50%
5-Jul-99
5-Jul-06
12.75%
7-Jul-99
7-Jul-06
12.75%
07/07/2003
07/07/2006
6.85%
07/07/2003
07/07/2006
7.25%
07/07/2003
07/07/2006
6.50%
8-Jul-99
8-Jul-06
12.75%
9-Jul-99
9-Jul-06
12.75%
09/07/2003
09/07/2006
6.65%
09/07/2003
09/07/2006
6.75%
09/07/2003
09/07/2006
6.35%
12/07/1999
12/07/2006
12.75%
14-Jul-99
14-Jul-06
12.75%
16-Jul-99
16-Jul-06
12.75%
17-Jan-03
17-Jul-06
20-Jul-99
20-Jul-06
21-Jul-99
21-Jul-06
12.75%
21/07/2003
21/07/2006
Mibor + 1.35%
22-Jul-99
22-Jul-06
12.75%
22/07/1999
22/07/2006
12.65%
23/07/2003
23/07/2006
6.35%
23/07/2003
23/07/2006
6.65%
23/07/2003
23/07/2006
6.75%
26/07/1999
26/07/2006
12.75%
31-Jul-98
31-Jul-06
14.50%
31/07/1999
31/07/2006
12.75%
02/08/1999
02/08/2006
12.75%
03/08/1999
03/08/2006
12.75%
03/08/1998
03/08/2006
14.30%
04/08/1999
04/08/2006
12.65%
04/08/1998
04/08/2006
14.30%
5-Aug-99
5-Aug-06
12.70%
05/08/2003
05/08/2006
Mibor + 1.25%
05/08/2003
05/08/2006
6.25%
05/08/2003
05/08/2006
6.50%
05/08/2003
05/08/2006
6.75%
6-Aug-99
6-Aug-06
12.50%
10-Aug-99
10-Aug-06
12.70%
10/08/1999
10/08/2006
12.60%
11-Aug-99
11-Aug-06
12.60%
11/08/2003
11/08/2006
6.15%
11/08/2003
11/08/2006
Mibor + 1.05%
12/08/1999
12/08/2006
12.70%
16/08/1999
16/08/2006
12.70%
17-Aug-99
17-Aug-06
12.50%
17/08/1999
17/08/2006
12.60%
18/08/2003
18/08/2006
6.25%
18/08/2003
18/08/2006
6.60%
18/08/2003
18/08/2006
5.90%
26/08/1999
26/08/2006
12.50%
30-Aug-99
30-Aug-06
12.60%
30/08/1999
30/08/2006
12.40%
31-Aug-99
31-Aug-06
12.50%
31/08/1999
31/08/2006
12.45%
2-Sep-99
2-Sep-06
12.50%
3-Sep-99
3-Sep-06
12.50%
4-Mar-03
4-Sep-06
N.A.
04/09/2003
04/09/2006
5.50%
04/09/2003
04/09/2006
5.50%
04/09/2003
04/09/2006
6.00%
04/09/1999
04/09/2006
12.35%
7-Sep-99
7-Sep-06
12.50%
8-Sep-99
8-Sep-06
12.50%
8-Sep-99
8-Sep-06
12.50%
08/09/1999
08/09/2006
12.40%
09/09/1999
09/09/2006
12.50%
14-Sep-99
14-Sep-06
12.50%
14/03/2003
14/09/2006
7.06%
15-Sep-99
15-Sep-06
12.50%
16-Sep-99
16-Sep-06
12.50%
17/09/1999
17/09/2006
12.45%
22-Sep-99
22-Sep-06
12.35%
22/09/2003
22/09/2006
5.4%
22/09/2003
22/09/2006
5.4%
22/09/2003
22/09/2006
5.9%
24-Sep-99
24-Sep-06
12.35%
25/09/1999
25/09/2006
12.35%
26/09/2001
26/09/2006
9.75%
28-Sep-99
28-Sep-06
12.35%
29-Sep-00
29-Sep-06
12.40%
1-Oct-01
1-Oct-06
9.75%
4-Oct-99
4-Oct-06
12.35%
04/10/2003
04/10/2006
6.15%
5-Oct-99
5-Oct-06
12.35%
6-Oct-99
6-Oct-06
12.35%
06/10/1999
06/10/2006
12.30%
07/10/2003
07/10/2006
5.50%
09/10/2003
09/10/2006
5.40%
09/10/2003
09/10/2006
5.40%
09/10/2003
09/10/2006
5.90%
15/10/1999
15/10/2006
12.30%
18/10/1999
18/10/2006
12.25%
20/10/2003
20/10/2006
5.40%
25/04/2003
25/10/2006
N.A.
25/10/1999
25/10/2006
12.35%
25/10/1999
25/10/2006
12.30%
01/11/1999
01/11/2006
12.35%
05/11/2003
05/11/2006
5.40%
05/11/2003
05/11/2006
5.90%
05/11/1999
05/11/2006
12.25%
06/11/2003
06/11/2006
5.25%
30/11/1999
30/11/2006
12.25%
2-Dec-99
2-Dec-06
12.25%
05/12/2003
05/12/2006
5.25%
05/12/2003
05/12/2006
5.40%
05/12/2003
05/12/2006
5.75%
05/12/2003
05/12/2006
5.95%
12-Dec-01
12-Dec-06
9.75
15/12/2003
15/12/2006
5.75%
23/12/1999
23/12/2006
11.90%
12/01/2004
12/01/2007
5.75%
16/01/2004
16/01/2007
5.90%
23/01/2004
23/01/2007
5.75%
5-Feb-02
5-Feb-07
5-Feb-02
5-Feb-07
1st Year -9.00% 2nd Year -9.25% 3rd Year -9.50% 4thYear -9.75% Rs. 8000 on maturity
5-Feb-02
5-Feb-07
9.30%
13/02/2004
13/02/2007
6.00%
17/02/2004
17/02/2007
6.40%
05/03/2004
05/03/2007
5.50%
7-Mar-02
7-Mar-07
9.50%
15-Mar-02
15-Mar-07
18-Mar-02
18-Mar-07
Upto 15-Mar-03 -9.25% Upto 15-Mar-04 - 9.50% Upto 15-Mar-05 - 9.75% Upto 15-Mar-06 - 10.00% 9.50%
20-Dec-99
20-Mar-07
12.30%
07/04/2002
07/04/2007
9.00%
11/04/2002
11/04/2007
9.70%
20/04/2004
20/04/2007
5.50%
30-Apr-02
30-Apr-07
9.50%
15/12/2003
15/06/2007
5.74 YTM %
20/06/2002
20/06/2007
9.50%
02/07/2004
02/07/2007
6.80%
12/01/2004
12/07/2007
YTM 5.75%
23/01/2004
23/07/2007
5.74% (YTM)
25-Nov-02
25-Jul-07
5-Aug-02
5-Aug-07
5-Sep-02
5-Sep-07
9.25%
05/03/2004
05/09/2007
YTM 5.50%
12-Sep-02
12-Sep-07
9.50%
12-Sep-02
12-Sep-07
9.15%
12-Sep-02
12-Sep-07
9.00%
12-Sep-02
12-Sep-07
29-Sep-00
29-Sep-07
1st Year - 8.75% 2nd Year-9.25% 3rd year -9.50% 4th year -9.75% 12.40%
5-Oct-02
5-Oct-07
9.25%
05/10/2004
10/5/2007
Reset annually1st year - 3year gsec+15 bps 2nd year - 2 year gsec +
18-Oct-00
18-Oct-07
12.00%
20/04/2004
20/10/2007
YTM : 5.50%
27-Oct-00
27-Oct-07
12.00%
02/11/2000
02/11/2007
12.00%
5-Nov-02
5-Nov-07
9.25%
06/11/2000
06/11/2007
12.00%
8-Nov-02
8-Nov-07
9.00%
12-Sep-02
12-Nov-07
N.A.
14/11/2000
14/11/2007
12.00%
15/11/2000
15/11/2007
12.00%
16/11/2000
16/11/2007
12.00%
25-Nov-02
25-Nov-07
9.40%
25-Nov-02
25-Nov-07
9.00%
25-Nov-02
25-Nov-07
28/11/2000
28/11/2007
5-Dec-02
5-Dec-07
8.75%
9-Dec-02
9-Dec-07
8.50%
22/12/2000
22/12/2007
11.75%
29/12/1997
29/12/2007
13.00%
6-Jan-03
6-Jan-08
8.25%
10/01/2001
10/01/2008
11.20%
17-Jan-03
17-Jan-08
8.25%
17-Jan-03
17-Jan-08
25-Jan-98
25-Jan-08
5-Feb-03
5-Feb-08
8.00%
10-Feb-03
10-Feb-08
7.75%
12-Feb-03
12-Feb-08
7.50%
19/02/2003
19/02/2008
28/02/2001
28/02/2008
11.00%
4-Mar-03
4-Mar-08
7.50%
4-Mar-03
4-Mar-08
5-Mar-03
5-Mar-08
14/03/2003
14/03/2008
7.25%
16/03/2003
16/03/2008
7.50%
18/03/2003
18/03/2008
7.60%
19/03/2003
19/03/2008
7.60%
24/03/2003
24/03/2008
7.60%
28/03/2001
28/03/2008
10.50%
31-Mar-03
31-Mar-08
7.00%
31-Mar-03
31-Mar-08
7.50%
31/03/2001
31/03/2008
10.3%
06/04/2003
06/04/2008
7.50%
09/04/2001
09/04/2008
10.50%
14/12/2000
14/04/2008
11.90%
25/04/2003
25/04/2008
7.25%
25/04/2003
25/04/2008
N.A.
26-Apr-01
26-Apr-08
11.25%
30-Apr-01
30-Apr-08
11.25%
30-Apr-01
30-Apr-08
11.25%
1-Jun-02
1-Jun-05
9.25%
1-May-02
1-May-07
9.50%
1-Nov-02
1-Nov-07
9.30%
18/03/1998
18/03/2008
N.A.
1-Oct-99
1-Oct-99
1-Oct-04
1-Aug-98
1-Aug-02
1-Oct-97
1-Oct-02
17-Nov-87
16-Nov-02
11.00%
1-Dec-99
1-Dec-02
12.10
1-Jan-00
1-Jan-03
12.10
30-Mar-98
30-Mar-03
14.50%
31-Mar-98
31-Mar-03
14.75%
31-Mar-98
31-Mar-03
14.50%
31-Mar-00
31-Mar-03
11.75
1-Jun-00
1-Jun-03
11.00%
1-Jun-00
1-Jun-03
11.25%
1-Jul-98
1-Jul-03
13.50%
1-Aug-98
1-Aug-03
13.50%
1-Aug-98
1-Aug-03
13.75%
1-Sep-00
1-Sep-03
12.00%
1-Sep-98
1-Sep-03
13.75%
1-Oct-00
1-Oct-03
12.00%
1-Oct-00
1-Oct-03
12.00%
1-Oct-98
1-Oct-03
13.75%
1-Nov-00
1-Nov-03
12.15%
1-Jan-01
1-Jan-04
12.15%
31-Mar-01
31-Mar-04
10.90%
31-Mar-01
31-Mar-04
10.70%
31-Mar-99
31-Mar-04
13.80
31-Mar-99
31-Mar-04
13.60
31-Mar-99
31-Mar-04
13.75
1-May-99
1-May-04
13.60
1-May-99
1-May-04
13.80
1-May-99
1-May-04
12.50
1-Jul-99
1-Jul-04
12.50
13/08/2003
13/08/2004
N.A.
25/08/2003
25/08/2004
N.A.
08/09/2003
08/09/2004
N.A.
1-Oct-01
1-Oct-04
8.85%
1-Oct-97
1-Oct-04
13.00%
1-Oct-99
1-Oct-04
12.50
1-Oct-99
1-Oct-04
12.45
1-Nov-97
1-Nov-04
13.00%
1-Nov-99
1-Nov-04
12.50
1-Nov-99
1-Nov-04
12.65
1-Dec-99
1-Dec-04
12.30
1-Dec-99
1-Dec-04
12.5%
1-Jan-02
1-Jan-05
9.40%
1-Jan-02
1-Jan-05
8.85%
1-Jan-02
1-Jan-05
8.85%
1-Feb-98
1-Feb-05
13.50%
1-Mar-00
1-Mar-05
12.00
31-Mar-02
31-Mar-05
8.40%
31-Mar-00
31-Mar-05
12.25
31-Mar-00
31-Mar-05
12.10
31-Mar-00
31-Mar-05
11.80%
1-May-00
1-May-05
11.50%
1-May-00
1-May-05
12.10%
1-May-00
1-May-05
12.10
1-Jun-00
1-Jun-05
11.50%
1-Jul-98
1-Jul-05
13.80%
1-Jul-98
1-Jul-05
14.00%
13/08/2003
13/08/2005
N.A
25/08/2003
25/08/2005
N.A.
1-Sep-98
1-Sep-05
14.00%
1-Sep-02
1-Sep-05
9.00%
08/09/2003
08/09/2005
N.A.
1-Oct-00
1-Oct-05
12.10%
1-Oct-98
1-Oct-05
14.00%
17-Oct-95
17-Oct-05
14.00
1-Nov-00
1-Nov-05
12.15%
1-Mar-99
1-Mar-06
14.20
31-Mar-02
31-Mar-06
9.30%
31-Mar-99
31-Mar-06
14.00
31-Mar-99
31-Mar-06
14.00
31-Mar-99
31-Mar-06
13.70
1-May-99
1-May-06
13.35
1-May-99
1-May-06
14.00
1-May-99
1-May-06
13-Jan-00
1-May-99
1-May-06
13.25
1-Jun-01
1-Jun-06
10.10%
1-Jun-99
1-Jun-06
13.00
01/06/2003
01/06/2006
7.00%
1-Jul-99
1-Jul-06
13.00
1-Aug-99
1-Aug-06
12.50
1-Aug-99
1-Aug-06
1250%
01/08/2003
01/08/2006
7.30%
13/08/2003
13/08/2006
N.A.
25/08/2003
25/08/2006
N.A.
1-Sep-99
1-Sep-06
12.60
01/09/2003
01/09/2006
7.00%
08/09/2003
08/09/2006
N.A.
1-Oct-99
1-Oct-06
12.75
1-Oct-99
1-Oct-06
12.60
1-Oct-99
1-Oct-06
12.40
01/10/2003
01/10/2006
7.30%
9-Oct-96
9-Oct-06
13.85
1-Nov-99
1-Nov-06
12.60
1-Nov-99
1-Nov-06
12.65
1-Nov-99
1-Nov-06
12.75%
1-Dec-99
1-Dec-06
12.75
1-Dec-99
1-Dec-06
12.70
1-Dec-99
1-Dec-06
12.60
1-Jan-00
1-Jan-07
12.60
1-Mar-00
1-Mar-07
12.45
1-Mar-00
1-Mar-07
12.40
31-Mar-00
31-Mar-07
12.40
31-Mar-00
31-Mar-07
12.25
31-Mar-00
31-Mar-07
12.00
31-Mar-00
31-Mar-07
12.45
1-Apr-00
1-Apr-07
12.25
1-May-00
1-May-07
12.25
1-Jun-00
1-Jun-07
11.50%
1-Jun-00
1-Jun-07
11.70%
1-Jun-00
1-Jun-07
12.40%
13/08/2003
13/08/2007
N.A.
25/08/2003
25/08/2007
N.A.
1-Sep-99
1-Sep-07
12.80
08/09/2003
08/09/2007
N.A.
16-Sep-92
16-Sep-07
13.00%
1-Jan-00
1-Jan-08
12.80
31-Mar-02
31-Mar-08
9.90%
31/03/2003
31/03/2008
8.10%
1-May-98
1-May-03
13.75
1-May-98
1-May-03
13.75
1-Oct-98
1-Oct-03
13.25
1-Oct-98
1-Oct-03
13.25
1-Dec-98
1-Dec-03
14.00%
1-Dec-98
1-Dec-03
0.14
1-Dec-98
1-Dec-03
14.00%
1-Dec-98
1-Dec-03
0.13
1-Jan-99
1-Jan-04
14.00%
1-Jan-01
1-Jan-04
12.15%
1-Jan-99
1-Jan-04
14.00%
1-Jan-01
1-Jan-04
12.15%
1-Mar-99
1-Mar-04
14.00%
1-Mar-99
1-Mar-04
14.00%
19-Sep-94
19-Sep-04
12.50%
1-May-98
1-May-05
13.90
1-May-98
1-May-05
13.90
1-Aug-98
1-Aug-05
14.00%
1-Aug-98
1-Aug-05
14.00%
1-Oct-98
1-Oct-05
14.00
1-Oct-98
1-Oct-05
13.70
1-Oct-98
1-Oct-05
14.00
1-Oct-98
1-Oct-05
13.70
1-Nov-98
1-Nov-05
14.35%
1-Nov-98
1-Nov-05
14.00
1-Nov-98
1-Nov-05
14.35%
1-Nov-98
1-Nov-05
14.00
1-Dec-98
1-Dec-05
14.35%
1-Dec-98
1-Dec-05
14.00
1-Dec-98
1-Dec-05
14.35%
1-Dec-98
1-Dec-05
14.00
1-Jan-99
1-Jan-06
14.35%
1-Jan-99
1-Jan-06
14.00%
1-Jan-99
1-Jan-06
14.35%
1-Jan-99
1-Jan-06
14.00%
1-Feb-99
1-Feb-06
14.00
1-Feb-99
1-Feb-06
14.00
1-Mar-99
1-Mar-06
14.35%
1-Mar-99
1-Mar-06
14.00
1-Mar-99
1-Mar-06
13.70
1-Mar-99
1-Mar-06
14.35%
1-Mar-99
1-Mar-06
14.00
1-Mar-99
1-Mar-06
13.70
1-Jan-01
1-Jan-08
12.25%
4-Sep-01
4-Sep-06
9.00%
17/09/2003
17/09/2006
5.05%
24/09/2003
24/09/2006
5.09%
20-Jun-02
20-May-07
8.40%
15-Jul-02
15-Jun-07
8.05%
15-Jul-02
15-Jun-07
8.05%
22-Oct-02
22-Sep-07
6.95%
22-Oct-02
22-Sep-07
6.95%
7-Jan-03
31-Dec-07
6.05%
7-Jan-03
31-Dec-07
6.05%
29/09/2003
11/04/2008
5.35%
28/02/2003
28/02/2004
7.25%
28/02/2003
28/02/2004
7.50%
28/02/2003
28/02/2004
7.70%
28/02/2003
28/02/2004
7.95%
26/03/2003
26/03/2004
7.50%
26/03/2003
26/03/2004
7.95%
11-Feb-03
11-Feb-06
7.70%
11-Feb-03
11-Feb-06
7.70%
21-Feb-03
21-Feb-06
7.25%
21-Feb-03
21-Feb-06
7.25%
28/02/2003
28/02/2006
7.95%
28/02/2003
28/02/2006
8.40%
26/03/2003
26/03/2006
7.95%
26/03/2003
26/03/2006
8.40%
31/03/2003
31/03/2006
7.00%
21-Feb-03
21-Feb-08
7.35%
21-Feb-03
21-Feb-08
7.35%
28/02/2003
28/02/2008
8.05%
28/02/2003
28/02/2008
8.50%
26/03/2003
26/03/2008
8.05%
26/03/2003
26/03/2008
8.50%
31/03/2003
31/03/2008
7.00%
26-Jun-01
5-Mar-02
9.40%
10-Aug-01
2-Apr-02
8.95%
13-Aug-01
2-Apr-02
8.85%
3-Apr-01
3-Apr-02
10.65%
9-Apr-01
9-Apr-02
10.00%
7-Jan-02
21-May-02
MIBOR + 50bps
30-May-97
29-May-02
14.00%
10-Jul-01
1-Jun-02
9.70%
25-Jun-01
25-Jun-02
9.75%
26-Jun-01
26-Jun-02
9.85%
1-Jul-97
30-Jun-02
14.00%
3-Jul-97
2-Jul-02
14.00%
3-Jul-01
3-Jul-02
9.75%
8-Jul-97
7-Jul-02
14.00%
13-Jul-01
13-Jul-02
9.45%
13-Jul-01
13-Jul-02
9.45%
21-Jul-97
20-Jul-02
14.00%
29-Jul-97
28-Jul-02
14.00%
18-Aug-97
17-Aug-02
14.00%
21-Aug-97
20-Aug-02
14.00%
29-Aug-01
29-Aug-02
9.00%
29-Aug-01
29-Aug-02
9.00%
28-Dec-01
30-Aug-02
8.50%
28-Dec-01
30-Aug-02
8.50%
31-Aug-01
31-Aug-02
9.00%
31-Aug-01
31-Aug-02
9.00%
8-Mar-02
8-Sep-02
9.00%
8-Mar-02
8-Sep-02
9.00%
23-Jan-02
26-Sep-02
7.75%
23-Jan-02
26-Sep-02
7.75%
17-Oct-97
16-Oct-02
14.00%
18-Oct-01
18-Oct-02
9.30%
9-Nov-01
9-Nov-02
MIBOR + 50 BPS
1-Jan-02
9-Nov-02
MIBOR + 45 BPS
1-Jan-02
9-Nov-02
MIBOR + 45 BPS
9-Nov-02
Mibor + 0.55%
9-Nov-02
9-Nov-02
Mibor + 0.55%
12-Nov-02
8.85%
12-Nov-01
12-Nov-02
8.85%
20-Nov-01
20-Nov-02
8.95%
20-Nov-01
20-Nov-02
MIBOR + 45 BPS
20-Nov-01
20-Nov-02
8.95%
12-Apr-02
20-Nov-02
Mibor + 0.55%
23-May-02
20-Nov-02
3-Sep-02
20-Nov-02
3-Sep-02
20-Nov-02
27-Nov-01
27-Nov-02
27-Nov-01
27-Nov-02
9.00%
14-Dec-01
14-Dec-02
Mibor + 50 bps
17-May-02
14-Dec-02
12-Jul-02
14-Dec-02
Mibor + 0.55%
14-Dec-02
Mibor + 50 bps
14-Dec-02
Mibor + 50 bps
24-Dec-01
24-Dec-02
Mibor + 45 bps
24-Dec-02
Mibor + 0.55%
24-Dec-02
23-May-02
24-Dec-02
24-Dec-02
Mibor + 0.55%
24-Dec-02
Mibor + 0.50%
14-Feb-02
14-Feb-03
8.40%
14-Feb-02
14-Feb-03
8.40%
8-Mar-02
8-Mar-03
9.50%
8-Mar-02
8-Mar-03
9.50%
30-May-02
30-May-03
30-May-02
30-May-03
4-Jun-02
4-Jun-03
9.40%
4-Jun-02
4-Jun-03
9.40%
10-Jul-01
10-Jul-03
9.85%
1-Aug-02
1-Aug-03
8.80%
16-Sep-02
16-Sep-03
Mibor + 0.50%
16-Sep-03
Mibor + 0.50%
16-Sep-03
Mibor + 0.50%
16-Sep-03
Mibor + 0.40%
31-Dec-02
16-Sep-03
Mibor + 0.50%
17-Sep-01
17-Sep-03
10.00%
17-Sep-01
17-Sep-03
10.00%
24-Oct-02
24-Oct-03
6.90%
24-Oct-02
24-Oct-03
6.90%
28-Oct-02
28-Oct-03
6.90%
28-Oct-02
28-Oct-03
6.90%
1-Nov-02
31-Oct-03
6.90%
1-Nov-02
31-Oct-03
6.90%
18-Nov-02
18-Nov-03
6.95%
18-Nov-03
Mibor + 50 bps
18-Nov-03
Mibor + 0.45%
18-Nov-03
Mibor + 0.40%
18-Nov-03
6.95%
18-Nov-02 09-Jan-03
18-Nov-03
Mibor + 50 bps
18-Nov-03
Mibor + 0.40%
21-Nov-03
Mibor + 0.50%
13-Jan-03
21-Nov-03
Mibor + 0.40%
7-Dec-98
7-Dec-03
13.50%
10-Dec-02
10-Dec-03
7.95%
10-Dec-02
10-Dec-03
7.95%
24-Dec-02
11-Dec-03
Mibor + 0.40%
18-Dec-02
18-Dec-03
Mibor + 0.80%
18-Dec-02
18-Dec-03
Mibor + 0.80%
26-Dec-02
26-Dec-03
6.80%
26-Dec-02
26-Dec-03
6.80%
9-Jan-03
9-Jan-04
Mibor + 0.40%
13-Jan-03
13-Jan-04
Mibor + 0.50%
15-Jan-03
15-Jan-04
6.80%
15-Jan-03
15-Jan-04
6.80%
8-Feb-99
8-Feb-04
13.00%
10-Feb-03
10-Feb-04
6.55%
10-Feb-03
10-Feb-04
6.55%
28/02/2003
28/02/2004
7.25%
28/02/2003
28/02/2004
7.50%
28/02/2003
28/02/2004
7.70%
28/02/2003
28/02/2004
7.95%
22-Sep-00
22-Mar-04
N.A.
26/03/2003
26/03/2004
7.50%
26/03/2003
26/03/2004
7.95%
28/11/2003
28/05/2004
5.25%
12-Jul-99
12-Jul-04
12.25%
30-Jul-99
30-Jul-04
12.25%
2-Aug-99
2-Aug-04
12.00%
05/08/2003
05/08/2004
9-Aug-02
9-Aug-04
9-Aug-02
9-Aug-04
9.20%
13/08/2003
13/08/2004
17/10/2003
17/10/2004
1-Nov-99
1-Nov-04
11.75%
16-Nov-99
16-Nov-04
11.75%
18-Nov-02
18-Nov-04
6.90%
18-Nov-02
18-Nov-04
6.90%
21-Nov-02
21-Nov-04
6.75%
21-Nov-02
21-Nov-04
6.75%
26/11/2003
26/11/2004
5.40%
28/11/2003
28/11/2004
5.25%
1-Dec-01
1-Dec-04
9.50%
3-Dec-02
3-Dec-04
6.75%
3-Dec-02
3-Dec-04
6.75%
13-Dec-99
13-Dec-04
11.50%
17-Dec-99
17-Dec-04
11.50%
11-Jan-00
17-Dec-04
11.50%
18-Dec-01
18-Dec-04
9.60%
28-Dec-99
28-Dec-04
11.50%
17-Jan-00
17-Jan-05
11.75%
11-Apr-02
11-Apr-05
9.05%
11-Apr-02
11-Apr-05
9.05%
1-Jun-00
1-May-05
10.75%
6-Sep-99
6-Jul-05
12.90%
5-Aug-98
5-Aug-05
14.00%
22-Aug-02
22-Aug-05
8.60%
22-Aug-02
22-Aug-05
8.60%
22/08/2002
22/08/2005
8.90%
4-Sep-02
4-Sep-05
8.60%
20/09/2002
20/09/2005
8.60%
11-Nov-02
11-Nov-05
7.25%
11-Nov-02
11-Nov-05
7.25%
18-Nov-02
18-Nov-05
7.25%
18-Nov-02
18-Nov-05
7.25%
3-Dec-02
3-Dec-05
6.80%
3-Dec-02
3-Dec-05
6.80%
7-Dec-98
7-Dec-05
14.00%
10-Dec-02
10-Dec-05
7.25%
10-Dec-02
10-Dec-05
7.15%
10-Dec-02
10-Dec-05
7.70%
10-Dec-02
10-Dec-05
7.25%
10-Dec-02
10-Dec-05
7.15%
10-Dec-02
10-Dec-05
7.70%
15-Dec-00
15-Dec-05
11.10%
15-Dec-98
15-Dec-05
14.00%
16-Dec-98
16-Dec-05
14.00%
18-Dec-98
18-Dec-05
14.00%
5-Jan-01
5-Jan-06
11.60%
11-Jan-99
11-Jan-06
14.00%
18-Jan-99
18-Jan-06
14.00%
20/02/2003
20/02/2006
7.30%
28/02/2003
28/02/2006
7.95%
28/02/2003
28/02/2006
8.40%
26/03/2003
26/03/2006
7.95%
26/03/2003
26/03/2006
8.40%
31/03/2003
31/03/2006
7.00%
15/05/2003
15/05/2006
7.95%
15/05/2003
15/05/2006
8.40%
15/05/2003
15/05/2006
7.55%
15/05/2003
15/05/2006
7.95%
15/05/2003
15/05/2006
8.40%
15/05/2003
15/05/2006
7.55%
15-Jun-99
15-Jun-06
13.25%
26-Jun-01
26-Jun-06
10.20%
13-Jul-01
13-Jul-06
10.00%
10-Aug-01
10-Aug-06
9.70%
10-Aug-01
10-Aug-06
9.70%
17-Aug-01
17-Aug-06
9.70%
17-Aug-01
17-Aug-06
9.70%
4-Sep-01
4-Sep-06
9.70%
4-Sep-01
4-Sep-06
9.70%
13-Sep-01
13-Sep-06
9.70%
13-Sep-01
13-Sep-06
10.15%
13-Sep-01
13-Sep-06
9.70%
13-Sep-01
13-Sep-06
10.15%
30-Oct-01
30-Oct-06
9.30%
30-Oct-01
30-Oct-06
9.30%
1-Dec-01
1-Dec-06
9.80%
1-Dec-02
1-Dec-06
9.85%
1-Dec-02
1-Dec-06
9.90%
1-Dec-01
1-Dec-06
10.00%
1-Dec-01
1-Dec-06
10.15%
10-Dec-01
10-Dec-06
9.60%
10-Dec-01
10-Dec-06
9.60%
18-Dec-01
18-Dec-06
9.60%
18-Dec-01
18-Dec-06
9.75%
24-Dec-01
24-Dec-06
9.60%
24-Dec-01
24-Dec-06
9.60%
28-Dec-01
28-Dec-06
9.50%
28-Dec-01
28-Dec-06
9.50%
07/01/2004
07/01/2007
5.70%
29-Jan-02
29-Jan-07
10.00%
14-Feb-02
14-Feb-07
9.60%
14-Feb-02
14-Feb-07
9.60%
20-Feb-02
20-Feb-07
9.60%
20-Feb-02
20-Feb-07
9.75%
20-Feb-02
20-Feb-07
9.60%
20-Feb-02
20-Feb-07
9.75%
25-Feb-00
25-Feb-07
12.15%
01/03/2002
01/03/2007
10.00%
13-Mar-02
13-Mar-07
9.75%
13-Mar-02
13-Mar-07
9.75%
14-Aug-00
14-Jun-07
11.40%
31-Aug-00
30-Jun-07
12.00%
11-Sep-00
11-Jul-07
*Floating
25-Sep-00
25-Jul-07
12.00%
25-Jul-02
25-Jul-07
9.10%
25-Jul-02
25-Jul-07
9.10%
29-Jul-02
29-Jul-07
8.25%
29-Jul-02
29-Jul-07
8.25%
31-Jul-02
31-Jul-07
8.30%
31-Jul-02
31-Jul-07
8.30%
9-Aug-02
9-Aug-07
8.30%
9-Aug-02
9-Aug-07
8.30%
4-Sep-02
4-Sep-07
8.65%
14-Nov-00
14-Sep-07
12.00%
5-Dec-00
5-Oct-07
12.00%
16-Oct-02
16-Oct-07
8.00%
16-Oct-02
16-Oct-07
8.00%
20-Dec-00
20-Oct-07
11.60%
21-Nov-02
21-Nov-07
6.75%
21-Nov-02
21-Nov-07
6.75%
27-Nov-02
27-Nov-07
7.40%
27-Nov-02
27-Nov-07
7.40%
10-Dec-02
10-Dec-07
7.85%
10-Dec-02
10-Dec-07
7.85%
2-Jan-03
2-Jan-08
6.85%
2-Jan-03
2-Jan-08
6.85%
21-Jan-03
21-Jan-08
6.85%
21-Jan-03
21-Jan-08
6.85%
20/02/2003
20/02/2008
7.40%
28/02/2003
28/02/2008
8.05%
28/02/2003
28/02/2008
8.50%
25-May-01
25-Mar-08
10.70%
26/03/2003
26/03/2008
8.05%
26/03/2003
26/03/2008
8.50%
31/03/2003
31/03/2008
7.00%
4-Apr-01
4-Apr-08
11.00%
28-Apr-00
15-Apr-05
15.50%
28-Jun-02
27-Jun-05
9.10%
18/07/2001
17/07/2004
10.25%p.a
18/07/2001
17/07/2005
10.25%p.a
18/07/2001
17/07/2006
10.25%p.a
18/07/2001
17/07/2007
10.25%p.a
3-Jun-98
7-Nov-02
N.A.
3-Mar-98
3-Mar-03
14.50%
2-Apr-02
1-Apr-03
Mibor + 75 bps (Simple Interest) Mibor + 75 bps (Simple Interest) Mibor + 75 bps (Simple Interest) Mibor + 75 bps (Simple Interest) Mibor + 75 bps (Simple Interest)
5-Apr-02
4-Apr-03
8-Apr-02
7-Apr-03
29-Apr-02
28-Apr-03
30-Apr-02
29-Apr-03
2-May-02
1-May-03
Mibor + 75 bps (Simple Interest) Mibor + 75 bps (Simple Interest) Mibor + 75 bps (Simple Interest) Mibor + 75 bps (Simple Interest) Mibor + 75 bps (Simple Interest) MIBOR + 70 bps
3-May-02
2-May-03
28-May-02
27-May-03
30-May-02
29-May-03
31-May-02
30-May-03
16/04/2003
11/07/2003
23-Jul-02
22-Jul-03
13-Aug-02
12-Aug-03
15-Feb-02
15-Feb-04
08/07/2004
08/07/2004
03/02/2004
08/07/2004
Mibor + 70 bps
11/07/2003
09/07/2004
14/07/2003
12/07/2004
Mibor + 70 bps (Floor : 6% p.a, Cap : 8.00% p.a.) Mibor + 70 bps (Floor : 6% p.a, Cap : 8.00% p.a.) Mibor + 70 bps
08/08/2003
06/08/2004
26/08/2003
24/08/2004
08/07/2004
07/07/2005
Mibor + 70 bps
10-Jan-03
10-Jan-08
6.40%
10-Jan-03
10-Jan-08
6.40%
24/03/2003
24/03/2008
20-Jan-00
20-Jan-03
1-Aug-01
1-Aug-06
12.50%
1-Aug-01
1-Aug-06
12.50%
1-Oct-01
1-Oct-06
12.50%
1-Oct-01
1-Oct-06
12.50%
6-Mar-02
6-Mar-07
12.00%
16/12/2003
16/03/2004
4.60%
16/12/2003
16/06/2004
5.15%
27/12/2003
27/06/2005
5.40%
27/12/2003
27/06/2005
5.65%
24-Dec-01
22-Mar-02
27-Dec-01
26-Mar-02
Floating Rate(overnight MIBOR + 90 bps) as per NSE daily 10.00 a.m. fixing & compunded75 overnight MIBOR + daily bps as per NSE daily 10.00 a.m. fixing & compunded daily p.a. as MIBOR + 75 bps per NSE daily 10.00 am fixing and compounded daily + 100 bps p.a. as MIBOR per NSE daily 10.00 am fixing and compounded daily + 75 bps . as per MIBOR NSE daily 10.00 am fixing and compounded daily
4-Jan-02
3-Apr-02
28-Jan-02
27-Apr-02
22-Mar-02
19-Jun-02
27-Mar-02
24-Jun-02
MIBOR + 75 bps . as per NSE daily 10.00 am fixing and compounded daily MIBOR + 75 bps as per NSE daily 10.00 am fixing and compounded daily MIBOR + 90bps overnight as per NSE daily 10.00 am fixing and compoundedbps as per MIBOR + 75 daily NSE daily 10.00 am fixing and compounded daily
3-Apr-02
1-Jul-02
19-Jun-02
13-Sep-02
21-Jun-02
18-Sep-02
1-Jul-02
27-Sep-02
4-Sep-02
2-Dec-02
Mibor + 90 bps(as per NSE daily 10.00 a,m, fixing & compounded daily) Overnight Mibor + 80 bps p.a. as per NSE Daily 10.00 a.m. fixing and compounded daily MIBOR + 90bps overnight as per NSE daily 10.00 am fixing and compounded daily 80 bps Overnight Mibor + p.a. as per NSE daily 10.00 a.m. fixing and compounded daily 90 bps Overnight Mibor + p.a. as per NSE Daily 10.00 a.m. fixing and compounded daily per 80bps overnight as NSE daily 10.00 am fixing and compounded daily
13-Sep-02
11-Dec-02
20-Sep-02
18-Dec-02
27-Sep-02
24-Dec-02
4-Oct-02
1-Jan-03
30-Oct-02
27-Jan-03
18-Nov-02
14-Feb-03
MIBOR + 80 bps overnight as per NSE daily 10.00 am fixing and compounded daily MIBOR + 65bps overnight as per NSE daily 10.00 am fixing and compounded daily+ Overnight MIBOR 80bps p.a. as per NSE daily 10.00 am fixing and compounded daily 75 bps over overnight MIBOR as per NSE daily 10.00 am fixing and compounded daily 75 bps over overnight MIBOR as per NSE daily 10.00 am fixing and compounded daily 75 bps over overnight MIBOR as per NSE daily 10.00 am fixing and compounded daily 75 bps over overnight MIBOR as per NSE daily 10.00 am fixing and compounded daily
2-Dec-02
28-Feb-03
18-Dec-02
17-Mar-03
24-Dec-02
21-Mar-03
7-Jan-03
3-Apr-03
6-Jan-03
4-Apr-03
10-Jan-03
9-Apr-03
22-Jan-03
21-Apr-03
75 bps over overnight MIBOR as per NSE daily 10.00 am fixing and compounded daily 75 bps over overnight MIBOR as per NSE daily 10.00 am fixing and compounded daily 75 bps p.a. over overnight MIBOR as per NSE daily 10.00 am fixing and compounded daily 75 bps over overnight MIBOR as per NSE daily 10.00 am fixing and compoundedovernight 50 bps over daily MIBOR, as per NSE daily 10.00 a.m.
24-Jan-03
23-Apr-03
14-Feb-03
14-May-03
16-Apr-03
14-Jul-03
17-Apr-03
15-Jul-03
50 bps overnight Mibor, as per NSE daily 10.00 a.m 70 bps over overnight Mibor, as per NSE daily 10.0 50 bps over overnight MIBOR, as per NSE daily 10.0 70 bps over overnight Mibor as per NSE daily 10.00 75 bps over Overnight Mibor, as per NSE daily 10.0 NSE Mibor + 70 bps p.a. as per NSE daily 10.00 a.m 70 bps over overnight Mibor, as per NSE daily 10.0 50 bps over overnight Mibor as per NSE daily 10.0
30/04/2003
28/07/2003
05/05/2003
01/08/2003
27-Jun-03
24-Sep-03
1-Jul-03
26-Sep-03
09/07/2003
06/10/2003
31/07/2003
28/10/2003
25/08/2003
21/11/2003
28/08/2003
25/11/2003
50 bps over overnight Mibor as per NSE daily 10.0 NSE Mibor + 70 bps p.a as per NSE daily 10.00 a.m. NSE Mibor + 55 bps p.a. as per NSE daily 10.00 a.m NSE Mibor + 70 bps p.a. as per NSE daily 10.00 a.m NSE Mibor + 55 bps p.a. as per NSE daily 10.00 a.m Overnight Mibor + 70 bps
22/12/2003
22/12/2003
26/09/2003
24/12/2003
03/10/2003
31/12/2003
17/10/2003
12/01/2004
31-Oct-03
28-Jan-04
19-Nov-03
16-Feb-04
70 bps over overnight Mibor, as per NSE daily 10.00 a.m fixing & compounded daily 70 bps over overnight Mibor, as per NSE daily 10.00 a.m fixing & compounded + 70 bps NSE MIBOR daily p.a. as per NSE daily 10.00 AM
25/11/2003
20/02/2004
01/12/2003
27/02/2004
24/12/2003
22/03/2004
02/04/2004
30/06/2004
06/04/2004
02/07/2004
16/04/2004
14/07/2004
10 bps over overnight MIBOR 10 bps over overnight Mibor, as per NSE daily 9.40am fixing & compounded daily. Overnight NSE MIBOR + 10bps
11/05/2004
06/08/2004
19/05/2004
16/08/2004
27/05/2004
24/08/2004
MIBOR + 10 bps
16/06/2004
13/09/2004
15bps over overnight MIBOR 15bps over overnight MIBOR 0 bps over overnight Mibor, as per NSE daily 9.40 a.m. fiexing & compounding daily 5 bps over overnight Mibor, as per NSE daily 9.40 a.m. fixing & compounded daily NSE overnight MIBOR + 5 bps p.a. as per NSE daily 9.40 am fixing and compounded daily. 15.00%
17/06/2004
14/09/2004
29/06/2004
24/09/2004
02/07/2004
29/09/2004
14/07/2004
10/11/2004
13-Jun-01
12-Dec-02
07/05/2003
06/05/2006
9.75%
26-Dec-00
26-Dec-03
14.00%
08/11/2002
31/03/2005
13.50%
31-Mar-04
1-Mar-05
upto 31-Mar-02-> 300 bps +YTM declared by RBI for valuation as on 31st March, 2001 upto 28-Feb-03 ->12.40% upto 29-Feb-04 -> 200 bps + annualised YTM declared by RBI for 11.00%
25-Jun-87
25-Jun-02
11-Nov-92
11-Nov-02
11.00%
13-Nov-97
13-Nov-02
12.00%
11-Feb-88
11-Feb-03
11.00%
11-Aug-93
11-Aug-03
13.50%
5-Jan-94
5-Jan-04
13.50%
1-Sep-94
1-Sep-04
12.50%
2-Feb-95
2-Feb-05
12.50%
2-Aug-95
2-Aug-05
14.00%
6-Dec-95
6-Dec-05
14.00%
13-Mar-96
13-Mar-06
14.00%
18-Sep-96
18-Sep-06
13.85%
28-Jan-97
28-Jan-07
13.75%
27-Aug-92
27-Aug-07
13.00%
22-Oct-97
22-Oct-07
12.30%
22-Dec-92
22-Dec-07
13.00%
21-Jan-98
21-Jan-08
12.30%
16-Feb-92
16-Feb-08
13.00%
16/11/2000
16/11/2007
12.55%
10/01/2001
10/01/2008
12.55%
15/03/2001
15/03/2008
13.00%
11-Feb-88
11-Feb-03
11%
9-Aug-93
9-Aug-03
13.50%
5-Jan-94
5-Jan-04
13.50%
29-Aug-94
29-Aug-04
12.50%
30-Jan-95
30-Jan-05
12.50%
2-Aug-95
2-Aug-05
14%
6-Dec-95
6-Dec-05
14%
13-Mar-96
13-Mar-06
14.00%
18-Sep-96
18-Sep-06
13.85%
27-Jan-97
27-Jan-07
13.75%
18-Mar-97
18-Mar-07
13.65%
27-Aug-92
27-Aug-07
13%
20-Oct-97
20-Oct-07
12.30%
21-Dec-92
21-Dec-07
13%
21-Jan-98
21-Jan-08
12.30%
18-Mar-98
18-Mar-08
12.30%
31-Dec-99
31-Dec-06
13.25%
30-Apr-02
30-Apr-07
10.5%
24/02/1993
01/02/2008
13.00%
27-Nov-01
22-Feb-02
12%
26-Feb-01
25-Aug-02
13%
15-May-01
14-Nov-02
13%
29-Nov-99
30-Nov-02
14%
22-Dec-99
21-Dec-02
14%
8-Sep-00
7-Sep-03
14%
7-Jan-03
6-Jul-04
10.50%
10/07/2003
09/07/2004
8.40%
15-Jan-02
3-Jul-02
15-Jan-02
8-Jul-02
1.50% over the Reuters Mumbai Inter Bank Overnight Rate(RIMOR), as appearing onReuters 1.50% over the the Mumbai Inter Bank Overnight Rate(RIMOR), as appearing on the
7-Feb-02
29-Jul-02
28-Jun-02
22-Oct-02
1.50% over the Reuters Mumbai Inter Bank Overnight Rate(RIMOR), as appearing onReuters 1.50% over the the Mumbai Inter Bank Overnight Rate(RIMOR), as appearing onReuters 1.50% over the the Mumbai Inter Bank Overnight Rate(RIMOR), as appearing onReuters 1.50% over the the Mumbai Inter Bank Overnight Rate(RIMOR), as appearing onReuters 1.50% over the the Mumbai Inter Bank Overnight Rate(RIMOR), as appearing on the 1.5% over RMIOR as appearing on the Reuters MIBR p
29-Jul-02
29-Jan-03
22-Apr-03
28-Jul-03
02/05/2003
21/10/2003
28/07/2003
27/01/2004
04/09/2003
04/03/2004
9/11/2003
3/11/2004
RMIOR + 1.5%
27/01/2004
27/07/2004
1.5% over Reuters Mumbai Interbank Overnight Rate 1.5% over Reuters Mumbai Interbank Overnight rate 1.5% over Reuters Mumbai Interbank Overnight Rate 13.25%
04/03/2004
04/09/2004
11/03/2004
10/09/2004
8-May-98
14-Jun-03
8-Feb-99
31-Mar-04
14.50%
2-Sep-99
25-Oct-06
13.50%
23-Jun-97
23-Jun-02
10.50%
30-Jun-93
30-Jun-03
10.50%
1-Oct-93
1-Oct-03
10.50%
30-Nov-93
30-Nov-03
10.50%
1-Mar-94
1-Mar-04
10.50%
31-Mar-94
31-Mar-04
10.50%
5-May-94
5-May-04
10.50%
1-Aug-94
1-Aug-04
10.50%
27-Aug-94
25-Aug-04
10.50%
31-Oct-94
31-Oct-04
10.50%
26-Dec-97
25-Dec-04
9.25%
7-Feb-95
7-Feb-05
10.50%
20-Feb-95
20-Feb-05
10.50%
18-Apr-95
18-Apr-05
10.50%
30-May-98
30-May-05
13.00%
26-Jun-05
10.65%
5-Aug-05
8.75%
07-Aug-00
7-Aug-05
11.00%
1-Oct-99
1-Oct-05
12.36%
11-Oct-95
11-Oct-05
8.75%
11-Oct-95
11-Oct-05
9.00%
29-Jan-99
29-Jan-06
10.15%
4-Feb-99
4-Feb-06
10.50%
26-Dec-96
30-Mar-06
8.25%
26-Dec-96
30-Mar-06
8.95%
24-Apr-01
24-Apr-06
11.00%
1-Oct-99
1-Oct-06
12.52%
9-Jan-97
9-Jan-07
10.50%
3-Feb-97
3-Feb-07
10.50%
15-Feb-01
15-Feb-07
11.10%
1-Dec-02
1-Dec-07
6.35%
24-Sep-01
22-Jan-02
9.25%
19-Oct-01
17-Apr-02
9%
20-Dec-01
14-May-02
8.60%
20-Dec-01
14-May-02
8.60%
20-Dec-01
14-May-02
8.60%
10-Jul-99
10-Jul-02
13%
15-Jan-02
12-Jul-02
8.90%
15-Jan-02
12-Jul-02
8.90%
23-Jan-02
22-Jul-02
8.5%
23-Jan-02
22-Jul-02
8.5%
11-Aug-99
11-Aug-02
13%
29-Aug-01
28-Aug-02
9.25%
14-Sep-01
13-Sep-02
9.25%
14-Sep-01
13-Sep-02
9.25%
5-Oct-01
4-Oct-02
9.25%
29-Apr-02
25-Oct-02
9.25%
11-May-02
11-Nov-02
9.00%
11-May-02
11-Nov-02
9.00%
19-Nov-01
18-Nov-02
19-Nov-01
18-Nov-02
140 bps over overnight MIBOR 140 bps over overnight MIBOR 9.00%
19-Nov-01
18-Nov-02
20-May-02
19-Nov-02
20-May-02
19-Nov-02
9.00%
6-Jun-02
4-Dec-02
8.85%
6-Jun-02
4-Dec-02
8.85%
13-Aug-01
13-Feb-03
9.75 p.a
21-Nov-02
10-Mar-03
6.10%
21-Nov-02
10-Mar-03
6.10%
17-Mar-03
6.10%
17-Mar-03
6.10%
25-Nov-02
21-Mar-03
6.10%
25-Nov-02
21-Mar-03
6.10%
26-Nov-02
24-Mar-03
6.10%
26-Nov-02
24-Mar-03
6.10%
28-Mar-02
27-Mar-03
9.20%
28-Mar-02
27-Mar-03
9.20%
4-Apr-02
3-Apr-03
9.00%
4-Apr-02
3-Apr-03
9.00%
4-Apr-00
4-Apr-03
11.6%
11-Apr-02
10-Apr-03
9.30%
11-Apr-02
10-Apr-03
9.30%
29-Nov-02
15-Apr-03
6.10'%
29-Nov-02
15-Apr-03
6.10'%
17-Oct-02
17-Apr-03
6.75%
17-Oct-02
17-Apr-03
6.75%
10/28/2002
4/28/2003
6.75%
28-Oct-02
28-Apr-03
6.75%
30-Apr-02
29-Apr-03
9.50%
30-Apr-02
29-Apr-03
9.50%
9-May-02
8-May-03
9.50%
9-May-02
8-May-03
9.50%
22-May-00
22-May-03
11.6%
26-Feb-03
26-May-03
6.85%
26-Feb-03
26-May-03
6.85%
31-May-02
30-May-03
9.45%
31-May-02
30-May-03
9.45%
3-Jun-02
2-Jun-03
9.10%
3-Jun-02
2-Jun-03
9.10%
10-Jun-02
9-Jun-03
9.25%
10-Jun-02
9-Jun-03
9.25%
17-Jun-02
16-Jun-03
9.25%
17-Jun-02
16-Jun-03
9.25%
1-Jul-02
30-Jun-03
8.65%
1-Jul-02
30-Jun-03
8.65%
4-Jul-02
3-Jul-03
8.85%
4-Jul-02
3-Jul-03
8.85%
11-Jul-02
10-Jul-03
9.10%
11-Jul-02
10-Jul-03
9.10%
19-Mar-03
15-Jul-03
6.85%
31-Jul-02
30-Jul-03
8.00%
31-Jul-02
30-Jul-03
8.00%
10-Feb-03
11-Aug-03
6.20%
10-Feb-03
11-Aug-03
6.20%
7-Mar-03
12-Aug-03
0.0665
7-Mar-03
12-Aug-03
6.65%
30-Oct-02
14-Aug-03
6.90%
30-Oct-02
14-Aug-03
6.90%
25-Oct-02
25-Aug-03
6.90%
29-Oct-02
25-Aug-03
6.80%
25-Oct-02
25-Aug-03
6.90%
29-Oct-02
25-Aug-03
6.80%
27-Feb-03
27-Aug-03
6.95%
27-Feb-03
27-Aug-03
6.95%
7-Mar-03
5-Sep-03
0.0665
7-Mar-03
5-Sep-03
6.65%
14-Mar-03
10-Sep-03
6.65%
14-Mar-03
10-Sep-03
6.65%
12-Sep-02
11-Sep-03
7.25%
12-Sep-02
11-Sep-03
7.25%
13-Mar-02
12-Sep-03
9.00%
13-Mar-02
12-Sep-03
9.00%
18-Mar-02
18-Sep-03
9.25%
18-Mar-02
18-Sep-03
9.25%
23-Sep-02
22-Sep-03
7.25%
23-Sep-02
22-Sep-03
7.25%
25-Sep-00
25-Sep-03
13.00%
16-Jan-03
16-Oct-03
6.05%
16-Jan-03
16-Oct-03
6.05%
17-Oct-00
17-Oct-03
12.60%
22-Jan-03
22-Oct-03
6.10'%
22-Jan-03
22-Oct-03
6.10'%
25-Oct-00
25-Oct-03
12.60%
16-Dec-02
15-Dec-03
6.25%
16-Dec-02
15-Dec-03
6.25%
30-Dec-02
29-Dec-03
6.35%
30-Dec-02
29-Dec-03
6.35%
1-Jan-03
31-Dec-03
6.25%
1-Jan-03
31-Dec-03
6.25%
7-Jan-03
6-Jan-04
6.35%
7-Jan-03
6-Jan-04
6.35%
8-Jan-03
7-Jan-04
6.35%
8-Jan-03
7-Jan-04
6.35%
9-Jan-03
8-Jan-04
9-Jan-03
8-Jan-04
14-Jan-03
13-Jan-04
14-Jan-03
13-Jan-04
6.35%
16-Jan-03
15-Jan-04
6.35%
16-Jan-03
15-Jan-04
6.35%
19-Jul-02
19-Jan-04
8.70%
19-Jul-02
19-Jan-04
8.70%
4-Feb-03
3-Feb-04
6.35%
4-Feb-03
3-Feb-04
6.35%
12-Aug-02
12-Feb-04
8.25%
12-Aug-02
12-Feb-04
8.25%
25-Feb-03
24-Feb-04
6.95%
25-Feb-03
24-Feb-04
6.95%
5-Sep-02
5-Mar-04
7.85%
5-Sep-02
5-Mar-04
7.85%
6-Mar-02
6-Mar-04
9.75%
6-Mar-02
6-Mar-04
9.75%
19-Mar-03
17-Mar-04
6.90%
11-Sep-02
11-Apr-04
7.8%
11-Sep-02
11-Apr-04
7.8%
19-Jul-02
19-Jul-04
19-Jul-02
19-Jul-04
NSE Mibor + 200 bps to be compounded daily with a floor of 8.90% annualised + 200 cap of NSE Mibor and a bps to be compounded daily with a floor of 8.90% annualised and a cap of 6.30%
6-Feb-03
6-Aug-04
6-Feb-03
6-Aug-04
6.30%
12-Aug-02
12-Aug-04
8.50%
12-Aug-02
12-Aug-04
8.50%
13-Aug-01
13-Aug-04
10.35%
23-Nov-01
23-Nov-04
10%
23-Nov-01
23-Nov-04
10.00%
13-Dec-01
13-Dec-04
10.00%
13-Dec-01
13-Dec-04
10.00%
18-Jan-02
18-Jan-05
10%
18-Jan-05
10%
16/09/2003
6.00%
24-Feb-03
24-Aug-04
8.75%
24-Feb-03
24-Aug-04
8.75%
11/09/2003
08/12/2003
Mibor + 125bps
05/09/2003
02/03/2004
6.50%
05/12/2003
02/03/2004
7.75%
10/09/2003
08/03/2004
6.50%
19/09/2003
18/03/2004
6.50%
27/11/2003
25/05/2004
5.85%
01/03/2004
25/05/2004
5.85%
03/12/2003
31/05/2004
5.85%
12/12/2003
09/06/2004
5.85%
16/12/2003
14/06/2004
5.85%
15/04/2004
06/07/2004
4.90%
16/04/2004
09/07/2004
4.90%
15/01/2004
13/07/2004
5.55%
22/01/2004
20/07/2004
5.60%
10/02/2004
09/08/2004
5.50%
12/07/2004
14/09/2004
4.75%
09/07/2004
06/10/2004
4.75%
15/07/2004
12/10/2004
4.85%
12/08/2004
09/11/2004
4.80%
26/07/2004
25/07/2005
6/5/2001
11-Jun-01
1 year benchmark G-Sec average bid/offer rate as published on Reuters page INBMK +25 bps 11%
12-Oct-00
12-Oct-01
12.20%
23-Jul-01
20-Oct-01
9.25%
23-Jul-01
20-Oct-01
9.25%
28-Apr-00
29-Oct-01
11.40%
8-Sep-00
8-Dec-01
12.50%
6-Jul-01
7-Jan-02
9.75%
12-Oct-01
16-Jan-02
9%
12-Oct-01
16-Jan-02
9%
23/10/2001
21/01/2002
8.75%
23/10/2001
21/01/2002
8.75%
22-Jan-01
22-Jan-02
11.15%
29-Jan-01
29-Jan-02
11.15%
3/7/2001
7-Feb-02
10%
11-Aug-99
11-Feb-02
13.25%
15-Feb-00
15-Feb-02
12.95%
29/10/2001
18/02/2002
8.40%
29/10/2001
18/02/2002
8.40%
31-Dec-01
27-Feb-02
9.15%
18-Dec-01
17-Mar-02
MIBOR + 80 bps
28-Dec-01
18-Mar-02
9.05%
28-Mar-01
28-Mar-02
11.60%
7-Dec-00
5-Apr-02
11.90%
7-Apr-99
7-Apr-02
14.00%
10-Oct-01
8-Apr-02
9.30%
10-Oct-01
8-Apr-02
9.30%
19-Oct-00
19-Apr-02
13.10%
30-Oct-00
30-Apr-02
13.10%
4-Apr-01
4-May-02
11.00%
13-Oct-00
13-May-02
12.39%
14-Nov-00
14-May-02
12.62%
22-Feb-02
22-May-02
Mibor+ 60 bps
27-Feb-02
27-May-02
8.50%
29-May-01
28-May-02
10.90%
29-Nov-01
11-Jun-02
9.15%
29-Nov-01
11-Jun-02
9.15%
15-Mar-02
12-Jun-02
MIBOR + 65 bps
15-Mar-02
14-Jun-02
9.50%
15-Mar-02
14-Jun-02
9.50%
18-Mar-02
18-Jun-02
9.50%
18-Mar-02
18-Jun-02
9.50%
11-Jan-02
22-Jun-02
9.25%
22-Mar-02
22-Jun-02
9.45%
11-Jan-02
22-Jun-02
9.25%
22-Mar-02
22-Jun-02
9.45%
24-08-01
24-06-02
9.80%
24-Aug-01
24-Jun-02
9.80%
27-Aug-01
27-Jun-02
9.80%
27-Mar-02
27-Jun-02
9.45%
27-Mar-02
27-Jun-02
9.45%
27-Mar-02
27-Jun-02
9.45%
3-Jul-01
2-Jul-02
10%
9-Apr-02
7-Jul-02
Mibor + 80 bps
11-Apr-02
9-Jul-02
Mibor + 80 bps
25/10/2001
11-Jul-02
9.05%
25/10/2001
11-Jul-02
9.05%
13-Sep-00
13-Jul-02
13.00%
16-Aug-01
16-Jul-02
9.80%
18-Jan-02
16-Jul-02
8.90%
18-Jan-02
16-Jul-02
8.90%
18-Apr-02
16-Jul-02
Mibor + 70 bps
18-Apr-02
16-Jul-02
Mibor + 80 bps
23-Apr-02
21-Jul-02
Mibor + 80 bps
26-Apr-02
24-Jul-02
Mibor + 80 bps
29-Apr-02
27-Jul-02
Mibor + 80 bps
2-May-02
30-Jul-02
Mibor + 80 bps
31-Aug-00
31-Jul-02
13.00%
3-May-02
31-Jul-02
Mibor + 80 bps
7-Aug-01
6-Aug-02
10.00%
9-May-02
6-Aug-02
7-Nov-01
7-Aug-02
7-Nov-01
7-Aug-02
8.75%
8-Nov-01
8-Aug-02
8.75%
8-Nov-01
8-Aug-02
8.75%
10-Aug-01
9-Aug-02
10%
14-May-02
9-Aug-02
Mibor + 80 bps
13/08/01
12-Aug-02
10.00%
13-Aug-01
12-Aug-02
10.00%
29-May-02
26-Aug-02
8.45%
27-Jan-00
27-Aug-02
12.95%
27-Sep-99
27-Aug-02
13.10%
29-Nov-01
29-Aug-02
9.25%
29-Nov-01
29-Aug-02
9.25%
10-Sep-99
10-Sep-02
13.10%
14-Sep-99
14-Sep-02
13.10%
23-Sep-99
23-Sep-02
13.10%
27-Sep-99
27-Sep-02
13.10%
29-Sep-99
29-Sep-02
13.10%
4-Oct-99
4-Oct-02
13.10%
22-May-02
11-Oct-02
8.75%
22-May-02
11-Oct-02
8.75%
15-Oct-99
15-Oct-02
13.10%
25/10/2001
24/10/2002
9.05%
25/10/2001
24/10/2002
9.05%
29-Oct-99
29-Oct-02
13.10%
3-Nov-00
3-Nov-02
12.70%
29-Nov-01
3-Nov-02
9.15%
29-Nov-01
3-Nov-02
9.15%
5-Nov-01
5-Nov-02
9.25%
5-Nov-99
5-Nov-02
13.00%
5-Nov-01
5-Nov-02
9.25%
7-May-02
7-Nov-02
9.05%
7-May-02
7-Nov-02
9.05%
9-Aug-02
15-Nov-02
6.90%
9-Aug-02
15-Nov-02
6.90%
27-May-02
23-Nov-02
8.90%
27-May-02
23-Nov-02
8.90%
24-Nov-00
24-Nov-02
12.50%
11-Jun-02
10-Dec-02
8.85%
11-Jun-02
10-Dec-02
8.85%
13-Jun-02
11-Dec-02
8.45%
13-Jun-02
11-Dec-02
8.45%
13-Dec-01
13-Dec-02
9.15%
13-Dec-01
13-Dec-02
9.15%
15-Jun-02
13-Dec-02
8.65%
15-Jun-02
13-Dec-02
8.65%
30-06-01
30-12-02
11%
30-Jun-01
30-Dec-02
11.00%
15-Jul-02
10-Jan-03
7.75%
4/12/2002
1/12/2003
8.75%
4/12/2002
1/12/2003
8.75%
27-Jul-01
16-Jan-03
10.95%
11-Dec-02
16-Jan-03
5.90%
30-Dec-02
21-Jan-03
6.50%
1-Jan-03
3-Feb-03
N.A.
12-Feb-02
12-Feb-03
8.75%
12-Feb-02
12-Feb-03
8.75%
8-Oct-01
13-Feb-03
N.A.
10-Aug-01
13-02-03
N.A.
15-Feb-00
15-Feb-03
12.95%
3-Feb-03
26-Feb-03
6.30%
7-Sep-01
6-Mar-03
10.20%
17-Sep-02
17-Mar-03
6.95%
17-Sep-02
17-Mar-03
6.95%
28-Mar-02
28-Mar-03
9.27%
28-Mar-02
28-Mar-03
9.27%
22-Apr-02
2-Apr-03
9.25%
22-Apr-02
2-Apr-03
9.25%
10-Oct-02
7-Apr-03
6.75%
10-Oct-02
7-Apr-03
6.75%
8-Aug-02
8-Apr-03
7.30%
8-Aug-02
8-Apr-03
7.30%
9-Aug-02
9-Apr-03
7.30%
9-Aug-02
9-Apr-03
7.30%
17-Apr-02
10-Apr-03
8.80%
17-Apr-02
10-Apr-03
8.80%
10/14/2002
4/11/2003
6.80%
14-Oct-02
11-Apr-03
6.80%
30-Apr-01
16-Apr-03
11.85%
16-Aug-01
16-Apr-03
10.20%
19-Aug-02
19-Apr-03
7.30%
19-Aug-02
19-Apr-03
7.30%
27/03/2003
21/04/2003
7.50%
30-Apr-01
22-Apr-03
11.85%
27-Nov-02
28-Apr-03
6.30%
27-Nov-02
28-Apr-03
6.30%
30-Apr-02
2-May-03
9.25%
30-Apr-02
2-May-03
9.25%
6-Feb-03
6-May-03
6.85%
6-Feb-03
6-May-03
6.85%
8-May-01
8-May-03
11.85%
7-Feb-03
12-May-03
6.60%
7-Feb-03
12-May-03
6.60%
22-Nov-02
22-May-03
6.35%
22-Nov-02
22-May-03
6.35%
25-Nov-02
23-May-03
6.35%
25-Nov-02
23-May-03
6.35%
28-May-02
28-May-03
9.25%
28-May-02
28-May-03
9.25%
31-May-01
30-May-03
11.55%
3-Jul-02
3-Jun-03
8.40%
3-Jul-02
3-Jun-03
8.25%
3-Jul-02
3-Jun-03
8.25%
3-Jul-02
3-Jun-03
8.40%
29-Nov-02
3-Jun-03
6.30%
29-Nov-02
3-Jun-03
6.30%
25-Feb-03
6-Jun-03
7.25%
25-Feb-03
6-Jun-03
7.25%
24/04/2003
06/06/2003
5.50%
21-Jun-02
8-Jun-03
8.75%
21-Jun-02
8-Jun-03
8.75%
20-Feb-03
9-Jun-03
7.00%
20-Feb-03
9-Jun-03
7.00%
12-Jun-02
12-Jun-03
9.10%
12-Jun-02
12-Jun-03
9.10%
19-Aug-02
19-Jun-03
7.35%
19-Sep-02
19-Jun-03
7.15%
19-Aug-02
19-Jun-03
7.35%
19-Sep-02
19-Jun-03
7.15%
27-08-01
27-06-03
9.80%
30-06-01
30-06-03
11.20%
30-Jun-01
30-Jun-03
10.20%
2-Jul-02
1-Jul-03
8.50%
2-Jul-02
1-Jul-03
8.50%
3-Jul-02
2-Jul-03
8.90%
3-Jul-02
2-Jul-03
8.90%
28-Feb-03
4-Jul-03
6.90%
7-Mar-03
4-Jul-03
6.67%
28-Feb-03
4-Jul-03
6.90%
7-Mar-03
4-Jul-03
6.67%
8-Jul-02
7-Jul-03
8.50%
8-Jul-02
7-Jul-03
8.50%
8-Jan-03
8-Jul-03
6.20%
8-Jan-03
8-Jul-03
6.20%
12-Jul-02
11-Jul-03
8.45%
12-Jul-02
11-Jul-03
8.45%
16-Jul-02
16-Jul-03
Mibor + 200 bps (with a floor of 9.00% & a cap of 9.05%) Mibor + 200 bps (with a floor of 9.00% & a cap of 9.05%)
7.25%
16-Jul-02
16-Jul-03
26-Feb-03
16-Jul-03
26-Feb-03
16-Jul-03
7.25%
24-Jul-00
24-Jul-03
12.60%
2-Aug-02
1-Aug-03
8.10%
2-Aug-02
1-Aug-03
8.10%
7-Mar-03
7-Aug-03
6.75%
7-Mar-03
7-Aug-03
6.60%
7-Mar-03
7-Aug-03
6.75%
7-Mar-03
7-Aug-03
6.60%
13-Aug-02
12-Aug-03
7.65%
13-Aug-02
12-Aug-03
7.65%
14-Aug-02
14-Aug-03
7.80%
14-Aug-02
14-Aug-03
7.80%
18-Feb-03
18-Aug-03
6.80%
18-Feb-03
18-Aug-03
6.80%
18-Feb-03
18-Aug-03
6.80%
24-Oct-02
24-Aug-03
7.05%
24-Oct-02
24-Aug-03
7.05%
28-Aug-00
28-Aug-03
13.00%
5-Sep-02
2-Sep-03
7.45%
5-Sep-02
2-Sep-03
7.45%
13-Sep-00
13-Sep-03
13.00%
3-Oct-02
3-Oct-03
7.25%
3-Oct-02
3-Oct-03
7.25%
10/14/2002
10/14/2003
7.10%
10/14/2002
10/14/2003
7.20%
14-Oct-02
14-Oct-03
7.10%
14-Oct-02
14-Oct-03
7.20%
30-Apr-02
20-Oct-03
9.50%
30-Apr-02
30-Oct-03
9.50%
22/08/2003
19/11/2003
Mibor + 15 bps
1-Dec-00
1-Dec-03
12.50%
30-Dec-02
12-Dec-03
6.50%
30-Dec-02
12-Dec-03
6.50%
14-Jan-03
15-Dec-03
6.40%
20-Jan-03
15-Dec-03
7.15%
14-Jan-03
15-Dec-03
6.40%
20-Jan-03
15-Dec-03
7.15%
29/07/2003
15/12/2003
5.40%
17/04/2003
23/12/2003
6.25%
17/04/2003
23/12/2003
6.25%
06/10/2003
02/01/2004
MIBOR + 15bps
29/07/2003
27/01/2004
5.55%
30/10/2003
27/01/2004
29/07/2003
29/01/2004
5.60%
06/08/2003
02/02/2004
5.60%
29/07/2003
03/02/2004
5.45%
6-Nov-03
3-Feb-04
10/11/2003
06/02/2004
04/09/2003
11/02/2004
5.05%
13/05/2003
13/02/2004
5.75%
13/05/2003
13/02/2004
5.75%
16/04/2003
17/02/2004
6.40%
16/04/2003
17/02/2004
6.40%
05/09/2003
17/02/2004
5.05%
05/12/2003
17/02/2004
5.00%
23/06/2003
23/02/2004
5.75%
23/06/2003
23/02/2004
5.75%
09/09/2003
25/02/2004
5.05%
27-Aug-02
27-Feb-04
8.05%
27-Aug-02
27-Feb-04
8.05%
02/12/2003
28/02/2004
25/09/2003
05/03/2004
5.20%
23/12/2003
19/03/2004
1-Oct-02
1-Apr-04
1-Oct-02
1-Apr-04
8.10%
31-Jan-03
9-Apr-04
8.45%
31-Jan-03
9-Apr-04
8.45%
14-Apr-03
13-Apr-04
6.50%
14/04/2003
13/04/2004
6.50%
17/12/2003
16/04/2004
5.20%
19/01/2004
16/04/2004
21/04/2003
21/04/2004
6.45%
21/04/2003
21/04/2004
6.45%
30/04/2003
28/04/2004
6.45%
30/04/2003
28/04/2004
6.45%
05/05/2003
03/05/2004
6.60%
05/05/2003
03/05/2004
6.60%
4-Jul-03
04/05/2004
5.75%
13/02/2004
11/05/2004
4.80%
22/05/2003
20/05/2004
Zero Coupon
22/05/2003
20/05/2004
Zero Coupon
12/12/2003
25/05/2004
5.20%
28/11/2003
28/05/2004
5.25%
01/12/2003
01/06/2004
5.20%
04/06/2003
02/06/2004
5.95%
13/06/2003
02/06/2004
5.75%
04/06/2003
02/06/2004
5.95%
13/06/2003
02/06/2004
5.75%
06/06/2003
04/06/2004
5.85%
06/06/2003
04/06/2004
5.85%
09/06/2003
07/06/2004
5.85%
09/06/2003
07/06/2004
5.85%
12/12/2003
10/06/2004
5.30%
13/06/2003
11/06/2004
5.95%
13/06/2003
11/06/2004
5.95%
15/09/2003
15/06/2004
5.10%
19/12/2003
16/06/2004
5.30%
17/02/2004
16/06/2004
4.90%
19/06/2003
17/06/2004
5.85%
19/06/2003
17/06/2004
5.85%
25-Jun-03
24-Jun-04
5.85%
25/06/2003
24/06/2004
5.85%
4-Jul-03
2-Jul-04
0%
8-Jul-03
06/07/2004
6.10%
7/19/2003
16/07/2004
23-Jul-01
21-Jul-04
22/01/2004
21/07/2004
5.05%
26-Jul-02
26-Jul-04
8.65%
26-Jul-02
26-Jul-04
8.65%
2-Aug-01
2-Aug-04
10.45%
05/08/2003
03/08/2004
5.90%
09/02/2004
06/08/2004
5.00%
14-Feb-03
14-Aug-04
6.50%
14-Feb-03
14-Aug-04
6.50%
14-Feb-03
14-Aug-04
6.50%
16-Aug-01
16-Aug-04
10.30%
27-Feb-03
27-Aug-04
7.65%
27-Feb-03
27-Aug-04
7.65%
29-Aug-02
29-Aug-04
8.30%
29-Aug-02
29-Aug-04
8.30%
30-Aug-01
30-Aug-04
10.20%
30-08-01
30-08-04
10.85%
30-Aug-01
30-Aug-04
10.85%
19/09/2003
17/09/2004
5.40%
06/10/2003
04/10/2004
Zero Coupon
06/07/2004
06/10/2004
5.09%
08/07/2004
12/10/2004
5.09%
13/01/2004
13/10/2004
5.20%
19/07/2004
19/10/2004
5.09%
23/07/2004
03/11/2004
Zero Coupon
12/08/2003
11/11/2004
6.20%
14-Nov-03
12-Nov-04
18/12/2003
16/11/2004
NSE Mibor compounded daily + 90 bps NSE Mibor compounded daily + 80 bps 10.30%
22/12/2003
19/11/2004
26-Nov-01
26-Nov-04
26-Nov-01
26-Nov-04
10.30%
03/06/2003
02/12/2004
6.35%
03/06/2003
02/12/2004
6.35%
11/02/2004
10/12/2004
5.30%
15/12/2003
14/12/2004
NSE Mibor+ 90 bps (Floor 5.40% p.a. & Cap 5.45% p.a) NSE Mibor compounded daily + 90 bps 6.25%
18/12/2003
14/12/2004
27-Jun-03
16-Dec-04
13/01/2004
11/01/2005
29/07/2004
27/01/2005
08/07/2003
02/02/2005
6.25%
29/07/2003
02/02/2005
6.28%
15/07/2003
04/02/2005
6.28%
11/02/2004
10/02/2005
05/04/2004
04/04/2005
5.15%
15/10/2003
12/04/2005
5.65%
14/10/2003
14/04/2005
5.75%
16/10/2003
15/04/2005
5.75%
20/10/2003
20/04/2005
5.75%
07/05/2004
06/05/2005
5.00%
28/11/2003
28/05/2005
Mibor + 125 bps,( Floor5.75% p.a.,Cap-5.85% p.a.) NSE MIBOR + 140 bps
08/12/2003
08/06/2005
27-Jun-03
16-Jun-05
6.50%
29/07/2003
29/07/2005
6.50%
04/08/2003
04/08/2005
6.50%
10/03/2004
9/9/2005
17/10/2003
17/10/2005
14-Nov-03
14-Nov-05
15/12/2003
15/12/2005
08/03/2004
24/02/2006
NSE Mibor+150 bps compounded daily Floor 5.73% p.a & Cap of 5.83% p.a. compounded NSE Mibor daily compounded + 120 bps
01/03/2004
27/02/2006
17/05/2004
04/05/2006
20/05/2004
05/05/2006
NSE Mibor + 85 bps, Floor - 5.35% p.a., Cap : 5.45% NSE Mibor + 85 bps
20/05/2004
19/05/2006
07/06/2004
07/06/2006
NSE MIBOR + 100 bps Floor (Floor : 5.50% & Cap : 5.60%) MIBOR + 145 bps
23/01/2004
21/07/2006
20/05/2004
27/04/2007
8/16/2001
7/16/2002
9.80%
8/16/2001
4/16/2003
10.20%
8/16/2001
8/16/2004
10.30%
24/05/2004
24/05/2006
4/7/2003
7/7/2003
6.85%
26/05/2003
22/08/2003
6.05%
27/05/2003
22/08/2003
5.85%
28/05/2003
25/08/2003
6.50%
03/06/2003
29/08/2003
6.05%
04/06/2003
01/09/2003
5.75%
11/06/2003
08/09/2003
5.75%
21/03/2003
17/09/2003
6.85%
14/08/2003
12/11/2003
5.55%
21/08/2003
18/11/2003
5.60%
21/08/2003
18/11/2003
22/08/2003
19/11/2003
22/05/2003
21/11/2003
6.25%
25/08/2003
11/21/2003
6.50%
29/08/2003
26/11/2003
5.55%
01/09/2003
27/11/2003
5.23%
08/09/2003
05/12/2003
5.23%
29/09/2003
12/29/2003
5.50%
30/05/2003
27/02/2004
6.50%
01/09/2003
01/03/2004
5.60%
03/09/2003
02/03/2004
6.50% (payable on redemption/exercise of Put/Call option) NSE Mibor at 9.40 a.m. Plus 25 bps 5.40%
07/01/2004
05/04/2004
12-Nov-03
10-May-04
18-Nov-03
17-May-04
5.40%
12/12/2003
11/06/2004
5.85%
29/09/2003
7/29/2004
5.87%
11/12/2003
06/09/2004
6.10%
29/09/2003
9/29/2004
6.02%
18/09/2003
15/10/2004
6.20%
14/10/2004
11/12/2004
15/10/2004
1/12/2005
5.70%
25/08/2003
25/02/2005
18-Sep-02
16-Dec-02
2-Jan-03
22-Jan-03
6.90%
10-Dec-02
7-Mar-03
6.60%
12-Dec-02
11-Mar-03
6.55%
13-Dec-02
12-Mar-03
6.50%
19-Dec-02
18-Mar-03
6.50%
19-Feb-02
31-Mar-03
10.75%
22-Jan-03
21-Apr-03
6.25%
15-Feb-03
14-Aug-05
0.125
5-Dec-00
5-Dec-07
13%
24-Jan-01
24-Jan-08
13.15%
31-Jan-01
31-Jan-08
13.05%
15-Mar-01
15-Mar-08
13%
17-May-01
17-May-02
12.5%
31-Dec-01
30-Jan-02
9.00%
27-Nov-01
22-Feb-02
8.75%
27-Nov-01
22-Feb-02
NSE Mibor + 125 bps(compounded daily) NSE Mibor + 75 bps(compounded daily) NSE Mibor + 85 bps(compounded daily)
29-Nov-01
26-Feb-02
7-Dec-01
5-Mar-02
7-Dec-01
6-Mar-02
NSE Mibor + 100 bps(compounded daily) NSE Mibor + 100 bps(compounded daily) 8.50%
12-Dec-01
11-Mar-02
1-Feb-02
18-Mar-02
20-Dec-01
19-Mar-02
21-Dec-01
20-Mar-02
4-Jan-02
3-Apr-02
9.00%
15-Jan-02
12-Apr-02
22-Jan-02
19-Apr-02
23-Jan-02
22-Apr-02
8.75%
23-Jan-02
22-Apr-02
24-Jan-02
23-Apr-02
8-Feb-02
8-May-02
8.90%
8-Apr-02
8-May-02
8.25%
12-Feb-02
10-May-02
18-Feb-02
17-May-02
21-Feb-02
21-May-02
21-Feb-02
21-May-02
25-Feb-02
24-May-02
8.90%
26-Feb-02
24-May-02
27-Feb-02
27-May-02
8-Mar-02
5-Jun-02
8.90%
13-Mar-02
10-Jun-02
8.90%
13-Mar-02
10-Jun-02
26-Mar-02
21-Jun-02
9.60%
28-Mar-02
25-Jun-02
9.85%
3-Apr-02
1-Jul-02
9.25%
9-Apr-02
5-Jul-02
NSE Mibor + 90 bps(compounded Daily) NSE Mibor + 100 bps(Compounded Daily) NSE Mibor + 90 bps (compounded daily) NSE Mibor + 85 bps (compounded daily) 8.85%
10-Apr-02
8-Jul-02
11-Apr-02
9-Jul-02
23-Apr-02
19-Jul-02
26-Apr-02
24-Jul-02
29-Apr-02
26-Jul-02
9.00%
28-Jun-02
29-Jul-02
8.25%
7-May-02
2-Aug-02
9.05%
9-May-02
2-Aug-02
9.20%
6-May-02
3-Aug-02
9.00%
8-May-02
5-Aug-02
10-May-02
7-Aug-02
9.05%
16-May-02
13-Aug-02
22-May-02
19-Aug-02
9.05%
28-May-02
23-Aug-02
9.05%
29-May-02
26-Aug-02
29-May-02
26-Aug-02
8.95%
30-May-02
27-Aug-02
5-Jun-02
2-Sep-02
9.00%
5-Jun-02
2-Sep-02
9.05%
11-Jun-02
6-Sep-02
NSE Mibor + 100 bps compounded daily NSE Mibor +85 Bps
20-Jun-02
17-Sep-02
24-Jun-02
20-Sep-02
8.85%
25-Jun-02
20-Sep-02
9.00%
25-Jun-02
20-Sep-02
27-Jun-02
24-Sep-02
1-Jul-02
27-Sep-02
9.25%
4-Jul-02
1-Oct-02
8.75%
4-Jul-02
1-Oct-02
26-Jul-02
11-Oct-02
9.00%
18-Jul-02
14-Oct-02
NSE Mibor + 120 Bps compounded daily NSE Mibor + 120 bps (compounded daily) NSE Mibor + 120 bps (compounded daily) NSE Mibor + 70 bps (compounded daily) 8.30%
23-Jul-02
18-Oct-02
26-Jul-02
23-Oct-02
26-Jul-02
23-Oct-02
30-Jul-02
25-Oct-02
2-Aug-02
30-Oct-02
8.30%
5-Aug-02
1-Nov-02
8.45%
7-Aug-02
1-Nov-02
8.00%
8-Aug-02
5-Nov-02
19-Aug-02
15-Nov-02
7.78%
23-Aug-02
20-Nov-02
7.65%
26-Aug-02
22-Nov-02
7.60%
27-Aug-02
22-Nov-02
7.90%
2-Sep-02
29-Nov-02
7.50%
2-Sep-02
29-Nov-02
7.75%
5-Dec-02
11.80%
16-Dec-02
7.40%
20-Sep-02
17-Dec-02
7.40%
20-Sep-02
18-Dec-02
7.40%
24-Dec-01
23-Dec-02
10%(Interest reset date 24-Jun-02) 10% (Interest reset date 24Jun-02) NSE Mibor +85 bps compounded daily
24-Dec-01
23-Dec-02
27-Sep-02
24-Dec-02
3-Oct-02
30-Dec-02
5-Jan-03
8-Jan-03
7.40%
16-Oct-02
13-Jan-03
23-Oct-02
20-Jan-03
7.25%
23-Oct-02
20-Jan-03
8.25%
24-Oct-02
21-Jan-03
24-Oct-02
21-Jan-03
25-Oct-02
22-Jan-03
7.30%
30-Oct-02
27-Jan-03
7.50%
1-Nov-02
29-Jan-03
7.25%
7-Nov-02
4-Feb-03
11-Nov-02
6-Feb-03
7.00%
11-Nov-02
7-Feb-03
7.00%
12-Nov-02
7-Feb-03
15-Nov-02
12-Feb-03
7.05%
22-Nov-02
19-Feb-03
22-Nov-02
19-Feb-03
25-Nov-02
21-Feb-03
6.90%
2-Dec-02
28-Feb-03
6.50%
14-Mar-03
6.25%
17-Mar-03
6.25%
19-Dec-02
18-Mar-03
6.30%
26-Dec-02
25-Mar-03
7.00%
30-Dec-02
28-Mar-03
7.00%
8-Jan-03
7-Apr-03
6.30%
14-Jan-03
10-Apr-03
7.90%
20-Jan-03
17-Apr-03
7.25%
20-Jan-03
17-Apr-03
6.40%
22-Jan-03
21-Apr-03
6.40%
22-Jan-03
21-Apr-03
7.90%
27-Jan-03
24-Apr-03
7.00%
29-Jan-03
28-Apr-03
6.45%
30-Jan-03
29-Apr-03
6.40%
5-Feb-03
5-May-03
7.90%
6-Feb-03
6-May-03
7-Feb-03
7-May-03
7.40%
12-Feb-03
12-May-03
6.75%
18-Feb-03
14-May-03
6.50%
18-Feb-03
14-May-03
6.50%
18-Feb-03
14-May-03
7.00%
21-Feb-03
21-May-03
7.00%
28-Feb-03
28-May-03
8.00%
13-Mar-03
10-Jun-03
NSE Mibor + 70 bps compounded daily NSE Mibor + 65 bps compounded daily NSE Mibor + 60 bps compounded daily 7.85%
17-Mar-03
13-Jun-03
17-Mar-03
13-Jun-03
25-Mar-03
20-Jun-03
25-Mar-03
20-Jun-03
7.90%
28-Mar-03
25-Jun-03
7.85%
31-Mar-03
27-Jun-03
8.00%
31-Mar-03
27-Jun-03
8.15%
31-Mar-03
27-Jun-03
8.00%
31-Mar-03
27-Jun-03
8.15%
16/04/2003
14/07/2003
7.90%
17-Apr-03
15-Jul-03
6.90%
17/04/2003
15/07/2003
17/04/2003
15/07/2003
6.65%
21/04/2003
18/07/2003
22/04/2003
18/07/2003
24/04/2003
22/07/2003
6.40%
29/04/2003
25/07/2003
6.35%
06/05/2003
01/08/2003
NSE Mibor + 140 bps compouunded daily NSE Mibor+40 bps compounded daily NSE Mibor+35 bps compounded daily NSE Mibor + 30 bps
07/05/2003
04/08/2003
12/05/2003
08/08/2003
13/05/2003
08/08/2003
21/05/2003
18/08/2003
5.80%
22/05/2003
19/08/2003
28/05/2003
25/08/2003
5.60%
28/05/2003
25/08/2003
6.00%
4-Sep-00
4-Sep-03
12.00%
4-Sep-00
4-Sep-03
12.25%
20/06/2003
17/09/2003
5.65%
20/06/2003
17/09/2003
5.70%
25/06/2003
22/09/2003
5.65%
27/06/2003
24/09/2003
5.65%
1-Jul-03
26-Sep-03
3-Jul-03
29-Sep-03
5.65%
3-Jul-03
29-Sep-03
5.66%
15/07/2003
09/10/2003
6.00%
15/07/2003
10/10/2003
5.65%
15/07/2003
10/10/2003
7.25%
18/07/2003
15/10/2003
21/07/2003
17/10/2003
7.15%
22/07/2003
17/10/2003
5.75%
25/07/2003
22/10/2003
5.65%
04/08/2003
31/10/2003
04/08/2003
31/10/2003
7.15%
08/08/2003
05/11/2003
18/08/2003
14/11/2003
5.40%
22/08/2003
19/11/2003
25/08/2003
21/11/2003
26/08/2003
21/11/2003
25/08/2003
21/11/2003
6.00%
29/08/2003
25/11/2003
5.15%
17/09/2003
15/12/2003
5.15%
17/09/2003
15/12/2003
NSE MIBOR+0.20%
24-Sep-03
22-Dec-03
5.40%
26/09/2003
24/12/2003
5.35%
26/09/2003
24/12/2003
NSE MIBOR+30bps
29/09/2003
26/12/2003
5.35%
29/09/2003
26/12/2003
5.40%
4-Jan-02
4-Jan-04
NSE Mibor + 145 bps (compounded daily) NSE Mibor + 145 bps (compounded daily) 5.90%
4-Jan-02
4-Jan-04
09/10/2003
06/01/2004
10/10/2003
07/01/2004
5.15%
15/10/2003
12/01/2004
7.00%
15/10/2003
12/01/2004
MIBOR + 20bps
17/10/2003
14/01/2004
5.45%
20/10/2003
16/01/2004
7.00%
22/10/2003
19/01/2004
5.15%
28/10/2003
23/01/2004
5.45%
31/10/2003
28/01/2004
30-Jan-02
30-Jan-04
30-Jan-02
30-Jan-04
10.85%
04/11/2003
30/01/2004
4-Nov-03
1/30/2004
14/11/2003
11/02/2004
5.15%
15/12/2003
13/02/2004
5.00%
21-Nov-03
18-Feb-04
5.10%
21/11/2003
18/02/2004
6.00%
25/11/2003
20/02/2004
5.10%
24/12/2003
23/02/2004
4.95%
27-Feb-02
27-Feb-04
10.55% (interest reset rate option on 27th Feb, 2003) 10.55% (interest reset rate option on 27th Feb, 2003) 7.00%
27-Feb-02
27-Feb-04
02/12/2003
27/02/2004
28-Feb-02
28-Feb-04
10.25%
28-Feb-02
28-Feb-04
10.25%
15/12/2003
12/03/2004
22/12/2003
19/03/2004
06/01/2004
02/04/2004
5.80%
07/01/2004
05/04/2004
5.20%
09/01/2004
07/04/2004
5.15%
12/01/2004
09/04/2004
5.15%
16/01/2004
13/04/2004
5.10%
19/01/2004
16/04/2004
5.10%
23/01/2004
21/04/2004
5.25%
30/01/2004
28/04/2004
5.08%
11/02/2004
10/05/2004
5.08%
13/02/2004
12/05/2004
5.08%
17/02/2004
14/05/2004
6.00%
20/02/2004
19/05/2004
5.08%
2/23/2004
21/05/2004
5.08%
15/03/2004
11/06/2004
19/03/2004
16/06/2004
5.05%
29/03/2004
25/06/2004
02/04/2004
30/06/2004
05/04/2004
02/07/2004
NSE Mibor + 0 bps compounded daily NSE Mibor - 10 bps compounded daily 4.90%
16/04/2004
14/07/2004
21/04/2004
19/07/2004
21/04/2004
19/07/2004
NSE Mibor - 20 bps compounded daily NSE Mibor - 20 bps compounded daily 4.70%
22/04/2004
20/07/2004
29/04/2004
27/07/2004
29/04/2004
27/07/2004
4.75%
30/04/2004
28/07/2004
4.70%
14/05/2004
11/08/2004
6.00%
20/05/2004
17/08/2004
21/05/2004
18/08/2004
25/05/2004
19/08/2004
28/05/2004
25/08/2004
4.65%
28/05/2004
25/08/2004
02/06/2004
30/08/2004
4.70%
04/06/2004
01/09/2004
4.70%
03/09/2004
NSE MIBOR-10bps
13/09/2004
4.75%
02/07/2004
29/09/2004
19/07/2004
15/10/2004
27/07/2004
21/10/2004
4.71%
28/07/2004
25/10/2004
5.75%
06/08/2004
03/11/2004
5.14%
20-Nov-02
20-Nov-04
8.25%
4-Dec-02
4-Dec-04
8.10%
31-Dec-02
31-Dec-04
8.00%
02/01/2004
31/12/2004
6.00%
6-Jan-03
6-Jan-05
8.00%
07/04/2003
07/04/2005
7.75%
08/04/2003
08/04/2005
7.75%
31/03/2003
31/03/2006
7.85%
31/03/2003
31/03/2008
8.00%
29/01/2001
29/01/04
11.10%
29/01/2001
29/01/05
11.20%
29/01/2001
29/01/06
11.30%
29/01/2001
29/01/07
11.40%
29/01/2001
29/01/08
11.50%
31-Oct-02
31-Oct-05
7.95%
31-Oct-02
31-Oct-05
7.95%
31-Oct-02
31-Oct-06
7.95%
31-Oct-02
31-Oct-06
7.95%
31-Oct-02
31-Oct-07
7.95%
31-Oct-02
31-Oct-07
7.95%
6-Mar-00
6-Mar-03
11.25%
27-Apr-00
27-Apr-03
11.25%
27/02/2004
25/02/2005
NSE Mibor+ 71 bps daily compounding 42 bps over NSE Mibor daily compounding payable an 5.99%
29/04/2004
28/04/2005
11/08/2003
04/08/2005
31-Aug-02
31-Aug-05
9.25%
31-Aug-02
31-Aug-05
8.80%
31-Aug-02
31-Aug-05
9.25%
31-Aug-02
31-Aug-05
8.80%
3-Oct-02
3-Sep-05
8.85%
3-Oct-02
3-Sep-05
8.85%
3-Oct-02
3-Oct-05
8.75%
3-Oct-02
3-Oct-05
8.75%
27/02/2004
23/12/2005
5.75%
27/02/2004
23/12/2005
NSE Mibor + 110 bps (Floor 5.60% & Cap 5.70%) 5.75%
27/02/2004
09/01/2006
27/02/2004
27/02/2006
5.75%
29/04/2004
28/04/2006
28/05/2003
29/05/2006
15/06/2003
15/06/2006
6.50%
30/10/2003
30/10/2006
5.65%
29/04/2004
27/04/2007
27-Aug-01
23-Nov-01
31-Aug-01
28-Nov-01
8.00%
20-Sep-01
18-Dec-01
21-Sep-01
19-Dec-01
29-Dec-00
29-Dec-01
NSE MIBOR + 1%
1-Oct-01
29-Dec-01
15-Oct-01
11-Jan-02
8.10%
17-Oct-01
14-Jan-02
8.15%
17-Oct-01
14-Jan-02
8.05%
29-Oct-01
25-Jan-02
7.80%
13-Feb-01
13-Feb-02
13-Feb-01
13-Feb-02
20-Feb-01
20-Feb-02
20-Feb-01
20-Feb-02
30-May-02
27-Feb-02
Mibor + 0.40%
7-Dec-01
6-Mar-02
14-Dec-01
13-Mar-02
8.20%
19-Dec-01
18-Mar-02
MIBOR + .40%
17-Jan-02
22-Mar-02
7.50%
15-Jan-02
12-Apr-02
29-Jan-02
28-Apr-02
MIBOR + 0.40%
27-Feb-02
27-May-02
MIBOR + 0.40%
25-Jun-01
25-Jun-02
25-Jun-01
25-Jun-02
17-Apr-02
15-Jul-02
MIBOR + 0.40%
20-May-02
16-Aug-02
8.00%
21-May-02
18-Aug-02
Mibor + 0.40%
22-May-02
19-Aug-02
Mibor + 0.40%
29-May-02
26-Aug-02
Mibor + 0.40%
3-Jun-02
31-Aug-02
Mibor + 0.40%
5-Jun-02
2-Sep-02
Mibor + 0.40%
7-Sep-01
6-Sep-02
8.50%
7-Sep-01
6-Sep-02
8.50%
7-Sep-01
6-Sep-02
8.50%
7-Sep-01
6-Sep-02
8.50%
11-Jun-02
6-Sep-02
7.90%
11-Jun-02
8-Sep-02
Mibor + 0.40%
14-Jun-02
11-Sep-02
7.82%
9-Jul-02
4-Oct-02
7.15%
16-Aug-02
13-Nov-02
Mibor + 0.30%
19-Aug-02
16-Nov-02
Mibor + 0.30%
23-Aug-02
20-Nov-02
MIBOR + 0.25%
28-Aug-02
25-Nov-02
MIBOR + 0.20%
29-Aug-02
26-Nov-02
MIBOR + 0.15%
6-Sep-02
4-Dec-02
6.30%
24-Sep-02
22-Dec-02
Mibor + 0.25%
1-Oct-02
29-Dec-02
Mibor + 0.25%
7-Oct-02
4-Jan-03
Mibor + 0.25%
9-Oct-02
6-Jan-03
Mibor + 0.25%
23-Oct-02
20-Jan-03
6.20%
29-Oct-02
26-Jan-03
Mibor + 0.25%
31-Oct-02
28-Jan-03
Mibor + 0.25%
14-Nov-02
11-Feb-03
Mibor + 0.25%
15-Nov-02
12-Feb-03
Mibor + 0.25%
18-Nov-02
15-Feb-03
Mibor + 0.25%
22-Nov-02
19-Feb-03
Mibor + 0.25%
11-Nov-02
28-Feb-03
Mibor +0.25%
20-Dec-02
19-Mar-03
Mibor + 0.25%
3-Jan-03
25-Mar-03
5.65%
8-Jan-03
7-Apr-03
Mibor + 0.25%
10-Jan-03
9-Apr-03
Mibor + 0.25%
13-Jan-03
12-Apr-03
Mibor + 0.25%
31-Jan-03
30-Apr-03
Mibor + 0.25%
11-Feb-03
11-May-03
Mibor + 0.10%
15-May-01
15-May-03
15-May-01
15-May-03
18-Feb-03
18-May-03
Mibor + 0.20%
21-Jul-00
21-Jul-05
11.25%
11-Jan-01
11-Jan-06
11.75%
22-Jul-02
22-Jul-07
8.40%
25-Jul-02
25-Jul-07
8.09%
25-Jul-02
25-Jul-07
8.09%
3-Jul-02
29-Sep-02
Mibor + 40 bps
3-Jul-02
30-Sep-02
Mibor + 40 bps
13-Mar-03
10-Jun-03
Mibor + 0.15%
25-Jun-02
24-Jun-03
Mibor + 60 bps
25-Jun-02
24-Jun-03
Mibor + 60 bps
20/05/2003
17/08/2003
Mibor + 0.05%
26-Jun-03
23-Sep-03
Mibor + 0.15%
8-Jun-03
05/10/2003
Mibor + 0.10%
08/09/2003
06/12/2003
Mibor - 0.10%
09/09/2003
07/12/2003
MIBOR - 0.05%
11/09/2003
09/12/2003
MIBOR-10bps
18-Sep-03
16-Dec-03
MIBOR
31-Mar-03
14-Apr-04
Mibor + 1.10%
31-Mar-03
14-Apr-04
Mibor + 1.10%
26-Feb-03
26-May-04
6.60%
26-Feb-03
26-May-04
6.60%
1-Dec-01
1-Dec-02
11%
1-Oct-01
30-Apr-03
11%
8-May-01
8-May-03
11.30%
07/06/2001
07/06/2003
11.06%
6-Jul-01
6-Jul-03
10.95%
09/08/2000
09/08/2003
13.00%
10/08/2000
09/08/2003
13.25%
3-Jan-02
3-Jan-04
10%
17/01/2001
17/01/2004
12.75%
14/02/2001
14/02/2004
12.20%
15/05/2001
15/05/2004
11.39%
07/06/2001
07/06/2004
11.16%
09/07/2001
09/07/2004
11.00%
27-Jul-01
27-Jul-04
11.00%
15/11/2001
15/11/2004
10.60%
13-Mar-02
12-Mar-05
10.25%
25-Mar-02
24-Mar-05
10.25%
29-Apr-02
29-Apr-05
10.25%
30-Jul-02
30-Jul-05
9.95%
23-Aug-02
23-Aug-05
9.10%
26-Sep-02
25-Sep-05
9.40%
25-Sep-02
25-Sep-05
9.40%
29-Oct-02
29-Oct-05
9.20%
29-Nov-02
29-Nov-05
8.85%
2-Dec-02
2-Dec-05
9.30%
13-Dec-02
13-Dec-05
8.75%
16-Dec-02
16-Dec-05
9.30%
30-Dec-02
30-Dec-05
8.70%
29/03/2003
3/29/2006
8.50%
03/04/2003
4/3/2006
8.80%
23/04/2003
23/04/2006
8.25%
28/04/2003
28/04/2006
8.10%
30/04/2003
30/04/2006
8.60%
17-Jun-03
17-Jun-06
7.50%
07/07/2003
07/07/2006
7.20%
07/07/2003
07/07/2006
7.30%
24-Sep-03
24-Sep-06
6.70%
29/08/2003
29/08/2007
7.35%
2-Nov-02
2-Nov-06
7.10%
2-Nov-02
2-Nov-06
7.10%
18-Feb-02
18-Feb-07
9%
18-Feb-07
9%
27-Aug-07
7.80%
27-Aug-02
27-Aug-07
7.80%
2-Nov-02
2-Nov-07
7.10%
2-Nov-02
2-Nov-07
7.10%
18-Feb-02
18-Feb-08
9.50%
18-Feb-08
9.50%
30-Jun-06
12.20%
1-Mar-01
30-Jun-06
13%
29-Jul-00
29-Oct-07
13.00%
8-Apr-96
8-Apr-03
13.50%
27-Dec-01
26-Apr-03
14.00%
10-Nov-87
10-Nov-02
11.00%
11-Feb-88
11-Feb-03
11.00%
11-Aug-93
11-Aug-03
13.50%
4-Jan-94
4-Jan-04
13.50%
1-Sep-94
1-Sep-04
12.50%
1-Feb-95
1-Feb-05
12.50%
1-Aug-95
1-Aug-05
14.00%
6-Dec-95
6-Dec-05
14.00%
18-Sep-96
18-Sep-06
13.85%
27-Aug-92
27-Aug-07
13.00%
21-Dec-92
21-Dec-07
13.00%
19-Jan-98
19-Jan-08
12.30%
15-Feb-01
15-Feb-08
13.00%
22-Jan-98
22-Jan-05
11%
15-Oct-98
15-Oct-05
14.50%
15-Oct-98
15-Oct-05
15%
10-Mar-99
10-Mar-06
14.50%
1-Jul-99
30-Jun-06
13.50%
1-Sep-99
31-Aug-06
13.50%
15-Dec-99
14-Dec-06
13.25%
29-Apr-00
28-Apr-07
20-Feb-01
19-Feb-08
21/09/1998
31/03/2004
14.35%
21/09/1998
15/04/2004
14.35%
18/05/1999
15/06/2005
13.75%
21/02/2000
30/06/2005
11.50%
30-Apr-98(Date of allotment) 30-Apr-98(Date of allotment) 30-Nov-98(Date of allotment) 30-Nov-98(Date of allotment) 30-Nov-98(Date of allotment) 30-Nov-98(Date of allotment) 29/10/2003
31-Mar-03
14.75%
31-Mar-03
14.50%
31-Oct-03
14.50%
31-Oct-03
14.50%
30-Nov-03
14.50%
30-Nov-03
14.50%
29/01/2004
Zero Coupon
20/10/2003
20/02/2004
Zero Coupon
29/10/2003
29/02/2004
Zero Coupon
20/10/2003
20/03/2004
Zero Coupon
29/10/2003
29/03/2004
Zero Coupon
20/10/2003
20/04/2004
Zero Coupon
29/10/2003
29/04/2004
Zero Coupon
20/10/2003
20/05/2004
Zero Coupon
29/10/2003
29/05/2004
Zero Coupon
20/10/2003
20/06/2004
Zero Coupon
29/10/2003
29/06/2004
Zero Coupon
20/10/2003
20/07/2004
Zero Coupon
29/10/2003
29/07/2004
Zero Coupon
20/10/2003
20/08/2004
Zero Coupon
29/10/2003
29/08/2004
Zero Coupon
20/10/2003
20/09/2004
Zero Coupon
29/10/2003
29/09/2004
Zero Coupon
20/10/2003
20/10/2004
Zero Coupon
29/10/2003
29/10/2004
Zero Coupon
20/10/2003
20/11/2004
Zero Coupon
29/10/2003
29/11/2004
Zero Coupon
20/10/2003
20/12/2004
Zero Coupon
29/10/2003
29/12/2004
Zero Coupon
20/10/2003
20/01/2005
Zero Coupon
29/10/2003
29/01/2005
Zero Coupon
14-Feb-05
11%
20/02/2005
Zero Coupon
29/10/2003
28/02/2005
Zero Coupon
20/10/2003
20/03/2005
Zero Coupon
29/10/2003
29/03/2005
Zero Coupon
20/10/2003
20/04/2005
Zero Coupon
29/10/2003
29/04/2005
Zero Coupon
20/10/2003
20/05/2005
Zero Coupon
29/10/2003
29/05/2005
Zero Coupon
20/10/2003
20/06/2005
Zero Coupon
29/10/2003
29/06/2005
Zero Coupon
20/10/2003
20/07/2005
Zero Coupon
29/10/2003
29/07/2005
Zero Coupon
20/10/2003
20/08/2005
Zero Coupon
29/10/2003
29/08/2005
Zero Coupon
20/10/2003
20/09/2005
Zero Coupon
29/10/2003
29/09/2005
Zero Coupon
20/10/2003
20/10/2005
Zero Coupon
29/10/2003
29/10/2005
Zero Coupon
20/10/2003
20/11/2005
Zero Coupon
29/10/2003
29/11/2005
Zero Coupon
20/10/2003
20/12/2005
Zero Coupon
29/10/2003
29/12/2005
Zero Coupon
20/10/2003
20/01/2006
Zero Coupon
29/10/2003
29/01/2006
Zero Coupon
20/10/2003
20/02/2006
Zero Coupon
29/10/2003
28/02/2006
Zero Coupon
20/10/2003
20/03/2006
Zero Coupon
29/10/2003
29/03/2006
Zero Coupon
20/10/2003
20/04/2006
Zero Coupon
29/10/2003
29/04/2006
Zero Coupon
20/10/2003
20/05/2006
Zero Coupon
29/10/2003
29/05/2006
Zero Coupon
20/10/2003
20/06/2006
Zero Coupon
29/10/2003
29/06/2006
Zero Coupon
19-Jul-06
12%
20/07/2006
Zero Coupon
29/10/2003
29/07/2006
Zero Coupon
20/10/2003
20/08/2006
Zero Coupon
29/10/2003
29/08/2006
Zero Coupon
20/10/2003
20/09/2006
Zero Coupon
29/10/2003
29/09/2006
Zero Coupon
18-Nov-07
13%
30-Dec-07
13%
31/03/2008
11.50%
30-Apr-98(Date of allotment)
30-Apr-08
14.75%
30-Apr-08
14.50%
12-Nov-02
11.00%
11-Feb-88
11-Feb-03
11.00%
13-Aug-93
13-Aug-03
13.50%
1-Sep-94
1-Sep-04
12.50%
2-Feb-95
2-Feb-05
12.50%
3-Aug-95
3-Aug-05
14.00%
7-Dec-95
7-Dec-05
14.00%
19-Sep-96
19-Sep-06
13.85%
30-Jan-97
30-Jan-07
13.75%
27-Aug-92
27-Aug-07
13.00%
23-Oct-97
23-Oct-07
12.30%
22-Dec-92
22-Dec-07
13.00%
22-Jan-98
22-Jan-08
12.30%
31-Jan-98
31-Dec-02
14.00%
18-Nov-02
18-Nov-03
10.50%
7-Jan-03
7-Jan-04
10.50%
1-Sep-99
1-Oct-04
13.65%
26-Apr-01
26-Apr-08
13.00%
25-Nov-02
22-Feb-03
9.00%
14-Feb-03
13-May-03
Mibor + 75 bps
14-Feb-03
13-May-03
Mibor + 75 bps
28/04/2003
25/07/2003
Mibor + 60 bps
22/05/2003
18/08/2003
Mibor + 60 bps
14-Mar-00
14-Mar-05
12.10%
23-Oct-98
23-Oct-03
13.10%
22-May-01
22-May-05
10.60%
21-Aug-98
21-Aug-05
14.00%
18-Oct-00
18-Oct-07
11.65%
27-Apr-01
27-Apr-08
11.15%
6-Jan-99
6-Jan-02
14.30%
01/0799
7-Jan-02
14.20%
30-Oct-01
25-Jan-02
Mibor +0.90%
7-Nov-01
4-Feb-02
Mibor + 0.85%
12-Nov-01
8-Feb-02
Mibor + 0.90%
15-Nov-01
12-Feb-02
Mibor + 0.85%
6-Dec-01
5-Mar-02
14-Dec-01
13-Mar-02
19-Dec-01
18-Mar-02
Mibor + 0.85%
26-Dec-01
21-Mar-02
8.95%
26-Dec-01
22-Mar-02
MIBOR + 85 bps
24-Dec-01
22-Mar-02
MIBOR + 90 bps
9-Jan-02
8-Apr-02
9.15%
11-Jan-02
10-Apr-02
9.15%
11-Jan-02
10-Apr-02
9.25%
16-Jan-02
15-Apr-02
9.00%
17-Jan-02
16-Apr-02
Mibor + 85 bps
28-Mar-02
26-Apr-02
9.50%
31-Jan-02
30-Apr-02
8.50%
4-Feb-02
3-May-02
Mibor + 0.85%
8-Feb-02
8-May-02
MIBOR + 90 bps
19-Feb-02
17-May-02
Mibor + 0.85%
30-Apr-02
24-May-02
8.90%
28-Nov-01
30-May-02
9.25%
28-Nov-01
30-May-02
9.25%
4-Mar-02
31-May-02
Mibor + 0.85%
8-Mar-02
5-Jun-02
Mibor + 0.85%
2-May-02
11-Jun-02
9.00%
12-Dec-01
13-Jun-02
9.25%
12-Dec-01
13-Jun-02
9.25%
18-Mar-02
14-Jun-02
Mibor + 0.85%
18-Dec-01
18-Jun-02
9.00%
18-Dec-01
18-Jun-02
9.00%
27-Mar-02
21-Jun-02
9.50%
3-Jan-02
24-Jun-02
9.00%
3-Jan-02
24-Jun-02
9.00%
28-Mar-02
25-Jun-02
Mibor + 0.90%
26-Jun-01
26-Jun-02
10.45%
28-Dec-01
26-Jun-02
9.00%
28-Dec-01
26-Jun-02
9.00%
2-Apr-02
28-Jun-02
Mibor + 0.90%
2-Apr-02
28-Jun-02
9.00%
10-Oct-01
1-Jul-02
9.25%
3-Apr-02
1-Jul-02
Mibor + 0.85%
3-Apr-02
1-Jul-02
9.00%
5-Jul-02
Mibor + 0.90%
8-Jul-02
9.00%
9-Jan-02
8-Jul-02
N.A.
9-Jan-02
8-Jul-02
N.A.
8-Jan-02
8-Jul-02
9.00%
10-Apr-02
8-Jul-02
9.00%
29-May-02
8-Jul-02
9.00%
12-Apr-02
10-Jul-02
9.00%
12-Apr-02
10-Jul-02
8.90%
12-Apr-02
10-Jul-02
Mibor + 0.90%
22-Apr-02
19-Jul-02
Mibor + 0.85%
26-Apr-02
24-Jul-02
9.00%
2-May-02
30-Jul-02
9.00%
10-Nov-01
1-Aug-02
9.25%
7-May-02
2-Aug-02
9.00%
10-Aug-01
9-Aug-02
0%
16-May-02
13-Aug-02
8.95%
24-May-02
20-Aug-02
9.05%
24-May-02
20-Aug-02
9.20%
24/08/00
24/8/02
11.66%
31-May-02
28-Aug-02
9.20%
8-Jul-02
6-Sep-02
8.00%
14-Jun-02
11-Sep-02
Mibor + 85 bps
21-Jun-02
18-Sep-02
8.70%
20-Sep-02
8.65%
24-Sep-02
8.65%
1-Jul-02
27-Sep-02
9.00%
4-Jul-02
1-Oct-02
8.10%
8-Jul-02
4-Oct-02
8.10%
9-Jul-02
4-Oct-02
8.25%
10-Jul-02
7-Oct-02
8.25%
13-Aug-02
11-Oct-02
8.95%
16/10/2001
15/10/2002
9.67%
16/10/2001
15/10/2002
9.67%
22-Oct-01
21-Oct-02
0%
22-Oct-01
21-Oct-02
0%
5-Aug-02
1-Nov-02
7.00%
9-Aug-02
6-Nov-02
7.00%
13-Aug-02
8-Nov-02
7.05%
15-Nov-01
14-Nov-02
9.60%
15-Nov-01
14-Nov-02
9.60%
20-Nov-01
19-Nov-02
10.00%
20-Nov-01
19-Nov-02
10.00%
22-Nov-01
21-Nov-02
8.9%
22-Nov-01
21-Nov-02
8.9%
28-Aug-02
25-Nov-02
9.20%
27-Nov-01
26-Nov-02
9.40%
27-Nov-01
26-Nov-02
9.40%
27-Sep-02
26-Nov-02
6.99%
3-Jun-02
29-Nov-02
9.20%
3-Jun-02
29-Nov-02
9.20%
9-Sep-02
6-Dec-02
6.75%
13-Sep-02
11-Dec-02
20-Sep-02
13-Dec-02
6.80%
4-Oct-02
20-Dec-02
6.98%
3-Oct-02
31-Dec-02
7.25%
3-Oct-02
31-Dec-02
7.50%
7-Oct-02
3-Jan-03
6.80%
8-Jan-00
8-Jan-03
12.75%
11-Jan-00
11-Jan-03
12.75%
18-Jan-02
17-Jan-03
9.75%
18-Jan-02
17-Jan-03
9.75%
31-Oct-02
28-Jan-03
6.35%
2-Nov-02
30-Jan-03
6.50%
7-Nov-02
4-Feb-03
6.40%
9-Nov-02
6-Feb-03
6.50%
15-Nov-02
12-Feb-03
Mibor + 50 bps
18-Nov-02
15-Feb-03
Mibor + 50 bps
20-Nov-02
17-Feb-03
Mibor + 50 bps
18-Dec-02
17-Feb-03
6.15%
21-Nov-02
18-Feb-03
Mibor + 50bps
26-Nov-02
21-Feb-03
6.45%
29-Nov-02
26-Feb-03
6.25%
18-Dec-02
17-Mar-03
Mibor + 50 bps
18-Dec-02
17-Mar-03
Mibor + 45 bps
19-Dec-02
18-Mar-03
6.25%
26-Dec-02
25-Mar-03
6.42%
9-Jan-03
8-Apr-03
6.35%
9-Apr-00
9-Apr-03
12.75%
10-Jan-03
9-Apr-03
6.35%
15-Jan-03
10-Apr-03
6.45%
16-Jan-03
10-Apr-03
6.32%
15-Jan-03
14-Apr-03
6.35%
4-Feb-03
2-May-03
6.50%
6-May-03
6.50%
7-May-03
6.50%
10-Feb-03
9-May-03
6.50%
12-Feb-03
12-May-03
6.50%
21-Feb-03
21-May-03
6.45%
26-Feb-03
26-May-03
6.25%
4-Mar-03
30-May-03
6.75%
10-Jun-00
10-Jun-03
12.60%
13-Mar-03
10-Jun-03
0.0625
17-Mar-03
13-Jun-03
6.60%
21-Mar-03
13-Jun-03
6.90%
17-Jun-02
16-Jun-03
9.30%
17-Jun-02
16-Jun-03
9.30%
19-Mar-03
16-Jun-03
6.40%
24-Mar-03
17-Jun-03
6.90%
21-Mar-03
18-Jun-03
6.85%
26/06/00
26/6/03
11.75%
27-Jun-00
27-Jun-03
11.75%
28-Jun-02
27-Jun-03
9.25%
28-Jun-02
27-Jun-03
9.25%
3-Jul-02
2-Jul-03
8.50%
3-Jul-02
2-Jul-03
8.50%
09/04/2003
07/07/2003
6.35%
10-Apr-03
8-Jul-03
6.45%
10-Apr-03
08/07/2003
6.32%
10/04/2003
08/07/2003
6.35%
12-Jul-00
12-Jul-03
12.75%
16-Jul-02
15-Jul-03
7.95%
16-Jul-02
15-Jul-03
7.95%
05/05/2003
01/08/2003
5.55%
06/05/2003
01/08/2003
5.50%
06/05/2003
01/08/2003
5.65%
07/05/2003
04/08/2003
5.65%
09/05/2003
06/08/2003
5.65%
25/09/00
25/9/03
12.75%
2-Jul-03
29-Sep-03
5.65%
4-Jul-03
01/10/2003
5.60%
7-Jul-03
03/10/2003
5.80%
09/07/2003
06/10/2003
5.80%
24-Sep-03
5-Nov-03
5.70%
23/09/2003
12/11/2003
5.75%
26/09/2003
24/12/2003
5.15%
29/09/2003
26/12/2003
5.10%
09/10/2003
06/01/2004
Mibor + 5 bps
28/10/2003
20/01/2004
5.25%
30/10/2003
27/01/2004
5.25%
16/02/01
16/2/04
12.10%
02/12/2003
27/02/2004
MIBOR + 5 bps
26/12/2003
17/03/2004
5.10%
26/12/2003
19/03/2004
5.10%
24/12/2003
22/03/2004
5.15%
28-Mar-03
2-Apr-04
7.45%
28-Mar-03
2-Apr-04
7.45%
06/01/2004
02/04/2004
5-Apr-03
3-Apr-04
5-Apr-03
3-Apr-04
7.45%
9-Apr-03
7-Apr-04
7.25%
9-Apr-03
7-Apr-04
7.25%
14/05/01
14/5/04
11.60%
25/05/01
25/5/04
11.60%
04/06/2003
02/06/2004
6.20%
4-Jun-03
2-Jun-04
6.20%
10/06/2003
08/06/2004
6.20%
10-Jun-03
8-Jun-04
6.20%
20/06/2003
24/06/2004
6.20%
26-Jun-01
26-Jun-04
11.40%
31/03/2004
28/06/2004
NSE Mibor daily compounding payable rear end NSE Mibor + 105 bps
3-Jul-03
01/07/2004
04/07/2003
02/07/2004
6.10%
23/06/2004
20/09/2004
NSE Mibor + 5 bps daily compounding payable rear end NSE MIBOR compounding on business day + 80 bps NSE MIBOR compounding on business day + 85 bps NSE Mibor (compounding on business days ) + 100 bps NSE Mibor (compounding on business days )+ 95bps NSE Mibor compounding on business days + 99 bps
12-Nov-03
9-Nov-04
11-Nov-03
9-Nov-04
04/12/2003
02/12/2004
04/12/2003
02/12/2004
11/12/2003
09/12/2004
10/06/2003
10/12/2004
6.50%
10-Jun-03
10-Dec-04
6.50%
12/12/2003
10/12/2004
NSE Mibor compounding on business days + 100 bps NSE Mibor compounding on business days + 100bps with floor rate of 5.40% p.a. compounding NSE Mibor & cap rate of on business days + 95 bps
16/12/2003
13/12/2004
24/12/2003
22/12/2004
16/01/2004
14/01/2005
5.25%
05/04/2004
04/04/2005
5.30%
22/05/2003
10/04/2005
7.00%
22/05/2003
10/04/2005
7.00%
10/06/2003
10/04/2005
6.90%
10-Jun-03
10-Apr-05
6.90%
17/03/2004
06/05/2005
5.50%
07/05/2003
07/05/2005
7.00%
07/05/2003
07/05/2005
7.00%
13-Nov-03
13-May-05
20/05/2003
20/05/2005
20/05/2003
20/05/2005
7.10%
10/06/2003
10/06/2005
7.00%
10-Jun-03
10-Jun-05
7.00%
24/12/2003
24/06/2005
5-Jul-02
5-Jul-05
5-Jul-02
5-Jul-05
9.60%
07/07/2003
07/07/2005
6.75%
08/12/2003
08/07/2005
16-Jul-02
16-Jul-05
18-Jul-02
18-Jul-05
8.50%
18-Jul-02
18-Jul-05
8.50%
31-Jul-02
31-Jul-05
8.00%
31-Jul-02
31-Jul-05
8.00%
01/08/2003
01/08/2005
6.75%
8/11/2003
8/11/2005
6.75%
16-Aug-02
16-Aug-05
9.00%
25/08/2003
25/08/2005
18-Sep-02
18-Sep-05
18-Sep-02
18-Sep-05
8.8%
3-Oct-02
3-Oct-05
8.80%
3-Oct-02
3-Oct-05
8.80%
15/10/2003
15/10/2005
15/10/2003
15/10/2005
23-Oct-02
23-Oct-05
8.50%
23-Oct-02
23-Oct-05
8.50%
25-Oct-02
25-Oct-05
8.50%
25-Oct-02
25-Oct-05
8.25%
25-Oct-02
25-Oct-05
8.50%
25-Oct-02
25-Oct-05
8.25%
14-Nov-03
14-Nov-05
5.85%
14-Nov-03
14-Nov-05
21-Nov-02
21-Nov-05
21-Nov-02
21-Nov-05
7.25%
26/03/2004
27/03/2006
NSE Mibor compounding every business day + 130 bps NSE Mibor compounding every business day + 145 bps NSE Mibor + 140 bps compounding every business day
24/03/2004
04/04/2006
01/03/2004
10/04/2006
16/04/2004
16/04/2006
NSE Mibor compounding every business day + 125 bps NSE Mibor compounding every business day + 105 bps 6.90%
30/04/2004
28/04/2006
4-Jul-03
4-Jul-06
07/01/2004
07/07/2006
08/07/2003
08/07/2006
05/08/2003
05/08/2006
6.90%
27/08/2003
27/08/2006
10/10/2003
10/10/2006
10/10/2003
10/10/2006
NSE Mibor compounding daily + 150 bps NSE Mibor compounding daily + 155 bps NSE Mibor compounding on business days + 165 bps NSE MIBOR compounding every business day + 105 bps NSE Mibor compounding every business day + 150 bps
7-Nov-03
7-Nov-06
01/01/2004
01/01/2007
28/07/2004
29/01/2007
16/04/2004
16/04/2007
16/04/2004
16/04/2007
20/04/2004
30/04/2007
6.20%
19/04/2004
30/04/2007
NSE Mibor compounding every business day + 150 bps NSE Mibor compounding every business day + 125 bps 1 Year GOISEC Benchmark + 80 bps 6.30%
03/05/2004
03/05/2007
28/06/2004
28/06/2007
07/07/2004
06/07/2007
07/07/2004
07/07/2007
28/07/2004
30/07/2007
28-Mar-02
28-Sep-07
13-Mar-03
10-Jun-03
6.25%
7-Apr-03
4-Jul-03
6.60%
10-Apr-03
8-Jul-03
6.60%
14-Jun-02
10-Sep-02
28-Jun-02
25-Sep-02
8.00%
9/20/2002
9/26/2002
6.25%
13/05/2004
14/06/2004
4.65%
13/05/2004
14/06/2004
4.55%
14/06/2004
14/07/2004
4.60%
14/06/2004
14/07/2004
4.55%
18/06/2004
19/07/2004
4.65%
14/07/2004
11/10/2004
4.95%
19/07/2004
15/10/2004
4.83%
29/04/2004
19/05/2004
4.50%
19/05/2004
18/06/2004
4.64%
06/04/2004
06/05/2004
4.75%
13/04/2004
13/05/2004
4.65%
13/04/2004
13/05/2004
4.59%
04/06/2004
4.48%
19/07/2004
4.59%
7-Aug-92
7-Aug-03
16.00%
07/08/2003
04/11/2003
Mibor + 15 bps
28/08/2003
25/11/2003
22-Sep-03
19-Dec-03
29/09/2003
26/12/2003
16-Jan-00
16-Jan-03
12%
25/08/2003
24/08/2006
6.00%
14-Feb-02
13-Feb-05
10.50%
25-Jul-00
25-Jul-02
13.00%
4-Mar-02
3-Mar-03
12.50%
21-Jun-01
21-Jun-03
13.00%
7-Aug-02
30-Oct-03
11.50%
3-Aug-01
3-Aug-04
13.00%
25-Oct-02
21-Jan-03
22-Nov-02
19-Feb-03
28-Nov-02
25-Feb-03
13-Mar-03
5.95%
17-Mar-03
5.92%
9-Jan-03
26-Mar-03
5.95%
12/05/2003
08/08/2003
5.30%
19/05/2003
14/08/2003
5.25%
19/05/2003
14/08/2003
5.30%
10-Jun-03
5-Sep-03
5.32%
1-Nov-02
1-Nov-07
Zero Coupon
21/05/2003
20/05/2004
7.45%
04/06/2003
03/06/2004
7.30%
23/06/2003
22/06/2004
7.30%
03/07/2003
02/07/2004
7.50%
21-Mar-02(Deemed date 3/21/2007 of allotment) 21-Mar-02(Deemed date 21-Mar-07 of allotment) 7-Feb-00 7-Feb-07
8.60%
8.60%
11.60%
15-Nov-01
15-Nov-04
8.60%
15-Nov-01
15-Nov-04
8.60%
15-02-2002 (deemed date of allotment) Date of issue 15-02-2002 (deemed date of allotment) Date of issue 25/08/1993
15-Feb-05
8.60%
15-Feb-05
8.60%
25/08/2003
13.50%
1-Feb-97
1-Feb-04
9.00%
26/10/1994
26/10/2004
12.50%
1-Dec-97
1-Dec-04
8.25%
1-Feb-00
1-Feb-05
11.00%
30-Mar-00
1-Feb-05
10.00%
30-Mar-00
1-Feb-05
10.40%
1-Mar-02
1-Mar-05
7.50%
1-Mar-02
1-Mar-05
7.10%
4-Mar-02
4-Mar-05
7.10%
6-Mar-02
6-Mar-05
7.00%
18-Mar-02
18-Mar-05
6.75%
21-Mar-02
21-Mar-05
7.00%
12-Sep-02
12-Sep-05
7.10%
10-Oct-95
10-Oct-05
14%
18-Nov-02
18-Nov-05
4.80%
1-Dec-98
1-Dec-05
8.25%
7-Jan-03
7-Jan-06
5.45%
22-Mar-99
22-Mar-06
11.25%
22/05/2003
22/05/2006
5.72%
27/05/2003
27/05/2006
5.65%
21/06/2003
21/07/2006
5.40%
19-Aug-96
19-Aug-06
13.85%
17/09/2003
17/09/2006
4.90%
30-Mar-00
1-Feb-07
10.25%
30-Mar-00
1-Feb-07
10.75%
15/03/2004
15/03/2007
4.85%
15/03/2004
15/03/2007
4.80%
15/03/2004
15/03/2007
4.80%
16/03/2004
16/03/2007
4.80%
18/03/2004
18/03/2007
4.80%
19/03/2004
19/03/2007
4.75%
27/04/2004
27/04/2007
4.80%
29/04/2004
29/04/2007
4.80%
30/04/2004
30/04/2007
4.80%
03/05/2004
03/05/2007
4.80%
05/05/2004
05/05/2007
4.80%
07/05/2004
07/05/2007
4.80%
31-Aug-02
31-Aug-07
7%
18-Sep-02
18-Sep-07
6.60%
07/10/1992
07/10/2007
13.00%
18-Dec-02
18-Dec-07
6.00%
1/31/2003
1/31/2008
5.60%
18-Feb-98
18-Feb-08
12.30%
29-Mar-03
29-Mar-08
5.25%
10/03/2003
10/03/2006
5.25%
12/03/2003
12/03/2006
5.25%
19/03/2003
19/03/2008
5.25%
19/03/2003
19/03/2008
5.10%
14-Feb-03
14-Feb-08
5.10%
17-Feb-03
17-Feb-08
5.10%
21-Feb-03
21-Apr-08
5.10%
30-Apr-98
30-Apr-05
13.50%
30-Apr-98
30-Apr-05
14.00%
30-Apr-98
30-Apr-05
10.50%
14-May-98
14-May-05
10.50%
20-May-98
20-May-05
10.50%
1-Jul-98
1-Jul-05
10.50%
1-Jul-98
1-Jul-05
10.50%
31-Mar-99
30-Mar-06
9.70%
30-Apr-99
31-Mar-06
13.50%
31-Mar-99
31-Mar-06
13.50%
30-Apr-99
30-Apr-06
13.50%
31-May-02
31-May-05
8.00%
31-May-02
31-May-05
30-Jun-02
30-Jun-05
30-Jun-02
30-Jun-05
31-Jul-02
31-Jul-05
8.00%
31-Jul-02
31-Jul-05
31-Aug-02
31-Aug-05
7.50%
31-Aug-02
31-Aug-05
30-Sep-02
30-Sep-05
7.50%
30-Sep-02
30-Sep-05
31-Oct-02
31-Oct-05
7.50%
31-Oct-02
31-Oct-05
30-Nov-02
30-Nov-05
30-Nov-02
30-Nov-05
31-Dec-02
31-Dec-05
7.00%
31-Dec-02
31-Dec-05
31-Jan-03
31-Jan-06
7.00%
31-Jan-03
31-Jan-06
31-May-02
31-May-07
31-May-02
31-May-07
1st/2nd /3rd Year : 8% 4th year : 8.25% 5th Year : 8.50% 8.15%
30-Jun-02
30-Jun-07
30-Jun-02
30-Jun-07
1st/2nd /3rd Year : 8% 4th year : 8.25% 5th Year : 8.50% 8.15%
31-Jul-02
31-Jul-07
31-Jul-02
31-Jul-07
1st/2nd /3rd Year : 8% 4th year : 8.25% 5th Year : 8.50% 7.60%
31-Aug-02
31-Aug-07
31-Aug-02
31-Aug-07
30-Sep-02
30-Sep-07
1st/2nd /3rd Year : 7.50% 4th year : 8.00% 5th Year : 8.00% 7.60%
30-Sep-02
30-Sep-07
31-Oct-02
31-Oct-07
1st/2nd /3rd Year : 7.50% 4th year : 8.00% 5th Year : 8.00% 7.60%
31-Oct-02
31-Oct-07
30-Nov-02
30-Nov-07
1st/2nd /3rd Year : 7.50% 4th year : 8.00% 5th Year : 8.00% 7.10%
30-Nov-02
30-Nov-07
31-Dec-02
31-Dec-07
7.10%
31-Dec-02
31-Dec-07
Step Up 1st, 2nd, 3rd yr : 7.00%, 4th yr : 7.50%, 5th yr 7.50% 7.10%
31-Jan-03
31-Jan-08
31-Jan-03
31-Jan-08
Step Up 1st, 2nd, 3rd yr : 7.00%, 4th yr : 7.50%, 5th yr 7.50% 9.00%
31-Jul-01
31-Jul-06
29-Sep-01
29-Aug-06
9.00%
31-Aug-01
31-Aug-06
9.00%
31-Oct-01
31-Oct-06
9.00%
30-Nov-01
30-Nov-06
9.00%
6-Dec-01
6-Dec-06
9.00%
31-Dec-01
31-Dec-06
8.50%
28-Feb-02
28-Feb-07
8.50%
31-Mar-02
31-Mar-07
8.50%
31-Jan-02
31-Jul-07
8.50%
22-Feb-94
22-Feb-04
13.50%
31-Mar-97
31-Mar-04
13.50%
13-Dec-94
13-Dec-04
12.50%
26-Mar-98
26-Mar-05
9.50%
25-Aug-98
25-Aug-05
9.50%
25-Aug-98
25-Aug-05
12.50%
25/08/2003
25/08/2005
5.00%
9-Jan-96
9-Jan-06
14.00%
22-Mar-99
22-Mar-06
9.15%
23-Mar-01
22-Mar-06
10.25%
31/03/2003
31/03/2006
6.00%
25/04/2003
25/04/2006
6.00%
6-Sep-99
6-Sep-06
8.50%
28-Jan-97
28-Jan-07
13.75%
21-Dec-92
21-Dec-07
13.00%
24-Mar-98
24-Mar-08
12.30%
31-Mar-97
31-Mar-04
16.00%
31-Mar-97
31-Mar-04
10.50%
7-Jan-02
7-Jan-07
9.55%
7-Jan-02
7-Jan-07
9.55%
15-Mar-01
15-Dec-02
16%
28-Oct-02
27-Dec-02
8.50%
15-Jun-01
15-Mar-03
16%
15-Sep-01
15-Jun-03
16%
15-Dec-01
15-Sep-03
16%
1-Jan-02
31-Dec-06
9.50%
3-May-02
2-May-07
10.00%
3-May-02
2-May-07
10.00%
20-Jul-02
19-Jul-07
10.00%
20-Jul-02
19-Jul-07
10.00%
13-Sep-02
12-Sep-07
9.70%
13-Sep-02
12-Sep-07
9.70%
15-Feb-03
14-Feb-08
7.00%
15/02/2003
14/02/2008
7.00%
28-Mar-03
27-Mar-08
7.75%
28/03/2003
27/03/2008
7.75%
1-Aug-02
1-Aug-06
8.05%
1-Aug-02
1-Aug-06
8.05%
1-Aug-02
1-Aug-07
8.05%
1-Aug-02
1-Aug-07
8.05%
5-Sep-01
5-Sep-07
10.00%
5-Sep-01
5-Sep-07
10.00%
30-Apr-02
30-Apr-08
9.55%
16-Dec-02
14-Mar-02
7.50%
28-Dec-01
27-Mar-02
Mibor + 90BPS
28-Jan-02
29-Mar-02
9.35%
31-Dec-01
30-Mar-02
Mibor + 95BPS
2-Apr-02
30-Jun-02
MIBOR + 90 bps
3-May-02
30-Jul-02
8.75%
17-Jun-02
13-Sep-02
Mibor + 90 Bps
1-Jul-02
27-Sep-02
Mibor + 90 Bps
25-Oct-02
MIBOR + 75 bps
27-Oct-02
8.75%
9-Nov-01
8-Nov-02
MIBOR + 50 bps
23-Nov-01
22-Nov-02
MIBOR + 50 bps
28-Nov-01
27-Nov-02
MIBOR + 50 bps
3-Dec-01
2-Dec-02
MIBOR + 50 bps
21-Dec-01
20-Dec-02
Mibor + 50BPS
28-Dec-01
27-Dec-02
Mibor + 80BPS
28-Dec-01
27-Dec-02
Mibor + 50BPS
16-Oct-02
13-Jan-03
MIBOR + 0.75%
21-Oct-02
17-Jan-03
MIBOR + 0.40%
21-Jan-02
20-Jan-03
MIBOR + 80 bps
25-Oct-02
21-Jan-03
8.00%
25-Oct-02
21-Jan-03
Mibor + 0.90%
22-Oct-02
22-Jan-03
Mibor + 0.70%
29-Jan-02
28-Jan-03
MIBOR + .50%
7-Feb-02
6-Feb-03
MIBOR + 0.50%
14-Feb-02
13-Feb-03
MIBOR + 0.50%
21-Nov-02
18-Feb-03
MIBOR + 70 bps
2-Dec-02
28-Feb-03
MIBOR + 80 bps
4-Dec-02
2-Mar-03
Mibor + 80 bps
4-Dec-02
2-Mar-03
7.50%
5-Mar-02
4-Mar-03
MIBOR + 0.50%
16-Dec-02
14-Mar-03
MIBOR + 80 bps
27-Dec-02
25-Mar-03
7.50%
3-Jan-03
1-Apr-03
7.50%
4-Apr-02
3-Apr-03
MIBOR + 50 bps
5-Apr-02
4-Apr-03
MIBOR + 50 bps
12-Apr-02
11-Apr-03
MIBOR + 50 bps
17-Apr-02
16-Apr-03
MIBOR + 80 bps
31-Jan-03
30-Apr-03
7.50%
2-May-02
1-May-03
8-May-02
7-May-03
14-May-02
13-May-03
16-May-02
15-May-03
Mibor + 0.80%
7-Jun-02
7-Jun-03
Mibor + 0.80%
1-Jul-02
1-Jul-03
Mibor + 80 Bps
1-Jul-02
1-Jul-03
Mibor + 50 Bps
3-Jul-02
3-Jul-03
MIBOR + 0.50%
16-Jul-02
16-Jul-03
Mibor + 0.50%
23-Jul-02
23-Jul-03
MIBOR + 0.50%
29-Jul-02
29-Jul-03
MIBOR + 50 bps
1-Aug-02
1-Aug-03
MIBOR + 80 bps
1-Aug-02
1-Aug-03
MIBOR + 50 bps
5-Aug-02
5-Aug-03
MIBOR + 0.80%
14/05/2003
11/08/2003
5.80%
14-Aug-02
14-Aug-03
MIBOR + 0.50%
19/05/2003
16/08/2003
5.80%
22/05/2003
19/08/2003
5.80%
21-Aug-02
21-Aug-03
MIBOR + 0.50%
28/05/2003
25/08/2003
5.80%
2-Sep-02
2-Sep-03
Mibor + 0.30%
5-Sep-02
5-Sep-03
Mibor + 0.45%
16/06/2003
12/09/2003
Mibor + 10 bps
15/09/2003
5.50%
3-Oct-03
Mibor + 0.45%
8-Oct-02
8-Oct-03
MIBOR + 0.45%
15/07/2003
10/10/2003
Mibor + 10 bps
18/07/2003
15/10/2003
Mibor + 10 bps
21-Oct-02
21-Oct-03
MIBOR + 0.45%
24/10/2003
Mibor + 10 bps
28/10/2003
Mibor + 10 bps
1-Nov-02
1-Nov-03
MIBOR + 40 bps
07/08/2003
04/11/2003
MIBOR + 10 bps
12/08/2003
07/11/2003
Mibor + 0 bps
8-Nov-02
8-Nov-03
MIBOR + 40 bps
8-Nov-02
8-Nov-03
MIBOR + 80 bps
14/08/2003
11/11/2003
Mibor + 0 bps
19/08/2003
14/11/2003
Mibor + 0 bps
15-Nov-02
15-Nov-03
MIBOR + 40 bps
20/08/2003
17/11/2003
Mibor + 10 bps
22/08/2003
19/11/2003
Mibor + 10 bps
22-Nov-02
22-Nov-03
MIBOR + 40 bps
28/08/2003
25/11/2003
Mibor + 10 bps
26-Nov-02
26-Nov-03
Mibor + 10 bps
10/09/2003
08/12/2003
Mibor
19-Dec-02
19-Dec-03
Mibor + 30 bps
24-Dec-02
24-Dec-03
Mibor + 30 bps
24-Dec-02
24-Dec-03
Mibor + 70 bps
27-Dec-02
27-Dec-03
Mibor + 40 Bps
1-Jan-03
1-Jan-04
Mibor + 40 Bps
06/10/2003
02/01/2004
Mibor + 10 bps
3-Jan-03
3-Jan-04
30 bps
10-Jan-03
10-Jan-04
40 bps
10-Jan-03
10-Jan-04
30 bps
15-Jan-03
15-Jan-04
30 bps
15-Jan-03
15-Jan-04
70 bps
20/10/2003 21/10/2003
16/01/2004
Mibor + 10 bps
17-Jan-03
17-Jan-04
30 bps
17-Jan-03
17-Jan-04
Mibor + 70 bps
22-Jan-03
22-Jan-04
MIBOR + 30 bps
27-Jan-03
27-Jan-04
Mibor + 30 bps
29-Jan-03
29-Jan-04
Mibor + 30 bps
30-Jan-03
30-Jan-04
Mibor + 30 bps
30-Jan-03
30-Jan-04
Mibor + 70 bps
31-Jan-03
31-Jan-04
Mibor + 30 bps
4-Feb-03
4-Feb-04
MIBOR + 80 bps
7-Feb-03
7-Feb-04
Mibor + 80 Bps
21-Feb-03
21-Feb-04
Mibor + 30 bps
4-Mar-03
4-Mar-04
Mibor + 70 bps
16/12/2003
12/03/2004
Mibor + 10 bps
3-Apr-03
3-Apr-04
Mibor + 0.25%
04/04/2003
04/04/2004
Mibor + 0.25%
08/01/2004
06/04/2004
MIBOR + 5 bps
07/04/2003
07/04/2004
Mibor + 0.25%
08/04/2003
08/04/2004
Mibor + 0.25%
12/01/2004
08/04/2004
MIBOR + 5 bps
09/04/2004
Mibor + 0.15%
13/04/2004
Mibor + 5 bps
19/01/2004
15/04/2004
MIBOR + 5 Bps
16/04/2003
16/04/2004
Mibor + 0.60%
17/04/2003
17/04/2004
Mibor + 0.60%
21/01/2004
19/04/2004
Mibor + 5 bps
23/01/2004
21/04/2004
Mibor + 5 bps
22-Apr-03
22-Apr-04
Mibor + 0.60%
24/04/2003
24/04/2004
Mibor + 0.60%
28/04/2003
28/04/2004
Mibor + 15 bps
30/01/2004
28/04/2004
Mibor + 5 bps
04/02/2004
30/04/2004
Mibor + 5 bps
02/05/2003
02/05/2004
Mibor + 60 bps
09/05/2003
5/7/2004
Mibor + 10 bps
12/05/2003
5/10/2004
Mibor + 60 bps
12/05/2003
5/10/2004
Mibor + 10bps
12/02/2004
11/05/2004
Mibor + 5 bps
14/05/2003
12/05/2004
Mibor + 60 bps
14/05/2003
12/05/2004
Mibor + 10 bps
27/05/2003
25/05/2004
Mibor + 15 bps
02/06/2003
31/05/2004
Mibor + 10 bps
02/06/2003
01/06/2004
Mibor + 10 bps
04/03/2004
01/06/2004
MIBOR + 5 bps
05/03/2004
02/06/2004
MIBOR + 5 bps
04/06/2003
03/06/2004
MIBOR + 10 bps
11/06/2003
09/06/2004
Mibor + 10 bps
16/06/2003
14/06/2004
Mibor + 10 bps
23/06/2003
21/06/2004
Mibor + 25 bps
05/04/2004
02/07/2004
Mibor + 0 bps
09/07/2003
07/07/2004
12/04/2004
09/07/2004
Mibor + 0 bps
14/07/2003
12/07/2004
16/07/2003
14/07/2004
Mibor + 10 bps
17/07/2003
15/07/2004
Mibor + 10 bps
21/04/2004
19/07/2004
Mibor + 0 bps
28-Oct-02
28-Oct-04
6.90%
28/10/2002
28/10/2004
6.90%
28-Oct-02
28-Oct-05
7.00%
28/10/2002
28/10/2005
7.00%
08/06/2004
03/09/2004
Mibor + 0 bps
02/07/2004
29/09/2004
Mibor - 5 bps
01/10/2004
MIBOr - 5 bps
19/10/2004
MIBOR - 5 bps
13/07/2004
12/07/2005
Mibor - 5 bps
26/05/2003
26/05/2005
6.50%
26/05/2003
26/05/2006
6.50%
26/05/2003
26/05/2007
6.50%
9-Jul-01
4-Jul-02
8.40%
20-Aug-01
20-Aug-02
8.50%
27-Sep-01
26-Sep-02
8.80%
20-Dec-02
8.00%
6-Jun-03
28-Jun-02
27-Jun-03
7.80%
2-Jul-02
1-Jul-03
7.10%
27-Jul-01
25-Jul-03
8.60%
27-Sep-02
26-Sep-03
7-Oct-02
6-Oct-03
Benchmark Overnight Mibor as declared by NSE at 9.40 a.m. Benchmark Reuters Mumbai Interbank Overnight Average Rate (RMIOR) as stated bty 13.50%
5/17/1998
5/17/2003
20-Nov-95
19-Nov-02
10.50%
5-Feb-98
5-Feb-05
9.25%
27-Mar-98
27-Mar-05
10.50%
30-Mar-98
30-Mar-05
10.50%
1-Jan-00
1-Jan-07
9.75%
22-Aug-97
22-Aug-02
14.00%
31-Mar-97
31-Mar-04
10.50%
22-Aug-97
22-Aug-04
14.50%
1-Dec-96
1-Dec-06
10.50%
1-Feb-97
1-Feb-07
10.50%
13-Nov-97
13-Nov-07
10.25%
6-Mar-98
6-Mar-08
10.00%
10-Sep-01
10-Apr-07
9.70%
9-Oct-01
4-Oct-07
9.70%
22-Oct-02
22-Apr-08
7.15%
22-Oct-02
22-Apr-08
7.15%
27-Nov-00
5-Dec-03
13.50%
26-Mar-02
25-Mar-04
10.80%
26-Mar-02
25-Mar-04
10.80%
27-Jun-03
27-Dec-06
7.50%
14-Mar-00
14-Mar-03
11.15%
12-Jun-00
12-Jun-03
13.50%
21-Feb-02
21-Feb-03
N.A.
30-May-02
21-Feb-03
N.A.
21-Feb-02
21-Feb-03
N.A.
5/30/2002
2/21/2003
N.A.
19-Dec-02
19-Dec-05
6.70%
19/12/2002
19/12/2005
6.70%
17-Jan-03
17-Jan-08
6.60%
17/01/2003
17/01/2008
6.60%
29-Nov-01
27-May-02
2-Aug-02
28-Jan-03
12-Aug-02
7-Feb-03
Mibor + 3%
11-Jun-01
10-Aug-04
12.00%
13-Mar-03
9-Jun-03
7.90%
12/09/2003
11/11/2003
6.75%
28-Mar-94
28-Mar-04
13.50%
19-Dec-92
19-Dec-07
13%
14-Sep-98
14-Sep-98
10.40%
29-Mar-96
29-Mar-03
10.50%
6-May-96
6-May-03
10.50%
4-Jun-96
4-Jun-03
10.50%
5-Jul-96
5-Jul-03
10.50%
25-Jul-96
25-Jul-03
10.50%
30-Oct-98
30-Oct-03
12.75%
30-Oct-98
30-Oct-03
12.75%
10-Feb-97
10-Feb-04
10.50%
10-Mar-97
10-Mar-04
10.50%
10-Apr-97
10-Apr-04
10.50%
13-Nov-97
13-Nov-04
8.85%
18-Nov-97
18-Nov-04
8.85%
2-Jun-98
2-Jun-05
13.25%
23-Nov-01
23-Nov-05
9.70%
23-Nov-01
23-Nov-06
9.70%
4-Jan-00
4-Jan-07
11.90%
4-Jan-00
4-Jan-07
11.90%
14-Mar-00
14-Mar-07
11.20%
14-Mar-00
14-Mar-07
11.20%
29-Mar-00
29-Mar-07
11.20%
29-Mar-00
29-Mar-07
11.20%
1-Jun-00
1-Jun-07
10.68%
1-Jun-00
1-Jun-07
10.68%
23-Jun-00
23-Jun-07
10.68%
23-Jun-00
23-Jun-07
10.68%
12-Oct-00
12-Oct-07
11.89%
12-Oct-00
12-Oct-07
11.89%
1-Nov-00
1-Nov-07
11.89%
1-Nov-00
1-Nov-07
11.89%
10-Nov-00
10-Nov-07
11.89%
10-Nov-00
10-Nov-07
11.89%
20-Nov-00
20-Nov-07
11.89%
20-Nov-00
20-Nov-07
11.89%
23-Nov-01
23-Nov-07
9.70%
9-Jan-01
9-Jan-08
11.30%
9-Jan-01
9-Jan-08
11.30%
6-Dec-97
6-Dec-02
13%
31-Jul-02
31-Jul-03
7.85%
31-Jul-02
31-Jul-03
7.85%
31-Jul-02
31-Jul-03
7.85%
4-Aug-98
4-Aug-03
13.50%
22-Aug-00
22-Aug-03
12.25%
6-Dec-97
6-Dec-03
13%
7-Dec-01
7-Dec-03
9.20%
7-Dec-01
7-Dec-03
9.20%
17/07/2003
17/07/2004
6.10%
31-Jul-02
31-Jul-04
7.85%
31-Jul-02
31-Jul-04
7.85%
31-Jul-02
31-Jul-04
7.85%
4-Aug-98
4-Aug-04
13.50%
22-Aug-00
22-Aug-04
12.25%
6-Dec-97
6-Dec-04
13%
7-Dec-01
7-Dec-04
9.20%
7-Dec-01
7-Dec-04
9.20%
27-Apr-00
27-Apr-05
10.35%
17/07/2003
17/07/2005
6.10%
31-Jul-02
31-Jul-05
7.85%
31-Jul-02
31-Jul-05
7.85%
31-Jul-02
31-Jul-05
7.85%
4-Aug-98
4-Aug-05
13.50%
22-Aug-00
22-Aug-05
12.25%
6-Dec-97
6-Dec-05
13%
7-Dec-01
7-Dec-05
9.80%
7-Dec-01
7-Dec-05
9.20%
7-Dec-01
7-Dec-05
9.80%
7-Dec-01
7-Dec-05
9.20%
28-Mar-02
28-Mar-06
9.70%
28-Mar-02
28-Mar-06
9.70%
27-Apr-00
27-Apr-06
10.35%
17/07/2003
17/07/2006
6.10%
31-Jul-02
31-Jul-06
8.63%
31-Jul-02
31-Jul-06
7.85%
31-Jul-02
31-Jul-06
8.63%
31-Jul-02
31-Jul-06
7.85%
31-Jul-02
31-Jul-06
8.63%
31-Jul-02
31-Jul-06
7.85%
4-Aug-98
4-Aug-06
13.50%
22-Aug-00
22-Aug-06
12.25%
6-Dec-97
6-Dec-06
13%
7-Dec-01
7-Dec-06
9.80%
7-Dec-01
7-Dec-06
9.20%
7-Dec-01
7-Dec-06
9.80%
7-Dec-01
7-Dec-06
9.20%
28-Mar-02
28-Mar-07
9.70%
28-Mar-02
28-Mar-07
9.70%
27-Apr-00
27-Apr-07
10.35%
17/07/2003
17/07/2007
6.10%
31-Jul-02
31-Jul-07
8.63%
31-Jul-02
31-Jul-07
7.85%
31-Jul-02
31-Jul-07
8.63%
31-Jul-02
31-Jul-07
7.85%
31-Jul-02
31-Jul-07
8.63%
31-Jul-02
31-Jul-07
7.85%
4-Aug-98
4-Aug-07
13.50%
22-Aug-00
22-Aug-07
12.25%
6-Dec-97
6-Dec-07
13%
7-Dec-01
7-Dec-07
9.80%
7-Dec-01
7-Dec-07
9.20%
7-Dec-01
7-Dec-07
9.80%
7-Dec-01
7-Dec-07
9.20%
23/02/2004
23/02/2008
6.68%
28-Mar-02
28-Mar-08
9.70%
28-Mar-02
28-Mar-08
9.70%
27-Apr-00
27-Apr-08
10.35%
24-Feb-03
24-May-03
12.50%
24/05/2003
24/08/2003
12.50%
25/08/2003
26/11/2003
11.00%
27-Feb-02
27-Aug-02
13.50%
22-Aug-02
18-Feb-03
13.50%
28-Mar-02
28-Jul-07
9.00%
11-Jun-99
11-Apr-06
13.25%
09/02/2001
08/04/2007
11.60%
22-Oct-02
21-Apr-08
7.90%
9-Jan-99
9-Apr-05
13.95%
13-Sep-00
12-Apr-06
11.95%
31-Dec-99
30-Apr-07
12.00%
20/09/1993
20/09/2003
13.50%
16/11/1993
16/11/2003
13.50%
26/08/1992
26/08/2007
13.00%
14/12/1992
14/12/2007
13.00%
5-Feb-01
4-Feb-06
12.90%
31-Mar-01
30-Mar-06
12.90%
20-Apr-01
19-Apr-06
12.90%
31/12/2001
30/12/2006
11.74%
01/03/2002
28/02/2007
11.74%
31/03/2002
30/03/2007
11.74%
31/05/2002
30/05/2007
11.74%
30/09/2002
29/09/2007
11.70%
31/12/2002
30/12/2007
11.70%
14/10/2003
13/10/2006
11.00%
07/04/2003
01/10/2003
6.50%
21/07/2003
17/10/2003
6.10%
23/09/2003
19/12/2003
5.10%
01/10/2003
29/12/2003
5.05%
06/10/2003
02/01/2004
5.00%
13/01/2004
25/03/2004
4.98%
07/05/2004
04/08/2004
4.85%
01/06/2004
01/06/2007
24-Mar-03
22-Mar-04
24-Mar-03
22-Mar-04
6.70%
3-Jul-03
1-Jul-04
4-Jul-03
2-Jul-04
5.50%
4-Jul-03
2-Jul-04
26/07/2004
20/01/2005
4.70%
11/05/2004
10/05/2005
MIBOR - 15 bps
21-May-04
20-May-05
21/07/2004
20/07/2005
NSE O/N Mibor minus 15 bps 1 year INBMK + 70 bps (1st Interest rate 5.20%) 7.85%
10/05/2004
05/05/2007
18-Jan-02
18-Apr-02
24-Dec-01
24-Apr-02
8.30%
21-May-02
8.50%
24-May-02
8.40%
24-Dec-01
24-Jun-02
8.50%
7-Jan-02
5-Jul-02
8.55%
8-Nov-01
5-Aug-02
16-Aug-01
14-Aug-02
12-Sep-02
9.00%
12-Sep-02
9.00%
18-Sep-02
21-Sep-01
20-Sep-02
26-Sep-01
25-Sep-02
NSE MIBOR+1.25%
26-Sep-01
25-Sep-02
NSE MIBOR+1.25%
28-Jan-02
27-Sep-02
8.50%
8-Oct-01
7-Oct-02
9%p.a.
8-Oct-01
7-Oct-02
9%
15-Oct-01
14-Oct-02
9%
15-Oct-01
14-Oct-02
18-Oct-01
17-Oct-02
8.85%
24-Oct-01
23-Oct-02
8.55%
31-Oct-01
30-Oct-02
8.15%
31-Oct-01
30-Oct-02
8.15%
5-Nov-01
4-Nov-02
8.30%
5-Nov-01
4-Nov-02
8.30%
12-Nov-01
11-Nov-02
8.25%p.a.
13-Nov-01
12-Nov-02
8.20%
13-Nov-01
12-Nov-02
8.20%
22-May-01
22-Nov-02
9.90%
22-May-01
22-Nov-02
9.90%
26-Nov-01
25-Nov-02
8.25%
26-Nov-01
25-Nov-02
8.25%
28-Nov-01
27-Nov-02
8.40%
28-Nov-01
27-Nov-02
8.40%
29-Nov-01
28-Nov-02
8.80%
29-Nov-01
28-Nov-02
8.80%
13-Dec-01
12-Dec-02
8.40%
14-Dec-01
13-Dec-02
8.60%
14-Dec-01
13-Dec-02
8.25%
19-Dec-01
18-Dec-02
8.55%
19-Dec-01
18-Dec-02
21-Dec-01
20-Dec-02
3-Jan-02
2-Jan-03
8.90%
8-Jan-02
7-Jan-03
10-Apr-02
10-Jan-03
8.00% & To be reset on 8th of every month. Interest from 8th Jan, 2002 to 7th Feb, 2002 8.50%
10-Apr-02
10-Jan-03
8.50%
25-Jan-02
24-Jan-03
8.25%
5-Feb-02
4-Feb-03
13-Feb-02
12-Feb-03
8.35%
16-May-02
14-Feb-03
9.00%
16-May-02
14-Feb-03
9.00%
18-Feb-02
17-Feb-03
7.60%
17-May-02
17-Feb-03
9.00%
18-Feb-02
17-Feb-03
7.60%
17-May-02
17-Feb-03
9.00%
20-Feb-02
19-Feb-03
7.75%
20-Feb-02
19-Feb-03
7.75%
27-Feb-02
26-Feb-03
8.65%
27-Feb-02
26-Feb-03
27-Feb-02
26-Feb-03
8.65%
27-Feb-02(date of allotment)
26-Feb-03
8-Mar-02
7-Mar-03
7-Mar-03
14-Mar-03
15-Mar-02
14-Mar-03
15-Mar-02
14-Mar-03
15-Mar-02
14-Mar-03
18-Mar-02
17-Mar-03
18-Mar-02
17-Mar-03
22-Mar-02
21-Mar-03
8.80%
22-Mar-02
21-Mar-03
8.80%
27-Mar-02
26-Mar-03
8.80%
27-Mar-02
26-Mar-03
8.80%
3-Apr-02
2-Apr-03
9.10%
3-Apr-02
2-Apr-03
9.10%
4-Apr-02
3-Apr-03
4-Apr-02
3-Apr-03
5-Apr-02
4-Apr-03
9.50%
5-Apr-02
4-Apr-03
4-Apr-03
9.50%
4-Apr-03
15-Apr-02
14-Apr-03
15-Apr-02
14-Apr-03
3-May-02
2-May-03
3-May-02
2-May-03
10-May-02
9-May-03
Floating Rate NSE O/N MIBOR + 60 bps Floating Rate NSE O/N MIBOR + 60 bps
10-May-02
9-May-03
17-May-02
16-May-03
8.20%
17-May-02
16-May-03
8.80%
17-May-02
16-May-03
8.20%
17-May-02
16-May-03
8.20%
17-May-02
16-May-03
8.80%
17-May-02
16-May-03
8.20%
3-Jun-02
2-Jun-03
8.60%
3-Jun-02
2-Jun-03
8.60%
6-Jun-03
8.25%
6-Jun-03
8.25%
18-Jun-03
9.15%
18-Dec-01
18-Jun-03
9.15%
2-Jul-02
1-Jul-03
8.30%
2-Jul-02
1-Jul-03
8.30%
5-Jul-02
4-Jul-03
8.80%
5-Jul-02
4-Jul-03
8.80%
12-Jul-02
11-Jul-03
7.05%
12-Jul-02
11-Jul-03
7.05%
4-Feb-02
4-Aug-03
9.00%
2-Sep-02
1-Sep-03
7.05%
2-Sep-02
1-Sep-03
7.05%
18-Sep-02
17-Sep-03
18-Sep-02
17-Sep-03
7-Oct-02
6-Oct-03
7-Oct-02
6-Oct-03
21-Oct-02
20-Oct-03
21-Oct-02
20-Oct-03
6.80%
21-Oct-02
20-Oct-03
21-Oct-02
20-Oct-03
6.80%
22-Oct-02
21-Oct-03
22-Oct-02
21-Oct-03
29-Oct-02
28-Oct-03
1) First 182 days 12.35% minus NSE O/N Mibor 2) Second 182 days NSE 1) First 182 days 12.35% minus NSE O/N Mibor 2) Second 182 days NSE 8.75%
29-Oct-02
28-Oct-03
7-Nov-01
7-Nov-03
7-Nov-01
7-Nov-03
8.75%
11-Nov-02
10-Nov-03
6.40%
11-Nov-02
10-Nov-03
6.40%
12-Nov-01
12-Nov-03
15-Nov-02
14-Nov-03
15-Nov-02
14-Nov-03
20-Nov-02
19-Nov-03
6.30%
20-Nov-02
19-Nov-03
6.30%
25-Nov-02
24-Nov-03
28-Nov-02
27-Nov-03
6.30%
28-Nov-02
27-Nov-03
5.95%
28-Nov-02
27-Nov-03
6.30%
28-Nov-02
27-Nov-03
6.10%
28-Nov-02
27-Nov-03
5.95%
28-Nov-02
27-Nov-03
6.30%
28-Nov-02
27-Nov-03
5.95%
28-Nov-02
27-Nov-03
6.30%
28-Nov-02
27-Nov-03
6.10%
3-Dec-02
2-Dec-03
6.30%
3-Dec-02
2-Dec-03
6.30%
5-Dec-02
4-Dec-03
5-Dec-02
4-Dec-03
10-Dec-02
9-Dec-03
10-Dec-02
9-Dec-03
24-Dec-02
23-Dec-03
24-Dec-02
23-Dec-03
27-Dec-02
26-Dec-03
27-Dec-02
26-Dec-03
7-Feb-03
6-Feb-04
7-Feb-03
6-Feb-04
05/04/2003
03/04/2004
6.95%
04/06/2003
02/06/2004
5.30%
16/06/2003
14/06/2004
5.50%
17/06/2003
15/06/2004
20-Jun-03
18-Jun-04
10/07/2003
08/07/2004
5.45%
15/07/2003
13/07/2004
5.35%
21/07/2003
19/07/2004
22/07/2003
20/07/2004
5.30%
23/07/2003
21/07/2004
5.30%
12/08/2003
10/08/2004
13-Aug-02
13-Aug-04
13.50% Minus NSE O/N Mibor 13.50% Minus NSE O/N Mibor NSE O/N Mibor + 0%
13-Aug-02
13-Aug-04
27/08/2003
25/08/2004
10/09/2003
08/09/2004
12/04/2004
13/10/2004
4.60%
24/04/2004
18/10/2004
4.55%
28/10/2003
26/10/2004
03/11/2003
01/11/2004
10-Nov-03
8-Nov-04
19/11/2003
17/11/2004
18-Nov-02
18-Nov-04
6.60%
18-Nov-02
18-Nov-04
6.60%
20/11/2003
18/11/2004
02/12/2003
30/11/2004
26/12/2003
24/12/2004
4.95%
05/01/2004
03/01/2005
08/01/2004
06/01/2005
12/01/2004
10/01/2005
4.85%
30/01/2004
28/01/2005
05/02/2004
03/02/2005
06/02/2004
04/02/2005
4.85%
18-Feb-02
18-Feb-05
9.30%
18-Feb-02
18-Feb-05
9.30%
20/02/2004
18/02/2005
4.95%
19-Feb-02
19-Feb-05
9.30%
19-Feb-02
19-Feb-05
9.30%
25/02/2004
23/02/2005
4.95%
27/02/2004
25/02/2005
01/03/2004
28/02/2005
1st & 2nd Int period : 4.95%, 2nd & 3rd Int period : NSE Mibor + 35 bps 4.90%
11-Mar-02
11-Mar-05
9.30%
11-Mar-05
9.30%
30/03/2005
02/04/2004
01/04/2005
1st Int rate - 4.90%, 2nd Int Rate : NSE O/N Mibor + 40 bps NSE O/N Mibor + 5 bps
05/04/2004
04/04/2005
16/04/2004
15/04/2005
21/04/2004
20/04/2005
4.60%
31/05/2004
30/05/2005
01/06/2004
31/05/2005
17-Jun-05
9.25%
17-Jun-05
9.25%
24/06/2005
30-Jul-02
29-Jul-05
8.40%
30-Jul-02
29-Jul-05
8.40%
9-Sep-02
9-Sep-05
9-Sep-02
9-Sep-05
8-Dec-00
8-Dec-05
2-May-02
2-May-07
9.60%
2-May-02
2-May-07
9.60%
22-Jul-02
16-Jul-07
7.64% (reset after every 182 days) 7.64% (reset after every 182 days) 7.57% (reset semi-annually) 7.57% (reset semi-annually) 7.56% (to be reset semiannually) 7.56% (to be reset semiannually) 8.30%
22-Jul-02
16-Jul-07
29-Jul-02
29-Jul-07
29-Jul-02
29-Jul-07
30-Jul-02
30-Jul-07
30-Jul-02
30-Jul-07
24-Dec-01
24-Apr-02
24-Dec-01
24-May-02
8.40%
24-Dec-01
24-Jun-02
8.50%
7-Jan-02
5-Jul-02
8.55%
28-Jan-02
27-Sep-02
8.50%
13-Dec-01
12-Dec-02
8.40%
14-Dec-01
13-Dec-02
8.60%
19-Dec-01
18-Dec-02
8.55%
21-Dec-01
20-Dec-02
8.55%
3-Jan-02
2-Jan-03
8.90%
8-Jan-02
7-Jan-03
25-Jan-02
24-Jan-03
8.00% & To be reset on 8th of every month. Interest from 8th Jan, 2002 to 7th Feb, 2002 8.25%
5-Feb-02
4-Feb-03
13-Feb-02
12-Feb-03
8.35%
4-Feb-02
4-Aug-03
9.00%
11-Sep-01
11-Sep-04
10.75%
6-Oct-93
6-Oct-03
13.50%
27-Jun-02
27-Jun-03
11.50%
24-Sep-02
24-Sep-03
11.50%
22/09/2003
22/09/2004
10.50%
12-Aug-99
12-Aug-04
12.25%
2-Dec-99
2-Dec-04
12.25%
23/05/2003
17/05/2004
7.25%
22/05/2003
20/05/2004
7.25%
05/10/2004
1/5/2006
NSE Mibor +185 bps with a floor of 5.90% and a cap of 6.00% p.a. 8.35%
2-Jan-02
22-Mar-02
26-Feb-02
24-May-02
4-Mar-02
31-May-02
10-May-02
7-Jun-02
7.90%
28-Mar-02
17-Jun-02
8.15%
10-Apr-02
8-Jul-02
7.87%
17-Apr-02
15-Jul-02
7.87%
23-Apr-02
19-Jul-02
7.85%
6-Jun-02
3-Sep-02
7.90%
11-Jun-02
6-Sep-02
7.90%
14-Jun-02
11-Sep-02
7.90%
17-Jun-02
13-Sep-02
7.90%
26-Jun-02
23-Sep-02
9-Jul-02
4-Oct-02
7.27%
19-Aug-02
15-Nov-02
6.37%
23-Aug-02
20-Nov-02
6.35%
11-Sep-02
9-Dec-02
6.27%
13-Sep-02
11-Dec-02
6.25%
4-Oct-02
1-Jan-03
6.40%
9-Oct-02
6-Jan-03
6.35%
1-Nov-02
29-Jan-03
Mibor + 80 bps
15-Nov-02
12-Feb-03
6.10%
18-Nov-02
14-Feb-03
6.05%
3-Dec-02
28-Feb-03
5.70%
4-Dec-02
3-Mar-03
5.70%
6-Jan-03
6-Jan-08
6.10%
7-Jan-02
18-Feb-02
Mibor + 90 bps
6-Sep-02
4-Dec-02
6.20%
10-May-97
10-May-02
NA
21-May-97
21-May-02
16%
6-Jun-97
31-May-02
15.75%
1-Oct-97
3-Oct-02
NA
20-Oct-97
20-Oct-02
NA
21-Oct-97
21-Oct-02
NA
24-Oct-97
24-Oct-02
NA
27-Oct-97
27-Oct-02
NA
28-Oct-97
28-Oct-02
NA
29-Oct-97
29-Oct-02
NA
27-Nov-98
9-Sep-03
12.00%
27-Oct-98
29-Sep-03
11.50%
3-Nov-98
3-Nov-03
12.00%
10-Nov-98
10-Nov-03
12.00%
26-Nov-98
26-Nov-03
12.00%
27-Nov-98
27-Nov-03
12.00%
28-Jul-99
1-Mar-04
12.00%
16/08/1999
31/05/2004
N.A.
22-Apr-02
19-Oct-02
26-Apr-02
23-Oct-02
O/N NSE Mibor + 40 Bps as reported in Reuter at 10.00 a.m. NSE Mibor + 40 bps
28-May-02
24-Nov-02
4-Jun-02
2-Dec-02
Overnight NSE Mibor + 40 bps(as reported inReuter at 10.) Floating at a margin of 40 basis point over the overnight NSE MIBOR p.a. as reported in Reuter Floating at a margin of 40 basis point over the overnight NSE MIBOR p.a. as reported in Reuter 6.85%
28-Jun-02
25-Dec-02
5-Jul-02
1-Jan-03
12-Jul-02
8-Jan-03
15-Jul-02
13-Jan-03
Floating at a margin of 40 basis point over the overnight NSE MIBOR p.a. as reported in Reutor
16-Jul-02
13-Jan-03
6.85%
19-Jul-02
15-Jan-03
5-Aug-02
3-Feb-03
Floating at a margin of 40 basis point over the overnight MIBOR p.a. as reported at a margin of 40 Floating in Reuter at basis points over the overnight NSE MIBOR p.a. as reported in Reuter NSE Mibor + 40 bps
13-Aug-02
10-Feb-03
2-Sep-02
3-Mar-03
7-Oct-02
7-Apr-03
Floating at a margin of 40 basis point over the overnight NSE Mibor p.a. as reported in Reuter at 6.30%
31-Oct-02
29-Apr-03
31-Jan-03
30-Jul-03
Floating at ar margin of 40 basis point over the overnight NSE MIBOR p.a. Floating at a margin of 35 bps over overnight NSE Mibor p.a.
23/04/2003
20/10/2003
20-May-02
20-May-06
20-May-02
20-May-06
8.25%
15-Jun-01
15-Jun-06
9.90%
21-Jun-01
21-Jun-06
9.90%
22-Jun-01
22-Jun-06
9.60%
11-Jul-01
11-Jul-06
9.55%
12-Jul-01
12-Jul-06
9.60%
7-Aug-02
7-Aug-06
7.70%
7-Aug-02
7-Aug-06
7.70%
18-May-02
29-Mar-07
8.45%
18-May-02
29-Mar-07
8.45%
19-Jun-02
19-Apr-07
8.70%
19-Jun-02
19-Apr-07
8.70%
13-Jun-02
2-May-07
8.65%
13-Jun-02
2-May-07
8.65%
2-Jul-02
2-Jun-07
8.65%
2-Jul-02
2-Jun-07
8.65%
19-Jul-02
19-Jun-07
8.00%
19-Jul-02
19-Jun-07
8.00%
9-Aug-02
9-Jul-07
Benchmark Rate plus 0.90% payable semiannually in arrears Benchmark Rate plus 0.90% payable semiannually in arrears 6.20%
9-Aug-02
9-Jul-07
20-Dec-02
20-Nov-07
20-Dec-02
20-Nov-07
6.20%
20/12/2002
20/11/2007
6.20%
13-Jul-01
13-Jul-06
9.90%
15-Mar-02
15-Mar-07
9.50%
15-Mar-02
15-Mar-07
9.50%
31/03/2003
31/03/2006
Zero Coupon
9-Dec-97
8-Jan-03
9.75%
9-Dec-97
8-Jan-03
9.75%
27-Sep-97
27-Oct-02
N.A.
3-Oct-97
3-Nov-02
N.A.
31-Oct-97
30-Nov-02
N.A.
20-Nov-97
20-Dec-02
N.A.
27-Dec-97
27-Jan-03
N.A.
15-Mar-02
15-Mar-07
9.50%
15-Mar-02
15-Mar-07
9.50%
30/08/2003
29/08/2006
2.00%
30/08/2003
29/08/2006
2.00%
30/08/2003
29/08/2006
2.00%
30/08/2003
29/08/2007
Zero Coupon
30/08/2003
29/08/2007
Zero Coupon
30/08/2003
29/08/2007
Zero coupon
19-Mar-96
19-Mar-03
15%
2-Dec-87
2-Dec-02
11.00%
29-Mar-96
29-Mar-03
10.50%
27-Jan-94
27-Jan-04
13.50%
27-Mar-97
27-Mar-04
9.25%
17/05/2004
6/16/2004
Overnight NSE MIBOR 10bps (Cap : 4.75% ) NSE MIBOR - 10 bps (with a Cap of 4.75%) Overnight NSE Mibor - 10 bps, cap 4.75%, inclusive of markup. The interest will be paid on the Overnight NSE Mibor - 10 bps cap 4.75% inclusive of markup.Interest will be paid on the amounts paid8.75%
28/05/2004
25/06/2004
6/29/2004
29/07/2004
16/07/2004
13/08/2004
17-Nov-97
17-Nov-04
22-Nov-94
22-Nov-04
12.50%
23-Jan-98
23-Jan-05
8.35%
25-Sep-98
25-Sep-05
8.70%
26-Nov-98
26-Nov-05
8.00%
26-Nov-98
26-Nov-05
8.90%
1-Mar-96
1-Mar-06
14.00%
29-Mar-96
29-Mar-06
14.00%
01-May-02 to 30-May-02 01-Jun-01 to 30-Jun-01 01-Jun-01 to 30-Jun-01 01-Jun-01 to 30-Jun-01 01-Jul-01 to 22-Jul-01 01-Jul-01 to 22-Jul-01 01-Jul-01 to 22-Jul-01 22-Jul-01 to 31-Jul-01 22-Jul-01 to 31-Jul-01
31-May-06
8.50%
30-Jun-06
5.25%
30-Jun-06
5.25%
30-Jun-06
31-Jul-06
31-Jul-06
5.25%
31-Jul-06
31-Jul-06
31-Jul-06
5.25%
31-Jul-06
31-Aug-06
31-Aug-06
8.70%
31-Aug-06
13-Sep-06
01-Sept-01 to 30-Sept-01 01-Sept-01 to 30-Sept-01 01-Sept-01 to 30-Sept-01 01-Oct-01 to 31-Oct-01 01-Oct-01 to 31-Oct-01 01-Oct-01 to 31-Oct-01 01-Oct-01 to 31-Oct-01 01-Oct-01 to 31-Oct-01
30-Sep-06
8.50%
30-Sep-06
8.70%
30-Sep-06
31-Oct-06
31-Oct-06
8.70%
31-Oct-06
8.70%
31-Oct-06
8.50%
31-Oct-06
8.70%
01-Oct-01 to 31-Oct-01 01-Nov-01 to 30-Nov--01 01-Nov-01 to 30-Nov--01 01-Nov-01 to 30-Nov--01 01-Nov-01 to 30-Nov--01 01-Nov-01 to 30-Nov--01 01-Nov-01 to 30-Nov--01 01-Dec-01 to 31-Dec--01 01-Dec-01 to 31-Dec--01 01-Dec-01 to 31-Dec--01 01-DC-01 to 31-DC01 01-DC-01 to 31-DC01 01-DC-01 to 31-DC01
31-Oct-06
8.70%
30-Nov-06
8.50%
30-Nov-06
8.70%
30-Nov-06
8.70%
30-Nov-06
8.70%
30-Nov-06
8.50%
30-Nov-06
8.70%
31-Dec-06
8.50%
31-Dec-06
8.70%
31-Dec-06
8.70%
31-Dec-06
8.50%
31-Dec-06
8.70%
31-Dec-06
01-Jan-02 to 31-Jan-02 01-Jan-02 to 31-Jan-02 01-Jan-02 to 31-Jan-02 01-Feb-02 to 28-Feb--02 01-Feb-02 to 28-Feb--02 01-Feb-02 to 28-Feb--02 01-Mar-02 to 31-Mar-02 01-Mar-02 to 31-Mar-02 01-Mar-02 to 31-Mar-02 01-Mar-02 to 31-Mar-02
31-Jan-07
8.50%
31-Jan-07
8.70%
31-Jan-07
8.70%
28-Feb-07
8.50%
28-Feb-07
8.70%
28-Feb-07
8.70%
31-Mar-07
7.85%
31-Mar-07
8.00%
31-Mar-07
31-Mar-07
01-Mar-02 to 31-Mar-02
31-Mar-07
8.70%
01-Mar-02 to 31-Mar-02
31-Mar-07
8.70%
28-Jan-02 to 25-Mar-02
31-Mar-07
9.00% - Valid for 36 months from the date of alotment. New coupon rate to be announced
30-Apr-07
7.85%
30-Apr-07
8.00%
30-Apr-07
Annual Compounding @8% on principal & 9.5% on interest Annual Compounding @8% on principal & 9% on interest 7.85%
30-Apr-07
31-May-07
01/05/02-31/05/02
31-May-07
8.00%
01/05/02-31/05/02
31-May-07
Annual Compounding @8% on principal & 9% on interest 9.00% - Valid for 36 months from the date of alotment. New coupon rate to be announced 7.85%
10-May-02 to 31-May-02 01-June-02 to 30-June-02 01-June-02 to 30-June-02 01-June-02 to 30-June-02 01-Jun-02 to 30-Jun-02 01-Jul-02 to 31-Jul-02
31-May-07
30-Jun-07
30-Jun-07
8.00%
30-Jun-07
30-Jun-07
Annual compounding@ 8.00% on principal & 9.00% on accumulated interest- Valid for 36 9.00% months from the date of alotment. New coupon rate to be announced 9.00% - Valid for 36 months from the date of alotment. New coupon rate to be announced
31-Jul-07
01-Jul-02 to 31-Jul-02
31-Jul-07
7.85%
01-Jul-02 to 31-Jul-02
31-Jul-07
8.00%
01-Jul-02 to 31-Jul-02
31-Jul-07
01-Aug-02-31-Aug-02
31-Aug-07
01-Aug-02-31-Aug-02
31-Aug-07
7.50%
01-Aug-02-31-Aug-02
31-Aug-07
01-Sep-02-30-Sep-02
30-Sep-07
7.35%
01-Sep-02-30-Sep-02
30-Sep-07
7.50%
01-Sep-02-30-Sep-02
30-Sep-07
01-Sep-02 to 30-Sep-02
30-Sep-07
01-Oct-02 to 31-Oct-02
31-Oct-07
7.10%
01-Oct-02 to 31-Oct-02
31-Oct-07
7.25%
01-Oct-02 to 31-Oct-02
31-Oct-07
8.00%
01-Nov-02 to 30-Nov-02
30-Nov-07
7.10%
01-Nov-02 to 30-Nov-02
30-Nov-07
7.25%
01-Nov-02 to 30-Nov-02
30-Nov-07
8.00%
6.60%
6.75%
01-Dec-02 to 31-Dec-02
31-Dec-07
7.50%
01-Jan-03 to 31-Jan-03
31-Jan-08
6.60%
01-Jan-03 to 31-Jan-03
31-Jan-08
6.75%
1-Jan-03
31-Jan-08
7.50%
17-Feb-93
17-Feb-08
13.00%
01-Feb-03-28-Feb-03
28-Feb-08
6.00%
01-Feb-03-28-Feb-03
28-Feb-08
6.10%
01/02/2003
28/02/2008
7.50%
26-Mar-98
26-Mar-08
12.30%
01-Mar-03 to 31-Mar-03
31-Mar-08
6.00%
01-Mar-03 to 31-Mar-03
31-Mar-08
6.10%
11-Aug-00
15-Mar-06
14.50%
3-Dec-01
15-Dec-06
13.00%
26-Mar-96
15-Feb-06
10.00%
25-Feb-02
24-May-02
8.10%
24-May-02
21-Aug-02
8.25%
21-Aug-02
20-Sep-02
7.00%
4-Mar-03
1-Jun-03
27/08/2003
24/11/2003
Mibor + 40 bps
15/10/2003
12/01/2004
MIBOR + 50bps
20/10/2003
16/01/2004
Mibor + 50 bps
03/11/2003
30/01/2004
Mibor + 50 bps
05/11/2003
02/02/2004
Mibor + 50 bps
24/11/2003
20/02/2004
Mibor + 40 bps
07/04/2003
07/04/2004
Mibor + 0.70%
09/01/2004
07/04/2004
Mibor + 20 bps
30/01/2004
28/04/2004
Mibor + 10 bps
15/05/2003
13/05/2004
Mibor + 70 bps
06/06/2003
04/06/2004
Mibor + 70 bps
4-Jul-03
2-Jul-04
Mibor + 70 bps
25/07/2003
23/07/2004
Mibor + 50 bps
4-Oct-02
Mibor + 0.75%
11-Dec-02
Mibor + 0.75%
29-Jan-03
28-Apr-03
Mibor + 0.80%
14-Jun-02
14-Jun-03
Mibor + 0.95%
9-Sep-02
9-Sep-03
Mibor + 0.80%
27-Sep-02
27-Sep-03
Mibor + 0.80%
4-Oct-02
4-Oct-03
Mibor + 0.75%
25-Oct-02
25-Oct-03
Mibor + 0.80%
8-Nov-02
8-Nov-03
Mibor + 0.75%
6-Dec-02
6-Dec-03
Mibor + 0.80%
21-Jan-03
21-Jan-04
Mibor + 0.80%
31-Dec-97
30-Nov-02
14.00%
11-Jan-94
11-Jan-03
17.50%
31-Mar-99
20-Mar-04
14.50%
31-Mar-99
20-Mar-04
15.00%
31-Dec-97
31-Jan-05
11.50%
10-Jun-99
11-Mar-06
15.50%
31-Mar-99
20-May-06
12.75%
31-Mar-99
20-May-06
13.00%
17-Sep-99
27-Oct-06
13.65%
17-Sep-99
27-Oct-06
12.25%
17-Sep-99
27-Oct-06
12.65%
31-May-00
31-May-07
12.35%
30-Sep-02
30-Sep-07
9.20%
30-Sep-02
30-Sep-07
9.20%
21-Oct-02
21-Oct-07
9.20%
20-Nov-02
21-Oct-07
9.20%
23-May-02
31-Mar-03
13.00%
23-May-02
31-Mar-03
13.00%
12-Jul-01
12-Jul-04
13.00%
05/07/2004
01/10/2004
NSE Mibor
6-Apr-98
5-Apr-03
17.50%
13-Mar-99
12-Mar-04
17.50%
23/11/1998
30/11/2005
12.25%
13-Mar-02
13-Mar-03
8.50%
23-Nov-93
23-Nov-03
13.50%
17-Dec-92
17-Dec-07
13.00%
4-Jan-02
2-Jan-03
11.10%
16-Mar-02
2-Jan-03
11.10%
22-Sep-97
22-Sep-02
14.50%
25-Aug-98
25-Aug-03
14.25%
25-Aug-98
25-Aug-03
14.25%
31-Dec-01
31-Dec-04
9.00%
1-Feb-00
1-Feb-03
10%
10-Feb-00
10-Feb-03
10%
23-Mar-00
23-Mar-03
9.75%
14-Sep-93
14-Sep-03
13.50%
20-Oct-00
20-Oct-03
9.50%
13-Dec-00
13-Dec-03
10.70%
21-Dec-93
21-Dec-03
13.50%
3-Jan-01
3-Jan-04
10.50%
14-Feb-01
14-Feb-04
9.70%
27-Feb-01
27-Feb-04
10.30%
15-Mar-01
15-Mar-04
10.10%
28-Sep-01
28-Sep-04
7.60%
21-Dec-94
21-Dec-04
12.50%
9-Jan-02
9-Jan-05
7.60%
10-Jan-02
10-Jan-05
8.00%
12-Jan-02
12-Jan-05
7.75%
18-Jan-02
18-Jan-05
7.85%
22-Jan-02
22-Jan-05
7.75%
1-Feb-02
1-Feb-05
7.45%
1-Feb-02
1-Feb-05
7.50%
8-Feb-02
8-Feb-05
7.50%
9-Feb-02
9-Feb-05
7.40%
15-Feb-02
15-Feb-05
7.00%
25-Feb-02
25-Feb-05
7.30%
27-Feb-02
27-Feb-05
7.30%
4-Mar-02
4-Mar-05
7.30%
8-Mar-02
8-Mar-05
7.50%
15-Mar-02
15-Mar-05
7.25%
15-Mar-02
15-Mar-05
7.00%
21-Mar-02
21-Mar-05
7.00%
22-Mar-02
22-Mar-05
6.75%
28-Mar-02
28-Mar-05
6.95%
31-Aug-02
31-Aug-05
7.50%
31-Aug-02
31-Aug-05
7.25%
31-Aug-02
31-Aug-05
7.50%
31-Aug-02
31-Aug-05
7.25%
27-Sep-95
27-Sep-05
14.00%
28/09/2002
28/09/2005
6.00%
30-Sep-02
30-Sep-05
7.25%
30-Sep-02
30-Sep-05
7.25%
31-Oct-02
31-Oct-05
7.25%
31-Oct-02
31-Oct-05
7.00%
31-Oct-02
31-Oct-05
7.25%
31-Oct-02
31-Oct-05
7.00%
30-Nov-02
30-Nov-05
7.00%
30-Nov-02
30-Nov-05
6.50%
30-Nov-02
30-Nov-05
7.00%
30-Nov-02
30-Nov-05
6.50%
31-Dec-02
31-Dec-05
6.50%
31-Dec-02
31-Dec-05
6.25%
31-Dec-02
31-Dec-05
6.50%
31-Dec-02
31-Dec-05
6.25%
31-Jan-03
31-Jan-06
5.75%
31-Jan-03
31-Jan-06
5.75%
31-Jan-03
31-Jan-06
5.50%
31-Jan-03
31-Jan-06
5.50%
31-Jan-03
31-Jan-06
5.00%
31-Jan-03
31-Jan-06
5.00%
31/01/2003
31/01/2006
6.25%
31/01/2003
31/01/2006
6.25%
28-Feb-03
28-Feb-06
5.00%
28-Feb-03
28-Feb-06
5.00%
28/02/2003
28/02/2006
5.50%
28/02/2003
28/02/2006
5.50%
13/03/2003
13/03/2006
5.50%
17/03/2003
17/03/2006
5.95%
17/03/2003
17/03/2006
5.40%
21/03/2003
21/03/2006
5.60%
27/03/2003
27/03/2006
5.70%
31/03/2003
31/03/2006
5.00%
31/03/2003
31/03/2006
5.00%
30/04/2003
30/04/2006
5.00%
30/04/2003
30/04/2006
5.00%
30/04/2003
30/04/2006
5.50%
31/05/2003
5/31/2006
5.25%
31/05/2003
5/31/2006
5.25%
31/05/2003
5/31/2006
5.25%
30/06/2003
30/06/2006
5.25%
30/06/2003
30/06/2006
5.25%
30/06/2003
30/06/2006
5.50%
30/06/2003
30/06/2006
5.50%
30/06/2003
30/06/2006
5.25%
31/07/2003
31/07/2006
5.25%
31/07/2003
31/07/2006
5.25%
31/07/2003
31/07/2006
5.50%
31/07/2003
31/07/2006
5.50%
31/08/2003
31/08/2006
5.50%
31/08/2003
31/08/2006
5.50%
22/09/2003
22/09/2006
5.00%
22/09/2003
22/09/2006
4.90%
29/09/2003
29/09/2006
4.80%
30/09/2003
30/09/2006
5.50%
30/09/2003
30/09/2006
5.50%
30/09/2003
30/09/2006
5.00%
30/09/2003
30/09/2006
5.00%
31/10/2003
31/10/2006
5.00%
31/10/2003
31/10/2006
5.00%
13-Nov-03
13-Nov-06
4.80%
30/11/2003
30/11/2006
5.00%
30/11/2003
30/11/2006
5.00%
31/12/2003
31/12/2006
5.00%
31/12/2003
31/12/2006
5.00%
22/01/2004
22/01/2007
4.75%
31/01/2004
31/01/2007
5.00%
31/01/2004
31/01/2007
5.00%
4-Feb-97
4-Feb-07
13.75%
10/02/2004
10/02/2007
4.70%
2/29/2004
2/28/2007
5.00%
2/29/2004
2/28/2007
5.00%
17/03/2004
17/03/2007
4.60%
18/03/2004
18/03/2007
4.50%
31/03/2004
31/03/2007
4.50%
3/31/2004
3/31/2007
5.00%
3/31/2004
3/31/2007
5.00%
31-Aug-02
31-Aug-07
31-Aug-02
31-Aug-07
31-Aug-02
31-Aug-07
7.25%(upto 36 months) New Coupon Rate(applicable after 36 months)- to be months) 7.50%(upto 36 New Coupon Rate(applicable after 36 months)- to be months) 7.25%(upto 36 New Coupon Rate(applicable after 36 months)- to be 13.00%
31-Aug-02
31-Aug-07
16-Sep-92
16-Sep-07
30-Sep-02
30-Sep-07
30-Sep-02
30-Sep-07
7.25%(upto 36 months) New Coupon Rate(applicable after 36 months)- to be months) 7.25%(upto 36 New Coupon Rate(applicable after 36 months)- to be 7.50%
30/09/2002
30/09/2007
31-Oct-02
31-Oct-07
7.25%
31-Oct-02
31-Oct-07
7.00%
31-Oct-02
31-Oct-07
7.25%
31-Oct-02
31-Oct-07
7.00%
31/10/2002
31/10/2007
7.25%
30-Nov-02
30-Nov-07 7.00%
30-Nov-02
30-Nov-07 6.50%
30-Nov-02
30-Nov-07 7.00%
30-Nov-02
30-Nov-07 6.50%
15-Dec-92
15-Dec-07
13.00%
31-Dec-02
31-Dec-07 6.50%
31-Dec-02
31-Dec-07
6.25%
31-Dec-02
31-Dec-07
6.50%
31-Dec-02
31-Dec-07
6.25%
31-Jan-03
31-Jan-08
5.75%
31-Jan-03
31-Jan-08
5.75%
31-Jan-03
31-Jan-08
5.50%
31-Jan-03
31-Jan-08
5.50%
31-Jan-03
31-Jan-08
5.00%
31-Jan-03
31-Jan-08
5.00%
31/01/2003
31/01/2008
6.25%
31/01/2003
31/01/2008
6.25%
28-Feb-03
28-Feb-08
5.00%
28-Feb-03
28-Feb-08
5.00%
3-Mar-98
3-Mar-08
12.30%
31/03/2003
31/03/2008
5.00%
31/03/2003
31/03/2008
5.00%
30/04/2003
30/04/2008
5.00%
30/04/2003
30/04/2008
5.00%
08/05/2003
05/08/2003
Overnight NSE Mibor + 70 bps Overnight NSE Mibor + 65 bps Overnight NSE Mibor + 70 bps
09/05/2003
06/08/2003
17/06/2003
12/09/2003
3-Jul-03
29-Sep-03
Overnight NSE Mibor + 60 bps Overnight NSE Mibor + 55 bps Overnight NSE Mibor + 70 bps Overnight NSE Mibor + 55 bps Overnight NSE Mibor + 45 bps NSE MIBOR + 0.40%
31/07/2003
28/10/2003
05/05/2003
31/10/2003
08/08/2003
05/11/2003
13/08/2003
10/11/2003
22-Sep-03
19-Dec-03
30/12/2003
26/03/2004
Overnight NSE Mibor + 30 bps Overnight NSE Mibor + 30 bps Overnight NSE Mibor + 25 bps Overnight NSE Mibor + 30 bps Overnight NSE Mibor + 25 bps Overnight NSE Mibor + 30bps Overnight NSE Mibor + 25 bps
15/01/2004
13/04/2004
16/01/2004
13/04/2004
22/01/2004
20/04/2004
06/02/2004
05/05/2004
10/02/2004
07/05/2004
13/02/2004
12/05/2004
19/02/2004
18/05/2004
Overnight NSE MIBOR + 20 bps Overnight NSE Mibor + 25 bps Overnight NSE Mibor + 70 bps Overnight NSE Mibor + 30 bps Overnight NSE Mibor + 25 bps Overnight NSE Mibor + 30 bps NSE MIBOR + 20 bps
19/02/2004
18/05/2004
20/02/2004
19/05/2004
03/03/2004
31/05/2004
04/03/2004
01/06/2004
05/03/2004
02/06/2004
08/03/2004
04/06/2004
05/04/2004
02/07/2004
07/04/2004
05/07/2004
21/04/2004
19/07/2004
5.25%
23/04/2004
21/07/2004
23/04/2004
21/07/2004
Overnight NSE Mibor + 5 bps Overnight NSE Mibor + 105 bps daily compounding ex
31/07/2003
31/07/2004
05/08/2003
04/08/2004
07/05/2004
04/08/2004
14/05/2004
11/08/2004
5.17%
03/06/2004
8/31/2004
5.20%
17/05/2004
13/08/2004
Overnight NSE MIBOR + 7 bps Overnight NSE MIBOR + 8 bps Overnight NSE MIBOR + 10 bps Overnight NSE Mibor + 10 bps 5.25%
19/05/2004
16/08/2004
19/05/2004
16/08/2004
27/05/2004
24/08/2004
27/05/2004
24/08/2004
01/06/2004
30/08/2004
09/06/2004
06/09/2004
24/06/2004
21/09/2004
05/07/2004
01/10/2004
16/07/2004
12/10/2004
5.20%
16/07/2004
12/10/2004
Overnight MIBOR + 15 bps Overnight NSE Mibor + 12 bps Overnight NSE Mibor + 10 bps
Overnight NSE Mibor + 30 bps
20/07/2004
15/10/2004
21/07/2004
18/10/2004
9-Mar-04
4-Jun-04
29-Mar-97
29-Sep-03
16.25%
25-Mar-00
25-Jun-05
11.35%
23-Mar-01
23-Jun-06
11.10%
23-Mar-01
23-Jun-06
11.05%
23-Mar-01
23-Jun-06
11.00%
23-Feb-01
23-May-06
11.50%
30-Mar-99
30-Jun-04
13.70%
8-Jan-01
8-Apr-06
11.75%
1/28/2002
4/28/2007
9.40%
01/12/2000
01/12/2007
12.95%
1-Dec-97
1-Dec-02
13.50%
1-Jul-98
1-Jul-03
13.75%
18-Sep-01
18-Sep-03
10.00%
24-Sep-01
24-Sep-03
10%
24-Sep-01
24-Sep-03
10%
21-May-97
21-May-04
14.50%
1-Jul-98
1-Jul-05
14.00%
1-Apr-99
1-Apr-06
14.50%
1-Feb-00
1-Feb-07
12.00%
1-Feb-00
1-Feb-07
12.15%
30-Mar-00
30-Mar-07
11.10%
30-Mar-00
30-Mar-07
11.25%
15-Apr-00
15-Apr-07
11.25%
15-Apr-00
15-Apr-07
11.10%
1-Jul-02
3-Jun-07
10.25%
1-Jul-02
3-Jun-07
10.25%
1-Sep-00
1-Sep-07
12.15%
12-Mar-01
12-Mar-08
11.30%
12-Mar-01
12-Mar-08
11.60%
5-Dec-01
4-Mar-02
8.25%
31-Dec-01
29-Mar-02
8.25%
8-Feb-02
8-May-02
8.05%
1-Mar-02
29-May-02
7.97%
4-Mar-02
1-Jun-02
7.97%
5-Jun-02
5-Jul-02
7.87%
7-Jun-02
8-Jul-02
7.87%
13-May-02
9-Aug-02
11-Jul-02
9-Aug-02
7.25%
15-May-02
12-Aug-02
21-May-02
16-Aug-02
24-May-02
21-Aug-02
8.00%
29-May-02
26-Aug-02
8.00%
31-May-02
28-Aug-02
8.00%
31-Jul-02
16-Sep-02
6.85%
25-Jun-02
20-Sep-02
31-Dec-01
30-Dec-02
1-Jan-02
31-Dec-02
2-Mar-01
20-Feb-03
10.75%
26-Nov-02
22-Feb-03
6.50%
5-Dec-02
4-Mar-03
6.65%
15-Jan-03
20-Mar-03
6.15%
31-Dec-02
28-Mar-03
7.00%
11-Apr-02
10-Apr-03
9.55%
11-Apr-02
10-Apr-03
8.95%
11-Apr-02
10-Apr-03
9.55%
11-Apr-02
10-Apr-03
8.95%
20-Feb-03
20-May-03
7.20%
5-Mar-03
2-Jun-03
7.20%
17-Mar-03
13-Jun-03
7.55%
05/05/2003
01/08/2003
6.35%
07/05/2003
04/08/2003
6.25%
08/05/2003
05/08/2003
6.40%
12-May-03
08/08/2003
6.35%
12-May-03
08/08/2003
6.35%
20/05/2003
14/08/2003
7.00%
20/05/2003
14/08/2003
6.25%
23/05/2003
20/08/2003
6.25%
02/06/2003
29/08/2003
6.65%
13/06/2003
10/09/2003
6.55%
21/07/2003
19/09/2003
5.50%
30-Jun-99
30-Sep-03
14.50%
04/07/2003
01/10/2003
5.55%
07/07/2003
03/10/2003
5.55%
21/07/2003
17/10/2003
5.55%
5-Aug-03
31-Oct-03
5.40%
7-Aug-03
4-Nov-03
5.40%
08/08/2003
05/11/2003
5.30%
12/08/2003
07/11/2003
5.30%
14/08/2003
10/11/2003
6.75%
20/08/2003
17/11/2003
5.30%
28-Aug-03
25-Nov-03
5.15%
29/08/2003
26/11/2003
6.60%
10/09/2003
05/12/2003
6.60%
17/09/2003
15/12/2003
4.95%
10/04/2003
12/04/2004
7.00%
30-Jan-00
31-Jan-05
12.25%
1-Feb-00
1-Feb-05
11.83%
09/07/2003
09/07/2004
7.00%
09/07/2003
09/07/2005
7.00%
09/07/2003
09/07/2006
7.00%
09/07/2003
09/07/2007
7.00%
2-Nov-01
1-Jan-02
7.70%
8-May-02
30-May-02
7.70%
31-May-02
1-Jul-02
7.95%
11-Apr-02
10-Apr-03
8.75%
11-Apr-02
10-Apr-03
8.75%
6-May-02
5-May-03
8.75%
6-May-02
5-May-03
8.75%
5-Mar-03
4-Jun-04
12-Mar-03
11-Jun-04
24-Sep-02
19-Dec-02
8.00%
24-Oct-02
21-Jan-03
8.00%
31-Jan-02
30-Apr-03
Mibor + 2.50%
14-Mar-02
13-Jun-03
30/04/2004
06/04/2005
30/04/2004
11/04/2005
31/05/2004
02/05/2005
31/05/2004
10/05/2005
31/05/2004
19/05/2005
30/04/2004
30/04/2006
31/05/2004
19/05/2006
29/06/2004
16/06/2006
30/04/2004
30/04/2007
30/04/2004
30/04/2007
24-Nov-2000
16-Nov-01
11.50%
13-Dec-2000
30-Nov-01
11.41%
13-Dec-2000
13-Dec-01
11.50%
13-Dec-2000
5-Apr-02
11.53%
29-May-2000
29-May-02
Mibor + 1.35%
02-Jun-2001
1-Jun-02
10.30%
13-Dec-2000
13-Jun-02
Mibor + 1.30%
25-Jun-2001
24-Jun-02
10.08%
29-Jan-2001
29-Jul-02
Mibor + 1.00%
03-Aug-2001
3-Aug-02
9.35%
01-Oct-1999
1-Oct-02
12.00%
31-Oct-2000
31-Oct-02
12.00%
06-Dec-1999
6-Dec-02
12.00%
04-Jan-2000
4-Jan-03
11.80%
9-May-02
8-May-03
9.00%
9-May-02
8-May-03
9.00%
9-May-02
9-May-03
9.00%
9-May-02
9-May-03
9.00%
24-Nov-2000
24-May-03
12.00%
7-Jun-02
7-Jun-03
7-Jun-02
7-Jun-03
13-Dec-2000
13-Jun-03
26-Jun-2001
26-Jun-03
10.30%
29-Jun-2000
29-Jun-03
11.50%
29-Dec-2000
29-Jun-03
12.00%
31-Jul-02
30-Jul-03
8.00%
31-Jul-02
30-Jul-03
8.10%
31-Jul-02
30-Jul-03
8.00%
31-Jul-02
30-Jul-03
8.10%
27-Sep-02
26-Sep-03
7.10%
27-Sep-02
26-Sep-03
7.10%
28-Oct-1998
29-Sep-03
12.00%
7-Jun-02
7-Dec-03
9.00%
7-Jun-02
7-Dec-03
9.00%
13-Dec-2000
13-Dec-03
11.50%
25-Dec-1998
25-Dec-03
13.50%
29-Dec-2000
29-Dec-03
12.00%
26-Feb-1999
26-Feb-04
13.50%
30-Apr-02
30-Apr-04
9.25%
30-Apr-02
30-Apr-04
9.25%
9-May-02
9-May-04
9.15%
9-May-02
9-May-04
9.15%
24-May-02
24-May-04
9.25%
15-May-02
24-May-04
9.25%
27-Jun-03
4-Jun-04
5.70%
27-Jun-03
16-Jun-04
5.60%
25-Jun-1999
25-Jun-04
12.50%
27-Jun-03
25-Jun-04
5.65%
27-Jun-03
25-Jun-04
30/07/2003
09/07/2004
31-Jul-02
31-Jul-04
8.35%
31-Jul-02
31-Jul-04
8.35%
25/08/2003
25/08/2004
5.50%
27-Sep-02
13-Sep-04
7.60%
27-Sep-02
13-Sep-04
7.60%
31/10/2003
29/10/2004
5.25%
28-Nov-02
28-Nov-04
6.80%
28-Nov-02
28-Nov-04
6.75%
28-Nov-02
28-Nov-04
6.80%
28-Nov-02
28-Nov-04
6.75%
7-Dec-02
7-Dec-04
6.60%
7-Dec-02
7-Dec-04
6.60%
29/12/2003
24/12/2004
29/12/2003
27/12/2004
31/12/2003
29/12/2004
31-Dec-02
31-Dec-04
6.60%
31-Dec-02
31-Dec-04
6.60%
30/01/2004
05/01/2005
30/01/2004
06/01/2005
30/01/2004
28/01/2005
31/01/2004
29/01/2005
01/03/2004
01/02/2005
20-Mar-02
20-Mar-05
Mibor + .50%
20-Mar-02
20-Mar-05
Mibor + .45%
20-Mar-02
20-Mar-05
Mibor + .50%
20-Mar-02
20-Mar-05
Mibor + .45%
27-Jun-03
27-Jun-05
Mibor + 1% p.a.
30/07/2003
30/07/2005
5.95%
31-Jul-02
31-Jul-05
8.75%
31-Jul-02
31-Jul-05
8.75%
25/08/2003
25/08/2005
5.78%
30/09/2003
27/08/2005
5.45%
27-Sep-02
27-Sep-05
8.15%
27-Sep-02
27-Sep-05
8.05%
27-Sep-02
27-Sep-05
8.15%
27-Sep-02
27-Sep-05
8.05%
30/09/2003
30/09/2005
5.45%
28-Nov-02
28-Nov-05
28-Nov-02
28-Nov-05
7.15%
28-Nov-02
28-Nov-05
28-Nov-02
28-Nov-05
7.15%
7-Dec-02
7-Dec-05
6.85%
7-Dec-02
7-Dec-05
6.83%
7-Dec-02
7-Dec-05
6.85%
7-Dec-02
7-Dec-05
6.83%
26-Feb-03
26-Feb-06
Mibor +0.45%
01/03/2004
01/03/2006
25/04/2003
25/04/2006
30/09/2003
30/09/2006
Mibor + 0.15%
01/03/2004
01/03/2007
17-Jun-03
8.85%
17-Jun-03
8.85%
28-Jun-02
27-Jun-03
8.74%
28-Jun-02
27-Jun-03
N.A.
28-Jun-02
27-Jun-03
8.74%
28-Jun-02
27-Jun-03
N.A.
28-Jun-02
28-Jun-05
9.25%
28-Jun-02
28-Jun-05
9.25%
2-Jul-02
2-Jul-05
9.30%
2-Jul-02
2-Jul-05
9.30%
30-Nov-02
30-Nov-07
7.25%
16-Aug-02
16-Aug-07
9.50%
16-Aug-02
16-Aug-07
9.50%
30-Nov-02
30-Nov-07
7.25%
26-Feb-03
26-Feb-06
N.A.
16-Jul-02
11-Oct-02
13.00%
22-Oct-02
18-Jan-03
13.00%
14-Feb-96
14-Feb-03
18.50%
8-Apr-96
8-Apr-03
18.50%
30-Apr-97
30-Apr-03
19.00%
06/05/2003
01/08/2003
6.15%
26/05/2003
21/08/2003
6.15%
07/04/2003
29/09/2003
6.75%
22/08/2003
19/11/2003
5.50%
6-Mar-98
6-Mar-05
13.5%
24-Feb-99
24-May-06
14.00%
30-Mar-00
30-Jun-07
11.50%
15/06/2001
15/06/2006
11.00%
30-Oct-87
29-Sep-02
11%
28-Sep-93
8-Sep-03
13.50%
10-Jan-00
9-Jan-07
12.90%
30-Oct-92
7-Oct-07
13%
1-Nov-00
31-Oct-07
12.25%
3-Nov-00
2-Nov-07
12.75%
10-Nov-87
10-Nov-02
11.00%
9-Aug-88
9-Feb-03
11.00%
11-Aug-93
11-Aug-03
13.50%
5-Jan-94
5-Jan-04
13.50%
2-Sep-94
2-Sep-04
12.50%
10-Feb-95
10-Feb-05
12.50%
14-Aug-95
14-Aug-05
14.00%
28-Dec-95
28-Dec-05
14.00%
24-Oct-96
24-Oct-06
13.85%
12-Feb-97
12-Feb-07
13.75%
1-Sep-92
1-Sep-07
13.00%
19-Nov-97
19-Nov-07
12.30%
21-Dec-92
21-Dec-07
13.00%
11-Feb-98
11-Feb-08
12.30%
25-Mar-98
25-Mar-08
12.30%
8-May-98
14-Jun-03
13.25%
8-Feb-99
30-Mar-04
14.50%
2-Sep-99
15-Dec-06
13.50%
2-Sep-99
15-Sep-07
13.00%
8-Nov-01
3-Nov-02
9.80%
26-Mar-02
25-Mar-05
11.35%
1-Nov-02
31-Mar-04
7.18%
1-Nov-02
31-Mar-04
7.18%
1-Nov-02
31-Mar-05
7.18%
1-Nov-02
31-Mar-05
7.18%
1-Nov-02
31-Mar-06
7.18%
1-Nov-02
31-Mar-06
7.18%
4-Jul-00
3-Jan-03
11.10%
6-Dec-01
31-Mar-02
7%
12-Nov-01
11-Nov-02
8.10%
1-Dec-97
30-Nov-04
12.25%
24-Jul-98
23-Jul-05
13.50%
24-Jul-98
23-Jul-05
13.50%
11-Aug-00
10-Aug-05
11.85%
7-Oct-02
7-Oct-06
7.70%
7-Oct-02
7-Oct-06
7.70%
30-Dec-99
29-Dec-06
11.40%
7-Oct-02
1-Oct-07
7-Oct-02
1-Oct-07
Floating Rate (one year INBMK + 140 bps ) for one year payable semiannually Rate (one year Floating INBMK + 140 bps ) for one year payable semiannually 13.25%
30-Jul-00
30-Jul-02
12-Jun-01
12-Jun-03
12.25%
24/07/2003
15/03/2004
6.00%
05/06/2003
05/06/2004
10.00%
06/06/2003
06/06/2004
10.00%
09/06/2003
6/9/2004
7.00%
10/06/2003
10/06/2004
10.00%
16/07/2003
15/07/2004
10.00%
17/07/2003
16/07/2004
10.00%
11/09/2003
11/09/2004
10%
12/09/2003
12/09/2004
10%
15/09/2003
15/09/2004
10%
14-Mar-00
13-Mar-05
13.00%
9-Mar-01
9-Mar-06
12.30%
23-Jun-01
N.A.
23-Jun-01
N.A.
23-Jun-03
N.A.
23-Jun-04
N.A.
23-Jun-04
N.A.
23-Jun-05
N.A.
23-Jun-05
N.A.
23-Jun-05
N.A.
12-Aug-02
11-Aug-03
11.25%
15/07/2003
12/01/2004
5.90%
26/08/2003
23/02/2004
6.50%
08/09/2003
08/03/2004
6.25%
12/09/2003
12/03/2004
6.25%
26/12/2003
23/06/2004
6.00%
15/07/2003
07/07/2004
6.00%
23/02/2004
19/08/2004
6.00%
08/03/2004
06/09/2004
6.00%
12/03/2004
29/12/2004
6.15%
15/09/2003
15/03/2005
7.25%
29-Jan-99
28-Jan-06
Zero Coupon
15-Feb-02
31-Mar-02
N.A.
15-Feb-02
31-Mar-02
N.A.
15-Feb-02
31-Mar-03
N.A.
15-Feb-02
31-Mar-03
N.A.
15-Feb-02
31-Mar-03
N.A.
15-Feb-02
31-Mar-03
N.A.
14/05/2003
13/05/2006
4.00%
14/05/2003
13/05/2007
4.00%
19-Sep-01
19-Sep-02
9.00%
19-Sep-01
19-Sep-02
9.00%
19-Sep-01
19-Sep-03
9.15%
19-Sep-01
19-Sep-03
9.15%
19-Sep-01
19-Sep-04
9.25%
19-Sep-01
19-Sep-04
9.25%
28-May-97
28-May-02
14.75%
1-Dec-97
1-Dec-02
12.25%
13-Feb-02
13-Feb-03
8.75%
1-Jun-98
1-Jun-03
13.50%
1-Jun-02
1-Dec-02
8.95%
15-Nov-02
12-Feb-03
5-Sep-02
5-Sep-05
5-Sep-02
5-Sep-05
7.85%
25-Nov-02
25-Nov-05
6.80%
25-Nov-02
25-Nov-05
6.80%
14/05/2003
14/05/2006
6.35%
25-Nov-02
25-Nov-07
7.10%
25-Nov-02
25-Nov-07
7.10%
26-02-1996
26-Feb-03
14.00%
7-Mar-96
7-Mar-03
14.00%
8-Jul-02
8-Jun-07
6.00%
10-Jan-02
9-Jul-02
10.50%
18-Oct-02
17-Oct-03
Zero Coupon Annualised yield 6.98% Zero Coupon Annualised yield 6.98% 10.00%
18-Oct-02
17-Oct-03
21-Mar-02
18-Jun-02
1-Jan-03
31-Jan-03
6.45%
20-Sep-95
30-Jun-03
12.00%
1-Nov-02
1-Nov-05
7.00%
11/1/2002
11/1/2005
7.00%
26-Dec-02
26-Dec-05
6.30%
26-Dec-02
26-Dec-05
6.30%
6-Sep-02
6-Sep-06
7.95%
9/6/2002
9/6/2006
7.95%
18-Oct-02
18-Oct-06
7.30%
10/18/2002
10/18/2006
7.30%
3-May-02
3-May-07
9.80%
3-May-02
3-May-07
9.80%
27-May-07
9.50%
27-May-07
9.50%
8-Jul-02
8-Jul-07
8.95%
7/8/2002
7/8/2007
8.95%
10-Jul-07
8.95%
7/10/2002
7/10/2007
8.95%
13-Mar-02
10-Jun-02
9.25%
15-Mar-02
12-Jun-02
10.00%
10-Jul-02
7-Oct-02
NSE Mibor Rate + 90 bps NSE Mibor Rate + 70 bps NSE Mibor Rate + 80 bps 6.67%
6-Sep-02
4-Dec-02
13-Sep-02
11-Dec-02
20-Dec-02
19-Mar-03
31-Dec-02
28-Mar-03
6.75%
16/03/2004
11/06/2004
9-Jul-02
9-Jul-07
9-Jul-02
9-Jul-07
8.95%
31-Mar-01
30-Jun-06
11.75%
2-Mar-02
2-Sep-07
9.50%
10-Jun-02
10-Jul-02
8.75%
10-Jun-02
6-Sep-02
9.55%
20-Sep-02
18-Dec-02
9-Oct-02
6-Jan-03
7.50%
31-Oct-02
28-Jan-03
Mibor + 70 bps
12-Jul-02
9-Oct-02
9.10%
31/05/2004
27/08/2004
MIBOR - 10 bps
23/07/2004
20/10/2004
NSE Mibor rate minus 10 bps NSE Mibor Rate plus 90 basis points 7.90%
30-Jul-02
25-Oct-02
30-Aug-02
27-Nov-02
3-Oct-02
31-Dec-02
30-Jan-03
29-Apr-03
6-Feb-03
6-May-03
6.80%
10/04/2003
08/07/2003
27-Jun-03
28-Jul-03
03/06/2003
29/08/2003
5.50%
08/07/2003
03/10/2003
5.50%
16/07/2003
13/10/2003
5.45%
17/07/2003
14/10/2003
5.50%
27/08/2003
24/11/2003
5.50%
27/08/2003
24/11/2003
5.20%
29/08/2003
25/11/2003
5.50%
03/09/2003
01/12/2003
5.17%
09/09/2003
05/12/2003
5.17%
17/09/2003
15/12/2003
Mibor + 20 bps
24/09/2003
22/12/2003
5.23%
24/09/2003
22/12/2003
5.25%
28/11/2003
25/02/2004
5.20%
05/12/2003
03/03/2004
5.15%
10/12/2003
08/03/2004
5.15%
19/12/2003
17/03/2004
5.15%
22/12/2003
19/03/2004
5.15%
31/12/2003
29/03/2004
15/01/2004
13/04/2004
5.10%
21/01/2004
19/04/2004
5.10%
25/02/2004
24/05/2004
5.00%
03/03/2004
31/05/2004
5.00%
08/03/2004
04/06/2004
4.99%
31/03/2004
28/06/2004
20/04/2004
16/07/2004
4.70%
24/05/2004
19/08/2004
4.63%
31-Mar-99
30-Jun-04
14.25%
30-Mar-02
30-Jun-07
9.75%
19-Apr-02
19-Jul-07
9.75%
1-Dec-01
30-Nov-06
10.50%
1-Dec-01
30-Nov-06
10.50%
18-Dec-97
1-Oct-02
14.00%
7-Nov-01
7-Nov-04
13%
17-Feb-00
2-Apr-05
N.A.
8-Oct-01
8-Oct-04
13%
24-Nov-98
23-Nov-03
14.00%
26-Nov-98
25-Nov-03
14.00%
21-Jan-99
20-Jan-04
14.00%
2-Mar-02
2-Mar-07
6%
2-Mar-02
2-Mar-07
6%
2-Mar-02
2-Mar-07
9.75%
2-Mar-02
2-Mar-07
9.75%
1-Jul-05
12.85%
30-Jun-07
10.40%
6-Apr-03
28-Dec-02
27-Jan-03
30-Jan-03
29-Apr-03
16-Jul-02
15-Jul-03
0.00%
16-Jul-02
15-Jul-03
N.A
16-Jul-02
16-Jul-05
10.00%
16-Jul-02
16-Jul-05
10.00%
16-Jul-02
16-Jul-07
10.25%
16-Jul-02
16-Jul-07
10.25%
1-Feb-02
2-Mar-02
12.25%
6-Mar-02
5-Apr-02
12.25%
24-Apr-02
22-Jul-02
12.25%
24-Jul-02
21-Sep-02
12.25%
3-Oct-02
2-Dec-02
11.00%
11-Mar-03
10-Mar-08
6.50%
1-Sep-97
1-Sep-04
14.00%
15-Mar-00
15-Jun-05
12.25%
1-Jun-00
1-Sep-05
12.25%
10-Dec-99
10-Dec-05
15.00%
27-Sep-97
26-Sep-02
14.00%
16-Mar-99
15-Mar-06
14.00%
30-Mar-98
30-Jun-03
10-Feb-00
10-Jul-05
4% above Bank Rate with an assured minimum of 14% & a maximum of 14.50% 13%
26-Feb-00
26-Jul-05
13%
17-Feb-01
17-Jul-06
13.00%
15-Mar-02
15-Aug-07
9.70%
20-Aug-02
18.00%
18-Oct-02
8.90%
27-Jan-99
15-Feb-04
10.00%
12-Aug-98
12-Aug-05
14.00%
7-Nov-01
7-Nov-06
9.50%
22-Jan-02
22-Jan-07
9.50%
22-Jan-02
22-Jan-07
9.50%
28-Feb-02
28-Feb-07
9.25%
7-Mar-02
7-Mar-07
9.25%
26-Nov-98
26-Nov-05
13.75%
14-Mar-03
14-Mar-04
7.00%
14/03/2003
14/03/2004
7.00%
13-Mar-99
12-Jun-04
14.25%
29-Jan-00
28-Apr-05
12.85%
13-Mar-99
12-Jun-06
14.50%
8-Feb-08
9.55%
29-Apr-07
12.65%
5/15/2002
5/15/2007
9.75%
10-Sep-01
11-Sep-06
9.45%
2-Jun-97
2-Jun-02
15.00%
27-Oct-97
27-Oct-02
13.25%
29-Jan-98
29-Jan-03
13.50%
20-Feb-98
20-Feb-03
14.00%
23-Apr-98
23-Apr-03
14.00%
23-Apr-98
23-Apr-03
14.50%
4-Jun-96
4-Jun-03
18.00%
4-Jun-96
4-Jun-03
17.25%
21-Oct-98
21-Oct-03
14.00%
1-Mar-99
1-Mar-04
14.00%
5-Mar-99
5-Mar-04
14.25%
4-Oct-99
4-Oct-04
12.85%
16-Mar-00
16-Mar-05
12.50%
1-Mar-99
1-Mar-06
13.85%
1-Mar-99
1-Mar-06
14.25%
18-Feb-97
18-Feb-07
16.55%
1-Mar-02
1-Mar-07
10.00%
16-Mar-00
16-Mar-07
12.60%
1-Aug-00
1-Aug-07
11.70%
8-May-00
9-May-04
10.75%
8-May-00
9-May-04
10.75%
15-Feb-00
14-Feb-07
13.00%
27-Mar-00
26-Mar-07
13.00%
30-Jun-99
30-Jun-04
14.25%
30/04/2003
28/07/2003
Previous day MIBOR+ 05 bps daily compounding Mibor + 15 bps (daily compounding)
2-Jul-03
29-Sep-03
14/07/2003
10/10/2003
12-Nov-99
12-Nov-03
06/10/2003
02/01/2004
14-Dec-02
14-Dec-05
14-Dec-02
14-Dec-05
6.40%
30/07/2002
30/07/2003
30/07/2002
30/07/2004
Zero Coupon (Applicable premium rate is 6 month MIFOR plus 395 bps compounded at Zero Coupon (Applicable premium rate is 6 month MIFOR plus 395 bps compounded at Zero Coupon (Applicable premium rate is 6 month MIFOR plus 395 bps compounded at Zero Coupon (Applicable premium rate is 6 month MIFOR plus 395 bps compounded at Zero Coupon (Applicable premium rate is 6 month MIFOR plus 395 bps compounded at 9.95%
30/07/2002
30/07/2005
30/07/2002
30/07/2006
30/07/2002
30/07/2007
19-Oct-01
19-Oct-03
30-Nov-01
30-Nov-03
10.25%
31-Mar-01
30-Jun-06
11.00%
7-Jan-02
7-Apr-07
9.50%
11-Jan-01
11-Jan-06
11.75%
22-Jul-02
22-Jul-07
8.40%
25-Jul-02
25-Jul-07
8.09%
8-May-06
11.25%
10-Sep-06
12.50%
1-Jun-07
9.80%
5-Jul-07
9.30%
0/09/99
10-Sep-06
12.50%
24-May-02
29-Jun-05
14.50%
31-Mar-01
30-Jun-06
11.00%
29/01/2004
27/04/2004
7.00%
21/04/2004
19/07/2004
6.50%
27/04/2004
23/07/2004
7.00%
11/06/2004
08/09/2004
6.50%
21/06/2004
17/09/2004
6.15%
15/03/2004
15/04/2005
6.50%
1-Jan-02
29-Mar-02
Index +1.75 BP
6-Jun-02
3-Sep-02
13-Jun-02
10-Sep-02
6-Sep-02
4-Dec-02
Floating at Index +175 basis points p.a.("index" is REUTERS MIBOR) compounded 175 bps Mibor Rate + daily,
13-Sep-02
11-Dec-02
10-Dec-02
9-Jan-03
17-Dec-02
16-Jan-03
14-Jan-03
11-Apr-03
16-Jan-03
15-Apr-03
17/04/2003
10/07/2003
17/04/2003
15/07/2003
15/07/2003
08/10/2003
15/07/2003
12/10/2003
12-Mar-02
4-Jun-02
Mibor + 175bps
13-Mar-02
10-Jun-02
Mibor + 175bps
22/10/2003
12/01/2004
MIBOR + 145bps
22/10/2003
19/01/2004
MIBOR + 145bps
3-Dec-01
3-Jun-07
9.80%
27-Mar-02
27-Jun-07
9.30%
13-Nov-02
9-Feb-03
9%
29-Nov-02
26-Feb-03
9%
14-Feb-03
13-May-03
Mibor + 75 bps
14-Feb-03
13-May-03
Mibor + 75 bps
24/04/2003
21/07/2003
Mibor + 60 bps
19/05/2003
15/08/2003
Mibor + 60 bps
3-May-00
19-Apr-05
12.10%
6-Sep-99
6-Jul-05
14%
03/06/2003
02/06/2006
7.90%
8-May-98
14-Jun-03
13.25%
8-Feb-99
30-Mar-04
14.50%
22-Jul-99
15-Oct-06
13.50%
16-Jun-00
15-Sep-07
13.00%
7-Feb-02
1-Mar-02
7-Feb-02
15-Mar-02
4.50% over the reuters Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 4.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing on the RIMOR 4.50% Floor 11% p.a. Cap 11.75% p.a.
15-Mar-02
6-Jun-02
15-Jan-02
3-Jul-02
15-Jan-02
8-Jul-02
1.50% over the Reuters Mumbai Inter bank Overnight Rate(RMIBOR) as appearing onReuters 1.50% over the the Mumbai Inter bank Overnight Rate(RMIBOR) as appearing onReuters 1.50% over the the Mumbai Inter bank Overnight Rate(RMIBOR) as appearing onReuters 1.50% over the the Mumbai Inter bank Overnight Rate(RMIOR) as appearing on the RIMOR 4.50% Floor 11% p.a. Cap 11.75% p.a. 1.50% over the Reuters Mumbai Inter bank Overnight Rate(RMIOR) as appearing onReuters 1.50% over the the Mumbai Inter bank Overnight Rate(RMIOR) as appearing on the RIMOR 4.50% Floor 11% p.a. Cap 11.75% p.a.
7-Feb-02
29-Jul-02
13-Mar-02
3-Sep-02
3-Apr-02
20-Sep-02
3-Dec-02
29-Jan-03
4-Dec-02
28-Feb-03
1.50% over the Reuters Mumbai Inter bank Overnight Rate(RMIOR) as appearing on the RIMOR+ : 4.50% Floor : 11.00% p.a. CAP : 11.75% p.a.
3-Mar-03
5-Mar-03
1.50% over the Reuters Mumbai Inter bank Overnight Rate(RMIOR) as appearing onReuters 1.50% over the the Mumbai Inter bank Overnight Rate(RMIOR) as appearing onReuters 1.50% over the the Mumbai Inter Bank Overnight Rate(RIMOR), as appearing on the
20-Mar-03
28-Feb-03
4/30/2003
RIMOR+ : 3%, Floor : 9.00% p.a., CAP : 12% p.a. 1.50% over the Reuters Mumbai Inter Bank Overnight Rate(RIMOR), as appearing onReuters 1.50% over the the Mumbai Inter Bank Overnight Rate(RIMOR), as appearing onReuters 1.50% over the the Mumbai Inter Bank Overnight Rate(RIMOR), as appearing onReuters 1.50% over the the Mumbai Inter Bank Overnight Rate(RIMOR), as appearingFloor 9% RIMOR 3%, on the p.a., Cap 12% p.a.
29-Jan-03
28-Jul-03
3-Mar-03
3-Sep-03
5-Mar-03
5-Sep-03
20-Mar-03
20-Sep-03
12/05/2003
29/09/2003
28/07/2003
27/01/2004
05/09/2003
05/03/2004
19/09/2003
19/03/2004
RMIOR + 1.5%
20/03/2004
20/09/2004
1.5% over Reuters Mumbai Interbank Overnight Rate 4.50% over the reuters Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 4.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 4.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing on the
7-Dec-01
7-Mar-02
25-Jan-02
18-Apr-02
25-Jan-02
19-Apr-02
7-Dec-01
22-Apr-02
24-Apr-02
4.50% over the reuters Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 1.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 4.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 4.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing on the RIMOR+ : 4.50% Floor : 12% p.a.
21-May-02
30-Jan-02
24-May-02
29-Apr-02
31-May-02
29-Apr-02
28-Jun-02
29-Apr-02
12-Jul-02
17-Jul-02
18-Jul-02
20-Aug-02
10-Jun-02
23-Aug-02
RIMOR 4.50% Floor 12% p.a. Cap 12.50% p.a. RIMOR 4.50% Floor 12% p.a. Cap 12.50% p.a. RIMOR+ : 4.50% Floor : 12% p.a.
22-Jun-02
6-Sep-02
12-Jul-02
27-Sep-02
22-Nov-01
22-Nov-02
14.00%
30-May-02
25-Mar-04
30-May-02
5-Apr-04
1.50% over the reuters Mumbai Interbank Overnight Rate(RIMR), as appearing onreuters 1.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 1.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 1.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 1.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 1.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 1.50% over the the Mumbai Interbank Overnight Rate(RMIOR), as appearing onreuters 1.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing on the 1.5% over the reuters Mumbai Interbank Overnight Rate(RIMOR), as appearing on the 1.5% over the reuters Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 1.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing on the 1.5% over the reuters Mumbai Interbank Overnight Rate(RIMOR), as appearing on the
30-May-02
14-Apr-04
30-May-02
19-Apr-04
30-May-02
23-Apr-04
30-May-02
17-May-04
18-Jun-02
7-Jun-04
28-Jun-02
28-Jun-04
3-Jul-02
3-Jul-04
8-Jul-02
8-Jul-04
19-Jul-02
19-Jul-04
31-Jul-02
31-Jul-04
2-Aug-02
2-Aug-04
7-Aug-02
7-Aug-04
1.5% over the reuters Mumbai Interbank Overnight Rate(RIMOR), as appearing onreuters 1.50% over the the Mumbai Interbank Overnight Rate(RMIOR), as appearing on the 1.50% over Reuters Mumbai Interbank Overnight rate (RMIOR), as appearing onreuters 1.50% over the the Mumbai Interbank Overnight Rate(RIMOR), as appearing on the 14.00%
28-Aug-02
28-Aug-04
13-Mar-01
13-Mar-08
14.00%
13-Mar-01
13-Mar-08
14.00%
4-Jan-99
4-Apr-04
14.20%
6-Dec-99
6-Dec-06
12.35%
1-Feb-01
1-Jun-07
11.00%
24-Jul-87
11-Nov-02
11.00%
1-Mar-98
11-Feb-03
11.00%
11-Aug-93
11-Aug-03
13.50%
5-Jan-94
5-Jan-04
13.50%
31-Aug-94
31-Aug-04
12.50%
2-Aug-95
1-Aug-05
14.00%
6-Dec-95
6-Dec-05
14.00%
19-Sep-96
19-Sep-06
13.85%
30-Jan-97
30-Jan-07
13.75%
27-Aug-97
27-Aug-07
13.00%
23-Oct-97
23-Oct-07
12.30%
22-Dec-92
22-Dec-07
13.00%
22-Jan-98
22-Jan-08
12.30%
19-Mar-98
19-Mar-08
12.30%
31-Oct-97
30-Apr-05
13.00%
1-Jan-99
31-Dec-05
14.00%
1-Jul-99
30-Jun-06
14.00%
1-Dec-99
30-Nov-06
13.60%
6-May-00
6-May-07
13.25%
01/10/2000
01/10/2007
12.75%
01/04/2001
01/04/2008
13%
27-Oct-02
12.50%
31-Jul-03
10.25%
31-Jul-01
31-Jan-04
7.50%
1-Mar-02
1-Mar-07
9.15%
1-Mar-02
1-Mar-07
9.15%
1-Dec-00
1-Dec-03
12.50%
7-Jan-97
7-Jan-04
17.50%
25-Jan-02
25-Jan-03
12.50%
28-Nov-01
24-Feb-02
10.50%
29/04/2004
25/10/2004
7.50%
11-Mar-02
10-May-02
10.30%
28-Mar-02
30-May-02
11.00%
17-Apr-02
13-Jul-02
10.00%
7-Jun-02
31-Jul-02
10.50%
23-Aug-02
30-Sep-02
9.50%
15-Jul-02
11-Oct-02
9.50%
25-Nov-02
20-Dec-02
9.50%
11-Oct-02
7-Jan-03
9.50%
14-Oct-02
10-Jan-03
9.50%
8-Jan-03
6-Apr-03
9.50%
16/04/2003
13/07/2003
9.50%
12/05/2003
8/9/2003
9.50%
09/08/2003
08/10/2003
9.00%
14/07/2003
11/10/2003
9.50%
10/10/2003
1/8/2004
9.00%
Frequency of the Interest Payment with specified dates On maturity, 6th June, 2003 On maturity - 03rd September, 2003 On maturity, 28th November, 2003
N.A.
N.A.
On maturity, 15th March, Put & Call: N.A. 2004 On maturity,11th June, 2004 On maturity, 17th June, 2004 On maturity, 20th July, 2004 On maturity, 8th Sept, 2004 On maturity, 13th September, 2004 On maturity, 14th September, 2004 On maturity, 15th October, 2004 On maturity Date 13th Sept, 2002 Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
1 to 5
1 to 5
1 to 5
N.A.
N.A.
On maturity 11th Dec, 2002 On maturity 10th March, 2003 Quarterly 31st Dec 31st March, & on maturity June, Quarterly, 30th
N.A.
N.A.
N.A.
N.A.
N.A.
Put: N.A. 2003, 30th Sept, 2003 & Call-N.A. on maturity, 13th Oct, 2003 Quarterly 31st Dec 2003, NA 31st March 2004 & 09th April 2004 Annually- 15th November N.A.
001 to 100
On maturity 20th Sept, 2003 On maturity 30th September, 2003 On maturity 15th April, 2003 On maturity 15th April, 2003 On maturity 29th April, 2003 On maturity 29th April, 2003 On maturity 10th June, 2003
N.A.
19/01 (001-015)
Put/Call : 7th August, N.A. 2002 and any day thereafter with 3 working day notice Put/Call : 29th April, 2002 01/01 and any time thereafter by giving 3 working days notice : 15th July, 2002 01/02 Put/Call and every 90th day thereafter by giving 3 working days May 2002 Put/Call : 6th notice and thereafter after 1 working day notice
Put/Call : 28th July, 2002 04/01 and every 90th day (001 to 025) thereafter by giving 3 working days July, 2002 05/01 Put/Call : 1st notice (001 to 010)
On maturity 10th June, 2003 On maturity 19th July, 2003 On maturity 26th July, 2003 On maturity 1st August, 2003 On maturity 1st August, 2003 On maturity 1st August, 2003 On maturity 1st August, 2003 On maturity 1st August, 2003 On maturity 1st September, 2003 On maturity 1st September, 2003 On maturity 1st September, 2003 On maturity 13th Sept, 2003 On maturity 13th Sept, 2003
Put/Call : 15th July, 2002 06/01 (001 to 015) Put/Call : 31st July, 2002 07/01 and thereafter after 1 (001-010) working day notice Put/Call : 24th September, 2002 and any time thereafter by giving 5 working day's Put/Call : 14th August, 2002 and anytime thereafter by giving 1 working day'sAugust, Put/Call : 7th notice N.A.
2002 and thereafter every day with 1 working day notice August, Put/Call : 6th N.A. 2002 and thereafter every day with 1 working day notice Put/Call : 29th N.A. September, 2002 and thereafter every 60 days with 5 working August, Put/Call : 14th days N.A. 2002 with 1 working day notice Put/Call : Any day after N.A. deemed date of Allotment with 3 working day notice Put/Call : 11th N.A. September, 2002 and thereafter every day with 3 working day notice Put/Call : Any day after N.A. deemed date of Allotment with 1 working day notice
Put/Call : Any time after 17/01 the date of allotment with (001-025) 1 working day notice Put/Call : Any time after 18/01 the date of allotment with '18/02 1 working day notice (001-020)
On maturity 16th Sept, 2003 On maturity 24th Sept, 2003 On maturity 11th October, 2003 On maturity 28th October, 2003 On maturity 20th November, 2003 On maturity 4th December, 2003 On maturity 13th December, 2003 On maturity 18th December, 2003 On maturity 18th December, 2003 On maturity 19th December, 2003 On maturity 27th December, 2003 On maturity 02nd January, 2004 On maturity 03rd January, 2004
Put/Call : Any dayl with 1 N.A working day notice Put/Call : Any day with 1 N.A. working day Put/Call : 26th October, N.A. 2002 and any day thereafter with 2 working days notice November, N.A. Put/Call : 5th 2002 and any day thereafter with 1 workign days notice day after Put/Call : Any N.A deemed date of allotment with 1 working day notice Put/Call : Any day after N.A. deemed date of allotment with 1 working day notice Put/Call : Any day after N.A. deemed date of allotment with 1 working day notice Put/Call : Any day after N.A. deemed date of allotment with 1 working days notice : 4th January, Put/Call N.A. 2003 or any day thereafter with 1 working days notice day after Put/Call : Any N.A. deemed date of allotment with 1 working day notice Put/Call : Any day after N.A. deemed date of allotment with 1 working day notice Put/call-03rd February, N.A. 2003 & any day thereafter with 1 calendar day's notice day after Put/Call : Any N.A. deemed date of allotment with 1 working day notice
On maturity 14th January, 2004 On maturity 17th January, 2004 On maturity 24th January, 2004
Put/Call : 15th April, 2003 N.A. and any day thereafter with 1 calendar days notice after deemed Any day N.A. ate of allotment with 1 working days notice Put/Call : Any day after N.A. deemed date of allotment N.A.
On maturity, 25th March, Put & call2004 Any day after deemed Date of allotment On maturity, 2nd May, 2004 On maturity, 23rd May, 2004 On maturity, 9th June, 2004
Put & Call:Any day after N.A. deemed date of allotment Put & Call:Any day after N.A. deemed date of allotment Put & Call:Any day after N.A. deemed date of allotment
On maturity, 21st August, Put & Call:Any day from N.A. 2004 deemed date of allotment On Maturity 10th Sep 2004 Put & Call:Daily From The Deemed Date Of Allotment NA
On Maturity 10th October Put & Call Option: Daily NA 2004 after the deemed date of allotment with two On Maturity 10th October working day's notice. Put & Call Option: Daily NA 2004 after the deemed date of allotment with one On maturity, 5th March, working day notice. Put & Call:12th March, N.A. 2005 On maturity, 19th April, 2005 2004 with one working day notice and thereafter daily with one working Put & Call:Daily after the N.A. deemed date of allotment with one working day notice
On Maturity 17th May 2005 Half Yearly 30th Sept & & 31st Mar On maturity- 26th March,2002 On maturity- 21st June, 2002 On maturity- 19th September, 2002 On maturity- 21st October, 2002 On maturity20th January, 2003 Quarterly 30th Sept 31st December 31st March 24th Sept, On maturity, 2004 Annually-1st March
Put & Call:Daily after the NA deemed date of Allotment with one working day notice N.A. Cert No : 0001 Dist Nos : 0000001 to 2000000 Put & call - daily(with notice of 2 clear working days) N.A. 001 - 008
009 - 018
Daily-can be exercised by 019 to 026 either party with notice of 24 hours Put & call - to be 027 to 030 exercised by either party with a notice of 72 hours. N.A. 031 to 034
N.A
None
N.A.
Annually 15th April On maturity, 19th November, 2003 On maturity, 21st November, 2003
N.A.
N.A.
Quarterly,15th Sept,2003, 15th Dec, 2003, 15th Mar,2004 & 15th June, 2004 &on Quarterly-20th
None March,20th June,20th September,20th December January,6th None Quarterly-6th April,6th July,6th October Quarterly 21st Jan, 21st April 21st July on 4th Sep, Quarterly 4th December, 4th March, & 4th June
Every month end. First interest Put & callpayment on 31st March, 2003 Daily, Exerciseable by giving one days notice before 2.00 p.m. (T+1) business day
Put/Call : At the end of 6 S-4100001 to S-4600000 months from the date of subscription ie 21st April, 2002 None 1-5670098
AP1 to AP30
Monthly at the end of every month, Starting from 30th September,2003 Half Yearly 31st March 30th Sept. Half Yearly 31st March 30th Sept. Quarterly 31st March, 30th June, 30th Sept & Quarterly 31st March, 30th June, 30th Sept & On maturity 2nd March, 2003 On maturity 30th March, 2003
Put & Call:Daily A1-A10 ,Exersible by either party by giving one day notice before 2.00 p.m. (t+1) N.A. Cert No. : 00001 to 80728Dist Nos. 000001 to 1056925 N.A. N.A.
N.A.
Cert No. 002 Dist Nos : 001 to 1,00,000 Cert No. 004 Dist Nos : 1,15,001 to 2,15,000 Cert No. 19 Dist Nos : 7650001 to 7800000 Cert No. 20 Dist Nos : 7800001 to 7950000
N.A.
N.A.
N.A.
N.A.
Within 3 days from end of Put & Call: N.A. calendar months Within 3 days from end of Put & Call: N.A. calendar months Within 3 days from end of Put & Call: N.A. calendar months Annually 30th November Annually 3rd May Annually 27th May Quarterly, 30th June, 30th Sept, 31st Dec & 31st March N.A.
0005, 00167651 to 00334650 0006, 00334651 to 00500650 Cert No. 001 Dist Nos : 00001 to 00250 Cert No. 1 to 45 Dist Nos : 00001 to 15000 Cert No. 1 to 11 Dist Nos : 15001 to 21500 001/ 0000001 to 0000013
N.A.
N.A.
Half Yearly - 1st April & 20-Sep-05 Ist October Half Yearly - 1st April & 20-Sep-05 Ist October Half Yearly - 1st April & 27-Sep-05 Ist October Half Yearly - 1st April & 27-Sep-05 Ist October Half Yearly - 1st April & 30-Oct-05 Ist October
1 - 32 80 - 2040
Half Yearly - 1st April & 30-Oct-05 Ist October Half Yearly - On 1st July & Ist January On maturity-21-Nov-07 (cumulative interest) Half Yearly - On 1st July & Ist January On maturity-21-Nov-07 (cumulative interest) 21-Nov-05 1 - 325 357 - 5042 352 - 356
N.A.
21-Nov-05
N.A.
Half Yearly - On 1stT July 5-Dec-05 & Ist January On maturity-05-Dec-07 (cumulative interest) N.A.
Half Yearly - On 1stT July 5-Dec-05 & Ist January On maturity-05-Dec-07 (cumulative interest) N.A.
Half Yearly - On 1stT July 3-Jan-06 & Ist January On maturity-03-Jan-08 (cumulative interest) N.A.
Half Yearly - On 1stT July 3-Jan-06 & Ist January On maturity-03-Jan-08 (cumulative interest) N.A.
Half Yearly - On 1st July & Ist January On maturity-14-Jan-08 (cumulative interest) Half Yearly - On 1st July & Ist January On maturity-14-Jan-08 (cumulative interest) Half Yearly - On 1st July & Ist January On maturity-29-Jan-08 (cumulative interest) Half Yearly - On 1st July & Ist January On maturity-29-Jan-08 (cumulative interest) Half Yearly - On 1st July & Ist January On maturity-3 Mar-08 (cumulative interest) Half Yearly - On 1st July & Ist January On maturity-3 Mar-08 (cumulative interest)
14-Jan-06
N.A.
14-Jan-06
N.A.
29-Jan-06
N.A.
8213 to 9672 9766 to 17061 21003 to 21022 21023 to 31147 20117 to 20195
29-Jan-06
N.A.
3-Mar-06
N.A.
3-Mar-06
N.A.
44 to 104324
Half Yearly - 1st April & 16-Mar-06 Ist October Half Yearly - 1st April & 29-Mar-06 Ist October Half Yearly - 1st April & 29-Mar-06 Ist October Half Yearly - 1st April & 27-Apr-06 Ist October Half Yearly - 1st April & 27-Apr-06 Ist October Half Yearly 12th May & 12th Nov Half Yearly 11th Aug & 11th Feb Half Yearly 11th February & 11th August Half Yearly 3rd July & 3rd January Half Yearly 28th February & 28th August N.A. N.A. 112556 to 112807 113173 to 122715 104325 to 106224 106225 to 106296 107528 to 109508
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly N.A. 31st July & 31st January Half Yearly 2nd February & 2nd August Half Yearly 6th June & 6th Dec N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 18th March & 18th Sept Half Yearly 29th July & 29th Jan Half Yearly 27th February & 27th August Half Yearly 22nd April & 22nd Oct Half Yearly 22nd June & 22nd December
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly N.A. 21st July & 21st January Half Yearly 16th Sept & 16th March On maturity, 7th July, 2003 Half Yearly 30th June & 31st Dec N.A.
N.A.
N.A.
1 to 499
Quarterly N.A. 31st March 30th June, 30th Yearly- 30th& Half September June & Put & Call: N.A. 31st December On Maturity 8th April, 2002 On maturity 06th May, 2002 N.A.
1,1-500000
N.A
N.A.
N.A.
N.A
N.A.
N.A.
On maturity 3rd June, 2002 On maturity 7th June, 2002 On maturity 12th June, 2002 On maturity 12th Sept, 2002 N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A.
Annually (11th October) If put/call is exercised, int payment shall be on 23.01.2002 or 23.04.2002 or On maturity 20th November 2002 On maturity 20th Dec, 2002 N.A
N.A.
N.A.
At the end of 3rd month - N.A. 23.01.02, At the end of 6th month 23.04.02, N.A. N.A
N.A.
N.A
N.A.
N.A.
N.A.
N.A
N.A.
N.A
N.A.
N.A.
On maturity 06th May, 2003 On maturity 24th May, 2003 On maturity 30th July, 2003 On maturity 30th July, 2003 On maturity 7th August, 2003 On maturity 7th August, 2003 On maturity ,10th December, 2003 On maturity, 27th February, 2004 On maturity, 8th March, 2004 N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A
On maturity, 30th August, Put & Call: N.A. 2004 Annually-28th March After 10th month-28th March 2003(301 Days) After 10th month-28th March 2003(301 Days) Put/Call : At the end of 1st Year ie 24th May, 2003 Put & Call: N.A.
N.A.
N.A
Annually-28th March
N.A
N.A
N.A.
On maturity 5th August, 2005 On maturity 5th August, 2005 Annually, 27th August
N.A.
N.A
N.A.
N.A
N.A.
NA
NA
N.A.
(1 - 20000000)
Yearly-30th September
N.A.
Half Yearly-31st March & N.A. 30th September Quarterly-31st March, 30th June, 30th September & 31st December November Yearly-30th N.A.
1/(1 - 1000000)
N.A.
1 to 25
Annually 15th October Annually 15th October Cumulative on Semi Annual basis 1st October & 1st April Cumulative on Semi Annual basis 1st October & 1st April Cumulative on Semi Annual basis 1st October & 1st April Cumulative on Semi Annual basis 1st October & 1st April Cumulative on Semi Annual basis 1st October & 1st April Cumulative on Semi Annual basis 1st October & 1st April
N.A.
1 to 25
N.A.
N.A.
N.A.
N.A.
Cert No.1 Dist Nos : 1 to 185 Cert No.2 Dist Nos : 186 to 370 Cert No.3 Dist Nos : 371 to 381 Cert No.4 Dist Nos : 382 to 392 Cert No.5 Dist Nos : 393 to 406
N.A.
N.A.
Cert No.6 Dist Nos : 407 to 420 Cert No.7 Dist Nos : 421 to 426 Cert No.8 Dist Nos : 427 to 432
N.A.
N.A.
Cumulative on Semi Annual basis 1st October & 1st April Cumulative on Semi Annual basis 1st October & 1st April Cumulative on Semi Annual basis 1st October & 1st April On maturity, 4th Sept, 2003 On maturity, 4th Sept, 2003
On maturity, 12th Sept, 2003
N.A.
Cert No.9 Dist Nos : 433 to 444 Cert No.10 Dist Nos : 445 to 456 Cert No.11 Dist Nos : 457 to 468 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
On maturity, 3rd October, N.A. 2003 On maturity, 3rd October, N.A. 2003 On maturity, 27th October, 2003 Put: N.A. Call: N.A.
N.A.
N.A.
N.A.
On maturity, 11th November, 2003 On maturity, 18th November, 2003 On maturity, 5th April, 2004 On maturity, 12th April, 2004 On maturity, 23rd April, 2004 On maturity, 30th April, 2004 On maturity, 4th May, 2004 Annually, 2nd May
N.A.
N.A.
N.A.
Put: N.A. Call-N.A. Put: N.A. Call: N.A. Put: N.A. Call: N.A. Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
At maturity (20th December, 2001) At maturity (20th December, 2001) At maturity-15th March,2002 At maturity-15th March,2002 At maturity-10th April,2002
N.A
NA
N.A
NA
N.A.
10401-11136
N.A.
N.A.
N.A.
39237-39936
N.A.
N.A.
N.A.
39937-40936
N.A.
N.A.
Semi Annually -08th May N.A. & 08th November Semi Annually -08th May N.A. & 08th November At maturity-31st May,2002 At maturity-31st May,2002 On matrutiy -13th June,2002 On matrutiy -13th June,2002 N.A.
26637-34136
N.A.
46937-47936
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
At maturity-05th Put & call - daily(at 1 day 52937-53936 July,2002 or on exercise notice to either 53937-54936 of put/call option party(before 2 pm on the day & call - the put/call At maturity-05th Put before daily(at 1 day N.A. July,2002 or on exercise notice to either of put/call option party(before 2 pm on the day before the put/call At maturity-09th N.A. 54937-56936 July,2002 N.A. N.A. N.A.
At maturity-18th Put & call - daily(at 1 day 59937-60936 July,2002 or on exercise notice to either of put/call option party(before 2 pm on the day & call - the put/call At maturity-18th Put before daily(at 1 day N.A. July,2002 or on exercise notice to either of put/call option party(before 2 pm on the day before the put/call Semi-annually-25th N.A. 21637-26636 January & 25th July Semi-annually-25th January & 25th July On maturity - 16th August, 2002 On maturity - 16th August, 2002 Semi Annually on February 28 and August 27 Annually on 27/8 N.A. N.A.
N.A.
N.A.
N.A.
N.A.
2/28/2002
NA
None
NA
On maturiy27thAugust,2002 Semi-Annually-28th February&27th August On maturity-02nd Sept, 2002 On maturity-02nd Sept, 2002 Daily
N.A.
N.A.
37315
N.A.
N.A
N.A.
N.A
N.A.
Daily
NA
Daily
Daily
NA
On maturity-16th Sept, 2002 on 18th September, 2002/maturity on 18th September, 2002/maturity On maturity-20th Sept, 2002 On maturity-20th Sept, 2002 Put/Call date or at maturity (24th September, 2002) Put/Call date or at maturity (24th September, 2002) On Maturiy-22/10/02 or on put/call On Maturiy-22/10/02 or on put/call N.A.
Put : 8th April, 2002 N.A. Call : 8th July, 2002 Notice Period : One days notice N.A N.A
N.A
N.A
N.A.
N.A.
N.A.
N.A.
N.A
NA
N.A
NA
Daily
N.A.
Daily
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Semi Annually -08th May N.A. & 08th November At maturity-11th November,2002/on Put/Call date At maturity-11th November,2002/on Put/Call date At maturity-11th November,2002/on Put/Call date At maturity-11th November,2002/on Put/Call date
On maturity 22nd Nov, 2002
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity-05th December,2002 On maturity-05th December,2002 On maturity 11th Dec, 2002 On maturity 11th Dec, 2002 On maturity -06th Jan,2003 or on exercise of put/call option On maturity -06th Jan,2003 or on exercise of put/call option On exercise of Put/ Call or on maturity -13th Jan,2003
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & call - Daily(a t 1 N.A. day notice to either party before 2 pm on the day beforecall -put/call date, N.A. Put & the Daily(a t 1 day notice to either party before 2 pm on the day beforecall -put/call date, N.A. Put & the Daily(at 1 day
notice to either party (before 2 pm on the day On exercise of Put/ Call beforecall -put/call date) N.A. Put & the Daily(at 1 day or on maturity -13th notice to either party Jan,2003 (before 2 pm on the day Put/ Call Date or on date before thenotice todate) N.A. At 1 days put/call either of maturity (20th Jan, party (before 2 p.m. on 2003) the day before the Put/Call date) with the On maturtiy -23rd N.A. N.A. January, 2003 On maturtiy -23rd January, 2003 At maturity-21st Feb, 2003 At maturity-21st Feb, 2003 N.A. N.A.
N.A.
N.A.
N.A.
N.A.
At Maturity (24.02.03)
N.A
N.A
At Maturity (24.02.03)
N.A
N.A
On maturity-28th Feb, 2003 On maturity-01st April, 2003 or on Put/Call On maturtiy -2nd April,2003 On maturtiy -2nd April,2003 On maturity-3rd April, 2003 On maturity-3rd April, 2003 On maturity-08th April, 2003 On maturity-08th April, 2003 On Put/Call or maturity14th April, 2003 On Put/Call or maturity14th April, 2003 On maturity-30th April, 2003
Daily
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A
N.A.
Daily
N.A.
Daily
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
40937-43436
Annually-5th May
N.A.
N.A.
On maturity-15th May, 2003 On maturity-15th May, 2003 On maturity 27th May, 2003 On maturity 27th May, 2003 On maturity 27th May, 2003 On maturity, 5th June, 2003 On maturity, 5th June, 2003 On maturity 12th June, 2003 On maturity 12th June, 2003 Annually-20th June
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
47937-50436
Annually-20th June
N.A.
N.A.
On maturity 3rd July, 2003 On maturity 3rd July, 2003 On maturity 3rd July, 2003 Annually-05th July
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
50437-52936
Annually-05th July
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity 9th July, 2003 On maturity 15th July, 2003 On maturity 15th July, 2003 Semi-Annually 30th Apr, 2002
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Semi-Annually -1st Interest payment due on 30th Apr, 2002 On maturity 5th August, 2003 On maturity 5th August, 2003
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 14th August, Put & Call: N.A. 2003 On maturity, 14th August,2003 On exercise of Put/Call option or on maturity 25th August, 2003 On exercise of Put/Call option or on maturity 25th August, 2003 On maturity 2nd September, 2003 On maturity 2nd September, 2003 On exercise of Put/Call option or on maturity 26th Sept, 2003 On maturity 7th October, 2003 On maturity 7th October, 2003 Put & Call: N.A.
N.A.
N.A.
Daily not being Saturday, N.A. Sunday or Public Holiday in Delhi or Mumbai Daily not being Saturday, N.A. Sunday or Public Holiday in Delhi or Mumbai N.A. N.A.
N.A.
N.A.
Daily with a notice period N.A. of one day not including a Saturday or Sunday or Public Holiday in Delhi or N.A. Daily with a notice period of one day not including a Saturday or Sunday or Public Holiday in Delhi or N.A. Daily with a notice period
of one day not including a Saturday or Sunday or On maturity, 9th October, PublicCall: N.A. Delhi or N.A. Put & Holiday in 2003
Quarterly -31st March 30th June 30th September Quarterly -31st March 30th June 30th September On maturity 23rd October, 2003 On maturity 23rd October, 2003 On maturity 23rd October, 2003 On maturity, 27th October, 2003 On maturity 7th November, 2003 On maturity 7th November, 2003 On maturity 7th November, 2003 On maturity, 10th November, 2003 On maturity, 10th November, 2003 On maturity, 11th November, 2003 On maturity, 14th November, 2003
N.A.
5401-6350
N.A.
N.A.
N.A.
N.A.
Pu/ call-daily (exercisable N.A. at the par value with a notice period of 1 day to either party and N.A. N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Semi-Annually:26th May N.A. & 26th November Semi-Annually: 26th May N.A. & 26th November On maturity, 4th December, 2003 On maturity, 4th December, 2003 On maturity 9th December, 2003 On maturity 9th December, 2003 On maturity 9th December, 2003 On maturity, 2nd December, 2003 On maturity, 12th December, 2003 Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
27th June, 2003 & on N.A. maturity-18th December, 2003 On matuirty, 23rd December, 2003 Put & Call: N.A.
N.A.
N.A.
On maturtiy -8th January, N.A. 2004 On maturtiy -8th January, N.A. 2004 On maturtiy -8th January, N.A. 2004 On maturtiy -8th January, N.A. 2004 On maturtiy -8th January, N.A. 2004 On maturtiy -8th January, N.A. 2004 On maturity, 12th January, 2004 On maturity, 27th January, 2004 Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 29th August & on maturity ie 24th February, 2004 Annually 29th August & on maturity ie 24th February, 2004 On maturity, 24th February, 2004 On maturity, 24th February, 2004
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity - 08th March, Put & Call: N.A. 2004 On maturity, 8th March, 2004 Put & Call: N.A.
N.A.
N.A.
On maturity, 12th March, Put & Call: N.A. 2004 On maturity, 5th April, 2004 On maturity, 12th April, 2004 On maturity, 23rd April, 2004 Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly N.A. 29th April & 29th October Half Yearly N.A. 29th April & 29th October Annually 29th April N.A.
N.A.
N.A.
N.A.
Annually 29th April On maturity, 30th April, 2004 On maturity, 4th May, 2004 On maturity, 7th May, 2004
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 7th May, Put & Call:Daily, Not 2004 or on Put/Call Date inlcuding a Saturday or Sunday or a public Holiday in New Delhi or On maturity, 7th May, Put & Call: N.A. 2004 On maturity, 7th May, Put & Call:Daily, Not 2004 or on Put/Call Date including a Saturday or Sunday or a Public Holiday in New Delhi or N.A. Put & Call : N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On Put/Call or on Put & Call:Daily, Not maturity, 28th May, 2004 including a Saturday or Sunday or a Public Holiday in Delhi or On Put/Call Date or on Put & Call:Daily, Not Maturity, 28th May, 2004 including a Saturday or Sunday or a Public Holiday in Delhi or On maturity, 3rd June, Put & Call: N.A. 2004 On maturity, 8th June, 2004 Put & Call: N.A.
N.A.
N.A.
N.A
N.A.
N.A.
N.A.
On maturity, 16th June, 2004 On maturity, 16th June, 2004 On maturity, 23rd June, 2004 On maturity, 29th June, 2004 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
57437-59936
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 3rd August, Put & Call: N.A. 2004 On maturity, 9th August, 2004 Put & Call: N.A.
N.A.
N.A.
On maturity, 12th August, Put & Call: N.A. 2004 On Maturity 17th August 2004 On maturity, 3rd September, 2004 On maturity, 9th September, 2004 Annually 16th September Annually 16th September On Maturity 20th September 2004 On maturity, 28th September, 2004 On Maturity 8th October 2004 On Maturity 14th Oct 2004 On maturity, 25th October, 2004 N.A. Put & Call: N.A.
N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
N.A.
NA
Put: N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Semi-Annually:26th May N.A. & 26th November Semi-Annually:26th May N.A. & 26th November Annually 5th December & on maturity Annually 5th December & on maturity Annually 5th December & on maturity On Put/Call date(if exercised) or at maturity ie 3rd December, 2004 On maturity, 8th December, 2004 Annually 7th January Annually 7th January Annually 7th January N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:3rd June, N.A. 2004, (Interest in case of Put & Call- @ 5.20%) Put & Call: N.A. N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually, 15th July, 2004 Put & Call: N.A. & On maturity, 14th Jan, 2005 Yearly - 08th August Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
3rd December 2004 & on Put & Call: N.A. maturity i.e 3rd June 2005. Half Yearly, 8th June & 8th Dec, 2004 & on maturity, 8th June, 2005 Annually 14th June Annually 14th June Annually, 17th June Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually-28th June
N.A.
N.A.
Annually-28th June
N.A.
N.A.
N.A.
N.A.
Annually, 14th July, 2004 Put & Call: N.A. & on maturity, 12th July, 2005 Annually, 18th July Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put: N.A.
Annually, 25th Aug, 2003, 23rd Aug, 2004 & 23rd Aug, 2005 Annually, 26th August
N.A.
N.A.
N.A.
N.A.
Annually 30th August Half Yearly 2nd March & 2nd Sept Half Yearly 2nd March & 2nd Sept Annually -14th October
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 15th November Annually 15th November Annually 15th November Half Yearly, 18th May & 18th Nov Annually : 24th November 2004 & 23rd November 2005. Half Yearly, 5th June & 5th December Annually 9th December Annually 9th December
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put: N.A.
N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 9th December Annually 23rd Dec Annually 23rd Dec Annually 23rd Dec Annually, 9th January
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:10th January, N.A. 2005, If Put & Call/call option is exercised on 10/1/2005, N.A. Put & Call: interest will be NA
N.A.
Half Yearly, 12th Sept & 12th March Annually, 21st August
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call : N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually-28th June
N.A.
N.A.
Month end-30th or 31st of each month till redemption On maturity-20th September, 2002 Quarterly, 27th June, 27th Sept, 27th Dec & 27th March On maturity, 4th May, 2005 or on exercise of Put/Call Option On maturity, 5th May, 2005 or on exercise of Put/Call Option On maturity, 12th May, 2005 or on exercise of Put/Call Option
1 to 500000
N.A.
1/AP/001-01
Put & Call:At the end of 6 1 to 30 months ie 4th November, 2004 Put & Call:At the end of 6 1 to 30 months ie 5th November, 2004 Put & Call:At the end of 6 1 to 30 months ie 11th November, 2004
49925001 to 50925000
Call option-At the end of 7 months from the date of allotment ie. 30th June, 2003
N.A.
On maturity, 23rd April, 2004 Quarterly, 30th June, 30th Sept, 31st Dec & 31st March Quarterly, 30th Sept, 2003, 31st Dec, 2003, 31st March, 2004 & 30th June, 2004 Quarterly, 31st Dec, 31st March, 30th Sept & on maturity, 20th October, 2004 6th August, 2004 & 3rd November, 2004
Quarterly 31st March, 30th June, 31st Oct & 31st Dec
Put & Call:30th June, 2004 by giving 1 week notice to the other party Put & Call: N.A.
N.A.
50925001 to 51925000
Call-30th June, 2003 9750001 to 12750000 Put & call-End of 18 months from date of allotment I.e. 17th September, 2003
12750001 to 14750000
Half Yearly, 31st March & Put & Call:30th June, 30th Sept 2004 & 30th June, 2005 9th Aug, 2004, 5th Nov, 2004, 2nd Feb, 2005 & 19th Apr, 2005 On maturity 01st May, 2002 On maturity 25th May, 2002 Put & Call : 9th Aug, 2004, 5th Nov, 2004 & 2nd Feb, 2005 N.A.
N.A.
54425001 to 54425025
44675001 -45175000
N.A.
N.A.
On maturity 28th July, 2002 On maturity 10th January, 2003 On maturity 22nd January, 2003 Quarterly-31st March,30th June, 30th September & 28th January On maturity 30th Jan, 2003 On maturity 14th February, 2003 Quarterly 1st April, 1st July 1st maturity & On October 12th March, 2003 On maturity 5th April, 2003
On maturity 7th April, 2003
N.A.
N.A
N.A.
41175001- 41925000
N.A.
41925001 -42425000
N.A
42425001 -41925000
Put option available at 49175001to 49925000 the end of 91 days from the date of allotment I.e.31st October, 2002 N.A. 46675001 to 47425000
N.A.
N.A
N.A.
47425001 to 48175000
N.A.
48175001 to 49175001
N.A.
4000001 to 4750000
Call Option at the end of 4750001 to 9750000 7 months from date of allotment ie 30th June, the end of 000001 to 017592 Half Yearly Put option at 2003 16th January, 2003, 16th every 6 months from the July, 1003 & 15th date of allotment January, 2004 March, Quarterly, 31st Call-30th June, 2003 N.A. 30th June, 31st Oct & 31st Dec Put & call-End of 18 months from date of allotment I.e. 17th
On maturity - 22nd March, 2002 On maturity -29th March,2002 On maturity - 1st July, 2002 On maturity - 27th September, 2002. On maturity, 19th July, 2003 Annually 31st March
annually on 1st October
Put & call - can be exercised with notice of 24 hours Put & call - can be exercised with notice of 24 hours Put & call - can be exercised with notice of 24 hours Put & call-Daily
N.A.
N.A.
N.A.
N.A.
Put/Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
1 to 16000
Annually 26th August Annually 14th February Annually 29th January Annually 29th January
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 1st June & 1st Dec Half Yearly 1st June & 1st Dec Half Yearly 1st June & 1st Dec On maturity- 26th February,2002 On maturity- 24th April, 2002 On maturity- 26th May, 2002 Half Yearly, 27th Jan, 2004 & 27th July, 2004 Half Yearly 31st Jan & 31st July Annually 31st March Annually on 30th March
Put/Call from 15th November, 2004 with 30 days notice on either side Put/Call from 15th November, 2004 with 30 days notice on either side Put/Call from 15th November, 2004 with 30 days notice on either side N.A.
Dist Nos : 1 to 15
N.A.
N.A.
3/(4200001 - 5700000)
N.A.
4/(5700001 - 8400000
N.A.
N.A.
N.A.
N.A.
N.A.
G-1/(1 - 5,00,000)
Monthly - Within 3 days from end of Calendar Month On Maturity 30th September, 2002 Quarterly 19th June 19th Sept 19th Dec Quarterly 19th June 19th Sept 19th Dec 20th June, Quarterly, 20th Sept, 20th Dec & 20th March On maturity-09th Feb,2002 On maturity-17th April, 2002 On maturity-5th July, 2002 On maturity-01st October, 2002 On maturity, 28th July, 2003
I-1 (1 to 500000)
N.A.
N.A.
Put/Call : 20th June, 20th Sept & 20th Dec, 2002 Put/Call : 20th June, 20th Sept & 20th Dec, 2002
1 to 1700000
N.A.
Put:At the end of every 1 to 1700000 12 months from subscription date Call:At the end either 6 N.A. Exercisable by of every party,at any time during the currency of the instrument, with a notice N.A. Exercisable by either party,at any time during the currency of the instrument, with a notice Exercisable by either party,at any time during the currency of the instrument, with a notice Exercisable by either party,at any time during the currency of the instrument, Exercisable Put & Call: with a notice
N.A.
N.A.
N.A. by either party, at any time during the currency On maturity,3rd October, of the instrument with a 04-08 Put/Call:Exercisable by 2003 either pary at any time during currency of the On maturity, 7th October, instrument, with a notice 09 to 09 Put & Call:Exercisable by 2003 either party at any time during currency of the First interest payment will instrument with a notice 01 to 10 None be on April 1, 2001. The subsequent interest payments will be made
First interest payment will None be on April 1, 2001. The subsequent interest payments will be made Half Yearly N.A. 31st March & 30th Sept On maturity-28th June, 2002 Quarterly commencing from 15/08/2001 Quarterly commencing from 15/09/2001 Quarterly commencing from 15/08/2001
Annually 10/10/2001 and also on redemption
01 to 10
N.A.
N.A
1/(1 - 3,00,00,000)
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 10th October and also on redemption Quarterly commencing from 15/09/2001 Quarterly commencing from 15/08/2001
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually on 10th October N.A. and also on redemption. Quarterly commencing from 15/09/2001 N.A.
N.A.
N.A.
N.A.
Quarterly commencing from 15/09/2001 Halfyearly-18th June & 18th December Annually - 31st January
N.A.
N.A.
(0000001 to 5000000)
01-35
On maturity 14th May, 2002 On maturity 9th August, 2002 On maturity 18th October, 2002 On maturity 6th November, 2002 On maturity 6th December, 2002 On maturity 9th December, 2002 On maturity 27th December, 2002 On maturity 15th January, 2003 On maturity 17th January, 2003
N.A
LOA No. 56 Dist Nos : 6,18,00,022 to 6,23,00,021 LOA No. 59 Dist Nos : 64800022 to 65300021 LOA No. 61 Dist Nos : 66800011 to 67800021 LOA No. 62 Dist Nos : 67800022 to 68300021 LOA No. 63 Dist Nos : 68300022 to 69800021 LOA No. 64 Dist Nos : 69800022 to 71700021 LOA No. 65 Dist Nos : 713600022 to 72800021 LOA No. 67 Dist Nos : 72800022 to 74300021 LOA No. 67 Dist Nos : 74300022 to 78300021 N.A.
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
Half YearlyN.A. 01st January & 01st July(first Interest payment on 01st Jan.2003)
Half YearlyOn 88th day (ie 11th 11th October, 2002 & 6th October, 2002) (with 3 January, 2003 business day notice) Monthly 16th of every month Quarterly. 16th December 16th March 16th June & Quarterly 8th Jan, 8th April, 8th July & Monthly, 28th Feb, 2003, 31st
March, 2003, 30th April, 2003 & on maturity, 23rd May, 2003
N.A.
Put/Call : 16th of every N.A. month with 3 days notice Put/Call : Every quarter 16th Dec, 2002 17th March, 2003 16th June, 2003 Every Quarter 8th Jan, 2003 11th April, 2003 11th N.A. July, 2003 N.A.
N.A.
N.A.
Monthly-at the end of Put & Call: N.A. each month starting from 31st May Monthly, 19th Sept, 2003, Put & Call: N.A. 19th Oct, 2003 & on maturity, 15th Nov, 2003 Monthly, 12 th Oct, 2003, Put & Call: N.A. 12th Nov, 2003 & on maturity, 10th Dec, 2003 On maturity 18th December, 2002 On maturity 23rd December, 2002 On maturity 23rd September, 2003 On maturity 23rd September, 2003 Annually 20th Aug, N.A
N.A.
1 to 20
1 to 20
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
Annually 20th Aug, Annually 20th Aug, Annually 20th Aug, Annually-22nd January
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A.
Annually-22nd January
N.A.
On maturity, 22nd July, 2003 On maturity, 23rd July, 2003 On maturity, 4th August, 2003
N.A.
N.A.
N.A.
On maturity, 29th August, Put & Call: N.A. 2003 On maturity, 8th September, 2003 Put & Call: N.A.
N.A.
N.A.
On maturity, 10th September, 2003 On maturity, 24th September, 2003 On maturity, 24th October, 2003 On maturity, 31st October, 2003 On maturity, 25th November, 2003 On maturity, 28th November, 2003 On maturity, 5th December, 2003 On maturity, 8th December, 2003 On maturity, 3rd March, 2004 On maturity, 5th March, 2004 On maturity, 8th March, 2004
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 25th March, Put & Call: N.A. 2004 On Maturity 25th March 2004 Put & Call: N.A.
N.A.
NA
On maturity, 28th April, 2004 On maturity, 30th April, 2004 On maturity, 12th May, 2004 On maturity, 21st May, 2004 On maturity, 21st May, 2004 On maturity, 31st May, 2004
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On Maturirty,09th August, Put & Call: N.A. 2004 On Maturity 20th August 2004 On Maturity 27th August 2004 On maturity, 10th September, 2004 On maturity, 29th September, 2004 On Maturity i.e. 11th October 2004 Annually 31st March Put & call : N.A.
NA
NA
NA
N.A.
N.A.
NA
At the end of 3 years N.A. from the deemed date of allotment ie on 30th Sept, 2005
Annually 31st March Semi Annually on 30th June & 31st December On Maturity 10th December 2003 On maturity - 10th December, 2003 Annually-9th February
At the end of 3 years N.A. from the deemed date of allotment ie on 30th Sept, 2005 N.A. 1-500000
NA
000001-500000
None
1 to 287(1 to 30000)
Annually-2nd March
None
1 to 167(1 to 20000)
Annually-28th March
None
1 to 80(1 to 4000)
1 to 21(1 to 2000)
N.A.
N.A
N.A
N.A
N.A.
Cumultative interest Put - any date before the 000001 payable On maturity-01st maturity date 240723/(0000001 October,2004 1362182)
On maturity, 24th June, 2003 On maturity, 25th June, 2003 On maturity, 28th June, 2003 On maturity, 4th July, 2003 On maturity, 4th August, 2003
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call : N.A.
N.A.
N.A.
Excercise of daily Put / Put & Call:Daily Call option or on maturity 9th August 2004 Excercise of daily Put / Put & Call:Daily Call option or on maturity 10th August 2004 On maturity, 21st Sept, 2004 On maturity, 21st Sept, 2004 or on exercise of Put/Call Option On maturity, 22nd Sept, 2004 or on exercise of Put/Call Option Put & Call :N.A.
NA
NA
N.A.
N.A.
N.A.
On maturity, 8th October, Put & Call: N.A. 2004 or on exercise of Put/Call Option At maturity02nd September, 2002 At maturity1st January, 2003 N.A.
N.A.
N.A.
N.A.
N.A.
At maturity8th January, 2003 On maturity17th March, 2003 On maturity20th March, 2003 At maturity27th March, 2003 On maturity27th March, 2003
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 18th August, N.A. 2003 On maturity, 23rd August, N.A 2003 On maturity, 10th September, 2003 On maturity, 10th September, 2003 On maturity, 12th September, 2003 On maturity, 22nd September, 2003 On maturity, 23rd Sept, 2003 On maturity, 7th November, 2003 Put & Call: N.A.
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 10th Nov, 2003 On maturity, 2nd January, 2004 or on exercise of Put/Call Option On exercise of Put/Call Option or on maturity, 16th February, 2004 Quarterly 1st April, 1st July 1st maturity,& On October 19th April, 2004 On maturity, 21st April, 2004 or on exercise of Put/Call Option On maturity, 28th April, 2004 or on exercise of Put/Call option On maturity, 30th April, 2004 or on exercise of Put/Call Option On maturity, 10th May, 2004 or on exercise of Put/Call Option On maturity, 12th May, 2004 On maturity, 24th June, 2004 On maturity, 25th June, 2004
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On exercise of Daily Put & Call:Daily Put/Call Option or on maturity, 25th June, 2004
N.A.
On maturity, 16th July, 2004 or on exercise of Put/Call Option On maturity, 19th July, 2004 or on exercise of Put/Call Option On maturity, 26th July, 2004 or on exercise of Put/Call Option
N.A.
N.A.
N.A.
On Maturity, 28 July 2004 Put & Call:Daily or on exercise of Put/Call option On maturity, 2nd Aug, 2004 or on exercise of Put/Call Option On maturity, 18th July, 2003 or at the time of exercising the option On maturity, 18th July, 2003, or at the time of exercising the option On maturity, 21st July, 2003 or at the time of exercising the option On maturity, 28th July, 2003 or at the time of exercising the option On maturity, 1st August, 2003 On maturity - 08th August, 2003 Annually, 21st May, 2004, 23rd May, 2005 & 22nd May, 2006 Half Yearly, in arrears at the end of every 6 months from DDA ie. 21.11.2003 Put & Call:Daily
N/A
N/A
1 to 500
Put & Call :Daily Notice 1 to 500 by 2.00 p.m. on previous working day Put & Call:Daily Notice by 1 to 1000 2.00 p.m. on previous working day Put & Call:Daily Notice 1 to 500 by 2.00 p.m. on previous working day Put & Call: N.A. 1 to 1000
Put & Call:Daily- Notice by 2 p.m. on previous working day Put & Call: N.A.
1 - 500
N.A.
1 to 500
N.A.
N.A.
1 to 1000 1 to 1000
1 to 500
On maturity, 28th May, 2003 or Y at the time of exercising the Daily Notice by 2 p.m. on option previous working day On maturity, 30th May, 2003 N.A.
1 to 1000
1 to 1500 1 to 1000
On maturity, 16th June, 2003 On maturity, 18th June, 2003 On maturity, 25th June, 2003 or at the time of exercising the option On maturity, 25th June, 2003 On maturity, 15th July, 2003 or at the time of exercising the option Annually-25th January
N.A.
N.A.
1 to 1000, 1 to 2000
Put & call-Daily (Notice 1 to 1000 by 2.00 p.m. on previous working day) N.A. 1 to 1000
Put:Daily Notice by 2.00 1 to 1000 p.m. on previous working day Call:Daily Notice by 2.00 13 - 27/(1-1500000) N.A.
28/(1-500000)
On maturity-18th March, 2002 or on exercise of put/call option On maturity-20th March, 2002 On maturity-21st March, 2002 or on exercise of put/call option On maturity-31st March, 2002 or on exercise of put/call option On Maturity 8th Apr, 2002 On Maturity 11th Apr, 2002 On Maturity 26th Apr, 2002 On maturity-30th April, 2002 or on exercise of put/call option On maturity-30th April, 2002 or on exercise of put/call option On maturity-03rd May, 2002 or on exercise of put/call option On maturity-07th May, 2002 or on exercise of put/call option On maturity-31st May, 2002 Daily compounding except for Sunday and holiday On maturity 31st May, 2002
1 - 500
1 - 1000
Put & call- Daily(Notice by 12.00 noon) put & call- 25th March, 2002(to be exercised on 22nd March, 2002 latest by 4.00 p.m.) N.A
1 - 500
1 - 500
103/(1 to 1000000)
N.A
102/(1 to 800000)
N.A
104/(1 to 500000)
Put & call- Daily(Notice by 1.00 p.m.) Put & call- Daily(Notice by 2.00 p.m.) Put & call- Daily(Notice by 1.00 p.m.) Put & call- Daily(Notice by 1.00 p.m.) Daily, Notice should be given before 1 p.m. To be exercised after 21st May, 02, on a working day by daily notice in writing to be
1 -500
1 - 500
1 to 500
1 to 2000
On maturity-3rd June, 2002 Daily compounding except for Sunday and holiday On maturity-7th June, 2002 On maturity-14th June, 2002 On maturity-14th June, 2002 On Maturity 24h June, 2002 On maturity-24th June, 2002 On maturity-27th June, 2002 or on exercise of the option
1 to 500
1 to 900
N.A
1 to 1000
N.A
N.A
Quarterly -29th N.A. 94/(1-1000000) September,29th December,29th March & 29th June Bullet (payment on Call option on 6/3/2002, 95/(1-1000000) Maturity)-06th July,2002 Provided the notice for exercising the option is given on or before p.m. 1 to 1000 On maturity-8th July, Daily. Notice by 2.00 2002 or on exercise of option Bullet (payment on Maturity)-09th July,2002 On Maturity 9th July, 2002 On maturity 12th July, 2002 Call option on 6/3/2002, Provided the notice for exercising the option is given on or before N.A 96-100/(1-500000)
105/(1 to 500000)
On maturity-05th August, N.A. 2002 On maturity-05th August, N.A. 2002 On maturity-06th August, N.A. 2002 On maturity-06th August, N.A. 2002
1 - 1000
113/(1 - 1000)
On maturity-13th August, Put/Call : Daily Notice by 1 - 500 2002 1.00 p.m. Annually-31st May N.A. 30/(1-500000) 31(500001-550000)
32/(1-500000) 37-39/(500001-800000) 34/(800001-1800000) On maturity-16th August, Put/Call : Daily Notice by 35/(18000001-2300000) 1 - 500 2002 2.00 p.m. On maturity-18th August, Put/Call : Daily Notice by 1 - 1000 2002 2.00 p.m. On maturity-27th August, Put/Call : Daily Notice by 1 - 2000 2002 2.00 p.m. On maturity-29th August, N.A 2002 On Maturity 29th August, N.A. 2002 1 - 500 501 to 1000 Cert No. 115-116 Dist Nos : 1 to 1000
N.A.
On maturity-2nd September, 2002 On maturity-11th September, 2002 On maturity 13th Sept, 2002 On maturity 15th Sept, 2002 On maturity-16th September, 2002 On maturity-16th September, 2002 On maturity-30th Sept, 2002
N.A.
1 - 1000
N.A.
1 - 500
Put/Call : Daily Notice by 2.00 p.m. Put/Call : Daily Notice by 2.00 p.m. N.A.
1 - 500
1 - 1000
1 - 500
N.A.
On maturity-1st October, Put/Call : Daily Notice by 1 - 500 2002 1.00 p.m. On maturity 4th October, 2002 On maturity 8th October, 2002 Annually-31st May Put/Call : Daily Notice by 1 - 1000 2.00 p.m. Put/Call : Daily Notice by 1 - 500 2.00 p.m. N.A. 36/(1-2500000)
N.A.
1 - 500
N.A.
On maturity-1st November, 2002 On maturity-18th November, 2002 On maturity-18th November, 2002 On maturity 22nd November, 2002 On maturity date 26th November, 2002 On Maturity 6th Dec, 2002 On maturity 8th Dec, 2002 or at the time of exercising the option On maturity 10th Dec, 2002 or at the time of exercising the option On maturity 13th Dec, 2002 or at the time of exercising the option On maturity 20th December, 2002 On maturity 30th December, 2002 On maturity 31st December, 2002 On maturity 3rd January, 2003
N.A.
1 - 500
N.A.
Daily Notice by 2 p.m. on 1 - 500 previous workign day Daily notice by 3.00 p.m. 1 - 1000 on previous working day N.A 101/( 1 to 500000)
Put/Call : Daily notice by 1 - 500 2.00 p.m. on previous working day Put/Call : Daily notice by 1 - 500 3.30 p.m. on previous working day Put/Call : Daily notice by 1 - 500 3.30 p.m. on previous working day Put/Call : Daily Notice by 1-500 2.00 p.m. on previous working day Put/Call : Daily Notice by 1-500 2.00 p.m. on previous working day Put/Call : Daily Notice by 1-1000 2.00 p.m. on previous working day Put/Call : Daily Notice by 1-500 2.00 p.m. on previous working day
On maturity 3rd January, 2003 On maturity-06th January, 2003 On maturity-06th January, 2003 On maturity 6th January, 2003 On maturity 7th January, 2003 On maturity 13th January, 2003 or at the time of exercising the option Annually-18th January
Put/Call : Daily Notice by 1-500 2.00 p.m. on previous working day N.A. 1 - 500
N.A.
Put/Call : Daily Notice by 1-1500 2.00 p.m. on previous working day Put/Call : Daily Notice by 1-500 2.00 p.m. on previous working day Put/Call : Daily Notice by 1-1000 2.00 p.m. on previous working day N.A. 47-56/(20000013000000) 61-75/(1-1500000) 42-46/(15000012000000) 59/(4000001-4300000) 57/(3000001-3500000)
Annually-20th January
N.A.
Annually-24th January
N.A.
Half Yearly N.A 25th April & 25th October On maturity 24th January, 2003 or at the time of exercising the option Annually-28th January
109/(1 to 1000000)
Put/Call : Daily Notice by 1-1500 2.00 p.m. on previous working day N.A. 58/(3500001-4000000)
N.A.
1 - 1000
On maturity date Daily notice by 2.00 p.m. 1 - 500 28th January, 2003 or at on previous working day the time of exercising the option On maturity N.A. 1-500 29th January, 2003 Annually-01st February N.A. 60/(1-800000)
On maturity date Daily notice by 2.00 p.m. 1 - 500 2nd February, 2003 or at on previous working day the time of exercising the option On maturity Daily Notice by 2.00 p.m 1 to 500 10th February, 2003 or at on previous working day the time of exercising the option Half Yearly Put/Call: 26th August, 1 - 500000 26th May, 2002 & 2002 provided notice for 26th August, 2002 exercising the option is given 3 working days Half YearlyPut/Call: 26th August, Cert No. 117 26th August & 26th February On maturity 26th February, 2003 On maturity 26th February, 2003 On maturity 4th March, 2003 On maturity-5th March, 2003 On maturity-5th March, 2003 On maturity 18th March, 2003 2002 provided notice for exercising the option is given 3 working days N.A. Dist Nos : 1 to 500000 1-500
N.A.
1 to 2000
N.A.
1 to 500
N.A
1 to 1000
N.A
On maturity 25th March, 2003 On maturity 26th March, 2003 On maturity-28th March, 2003 or at the time of exercising the option On maturity 2nd April, 2003 or at the time of exercising the Option On maturity 5th April, 2003 or at the time of exercising the Option On maturity 7th April, 2003 or at the time of exercising the Option On maturity
Put/ call-Daily(notice by 2 1 to 500 p.m. on previous working day) Put/ call-Daily(notice by 2 1 to 1500 p.m. on previous working day) Daily Notice by 2 p.m. on 1 - 1000 previous working day Put/Call : Daily Notice by 1-1000 2.00 p.m. on previous working day Put/Call : Daily Notice by 1-1500 2.00 p.m. on previous working day Put/Call : Daily Notice by 1-1000 2.00 p.m. on previous working day
Put/Call : Daily Notice by 1-1500 17th April, 2003 or at the 2.00 p.m. on previous time of exercising the working day Option On maturity-23rd April, Daily Notice by 2 p.m. on 1 - 1000 2003 or at the time of exercising the option On maturity 25th April, 2003 On maturity-28th April, 2003 or at the time of exercising the option On maturity, 14th May, 2003 or at the time of exercising the option On maturity-9th June, 2003 On maturity-9th June, 2003 previous working day N.A. 1-700
Daily Notice by 2 p.m. on 1 - 1000 previous working day 1 - 500 Put & call1 to 1000 Daily Notice by 2 p.m. on previous working day N.A. 1 - 500
N.A.
139/( 1 - 500)
Annually 8th July Annually 8th July Annually 11th July Annually 11th July On maturity-14th July, 2003 On maturity-14th July, 2003 On maturity-22nd July, 2003 On maturity-22nd July, 2003 On maturity, 25th July, 2003 or at the time of exercising option
N.A.
1 - 1500
N.A.
N.A.
1 - 500
N.A.
142/( 1 - 500)
N.A.
1 - 1000
N.A.
143/(1 - 1000)
N.A.
1 - 500
N.A.
144/(1 - 500)
Put & Call:Daily Notice by 1 to 1000 2.00 p.m. on previous working day
On maturity, 27th August, Put & Call:Daily Notice by 1 to 2500 2003 or at the time of 2.00 p.m. on previous exercising option working day On maturity, 8th September, 2003 or at the time of exercising the option On maturity, 12th September, 2003 or on exercise of Option On maturity, 15th Sept, 2003 or at the time of exercising option Put & Call:Daily Notice by 1 to 500, 510 to 2500, 2.00 p.m. on previous 2501 to 3000 working day Put/Call:Daily Notice by 2.00 p.m. on previous working day Put/Call:Daily Notice by 2.00 p.m. on previous working day 1 to 1500
1 to 2000
On maturity, 22nd September, 2003 On maturity, 22nd September, 2003 On maturity, 24th September, 2003 or at the time of exercising the option On maturity, 26th
Put/Call :Daily Notice by 2.00 p.m. on previous working day Put & Call: N.A.
1 to 2500
1 to 1000
Put/Call:Daily Notice by September, 2003 or at 2.00 p.m. on previous the time of exercising the working day option On maturity N.A. 1st October, 2003 On maturity 1st October, 2003 N.A.
1 to 1500
1-500
On maturity, 1st October, Put & Call:Daily Notice by 1 to 400 2003 or at the time of 2.00 p.m. on previous exercising the option working day On maturity, 3rd October, Put & Call:Daily Notice by 1 to 500,1 to 500, 501 to 2003 or at time of 2.00 p.m. on previous 1500 exercising option working day On maturity 6th October, 2003 On maturity 6th October, 2003 On maturity 6th October, 2003 On maturity 6th October, 2003 or at the time of exercising option whichever Oct, On maturity, 8th is 2003 or at the time of exercising option N.A. 1-1000
Put/Call : Available on 7th 1-1000 April, 2003 provided notice for exercising the option to be given by N.A. Cert No. 162 Dist Nos : 1 to 1000 Put/Call Option : 7th Cert No. 163 April, 2003 provided Dist Nos : 1 to 1000 notice for exercising the optionCall:Daily Notice by 1 to 500 Put & to be given by 2 p.m. on previous working day
On maturity, 10th October, 2003 On maturity, 17th October, 2003 or at the time of exercising the option On maturity, 20th October, 2003 or at the time of exercising the option On maturity, 21st October, 2003 or at the time of exercising the option On Maturity 24th October, 2003 On maturity 24th October, 2003 On maturity date, 24th October, 2003 or at the time of exercising the option On maturity, 29th October, 2003 or at the time of exercising option On maturity, 6th November, 2003 or at the time of exercising the option On maturity, 10th Nov, 2003 or at the time of exercising option At maturity or at time of Exercising ooption At maturity or at time of exercising option At Maturity
Put & Call:Daily Notice by 1 to 500 2.00 p.m. on previous working day Put & Call:Daily Notice by 1 to 1000 2.00 p.m. on previous working day Put & Call:Daily Notice by 1 to 500 2.00 p.m. on previous working day N.A. 1 to 500
N.A.
Put & Call:Daily Notice by 1 to 1500 2.00 p.m. on previous working day Put & Call:Daily Notice by 1 to 1000 2.00 p.m. on previous working day Put & Call:Daily Notice by 1 to 1000 2.00 p.m. on previous working day Put & Call:Daily Notice by 1 to 1000 2.00 p.m. on previous working day Put & Call:Daily Notice by 1-500 2 p.m. on previous working day Put & Call:Daily Notice by 1-1000 2 p.m. on previous working day Put & Call: N.A. 1-1000
On Maturity
Put & Call:Daily notice by 1-2000 2 p.m. on previous working day Put/Call:Daily notice by 2 p.m. on previous working day Put/Call:daily notice before 2 p.m. on previous working day N.A. 1-1000
ON maturity
On Maturity
1-2000
On maturity 15th December, 2003 On maturity 15th December, 2003 or at the time of exercising option On maturity 17th December, 2003 On maturity 17th December, 2003 or at the time of exercising option On maturity
171/(1 - 1000)
N.A.
Put & call-16th June, 172/( 1 - 500) 2003 (Notice for exercising the option is Optionby16th Put/Call given : either Cert No. 173 June, 2003 provided Dist Nos : 1 to 500 notice for exercising the option is given by either 1-1500 Put/Call:Daily notice before 2 p.m. on previous working day
Half Yearly-22nd June & N.A. 22nd December On Maturity 26th Dec 2003 or at the time of excercising option.
77-81/(1-500000)
Put & Call:Daily notice by 500 2 p.m. on previous working day. 82/(1-1000000)
Half Yearly-27nd June & N.A. 27nd December HalfYearly-10th July & 10th January Annually-31st January N.A.
83-92/(1000001 2000000)
Put & call - 31st January, 1 - 1000000 2003, (provided notice for exercising the option is given latest by 1.00 p.m.
Annually-31st January
Put & call - 31st January, 114/(1 - 1000000) 2003, (provided notice for exercising the option is On maturity, 22nd March, given latest by 1.00 p.m. 1 to 1500 Put & Call:Daily Notice by 2004 or at the time of 2.00 p.m. on previous exercising option working day Annually-30th March Put & call-28th March, 1 - 1000 2003(To be exercised on 25th March, 2003 latest by 2.00 pm) Put & call-28th March, Cert No : 120 2003(To be exercised on Dist Nos : 1 to 1000 25th March, 2003 latest by 2.00 pm) Put & call-02nd April, 1 - 1000 2003(To be exercised on 26th March, 2003 latest by 2.00 pm) Put & call-02nd April, Cert No : 121 2003(To be exercised on Dist Nos : 1 to 1000 26th March, 2003 latest by 2.00 pm) Put & Call:Daily Notice by 1 to 2000 2.00 p.m. on previous working day Put & Call: N.A. 1 to 1000 1 to 1500
Annually30th March
Annually-02nd April
Annually2nd April
On maturity, 8th April, 2004 or at the time of exercising option On maturity, 16th April, 2004 On maturity, 19th April, 2004 On maturity, 26th April, 2004 On maturity, 3rd May, 2004 On maturity,7th May, 2004 or at the time of exercising the option On maturity, 14th May, 2004 or at the time of exercising the option
1 to 1000
Put & Call:Daily Notice by 1 to 500 2.00 p.m. on previous working day Put & Call: N.A. 1 to 1500
Put & Call:Daily Notice by 1 to 3000 2.00 p.m. on previous 3001 to 4000 working day Put & Call:Daily Notice by 1 to 1500 2.00 p.m. on previous 1 to 500 working day
On maturity, 14th May, 2004 or at the time of exercising the option On maturity, 14th May, 2004 On maturity-23rd May, 2004 On maturity-23rd May, 2004 On maturity, 31st May, 2004 or at the time of exercising the option Annually 13th June Annually 13th June Annually
1 to 2500, 1 to 1000
Put/Call : 28th May, 2003 1 - 500 provided notice for exercising option to be given by :24th May, 2003 126/( 1 - 500) Put/Call 28th May, 2003 provided notice for exercising option to be given by 24th May, 2003 1 to 500 Put & Call:Daily Notice by 2.00 p.m. on previous working day Put/Call : 13th June, 1 - 1500 2003, Option to be given by either party on June,June, 127 - 128/( 1 - 1500) Put/Call : 13th 11th 2003, Option to be given by either party on 11th June, 1-1000 13-06-03. Option to be given by either party on 11-06-03 latest by 2pm.
Annually
13-06-03. Option to be given by either party on 11-06-03 latest by 2pm. Put/Call : 16th June, 2003, Option to be given by either party on June, Put/Call : 16th 9th June, 2003, Option to be given by either party on June, Put/Call : 17th 9th June,
129/( 1 - 1000)
Annually 16th June Annually 16th June Annually 17th June Annually 17th June
1 - 500
134/(1- 500)
1 - 500
2003, Option to be given by either party on June,June, 131/(1 - 500) Put/Call : 17th 13th 2003, Option to be given by either party on 13th June,
Annually 18th June Annually 18th June Annually 28th June Annually 28th June Annually 1st July Annually 1st July Annually 3rd July Annually 3rd July On maturity, 23rd July, 2004 or at the time of exercising option Every 182 days 8th Feb, 2003, 9th Aug, 2003 7th Feb, 2004 Every 182 days 8th Feb, 2003, 9th Aug, 2003 7th Feb, 2004 Annually 16th Aug, 2003 16th Aug, 2004 16th Aug, 2005 Annually 16th Aug, 2003 16th Aug, 2004 16th Aug, 2005
Put/Call : 18th June, 1 - 500 2003, Option to be given by either party on June,June, 132 - 133/( 1 - 500) Put/Call : 18th 11th 2003, Option to be given by either party on June,June, 1 - 1000 Put/Call : 27th 11th 2003, provided notice for exercising27th option is Put/Call : the June, 2003, provided notice for exercising the option is N.A.
135/( 1 - 1000)
1 - 500
N.A.
Put/Call : Available on 3rd July, 2003 provided notice for exercising the option is :given by either Put/Call Available on
1 - 500
138/( 1 - 500)
3rd July, 2003 provided notice for exercising the optionCall:Dailyby either 1 to 500 Put & is given Notice by 2.00 p.m. on previous working day N.A. 1 to 4000
N.A.
N.A.
1 to 6200
N.A.
Every 182 days 8th Feb, 2003, 9th Aug, 2003 7th Feb, 2004 Every 182 days 8th Feb, 2003, 9th Aug, 2003 7th Feb, 2004 Annually 26th Sept Annually 26th Sept, 2003 27th Sept, 2004 26th Sept, 2005 Annually 21st October Annually 21st October Annually 21st Nov, 2003 22nd Nov, 2004 22nd Nov, 2005 Annually 25th Nov Annually 25th November
N.A.
1 to 1000
N.A.
157/( 1 - 1000)
N.A.
1 - 1000
N.A.
N.A.
N.A.
N.A.
N.A.
170
N.A.
On maturity, 11th August, Put & Call : Daily, Notice 1001 to 3000 2004 or at the time of by 2.00 p.m on previous exercising option working day On maturity, 16th August, Put & Call: N.A. 2004 1 to 250
On maturity, 27th August, Put & Call : Daily, Notice 1 to 1000 2004 or at the time of by 2.00 p.m on previous exercising option working day On maturity, 3rd Sept, 2004 or at the time of exercising option whichever is earlier Put & Call : Daily Notice 1 to 2000 by 2.00 p.m. on previous working day
On maturity, 10th September, 2004 On maturity, 10th September, 2004 or at the time of exercising the option On maturity, 10th September, 2004 On maturity, 17th Sept, 2004 On maturity, 4th Oct, 2004 On maturity-04th April, 2002 On matutity-08th April, 2002 On maturity - 09th April, 2002 On maturity 09th April, 2002 On maturity-14th May, 2002 N.A
1 to 2000
Put & Call:Daily Notice by 1 to 200 2.00 p.m. on previous working day Put & Call: N.A. 1 to 100
1 to 200
Put & Call:Daily Notice by 1 to 200 2.00 p.m. on previous working day N.A. 1 to 1500
N.A.
1 to 700
N.A.
01 to 1000
N.A.
1 to 500
N.A.
1 to 1000
N.A.
01 to 3000
On maturity -16th August, N.A. 2002 Half Yearly14th may & 14th November N.A.
01 to 2500
1 to 1500
Annually - 30th November On maturity -31st December,2002 On maturity -31st December,2002 Annually - 14th January
N.A.
01 to 2500
N.A.
N.A.
N.A.
N.A.
N.A.
01 to1000
N.A.
01 to 4000
On Maturity 25th February, 2003 On Maturity 25th February, 2003 On Maturity 6th March, 2003 On Maturity 6th March, 2003 On Maturity 3rd April, 2003 On Maturity 3rd April, 2003 On maturity 17th May, 2003 Half Yearly 31st Dec & 30th June
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A.
N.A.
N.A
1-1800
Annually 1st Dec Annually 30th Sept Half Yearly03rd May & 03rd November Annually15th December Annually - 04th May
N.A
N.A
1 to 1000
N.A.
01 to 3000
Annually21st May
N.A.
1 to 2500
On Maturity 18th October Put & Call: N.A. 2004 Annually, 21st April Put: N.A. Call: N.A Put: N.A Call: N.A. Put & Call: N.A.
NA
N.A.
N.A.
N.A.
N.A.
Annually-30th April
N.A.
N.A.
Annually-30th April
N.A.
N.A.
Half Yearly, 5th June & 5th Dec Semi annually-19th December & 19th June Semi annually-19th December & 19th June Annually, 1st July
N.A.
Put & call-19th December, 2003 Put & call-19th December, 2003 Put & Call: N.A.
N.A.
N.A.
N.A.
Half Yearly 16th Feb & 16th Aug Half Yearly 16th Feb & 16th Aug Half Yearly 16th Feb & 16th Aug Half Yearly 16th Feb & 16th Aug Semi annually 24th March & 24th Sept Semi annually 24th March & 24th Sept Semi annually 24th March & 24th Sept Semi annually 24th March & 24th Sept
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Semi annually-16th April Put & call& 16 October 16th April, 2004
N.A.
Semi annually-16th April Put & call& 16 October 16th April, 2004 Semi annually-16th April Put & call& 16 October 16th April, 2004 Semi annually-16th April Put & call& 16 October 16th April, 2004 Semi annually-11th May & 11th Nov Semi annually-11th May & 11th Nov Semi annually-11th May & 11th Nov Semi annually-11th May & 11th Nov N.A
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
Annually 1st December & Put & Call: N.A. On Maturity. Annually 30th December Annually 30th December Annually, 4th February N.A
NA
N.A.
N.A
N.A.
N.A
N.A
N.A
N.A
N.A.
N.A.
Half Yearly, 5th June & 5th December Half Yearly, 11th Feb & 11th Aug Half Yealy, 11th Feb & 11th Aug
N.A.
N.A.
N.A.
Annually, 13th November Put & Call: N.A. & on maturity Half Yearly, 26th Sept & 26th March Semi Annually, 27th November, 27th May Semi Annually on 16th January and 16th July Put & Call: N.A.
N.A.
N.A.
NA
NA
Annually- on 27th March Put /Call -27th March 2005 Annually- on 27th March Put /Call -27th March 2005 On maturity10/01/02 On maturity None
N.A
N.A
N.A.
None
-----
On maturity14/01/02
None
N.A.
Annually 4th May Annually 4th May Annually 10th May Annually 10th May On Maturity I.e. on 30th June 2002 On Maturity I.e. on 30th June 2002 On maturity 7th August, 2002 On maturity 7th August, 2002 On Maturity 21st Aug, 2002 or on Put/Call date On Maturity 21st Aug, 2002 or on Put/Call date On Maturity 26th August, 2002 On Maturity 26th August, 2002
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
None
N.A
None
N.A
N.A
N.A
N.A
N.A
On 21/06/02
N.A.
On 21/06/02
N.A.
N.A
N.A
N.A
N.A
On maturity - 09th Put & call -08-Jul-02 Sep,2002 or on exercise of put/call option
N.A.
On maturity - 09th Put & call -08-Jul-02 Sep,2002 or on exercise of put/call option On Maturity I.e. on September 12, 2002 or Put/call date On Maturity I.e. on September 12, 2002 or Put/call date On maturity-12th September, 2002 On maturity-12th September, 2002 On maturity Daily
N.A.
NA
Daily
NA
N.A.
N.A.
N.A.
N.A.
None
-----
On maturity11/10/02 On maturity-11th October, 2002 On maturity-11th October, 2002 On Put/Call or On Maturity-1st Nov.2002 On maturity 2nd Nov, 2002 On maturity 2nd Nov, 2002 On Put/Call or (On Maturity-7th Nov.2002)
None
-----
N.A.
N.A.
N.A.
N.A.
Daily
N.A.
N.A.
N.A.
N.A.
N.A.
Daily
N.A.
Daily
N.A.
None
-----
On maturity-11th November, 2002 On maturity-11th November, 2002 On Put/Call or (On Maturity-15th Nov.2002) On Put/Call or (On Maturity-22nd Nov, 2002) On Put/Call or on Maturity (07th Dec, 2002) On maturity-11th December, 2002 On maturity-11th December, 2002 On maturity-12th December,2002 Annually 20th December On maturity-28th December,2002 On maturity-28th December,2002
N.A.
N.A.
N.A.
N.A.
Daily
N.A.
Daily
N.A.
Daily
N.A.
N.A.
N.A.
N.A.
N.A.
Daily
NA
N.A
N.A
Put & call 28-Mar-02 27-Jun-02 26-Sep-02Put & call 28-Mar-02 27-Jun-02 26-Sep-02
N.A.
N.A.
On maturity - 10th Put & call - Daily January, 2003 or on exercise of put/call option On maturity - 10th Put & call - Daily January, 2003 or on exercise of put/call option On Maturity-17th Jan, 2003 or on put/call date N.A Daily
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A.
On maturity or on Put/Call date On Maturity 14th Feb, 2003 On Maturity 14th Feb, 2003 On Maturity 18th February, 2003 On maturity 26th Feb, 2003 or on Put/Call date On maturity 26th Feb, 2003 or on Put/Call date On maturity 26th Feb, 2003 or on Put/Call date On maturity 26th Feb, 2003 or on Put/Call date
Daily
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Daily
N.A.
Daily
N.A.
Daily
N.A.
Daily
N.A.
On Maturity 27th Feb, 2003 On Maturity 27th Feb, 2003 On maturity or on Put/Call date On maturity 22nd Mar, 2003 or on Put/Call date On maturity 27th Mar, 2003 On maturity 27th Mar, 2003 On maturity 3rd April, 2003 On maturity 03rd April, 2003 or on Put/Call date On maturity 03rd April, 2003 On maturity 3rd April, 2003 On maturity 03rd April, 2003 On maturity 12th April, 2003 On maturity 12th April, 2003
N.A
N.A.
N.A
N.A.
Daily
N.A.
Daily
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
Daily
N.A
N.A
N.A
N.A
N.A.
N.A
N.A
N.A.
N.A.
N.A.
N.A.
On maturity 15th April, 2003 On maturity 15th April, 2003 On maturity 3rd May, 2003 or on put/call option date On maturity 3rd May, 2003 or on put/call option date On maturity 6th May, 2003 On maturity 6th May, 2003 On Maturity /put-call option date On Maturity /put-call option date On maturity 8th May, 2003 or on put/call option date On maturity 8th May, 2003 or on put/call option date On maturity 9th May, 2003 On maturity 9th May, 2003 Annually on 13th June
N.A.
N.A
N.A.
N.A
Daily
N.A.
Daily
N.A.
N.A.
N.A.
N.A.
N.A.
6-Nov-02
na
6-Nov-02
na
Daily
N.A.
Daily
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
Annually 19th June On maturity 5th July, 2003 On maturity 5th July, 2003 On maturity, 7th July, 2003 On maturity - 07th July, 2003 On maturity, 9th July, 2003 On maturity, 9th July, 2003 On Maturity 11th July, 2003 or on put-call date On maturity 15th July, 2003 or on Put/Call Date
N.A.
N.A.
N.A
N.A
N.A
N.A
Put/Call: N.A.
N.A.
N.A.
Put/Call: N.A.
N.A.
N.A.
Daily
N.A.
Daily
N.A.
On maturity 18th July, Daily 2003 or on Put/Call Date On maturity 19th July, Daily 2003 or on Put/Call Date On maturity 19th August. 2003 or on Put/Call Date On maturity 19th August. 2003 or on Put/Call Date Put &call-Daily
N.A.
N.A.
N.A
Put &call-Daily
N.A
N.A.
N.A.
On maturity, 20th August, Put & Call: N.A. 2003 Annually on 4th September Annually on 4th September On maturity 11th Sept, 2003 or on Put/Call Date On maturity 19th September, 2003 or on Put/Call Date On maturity 7th October, 2003 or on Put/Call date On maturity 1st Nov, 2003 or on Put/Call Date On maturity, 6th November, 2003 On maturity, 6th November, 2003 On maturity 18th November, 2003 or on Put/Call Date On maturity 26th November, 2003 or on Put/ Call date On maturity, 15th December, 2003 None
N.A.
N.A
None
N.A
N.A.
Daily
N.A.
Daily
N.A.
Daily
N.A.
N.A.
N.A.
Daily
N.A.
Daily
N.A
N.A.
On maturity, 7th January, Put & Call: N.A. 2004 On maturity 14th January, 2004 On maturity 14th January, 2004 On maturity 16th January, 2004 On maturity 16th January, 2004 On maturity, 23rd January, 2004 On maturity 5th February, 2004 or on exercise of Put/Call date (if exercised) On maturity, 6th February, 2004 On maturity 17th February, 2004 On Maturity 28th February 2004 On maturity, 4th March, 2004 On maturity, 5th April, 2004 On maturity, 5th April, 2004 Daily N.A.
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
Put/Call : at par value with a notice period of 1 day to either party, with the date of notice and Put & Call: N.A.
N.A.
N.A.
N.A
NA
N.A.
N.A.
N.A.
N.A.
Annually 22nd April Annually 22nd April On maturity, 8th May, 2004 or on Put/Call Option dates On maturity, 9th May, 2004 or on Put/Call Option Dates Annually, 10th May
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 28th May, 2004 Annually 14th June Annually 14th June
Put & Call: Exercisable with a notice period of 1 day to either party with the date of notice and N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
on Put/Call date not Put & Call : Exercisable N.A. including a Saturday or at at par value with a notice maturity period of 1 day to either party with the date of Annually on 1st July None N.A
None
N.A
N.A.
N.A.
N.A.
Half Yearly 9th Jan & 9th July Half Yearly 9th Jan & 9th July On Put/Call date (if exercised) not including a Saturday or on maturity, 28th July, 2004 August, On maturity, 10th 2004
N.A.
N.A.
N.A.
N.A.
Put & Call:Exercisable at N.A. par value with a notice period of 1 day to either party with the date of Put & Call: N.A. N.A.
N.A
N.A
Annually on 3rd September Annually on 3rd September On Maturity 4th September 2004 On Maturity, 29th September, 2004 or on Put/Call Date.
None
N.A
None
N.A
NA
N.A.
On maturity, 10th October, 2004 On maturity, 13th October, 2004 On maturity, 21st October, 2004 On maturity, 4th November, 2004 or on Put/Call Date On maturity, 5th November, 2004 On maturity, 9th November, 2004 On maturity, 10th November, 2004 On maturity, 8th December, 2004
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call date or on Put & Call:Exercisable at N.A. maturity, 16th December, par value with a notice 2004 period of 1 day to either party with the date of Annually NA N.A. 18th December Annually 18th December Annually 17th July Annually 17th July NA N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 12th February Annually 12th February Annually 16th February Annually 16th February On maturity 22nd Mar, 2005 On maturity 22nd Mar, 2005 Annually, 21st April
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly, 2nd January Put & Call: N.A. & 4th July Annually-05th July N.A.
N.A.
N.A.
Annually-05th July
N.A.
N.A.
N.A.
Half Yearly N.A. 25th January & 26th July Half Yearly N.A. 25th January & 26th July Half Yearly N.A. 25th January & 26th July Half Yearly N.A. 25th January & 26th July Annually, 17th November Put: N.A.
N.A.
N.A.
N.A
N.A
N.A.
N.A
N.A
Annually 26th November Half Yearly, 8th June & 11th December
N.A
N.A
N.A.
N.A.
N.A.
N.A.
Annually 1st January Annually 1st January Annually 7th February Annually, 7th February
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly, 13th Dec & 14th June Half Yearly, 6th January & 8th July Half Yearly, 8th January & 10th July
N.A.
N.A.
N.A.
Half Yearly, 22nd January & 23rd July Annually, 22nd August
NA
N.A.
Half Yearly, 26th Put & Call: N.A. February & 26th August Annually - 13th October Put & Call: N.A. 2004, 13th October 2005, 13th October 2006. Annually- 20th October Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Semi Annually on 9th Put & Call: N.A. November and 10th May Half Yearly, 13th Dec & 14th June Half Yearly, 26th Jan & 26th July On maturity, 11th April, 2005 Annually, 19th March Put & Call: N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly, 7th June & 7th December Annually, 28th September Annually, 23rd April
N.A.
N.A.
N.A.
Half Yearly, 10th November & 10th May Half Yearly, 18th November & 18th May Annually 24th May
NA
N.A.
NA
Half Yearly, 28th Nov & 28th May Half Yearly, 7th June & 7th December Half Yearly, 11th June & 11th Dec
N.A.
N.A.
N.A.
Half Yearly, 14th June & 14th Dec Half Yearly, 19th Jan & 19th July On maturity, 10th January, 2005 On Maturity 11th March 2005 Half Yearly, 25th June & 25th Dec Half Yearly, 28th June & 28th Dec Half Yearly, 12th Jan & 12th July
N.A.
N.A.
N.A.
NA
N.A.
N.A.
N.A.
On Maturity I.e November NA 15, 2001 On Maturity I.e. November 21,2001 On maturity (14th May) On maturity (14th May) On maturity (23rd May,2002) On maturity (23rd May,2002) NA
NA
NA
None
N.A.
None
N.A.
None
N.A.
None
N.A.
NA
None
N.A.
None
N.A.
On maturity or on put/call- 37273 17/01/02 On maturity or on put/call- 37273 17/01/02 On maturity-31/10/2002 None
N.A.
N.A.
N.A.
On maturity (14th November) On maturity (14th November) On maturity (17th January, 2003) On maturity (17th January, 2003) On maturity2nd April, 2003 On maturity2nd April, 2003
On maturity, 10th June, 2003
None
N.A.
None
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On Maturity
NA
NA
On Maturity 02nd July, 2003 On Maturity 1st September, 2003 On Maturity 1st September, 2003 On Maturity 14th November, 2003 On maturity, 14th November, 2003 On Maturity 8th Jan, 2004
NA
NA
NA
NA
NA
NA
NA
NA
N.A.
NA
NA
On maturity, 8th January, Put & Call: N.A. 2004 Annually 31st March N.A.
N.A.
On maturity, 10th March, Put & Call: N.A. 2004 On maturity, 2nd April, 2004 On maturity, 14th June, 2004 On maturity, 27th July, 2004 Put/Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 27th August, Put & Call: N.A. 2004 On maturity, 1st Oct, 2004 Annually, 7th May, 2004 & on maturity, 8th Nov, 2004 Put & Call: N.A.
N.A.
N.A.
N.A.
On 13th June, 2004 & on N.A. maturity, 14th Dec, 2004 Annually 27th January Annually, 27th January NA
N.A.
NA
N.A.
N.A.
N.A.
Quarterly, 3rd March, 3rd N.A. June, 3rd Sept & 3rd Dec Annually, 6th Oct, 2004 & Put & Call: N.A. on maturity, 11th March, 2005 Annually, 30th April, 2004 Put & Call : N.A. and on maturity, 29th Apr, 2005 22nd May, 2004 & on Put & Call: N.A. maturity, 20th May, 2005 On 19th June, 2004 & on N.A. maturity, 14th June, 2005 Annually, 4th July Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put: N.A.
N.A.
NA
NA
N.A.
K0023 - K0033/(00023 00033) L0034 - L0044/(00034 00044) M0045 - M0055/(00045 00055) N0045 - N0055/(00045 00055) O0067 - O0080/(00067 00080)
Quarterly 31st March 30th June 30th Sept & Annually 1st October Annually 5th January On maturity, 15th February, 2004 On maturity, 19th July, 2004
Put/Call : 10th Jan, 2003 Cert No. : E1, E2 & E3 Dist Nos : E/000001 to E300000 Put/Call : 1st October, 2002 Put/Call : 5th January, 2003 Put & Call: N.A. N.A.
N.A.
Half Yearly 31st March & 30th Sept Half Yearly 31st March & 30th Sept Half Yearly 31st March & 30th Sept Monthly- Last day of the month Annually 16th October Half Yearly 28th June & 28th Dec Half Yearly 30th Sept & 31st Mar Half Yearly 30th Sept & 31st Mar Half Yearly 26th Mar & 26th Sept Half Yearly 30th Sept & 31st Mar Half Yearly 22nd Mar & 22nd Sept Half Yearly 16th July & 16th Jan Half Yearly 18th March & 18th Sept
N.A
N.A
1 to 50
Put/Call : 17th November, Cert No. 1 to 116 2003 Dist Nos : 1 to 4600 N.A. Cert No. AA 001 to AA 206 Dist Nos : 000001 to 130000 Dist Nos : 000001 to 003419 Cert No. LL 001 to LL 035 Dist Nos : 000001 to 005600 Cert No. MM 001 to MM 212 Cert No. NN 001 to NN 081 Cert No. PP 001 to PP 067
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 7th July & 7th Jan Half Yearly 21st Mar & 21st Sept Half Yearly 23rd May & 21st 23rd Nov Half Yearly 8th June & 8th Dec On maturity, 9th June, 2003 or on exercise of Put/Call Option On maturity, 2nd July, 2003 On maturity,2nd July, 2003 or on exercise of Put/Call Option On maturity, 22nd July, 2003 On maturity, 28th July, 2003, or on exercise of Put/Call Option On maturity, 1st Aug, 2003 or on exercise of Put/Call Option On maturity, 11th Aug, 2003 or on exercise of Put/Call Option On maturity, 19th Aug, 2003 or on exercise of Put/Call Option On maturity, 22nd Aug, 2003 or on exercise of Put/Call Option
N.A.
N.A.
N.A.
N.A.
DailyDSCLC004, Any working day one day DSCLDN0026 to 0035 before the exercise date Put & call-Any working day one day before the exercise date Put & call-Any working day before the exercise date DSCLC005, DSCLDN0036 to 0040 DSCLC006, DSCLDN0041 to 0050
Put:Any working day one DSCLC007, day before the exercise DSCLDN0051 to 0055 date Call:Any working day one DSCLC008, DSCLDN Put & Call:Any working day one day before the 0056 to 0065, Exercise date DSCLC009, DSCLDN0066 to 0075 Put & Call:Any working DSCLC010, DSCLDN day one day before the exercise date Put & Call:Any working day one day before the exercise date Put & Call:Any working day one day before the exercise date Put & Call:Daily, Any working day one day before the exercise date 0076 to 0080 DSCLC011, DSCLDN0081 to 0085 DSCLC012, DSCLDN 0086 to 0090 DSCLC013, DSCLDN0091 to 00100
On maturity, 1st October, Put/Call:Daily 2003 or on exercise of Put/Call Option On maturity, 3rd October, Put/Call:Daily 2003 or on exercise of Put/Call option On maturity, 29th October, 2003 or on exercise of Put/Call Option On maturity, 11th Nov, 2003 or on exercise of Put/Call Option On maturity, 19th Nov, 2003 or on exercise of Put/Call Option On maturity, 22nd Nov, 2003 or on exercise of Put/Call option Put & Call:Daily Put & Call: Daily, Any working day one day before the exercise date Put & Call:Daily
DSCLC014, DSCLDN0101 to 0105 DSCLC015,DSCLDN010 6 to 0110 DSCLC016, DSCLDN 0111 to 0115 DSCLC 017, DSCLDN0116 to 0120 DSCLC 018, DSCLDN0121 to 0125 DSCLC 019, DSCLDN0126 to 0130 DSCLC 022, DSCLDN0140-0149 DSCLC024, DSCLDN0155 to 0159 DSCLC025, DSCLDN0160 to 0169 DSCLC026, DSCLDN0170 to 0174 DSCLC034, DSCLDN0215 to 0224 DSCLC 035, DSCLDN 0225 to 0234 DSCLC036, DSCLDN0235 to 0239
On maturity, 15th March, Put & Call:Daily ,any 2004 or on exercise of working day one day Put/Call Option before the exercise date On maturity, 4th May, 2004 On maturity, 10th May, 2004 or at the time of exercising the option On maturity, 11th May, 2004 or on exercise of Put/Call option On maturity, 2nd July, 2004 On maturity, 3rd September, 2004 On maturity, 13th September, 2004 Put & Call:Daily
On maturity, 15th September, 2004 On maturity, 17th September, 2004 On maturity - 15th January, 2003 or on exercise of Put/Call option On maturity -
DSCLC037, DSCLDN0240 to 0259 DSCLC 038, DSCLDN 0260 to 0269 DSCLC 001 Dist Nos : DSCLDN0001 to 0010 DSCLC 002 Dist Nos : DSCLDN0011 to 0020 DSCLC003 Dist Nos : DSCLDN 0021 to 0025 DSCLC030, DSCLDN0185-0189
Put/Call : Any working day one day before the exercise date
Put/Call : Any working 27th January, 2003 or on day one day before the exercise of Put/Call exercise date option On Maturity Any Working day one day or on exercise of Put/Call before the exercise date Option On maturity, 26th April, 2004 On maturity, 28th April, 2004 On maturity, 14th May, 2004 or on exercise of Put/Call Option On maturity, 18th May, 2004 or on exercise of Put/Call Option On maturity, 25th June, 2004 Quarterly 21st November 21st February 21st Yearly, 15th Jan & Half May 15th July Half Yearly 1st July & 1st Jan N.A. Put & Call: N.A.
DSCLC031, DSCLDN 0195--0199, DSCLC032, DSCLDN 0200-0204 DSCLC 027, DSCLDN 0175 to 0179 DSCLC 028, DSCLDN 0180 to 0184 DSCLC029, DSCLDN0190-0194 N.A.
N.A.
Annually 15th March Quarterly 1st February, 1st May, 1st Aug & Half Yearly 30th September & 31st March 13th April, 2004
N.A.
Cert No. 017 to 020 Dist Nos : 005046 to 008845 Cert No. 0021 to 0022 Dist Nos : 008846 to 009845 800350 800851 (0008276 to 2430000) 10001 to 10002, 10003 to 10052 10403 to 10502
N.A.
N.A.
On maturity, 23rd October, 2004 On maturity, 11th December, 2004 On matuirty, 11th January, 2005 Annually, 23rd March
25428 to 25447 25178 to 25377 Cert No. J000057 Dist Nos : 25538 to 25587 Cert No. P000144 Dist Nos : 25608 to 25707 Cert No. B000066 Dist Nos : 25808 to 25882 Cert No. : 1 Dist Nos : 1 to 1000 N.A.
Annually 15th February Annually 15th February Quarterly 20th Feb, 20th May 20th Aug 9th July, On maturity 2002 Half Yearly - 15th March and 15th September
N.A.
N.A.
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 31st March & 30th Sept & on yearly. First interest Half30th November, 2007
payment due on 19th January 2002
N.A.
1-5/1-1500
On maturity-15th February,2002 On maturity (19th February,2002) On maturity (22nd February,2002) On maturity-26th February,2002 On maturity 11th Mar, 2002 On maturity-19th March,2002 On maturity-26th August,2002 On maturity-01st October, 2002 On maturity-20th October,2002
Put/Call - Daily(by 001 - 010 previous working day at 2 p.m.) Put/Call - Daily (On previous working day by 2 p.m.) Put/Call - Daily (On previous working day by 2 p.m.) Put/Call - Daily (On previous working day by 2 p.m.) Daily On previous working day by 2.00 p.m. Put/Call - Daily (On previous working day by 2 p.m.) 01 to 05
01 to 10
01 to 05
1 to 10
01 to 10
N.A.
01 to 10
On maturity-23rd October,2002 On maturity 25th October, 2002 On maturity 22nd November, 2002 On maturity-27th December, 2002 On maturity19th February, 2003 On maturity 22nd November, 2002 On maturity, 15th July, 2003
N.A.
01 to 10
N.A.
01 to 10
N.A.
01 to 30
N.A.
01 to 10
N.A.
01 to 20
Daiy
Put/Call:Daily
On maturity, 8th October, Put/Call:Daily 2003 On maturity, 15th October, 2003 On maturity, 20th October, 2003 On maturity, 19th November, 2003 On maturity 20th November, 2003 On maturity, 29th December, 2003 Put & Call:Daily
5, 71 to 90
6, 91 to 100
8, 101 to 120
Daily
On Maturity 2nd January Put & Call:DAILY 2004 On maturity, 16th January, 2004 On maturity, 23rd January, 2004 At Maturity 25th Feb 2004 Quarterly31st May, 31st August, 30th November & 28th February Annually 19th July Annually, 19th July Put & Call : N.A. Put & Call:Daily
10, 141-160
13, 181-200
N.A.
1/(1 - 25000000)
N.A.
Quarterly N.A. 31st Jan 30th April, 31st July & Quarterly, 31st Jan, 30th Put & Call : N.A. Apr, 31st July & 30th Oct Half Yearly 30th June & 31st December Monthly - First interest payment on 07th April, 2003 Quarterly 31st March 30th June 30th Sept First interest Monthly - & payment on 07th April, 2003 N.A
N.A.
N.A.
Cert No. NCD XIII005 Dist Nos : 3800001 to 13800000 00001 to 02244
On maturity -22nd January,2002 Annually on September 1 On maturity -28th June, 2002 On maturity -27th september, 2002 On maturity 26th November, 2002 Annually on September 1 On maturity 1st January, 2003 On maturity 15th January, 2003 On maturity 18th Febraury, 2003 On maturity 3rd April 2003 On maturity 3rd April 2003 Annually on September 1 Annually 24th July
N.A.
N.A.
Not Applicable
N.A.
N.A.
N.A.
N.A.
N.A.
Not Applicable
Put/Call : Two working days in Advance Put/Call : Two working days in Advance Daily : Two Working days in advance Put/Call - Daily Two working days in Advance Put/Call - Daily Two working days in Advance Not Applicable
1600216 to 1600235
N.A.
N.A.
N.A.
N.A.
Annually 1st August On Maturity 24th December 2003 On Maturity 26th December 2003 On maturity, 29th December, 2003 Annually on September 1 On maturity, 2nd January, 2004 On maturity, 2nd February, 2004 On Maturity 30th Mar 2004
N.A.
1600096 to 1600100
1600362-1600371
1600372-1600376
Put & Call:1 working day 1600377 to 1600381 in advance Not Applicable NA/1600001 - 1600036, 1600052 - 1600056
Put & Call:1 working day 1600382 to 1600386 in advance Put & Call: N.A. 1600387 to 1600396
1600397-1600406
On maturity, 30th March, Put & Call:Daily, to be 1600407 to 1600423 2004 exercised latest by 14.00 hrs on the previous working day On maturity, 2nd April, Put & Call:Daily, to be 1600424 to 1600428 2004 exercised latest by 14.00 hrs on the previous working day On maturity, 21st April, Put & Call:Daily, to be 1600429 to 1600433 2004 On maturity, 28th April, 2004 On maturity, 5th May, 2004 exercised latest by 14.00 hrs on the previous working day Put & Call:Daily, to be 1600434 to 1600438 exercised latest by 14.00 hrs on the previous working day Put & Call: N.A. 1600449 to 1600458
On maturity, 7th June, 2004 On Maturity , 14th June 2004 On maturity, 15th June, 2004 Annually 24th July On maturity, 26th July, 2004 Annually 1st August Annually on September 1 On maturity, 3rd April, 2003 On maturity, 5th May, 2003 On maturity, 1st July, 2003 On maturity, 12th June, 2003 On maturity, 1st July, 2003 On maturity, 26th September, 2003
Put & Call:Daily, to be 1600439 to 1600443 exercised latest by 14.00 hrs on the previous working day Put & Call: N.A. 1600486 - 1600490
Put & Call:Daily, to be 1600444 to 1600448 exercised latest by 14.00 hrs on the previous working day N.A. 1600086 to 1600095
Put & Call:14.00 hours in 1600481 to 1600485 advance of previous working day N.A. 1600101 to 1600105
Not Applicable
NA/1600047 - 1600051
Two Working days in advance Put & call-daily Two Working days in advance
Put & call-Daily(2 working 1600279 to 1600286 days in advance) Put & call-Daily(2 working 1600287 to 1600296 days in advance) Put & Call:2 Working days in advance 1600297 to 1600306
Put & Call:2 working days 1600307 to 1600316, in advance 1600317 to 1600326
On maturity, 29th September, 2003 On maturity, 30th June, 2004 On maturity, 3rd September, 2004
Put & Call:2 working days 1600327 to 1600336 in advance Put & Call:1 working day 1600459 to 1600480 in advance
Put & Call : Daily, to be 1600491 to 1600495 exercised latest by 14.00 hrs on the previous On maturity, 3rd August, working day Put & Call: N.A. 1600496 to 1600500 2004 On maturity, 10th September, 2004 On maturity, 21st September, 2004 On maturity, 24th September, 2004 On maturity, 24th September, 2004 On maturity, 21st October, 2004 On maturity -4th March,2002 Put & Call : Daily, To be 1600501 to 1600505 exercised latest by 14.00 hrs on the previous working day Put & Call: N.A. 1600506 to 1600510
1600511 to 1600515
Put & Call:Daily, to be 1600516 to 1600525, exercised latest by 14.00 1600526 to 1600537 hrs on the previous working day Put & Call:Daily, to be 1600538 to 1600542 exercised latest by 14.00 hrs on the previous working day N.A. N.A.
On maturity-8th February, Put/Call Option 2002 Daily(after giving 2 workingdays notice) On maturity-20th April, 2002 Annually - 29th March Put/Call Option can be exercised with notice of 24 hours N.A.
0000001 to 1000000
01 to 20
01 - 100
Annually 9th October Half Yearly, 30th Sept & 31st March Annually, 19th June
N.A.
N.A.
N.A.
00001 to 550000
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually-29th October
N.A.
N.A.
Annually-9th November
N.A.
N.A.
N.A.
N.A.
Annually-3rd December
None
N.A.
Annually 23rd December Annually 28th January Annually 20th March Annually 21st March Annually 28th March Annually 23rd April Annually 26th April Annually 29th April Annually 10th May Annually 18th Nov Annually 21st May Annually 22nd November Annually 25th November
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call : At the end of 3 N.A. years ie 18th November, 2005 N.A. N.A.
N.A.
N.A.
Put & Call:at the end of 3 N.A. years I.e. on 25th Nov, 2005
Annually 29th November Annually 6th December Annually 10th December Annually 19th December Annually 24th December Annually 30th December Annually 03rd January Annually 06th January Half Yearly, 28th Jan & 28th July Annually 15th Juy Annually
N.A.
Put/Call : At the end of 2 N.A. years ie 6th December, 2004 N.A. N.A.
N.A.
N.A.
Put/Call : At the end of 3 N.A. years ie 24th December, 2005 N.A. N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
01 to 50
N.A.
N.A.
N.A.
N.A.
75/(42770701 42848050)
Half YearlyN.A. 04th April & 04th October On maturity 17th Mar, 2003 N.A.
76/(42848051 42929350) Cert No. 89 Dist Nos : 49866208 to 50366207 77/(4292351 - 43015050)
Half YearlyN.A. 04th April & 04th October On maturity 6th July, 2003 N.A.
Cert No. 90 Dist Nos : 50366208 to 51866207 78.(43015051 43105400) Cert No. 39 Dist Nos : 18011914 N.A
Half YearlyN.A. 04th April & 04th October Half Yearly 1st April & 1st October On maturity 9th October, 2003 Quarterly 14th February 14th May 14th Aug & On maturity 14th November, 2003 On maturity 17th November, 2003 Quarterly 15th Feb 15th May 15th YearlyHalf Aug & 04th April & 04th October Half Yearly 1st April & 1st October N.A. N.A. N.A.
N.A.
N.A.
Cert No. 91 Dist Nos : 52366208 to 52366222 Cert No. 93 Dist Nos : 52366223 to 52366227 Cert No. 94 Dist Nos : 52366228 to 52866227 Cert No. 95 Dist Nos : 52866228 to 53866227 79/(43105401 43200875) Cert No. 40 Dist Nos : 18011915
N.A.
N.A.
N.A.
Half YearlyN.A. 04th April & 04th October Half YearlyN.A. 04th April & 04th October Half Yearly 1st April & 1st October Half Yearly 1st April & 1st October Half Yearly 1st April & 1st October Half Yearly 1st April & 1st October Half Yearly 1st April & 1st October Half Yearly 1st April & 1st October Half Yearly 1st April & 1st October Half Yearly 1st April & 1st October Half Yearly 1st April & 1st October Monthly, 7th Sept N.A.
80/(43200876 43301800) 81/(43301801 43408575) Cert No. 63 Dist Nos : 40693001 to 40805975 Cert No. 64 Dist Nos : 40805976 to 40925650 Cert No. 65 Dist Nos : 40925651 to 41052450 Cert No. 41 Dist Nos : 18011916 Cert No. 66 Dist Nos : 41052451 to 41187025 Cert No. 42 Dist Nos : 18011917 Cert No. 67 Dist Nos : 41187026 to 41329850 Cert No. 68 Dist Nos : 41329851 to 41481600 Cert No. 43 Dist Nos : 18011918 89, 548912282 to 548912371 98, 53866228 to 54366227
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
101, 54891253 to 54891257 107, 55891283 to 55891292 100, 54891238 to 54891252 035, 17250054 to 17477653 102, 54891258 to 55391257 55391258 to 55391262
On maturity, 12th August, Put & Call: N.A. 2004 Half Yearly, 4th Apr & 4th Put & Call: N.A. Oct On maturity, 21st October, 2004 On maturity, 21st January, 2004 Put & Call: N.A.
Quarterly, 10th May, 10th Put & Call: N.A. Aug, 10th Nov & on maturity, 9th February, 2005 Monthly, 7th of every Put & Call: N.A. month On maturity, 4th April, 2005 Put & Call: N.A.
104, 55391263 to 55391272 105, 55391273 to 55391282 106, 55391283 to 55441282 036, 17477654 to 17718912 108,55891293 to 56891292 43, 20918922 to 21174651 44, 21174652 to 21480311
Half Yearly, 4th Apr & 4th Put & Call: N.A. Oct Quarterly, 10th Sept, Put & Call: N.A. 10th Dec & 10th March & 10th June Half Yearly, 17th Oct & 17th Apr Half Yearly, 17th Oct & 17th April N.A.
N.A.
Daily Put & Call -Option to be exercised latest by 1300 hrs for the redemption on the next N.A.
on maturity -12th March, N.A. 2002 On maturity 02nd April, 2002 On maturity -09th April 2002 On maturity 22nd April, 2002 On maturity 9th May, 2002 On maturity 20th May, 2002 On maturity 21st May, 2002 On maturity 27th May, 2002 On maturity-29th May, 2002 On maturity 12th June, 2002 On maturity-9th July, 2002 N.A
Cert No. PPD 001 Dist Nos : 00001 000250 Cert No. PPD 001 Dist Nos. : 00001 00500) Cert No. : PPD 001 Dist Nos. : 00001 - 00500 Cert No. PPD 001 Dist Nos : 00001 000200 N.A
Daily Put/call option to be exercised latest by 13.00 hrs for redemption on the next working day N.A
N.A
Daily to be exercised latest by 1300 hours for redemption on the next Daily to be exercised latest by 1300 hours for redemption on the next N.A
Cert No. PPD 001 Dist Nos : 00001 - 00500 Cert No. PPD 001 Dist Nos : 00001 - 00500 Cert No. PPD 001 Dist Nos : 00001 000500 Cert No. PPD 001 Dist Nos : 00001 - 00500 Cert No. PPD 001 Dist Nos : 00001 000200
N.A.
N.A
N.A.
N.A
N.A.
On maturity - 11th July, 2002 On maturity 22nd July, 2002 On maturity 29th July, 2002 At Maturity (9th August, 2002) At Maturity (12th August, 2002) Annually-24th August
N.A
N.A.
Put & call-Daily( to be exercised latest by 1300 hours for redemption on next& call- Daily(option to Put working day)
Cert No. PPD 001 Dist Nos : 00001 000500 Cert No. PPD 001 Dist Nos : 00001 000400
be exercised lastest by 1300 hours for redemption on next At the end of 6 months PPD 001 ie 9th May, 2002.If Dist Nos. : 00001-01000 Option Exercised interest to be paid atof8.65% for PPD 001 At the end 6 months ie 10th May, 2002.If Dist Nos. : 00001-01000 Option Exercised interest to be paid at 8.65% for Cert No. PPD 001 N.A. Dist Nos : 00001 000500 Daily Put & Call -Option to be exercised latest by 1300 hrs for the redemption on the next Daily Put/call Option to PPD 001 Dist Nos. : 00001000200 Cert No. PPD 001 Dist Nos : 00001 000500 Cert No. PPD 001 Dist Nos : 00001 000500 Cert No. PPD 001 Dist Nos : 00001 000500 Cert No. PPD 001 Dist Nos : 00001 000700 Cert No. PPD 001 Dist Nos : 00001 001000
be exercised latest by 13.00 hours for Annually 03rd November redemption on the next N.A. & On maturity-04th November, 2002 On maturity 25th Nov, 2002 or early redemption On maturity 28th Nov, 2002 or early redemption Annually January 25 Daily Put/Call Option to be exercised latest by 1300 hrs for redemption on the next working day Daily Put/Call Option to be exercised latest by 1300 hrs for redemption on the next working day N.A.
Annually February 15
N.A.
Cert No. PPD 001 Dist Nos : 00001 000500 Cert No. PPD 001 Dist Nos : 00001 000500 Cert No. PPD 001 Dist Nos : 00001 000500 Cert No. PPD 001 Dist Nos : 00001 000500 Cert No. PPD 001 Dist Nos : 00001 000500 Cert No. PPD 001 Dist Nos : 00001 - 00100 Cert No. PPD 001 Dist Nos : 00001 001000 Cert No. PPD 001 Cert No. PPD 001 Dist Nos : 00001 000225
On maturityDaily Put/call Option to 17th January, 2003 or on be exercised latest by early redemption 13.00 hours for redemption on the next On maturityN.A. 29th January, 2003 On maturity21st March, 2003 or on early redemption On maturity26th March, 2003 On maturity 03rd April, 2003 On maturity 03rd April, 2003 Annually on 30th April & On maturity-15th April, 2003 On maturity 22nd April, 2003 Annually on 30th April & On maturity-24th April, 2003 On maturity 29th April, 2003 Daily Put/call Option to be exercised latest by 13.00 hours for redemption on the next Daily Put/call Option to be exercised latest by 13.00 hours for redemption on the next N.A
N.A
N.A.
N.A.
Cert No. PPD 001 Dist Nos : 00001 000500 PPD 001 Dist Nos. : 00001000500 Cert No. PPD 001 Dist Nos : 00001 000500 PPD 001 Dist Nos. : 00001000500
Daily Put/Call Option to be exercised latest by 1300 hrs for redemption on the next working day N.A.
Daily Put/Call Option to be exercised latest by 1300 hours for redemption on the next
On maturity 29th April, 2003 On maturity 2nd May, 2003 On maturity2nd May, 2003 On maturity, 30th May, 2003 On maturity 20th June, 2003 On maturity 20th June, 2003 On maturity 20th June, 2003 On maturity24th June, 2003 On maturity24th June, 2003 On maturity24th June, 2003 Annually-13th July
N.A
PPD 001 Dist Nos. : 00001-1000 PPD 001 Dist Nos. : 00001-00650 Cert No. PPD 001 Dist Nos : 00001 - 01000 PPD001, 00001 to 01000
Daily Put/Call Option to be exercised latest by 1300 hours for redemption on the next N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Cert No. PPD 001 Dist Nos : 00001 000500 001 (00001-000500)
YEARLY. 14-JULY
NA
N.A.
On maturity25th July, 2003 On maturity25th July, 2003 On maturity25th July, 2003 On maturity28th July, 2003 On maturity28th July, 2003 On maturity28th July, 2003 Annually-31st July
N.A.
N.A.
N.A.
N.A.
N.A
N.A
N.A
N.A.
N.A.
On maturity, 27th August, Put & Call:Daily, to be PPD 001, 00001 to 0650 2003 or early redemption exercised latest by 1300 hrs for redemption on the next& Call: N.A. On maturity, 17th Put working day PPD 001, 00001 to 0500 October, 2003 On maturity, 21st October, 2003 On Maturity, 22nd December, 2003 On Maturity or Early Redemption, Maturity Date: 23rd Dec. 2003 On matuirity, 24th December, 2003 Put & Call: N.A. PPD 001, 00001 to 0500
Put/Call: Applicable PPD 001,001-500 Date of Maturity : 22.12.2003 Record Date :19.12.2003 PPD 001, 001-500 Put/Call: Applicable Date Of Maturity : 23.12.2003, Record Date: Put & Call: N.A. PPD001, 001 to 500
On maturity, 20th Jan, Put & Call : applicable 2004 or early redemption Date of maturity:20.01.2004 Record dae:16.01.2004 On maturity, 23rd Put & Call: N.A. January, 2004 On maturity, 18th June, 2004 Annually-23rd August Put & Call: N.A.
PPD 001, 001 to 500, PPD 001, 001 to 500 PPD 001, 001 to 1500
PPD001, 001 to 1500 PPD001 001 to 1000 Cert No. PPD 001 Dist Nos : 00001 000500 Cert No. PPD 001 Dist Nos : 00001 000500 PPD001, 00001 to 01500
N.A.
Annually-27th August
N.A.
Annually, 27th Feb, 2004 N.A. & on maturity, 27th Aug, 2004 Annually, 27th Feb, 2004 N.A. & on maturity, 27th Aug, 2004 Annually, 27th Feb, 2004 N.A. & on maturity, 27th Aug, 2004 Annually-28th November N.A.
N.A.
N.A.
PPD 001 Dist Nos. : 00001-00500 PPD 001 Dist Nos. : 00001-00500 PPD 001 Dist Nos. : 00001-00500 PPD 001 Dist Nos. : 00001-00500 PPD 001, 00001 to 2000
Annually-2nd August
Call Option-2nd August S001- S050 2004 &2nd August 2005 Call : At par at the end of every six months after expiry of 1 year from 30th March, 2000(Date of On daily basis giving two clear
days notice
Put & callOn daily basis by giving one clear days notice Put & callOn daily basis by giving one clear days notice
Put & callOn daily basis by giving one clear days notice
0098 to 0117
0118 to 0141
0142 to 0147
On maturity, 3rd September, 2003 On maturity - 05th September, 2003 On maturity, 12th September, 2003
Put & Call:On daily basis 0168 to 0187 by giving one clear day's notice Put & Call:Daily- by giving 0188 to 0211 one clear day notice Put & Call:On daily basis 0212 to 0217 by giving one clear working day notice 0218 to 0227
On maturity, 6th October, N.A. 2003 On maturity, 5th December, 2003 On maturity, 9th December, 2003
Put & Call:On daily basis 0228 to 0247 by giving one clear days notice Put & Call:On daily basis 0248 to 0271 by giving one clear day's notice
0298 to 0317
On maturity, 24th March, Put & Call:On daily basis 0288 to 0297 2004 by giving one clear day's notice On maturity, 29th March, Put & Call: N.A. 2004 On maturity, 29th March, Put & Call: N.A. 2004 On maturity, 28th April, 2004 On maturity, 11th June, 2004 On maturity, 18th June, 2004 On maturity, 21st June,2004 On maturity, 28th June, 2004 On maturity, 29th June, 2004 On maturity, 2nd July, 2004 On maturity, 6th July, 2004 0318 to 0337
0338 to 0357
Put:On daily basis by 0148 to 0167 giving one clear days notice Call:On daily basis by Put & Call:No option upto 0358 to 0367 1/4/2004, From 1/4/2004 on daily basis by giving one & Call:On daily basis 0368 to 0387 Put clear day's Notice by giving one clear day's notice Put & Call:Daily basis by 0388 to 0397 giving one clear day's notice Put & Call: N.A. 0468 to 0487
0438 to 0467
0398 to 0417
0418 to 0437
On maturity 13th December, 2002 On maturity 14th March, 2003 On maturity 28th July, 2003 On maturity 28th October, 2003 On maturity 27th January, 2004 on maturity
Put & call- On daily basis Dist Nos : 0058 to 0063 by giving one clear day notice Put & call- daily can be Dist Nos : 0012 to 0031 exercised in full or in part in tranches of Rs. 50 lakhs upto On daily basis Dist Nos : 0038 to 0057 Put & call- 2.00 p.m. on by giving one clear day notice Put & call- On daily basis Dist Nos : 0064 to 0083 by giving one clear working day notice Not applicable to be allotted
On Maturity-23rd January, 2002 On maturity-28th February,2002 On maturity (28th Feb, 2002) On Maturity (7th March, 2002) Annually (22nd March) On maturity-21st March,2002 On maturity 28th April, 2002
N.A.
N.A.
N.A.
N.A.
N.A.
8 to 9
N.A.
N.A.
Put & Call 24th Dec, 01, 07th Jan, 02 21st Jan, 02 N.A.
N.A.
N.A.
N.A
N.A
N.A.
N.A.
Not applicable
to be allotted
On maturity 29th May, 2002 Half Yearly First Int Payment :February 20, 2002 On maturity-20th June,2002 On maturity 26th June, 2002 On Maturity (27th June, 2002) On maturity 28th June, 2002 On maturity 30th June On maturity 02nd July, 2002 On maturity 3rd July, 2002 On Maturity (10th July, 2002) On maturity 17th July, 2002
N.A.
N.A.
N.A.
to be allotted
N.A.
N.A.
N.A
N.A
N.A.
N.A.
N.A
N.A
N.A
N.A
Put/ Call : 08th Apr, 25th N.A Apr, 12th May, 29th May, N.A N.A
N.A.
N.A.
N.A
N.A
On maturity 29th July, 2002 On maturity 29th July, 2002 Quarterly- 06th February,2002, 07th May,2002 & , 06th August, 2002 4th August, 2002
N.A.
N.A
N.A.
01 to 30
On Maturity-5th August,2002
Put/Call : 8th May, 22nd May, 5th June, 19th June, N.A.
N.A
N.A.
Quarterly-10th February, N.A. 2002 ;10th May, 2002 & 10th August, 2002 On maturity-13th August, N.A. 2002 On maturity-15th August, N.A. 2002 On maturity-16th August, N.A. 2002 On maturity 25th August, 2002 On Maturity 6th Sept, 2002 11th September, 2002 N.A
01 to 30
N.A.
N.A.
N.A.
N.A
N.A.
N.A.
N.A
Quarterly-08th March, N.A. 2002 , 07th June, 2002 & 09th September, 2002
31 - 75
On maturity-11th September,2002 On maturity 12th Sept, 2002 Quarterly -20th March, 20th June, 20th September
On maturity 26th Sept, 2002
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A
On maturity 30th September, 2002 On maturity01st October, 2002 On maturity 11th October, 2002 Quarterly-16th January,April,July & October Half yearly-22nd April & 22nd October On maturity : 25th October, 2002
N.A
N.A
N.A.
N.A.
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
Monthly starting from 4th N.A. Dec, 2001 to 4th Nov, 2002
N.A.
Quarterly-9th February, N.A. 9th May,9th August &9th November Quarterly N.A. 9th May, 9th August 9th November December Put-7th December 2001 Monthly -13th 2001 to 13th November 7th January 2002 2002 7th February 2002 On maturity 8th N.A. 7th March 2002 November, 2002
Quarterly08th February 08th May 08th Sugust
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Quarterly First Int Payment :February 24, 2002 Monthly (29th Dec, 01, 29th Jan, 02, 01st Mar, 02, 29th Mar, 02, 29th Apr, 02, Monthly (23rd Dec, 01, 23rd Jan, 02, 23rd Feb, 02, 23rd Mar, May, 2002 02, 27th 02, 23rd Apr, & 27th November, 2002 Quarterly First Int Payment :3rd March, 2002 On maturity-07th Dec,2002
to be allotted
Put/Call N.A. Monthly From 23rd December, 2001 to 23rd October, Put & Call-(23rd Dec, 01, N.A. 23rd Jan, 02, 23rd Feb, 02, 23rd Mar, 02, 23rd Apr, 02, 23rd May, 02, N.A. N.A.
N.A.
to be allotted
N.A.
N.A.
Monthly ( 07th Jan, 02,07th Feb, 02, 07th Mar, 02, 07th Apr, 02, 07th May, 02, Monthly ( 07th Jan, 02,07th Feb, 02, 07th Mar, 02, 07th Apr, 02, 07th May, 02, Monthly ( 13th Jan, 02,13th Feb, 02, 13th Mar, 02, 13th Apr, 02, 13th 7th Dec, On maturity : May, 02, 2002 On maturity : 9th Dec, 2002 Monthly ( 15th Jan, 02,15th Feb, 02, 15th Mar, 02, 15th Apr, 02, 15th May, 02, Monthly ( 17th Jan, 02,17th Feb, 02, 17th Mar, 02, 17th Apr, 02, 17th May, 02, On maturity-14th December, 2002 On maturity-16th December, 2002 Monthly ( 09th Feb, 02, 09th Mar, 02, 09th Apr, 02, 09th May, 02, 09th June, 02, 22nd December, 2002
N.A.
N.A.
Put & Call-( 07th Jan, N.A. 02,07th Feb, 02, 07th Mar, 02, 07th Apr, 02, 07th& Call-( 07th Jan, Put May, 02, 07th June, 02,07th Feb, 02, 07th Mar, 02, 07th Apr, 02, 07th May,9th Sept, June, N.A. Put/Call : 02, 07th 2002
Monthly ( 11th Jan, 02,11th Feb, 02, 11th Mar, 02, 11th Apr, 02, 11th May, 02, Monthly ( 13th Jan, 02,13th Feb, 02, 13th Mar, 02, 13th Apr, 02, 13th May, 02, N.A.
N.A.
N.A.
Cert No. 1 to 19
N.A.
Monthly ( 23rd Jan, 02, 23rd Feb, 02, 23rd Mar, 02, 23rd Apr, 02, 23rd May, 02, Monthly ( 29th Jan,02, 01st Mar, 02, 29th Mar, 02, 29th Apr, 02, 29th May, 02,
Put & Call-( 05th Feb, 02, N.A. 05th Mar, 02, 05th Apr, 02, 05th May, 02, 05th June, 02, 05th July, 02, N.A. Put Option dates. August 14, 28. Sept 11,25. Oct 9, 23. Nov 6, 20. Dec 4. Call Option dates. August 14, N.A. Monthly ( 23rd Jan, 02, 23rd Feb, 02, 23rd Mar, 02, 23rd Apr, 02, 23rd May, 02, Monthly N.A. ( 23rd Jan, 02, 23rd Feb, 02, 23rd Mar, 02, 23rd Apr, 02, 23rd May, 02,
N.A.
N.A.
Quarterly 30th September 30th December 30th March & On maturity 26th December, 2002 On maturity 27th Dec, 2002 On maturity 27th December, 2002 On maturity01stJanuary, 2003 On maturity 1st January, 2003 Monthly ( 13th Feb, 02, 13th Mar, 02, 13th Apr, 02, 13th May, 02, 13th June, 02, On maturity-02nd January, 2003 On maturity-03rd January, 2003 On maturity 3rd January, 2003 Monthly ( 07th Feb, 02, 07th Mar, 02, 07th Apr, 02, 07th May, 02, 07th15th 02, On maturity : June, January, 2003
Put & call 26th March,2002 26th June,2002 & 26th September,2002 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & CallN.A. ( 07th Feb, 02, 07th Mar, 02, 07th Apr, 02, 07th May, 02, 07th June, 02, N.A. N.A.
N.A.
N.A.
N.A.
Put & CallN.A. ( 07th Feb, 02, 07th Mar, 02, 07th Apr, 02, 07th May, 02, 07th June, 02, N.A. N.A.
Half Yearly15th July, 2002 & 16th Jan, 2003 Half Yearly18th July, 2002 & 19th Jan, 2003 Monthly- 03rd Mar,2002 & 29th of every month from March, 2002. Monthly- 25th Feb,2002 & 23rd of every month from March 2002. On maturity 23rd Jan, 2003 Quarterly 29th Apr 29th July 29th Oct 29th Yearly 30th July, Half Jan 2002 & 30th Jan, 2003 Half Yearly29th July, 2002 & 30th January, 2003 On maturity : 5th Feb, 2003 Monthly from 7th March Monthly from 13th March
N.A.
N.A.
N.A.
N.A.
put & call- 25th Feb, 02 & N.A. 23rd of every month from March 2002 to December 2002. call- 25th Feb,2002 N.A. put & & 23rd of every month from March 2002 to 23rd December 2002 N.A. N.A.
N.A.
N.A
N.A.
N.A
N.A.
N.A.
Put/Call : 5th Dec, 2002 & 5th January, 2003 Put &Call Monthly from 7th March to 7th January Put &Call Monthly from 7th March to 7th January
N.A.
N.A.
N.A.
On maturity 8th February, N.A 2003 On maturity 19th February, 2003 N.A.
N.A.
N.A.
1st April 29th April & thereafter 29th of every month till 29th Jan, 2003 26th March 23rd April & thereafter 23rd of every month till 23rd February On maturity 23rd Febraury, 2003 On maturity 26th February, 2003 On maturity 26th February, 2003 On maturity 27th February, 2003 Quarterly 01st June 01st Sept 01st December On maturity4th March, 2003 Monthly 8th April 7th May & thereafter on 7th of every month Monthly
Put/Call:Monthly 26th March, 23rd April & therefafter 23rd of every month till Put/Call26th March, 23rd April & therefafter 23rd of every month till N.A.
N.A.
N.A.
N.A.
N.A
N.A
N.A.
N.A.
N.A
N.A
N.A
N.A
N.A.
N.A.
Put/ Call option : N.A 8th April 7th May & thereafter 7th of every month till 07th Put/ Call option : N.A 14th April 8th April 13th May & thereafter on 7th May & thereafter 7th 13th Yearly month of every month till 07th Half of every N.A N.A 7th Sept & 8th March Monthly-23rd of every month Put/ Call option :23rd of every month N.A
Monthly-29th of every Put/ Call option :-month till 29th Jan, 2003 23rd of every month & 1st Mar & 29th Mar, 2003
N.A
On maturity 2nd April, 2003 On maturity 3rd April, 2003 On maturity 5th April, 2003 On maturity 8th April, 2003 On maturity 10th April, 2003 On maturity, 11th April, 2003 Quarterly-16th January,April,July & October 19-Apr-03
N.A
N.A
N.A
N.A
N.A
N.A
N.A.
N.A
N.A
N.A
N.A.
N.A.
N.A.
N.A
N.A
Monthly 23rd of every month Monthly 29th of every month from 29th May, 2002 to 29th Jan,2003 & on 01st Half Yearly 26th October& 26th April On maturity 27th April, 2003
Put/Call : 23rd of every month till 23rd March, 2003 Put/Call : 23rd of every month till 23rd March, 2003 N.A.
N.A
N.A
N.A.
N.A.
N.A.
N.A.
On maturity 3rd May, 2003 Monthly 7th of every month from 07th June, 2002 to 7th May, 2003 Monthly 13th of every month till 13th May, 2003 On maturity : 7th May, 2003
N.A.
N.A.
Put/Call : 7th of every month till 7th April, 2003 Put/Call : 7th of every month till 7th April, 2003 N.A.
N.A.
N.A.
N.A.
last interest on 11th May, Put/Call : 1st Jan, 15th N.A. 2003 Jan, 29th Jan, 12th Feb, 26th Feb, 12th Mar, 26th Mar, 9th Apr, 23rd Apr, On maturity 8th May, N.A. N.A. 2003 On maturity 8th May, 2003 Quarterly 9th Aug, 02, 9th Nov, 02, 9th maturity & May, On Feb, 03 9th 2003 On maturity 10th May, 2003 N.A. N.A. N.A. N.A.
N.A.
N.A.
N.A.
N.A.
Monthly w.e.f 10th June, N.A. 02 to 10th May, 03 On maturity-14th May, 2003 Interest on 20th May, 2003 N.A.
N.A.
N.A.
Put/Call : 10th Jan, 24th N.A. Jan, 07th Feb, 21st Feb, 07th Mar, 21st Mar, 04th Apr, 18th Apr, 02nd May,
Quarterly 17th Aug, 2002 17th Nov, 2002 17th Feb, 2003 Quarterly 17th Aug, 2002 17th Nov, 2002 17th Feb, 2003 May, On maturity, 20th 2003
Put/Call : 17th Aug, 2002 N.A. 17th Nov, 2002 17th Feb, 2003 Put/Call : 17th Aug, 2002 N.A. 17th Nov, 2002 17th Feb, 2003 N.A. N.A.
Monthly Put/Call :23rd of evey from 23rd June, 2002 to month from 23rd June, 23rd May, 2003 2002 to 23rd April, 2003 Monthly from 29th June, to 29th Jan, 2003, then, Quarterly 24th Aug, 24th Nov, 24th Feb & Quarterly 24th Aug, 2002 24th Nov, 2002 24th Feb, 2003 On maturity4th June, 2003 Monthly. 08-07-2002 Monthly. 08-07-2002. Put/Call :23rd of evey month from 23rd June, 2002 to 23rd April, 2003
N.A.
N.A.
Put/Call : 24th Aug, 2002 N.A. 24th Nov, 2002 2002 & 24th Feb, 2003 Put/Call : 24th Aug, 2002 N.A. 24th Nov, 2002 24th Feb, 2003 N.A. N.A.
N.A
N.A.
N.A.
N.A.
N.A
N.A
N.A.
On maturity : 14th June, 2003 On maturity-14th June, 2003 On maturity-17th June, 2003
On maturity, 18th June, 2003
N.A.
N.A.
N.A.
Cert No. 1 to 19
N.A.
N.A.
N.A.
N.A.
N.A.
Put & call-23rd of every N.A. month from July, 2002 to May, 2003 Put & call-23rd of every N.A. month from July, 2002 to May, 2003 N.A. N.A.
Monthly-on 29th.(from 29th July, 2002 to 29th June, 2003) Quarterly24th September, 2002 24th December, 2002 24th March, 2003June, On maturity-24th 2003 On maturity, 24th June, 2003 Quarterly27th September, 2002 27th December, 2002 27th March, 2003July, On maturity-03rd 2003 On maturity-24th June, 2003
N.A.
N.A.
N.A.
N.A.
Put & call27th Septembr, 2002 27th December, 2002 27th March, 2003 N.A.
N.A.
N.A.
N.A.
N.A.
On maturity-03rd July, 2003 Monthly starting from 7th Aug, 2002 to 7th July, 2003 On maturity, 7th July, 2003 On maturity, 8th July, 2003 On maturity-9th July, 2003 On maturity, 16th July, 2003 Monthly from 23rd Aug,2002 to 23rd July,2003 Monthly from 29th Aug,2002 to 29th July,2003 27th July, 2003
N.A.
N.A.
Put/Call : Monthly starting from 7th Aug, 2002 to 7th June, 2003 N.A.
N.A
N.A.
Put/Call : N.A.
N.A.
N.A.
N.A.
Put/Call: N.A.
N.A.
Put/Call : Monthly from 23rd Aug to 23rd June Put/Call : Monthly from 23rd Aug to 23rd June N.A.
N.A.
N.A.
N.A.
On maturity, 28th July, 2003 Quarterly 30th October, 30th Jan, 30th Aprstarting from Monthly &
Put/Call: N.A.
N.A.
N.A.
N.A.
13th September, 2002 to month starting from 07th 13th August, 2003 September,2002 to 07th July, 2003. Sept, 2002 N.A. Monthly Put/Call : 7th 7th Sept, 2002 to 7th to 7th July, 2003 August, 2003
On maturity 13th August, 2003 On maturity : 13th Aug, 2003 On maturity 16th August, 2003 20th August, 2003
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity 19th August, 2003 On maturity 19th August, 2003 Monthly from 23rd Sept, 2002 to 23rd August, 2003 Quarterly, 29th May, 2003, 29th Aug, 2003
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity 29th August, N.A. 2003 On maturity, 2nd Sept, 2003 On maturity, 4th September, 2003 On maturity : 5th Sept, 2003 10th Septmber, 2003 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call : N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Monthly starting from 23rd October, 2002 to 23rd September, 2003 On maturity-25th September, 2003 On maturity, 28th September, 2003 On maturity 1st October, 2003 On maturity 1st October, 2003
Put/Call-23rd of every N.A. month starting from 23rd October,2002 to 23rd August, 2003. N.A. N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 3rd October, N.A. 2003 On maturity, 3rd October, N.A. 2003
N.A.
N.A.
On maturity, 6th October, N.A. 2003 Monthly 27th Oct, 2002 26th Nov, 2002 27th Dec, 9th October Annually- 2002 Put/Call : Monthly starting from 7th November, 2002 to 7th Sept, 2003 N.A.
N.A.
N.A.
Cert No.1
On maturity, 13th October, 2003 Quarterly 20th January, 2003 20th April, 2003 20th July, 2003 Quarterly 22nd January,2003 22nd April, 2003 22nd July, 2003 & Monthly from 23rd November, 2002 to 23rd October,2003 On maturity : 31st October, 2003 On maturity : 5th Nov, 2003 Monthly starting from 13th Dec, 2002 to 13th Nov, 2003 On Maturity 10th Nov 2003 Quarterly 15th Feb, 2003 15th May, 2003 15th Aug, 2003 Quarterly 23rd Nov, 23rd Feb, 23rd May &
Put/Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call : Monthly starting from 7th Dec, 2002 to 7th Oct, 2003 Put/Call: N.A.
N.A.
NA
N.A.
N.A.
N.A.
N.A.
Monthly 23rd Dec, 2002 to 23rd November, 2003 25th November, 2003
N.A.
N.A.
N.A.
N.A.
Monthly Put/Call : Monthly N.A. 7th January, 2003 to 7th 7th January, 2003 to 7th December, 2003 November, 2003 Quarterly 13th March 13th June 13th Sept & On maturity-14th December, 2003 On maturity-14th December, 2003 On maturity-30th December, 2003 On maturity 3rd January, 2004 Annually 5th January N.A. Cert No. 1 to 172 N.A. N.A.
N.A.
Cert No. 1 to 19
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
QuarterlyN.A. 27th March,2003 27th June,2003 27th September,2003 & Put & Call: N.A. On maturity, 6th January, 2004
N.A.
N.A.
Monthly Put/Call : Monthly N.A. from 7th February, 2003 from 7th February, 2003 to 7th January,2004 to 7th December,2003
Monthly from 13th February, 2003 to 13th January,2004 Annually 8th January On maturity, 11th January, 2004 On maturity, 15th January, 2004 On Maturity 17th January, 2004
Put/Call : Monthly N.A. from 7th February, 2003 to 7th December,2003 N.A N.A
N.A.
N.A.
N.A.
N.A.
N.A.
1st March, 2003 Put/Call : Monthly 29th March, 2003 23rd February, 2003 to Monthly 23rd December, 2003 29th April, 2003 to 29th Put & Call: N.A. On maturity, 28th January, 2004 On maturity30th January, 2004 On maturity, 31st January, 2004 On maturity, 3rd February, 2004 On maturity, 4th February, 2004 Monthly 7th March, 2003 to 7th February, 2004 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Monthly Put/Call : Monthly 13th March, 2003 to 13th 7th March, 2003 to 7th February, 2004 January, 2004
N.A.
On maturity16th February, 2004 On Maturity 16th Feb 2004 Quarterly 20th May 20th Aug 20th Nov & Quarterly, 29th May,
N.A.
N.A.
NA
N.A.
N.A.
N.A
N.A.
2003, 29th August, 2003, 29th Nov, 2003, 29th Feb, 2003 4th March, N.A. On maturity, 2004
Monthly 7th April, 2003 to 7th Monthly 7th April, 2003 to 7th March, 2004 Feb, 2004
N.A.
N.A.
N.A.
NA
Monthly, 23rd April, 2003 Put & callN.A. to 23rd March, 2004 Monthly, 23rd April, 2003 to 23rd February, 2004 On maturity, 3rd April, 2004 On maturity, 5th April, 2004 Monthly 7th May to 7th April On maturity, 9th April, 2004 N.A. N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 10th April, 2004 On maturity, 11th April, 2004 17th April, 2004
N.A.
N.A.
N.A.
N.A.
Put/Call: N.A.
N.A.
Monthly, 23rd May, 2003 Put:Monthly, 23rd May, to 23rd April, 2004 2003 to 23rd March, 2004 Call:Monthly, 23rd May, On maturity, 6th May, Put: N.A. 2004 On maturity, 7th May, 2004 On maturity, 7th May, 2004 On maturity, 13th May, 2004 On maturity, 17th May, 2004 On maturity, 19th May, 2004 Put & Call: N.A.
N.A.
N.A.
N.A.
Put: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Monthly- on 29th of every Put & Call:Monthly-23rd month of every month starting from 23rd June, 2003 to 23rd April, 2004 On maturity, 23rd May, Put & Call: N.A. 2004 On maturity, 2nd June, 2004 Put & Call: N.A.
N.A.
N.A.
N.A.
Monthly- 13th of every month starting from 13th July, 2003 to 13th June, 2004 On maturity, 7th June, 2004 On maturity, 13th June, 2004 On maturity, 15th June, 2004 On maturity, 16th June, 2004 On maturity, 16th June, 2004 On maturity, 22nd June, 2004 Monthly starting from 23rd July, 2003 to 23rd June, 2004 On maturity, 24th June, 2004 30th June, 2004
Put & Call:Monthly -07th of every month starting form 07th July, 2003 to07thCall: N.A. Put & May, 2004
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Pu & Call:Monthly starting from 23rd July, 2003 to 23rd May, 2004 Put & Call: N.A.
N.A.
N.A.
Put/Call:Monthly starting N.A. from 26th July, 2003 and ending on 26th May, 2004 N.A. N.A.
Quarterly 11th Jan, 11th Apr & 11th July 2004 On maturity, 8th July, 2004
NA
N.A.
N.A.
Quarterly12th Oct.2003 12th Jan.2004 12th April 2004 July, On maturity, 8th 2004 Quarterly 14th Jan, 2004 14th April, 2004 & 14th July, 2004 15th July, 2004
N.A.
Put & Call:8th May, 2004 N.A. & 8th June, 2004 Put & Call: N.A. NA
N.A.
Onm maturity, 12th July, Put & Call: N.A. 2004 On 27th July, 2004 Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 3rd August, Put & Call: N.A. 2004 Monthly, 7th Sept, 2003 to to 7th Aug, 2004 Half Yearly 12th February & 12th August
N.A.
Put & Call:Monthly, 7th N.A. Sept, 2003 to to 7th July, 2004 N.A. N.A.
Quarterly- 17th May, Put & Call: N.A. 2004 & 17th August 2004 Half Yearly 16th Feb & 16th August N.A.
NA
N.A.
On maturity, 16th August, Put & Call: N.A. 2004 Quarterly 21st Nov, 21st Feb, 21st May & On 27th August, 2004 N.A.
N.A.
N.A.
N.A.
Quarterly, 2nd March, Put & Call: N.A. 2004, 31st May, 2004 & 31st Aug, 2004 On maturity, 5th September, 2004 On maturity, 5th September, 2004 Put & Call: N.A.
N.A.
N.A.
N.A.
Monthly, starting from Put & Call:Monthly N.A. 13th October, 2003 to to starting from 7th Oct, 13th September, 2004 2003 to 7th August, 2004 On maturity, 7th September, 2004
On maturity, 12th September, 2004
N.A.
N.A.
Put/Call : N.A.
N.A.
Quarterly 15th Dec 2003, Put & Call: N.A. 15th Mar 2004, 15th Jun 2004, 15th sep 2004 On maturity, 11th September, 2004 Half Yearly 12th March & 12th Sept Put & Call: N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
Monthly - 23rd October, Put & Call:Monthly from 2003 to 23rd September, October 23, 2003 2004 August 23, 2004 On 27th September, 2004 On maturity, 23rd September, 2004 On maturity, 29th September, 2004 Half Yearly 3rd April & 3rd October Put & Call: N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 3rd October, Put & Call: N.A. 2004 Monthly on 7th of every month On maturity, 3rd November, 2004 On maturity, 5th November, 2004 Monthly, 7th December, 2003 to 7th November, 2004 Annually 18th Nov Quarterly, 22nd Feb, 2004, 22nd May, 2004, 22nd Aug, 2004 & 22nd November, 2004
N.A.
Put & Call:7th of every NA month starting from 07th November, 2003 to 07th September,N.A. Put & Call: 2004 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Monthly, 23rd December, Put & Call:Monthly, 23rd 2003 to 23rd November, December, 2003 to 23rd 2004 October, 2004 Monthly, 23rd December, Put & Call:Monthly, 23rd 2003 to 23rd November, December, 2003 to 23rd 2004 October, 2004 Quarterly-28th Feb 2004, Put & Call: N.A. 28th May 2004, 28th August 2004 & 28th November 2004 Monthly, 7th January, Put & Call : Monthly, 7th 2004 till maturity, 7th January, 2004 to 7th December, 2004 November, 2004 Monthly, 29th January, 2004 to 29th December, 2004 Monthly, 23rd January, 2004 to 23rd December, 2004
N.A.
N.A.
N.A.
N.A.
Put & Call:Monthly, 23rd N.A. January, 2004 to 23rd November, 2004 Put & Call:Monthly, 23rd January, 2004 to 23rd November, 2004 N.A.
N.A.
N.A.
Monthly - 7th Feb 2004 to Put & Call: 07th of every 7th Jan 2005 Month - 7th Feb 2004 to 7th Dec 2004 Quarterly, 12th July, 12th Put & Call: N.A. Oct & 12th January & on maturity Annually 10th January Half Yearly- 12th July 2004 & 10th January 2005 N.A.
NA
N.A.
N.A.
N.A.
Quarterly, 17th July, Put & Call: N.A. 2004, 17th Oct, 200417th Jan, 2005
N.A.
Monthly, 23rd February, Put & Call:Monthly, 23rd N.A. 2004 to 23rd January, February, 2004 to 23rd 2005 December, 2004 Monthly, 29th February, Put & Call:Monthly, 23rd N.A. 2004 to 29th January, February, 2004 to 23rd 2005 December, 2004 Half YearlyN.A. 29th January & 29th July Monthly, 13th March 2004 to 13th February 2005 Put & Call:Monthly, 7th March, 2004 to 7th January, 2005 N.A.
N.A.
23rd of every month Put & Call:23rd March, from 23rd March, 2004 to 2004 to 23rd January, 23rd February, 2005 2005 29th of every month Put & Call:23rd March, from 29th March, 2004 to 2004 to 23rd January, 01st March, 2005 2005 Quarterly, 27th May, 27th Put & Call: N.A. Aug, 27th Nov & 27th Feb Monthly, 13th May, 2004 Put & Call:Monthly, 7th to 13th April, 2005 May, 2004 to 7th March, 2005 Half Yearly N.A 10th October & 10th April Half Yearly N.A 11th October & 11th April Half Yearly 13th April & 13th October Quarterly, 26th July, 2004, 26th October, 2004 ,26th January, 2005 & 26th April, 2005 from Monthly, starting 23rd May, 2004 to 23rd April, 2005 Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A
NA
Put & Call:22nd July, 2004, 22nd October, 2004, 22nd January, 2005 Call:Monthly, Put & starting from 23rd May, 2004 to 23rd March, 2005
N.A.
N.A.
Semi annually- 14th May Put & Call: N.A. & 14th November Quarterly, 22nd Feb, N.A. 2004, 22nd May, 2004, 22nd Aug, 2004, 22nd Nov, 2004,26th Mar,26th Put & Call: N.A. Quarterly, 22nd Feb, Jun,26th Sept, & 26th Dec Half Yearly 30th June & 30th December Half Yearly 12th Jan & 12th July Annually 5th August Half Yearly 17th March & 17th Sept Half Yearly 17th March & 17th Sept Annually, 29th October Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Quarterly, 16th March, 16th June, 16th Sept & 16th Dec
N.A.
Quarterly, 30th Mar, 30th Put & Call: N.A. June, 30th Sept & 30th Dec Annually, 26th December Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half yearly,27th Jan & Put & Call: N.A. 27th July & on 27th June, 2006 Half Yearly, 27th Jan & 27th July Put & Call: N.A.
N.A.
N.A.
Half Yearly, 27th Jan & Put & Call: N.A. 27th July & on 27th Aug. 2006 Half Yearly, 27th Jan & Put & Call: N.A. 27th July & on 27th Sept, 2006 Annually-15th October N.A.
N.A.
N.A.
N.A.
Half Yearly, 27th January Put & Call: N.A. & 27th July & on 27th Oct, 2006 Annually-30th November N.A.
N.A.
N.A.
N.A.
Half YearlyN.A. 10th July & 10th January Half Yearly - 18th July & 18th January Half Yearly29th July, & 29th January, N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A
N.A
N.A
N.A
N.A
Half yearlyN.A. 01st July & 01st January Half yearly-03rd January N.A. & 03rd July Half Yearly 31st March & 30th Sept On Maturity-19th June 2002 On Maturity-25th June 2002 On maturity-26th June, 2002 On maturity-06th September, 2002 On maturity - 11th Sep, 2002 On Maturity-23rd September,2002 On maturity-01st October, 2002 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity -02nd November, 2002 On maturity-23rd November,2002 On maturity-26th November,2002 On maturity 11th Dec, 2002 On maturity-29th December, 2002 On maturity-29th December, 2002 At maturity:10th March, 2003 On maturity 4th April, 2003 On maturity 7th April, 2003 On maturity 14th May, 2003
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
On 23rd Aug & N.A. Quarterly from 21st Nov, 2001 to 21st May, 2003
On maturity, 26th May, 2003 N.A.
N.A.
Quarterly 28th Aug 28th Nov 28th Feb & 28th May
N.A.
On maturity, 28th May, 2003 Quarterly 7th Sept, 7th Dec, 7th maturity 9th June, On Mar & 2003 At Maturity -11th June, 2003 On maturity 12th Jnue, 2003 On maturity 27th June, 2003 On maturity-30th June, 2003 On maturity, 7th July, 2003 On maturity, 25th July, 2003 On maturity 31st July, 2003 On maturity, 22nd September, 2003
N.A
N.A.
N.A
N.A.
N.A.
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 4th October, N.A. 2003 On maturity, 4th October, N.A. 2003
N.A.
N.A.
On maturity, 7th October, N.A. 2003 On maturity, 25th October, 2003 On maturity 4th Nov, 2003 On maturity, 16th January, 2004 On maturity, 17th January, 2004 On maturity, 4th April, 2004 On maturity, 4th April, 2004 On maturity - 04th June, 2004 On maturity, 10th June, 2004 On maturity, 15th May, 2005 On Maturity 15th June 2005 Quarterly, 29th March,, 29th June, 29th Sept, & 29th December Put: N.A Call: N.A. N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly, 1st July & 1st Put & Call: N.A. January
N.A.
Half Yearly, 16th October Put & Call: N.A. & 16th April Half Yearly, 16th April & Put & Call: N.A. 16th October Monthly, 30th June, 31st Put & Call: N.A. July, 31st Aug & 12th Sept, 2003 On maturity, 20th February, 2004 or on exercise of Put/Call Option On maturity, 1st March, 2004 or on exercise of Put/Call Option On maturity, 14th June, 2004 or on exercise of Put/Call Option On maturity, 30th June, 2004 or on exercise of Put/Call Option On maturity, 30th June, 2004 or on exercise of Put/Call Option At maturity- 05th September,2002 At maturity- 05th September,2002 On maturity - 01st Jan, 2003 On maturity14th July, 2003 On maturity, 13th October, 2003 Put & Call : Daily
N.A.
N.A.
1 to 20
Put & Call:Daily, Any working day one day before the exercise date Put & Call:Daily
Put & Call -06th August.2002 Put & Call -06th August.2002 Put & call - 01-Jan-03
25 - 34
25 - 34
35 - 39
N.A.
N.A.
On maturity, 15th March, Put & Call: N.A. 2004 On maturity, 29th March, Put & Call: N.A. 2004 On maturity, 06th July, 2004 Annually-14th August Put & Call: N.A.
91 to 95
96 to 100
141 to 145
Put & Call - 13th August,2002 Call Option - 13th August,2002 Put & Call - 13th August,2002 Call Option - 13th August,2002 Put & Call:30th July, 2004
0 - 15
Annually-01st January
16 - 24
Annually-14th August
0 - 15
Annually-01st January
16 - 24
136 to 140
on 4th August, 2004 &On Put & Call:4th August, maturity, 3rd November, 2004 2004 Annually -02nd January Put & call - 02-Jan-03
40 - 45
On 11th October, 2004 & Put & Call:11th October, on maturity 7th January, 2004 2005 On Maturity 18th April, 2003 On Maturity 18th April, 2003 N.A.
148 to 152
N.A.
NA
B001-B040/00001-20000
NA
Annually on March 31
NA
Annually on March 06
NA
Quartely on 31st march, NA 30th June, 30th September, and 31st Dec Annually on March 09 NA
01-50/0000001-2000000
E001-E005/0001-0050
Semi Annually 30th June & 31st Dec Semi Annually 30th June & 31st Dec Annually 16th Sept On maturity-14th September, 2002 On maturity-16th September, 2002 On maturity-18th September, 2002 On maturity-25th September,. 2002
N.A.
Cert No. 001 to 166 Dist Nos : 00001 to 25802 Cert No. 001 to 264 Dist Nos 25803 to 69235 Cert No. 001 to 400 Dist Nos 69236 to 107574 3300001-5300000
N.A.
800001 - 1300000
N.A.
1300001 - 2300000
N.A.
1 - 500000
On maturity-20th November, 2002 On maturity-14th December, 2002 On maturity-16th December, 2002 On maturity-24th December, 2002 On maturity12th March, 2003 On maturity14th March, 2003 On maturity21st March, 2003
On Maturity, 23rd May, 2003
N.A.
6300001 to 6500000
N.A.
800001 to 1300000
N.A.
1300001 to 2300000
N.A.
1 to 500000
N.A.
800001 to 1300000
N.A.
1300001 to 2300000
N.A.
1 to 500000
N.A
4400001 to 4500000
N.A.
800001 to 2300000
N.A.
1 to 500000
On maturity, 1st September, 2003 On maturity, 5th September, 2003 On maturity, 5th September, 2003
7250001 to 7750000
6200001 to 6700000
800001 to 1300000
On maturity, 8th September, 2003 On maturity, 8th September, 2003 On maturity, 9th September, 2003 Quarterly 30th Sept 31st Dec 31st March &16th On maturity, September, 2003 On maturity, 26th September, 2003 On maturity, 13th October, 2003 On maturity, 11th November, 2003 On maturity, 25th November, 2003 On maturity, 28th November, 2003 On maturity, 3rd December, 2003 On maturity, 4th December, 2003 On maturity, 5th December, 2003
1300001 to 2300000
8250001 to 8450000
8450001 to 8750000
N.A.
2300001 - 3300000
1 to 500000
N.A
7750001 to 8250000
N.A.
4700001 to 5200000
3300001 to 3800000
Put & Call:29th September, 2003 with a notice option date on 26th& Call: N.A. 2003 Put September,
5400001 to 5900000
7250001 to 7750000
6200001 to 670000
Put & Call:16th October, 500001 to 800000 2003 with Option Notice date : 15th Oct, 2003 Put & Call: N.A. 8250001 to 8650000
2300001-3300000
On maturity, 26th Dec, 2003 On maturity, 2nd January, 2004 On maturity, 2nd February, 2004 On maturity, 25th February, 2004 On maturity, 27th February, 2004 On maturity, 3rd March, 2004 On maturity, 3rd March, 2004 On maturity, 5th March, 2004 On maturity, 5th March, 2004 On maturity, 5th March, 2004
Put/Call: N.A.
7750001 to 8250000
6700001 to 7100000
6200001 to 6700000
5400001 to 5900000
7250001 to 7750000
500001 to 800000
800001 to 1300000
8250001 to 8650000
3300001 to 3600000
1300001 to 2300000
On Maturity - 06/02/02
NA
H-2(800001 -1300000
On Maturity - 20/02/02
NA
H-3(1 -600000)
On Maturity - 08/03/02
NA
H-2 Dist Nos (800001 -1300000) H-2 Dist Nos (800001 to 1300000) H-1 Dist Nos (1300001 -2300000) H-3 Dist Nos (1 t0 500000) H-2 Dist Nos (800001 to 1300000) H-2 Dist Nos ( 1300001 to 2300000 H-3 Dist Nos (1 to 500000 N.A.
On Maturity - 22/03/02
NA
On Maturity - 25/03/02
NA
On Maturity - 28/03/02
NA
On Maturity - 19/06/02
NA
On Maturity - 21/06/02
NA
On Maturity - 25/06/02
NA
Half Yearly 13th Feb & 13th August, 2002 Half Yearly 13th Feb & 13th August, 2002 Half Yearly 20th August& 20th February
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 20th August& 20th February Half Yearly 20th November& 20th May On 31st March,2002 & 04th Dec,2002 On maturity, 26th February, 2004 Annually 31st March Annually, 31st March
N.A.
N.A.
Put Option : At the expiry Cert No. 1 to 2001 of 6 years from the date Dist Nos : 1 to 20000 of allotment N.A. 1/(1 - 50)
Put & call10th April, 2003 and on the 10th of every month thereafter N.A.
1 to 25
N.A.
On 31st March & 30th N.A. September First Int Payment : 31st Mar, Yearly-31st March & N.A. Half 2002 30th September Annually 31st March Annually, 31st March N.A
Put &n Call :4th May, 2005 Put & Call : N.A.
N.A.
N.A.
On maturity 5th Dec, 2002 Quarterly 31st March 30th June 30th Sept Quarterly 31st March 30th June 30th Sept Quarterly 31st March 30th June 30th Sept Annually 31st Mar Annually 31st March Annually 31st March Annually 31st March Annually 31st Mar Half Yearly 31st March & 30th Sept Half Yearly 31st Mar & 30th Sept Annually 31st Mar Annually 31st Mar
N.A.
N.A.
Cert No. 1 Dist Nos : 1 to 5000000 Cert No. 1 Dist Nos : 1 to 2000000 Cert No. 1 Dist Nos : 1 to 500000 Dist Nos. : 1 -100
N.A.
N.A.
N.A.
N.A.
Cert No. 1 to 3 Dist Nos : 1 to 7000000 Cert No. 1 to 54 Dist Nos : 1 to 100 Dist Nos : 1 to 25 (Letter of Allotment) Dist Nos. : 1 - 25
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 31st Mar Half Yearly 04th February & 04th August Half Yearly 06th April & 06th October Yearly -7th February
N.A.
N.A.
N.A.
N.A
Put & Call:1st Nov, 2005 N.A. to 15th Jan, 2006 ON February 26,2003 05-05/381-390, 07-19/401-700, 30-30/101-130 01-02/001-100 03-04/131-380, 0606/391-400 20-29/701-800
Monthly on 28
ON February 26,2003
On June 4, 2003
On maturity - 21st April, 2002 On maturity - 13th May, 2002 On maturity16th July, 2002 On maturity10th August, 2002 On maturity - 1st October, 2002
Daily - subject to the notice of one business day(T + 1) basis for exercise of option, Exerciseable by either
HDFC1 - HDFC10
HDFC 11 - HDFC 30 party, at the end of 60 days with a notice period of 1 day Daily subject to notice of HDFC 1 - HDFC 10 1 day provided notice is given before 2 p.m. on any Exercisable by either HDFC 31 - HDFC 50 party, at the end of 60 days with a notice period of 1 day Exerciseable by either HDFC51 to HDFC70 party at the end of 60 days provided notice is given before 2 p.m. on
On maturity 14th October, 2002 On maturity 30th December, 2002 On maturity - 06th Jan, 2003
Daily HDFC 71 to HDFC 80 Exercisable by either party, at any time, during the currency of the Put/Call : Exerciseable by HDFC81 to HDFC100 either party at the end of 60 days with a notice period of one daythe Daily - subject to JM 1 - JM 7
notice of one business IL 1 - IL 5 day(T + 1) basis for exercise :of option, On maturity Put/Call Exerciseable by HDFC101 to HDFC110 10th January, 2003 either party at anytime with a notice period of On maturity - 19th March, one day providednotice of A1 - A 5 Daily subject to notice 2003 1 day provided notice is given before 2 :p.m. on any by HDFC 111 - HDFC 130 On maturity Put/Call Exercisable 30th March, 2003 On maturity - 7th April, 2003 On maturity 9th April, 2003 On maturity, 25th June, 2003 On maturity - 13th September, 2003 On maturity 1st December, 2003 On maturity 10th December, 2003 On maturity 2nd January, 2004 either party after 60 days with a notice period of one day providednotice of A1 - A 12 Daily subject to notice 1 day provided notice is given before 2 :p.m. on any by HDFC131 to HDFC140 Put/Call Exerciseable either party at anytime during the currency of the instrument with a notice HDFC141 to HDFC160 Put & callExercisable by either party, at the end of 60 days with a notice period J 1 - J 5 Put & call-Daily Subject to the Notice of One Business Day (T +1 basis) for Exerciseable by J 6 to J 30 Put/Call : exercise of either party, after 28 days from the deemed date of allotment.Exerciseable by J 31 to J 35 Put/Call : Provided either party after 28 days from the deemed date of allotment provided notice J36 to J60 Put/Call : Exercisable by either party, after 26 days from the deemed date of allotment ie on 30th
Put/Call : Exercisable by J61 to J85 either party after 23 days from the deemed date of allotment Put & call- ie. 26th J86 to J110
Exerciseable by either party, after 23 days from the deemed date of
Exerciseable by either party J111 to J115 provided notice is given before 2 p.m. on any business day
On maturity, 19th August, Put & Call : Daily, 2004 exercisable by either party by giving one day notice before 2.00 p.m. Annually N.A. 10th July On maturity, 7th July, 2003 On maturity, 22nd September, 2003 On maturity, 7th April, 2004 On maturity, 4th May, 2004 On maturity, 8th May, 2004 On maturity, 1st June, 2004 On maturity, 10th June, 2004 On maturity, 29th June, 2004
B11 to B25
UTI 1 to UTI 25
Pu/Call t:Daily, Subject to H1 to H10 notice of One business day (T+1 basis) for exercise of Option, Put & Call:Exercisable at H11 to H30 the end of 60 days with a notice period of one day provided:Daily, Subject to JM1 to JM30 Put/Call notice is given notice of One business day (T+1 basis) for exercise of Option, Put & Call:Exerciseable
JM31 to JM60 by either party on 29th May, 2003, provided notice Call:Exercisable by JM61 to JM70 Put & is given before either party on 29th May, 2003, provided Notice is given before 2.00 p.m. on JM71 to JM100 Put & Call:27th June, 2003, provided notice is given before 2.00 p.m. on any & Call:On day June, JM 101 to JM 105 Put business 27th 2003 provided notice is given before 2.00 p.m. on any & Call:Daily, Put business day JM-1 to JM-15 Exercisable by either party by giving one day notice before 2.00 p.m.
Half Yearly 7th February & 7th August Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Annually 6th January Half Yearly 30th Mar & 30th Sept Quarterly, 30th June, 30th Sept, 31st Dec & 31st Mar Quartely on 31st March, 30th June,30th September,31st Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March
N.A.
1 to 150
Put/Call : 23rd March, 2003 Put/Call : 10th August, 2003 Put/Call : 14th December, 2005 N.A.
2 to 4
11001 to 1104
1 to 122
1 to 52
GNCL/UTI/2004/001 to 150
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Quarterly 30th September 31st December 31st Yearly & Half March 30th Sept & 31st March Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March Annually 30th September On Maturity 13th August 2004
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & call -At the end of every year with two months notice N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
3/30/2006
Cert No. 2 Dist Nos. 500 to 999 Cert No. 3 Put & Call : Excercisable Dist Nos 1000 to 1699 B1-B10 daily by either party by giving one day notice before 2.00 pm (T +1 )
Monthly 1st of every month Monthly 4th of every month Monthly 1st of every month Monthly 1st of every month Monthly, at the end of each month
N.A.
N.A.
N.A.
N.A.
Put & call-any time after GVK-03/2003 3 months from the date of issue by giving 3 working days notice time after GVK-04/2003 Put & call-any 3 months from the date of issue by giving 3 working days notice N.A. GVK-05/2003
31st July, 2003, 31st N.A. GVK-06/2003 August, 2003, 30th September, 2003 & 10th October, 2003 QuarterlyPut-Daily(can be 1/(0000001 - 4800000) 15th March, 15th June, converted into 15th September & 15th Redeemable Cumulative December Convertible Preference QuarterlyPut-Daily(can be 1/(0000001 - 4000000) 15th March, 15th June, converted into 15th September & 15th Redeemable Cumulative December Convertible Preference QuarterlyPut-Daily(can be 1/(0000001 - 0400000) 15th January, 15th April, converted into 15th July & 15th October Redeemable Cumulative Convertible Preference QuarterlyPut-Daily(can be 2/(4800001 - 55000000 15th March, 15th June, converted into 15th September & 15th Redeemable Cumulative December Convertible Preference QuarterlyPut-Daily(can be 2/(0400001 - 3500000) 15th January, 15th April, converted into 15th July & 15th October Redeemable Cumulative Convertible Preference QuarterlyPut-Daily(can be 3/(3500001 - 4000000) 15th January, 15th April, converted into 15th July & 15th October Redeemable Cumulative Convertible Preference Semi AnnuallyPut & call-End of 5th year 1 - 176/(1 - 10000) 31st March & 30th September from the date of allotment
Semi Annually30th June & 31st December Semi Annually30th June & 31st December Semi Annually30th June & 31st December Semi Annually30th June & 31st December Semi Annually30th June & 31st December Semi Annually30th June & 31st December Semi Annually30th June & 31st December Semi Annually31st March & 30th September Semi Annually31st March & 30th September Semi Annually31st March & 30th September Semi Annually31st March & 30th September Semi Annually31st March & 30th September Quarterly, 5th May, 5th Aug, 5th Nov & 5th Feb
Put-daily(can be converted into equity shares before at IPO price. Put-daily(can be converted into equity shares before at IPO price. Put-daily(can be converted into equity shares before at IPO price. Put-daily(can be converted into equity shares before at IPO price. Put-daily(can be converted into equity shares before at IPO price. Put-daily(can be converted into equity shares before at IPO price. Put-daily(can be
1 - 163/(1 - 5259)
1/(1 - 5000)
1/(1 - 6000)
1 -5/(1 - 4000)
1-15/(1 - 6500)
16/(6501 - 6541)
17-18/(6542 - 6641)
converted into equity shares before at IPO price. call- End of 4th,5th 1 - 8/(1 - 3320) Put & & 6th year from the date of allotment Put -End of 5th year from 1- 4/(1 - 760) the date of allotment call-End of 4th, 5th & 6th year& call-Enddate of year 1 - 116/(1 - 4347) Put from the of 5th from the date of allotment Put & call-End of 5th year 1 - 10/(1 - 1000) from the date of allotment Put & call-End of 5th year 11 - 15/(1001 - 1390) from the date of allotment Y, Put 1 to 2000000 5th February, 2004 & 5th February, 2005 Call : 5th May, 2003
On maturity 15th April, 2005 Half Yearly 30th June & 31st December Half Yearly 30th June & 31st December Half Yearly 30th June & 31st December Half Yearly 30th June & 31st December
Annually 01st January
N.A.
4300001 to 8000000
Put/Call : N.A.
01 to 10
Put/Call : N.A.
11 to 61
Put/Call : N.A.
62-90
Put/Call : N.A.
91-100
Put/Call : N.A.
01 to 10
Put/Call : N.A.
11 to 50
Put/Call : N.A.
01 to 35
Put/Call : N.A.
36 - 45
Put/Call : N.A.
01 to 01
Put/Call : N.A.
02 to 02
Half Yearly 31st March & 30th Sept Half Yearly 31st March & 30th Sept
N.A.
N.A.
1 to 10
N.A.
N.A.
N.A.
N.A.
N.A.
1 to 9
NA
Half Yearly 23rd Feb & 23rd August Half Yearly 23rd Feb & 23rd August Half Yearly 23rd Feb & 23rd August Half Yearly 23rd Feb & 23rd August Half Yearly 28th Feb & 28th August Half Yearly 28th Feb & 28th August Half Yearly 28th Feb & 28th August
Put/Call : After 3 years 23rd August, 2005 Put/Call : 23rd August, 2005 Put/Call : After 3 years 23rd August, 2005 Put/Call : 23rd August, 2005 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 28th Feb & 28th August Annually, 31st July
N.A.
N.A.
1 to 2128
On maturity, 28th August Put & Call: The date of ,2004 announcement by the Govt. Annually, 1st July Put & Call:1st January, 2004
1to 24 (10000), 1 to 4
1 to 23 (1 to 220)
Interest is payable on redemption or on exercise of Put/Call option whichever ison Interest is payable redemption or on exercise of Put/Call option whichever ison Interest is payable redemption or on exercise of Put/Call option whichever ison Interest is payable redemption or on exercise of Put/Call option whichever ison Interest is payable redemption or on exercise of Put/Call option whichever is Quarterly 01st March & 1st June On maturity 14th October, 2002 On maturity 14th October, 2002
Put/Call : One working Cert No. 252 day notice by HAL/Investor. Notice should beOne working11 Cert No. 253 to 262 Put/Call : sent before day notice by HAL/Investor. Notice should beOne working11 Cert No. 269 to 273 Put/Call : sent before day notice by Cert No. 274 to 278 HAL/Investor. Notice should beOne working11 Cert No. 279 to 288 Put/Call : sent before day notice by Cert No. 289 to 291 HAL/Investor. Notice Cert No. 292 to 294 should beOne working11 Cert No. 297 to 300 Put/Call : sent before day notice by HAL/Investor. Notice should be sent before 11 N.A. Cert No. 301 to 304 Cert No. 305 to 306 Cert No. 307 to 309 N.A.
N.A.
N.A.
N.A.
N.A.
On maturity 18th October, 2002 On maturity 29th October, 2002 On maturity 23rd November, 2002 On maturity 15th January, 2003 Half Yearly 30th June & 31st December Quarterly 30th Sept, 31st Dec, 31st Mar & Quarterly 30th Sept 31st Dec & on maturity -03rd On maturity, 21st May,
2003
N.A
N.A.
N.A
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
Rollover option on 89th day 3rd November, 2002 Roll Over option on 89th day ie 1st December,2002)
N.A.
N.A.
N.A.
N.A.
On maturity, 28th May, 2003 On maturity, 28th May, 2003 Quarterly 31st March 30th June 30th Sept & 1st On maturity, September, 2003 On maturity, 1st September, 2003
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 21st October, 2003 On maturity, 25th November, 2003 On maturity, 25th November, 2003 On Maturity 25th Nov 2003
N.A.
N.A.
N.A.
NA
Quarterly, 30th Sept, 31st Put & Call:16th October, December & on maturity, 2003 16th January, 2004 On Maturity 26th Feb 2004 On maturity, 5th March, 2004 On maturity, 23rd March, 2004 Put & Call:26/12/04 (rollover option)
N.A.
NA
On maturity, 26th March, Put & Call: Daily 2004 On Maturity 12th April 2004 On maturity, 23rd April, 2004 On maturity, 24th May, 2004 or on Put/Call date On maturity, 24th May, 2004 Put & Call: N.A.
N.A.
NA
N.A.
N.A.
N.A.
On maturity, 7th June, 2004 On maturity, 23rd June, 2004 On maturity, 6th August, 2004
N.A.
N.A.
N.A.
On maturity, 23rd August, Put & Call : N.A. 2004 On maturity, 20th September, 2004 On maturity, 05th October, 2004 On maturity, 5th November, 2004 On maturity, 22nd November, 2004 On maturity, 24th September, 2004 On maturity, 8th December, 2004 Put & Call:21st June, 2004 Put & Call: 06th July, 2004 Put & Call :6th August, 2004 Put & Call :23rd August, 2004 Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Quarterly, 30th Sept, 31st Put & Call:6th October, N.A. Dec, 31st Mar & 30th 2004, 3rd Jan, 2005, 1st June April, 2005 & 29th June, 2005 Call:18th Oct, Quarterly, 30th Sept, Put & N.A. 2004, 31st Dec, 2004, 2004, 14th Jan, 2005, 31st Mar, 2005 & 30th 13th Apr, 2005 & 11th June, 2005 July, 2005 of 3rd year ie Cert No. 7561 to 7643 Half Yearly At the end 31st December & 30th June 30th June, 2001 Dist Nos : 007561 to 010515
Annually-01st October
Put & call02-Oct-03 & 02-Oct-04 Put & call06-Oct-03 & 06-Oct-04 Put & call10-Oct-03 10-Oct-04 Put & Call : N.A.
Annually-01st October
4/(1501 - 2500)
1st July, 2004 & 1st January, 2005 Annually on 4th February, 2003 Annually 4th February, 2003 On maturity, 15th September, 2004 On maturity - 26th April, 2002 On maturity - 24th July, 2002 On maturity - 21st October, 2002 On maturity - 13th December, 2002 On maturity - 18th January, 2003 On maturity - 17th February, 2003
N.A.
C0001-C4500
Put & call-04th February, C0001-C4500 2005(with minimum one month notice) Put & Call: N.A. N.A.
N.A.
1 to 10
N.A.
1 to 10
N.A.
1 to 10
N.A.
1 to 900
N.A.
1 to 10
N.A.
001 to 010
On maturity 3rd March, 2003 On maturity 28th March, 2003 On maturity 16th April, 2003 On maturity 23rd April, 2003 On maturity 19th May, 2003 On maturity, 7th July, 2003 On maturity, 7th July, 2003 On maturity, 15th July, 2003 On maturity - 19th August, 2003
N.A.
001 to 015
N.A.
001 to 005
N.A.
001 to 010
N.A.
001 to 010
N.A.
001 to 010
Put: N.A.
001 to 005
Put/Call : N.A.
001 to 010
001 to 005
001 to 010
On maturity, 1st October, N.A. 2003 On maturity, 7th July, 2003 On maturity, 13th October, 2003 On maturity, 20th October, 2003 N.A.
001 to 005
001 to 010
N.A.
001 to 010
001 to 010
On maturity, 21st October, 2003 On maturity, 21st October, 2003 On maturity, 10th November, 2003 On the Maturity On maturity, 29th December, 2003 On maturity,31st December, 2003
001 to 005
001 to 005
001 to 010
Put/Call: N.A.
001-010
001 to 010
001 to 010
On maturity, 9th January, Put & Call: N.A. 2004 On maturity, 8th March, 2004 On maturity, 9th March, 2004 Put & Call: N.A.
001 to 010
001 to 010
001 to 005
On maturity, 22nd March, Put & Call: N.A. 2004 On maturity, 22nd March, Put & Call: N.A. 2004 On maturity, 29th March, Put & Call: N.A. 2004 On maturity, 7th April, 2004 Put & Call: N.A.
001 to 010
001 to 010
001 to 010
On maturity, 13th April, 2004 On maturity, 7th May, 2004 Half Yearly -01st July & 01st January Half Yearly -01st July & 01st January Half Yearly -01st July & 01st January Half Yearly -01st July & 01st January On maturity 29th November, 2003 Annually, 16th March
001 to 010
N.A.
N.A.
N.A.
N.A.
0014/(70400 - 70403)
N.A.
001 to 440
N.A
N.A
N.A.
N.A
N.A
N.A.
1 to 1000
N.A
1 to 1250
N.A
N.A
Annually 11th October Annually 11th October Half Yearly 18th Nov & 18th May Half Yearly 18th Nov & 18th May Half Yearly 20th Nov & 20th May Half Yearly 20th Nov & 20th May Annually 18th December Annually 18th December Annually 9th January Annually 9th January Half yearly 14th June & 14th Dec Half yearly 14th June & 14th Dec Half yearly 14th June & 14th Dec
N.A
1 to 1500
N.A
N.A
N.A
1 to 500
N.A
N.A
N.A
1 to 250
N.A
N.A
N.A
1 to 1500
N.A
N.A
N.A
1 to 1500
N.A
N.A
N.A.
87/3/E/1 30
N.A.
87/3/D/1 16
N.A.
87/3/C/1 250
Half yearly 14th June & 14th Dec Half yearly 14th June & 14th Dec On maturity, 8th September, 2003 Half yearly 28th Sept & 28th yearly Half Mar 28th Sept & 28th yearly Half Mar 28th Sept & 28th yearly Half Mar 28th Sept & 28th yearly Half Mar 28th Sept & 28th Mar On maturity, 25th June, 2004 Half yearly 27th Sept & 27th yearly Half Mar 27th Sept & 27th yearly Half Mar 27th Sept & 27th yearly Half Mar 27th Sept & 27th Mar
N.A.
87/3/B/1 79
N.A.
87/3/A/1 19
94/1/E/1 44
N.A.
94/1/D/1 22
N.A.
94/1/C/1 110
N.A.
94/1/B/1 28
N.A.
94/1/A/1 52
95/1/E/1 54
N.A.
95/1/D/1 51
N.A.
95/1/C/1 103
N.A.
95/1/B/1 23
Half yearly N.A. 27th Sept & 27th Mar On maturity, 31st March, Put & Call: N.A. 2005 Half yearly 11th Sept & 11th yearly Half Mar 11th Sept & 11th yearly Half Mar 11th Sept & 11th yearly Half Mar 11th Sept & 11th yearly Half Mar 11th Sept & 11th yearly Half Mar 11th Sept & 11th yearly Half Mar 11th Sept & 11th Mar Annually 10th January Annually 30th January
Annually-15th Feb
95/1/A/1 73
HBXXXV01-02, 001-5250
N.A.
96/1/G/1 5
N.A.
96/1/F/1 6
N.A.
96/1/E/1 28
N.A.
96/1/D/1 34
N.A.
96/1/C/1 20
N.A.
96/1/B/1 20
N.A.
96/1/A/1 6
N.A.
N.A.
N.A.
N.A.
Annually 10th May Annually 10th May Annually 27th March Annually 10th May Annually 27th March Annually 17th May Annually 10th May Annually-08th May
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually-10th April
N.A.
Annually-28th June
N.A.
Annually-10th April
N.A.
Annually-28th June
N.A.
Half yearly 21st Mar & 21st yearly Half Sept 21st Mar & 21st yearly Half Sept 21st Mar & 21st yearly Half Sept 21st Mar & 21st yearly Half Sept 21st Mar & 21st yearly Half Sept 25th May & 25th yearly Half Nov 25th May & 25th yearly Half Nov 25th May & 25th yearly Half Nov 25th May & 25th yearly Half Nov 25th May & 25th yearly Half Nov 27th Sept & 27th Mar
N.A.
92/2/E/1 5
N.A.
92/2/D/1 2
N.A.
92/2/C/1 29
N.A.
92/2/B/1 17
N.A.
92/2/A/1 66
N.A.
92/3/E/1 40
N.A.
92/3/D/1 8
N.A.
92/3/C/1 124
N.A.
92/3/B/1 67
N.A.
92/3/A/1 44
N.A.
98/1/E/1 10
Half yearly 27th Sept & 27th yearly Half Mar 27th Sept & 27th yearly Half Mar 27th Sept & 27th yearly Half Mar 27th Sept & 27th Mar -25th February Annually
N.A.
98/1/D/1 4
N.A.
98/1/C/1
N.A.
98/1/B/1 4
N.A.
98/1/A/1 165
Put/Call : any time after 12 months Put/Call on August 16, 2003 Not Applicable
N.A
1-100
1 to 125
Annually
N.A.
1 to 125
None
N.A.
N.A
1 to 3000
N.A
1-6000
Half Yearly 10th June & 10th December Half Yearly 10th June & 10th December Half Yearly 10th June & 10th December Half Yearly 10th June & 10th December Annually 11th Feb Half Yearly 10th June & 10th December Half Yearly 10th June & 10th December Half Yearly 10th June & 10th December Half Yearly 10th June & 10th December Annually 6th May Annually 6th May Half Yearly 10th June & 10th December Half Yearly 10th June & 10th December
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
None
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 23rd August, Put & Call: N.A. 2003 Haly yearly 31st March /30th September On June 10th and December 10th of each year On June 15th and December 15th of each year On June 10th and December 10th of each year On June 15th and December 15th of each year On 23rd October and 23rd April each year On 29th October and 29th April each year On June 10th and December 10th of each year On June 15th and December 15th of each year On June 10th and December 10th of each year On June 15th and December 15th of each year N.A.
HB 01/0001 to 3800
XVA00001XVA00005/0001-10000 SPSA0001/1-26
N.A.
N.A.
A0001/1-280
N.A.
SPSA0002/27-52
N.A.
A0002/281-569
N.A
42156-52155
N.A
52156-57155
N.A.
SPSA0003/53-78
N.A.
A0003/570-867
N.A.
SPSA0004/79-108
N.A.
A0004/868-1174
On June 10th and December 10th of each year On June 15th and December 15th of each year On June 10th and December 10th of each year On June 15th and December 15th of each year On June 10th and December 10th of each year On June 15th and December 15th of each year On June 10th and December 10th of each year On June 15th and December 15th of each year On June 10th and December 10th of each year On June 15th and December 15th of each year On June 10th and December 10th of each year On June 15th and December 15th of each year On June 10th and December 10th of each year
N.A.
SPSA0005/109-138
N.A.
A0005/1175-1491
N.A.
SPSA0006/139-168
N.A.
A0006/1492-1818
N.A.
SPSA0007/169-200
N.A.
A0007/1819-2155
N.A.
SPSA0008/201-232
N.A.
A0008/2156-2502
N.A.
SPSA0009/233-264
N.A.
A0009/2503-2860
N.A.
SPSA0010/265-299
N.A.
B0001/2861-3229
N.A.
SPSA0011/300-334
N.A.
B0002/3230-3610
Annually-4th July
N.A.
Cert No. 504 to 548 Dist Nos : 158383 to 160882 Cert No. : 849 to 953 Cert No. 2 Dist Nos : 11 to 110
Annually-4th July
N.A.
Cert No. 3 to 5 Dist Nos : 111 to 155 Cert No. 17 Dist Nos : 6967 to 7247 Cert No. 68 Dist Nos : 4260 to 4269 Cert No. 84 to 98 Dist Nos 350 to 351 Cert No. : 5047 to 5061 Dist Nos : 8508 to 8557 Cert No. 408 Dist No. 9981 to 10080 N.A.
Annually-24th July
N.A.
N.A.
Call : 22nd Oct, 2005 & 22nd Oct, 2006 Put/Call Percentage : 100% N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly, 20th March & N.A. 20th Sept Annually-31st October N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Call-22nd October 2003 & 22nd October, 2004 Call Percentage -100% Notice Period-Not less
N.A.
1 to 212541
1 to 584188
N.A.
N.A.
1 to 142774
N.A.
1 to 320864
N.A.
N.A.
Call : 22nd Oct, 2005 & 22nd Oct, 2006, Percentage : 100%, Notice Period : Not2005 Call-22nd October less & 22nd October, 2006 Call Percentage -100% NoticeCall: N.A. less Put & Period-Not
N.A.
N.A.
N.A.
1 to 2127
N.A.
1 to 7703
N.A.
Annually-4th July
N.A.
N.A.
N.A.
N.A.
1 to 113410
Annually-6th February
Put/Call : on 6th Feb, 2003 and every year thereafter on 6th Feb N.A.
Annually-01st June
N.A.
1 to 4586
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
1 to 344028
N.A.
N.A.
1 to 175356
N.A.
1 to 38009
N.A.
1 to 7691
N.A.
Half Yearly, 20th Mar & 20th Sept Annually 5th November
N.A.
NA
NA
N.A.
N.A.
Annually, 15th December Annually, 20th August & 20th February Half Yearly-20th Aug & 20th Feb Annually, 2nd March
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 2nd Sept & 2nd Marc Half Yearly, 2nd Sept & 2nd March Semi Annually 2nd September & 2nd March Semi-Annually 2nd Sep,2nd Mar Half Yearly, 2nd Sept & 2nd Mar
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 2nd Sept & 2nd Marc Half-Yearly, 02nd September 02nd March Half Yearly 2nd Sept & 2nd Mar Half Yearly, 2nd Sept & 2nd Mar Half Yearly, 2nd Sept & 2nd March Annually 2nd March Half Yearly, 2nd Sept & 2nd March Semi Annually 2nd September & 2nd March Half Yearly, 2nd Sept & 2nd Mar Annually 20th July Annually, 2nd March
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
Annually, 20th July Annually, 20th July Annually, 20th July Annually, 20th August
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
N.A.
N.A.
N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly : 22nd Jan & 22nd July Annually 20th August Annually, 22nd October
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Call : 22nd Oct, 2003 & 22nd Oct, 2004 Percentage : 100% NoticeCall: N.A.Not less Put & Period :
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Call : 22nd Oct, 2003 & 22nd Oct, 2004 Percentage : 100% NoticeCall: N.A.Not less Put & Period :
N.A.
N.A.
N.A.
N.A.
Call : 22nd December 2003, 22nd December 2004 Percentage : 100% N.A.
N.A.
N.A.
Call : 22nd Dec, 2003, 22nd Dec, 2004 Percentage : 100% Annually, 21st November Notice Period : Not less N.A.
N.A.
N.A.
N.A.
N.A.
Call - On 22.12.2003, 22.12.2004 Percentage : 100% Notice Period : Not Less N.A.
N.A.
N.A.
Annually, 22nd December Annually, 22nd December Annually 22nd Dec Annually, 21st Nov
Put : N.A. Call: 22nd Dec, 2003; 22nd Dec 2004 Percentage :100% Call - On 22.12.2003, 22.12.2004 Percentage : 100% Notice Period : Not Less N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Call : 9th April 2004, 9th April 2005. Percentage:100% Notice Period:Not less
N.A.
Call : 9th April 2004, 9 th April 2005 Percentage : 100% Annually, 21st November NoticeCall: N.A.Not Less Put & Period :
N.A.
N.A.
Call : 9th April, 2004, 9th N.A. April, 2005 Percentage : 100% Notice Period : Not less N.A. Call : 09th April, 2004 and every year thereafter on 09th April PercentageN.A. Put & Call: : 100% N.A.
Call : On 23rd April 2004 N.A. and every year thereafter on 23rd April Percentage : 100% N.A. N.A.
Call Option: N.A. On 23.04.2004 and every year thereafter on 23rd April N.A. N.A.
N.A.
N.A.
N.A.
Half Yearly 23rd Jan & 23rd July Annually, 23rd July
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
1-83835
Call - On 22.12.2003, 22.12.2004, 22.12.2005 Percentage : 100% NoticeCall: N.A.Not Less Put & Period :
N.A.
N.A.
Call: 22nd Dec, 2003, 22nd Dec, 2004 & 22nd Annually 15th December Dec, 2005, N.A. Put & Call: Percentage
1-130404
N.A.
1 to 153455
NA
1 - 63912
NA
Call: 22nd 0ctober,2005 and 22 0ctober, 2006 Percentage:100% Notice Period: Not less Put : N.A. Call: 22nd Oct, 2005 & 22nd Oct, 2006, Percentage :100%, Call : 22nd October 2005, 22nd October 2006 PercentageOct, 2005, Call : 22nd : 100% 22nd Oct, 2006 Percentage : 100% Notice Period : Not less Call: 22nd 0ctober,2005 and 22 0ctober, 2006 Percentage:100% NoticeCall: N.A.Not less Put & Period:
N.A.
N.A.
N.A.
N.A.
N.A.
1 to 83199
Put & Call: N.A. Call:22nd Oct, 2005 & 22nd Oct, 2006, PercentageN.A. Put & Call: : 100%,
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually, 22nd December Annually 19th Dec Semi Annually, 20th August & 20th February Half Yearly, 20th Aug & 20th Feb Annually, 23rd April
Put : N.A. Call: 22nd Dec, 2003; 22nd Dec 2004; 22nd Dec 2005 & 22nd Dec N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put: N.A. N.A. Call: 23rd April, 2004 and every year thereafter on 23rd April, Percentage Put & Call: N.A. N.A.
Annually,23rd April
Put : N.A. Call: 23rd April 2004 & everyyear thereafter on 23rd April. N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Yearly.20th March, 20th September. Yearly.20th March, 20th September. Annually 18th Dec & at maturity
NA
NA
N.A.
12/(16061 - 16560)
Annually 18th December Annually 18th December Annually 18th December Annually 18th Dec Annually 9th December Annually 12th December Annually 12th December Yearly.22nd December.
Put/Call :N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A.
Cert No. 955 to 964 Dist Nos : 235338 to 236337 Cert No. 280 to 285 Dist Nos : 5308 to 5427 N.A.
N.A.
N.A.
NA
Annually 19th Dec Annually 18th December Annually 22nd Dec Half Yearly 20th Feb & 20th August
Put/Call : N.A.
N.A.
N.A
N.A.
N.A.
Annually 2nd March Half Yearly 2nd Sept & 2nd March Half Yearly 2nd Sept & 2nd Mar Half Yearly 2nd March & 2nd Sept Annually 2nd March Half Yearly 2nd Sept & 2nd March Half Yearly.02nd March. 02nd September. Half Yearly 2nd Sept & 2nd March Half Yearly 2nd Sept & 2nd March Half Yearly 2nd Sept & 2nd March Annually-02nd March
N.A.
N.A
N.A
N.A.
N.A.
Cert No. 148 Dist Nos : 17808 to 17832 Cert No. 285 to 289 Dist Nos : 22805 to 23304 Cert No. 219 Dist Nos : 21873 Cert No. 244 Dist Nos : 22589 to
Put/Call : N.A.
N.A.
NA
N.A.
N.A.
N.A.
N.A.
Put/Call : N.A.
N.A.
N.A.
N.A.
Yearly.02nd March, 02nd NA September. Half yearly 2nd Sept & 2nd March N.A. As per Annexure
Half Yearly 2nd Sept & 2nd March Half Yearly 2nd Sept & 2nd March Annually 2nd March Annually-02nd March
N.A.
N.A
Cert No. 779 to 794 Dist Nos : 52827 to 52945 Cert No. 877 to 1012 N.A.
N.A.
N.A.
Cert No. 1762 Dist Nos : 84264 to 84463 Cert No. 1770 395 Cert No. 371 Dist. No. 26506 - 29005
Put/Call : N.A.
N.A.
Cert No. 1774 Dist Nos : 85367 to 85376 Cert No. 1796 to 1799 N.A.
Annually-27th February
N.A.
N.A.
Half Yearly 2nd Sept & 2nd March Half Yearly 2nd Sept & 2nd March Half Yearly 2nd Sept & 2nd March Annually 2nd March Annually 2nd March Yearly 2nd March
N.A.
N.A.
Cert No. 1875 to 1876 Dist Nos : 89698 to 89699 Cert No : 3246 to 3255 N.A.
Put/Call : N.A.
N.A.
N.A.
N.A.
Cert No. 396 to 400 Dist Nos : 29006 to 29505 Cert No. : 404 to 422 N.A.
N.A.
As per Annexure
Annually 2nd Mar Half Yearly 2nd Sept & 2nd Mar Half Yearly 2nd Sept & 2nd March Yearly.02nd March.
N.A.
N.A.
N.A.
N.A.
NA
Annually 4th July Annually 20th May Annually 20th May Annually 20th May Annually-20th May
Put/Call : N.A.
N.A.
N.A.
As per annexure
N.A.
N.A.
Cert No. 60 to 64 Dist Nos : 1149 to 1648 Cert No. : 95 to 96 Dist Nos. : 2215 to 2304 N.A.
Annually 20th May Annually 20th July Half Yearly 20th Oct & 20th April Half Yearly 30th Nov & 31st May
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 20th July Annually 20th July Annually 4th July Annually 4th July Annually 20th July Annually 4th July Annually 20th July Annually 4th July Annually 20th July Annually 4th July Annually 20th July Annually 4th July Annually 20th July
N.A.
Put/Call : N.A.
Cert No 5618 Dist Nos : 71803 to 71852 Cert No. 6463 to 5585 Cert No. 5581 Dist Nos : 59819 to 60318
N.A
N.A.
N.A
N.A.
N.A.
N.A
Cert No. 6220 Dist Nos : 97738 to 97837 Cert No. 6488 N.A.
Put/Call : N.A.
N.A
Put/Call : N.A.
N.A
Cert No. 6061 Dist Nos : 88945 to 89444 Cert No : 6668 N.A.
Put/Call : N.A.
N.A
Cert No. 6054 Dist Nos : 86792 to 88891 Cert No. 6496 N.A.
Put/Call : N.A.
Put/Call : N.A.
Cert No. 6670 to 6671 Dist Nos : 92569 to 92588 Cert No. 6325 Dist Nos : 103790 to 103889 Cert No. 6234 Dist Nos : 98262 to 98361 Cert No. 6414 Dist Nos : 105002 to 105101 Cert No. 127 Dist Nos : 8210 to 8709 Cert No. 133 to 134 Dist Nos : 8560 to 8609 N.A
N.A.
N.A.
Annually-20th July
N.A.
Annually 20th Aug Annually 7th August Annually 20th July Annually 20th Aug Annually 20th August Yearly.20th August.
Put/Call : N.A.
N.A.
N.A.
Put/Call : N.A.
N.A.
Cert No. 118 to 119 Dist Nos : 7106 to 8105 Cert No. 143 Dist Nos : 8910 to 8929 N.A.
NA
Put/Call : N.A.
N.A.
Cert No. 501 Dist Nos : 17050 to 17299 Cert No. 590 toto 1194 Cert No. 1190 591 Dist Nos : 83591 to 83700 Cert No. : 1209 to 1212 N.A.
N.A
Annually 20th Aug Half Yearly 20th Feb & 20th Aug Annually 20th August Annually 20th August Half Yearly 20th Feb & 20th Aug Annually 20th Aug Annually 20th August Annually 20th Aug Annually 20th Aug Annually 20th August Annually, 20th August
Put/Call : N.A.
N.A.
N.A.
N.A.
N.A.
N.A
Put/Call : N.A.
Cert No. 1377 to 1380 Dist Nos : 100839 to 102838 Cert No. 1348 Dist Nos : 98717 to 98726 Cert No. 1435 728 Cert No. 725 to Dist Nos : 41003 to 43002
Put/Call : N.A.
N.A.
Put/Call : N.A.
Put/Call : N.A.
Cert No. 1853 Dist Nos : 137630 to 137779 Cert No. 2200 to 2201 Cert No. 1563 Dist Nos : 123124 to 123623 Cert No. 1737 to 1440 Cert No. : 1439 Dist Nos : 109398 to 110397
N.A.
N.A.
N.A.
Cert No. 1734 to 1735 Dist Nos : 132242 to 133241 1622/(128902 - 128951) 1879-1882/(138495 138718) 1896/(160027 - 160176)
N.A.
Annually 20th August Annually 20th August Annually 22nd October Annually 20th August Annually 20th August Annually 20th August Annually 20th August
Annually 22nd October
N.A
N.A.
N.A.
N.A
N.A.
N.A.
N.A
N.A.
N.A.
N.A
Cert No. 2403 to 2406 Dist Nos : 219530 to 219594 Cert No. 2494 N.A.
N.A.
N.A.
Annually 20th Aug Annually 21st Nov Annually 21st Nov Annually 21st Nov Annually 21st Nov
Put/Call : N.A.
Cert No. 3029 to 3030 Dist Nos : 285499 to 285698 Cert No. 1025 Dist Nos : 80981 to 81080 Cert No. 366 Dist Nos : 28957 to 29456 Cert No. 2082 to 2085 N.A.
Put/Call : N.A.
Put/Call : N.A.
N.A.
Put/Call : N.A.
Annually 21st Nov Annually 21st November Annually 22nd Dec Annually 21st November Annually 21st Nov Annually 21st Nov Annually 21st Nov N.A.
N.A
N.A.
N.A
N.A
N.A.
N.A.
N.A.
N.A
Cert No. 2103 Dist Nos : 219142 to 219251 Cert No. L 2192 N.A.
N.A
N.A.
Put/Call : N.A.
Cert No. 2497 Dist Nos : 286226 to 286725 Cert No. 18 Dist Nos : 721201214 to 807901213 Cert No. 1304 Dist Nos : 92172 to 93071 Cert No. 2210 Cert No. 4849 Dist Nos : 463454 to 463486
N.A
Annually 21st Nov Half Yearly 20th Feb & 20th August Annually 21st Nov Annually 21st Nov Annually 21st November
Put/Call : N.A.
N.A.
Put/Call : N.A.
N.A
N.A.
Annually-21st Nov
N.A.
Annually 21st Nov Annually 21st Nov Annually 21st Nov Annually 21st Nov Annually 20th March N.A.
N.A
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A.
Annually 23rd July Half Yearly 25th Nov & 25th May
Annually 23rd July
N.A.
N.A.
Put & Call : 25th May, 2002 & every year thereafter on 25th May
N.A.
N.A.
N.A.
Annually 23rd July Annually 23rd July Half Yearly 20th March & 20th Sept
N.A.
Cert No. 33 Dist Nos : 1976 to 2075 Cert No. 1516 to 1517 Dist Nos : 42656 to 42657 Cert No. 194 Cert No. 1519 Dist Nos : 69674 to 70173
Put/Call : N.A.
Put/Call : N.A.
Half yearly, 20th Mar & 20th Sept On maturity 18th October, 2004 Annually, 7th November
N.A.
Put/Call : 18th February, N.A. 2003 Put/Call Exe Price per Bond :Call :86,623.5565 N.A. Put & Rs. N.A.
Annually 24th Nov Annually 1st Dec Annually 2nd Dec Annually 5th Dec Annually 22nd December Half Yearly, 20th Sept & 20th Mar Half Yearly, 20th Mar & 20th Sept Half Yearly, 20th Mar & 20th Sept Annually, 6th February
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A
N.A.
N.A.
N.A.
NA
N.A.
NA
N.A.
N.A.
Half Yearly, 20th Sept & 20th Mar Half Yearly Jan & July Half Yearly.20th February, 20th August Half Yearly 2nd Sept & 2nd March Half Yearly 2nd Sept & 2nd March
NA
N.A.
N.A.
NA
N.A
N.A.
N.A.
Half Yearly 2nd Sept & 2nd March Half Yearly, 2nd Sept & 2nd Mar Half Yearly 2nd Sept & 2nd March Half Yearly 2nd Sept & 2nd March Annually 2nd March
N.A
N.A.
N.A.
Put/Call : N.A.
Put/Call : N.A.
N.A
N.A.
Half Yearly, 2nd March & Put & Call: N.A. 2nd Sept
N.A.
Half Yearly 2nd Sept & 2nd Mar Half Yearly 2nd Sept & 2nd March Half Yearly 2nd Sept & 2nd March Half Yearly 2nd Sept & 2nd Mar Half Yearly 2nd Sept & 2nd March Half Yearly 2nd Sept & 2nd March
N.A
N.A.
Put/Call : N.A.
N.A
Cert No. 1895 to 1900 Dist Nos : 89852 to 89938 Cert No. : 3497 to 3500 N.A.
N.A.
N.A
Cert No. 1795 Dist Nos : 85636 to 85665 Cert No. 1892 to 1894 N.A.
N.A
N.A.
Half yearly-02nd N.A. September & 02nd March Annually 20th March Annually 27th February Annually 27th February Annually 27th February Annually, 27th February N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually-20th May
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
N.A.
Annually 20th July Annually 20th July Annually 20th July Annually 20th July Annually 20th July Annually 20th July Annually 20th July
N.A.
N.A.
Put/Call : N.A.
Cert No. 5561 to 5563 Dist Nos : 58970 to 59269 Cert No. 6065 Dist Nos : 90749 to 90798 Cert No. : 6149 6011 Cert No. 6008 to Dist Nos : 79495 to 79506 Cert No. 6168 to 6169 N.A.
N.A.
N.A.
N.A
Put/Call : N.A.
N.A.
Cert No. 6020 to 6022 Dist Nos : 81637 to 81741 Cert No. 6175 to 6176 Cert No. 6093 Dist Nos : 90875 to 90884 Cert No. 6178 to 6179
Annually 20th July Annually 20th July Annually 20th July Annually 20th July Annually 4th July Annually 20th July Annually 7th August Annually 20th July Annually, 7th August
N.A.
N.A.
Cert No. 6098 to 6099 Dist Nos : 90967 to 91166 Cert No. 6296 to 6299 N.A.
N.A.
N.A.
Put/Call : N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Cert No. 6184 Dist Nos : 93686 to 93697 Cert No. : 6424 to 6428 N.A.
N.A.
N.A.
N.A.
Annually 20th Aug Annually 7th August Annually 20th August Annually 20th August
Put/Call : N.A.
N.A.
Cert No. 628 Dist Nos : 32796 to 32805 Cert No. 632 N.A.
N.A.
N.A.
N.A.
Cert No. 1061 Dist Nos : 69003 to 69127 Cert No. : 2858 to 2870
Annually 7th August Annually 7th August Annually 7th August Annually 7th August Annually 7th August Annually 20th Aug Annually-20 August
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Cert No. 132 Dist Nos : 8557 to 8559 Cert No. 149 Dist Nos : 10909 to N.A.
N.A.
N.A.
Put/Call : N.A.
N.A.
Cert No. 486 Dist Nos : 8880 to 8964 Cert No. 516 Dist Nos : 18666 to (1148-1148)/(7775777766) (1180-1187)/(8330883445) N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
As per annexure
NA
Annually 20th August Annually 22nd Oct Annually 20th August Annually 22nd October Annually, 22nd October
N.A.
N.A.
Cert No. 1494 Dist Nos : 116216 to 116225 Cert No. 1557 to 1562 N.A
N.A
N.A.
N.A.
N.A.
N.A.
Annually 20th August Annually 22nd October Annually 20th August Annually, 20th August
N.A.
Call : 22nd October, 2003 Cert No. 13 & 22nd October, 2004 Dist Nos : 2676 to 2684 Percentage : 100% N.A. N.A.
N.A.
NA
N.A.
N.A.
N.A.
N.A.
Put/Call : N.A.
NA
Cert No. 2055 Dist Nos : 191484 to 191500 Cert No. 2058
Annually 20th August Annually 22nd October Annually 22nd October Annually 20th August Annually 22nd October Annually 20th Aug Annually 22nd October Annually 22nd October Annually 20th Aug Annually 22nd October Annually, 20th August
N.A.
Cert No. 2335 Dist Nos : 205764 to 205863 Cert No. 2379 N.A.
As per Annexure
N.A.
N.A.
N.A.
Cert No. 2519 Dist Nos : 231223 to 231922 Call : 22nd October, 2003 Cert No. : 2549 to 2551 Cert No. 45 & 22nd October, 2004 Dist Nos : 5077 to 5576 PercentageOctober, 2003 N.A. Call : 22nd : 100% & 22nd October, 2004 Percentage : 100% Put/Call : N.A. Cert No. 2542 Dist Nos : 232152 to 232351 Cert No. 2734 N.A.
Call : 22nd October, 2003, 22nd October, 2004 Put & Call: N.A.
N.A
N.A.
Annually 20th August Annually 20th August Annually 22nd October Annually 20th August Annually, 20th August
N.A.
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
Annually 22nd October Annually 21st Nov Annually 21st November Annually 21st Nov
Put : N.A. Call - 22nd Oct, 2003 & 22nd Oct, 2004 Percentage October, Call : 22nd :100% 2003, 22nd October, 2004 N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 20th August Annually 20th Aug Annually 20th Aug Annually, 22nd Dec
N.A.
Cert No. 3378 to 3379 Dist Nos : 307699 to 307898 Cert No. 3381 to 3383 Dist Nos : 307999 to 308298 Cert No. 3380 Dist Nos : 307899 to 307998
Put/Call : N.A.
Put/Call : N.A.
Put :N.A. N.A. Call-22nd Dec, 2003, 22nd Dec, 2004, Percentage:100%, Notice Cert No. 352 Put/Call : N.A. Dist Nos : 24374 to 24473 Put/Call : N.A. Cert No. 368 to 370 Dist Nos : 29458 to 29757 Cert No. 521 N.A.
N.A.
Annually-22nd December Call-22nd December, 2003 & 2004 Call percentage-100% Notice period-Not less Annually Put/Call : N.A. 21st Nov Annually 21st Nov Annually 21st Nov Put/Call : N.A.
30 -31/(1340 - 2393) 109/(4867 - 5866) Cert No. 97 to 98 Dist Nos : 5501 to 5700 Cert No. 1636 Dist Nos 347 to 351 Cert No. : 158606 to Dist Nos : 24024 to 24373
Put/Call : N.A.
Cert No. 541 to 546 Dist Nos : 42303 Cert No. 1634 Dist Nos : 157806 to N.A.
N.A.
N.A.
Put/Call : N.A.
Call-22nd Dec, 2003 & 22nd N.A> Dec, 2004, Percentage : 100%, Notice Period : Not less than 30 days in writing before the
N.A.
Put/Call : N.A.
Cert No. 702 Dist Nos : 58594 to 58693 Cert No. : 1289 N.A.
Call-22-Dec-03 & 22-Dec04 Call percentage-100% Notice period-Not less Put/Call : N.A. Cert No. 2372 Dist Nos : 260799 to 260498 Put : N.A. N.A. Call - 22nd Dec, 2003 & 22nd Dec, 2004 Percentage :100% N.A. N.A.
N.A
N.A
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call : N.A.
Annually 15th March Annually 15th April Annually 23rd April Yearly-20th March
Put/Call : N.A.
Cert No. 2 to 26 Dist Nos : 1 to 2500 Cert No. 1 Dist Nos : 1 to 500 Cert No. 69 to 88 Dist Nos : 6224 to 6323
N.A.
N.A.
NA
Half Yearly 23rd Oct & 23rd April Annually, 20th March
N.A
N.A.
N.A.
Put/Call : N.A.
Cert No. 510 Dist Nos : 15380 to 15504 Cert No. 741 Dist Nos : 25769 to 25772
N.A.
Annually 23rd July Annually 23rd July Annually 23rd July Annually 23rd July
Put :N.A. N.A. Call :23rd July, 2004 & thereafter everyyear on 23rd:July. July, 2004 and N.A. Call 23rd every year thereafter on 23rd July Call : 23rd July, 2004 and N.A. every year thereafter on 23rd July Call : 23rd July, 2004 and N.A. every year thereafter on 23rd July Call : 23rd July, 2004 and Cert No. 519 everyyear thereafter on Dist Nos : 15393 to 23rd July 15592
N.A
N.A.
N.A.
Quarterly N.A. 23rd Oct, 23rd Jan, 23rd Apr & 23rd July Annually 23rd July Annually 23rd July Annually, 20th July N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
Put/Call : N.A.
N.A.
Annually 23rd July Annually 7th Nov Annually07th November Annually 7th November
Put/Call : N.A.
N.A.
Put/Call : 7th November, N.A. 2002 and every year thereafter on 7th Nov N.A. Cert No. 1335 Dist Nos : 40253 to 40452
N.A.
Annually,21st Nov
N.A.
N.A.
Put/Call : N.A.
Put/Call : 26th December, 2002 and every year thereafter on 26th December Pu/Call : 6th February, 2003 and everyyear thereafter on 6th February : N.A. Put & Call
N.A.
N.A.
N.A.
N.A.
Put/Call : 4th January, 2003 and every year thereafter on 4th January N.A
N.A.
N.A.
Annually 21st March Annually 21st April Half Yearly Jan & July
Annually 22nd October
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Call- 22nd Oct, 2005 & 22nd N.A. Oct, 2006, Call Percentage : 100%, Notice Period : Not Less than 30 days in writing before
Annually-22nd October
Call-22nd October 2005 & 22nd October, 2006 Call Percentage -100% Notice Period-not less& Call : 22nd Oct, 2005 22nd Oct, 2006
N.A.
N.A.
Call Percentage : 100% N.A. Call : 22nd October, 2005 and every year thereafter on 22nd Oct
Call-22nd Oct, 2005 & 22nd N.A Oct, 2006, Percentage : 100%, Notice Period : Not less than 30 days in writing before the
Half Yearly 20th March & 20th Sept Annually 9th September Annually 22nd September Annually 23rd September Annually, 29th September
Put/Call : N.A.
Cert No. 320 to 324 Dist Nos : 99767 to 104766 Cert No. 331 to 335 Dist Nos : 8086 to 8285 Cert No. 470 Dist Nos : 208 to 214 Cert No. : 12015 to Dist Nos : 6630 to 6647 Cert No. : 227 to 235 Dist Nos : 6906 to 7075 N.A.
N.A.
N.A.
N.A
N.A.
Annually-01st October
N.A.
N.A.
N.A.
Call : 22nd December, 2003, 22nd Dec, 2004, 22nd Dec, 2005 & 22nd Dec, 2006 Put/Call : N.A.
N.A.
Call : 9th Jan, 2004 and every year thereafter on 9th Jan Call : 9th January, 2004 & every year thereafter on 9th January
N.A.
N.A.
Annually 30th January Annually 30th Jan Half Yearly, 20th Aug & 20th Feb Annually 30th January Annually, 9th April
Call-30-Jan-04 & therafter on 30-Jan every year Call percentage-100% Call : 30th January, 2004 N.A. & every year thereafter on 30th January N.A. N.A.
N.A.
Call : 30th January, 2004 N.A. & every year thereafter on 30th January Put & Call: N.A. N.A.
Call-9th April, 2004 and every N.A. year thereafter on 9th April, Percentage : 100%. Notice Period : Not less than 30 days
Half Yearly, 20th Aug & 20th February Half Yearly 20th August & 20th Feb Annually, 9th April
N.A.
N.A.
N.A.
N.A.
Annually 23rd April Annually 23rd April Half Yealy, 2nd Sept & 2nd March Annually 23rd April Annually 23rd April Annually, 23rd April
Call : 23rd April, 2004 Cert No. 2 and every year thereafter Dist. No. 6 to 15 on 23rd April Cert No. 14 Dist Nos : 98 to 99 Call : 23rd April, 2004 N.A. and every year thereafter on 23rd April Put & Cal: N.A. N.A.
Put/Call : N.A.
N.A.
Cert No. 54 to 55 Dis Nos : 6095 to 6129 Cert No. : 89 to 97 Dist Nos : 6324 to 6410 N.A.
N.A.
N.A.
N.A.
Call : 23rd April, 2004 N.A. and every year thereafter on 23rd April Put & Call : N.A. N.A.
N.A.
N.A.
Annually 23rd April Annually 23rd April Annually 23rd April Annually 23rd July Annually 23rd July Annually, 23rd July
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Call : On 23rd July, 2004 & thereafter every year on 23rd:July. July, 2004 & Call 23rd every year thereafter on 23rd July Put & Call: N.A.
As per Annexure
N.A.
N.A.
Half Yearly, 20th Mar & 20th Sept Half Yearly, 20th Mar & 20th Sept Half Yearly, 20th Mar & 20th Sept Half Yearly, 20th Mar & 20th Sept Annually, 2nd March
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly, 20th Mar & 20th Sept Half Yearly, 20th Mar & 20th Sept Half Yearly, 20th Mar & 20th Sept Half Yearly, 20th Mar & 20th Sept Annually, 20th July
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 10th Dec Annually 22nd Dec Annually 20th August Annually 20th August Annually 7th November Half Yearly 20th Sept & 20th March Annually 20th May Annually 20th July
Put/Call : N.A.
Put/Call : N.A.
Cert No. 207 to 209 Dist Nos : 505 to 526 Cert No. 227 to 231 Dist Nos 4 2107 to 2156 Cert No. : Dist Nos : 274 Cert No. 253 to 254 Dist Nos 2227 to 2234 Cert No. : 2798 to 3397 Dist Nos : 202357 to 203156
Put/Call : N.A.
Put/Call : N.A.
Cert No. 3028 Dist Nos : 284999 to 285498 Cert No. 50 to 74 Dist Nos : 989 to 3488 N.A.
N.A.
Put/Call : N.A.
Put/Call : N.A.
Put/Call : N.A.
Cert No. 166 to 168 Dist Nos : 3534 to 3713 Cert No. 279 Dist Nos 6219 to 6067 Cert No. : 5988 Dist Nos : 97688 to 97737 Cert No. 6431
Annually 20th August Annually 20th August Annually 20th August Annually 20th August Annually 12th Sept Annually 27th Sept Annually-23rd July
Put/Call : N.A.
Put/Call : N.A.
Cert No. 2 Dist Nos : 6 to 705 Cert No. 5 to 106 Dist Nos 1902 to 6005 Cert No. : 5706 Dist Nos : 160677 to 160797 Cert No. 1978 to 2548 Cert No. 2547 Dist Nos : 232404 to 232603
Put/Call : N.A.
Put/Call : N.A.
Put/Call : N.A.
Cert No. 2708 Dist Nos : 249747 to 250246 Cert No. 3102 to 3151 N.A.
Put/Call : N.A.
Put/Call : 23rd July, 2002 Cert No. 1279 to 1283 and every year thereafter Dist Nos. : 35784 to on 23rd July 36283 Put :Exit provision applicable as per pricing supplement(Series No 0001) Call: N.A. III (a) to Put & Point No. N.A.
On maturity
On maturity
N.A.
On maturity
N.A.
Half Yearly-'01/08 & 01/02 Half Yearly (May 31 & Nov 30) Half Yearly 20th Sept & 20th March
N. A.
Refer Annexure
N.A
Refer Annexure
N.A
As per Annexure
HALF YEARLY (SEP 30 & MAR 31) Half Yearly 30th Sept HALF YEARLY (07th October & 07th April)
N.A
Refer Annexure
N.A.
As per Annexure
N.A
Refer Annexure
Half Yearly-11th October N.A. & 11th April Annually-21st June N.A.
Refer Annexure
87/(7501 to 8000)
Yearly-21st June
NIL
As per annexure
Annually-15th May
Call-15th May,2008
Refer Annexure
Half Yearly (Nov 30 & May 31 ) Half Yearly (Nov 30 & May 31 )
N.A.
As per annexure
N.A.
As per annexure
Half Yearly N.A 20th October & 20th April Yearly- 21st June NIL
Cert No. 1 to 12 Dist Nos. 1 to 12 Cert No. 14 to 67 Dist Nos. 14 to 67 As per annexure
Half Yearly08th June & 08th December Half Yearly 13th June & 13th Dec
N.A.
N.A
NIL
As per annexure
Half Yearly-01st March & N.A. 01st September Yearly- 21st June NIL As per annexure
Yearly-25th June
N.A.
NIL
NIL
As per annexure
N.A.
Refer Annexure
NIL
As per annexure
N.A
Half Yearly-20th March & NIL 20th September Yearly 22nd September NIL
As per annexure
NIL
Refer Annexure
N.A.
Half Yearly 20th March & 20th September Half-yearly 20/03/1998 Annually 20th August Yearly 22nd September
N.A.
NIL
Cert No. 2 Dist Nos : 31 Cert No. 9 Dist No. 277 to 301 Refer Annexure
N.A.
As per Annexure
NIL
As per annexure
NIL
As per annexure
NIL
As per annexure
Half yearlyN.A. 26th April & 26th October Yearly 18th December NIL As per annexure
NIL
As per annexure
NIL
As per annexure
NIL
As per annexure
NIL
As per annexure
N.A.
N.A.
NIL
Quarterly (Mar20, June 20, Sept.20, Dec. 20) Yearly 18th December
N.A.
As per Annexure
NIL
As per annexure
NIL
As per annexure
NIL
As per annexure
NIL
As per annexure
NIL
As per annexure
NIL
N. A.
NIL
As per annexure
NIL
As per annexure
NIL
As per annexure
NIL
As per annexure
NIL
As per annexure
N.A.
NIL
NIL
As per annexure
Half Yearly- 20th August NIL & 20th February Half Yarly01st February & 01st August Yearly-02nd March N.A.
As per annexure
N. A.
As per annexure
Half Yearly- 02nd N. A. September & 02nd March Yearly- 02nd March N. A.
As per annexure
As per annexure
Yearly-02nd March
NIL
As per annexure
N.A.
Cert No. 1 to 7 Dist Nos : 1 to 15400 Cert No. : 1802 Dist Nos : 87226 to 89225
N.A.
Yearly-02nd March
N. A.
As per annexure
Half Yearly- 02nd N. A. September & 02nd March Yearly- 02nd March N. A.
As per annexure
As per annexure
Yearly-02nd March
NIL
As per annexure
Yearly-02nd March
NIL
As per annexure
N. A.
As per annexure
N. A.
As per annexure
N.A.
N. A.
Yearly-20th July
N. A.
As per annexure
Annually-20th July
N.A.
Half Yearly -31st May & 30th November Half Yearly -31st May & 30th November
N.A.
N.A.
N.A.
N.A
Half Yearly- 20th October N. A. & 20th April Half Yearly -31st May & 30th November NA N.A.
As per annexure
N.A
Annually-20th July
N.A.
N. A.
N. A.
As per annexure
Half-yearly-20th February NIL & 20th August Half-yearly-20th Feb & 20th August. Yearly- 20th August NIL
445-469/(14630-17129)
N. A.
Annually-15th March
NIL
Half Yearly-20th February Nil & 20th August Annually 20th August N.A.
Cert No. : 944 to 963 Dist Nos : 57003 to 59002 985-1019/(62003-64002) 3195-3223/(6400365002) Refer Annexure
Half Yearly-20th February Nil & 20th August Half Yearly-20th February Nil & 20th August Yearly-15th March NIL
Yearly-20th August
N.A
N. A.
N. A.
As per annexure
Yearly-07th November
NIL
8-22/(2501-4000)
Half Yearly N.A 20th April & 20th October Yearly- 21st November N. A.
N.A
NIL
NIL
As per annexure
NIL
As per annexure
NIL
As per annexure
Half Yearly-5th July & 5th NIL January. Yearly 21st Novemeber NIL
N.A
As per annexure
2-50 (1-2615)
As per annexure
NIL
As per annexure
NIL
As per annexure
NIL
As per annexure
N. A.
As per annexure
NIL
As per annexure
NIL
As per annexure
N.A.
NIL
N. A.
As per annexure
NIL
As per annexure
NIL
As per annexure
N. A.
As per annexure
NIL
323-371/(55931-58930)
N. A.
As per annexure
NIL
As per annexure
Yearly-20th March
NIL
N.A.
Cert No. 15 Dist Nos : 55619 to 85618 Cert No. 9 Dist Nos. : 1263 to 51262 37/(5171 to 5670) 3-36/(3171-5170) 38 - 42/(1 - 2500)
Put/Call 15th April, 2002 and every year thereafter on 15th Aprilof the issue 116.08% price on 15/11/02 128.22% of the issue price on 15/11/03 Put & call - 15-Nov-02 & 15-Nov-03
N.A.
On Maturity
Put & Call : 23 May 2002 1-33 (1-2950) and every year thereafter on May 23 Put/ Call :24-May-2002 Cert No. 3 to 63 and every year thereafter Dist Nos. : 1 to 4411 on 24-May Put : 25th May, 2002 110.30% of the issue price Call : 25th May, 2003 Every year on 31st May 2 to 16/( 1 to 1500)
On Maturity 24th May, 2004 On Maturity 25th May, 2004 Annually- on 31st May Annually 23rd July, 2002 N.A.
Cert No. : 1 to 5 Dist Nos : 1 to 500 Put/Call : 23rd July every & Cert No. : 1065 -1178 year Dist Nos. : 28988 - 29787 Cert No. : 1787 to 1788 Dist Nos. : 29788 - 29887 Put/call-12th July,2002 2 - 5(1 - 165)
Half-Yearly 14th Jan and 14th July On maturity 10th Sept, 2004 Annually- 25th September
N. A.
BO/96-97/197/0012, BO/96-97/197/0020 BO/96-97/197/0031, Put/Call : 10th Jan, 2003 BO/96-97/197/0040, 284 - 296/(11947 Notice Period : Not less 13241) than 20 days in writing before the relevant dates 14 /( 5001 to 10000) N.A
N.A.
Half Yearly-20th March & NIL 20th September Annually-31st October None
1 TO 100963
Half-yearly 20/03/1998
NIL
200-301/(71779-76799)
1 TO 133338
1 TO 1389
1-1/(1-10000)
Yearly-12th December
N. A.
As per annexure
N. A.
As per annexure
None
1 to 188812
Put/Call : 01st Jan, 2003 N.A. & 01st Jan, 2004 Percentage : 15th Jan, 2003 & every year thereafter on 15th January Cert No. : 1 to 1 Dist Nos : 1 to 3500
N.A.
1/(1 - 1000)
Half Yearly- 20th August NIL & 20th February Annually1st February N.A. None
As per annexure
1 To 205296
None
1 TO 44785
N.A.
As per Annexure
NIL
As per annexure
Half Yearly 02nd September Half Yearly 2nd Sept Annually 19th February Annually1st March Half Yearly 2nd Sept & 2nd March N.A.
N.A
N.A
Cert No. 210 to 214 Dist Nos. 21856 -21860 Cert No. 230 -233 Dist Nos.290 to 317 Cert No. : 22520 -22523 Dist Nos. 23305 to 23360 Cert No. 342 to 343 Dist Nos: 23606 to 23805 To be allotted
Put/Call 19th February & 19th February, 2004 Notice Period : Not less None
1 TO 291200 Dist Nos. 1 - 694073 Cert No. 668 Dist Nos : 48103 to 48110 Cert No. : 725 1 TO 62325
N.A.
None
As per annexure
N.A.
Cert No. 74 Dist Nos : 4545 to 4547 Cert No : 1 TO 436071 Dist Nos. : 1 to 1148804 1 to 90526
None
None
N.A.
None
1 To 112947
N.A.
None
Cert No. 5942 Dist Nos : 76568 to 76993 Cert Nos : 5986 to 5995 Cert No :1 TO 159383 Dist Nos. 1 - 360895
NIL
As per annexure
Yearly-20th August
N.A
As per annexure
N.A.
N.A.
Yearly-20th August
NIL
Yearly-20th August
N.A
NIL
Refer Annexure
N.A.
N.A.
N.A.
None
Cert No. 1 TO 228931 Dist Nos. 1 - 526948 Cert No. : 3657 to 3806 Dist Nos : 142967 to 157966 As per annexure
N.A.
Yearly-20th August
Notice Period : Last Date for NoticeSept, 2003 Put :05th for put option is As per annexure Notice Period : Last Date for Notice for put option is N.A. N.A.
N. A.
As per annexure
Yearly-20th August
Put :11th Sept, 2003 Notice Period : Last Date for Notice for N. A.
As per annexure
As per annexure
N.A.
N.A.
Cert No. 2683 to 2687 Dist Nos : 248897 to 248905 Cert No. 2483 to 2492 As per Annexure
09/01/2002 and every 2-47(1 - 4543) year thereafter on Jan 09 N.A Cert No. 429 to 430 Dist Nos. 33841 to 33860 2-16/(1-1500) 18-129/(1501-12000)
Annually-07th November Put & Call07thNovember,2001 & thereafter on 07th November everyyear.
Yearly-21st November
NIL
As per annexure
13-22/(1001-2000)
Call : 22nd December, 2003 & 22nd December, 2004 Call Percentage : 0n Put/Call-Annually 100% 22nd December
Cert No. : 114 Dist Nos : 2336 to 2355 Cert No. : 370 to 373 Dist Nos : 8091 to 8110 78-87(1903-2402)
Yearly-19th December
NIL
3-12/(1 -1000)
Call : 22nd Dec, 2003 22nd Dec, 2004 Call Percentage :100% Notice Period : Not& 22Call :22-Dec-2003 less Dec-2004
Cert No. 65 to 65 Dist Nos. : 1614 to 1623 Cert No. 66 to 66 Dist Nos. : 1624 to 1624 As per annexure
Annually (19/12/2001)
2-22(1-2100
Annually (09/01/2002)
Nil
2-11(1-1000)
Call :09th April, 2004 & 09th April, 2005 Call Percentage :100% Notice Period : Not less NIL
Cert No. : 49 Dist Nos. 2580 to 2585 Cert No. 109 Dist Nos. : 5159 to 5159 Nil
N.A
Cert. Nos.2429,2440(277446 to 277945 277956 to 278163) 113 Cert No. Dist Nos. : 2535 -2538 Cert No.116 Dist Nos 2603 - 2606
N.A.
None
1 TO 877
Yearly-20th March
As per annexure
Notice April, 2002 and on 9th Period : Last Date Cert. No. 1/ every year thereafter on Dist. No. 1 to 2500 9th April Put/Call-Annually on 23rd 560-569(16777-17776) April 641-655(21075-22574) None 1 TO 1041
Annually-23/04/2002
N.A.
Put & Call On 31/05/2002 2 - 41(1 - 10000) & thereafter everyyear on 31st May Put & Call - 20th June,2002 & thereafter on 20th June every year 22-36/(5884-7383)
Put & Call On 13/06/2002 2 - 26(1 - 12500) & thereafter every year on 13th june06/2003, 13/06/2004 & 13/06/2005 Cert No. 28 Put/Call 24th July, 2002 and every Dist Nos : 8212 to 28211 year thereafter on 24th July None 1 to 991
N.A.
None
Cert No. :1 TO 1755 Dist Nos : Dist Nos. 1 - 5653 2-2/(1 - 2000)
Yearly-20th August
Put & call-20th August every year 23/8/02 and every yaer thereafter on August 23
Annually
Yearly-23rd August
2-2/(1 - 2400)
N.A.
1 To 1018
On Maturity
Put & Call : 2-28 (1-27) 31 Aug 2002 and every year thereafter on Aug 31 None 1 TO 699
Every Month end-first interest on 31st October2001 Half Yearly-30th April & 31st October Annually-31st October
None
1 TO 769
None
1 TO 2813
Monthly First interest on 31st December, 2001 Half Yearly (First Int Payment -31st May, 2002) Annually (30th November, 2002) N.A.
None
1 TO 717
None
1 TO 856
None
1 TO 2834
Put & CallN.A. 29th Nov,2002 29th Nov,2003 Annually-29th November, 29th& Call-29th Put Nov,2004 N.A. 2002 November, 2002 & thereafter every year on Annually-29th November 29th& Call - 29th Put November 2/(1 - 10) November,2002 & thereafter on 29th Novemebr everyyear. N.A. Put & CallN.A. 29th Nov,2002 29th Nov,2003 29th Nov,2004
Put & Call As per annexure 06-Feb-2003 and every year thereafter on 06-Feb NoticeCall Put & Period : Not less As per annexure 06-Feb-2003 and every year thereafter on 06-Feb Notice Period : Not less Cert No. 225 -229 N.A Dist Nos. : 9623 to 9627 Cert No. 528 -528 Dist Nos.30 Cert No. : 15466 -15495 Dist Nos. : 854 -864
N.A
Put / Call Cert No. 346 Put / Call PercentageDist Nos. 11761 - 11845 100% Relevant Date(s)-On 06 - As per annexure Put & Call 06-Feb-2003 and every year thereafter on 06-Feb NoticeCall Put & Period : Not less As per annexure 06-Feb-2003 and every year thereafter on 06-Feb Notice Period : Not less N.A. 24th Jan, 2003 & every year thereafter on 24th January None Cert No. :1 TO 1750 Dist Nos : Dist Nos. 1 - 23567 Cert No. :1 TO 2260 Dist Nos : 1 - 31623 3-42/(1-4000)
None
Nil
Put: N.A. Call : 22nd Oct, 2005 & 22nd Oct, 2006, Percentage :100%,
N.A.
N.A.
None
None
Cert No :1 TO 8780 Dist Nos. 1 to 22073 Cert No. : 814 to 893 Dist Nos : 45503 to 48002 Cert No : 3420 to 3469 8B/2003-2004/158, 7236 to 7498 8/2003-2004/159, 7499 to 7860 12/2003-2004/183, 8914 to 9043 13/2003-2004/184, 9044 to 9088 14A/2003-2004/185, 9089 to 10088 17/2003-2004/276, 12689 to 12793 18/2003-2004/277, 12794-13310
Annually-20th August
N.A.
On maturity date or Put/Call:Daily starting exercise of Put/Call from 21st April, 2003 Option Date whichever is earlier On maturity, 22nd July, Put & Call:Daily starting 2003 or exercise of from 25th April, 2003 Put/Call Option date whichever is 24th July, On maturity, earlier Put & Call:Daily, starting 2003 or exercise of Put/Call option date whichever is 25th July, On maturity, earlier 2003 or exercise of Put/Call option date whichever is 31st July, On maturity, earlier 2003 or exercise of Put/Call Option date whichever is 4th August, On maturity, earlier 2003 or on exercise of Put/Call Option from 28th April, 2003 Put & Call:Daily, starting from 29th Apr, 2003 Put & Call:Daily starting from 5th May, 2003 Put & Call:Daily, starting from 8th May, 2003
On maturity-14th August, Put & Call:Daily - starting Cert. No.-24/20032003 from 19th May, 2003 2004/334; Dist No-16322 - 16376 On maturity - 27th August, 2003 or on exercise of put/cal whichever is earlier Put & Call:Daily - starting Cert No.29C/2003from 01st June, 2003 2004/381; Dist No. 18887 to 18987
On maturity, 21st June, 2004 or on exercise of Put/Call Option date whichever is 28th June, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is 14th July, On maturity, earlier 2004 or on exercise of Put/Call option date whichever is 23rd July, On maturity, earlier
Put & Call:Daily, Starting 166A/2003-2004/1198, from 25th March, 2004 103217 to 103295 Put & Call:Daily, starting from 1st April, 2004 Put & Call:Daily, starting from 19th April, 2004 Put & Call:Daily, starting from 28th April, 2004 170A/2003-2004/1217, 106054 to 106383 7/2004-2005/80, 10339 to 11338 10/2004-2005/84, 12149 to 12551 14/2004-2005/98, 14062 to 14099 15/2004-2005/99, 14100 to 14199 Cert No. 37/20022003/446 to 459 Dist Nos : 12280 to 12426 40/2002Cert No. 2003/476 to 500 Dist Nos : 12652 to 13037 42/2002Cert No. 2003/502 Dist Nos : 13775 to 14474 41/2002Cert No. 2003/501 Dist Nos : 13038 to 13774 43/2002Cert No. 2003/503 Dist Nos : 14475 to 14624 45/2002Cert No. 2003/510 Dist Nos : 15275 to 15360 49A/2002Cert No. 2003/514 Dist Nos : 15852 to 16863
2004 or on exercise of Put/Call Option date whichever is 3rd August, Put & Call:Daily, starting On maturity, earlier 2004 or on exercise of from 7th May, 2004 Put/Call Option date whichever is 5th August, Put & Call:Daily, starting On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is earlier on Interest will be paid the exercise of Put/Call Option or on matrity Interest will be paid on the exercise of Put/Call Option or on matrity On maturity or on exercise of Put/Call option Interest will be paid on the exercise of Put/Call Option or on matrity Interest will be paid on the exercise of Put/Call Option or on matrity Interest will be paid on the exercise of Put/Call Option or on matrity Interest will be paid on the exercise of Put/Call Option or on matrity from 10th May, 2004 Daily Put/Call option starting a day after the date of allotment Daily Put/Call option starting from 15th July, 2002 Daily Put/Call option starting from 23rd July, 2002 Daily Put/Call option starting from 16th July, 2002 Daily Put/Call option starting from 19th July, 2002 Daily Put/Call option starting a day after the date of allotment Daily Put/Call option starting from 10th August, 2002
Interest will be paid on the exercise of Put/Call Option or on matrity Interest will be paid on the exercise of Put/Call option or on maturity 21st Nov, 2002paid on Interest will be the exercise of Put/Call option or on maturity 3rd December, paid on Interest will be 2002 the exercise of Put/Call Option or on maturity (12th December, 2002) Interest will be paid on the exercise of Put/Call option or on maturity 26th December, 2002 Interest will be paid on the exercise of Put/Call Option or on matrity Interest will be paid on the exercise of Put/Call Option or on maturity Interest will be paid on the exercise of Put/Call Option or on maturity Interest will be paid on the exercise of Put/Call Option or on maturity (17th January, paid on Interest will be 2003) the exercise of Put/Call Option or on maturity (22nd January,paid on Interest will be 2003) the exercise of Put/Call Option or on matrity Interest will be paid on the exercise of Put/Call Option or on matrity On maturity 17th Feb, 2003
Daily Put/Call option starting from a day after the date of allotment Daily Put/Call option starting from 26th August, 2002 Daily Put/Call option starting from 6th September, 2002 Put/Call : Daily starting from 16th September, 2002 Daily Put/Call option starting from 30th September, 2002 Daily Put/Call option starting from October 07, 2002
Cert No. 47/20022003/512 Dist Nos : 15516 to 15615 Cert No.: 51/20022003/517 Dist Nos : 17098 to 17634 55/2002Cert No. 2003/521 Dist Nos : 18059 to 18563 56/2002Cert No. 2003/522 Dist Nos : 18564 to 18699 61/2002Cert No. 2003/527 Dist Nos : 19960 to 20507 62/2002Cert No. 2003/528 Dist Nos : 20508 to 20642 64/2002Cert No.
Daily Put/Call option starting 2003/530 from 12th October, 2002 Dist Nos : 21293 to 21640 65/2002Daily Cert No. Put/Call option starting 2003/531 from 15th October, 2002 Dist Nos : 21641 to Put/Call : Daily starting 21790 66/2002Cert No. from 24th October, 2002 2003/1532 Dist Nos : 21791 to Put/Call : Daily starting 22350 67/2002Cert No. from 28th October, 2002 2003/533 Dist Nos : 22351 to 22550 68/2002Daily Cert No. Put/Call option starting 2003/534 from November 01, 2002 Dist Nos : 22551 to 22719 69B/2002Daily Cert No. Put/Call option starting 2003/536 from November 05, 2002 Dist Nos : 23220 to 24242 72/2002N.A. Cert No. 2003/548 Dist Nos : 25743 to 26242
Interest will be paid on the exercise of Put/Call option or on maturity 18th February, paid on Interest will be 2003 the exercise of Put/Call Option or on maturity On maturity 26th February, 2003 Interest will be paid on the exercise of Put/Call option or on maturity 28th February, paid on Interest will be 2003 the exercise of Put/Call option or on maturity 3rd March, 2003 Interest will be paid on
Daily Put/Call option starting from 26th November, 2002 Daily Put/Call option starting from 25th November, 2002 N.A.
Cert No. 73A/20022003/549 Dist Nos : 26243 to 26742 75/2002Cert No. 2003/556 Dist Nos : 27333 to 27405 78B/2002Cert No. 2003/571 Dist Nos : 28796 to 28895 80/2002Cert No.
Daily Put/Call option starting 2003/581 from 4th December, 2002 Dist Nos : 29796 to 29895 81A/2002Daily Cert No. Put/Call option starting 2003/582 from 5th December, 2002 Dist Nos : 29896 to 29961 84B2002Daily Cert No. 2003/610 Dist Nos : 32462 to 33525 87/2002Cert No. 2003/620 Dist Nos : 33806 to 33905 88/2002Cert No. 2003/621 Dist Nos : 33906 to 33965 90/2002Cert No. 2003/623 Dist Nos : 34880 - 35387 Cert No. 91/2002Cert No. 92/20022003/625 Dist Nos : 36011 - 36117 Cert No. 94/20022003/627 Dist Nos : 36298 - 36797 Cert No. 101/20022003/746 Dist Nos : 40358 to 40557 102/2002Cert No.
the exercise of Put/Call Put/Call option starting Option or on maturity (7th from 11th Dec, 2002 Mar, 2003) be paid on Interest will Daily the exercise of Put/Call Put/Call option starting Option or on maturity from 16th Dec, 2002 (13th Mar, 2003) on Interest will be paid Daily the exercise of Put/Call Option or on maturity (14th Mar, 2003) on Interest will be paid the exercise of Put/Call Option or on maturity (21st Mar, 2003) on Interest will be paid the exercise of Put/Call Option or on maturity (25th Mar, 2003) on Interest will be paid the exercise of Put/Call Option or on maturity (28th Mar, 2003) On Maturity 7th April, 2003 Interest will be paid on the exercise of Put/Call option or on maturity 8th April, 2003 Put/Call option starting from 17th Dec, 2002 Daily Put/Call option starting from 24th Dec, 2002 Daily Put/Call option starting from 27th Dec, 2002 Daily Put/Call option starting from 31st Dec, 2002 N.A.
Daily Put/Call option starting 2003/747Dist Nos : from 16th January, 2003 40558 to 41057
Interest will be paid on the maturity date 9th April, 2003 Interest will be paid on maturity 9th April, 2003 Interest will be payable on maturity 10th April, 2003 or exercise of Put/Call will be payable Interest Option date on maturity 21st April, 2003 or exercise of Put/Call will be payable Interest Option date on maturity 25th April, 2003 or exercise of Put/Call will be payable Interest Option date
N.A.
Cert No. 103A/20022003/748 Dist Nos : 41058 to 41557 Cert No. 103B/20022003/749 Dist Nos : 41558 to 41757 105C/2002Cert No.
N.A.
Put/Call : Daily starting from 17th January, 2003 2003/764 Dist Nos : 42458 to 42555 108/2002Put/Call : Daily starting Cert No. from 23rd January, 2003 2003/316 Dist Nos : 42656 to 43727 111/2002Put/Call : Daily starting Cert No. from 29th January, 2003 2003/833 Dist Nos : 44306 to 44429 112/2002Put/Call : Daily starting Cert No.
on maturity 28th April, from 30th January, 2003 2003 or exercise of Put/Call shall bedate Interest Option payable Daily on maturity/ Put/Call option starting Date of exercise of from 31st January, 2003 Put/Call shall be paid on Put/Call : Daily starting Option date Interest on maturity date 6th May, from 7th February, 2003 2003 or date of exercise of Put/Call optionpaid on Put/Call : Daily starting Interest shall be on maturity date 14th from 17th February, 2003 May, 2003 or exercise of Put/Call option whichever Daily, Starting from 21st On maturity Date 20th May,
2003or exercise of Put/Call Option whichever is earlier February, 2003
2003/834 Dist Nos : 44430 to 454250 113A/2002Cert No. 2003/833 Dist Nos : 45430 to 45729 116/2002Cert No. 2003/870 Dist Nos : 46870 to 47004 119/2002Cert No. 2003/888 Dist Nos : 47235 to 47011 & 119/2002-2003/888, 47365
to 47557
On maturity, or on Put & call-Daily Starting exercise of Put/Call from 27th Feb, 2003 Option date whichever is earlier On maturity, or on Put & call-Daily Starting exercise of Put/Call from 07th March, 2003 Option date whichever is earlier On maturity date, 2nd Put & call-
127/2002-2003/935, June, 2003 or exercise of Daily starting from 6th 51215 to 51286, Put/Call option date March & 7th March, 2003 128B/2002-2003/940, whichever is earlier 51687 to 51795
On maturity, 20th June, 2003 or exercise of Put/Call Option Date whichever isdate, 1st On maturity earlier
134/2002-2003/084, 53510 to 53609 Cert No. 3A/2003-2004/5, Dist Nos. 961 to 1498 Cert No. 1/2003-2004/1, Dist Nos. 1 to 360 6/2003-2004/90, 4369 to 4668 7C/2003-2004/117, 5869 to 6435 33/2003-2004/385, 20438 to 20588 35/2003-2004/387, 20629 to 20693 38B/2003-2004/425, 21474 to 21611 39/2003-2004/426, 21612 to 21632 41C/2003-2004/430 Dist No. 22729-22814 42/2003-2004/431, 22815 to 22860 45/2003-2004/459, 24252 to 24360, 46/20032004/460, 24361 to 24872 48/2003-2004/462, 25873 to 25924 49/2003-2004/463, 25925 to 26129
Put/Call : Daily starting July, 2003 or on exercise from 4th April, 2003 & 5th of Put/Call Option April, 2003 whichever is 4th July, On maturity, earlier Put:Daily, Starting from 2003 or exercise of 10th April, 2003 Put/Call Option date Call-:Daily, Starting from whichever is 8th July, 10th April, starting from On maturity, earlier Put:Daily, 2003 2003 or on exercise of Put/Call Option date whichever isdate, 5th On maturity earlier 16th April, 2003 Call:Daily, starting from 16th& Call:Daily, starting Put April, 2003
Sept, 2003 or on exercise from 11th June, 2003 of Put/Call Date whichever isdate 11th On maturity earlier Put & Call:Daily, starting Sept, 2003 or on exercise from 16th June, 2003 of Put/Call option date whichever isdate, 16th On maturity earlier Put & Call:Daily starting Sept, 2003 or on exercise from 20th June, 2003 of Put/Call Option date whichever isdate or On maturity earlier Put & Call:Daily starting exercise of Put/Call from 21st June, 2003 option date whichever is earlier On maturity date 24th Put/Call:Daily starting September, 2003 or exercise of Put/Call option date whichever is On maturity date, 25th from 30th June, 2003
Put/Call:Daily starting September, 2003 or on from 30th June, 2003 exercise of Put/Call Option date whichever is Put/Call:Daily starting On maturity, 3rd October, 2003 on on exercise of from 8th July & 9th July, Put/Call option date 2003 whichever isdate, 9th On maturity earlier Put & Call:Daily, Starting October, 2003 or on from 14th July, 2003 exercise of Put/Call Option date date, 10th is Put & Call:Daily, starting On maturity whichever October, 2003 or on from 16th July, 2003 exercise of Put/Call Option date whichever is
On maturity, 13th Put & Call:Daily, Starting October, 2003 or from 17th July, 2003 exercise of Put/Call Option Date whichever is Put & Call:Daily, starting On maturity, 14th Oct, 2003 or on exercise of from 18th July, 2003 Put/Call Option date whichever is 15th Oct, On maturity, earlier Put & Call:Daily, starting 2003 or on exercise of Put/Call Option date whichever is 17th On maturity, earlier from 21st July, 2003
October, 2003 or on exercise of Put/Call Option date date, 20th is Put & Call:Daily, Starting 55/2003-2004/471, On maturity whichever October, 2003 or on from 24th July, 2003 30690 to 30829 exercise of Put/Call Option date whichever is Put & Call:Daily, starting 56A/2003-2004/472, On maturity, 22nd October, 2003 or on from 26th July, 2003 30830 to 31856 exercise of Put/Call Option Date date 29th is Put & Call:Daily, starting 58B/2003-2004/477, On maturity whichever October, 2003 or on from 2nd August, 2003 exercise of Put/Call Option date whichever is Put & Call:Daily Starting On maturity, 30th October, 2003 or on from 5th & 6th August, exercise of Put/Call 2003 Option date whichever is Put & Call:Daily, Starting On maturity, 4th Nov, 2003 or on exercise of Put/Call Option date whichever isdate or on On maturity earlier from 8th Aug, 2003 35997 to 36733 59B/2003-2004/480, 38934 to 39020, 60/20032004/483, 39272 to 39780 61/2003-2004/484, 39781 to 39887 63/2003-2004/486, 40488 to 40987 68B/2003-2004/561, 43453 to 43500 72A/2003-2004/570, 44421 to 44514 74E/2003-2004/601, 47825 to 48090
Put & Call:Daily, Starting 53B/2003-2004/469, from 22nd/24th July, 30394 to 30550 2003
Put & Call:Daily, Starting exercise of Put/Call from 11th August, 2003 Option date whichever is earlier On maturity, 13th Put & Call:Daily, starting November, 2003 or on from 18th August, 2003 exercise of Put/Call option Date whichever is Put & Call:Daily, starting On maturity, 24th November, 2003 or on from 28th August, 2003 exercise of Put/Call Option date date, 25th is Put & Call:Daily, starting On maturity whichever Nov, 2003 or on exercise from 30th August, 2003 of Put/Call Option date whichever is earlier
On maturity, 28th Nov, 2003 or on exercise of Put/Call Option date whichever is 3rd On maturity, earlier
Put & Call:Daily, starting from 2nd September, 2003 /03rd Septermber, 2003 respectively Put & Call:Daily, starting
75B/2003-2004/653, 49591 to 49672, 76/20032004/654, 49673 to 49734 77B/2003-2004/656, 50535 to 50580 78/2003-2004/657, 50581 to 50623 82/2003-2004/696 , Distinctive Nos. 5204452112 84/2003-2004/698, 52233 to 52399
December, 2003 or on from 8th September, exercise of Put/Call 2003 Option date whichever is Put & Call:Daily, starting On maturity, 4th December, 2003 or on from 8th September, exercise of Put/Call 2003 Option date 16th On Maturity whichever is Put & Call:Daily Starting December 2003 or Put/call Date which ever is earlier On maturity, 22nd December, 2003 or on exercise of Put/Call On maturity, 23rd From 19th September 2003 Put/Call:Daily starting from 25th September, 2003
December, 2003 or on exercise of Put/Call Option date whichever is Put & Call:Daily starting On maturity, 30th December, 2003 or on from 6th October, 2003 exercise of Put / Call Option On maturity, 6th January, Put & Call:Daily, starting 2004 or on exercise of Put & Call/Call Option date whichever is 9th Jan Put:Daily Starting From On Maturity Date earlier 2004 or excercise of 15th October 2003 Put/Call Option Date , whichever is 19th Jan, On maturity, earlier. Put & Call:Daily, starting 2004 or on exericse of Put/Call Option date whichever is 19th On maturity, earlier January, 2004 or on exercise of Put/Call Option date whichver is On maturity, 23rd January, 2004 or on exercise of Put/Call option date whichever is On maturity, 30th from 23rd Oct, 2003 Put & Call:Daily, starting from 23rd Oct, 2003
Put & Call:Daily, Starting 85A/2003-2004/699, from 26th September, 52400 to 52574 2003 89/2003-2004/706, 55480 to 55559
93A/200-2004/714, from 10th October, 2003 56401 to 56473 95/2003-2004/788, 61229-61409 98A/2003-2004/810, 64410 to 65409 98B/2003-2004/811, 65410 to 65609
Put & Call:Daily Starting 100/2003-2004/914, from 29th October & 30th 68270 to 68469, October, 2003 101A/2003-2004/915, Put & Call:Daily, starting 68470 to 68537 104/2003-2004/935,
January, 2004 or on from 5th November, 2003 70295 to 70534 exercise of Put/Call Option date whichever is
On maturity date, 3rd Put & Call:Daily, starting February, 2004 or on from 7th November, 2003 exercise of Put/Call Option date whichever is Put & Call:Daily, Starting On maturity, 9th February, 2004 or on from 13th November, exercise of Put/Call 2003 Option date whichever is Put:Daily, Starting from On maturity, 10th Feb, 2004 or on exercise of Put/Call Option date whichever is 13th On maturity, earlier 14th November, 2003
February, 2004 or on exercise of Put/Call Option date whichever is Put & Call : Daily, starting 111/2003-2004/952, On maturity, 16th February, 2004 or on from 20th November, 73537 to 73701 exercise of Put/Call 2003 Option date whichever is Put & Call : Daily, starting 112/2003-2004/953, On maturity, 17th February, 2004 or on from 21st November, 73702 to 73839 exercise of Put/Call 2003 Option date whichever is Put & Call : Daily, starting 113A/2003-2004/954, On maturity, 20th February, 2004 or on from 25th November, exercise of Put/Call 2003 Option date whichever is Put & Call:Daily Starting Interest shall be payable on maturity date or From 29th November excercise of Put / Call 2003 Option date, 28th whichever On maturity, Put & Call:Daily, starting February, 2004 or on from 3rd December, 2003 exercise of Put/Call Option date whichever is Put & Call:Daily, starting On maturity, 1st March, 2004 or on exercise of from 4th December, 2003 Put/Call Option date whichever is 9th March, Put & Call:Daily, starting On maturity, earlier 2004 or on excercise of from 12th December, Put / Call Option date, 2003 whichever is 16th March, Put & Call:Daily, starting On maturity, earlier. 2004 or on exercise of from 20th Dec, 2003 Put/Call option date whichever is 17th March, Put & Call:Daily, starting On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is earlier from 22nd December, 2003 73840 to 74049 114/2003-2004/956; 74130-74459 115/2003-2004/957 , 74460-74535 117/2003-2004/970, 76128 to 76440 118/2003-2004/971, 76441 to 76611 121/2003-2004/980, 77002 to 77151 122A/2003-2004/981 77152 to 77269 123A/2003-2004/986, 77422 to 78573
Put & Call : Daily, starting 109A/2003-2004/946, from 18th November, 71903 to 72038 2003
On maturity, 19th March, 2004 or on exericse of Put/Call Option date whichever is 29th March, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is 1st April, On maturity, earlier 2004 or on exercise of Put/Call option date whichever is 7th April, On maturity, earlier 2004 or on exercise of Put/Call Option date, whichever is 16th April, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is 16th April, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is 21st April, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is 26th April, On maturity, earlier 2004 or on exercise of Put/Call option date whichever is 29th April, On maturity, earlier 2004 or on exercise of Put/Call option date whichever is 3rd May, On maturity, earlier 2004 or on exercise of Put/Call option date whichever is 5th May, On maturity, earlier 2004 or on exercise of Put/Call option date whichever is 10th May, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is 13th May, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is earlier
Put & Call:Daily, starting from 23rd December, 2003 Put & Call:Daily, starting from 1st January, 2004 Put & Call:Daily, starting from 5th January, 2004
Put & Call:Daily, starting 135/2003-2004/1027, from 10th January, 2004 81963 to 82359 Put & Call:Daily, starting 137A/2003-2004/1029, from 20th January, 2004 82682-83681 Put & Call:Daily, starting 137A/2003-2004/1029, from 20th January, 2004 82682 to 83681 Put & Call:Daily, starting 138/2003-2004/1031, from 27th January, 2004 84035 to 84238 Put & Call:Daily starting 139A/2003-2004/1032, from 29th January, 2004 84239 to 84346 Put & Call:Daily, starting from 3rd February, 2004 Put & Call:Daily, starting from 6th February, 2004 Put & Call:Daily, starting from 9th February, 2004 142A/2003-2004/1040, 85228 to 85530 143/2003-2004/1049, 86331 to 86408 144/2003-2004/1050, 86409 to 86568
Put & Call:Daily, starting 145A/2003-2004/1051, from 12th February, 2004 86569 to 86774 Put & Call:Daily, starting 146/2003-2004/1053, from 16th February, 2004 86875 to 86899
On maturity, 14th May, 2004 or on exercise of Put/Call Option date, whichever is 19th May, On maturity, earlier 2004 or exercise of Put/Call Option date whichever is 25th May, On maturity, earlier 2004 or on exercising of Put/Call Option On maturity, 1st June, 2004 or on exercise of Put/Call option date whichever is 2nd June, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is 3rd June, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is 10th June, On maturity, earlier 2004 or on exercise of Put/Call option date whichever is 14th June, On maturity, earlier 2004 or on exercise of Put/Call option date whichever is 15th June, On maturity, earlier 2004 or on exercise of Put/Call option date whichever is 2nd July, On maturity, earlier 2004 or on exercise of Put/Call Option date, which ever is5th July, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is 6th July, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is 8th July, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is earlier
Put & Call:Daily, starting 147/2003-2004/1054, from 17th February, 2004 86900 to 87038 Put & Call:Daily, starting 148/2003-2004/1055, from 23rd February, 2004 87039 to 87191 Put & Call:Daily, starting 149/2003-2004/1056, from 27th February, 2004 87192 to 87285 Put & Call:Daily, starting from 5th March, 2004 Put & Call:Daily, starting from 6th March, 2004 Put & Call:Daily, starting from 8th March, 2004 Put & Call:Daily, starting from 15th March, 2004 Put & Call:Daily, starting from 18th March, 2004 Put & Call:Daily, starting from 19th March, 2004 Put & Call:Daily, starting from 6th April, 2004 Put & Call:Daily, starting from 8th April, 2004 Put & Call:Daily, starting from 12th April, 2004 Put & Call:Daily, starting from 12th April, 2004 152/2003-2004/1084, 90386 to 90609 153/2003-2004/1085, 90610 to 90735 154/2003-2004/1086, 90736 to 90934 158/2003-2004/1121, 92490 to 92899 161C/2003-2004/1171, 98935 to 100096 162/2003-2004/1172, 100097 to 100703 2D/2004-2005/58, 5501 to 5948 3B/2004-2005/69, 6949 to 7548 4C/2004-2005/77, 9099 to 9583 5A/2004-2005/78, 9584 to 10108
On maturity, 9th July, 2004 or on exercise of Put/Call Option date whichever is 19th July, On maturity, earlier 2004 or on exercise of Put/Call Option date whichever is 21st July, On maturity, earlier
Put & Call:Daily, starting from 13th April, 2004 Put & Call:Daily, starting from 22nd April, 2004
6A/2004-2005/79, 10109 to 10338 8/2004-2005/81, 11339 to 11564 9A/2004-2005/82, 11565 to 11987 17A/2004-2005/101, 15040-15109 18/2004-2005/105, 15647-16072 19/2004-2005/106, 16073-16306 20/2004-2005/107, 16307 to 16406 21/2004-2005/108, 16407 to 16506 22/2004-2005/109, 16507 to 17006 23/2004-2005/110, 17007 to 17181 24A/2004-2005/111, 17182 to 17301 25/2004-2005/113, 17362 to 17507 29/2004-2005/136, 20215 to 21214
Put & Call:Daily, starting 2004 or on exercise of from 27th April, 2004 Put/Call Option date whichever ismaturity date Put & Call :Daily starting Payable on earlier or excercise of Put / Call from 15th May 2004 option date, whichever is earlier On Maturity date or on Put & Call : Daily from excercise of Put / Call option date whichever is earlier On Maturity or excercise of Put / Call option date, whichever is earlier 19th May 2004 Put & Call :Daily starting 20th May 2004
On maturity, 17th August, Put & Call : Daily, starting 2004 or on exercise of from 21st May, 2004 Put/Call Option date whichever is 23rd August, Put & Call : Daily, starting On maturity, earlier 2004 or on exercise of from 27th May, 2004 Put/Call Option date whichever is 24th August, Put & Call : N.A. On maturity, earlier 2004 On maturity, 6th September, 2004 or on exercised of put/call option On maturity, 15th Sept, 2004 or on exercise of Put/Call Option date whichever is 16th On maturity, earlier Put & Call:Daily, starting from 10th June, 2004 Put & Call:Daily, starting from 19th June, 2004 Put & Call:Daily, starting from 19th June, 2004
September, 2004 or on exercise of Put/Call Option date whichever is Put & Call:Daily, starting On maturity, 11th October, 2004 or on from 15th July, 2004 exercise of Put/Call option date whichever is
On maturity, 12th Oct, 2004 or on exercise of Put/Call Option date whichever is 13th On maturity, earlier October, 2004 or on exercise of Put/Call Optiond date20th On maturity, whichever
Put & Call:Daily, starting from 16th July, 2004 Put & Call:Daily, starting from 17th July, 2004
30/2004-2005/137, 21215 to 21414 31/2004-2005/138, 21415 to 21518 35/2004-2005/142, 21749 to 22052 97620001 TO 97620378 /9762000001 TO 9762121312 820001 TO 820027 / 82000001 TO 82000715 92001 TO 92188 /92000001 TO 92009531 20001 TO 20059 / 2000001 TO 2001144 1001 TO 1125 /10001 TO 10340 2001 TO 2025 /20001 TO 20025 10001 TO 10019 /1000001 TO 1004493 20001 TO 20067 / 2000001 TO 2020910 30001 TO 30224 / 3000001 TO 3289750 40001 TO 40037 / 4000001 TO4013513
Put & Call:Daily, starting October, 2004 or on from 24th July, 2004 exercise of Put/Call Option date whichever is N.A. SEMI ANNUALLY-7th April& 7th October SEMI ANNUALLY - 6th April & 6th October SEMI ANNUALLY -5th April & 5th October ANNUALLY - 16th February SEMI ANNUALLY- 6th April & 6th October SEMI ANNUALLY- 8th April & 8th October MONTHLY-2nd of every month SEMI ANNUALLY-15th July & 15th January ANNUALLY- 15th July N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
2010007 TO 2010059 / 201000645 TO 201018119 2020001 TO 2020098 /202000001 TO 202005701 30001 TO 30114 /3000001 TO 3121630 N.A.
Half Yearly 31st Oct & 30th April ANNUALLY-12th December ANNUALLY-2nd July
N.A.
N.A.
30003 TO 30239 /3000001 TO 3234253 20001 TO 20184 /200001 TO 248780 30001 TO 30309 /300001 TO 328220 830002 TO 830156 / 83000001 TO 83076261 93001 TO 93229 / 93000001 TO 93025266 30001 TO 30026 /3000001 TO 3000496 9910001 TO 9910229 /991000001 TO 991059072
ANNUALLY-2nd July
SEMI ANNUALLY - 6th April & 6th October SEMI ANNUALLY -5th April & 5th October ANNUALLY - 16th February
N.A.
N.A.
N.A.
40001 TO 40586 /4000001 TO 4330143 1 TO 105 /10001 TO 10250 2030001 TO 2030600 / 203000001 TO203060260 40001 TO 40268 /4000001 TO 4666411 N.A.
ANNUALLy-3rd October
Put& call-03/10/2003
Annually 1st November ANNUALLY-12th December Annually 1st November Annually 1st November
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity -24th March, Put & call-daily 2003 On maturity -25th March, Put & call-daily 2003
001 to 003
On maturity - 27th March, Put & call-daily 2003 On maturity -28th March, Put & call-daily 2003 On maturity -31st March, Put & call-daily 2003 Annually, 1st October Put & Call: N.A.
001 to 010
N.A.
N.A.
N.A.
On Maturity 26th August, 2002 On Maturity 28th August, 2002 On Maturity 9th September, 2002 On Maturity 14th September, 2002 On maturity-20th September, 2002 On Maturity 30th September, 2002 On Maturity 3rd January, 2003 On Maturity 23rd February, 2003 Quarterly 30th June, 30th Sept, 31st Dec &
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Quarterly N.A. 30th June, 30th Sept, 31st Dec & 11th August, Put & Call: N.A. On maturity, 2003 On maturity, 14th October, 2003 On maturity, 2nd December, 2003 Quarterly, 30th June, 30th Sept, 31st Dec, & 31st March Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
86-192
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
After 1st & 2nd Year ie 20th July, 2002 & 20th N.A. 2003 Put: July,
N.A.
N.A.
N.A.
N.A.
Put: N.A.
N.A.
N.A.
Annually,20th January
N.A.
Put: N.A.
N.A.
N.A.
N.A.
Put option: N.A. at the end of 5th year from the date of allotment at at N.A. Put: discount of 1.50% N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
After 1st & 2nd Year ie 20th May, 2002 & 20th May, 2003 Put: N.A.
N.A.
Put: N.A.
N.A.
N.A.
Put: N.A.
N.A.
N.A.
N.A.
N.A.
Put: N.A.
N.A.
Put: N.A.
N.A.
Put: N.A.
N.A.
Put: N.A.
N.A.
N.A.
N.A.
N.A.
Put: N.A.
N.A.
Put: N.A.
N.A.
N.A.
On maturity-5th February,2002 Quarterly 1st Jan 1st Apr 1st July Quarterly31st March 31st June 31st Sept & Annually 31st March Quarterly21st Nov, 21st Feb 21st May & 21st August Annually 31st March Annually 10th October On maturity-20th November, 2002 or on the exercise of put & call option) On maturity 17th February, 2003 or on exercise of Put/Call Option whichever is On maturity or on exercise of Put/Call Option whichever is earlier On maturity or on exercise of Put/Call Option whichever is earlier On maturity or on exercise of put/call option which ever is earlier
Put - None 001(1 - 1000000) Call - Any day during the tenure of the instrument N.A. 1 to 3,00,000 3,00,001 to 5,00,000 5,00,001 to 7,00,001 7,00,001 to15,00,001 to Dist Nos. : 8,00,001 20,00,000 N.A. Dist Nos. : 1 to 1,00,000 1,00,001 to 2,00,000 2,00,001 to13,00,000 Dist Nos. : to 2,00,000
N.A.
N.A.
N.A.
Put & call-daily (01-30) (may be exercised by either party with notice of 24 hours) May be exercised by 01 to 30 either party with notice of 24 hours Put/Call -daily Dist Nos : 01 to 30 May be exercised by either party with notice of 24 hours -daily Put/Call Dist Nos : 01 to 30 May be exercised by either party with notice of 24 hours May be Put/Call: 01-15 exercised by either party with notice period of 24 hours
Annurally on 22nd February Annually 20th November Annually 20th November Half Yearly 18th January & 18th July Annually 08th March Annually 31st December On maturity-11th June,2002 On maturity-16th September, 2002 On Maturity30th September, 2002 On maturity-27th November,2002 On maturity -10th Dec.2002 On Maturity24th March, 2003 or on Put/Call Option On maturity-24th March, 2003
None
0000001-3000000
N.A.
Dist Nos : 01 to 50
N.A.
N.A.
N.A.
Cert No. 1 to 206 Dist Nos : 1 to 150000 Cert No. 1 to 77 Dist Nos : 1 to 2500 Dist Nos. : 1 to 3000
N.A.
N.A.
N.A.
N.A.
NA
01-125
N.A.
01 to 200
N.A.
01-125
01 to 45 01 to 80
On maturity 24th March, 2003 or on Put/Call Option On maturity 29th April, 2003 or on Put/Call Option On maturity-27th September, 2003 or on Put/Call Option On maturity, 17th October, 2003 On maturity, 30th January, 2004 On maturity, 20th April, 2004 Half Yearly 15th June & 15th December Annually, 25th July Half Yearly 30th June & 31st December Half Yearly, 30th June & 31st Dec Annually-25th June
Put/Call : 23rd December, 2002 Put/Call : 24th January, 2003 Put/Call : 23rd December, 2002 Put & Call:Daily
01 to 80 01 to 45 01 to 1500
01 to 100
01-500000
01 to 3000
01 to 3000
N.A.
1 - 1250
N.A.
01 to 1250
N.A.
01 to 1250
Annually 12th July Quarterly 01st Jan 01st April 01st July & Quarterly -
N.A.
01 to 1250
N.A.
01 to 10/(01 to 10)
N.A. 001 - 010/(001 - 0100) 01st Jan 01st April 01st July & Annually-15th October & Call - can be exercised at 33A0001 - 33A0026/(1 on maturity the end of 10th year from 99) the date of allotment Half Yearly on 1st January & 1st July Half Yearly on 1st Jan & 1st July & on 8th May, 2003 for last interest & Quarterly redemption 01st Jan 01st April 01st July & Quarterly 01st Jan 01st April 01st Yearly Half July & 15th October & 15th April Annually-15th October & Call - can be exercised at 33B0001 - 33B0026/(1 on maturity for last the end of 10th year from 99) interest the date of allotment Half Yearly 15th Oct & 15th April Half Yearly 15th Oct & 15th April Half Yearly on 1st Jan & 1st July & on 8th Mar, 2004 for last interest & redemption N.A. Dist Nos : 1 to 50 N.A. Cert No. : G7GF 1 to 3 Dist Nos : 1 to 30000 Cert No. G&HF001 to G7HF0006 Dist Nos : 1 to 60000 01 to 10/(01 to 10)
N.A.
N.A.
N.A.
N.A.
1 to 100
N.A.
N.A.
Half Yearly - 1st Jan & 1st July & on maturity Half Yearly, 15th April & 15th October
N.A.
N.A
1 to 100
Semi Annually-15th April Put & Call: N.A. & 15th October Semi Annually-15th April Put & Call: N.A. & 15th October Quarterly 01st Jan 01st April 01st Yearly on Half July & 1st Jan & 1st July & on 26th June, 2004 for last interest & Quarterly redemption 01st Jan 01st April 01st Yearly, 15th Oct & Half July & 15th Apr Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. N.A.
01 - 790
01 -70
01 to 10/(01 to 10)
N.A.
N.A.
01 to 150
01 to 130
1 to 100
Annually-15th October & Call - can be exercised at 33C0001 - 33C0026/(1 on maturity for last the end of 10th year from 99) interest the date of allotment Annually-15th October & N.A. on maturity for last interest 34A0001 - 34A0008/(1 54)
Annually-15th October & Call - can be exercised at N.A. on maturity for last the end of 10th year from interest the date of allotment
Annually-15th October & N.A. on maturity for last interest Half Yearly 15th Oct & 15th April Half Yearly 15th Oct & 15th April Half Yearly - 1st Jan & 1st July & on maturity Half Yearly, 15th Oct & 15th April Half Yearly on 1st April & 1st Oct & on 31st Mar, 2005 for last interest & redemption & Half Yearly, 15th April 15th October Semi Annually-15th April Put & Call: N.A. & 15th October Quarterly 01st Jan 01st April 01st July & Quarterly 01st Jan 01st April 01st Yearly, 15th Oct & Half July & 15th Apr Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. N.A. N.A.
N.A.
Dist Nos : 1 to 50
N.A.
N.A.
N.A
001 to 100
N.A.
1 to 100
01 -70
01 to 10/(01 to 10)
N.A.
01 to 150
01 to 130
1 to 100
Annually-15th October & Call - can be exercised at 33D0001 - 33D0026/(1 on maturity for last the end of 10th year from 99) interest the date of allotment Annually-15th October & N.A. on maturity for last interest 34B0001 - 34B0008/(1 54)
Annually-15th October & Call - can be exercised at N.A. on maturity for last the end of 10th year from interest the date of allotment Annually-15th October & N.A. on maturity for last interest Half Yearly 15th Oct & 15th April Half Yearly 15th Oct & 15th April Annually -01st April N.A. N.A.
Dist Nos : 1 to 50
N.A.
N.A.
N.A.
N.A.
Half Yearly, 15th October Put & Call: N.A. & 15th April Annually - 01st April N.A.
101 to 200
N.A.
N.A.
1 to 100
Half Yearly N.A. 01st April & 01st October Semi annually-15th April& 15th October Put & Call: N.A.
Semi Annually-15th April Put & Call: N.A. & 15th October Quarterly 01st Jan 01st April 01st July & Quarterly N.A.
01 -70
01 to 10/(01 to 10)
N.A.
01st Jan 01st April 01st Yearly - 15th April & N.A. Half July & 15th October Half Yearly, 15th Oct & 15th Apr Half Yearly, 15th Oct & 15th Apr Half Yearly, 15th Oct & 15th Apr Put & Call: N.A.
01 to 250
01 to 130
Half Yearly - 15th April & N.A. 15th October Half Yearly N.A. 15th October & 15th April
Annually-15th October & Call - can be exercised at 33E0001 - 33E0026/(1 on maturity for last the end of 10th year from 99) interest the date of allotment
Annually-15th October & Call - can be exercised at N.A. on maturity for last the end of 10th year from interest the date of allotment Annually-15th October & N.A. on maturity for last interest Half Yearly 15th Oct & 15th April Half Yearly 15th Oct & 15th April Half Yearly - 1st Jan & 1st July & on maturity N.A. N.A.
Dist Nos : 1 to 50
N.A.
N.A.
N.A
Half Yearly, 15th October Put & Call: N.A. & 15th April Half YearlyN.A. 15th April & 15th October & on maturity Half YearlyPut & call - 31st March, 01st April & 01st October 2005 Half Yearly, 15th April & 15th October Annually -01st April N
201 to 300
(1 - 750)
Put & call 18th April, 2005 Put & call -20th April, 2005
Semi Annually-15th April Put & Call: N.A. & 15th October
Half Yearly on N.A. 15th April & 15th October & on 14th May, 2007 for last interest & redemption N.A. Quarterly 01st Jan 01st April 01st July -01st April Annually & Put & call14th July, 2005 Quarterly 01st Jan 01st April 01st Yearly on Half July & 15th Apr & 15th October& on 15th July, 2007Yearly oninterest & Half for last 1st Feb & 1st August Half Yearly, 15th Oct & 15th Apr Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. N.A.
N.A.
01 to 10/(01 to 10)
N.A.
N.A.
01 to 150
01 to 130
Half Yearly N.A. 15th October & 15th April Half Yearly N.A. 15th October & 15th April
1 to 100
1 to 2000
Annually-15th October & Call - can be exercised at 33F0001 - 33F0026/(1 on maturity for last the end of 10th year from 99) interest the date of allotment Annually-15th October & N.A. on maturity for last interest 34D0001 - 34D0008/(1 54)
Annually-15th October & Call - can be exercised at N.A. on maturity for last the end of 10th year from interest the date of allotment
Annually-15th October & N.A. on maturity for last interest Half Yearly 15th Oct & 15th April Half Yearly 15th Oct & 15th April Annually -01st April N.A.
N.A.
Dist Nos : 1 to 50
N.A.
Half Yearly, 15th October Put & Call: N.A. & 15th April Half Yearly on 1st April & 1st Oct & on 30th Mar, 2008 for last interest & redemption Half Yearly 15th Oct & 15th April Half Yearly, 15th April & 15th October Half-Yearly-15th April & 15th October Half-Yearly-15th April & 15th October Half Yearly 30th March & 30th Sept N N.A.
N.A.
1 to 100
N.A.
1 - 230
N.A.
1 - 230
N.A.
N.A.
Half Yearly N.A 01st July & 01st January Half Yearly 27th March & 27th Sept N.A.
N.A.
N.A.
Half Yearly 31st March & 30th Sept Half Yearly 17th August & 17th February Half Yearly 23rd August & 23rd February Half Yearly 23rd March & 23rd Sept Half Yearly 22nd June & 22nd December
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Notice Period for Half Yearly Put/Call : 05th July & 05th January 5th Jan 2004 Half Yearly 16th March & 16th Sept Half Yearly 17th March & 17th Sept Notice Period for Put/Call : 16th March, 2004 Notice Period for Put/Call : 17th March, 2004
N.A.
N.A.
N.A.
Notice Period for Half Yearly N.A. 01st April & 01st October Half Yearly 28/29th February & 30th August Half Yearly 28/29th February & 30th August Half Yearly 01st March & 01st Sept N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually-31st May except N.A. first & last interest payment on 01st June
N.A.
N.A.
N.A.
None
001 to 500
Annually-25th July
None
N.A.
Annually-23rd April
None
N.A.
Annually-23rd April
None
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 1st March Half Yearly 2nd June & 2nd Dec Half yearly 23rd March & 23rd Sept Half Yearly 8th June & 8th Dec Half Yearly 8th March & 8th Sept
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Semi -Annually 25th February & 25th August Half Yearly 23rd March & 23rd Sept Half Yearly 7th April & 7th October Half Yearly 2nd June & 2nd Dec Annually 01stMay
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 01stNovember
N.A.
Annually 01stNovember
N.A.
Semi Annually-01st Februay & 01stAugust Semi Annually- 01st February & 01stAugust Semi Annually-01st Februay & 01stAugust Annually 01stFebruary
N.A.
N.A.
N.A.
N.A.
Annually 1st February Semi Annually- 01st February & 01stAugust Semi Annually1st August & 1st February Semi Annually01stFebruary & 01st August Semi Annually-01st Februay & 01stAugust Half Yearly 1st Feb & 1st August Half Yearly 1st Feb & 1st August
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Discounted Option
N.A.
Put & call-18th November, 2002 Put & call- 06th June, 2002 Put & Call: N.A. 70174, 80085395 to 80085494
Annually 27thJune
Annually 01stMay
N.A.
N.A.
20058, 9055726590557289
N.A.
N.A.
Put & Call-04th July, 2002 Put & Call-05th July, 2002 Put & Call-05th July, 2002 Put & call-06th October, 2002 Put & Call: N.A. 70277, 80099069 to 80099073 NA
N.A.
N.A.
N.A.
Annually,1st May
N.A.
Annually 01stMay
N.A.
Annually 01stMay
N.A.
Annually 1st August Annually 1st August Annually 1st August Annually 1st August Annually 1st August Annually, 1st August
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half yearly, 1st Feb & 1st Put & Call: N.A. Aug
Annually, 1st Aug N.A.
N.A.
N.A.
N.A.
N.A.
NA
Annually 1st August Semi Annually- 01st February & 01st August Yearly 1st August
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Semi Annually- 01st May N.A. & 01st November Annually, 1st November Put & Call: N.A. N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & call-08th December, 2002 Put & Call: N.A. 2385, 90272659 to 90272683 N.A.
Annually,1st November
Annually 2nd April (Starting from the 2nd year from the date of Annually 2nd April
Early encashment after expiry of one year Early encashment after expiry of one year
N.A.
N.A.
Monthly Early encashment after Interest will be payable expiry of one year on the second day of the next month February Annually-5th N.A
N.A.
2600001 to 2750843
N.A.
N.A
2763982 to 2879082
Annually 01stFebruary
N.A.
N.A
124000001 to 124216230
Annually 01stAugust
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 01stFebruary
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
Semi Annually- 01st May N.A. & 01st November Semi Annually- 01st May Put & Call-12th June, & 01st November 2003 Annually 01stNovember Put & call-12th August, 2003 Put & call-14th June,2003 & 14th June, 2004 N.A. N.A.
Annually-14th June
Annually-14th June
N.A.
Annually,1st May
N.A.
Annually,1st May
N.A.
N.A.
N.A.
N.A.
Call : 11th July, 2003 & 11th July, 2004 Put & Call : N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually-05th August
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 01stAugust
N.A.
N.A.
Annually 1st August Annually 5th Sept Annually 5th Sept On maturity 15th Sept, 2005 Annually 26th Sept Annually -05th October
N.A.
N.A.
N.A.
N.A.
N.A
124224491 to 124369728
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 5th Nov Annually 5th Nov Annually 1st November Annually 8th November Annually 8th November Annually 1st November Annually 1st Nov
N.A.
N.A.
N.A.
N.A.
NA
N.A.
N.A.
N.A.
Annually 25th November On maturity 30th Nov, 2005 Annually 5th Dec Annually 5th Dec
N.A
N.A
N.A.
N.A.
Annually 6th January Annually 6th January Annually 17th January Annually 01st February
N.A.
N.A.
N.A.
N.A
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
Annually-01st February
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 01stFebruary
N.A.
Annually 01stFebruary
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 1st May On maturity 25th May, 2006 Annually 1st May Annually 1st May Annually 1st May Annually 01stMay
N.A.
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:14th June, 2004 & 14th June, 2005 Put & Call:14th June, 2004 Put & Call:16th June, 2004
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 1st May Annually 1st May Annually 1st May Annually, 25th June
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 1st May Annually 1st May Annually 1st May Annually 1st May Annually 1st May Annually 1st May Annually, 2nd July
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:2nd July, 2004 N.A. & 2nd July, 2005
Put & Call:2nd July, 2004 N.A. & 2nd July, 2005 N.A. N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 1st May On maturity 17th July, 2006 Annually 1st May Annually 1st May Annually, 21st July
N.A.
N.A.
N.A
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:23rd July, 2004 Put & Call:23rd July, 2005 Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:5th August, 2004 Put & Call:5th August, 2005 Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:11th August, 2004 Put & Call:11th August, 2004 Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 01stAugust
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually, 4th September Put & Call:4th September, 2004 Annually, 4th September Put & Call:4th September, 2005 Annually, 4th September Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
Annually 1st August On maturity, 14th September, 2006 Annually 1st August Annually 1st August Annually, 1st August
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 1st August Annually 22nd September Annually 22nd September Annually 22nd September Annually 1st August Annually, 1st August
N.A.
Put & Call:22nd Sep 2004 Put & Call:22nd Sep 2005 Put & Call: N.A.
NA
NA
NA
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:7th October, 2004 Put & Call:9th October, 2004 Put & Call:9th October, 2005 Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
N.A.
N.A.
Put & Call : 5th November 2005 Put & Call: N.A.
NA
305, 9011260890112657
Put & Call :6th November NA 2004 Put & Call: N.A. 345, 90114066 to 90114095
N.A.
Put & Call:5th December, N.A. 2005 Put & Call : N.A. N.A.
NA
N.A.
N.A.
N.A.
N.A.
Annually-5th February
N.A.
2500001 to 2505278
Annually-5th February
N.A
2750844 to 2758775
N.A.
N.A.
Annually 1st February Annually 15th March Annually 1st February Annually 1st November Annually, 1st February
N.A.
N.A.
122000001 to 122075334
N.A.
N.A.
N.A.
NA
Annually 30th April On Maturity 15th June, 2007 Annually, 1st May
N.A
N.A.
NA
N.A.
N.A.
On maturity, 12th July, 2007 On maturity, 23rd July, 2007 On maturity 25th July, 2007 Annually-05th August
N.A.
N.A
N.A.
N.A.
Annually 5th Sept On maturity, 5th September, 2007 Annually 12th Sept Quarterly 12th Sept, 12th Dec, 12th Mar & Monthly 12th of every month
N.A.
N.A.
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
Annually-12th September Put option on or after 12th September, 2004 Annually -01st AUG N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
1138, 90186557 to 90186566 1231, 90195924 to 90196023 1140, 90187064 to 90187073 N.A.
Annually 25th November Quarterly 25th February 25th May 25th August
N.A
N.A
N.A.
Call Option on 25th Nov, N.A. 2004 25th Nov, 2005 & & Call: N.A. Put N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 17th January On maturity 17th July, 2008 Annually 1st November Annually 5th February Annually 10th February
N.A
N.A
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Y N.A. Put : After expiry of 2 years from deemed date of allotment ie. on or after 4th Mar, 2005 till N.A. N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
N.A.
Put:25th April, 2006 (in case IDBI decides to switchover to Floating Rate basis) N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
NA
NA
N.A.
USB-CUM/001, 001-500
12.30
NA
NA
MOB IV/D/13 (001 to 200) MOB-I/Op.C/ 001 (001 TO 200) ii)MOB-I/Op. C/ 003 (201 to 700) iii)MOB-I/Op. C /004 (701 001 to 493000
NA
NA
NA
NA
NA
UNS/M1/001 (001 to 5000) UNS/M/002 (001 to 200),UNS/M/003 (201 to 700), UNS/M/004 (701 to 1700) W/SA/70 (001 TO 100), W/SA/74
(101 TO 113)
NA
NA
N.A.
N.A.
NA
NA
UNS/P/A/001 (001 to 050),UNS/P/A/003 (051 to 650),UNS/P/A/005 (651 to 675) (001 to UNS/P/A/006 200)
NA
MOB IV/B/15 (001 to 500) A/1/Sept00 (001 to 2000) MOB IV/B/018 (001 to 1000),MOB IV/B/019 (1001 to 1100) USB/Oct 2000/A/5 (001 to 1000)
N.A.
NA
N.A.
At the end of every year USB/Oct 2000/A/1 01st Oct (001 to 500) USB/Oct 2000/A/2 (501 to 1500) (001 to NA MOB IV/B/029 200),MOB IV/B/030 (201 to 700)
N.A.
NA
NA
NA
NA
NA
NA
NA
N.A.
IIBI Unsecured ICB Aug, 2003/002 IIBI ICB (V) 00001 to 21875 IIBI ICB (IX), 00001 to 25000 USB/Oct.2001/002 (001 TO 500) i)MOB-I/Op. E/09 (001 to 200) ii)MOBI/Op. E/14 (201 to 700) iii)MOB-I. (001 E/16(701 UNS-W/H/11 Op. TO 100)
N.A.
N.A.
NA
NA
NA
NA
NA
NA
N.A.
NA
USB/Jan.2002/004(001to 25) USB/Jan.2002/003 (001 to 25) MOB-II/B/1001 (001 to 500),MOB-II/B/1002 (501 to 1000)
UNS-W/X/64 (001 TO 025)
NA
NA
31st March, 2003 & 31st USB/Mar 2002/005 March, 2004 (001 to 200)
NA UNS-W/XA/66 (001 TO 100)
N.A.
UNS-W/XB/68 (001 TO 180),UNSW/XB/71 (181 TO 225), UNSW/XB/73 (226 TO 255), UNSZ/B/17 (256 to 275)
N.A.
N.A.
W/XC/65 (001 TO 004), W/XC/65 (005 TO 017), W/XC/65 (018 TO 040), W/XC/65 (041 TO 290), Apl. 00/B/2 (001 to 550)
N.A.
NA
Apl. 00/C/3 (Dist No. 001 to 050) APL. 00/A/1 (Dist Nos : (001 to 550) UNS-W/XB/69 051 TO 200)
N.A.
NA
USB/MAY.00/D/2 (001 to 045) USB/MAY.00/D/3 (046 to 245) (001 to UNS/P/B/002 300),UNS/P/B/004 (301 to 400)
NA
N.A.
MOB IV/C/001 (001 to 500),MOB IV/C/002 (501 to 700),MOB IV/C/003 (701 to 1700) ICB Aug, IIBI Unsecured 2003/003
N.A.
IIBI ICB (VI) 00001 to 21875 MOB IV/C/016 (001 to 400),MOB IV/C/017 (401 to 600),MOB IV/C/020 (601 to 900),MOB USB-August-02/006 (761 to 1060) IIBI ICB(X), 00001 to 25000 USB/Oct 2000/B/4 (001 to 450)
NA
At the end of every year 1st Sept, 2003 or 1st Sept, 2004 Put & Call: N.A.
N.A.
NA
NA
N.A.
Annually,31st March
NA
NA
i)MOB VI (B) Op.G/ 025 (001 300) ii)MOB VI (B) Op.G/ 026 (301 - 700) iii)MOB VI (B) Op.G/ 027 (701 800) VI Op.A/012VI (B) - 100) iv)MOB (001 Op.G/ i)MOB ii)MOB VI Op.A/013 (101 - 135) iii)MOB VI Op.A/014 (136 - 165) iv)MOB VI Op.A/015 (166 - 465) v)MOBVI (B) Op. H/ 30 (001 i)MOB VI Op.A/016 (466 - 550) 300) ii)MOB VI (B) Op.H/ 31 (301 - 332)
NA
NA
NA
i)MOB VI (C) Op.G/ 040 (001 125) ii)MOB VI (C) Op.G/ 041 (126 - 225)
Put & Call:At the end of every eyar ie, 1st June, 2004 & 1st June, 2005
NA
NA
At the end of 5 years. 01- UNS-W/B/01 (001 TO Aug-2004 500) Put & Call: N.A. USB-July 2003/016(87368810) IIBI Unsecured ICB Aug, 2003/004 IIBI ICB (VII)00001 to 21875
UNS-W/E/03 (001 TO 1000)
N.A.
N.A.
NA
Annually, 1st September Put & Call:At the end of every year (1st Sept, 2004 & 1st Sept, 2005) N.A. Put & Call: N.A.
NA
NA
NA
Put: N.A.
NA
NA
NA
N.A.
NA
UNS-W/A/15 (001 to 300) UNS-W/A/16 (301 to 325) UNS-W/A/18 (326 to 400) UNS-W/A/25 TO 025), 425) UNS-W/A/41 (001 (401 to UNSW/A/42 (026 TO 065), UNSW/A/43 (066 TO 165), UNSW/A/44 (166 TO 183), UNSW/A/45 (184 TO 5183), UNS-W/P/51 (001 TO 2000)
NA
NA
UNS-W/Q/52 (001 TO 250), UNSW/Q/53 (251 TO 285), UNSW/Q/54 (286 TO 335), UNS-W/Q/58 (001 TO 200)
NA
NA
N.A.
NA
NA
NA
UNS-Z/A/3 (001 TO 185),UNSZ/A/4 (186 TO 385), UNS-Z/A/5 (386 TO 435), UNS-Z/A/6 (436 TO 448), UNS-Z/A/7 (449 TO 470), UNS-Z/A/8 (471 TO 486), UNSUNS-Z/B/029 (001 TO 100)
NA
NA
NA
N.A.
USB/MAY.00/E/1 (001 to 300) USB/MAY.00/F/6 (001 to 100) USB/MAY.00/F/7 (101 to 400) USB/MAY/2000/D/18
N.A.
N.A.
N.A.
N.A.
NA
N.A.
NA
N.A.
Annually,31st March
NA
USB March,02/002 (001 to 100) USB-March,2003/001, 3161 to 3260 i)MOB-III/ Op. B/ 001 (001 to200) ii)MOB-III/Op.B/ 002 (201 to 265) Op. B/ 001 i)MOB-III/ (001 to200) ii)MOB-III/Op.B/ 002 (201 to 265)V Op.B/Oct./ 001 i)MOB (001 - 100) ii)MOB V Op.B/Oct./ 006 (101 - 3100) i)MOB V Op.B/Oct./ 001 (001 - 100) ii)MOB V Op.B/Oct./ 006 (101 - 3100)
NA
NA
Half Yearly, 1st April & 1st October Half Yearly, 1st April & 1st October
At the end of 3rd year (01/10/01) At the end of 3rd year (01/10/01)
Put & call-At the end of Infra-1/001/(001 to 1500) every month between the expiry of 55 & 59 months Annually-01st December from the date of allotment T/C/027(001-023), N.A. T/C/028(024323),T/C/030(324-423), T/C/031(424Half yearlyPut & call-At the end of Infra-1/001/(001 to 1500) 01st June & 01st December Annually-01st January every month between the expiry of 55 & 59 months from the date of allotment T/C/037/(001 to 015) N.A. T/C/038/(016 to 515) T/C/040/(516 to 565) N.A.
Annually-01st January
Annually-01st January
N.A.
Annually-01st January
N.A.
Annually-01st March
N.A.
T/C/019(001 TO 025)
Annually-01st March
N.A.
T/C/019(001 TO 025)
Half Yearly 19th March & N.A. 19th September Annually, 1st May NA
23/SL/000013(98134 to 103133) 23/SL/000015 000016(103134 to 133333), 23/SL/000004 MOB-III/Op.C / 011 (001 TO 2400) & MOBIII/Op.C / 012 (2401 to 3500) MOB-III/Op.C / 011 (001 TO 2400) & MOBIII/Op.C / 012 (2401 to 3500)
NA
Annually-01st August
N.A.
Annually-01st August
N.A.
Annually (1st October every year) Half Yearly, 1st April & 1st October Annually (1st October )
MOB-IV/C/004 (001 TO 1000), MOB IV/C/005 (1001 TO 1200), MOB IV/C/006 (1201 TO /002 i)MOB-V/Op.D/Oct. (001 to 2000) ii)MOB-V/Op.D/Oct. /005 (2001 to 2500) i)MOB-V/Op.E/Oct./ 003 (001 to 005) ii)MOB-V/Op.E/Oct. /004 (006 to 105) i)MOB-V/Op.D/Oct. /002 (001 to 2000) ii)MOB-V/Op.D/Oct. /005 (2001 to 2500) i)MOB-V/Op.E/Oct./ 003 (001 to 005) ii)MOB-V/Op.E/Oct. /004 (006 to 105)
T/B/005/(0-01 to 3000)
i)MOB-V Op.D/Nov./ 011(001 to 100) ii)MOB-V Op.D/Nov. / 012(101 to 200) 3000) T/B/005/(0-01 to
i)MOB V Op.D/Dec./ 031 (001 - 025) ii)MOB V Op.D/Dec ./032 (026 - 125) T/A/007(001-133), T/A/008(134-183), T/A/009(184-198), T/A/010(199-298), 031 i)MOB V Op.D/Dec./ (001 - 025) ii)MOB V Op.D/Dec ./032 (026 - 125)
i)MOB V Op.D/Jan./ 042 (001 - 500) ii)MOB V Op.D/Jan. /043 (501 -1000) T/A/JAN/033(001200),T/A/JAN/034(201225),T/A/JAN/035(226250), T/A/JAN/039(251i)MOB V Op.D/Jan./ 042 (001 - 500) ii)MOB V Op.D/Jan. /043 (501 -1000) i)MOB-V/Op.D/Feb./ 051 (001 to1000) ii)MOB-V/Op.D/Feb. /052 (1001 to 1130)
Annually (1st January of every year) Annually (1st February every year)
At the end of 5th yr. (01/01/04) At the end of 5th yr. (01/02/04)
Annually-01st March
Annually (1st March every year) Half Yearly, 1st March & 1st September Annually-01st March
i)MOB-V/Op.D/Mar. /053 (001 to 200) ii)MOB-V/Op.D/Mar. /054 (201 to 225) iii)MOBi)MOB-V/Op.E/Mar. /057 (001 to100) ii)MOB-V/Op.E/Mar. /059 (101 to 435) T/A/050 (001-157), T/A/051(158161),T/A/052(1621161),T/A/052(1162i)MOB-V/Op.D/Mar. /053 (001 to 200) ii)MOB-V/Op.D/Mar. /054 (201 to 225) iii)MOBi)MOB-V/Op.E/Mar. /057 (001 to100) ii)MOB-V/Op.E/Mar. /059 (101 to 435)
N.A.
Annual-04th N.A. September(actual/365/36 6 in case of leap year & following - 17 th day Annually business Put & Call:At the end of September year 1 from the deemed date of allotment Annually- September 24
1-100
Put & Call:At The End Of 1,(1-100) Year 1 From The Date Of Allotment N.A. Cert No : 1 to 2 Reg Folio No : 1 to 2 Dist Nos : 1 to 100
N.A.
Annually 15th July Annually 22nd October Annually 22nd October Annually 7th January Annually 7th January Annually - 11th April
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
1, 1-200
Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov
Half Yearly, 15th May & 15th Nov
Put: N.A. Call:N.A. Put: N.A. Call:N.A. Put: N.A. Call:N.A. Put: N.A. Call:N.A. Put: N.A. Call:N.A. Put: N.A. Call:N.A.
N.A.
242307 to 244306
N.A.
N.A.
N.A.
3566 to 3640
N.A.
N.A.
Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Annually, 15th June
Put: N.A. Call:N.A. Put: N.A. Call:N.A. Put: N.A. Call:N.A. Put: N.A. Call:N.A. Put: N.A. Call:N.A. N.A. N.A.
N.A.
Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov
Half Yearly, 15th May & 15th Nov Annually, 15th June
Put: N.A. Call:N.A. Put: N.A. Call:N.A. Put & call20/12/2001 Put & call10/02/2002 Put & call20/12/2001 N.A N.A.
Annually - 01 Jun
Refer Annexure
Annually - 01 Jun
Refer Annexure
Annually - 01 Jun
Refer Annexure
(100001 - 200000)
G/4/(105001 -155000)
Refer Annexure
Annually - 01 Jun
NA
Refer Annexure
Annually - 01 Jun
NA
Refer Annexure
G/5/(155001 -205000)
G/6/(205001 -305000)
Refer Annexure
Semi-annually -30th April N.A. & 31st October On maturity013th July,2002 On maturity 13th July,2002 N.A.
N.A.
Semi-annually -30th April N.A. & 31st October Semi-annually -30th April N.A. & 31st October Semi-annually -30th April N.A. & 31st October Semi-annually -30th April N.A. & 31st October On maturity - 29th August, 2002 On maturity - 29th August, 2002 On Maturity 30th August, 2002 On Maturity 30th August, 2002 Put & call - 01st March, 2002 Put & call - 01st March, 2002 Put : 28th June, 2002
G/7/(455001 -705000)
G/23/(705001 -805000)
G/24/(805001 -855000)
G/25/(855001 -950000)
(1 - 50000)
N.A.
Annually - 01 Jun
NA
Refer Annexure
Annually - 01 Jun
NA
N.A.
On Maturity 8th Sept, 2002 On Maturity 8th Sept, 2002 On Maturity 26th Sept, 2002 On Maturity 26th Sept, 2002
N.A
N.A
Put & Call : 26th Mar, 2002 Put & Call : 26th Mar, 2002
Semi-annually -30th April N.A. & 31st October On maturity. 18th October, 2002 On maturity-09th November,2002 On maturity-09th November,2002 On maturity-09th November,2002 On maturity 9th November, 2002
On maturity 9th Nov, 2002
G/26/(950001 -1000000)
N.A.
Daily
Daily
Daily
Put/Call : At par at the Dist Nos : 10001 to end of every day. For 110000 Put/Call exercise request received by 1.00 p.m. on Dist Nos : 1 to 100000 Daily
On maturity 9th November, 2002 On maturity-12th November,2002 On maturity-12th November,2002 On maturity-20th November,2002 On maturity-20th November,2002 On maturity-20th November,2002 On maturity 20th November, 2002 On maturity 20th Nov, 2002 On maturity 20th November, 2002 On maturity 20th November, 2002 On maturity-27th November,2002 On maturity-27th November,2002 On maturity - 14th Ddec,2002
Put/Call : At par at the N.A. end of every day. For Put/Call exercise request received by 1.00 p.m. on (180001-272500 Put option-12th May,2002 272501-280000) Put option-12th May,2002 N.A. N.A.
(280001-38000)
Daily
N.A.
Put/Call : At par at the Dist Nos : 250001 to end of every day. For 300000 Put/Call exercise request received by 1.00 p.m. on Dist Nos : 170001 to Put : Daily 250000 Put : Daily Dist Nos : 250001 to 300000 Dist Nos : 150001 to 250000 N.A.
Put : Daily
N.A.
(380001-48000)
N.A.
N.A.
Daily
(300001 - 400000)
Daily
On maturity 14th Dec, 2002 On maturity - 14th Ddec,2002 On maturity - 14th Dec,2002 On maturity - 24th Ddec,2002 On maturity 24th December, 2002
On maturity 24th Dec, 2002 On maturity 24th Dec, 2002
Daily
Daily
Daily
N.A
(4000001 - 500000)
Put/Call : At par at the Dist Nos : 400001 to end of every day. For 500000 Put/Call exercise request received by 1.00 p.m. on Dist Nos : 400001 to Daily
450000 Daily Dist Nos : 170001 to 250000 Dist Nos : 450001 to 470000
On maturity 24th December, 2002 On maturity 24th Dec, 2002 On Maturity 14th Feb, 2003 On Maturity 14th Feb, 2003 Annually 1st Aug
Put/Call : At par at the N.A. end of every day. For Put/Call exercise request received by 1.00 at theon Dist Nos : 450001 to Put : Daily-at par p.m. end of every day. For 500000 request received by 1.00 pm oncall: sameAugust, Dist Nos : Put & the 14th day, the 2002 Put & call: 14th August, 2002 N.A 290001 to 340000 N.A.
Annually 1st Aug On maturity 30th May, 2003 On maturity 30th May, 2003 On maturity 4th June, 2003 On maturity 4th June, 2003 Annually - Aug 1
N.A
N.A.
Daily
Daily
N.A.
N.A.
N.A.
N.A.
NA
Refer Annexure
Half Yearly 15th May & 15th Nov On maturity 16th September, 2003 On maturity 16th September, 2003 On maturity 16th September, 2003 On maturity 16th September, 2003 On maturity 16th September, 2003 Annually - Aug 1
N.A.
Put & call : At par at the end of every day. For 100001 to 250000 put/call exercise request received by At par at the N.A. Put & call : 1.00 p.m. on end of every day. For put/call exercise request received by At par at the Put & call : 1.00 p.m. on
Cert No. 7 Dist Nos : 68911 to 88910 Cert Nos 8 1 to 100000 Dist No. :
end of every day. For put/call exercise request received by 1.00 p.m. on Dist No. 100001 to Daily 200000 Daily Dist No. 200001 to 250000 Refer Annexure
NA
Annually - Aug 1
NA
N.A.
On maturity 24th Oct, 2003 On maturity 24th Oct, 2003 On maturity 28th Oct, 2003 On maturity 28th Oct, 2003 On maturity 31st Oct, 2003 On maturity 31st Oct, 2003 On maturity 18th November, 2003 On maturity 18th November, 2003 On maturity 18th November, 2003 On maturity 18th November, 2003 On maturity 18th November, 2003 On maturity 18th November, 2003
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Daily
Daily
Dist Nos : 1 to 30000 30001 to 40000 40001 to 50000 50001 to300001 to Dist No. 200000 350000 350001 to 390000 390001 to 200001 to Dist Nos : 400000
Put/Call : Daily At par at the end of every 250000 day. For put/call exercise 50001 to 60000 request received by 1.00 N.A. N.A.
Daily
N.A.
On maturity 18th November, 2003 On maturity 21st November, 2003 On maturity 21st November, 2003
Put/Call : Daily N.A. At par at the end of every day. For put/call exercise request received by 1.00 Dist Nos : 500001 to Daily 550000
Put/Call : Daily Dist Nos : 500001 to At par at the end of every 550000 day. For put/call exercise Semi-Annually-01st June request received by 1.00 K/2/(100001 -200000) N.A. & 01st Dec. Half Yearly 15th May & 15th Nov Half Yearly 15th May & 15th Nov On maturity 11th December, 2003 On maturity 18th December, 2003 On maturity 18th December, 2003 On maturity 26th December, 2003 On maturity 26th December, 2003 On maturity 9th January, 2004 On maturity 13th January, 2004 N.A. Dist Nos : 227122 to 227141 N.A.
N.A.
Daily
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call : Daily Dist Nos : 100001 to At par at the end of every 130000 day. For put/call exercise request received by 1.00 Dist Nos : 130001 to Put/Call : Daily At par at the end of every 250000 day. For put/call exercise request received by 1.00
N.A
N.A
Semi-Annually-01st June Put & call -08th Feb,2002 K/4/(210001 -290000) & 01st Dec. K/5/(290001 -310000) On Maturity 10th February, 2004 On Maturity 10th February, 2004 Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov N.A. N.A. Dist Nos : 1 to 250000
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
2000-1/1-10/(1 - 500000)
Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov On maturity, 28th May, 2004
N.A.
N.A.
Semi-Annually-01st June Put & call -12th July,2002 K/6/(310001 -410000) & 01st Dec. Semi-Annually-01st June N.A. & 01st Dec. Semi-Annually-01st June Put & call -02nd & 01st Dec. Aug,2002 On maturity, 5th August, 2004 Annually 1st September Annually 1st September Put & Call:4th February, 2004 N.A. K/8/(460001 -510000) K/7/(410001 -460000) K/9-10/(510001 -560000)
1 to 150000, 150001 to 200000 & 200001 to 250000 Dist Nos : 150001 to 200000 N.A.
N.A.
On maturity, 13th August, Put & Call: N.A. 2004 On maturity, 17th October, 2004 Put & Call: N.A.
1 to 100000
Semi-Annually-01st June Put & call -01st Nov,2002 K/36-49/(560001 & 01st Dec. 700000) Semi-Annually-01st June Put & call -16th Nov,2002 K11-K12/(700001 & 01st Dec. 800000) Annually 1st September Annually 1st September Annually 1st September N.A. Dist Nos : 1 to 50000
N.A.
N.A.
N.A.
Annually 1st September On maturity, 26th November, 2004 On maturity, 28th November, 2004 Annually 1st August Annually 1st September Annually 1st September
N.A.
N.A.
Cert No. 45 Dist Nos : 888011 to 890510 Dist Nos : 120001 to 220000 N.A.
N.A.
N.A.
Semi-Annually-01st June Put & call -13th Dec,2002 K/13/(800001 -900000) & 01st Dec. Semi-Annually-01st June Put & call -17th Dec,2002 K/14-25/(900001 & 01st Dec. 940000) Semi-Annually-01st June Put & call -17th Dec,2002 K31-34/(990001 & 01st Dec. 1000000) Half Yearly 1st April & 1st October N.A. Dist Nos : 92301 to 97300
Semi-Annually-01st June Put & call -28th Dec,2002 K/26-30/(940001 & 01st Dec. 990000) Semi annual 1-Jun/ 1Dec Half Yearly 1st April & 1st October NA Refer Annexure
N.A.
Half Yearly 1st April & 1st October Semi annual 1-Jun/ 1Dec Annually - 15 Jun
N.A.
N.A.
Refer Annexure
Refer Annexure
Semi-Annually-01st June N.A. & 01st Dec. Half Yearly 15th May & 15th November Half Yearly 15th May & 15th November Half Yearly, 15th May & 15th Nov Half Yearly 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Annually 15th January Annually 15th January Annually 15th January Annually 15th January N.A.
U-97/1/(1 -100000)
N.A.
137501 to 139500, 139501 to 142000 Cert No. 88 Dist Nos : 155463 to 169962 Cert No.to 195082 180083 89
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Semi-Annually-01st June N.A. & 01st Dec. Annually 15th January Annually 15th January Half Yearly 15th May & 15th Nov Annually 15th January Annually 15th January Half Yearly 15th May & 15th Nov Semi annual 1-Jun/ 1Dec N.A.
U-97/46/( 1076101 1126100) Dist Nos : 33201 to 34550 45551 to 49550 Dist Nos : 35551 to 45550 Dist No. 217122 to 227121 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Refer Annexure
Semi-Annually-01st June N.A. & 01st Dec. Semi-Annually-01st June N.A. & 01st Dec. Semi-Annually-01st June N.A. & 01st Dec.
Annually - Aug 1
NA
Refer Annexure
Semi-Annually-01st June N.A. & 01st Dec. Semi-Annually-01st June N.A. & 01st Dec. Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Annually, 15th June Put & Call: N.A.
U-97/50/(1326101 1404300) U-97/51/(1404301 1504300) 4001 to 6500, 10501 to 14500, 14501 to 18500, 23501 to 27500 N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov
N.A.
N.A.
Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Annually - Jun 15
N.A.
N.A.
NA
Refer Annexure
Annually - Aug 1
NA
Refer Annexure
Annually - Aug 1
NA
Refer Annexure
Annually - Aug 1
NA
Refer Annexure
Annually - Aug 1
NA
N.A.
Annually - Aug 1
NA
Refer Annexure
Annually - Aug 1
NA
N.A.
Annually - Aug 1
NA
Refer Annexure
Annually - Aug 1
NA
N.A.
Annually - Aug 1
NA
Refer Annexure
Annually - Aug 1
NA
Refer Annexure
Annually - Aug 1
NA
N.A.
Annually - Aug 1
NA
N.A.
Annually - Aug 1
Annually - Aug 1
Refer Annexure
N.A.
Annually 1st August Annually 1st August Annually 1st August Annually 1st August Annually 1st August Annually -01st August
Refer Annexure
N.A
Refer Annexure
N.A
N.A
Cert No. 19 Dist Nos : 821001 to 823200 Cert No. 22 Cert No. 47 Dist Nos : 891533 to 894032
N.A
N.A.
Cert No. 42 Dist Nos : 880411 to 885410 Cert No. - 400000) (370001 48
N.A.
N.A.
Half Yearly 1st April & 1st October Half Yearly 1st April & 1st October
N.A.
N.A.
Cert No. : 2001-II/1 Dist Nos : 1 to 20 Cert No. : 2001-II/2 Dist Nos 9 21 to 45 Cert No. : Dist Nos : 43446 to 45945 Cert No. 13
N.A.
(450001 - 470000)
N.A.
N.A.
N.A.
(400001 - 450000)
N.A.
N.A.
187066 to 227065
N.A.
Cert No. 2001-II/67 Dist No.110780-115779 Dist Nos : 100001 to 200000 Dist Nos : 100001 to 200000 Dist Nos : 470001 to 720000 Dist Nos : to 275001to 275600 N.A.
N.A
Annually - Aug 1
N.A
Annually - Aug 1
N.A
Annually - Aug 1
Annually - Aug 1
Annually - Aug 1
N.A.
Annually - Jun 15
Refer Annexure
Annually 1st August Annually 1st August Half-yearly 14 Feb / 14 Aug Half-yearly 14 Feb / 14 Aug Half-yearly 14 Feb / 14 Aug Half-yearly 14 Feb / 14 Aug Annually 1st February Annually 1st February Annually 1st Sept Annually 1st Sept Annually 1st Sept Annually 1st Sept
Put : every year on 13th March Put : every year on 13th March NA
Refer Annexure
NA
Refer Annexure
NA
Refer Annexure
NA
Refer Annexure
N.A.
N.A.
N.A.
Annually 15th May Annually 15th May Half Yearly 15th May & 15th Nov Half-yearly 14 Feb / 14 Aug Half-yearly 14 Feb / 14 Aug Annually 1st September Annually 1st September Half-yearly 14 Feb / 14 Aug Annually 1st September Annually 1st September Annually 15th January Annually 15th January Half Yearly 15th May & 15th Nov
N.A.
N.A.
N.A.
NA
NA
Refer Annexure
N.A.
N.A.
NA
Refer Annexure
N.A.
N.A.
N.A.
Half Yearly 15th May & 15th Nov Annually 1st November Annually 1st November Annually 1st November Annually 1st November Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Half-yearly 14 Feb / 14 Aug Half Yearly, 15th May & 15th Nov Half Yearly, 15th May & 15th Nov Annually, 15th June
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
Refer Annexure
N.A.
N.A.
N.A.
2000-3/2/9500001 600000)
Bullet Payment on 15th April, 2005 Annually 27th June Annually-1st October
N.A.
1 to 3716727
N.A.
I-00101 to I-00121
NA
10001-10158
Annually-1st October
NA
20001-20158
Annually-1st October
NA
30001-30158
Annually-1st October
NA
40001-40158
N.A.
N.A
N.A.
Quarterly 31st March 30th June 30th Sept & 01st April, On maturity2003 or on exercise of put/call option.On maturity-04th April, 2003 or on exercise of put/call option. On maturity- 07th April, 2003 or on exercise of put/call option. On maturity- 28th April, 2003 or on exercise of put/call option. On maturity- 29th April, 2003 or on exercise of put/call option.
N.A.
N.A.
Daily. 24 Hrs.
Daily. 24 Hrs.
Daily. 24 Hrs.
Daily. 24 Hrs.
Daily. 24 Hrs.
On maturity- 01st May, 2003 or on exercise of put/call option. On maturity- 02nd May, 2003 or on exercise of put/call option. On maturity- 27th May, 2003 or on exercise of put/call option. On maturity- 29th May, 2003 or on exercise of put/call option. On maturity- 30th May, 2003 or on exercise of put/call option. On Maturity, 11th July, 2003 On maturity- 22nd July, 2003 or on exercise of put/call option
Daily. 24 Hrs.
Daily. 24 Hrs.
Daily. 24 Hrs.
Daily. 24 Hrs.
Daily. 24 Hrs.
Daily. 24 Hrs.
Cert No. 41 to 44
On maturity- 12th Daily. 24 Hrs. August, 2003 or on exercise of put/call option Annually 15th February On maturity, 8th July, 2004 or on Put/Call date On maturity, 8th July, 2004 or on exercise of Put/Call option On maturity,8th July, 2004 On maturity, 9th July, 2004 or on exercise of Put/Call with 24 hours notice N.A
Cert No. 45 to 50
N.A.
Put & Call:Daily with 24 hours notice Put & Call:Daily, with 24 hours notice Put & Call:Daily with 24 hours notice Put & Call:24 hours notice
51 to 53, 54
56
58-59/1-8
38 to 40
On maturity, 12th July, 2004 or on exercise of Put/Call with 24 hours notice On maturity, 6th August, 2004 or Put/Call date with 24 hours notice
Put & Call:24 hours notice Put & Call:24 hours notice
44-48
49
On maturity, 24th August, Put & Call:Daily with 24 2004 or on Put/Call Date hours notice with 24 hours notice On maturity, 7th July, 2004 or on exercise of Put/Call option with 24 hours notice Half Yearly 10th July & 10th Jan Half Yearly 10th July & 10th Jan Half Yearly, 24th Sept & 24th March Half Yearly 20th Jan & 20th July Half Yearly 1st August & 1st February Half Yearly 1st August & 1st February Half Yearly 1st October & 1st April Half Yearly 1st October & 1st April Half Yearly 6th March & 6th September Put & Call:Daily with 24 hours notice
50
1 to 80
10th January, 2006 N.A. Notice Period 90 days from Put/Call Option Date 10th January, 2006 N.A. Notice Period 90 days from Put/Call Option Date Put & Call:3 years from the date of allotment ie. 24th March, 2006 1 to 100
At the end of 18 months Cert No. 101 to 128 from the date of allotment Dist Nos : 0000001 to ie on 20th July, 2001 0019120 At the end of 3rd year ie Cert No. AL 64 to 80 on Dist Nos : 0038973A to 1st August, 2004 0039097A At the end of 3rd year ie N.A on 1st August, 2004 At the end of 3rd year ie Cert No. AL 97 to 99 on Dist Nos : 0048397 to 1st October, 2004 0049596 At the end of 3rd year ie N.A on 1st October, 2004 At the end of 3rd year ie Cert No. AL 113 to 122 on Dist Nos : 0061990 to 6th March, 2005 0066919
N.A.
N.A.
Annually 27th December Put & Call:On 30th December 2004 Annually 27th December Put & Call: N.A.
1-1000
1001-1250
On maturity-22nd March,2002 or on exercise or put/call option. On maturity-22nd March,2002 or on exercise or put/call option. On maturity -03rd April,2002 or on the exercise of put or call option On maturity -27th April,2002 or on the exercise of put / call option On maturity - 19th June, 2002 or on the exercise of put / call option On maturity - 24th June, 2002 or on exercise of put / call option On maturity - 1st July, 2002 or on exercise of put / call option Interest compounded daily and payable on redemption or in the event of the : 18th Sept, On maturity exercise of 2002
01-05/(000001 -500000)
put & call - daily(with 24 06 to 10/(500001 tom hours notice,latest by 2 1000000) P.M. on any working day with& call- Daily(may be 11 - 15/(10000001 Put principal and interest exercised by either party 1500000 with notice of two clear working days be Put & call - may Cert No. 16-18 exercised by either party Dist Nos. : 1500001 to with notice of two clear 1800000 working days be Put & call - may Cert No. 19 t0 23 Dist exercised by either party Nos. : 1800001 to with notice of 24 hours 2300000 Put & call - may be exercised by either party with notice of 24 hours latest by 2.00 p.m. on Put & call - may be Cert No. 24 to 28 Dist Nos. : 2300001 to 2800000
Cert No. 29 to 33 exercised by either party Dist Nos. : 2800001 to with notice of 24 hours 3300000 latest by 2.00 p.m. on be Cert No. 34 to 38 Put & call - Daily .may exercised by either party Dist Nos. : 3300001 to with notice of two clear 3800000 working days hours Put & call - 24 Cert No. 39 to 43 notice latest by 2.00 p.m. Dist Nos. : 3800001 to on any working day with 4300000 principal and interest
On maturity-27th September, 2002 On Maturity 2nd December, 2002 or on exercise of Put/Call Option On Maturity 11th December, 2002 or on exercise of Put/Call Option On maturity : 18th Dec, 2002
Put & call - 24 hours notice latest by 2.00 p.m. on any working day with principal and interest be Put & call - Daily .may
Cert No. 49 to 53 exercised by either party Dist Nos. : 4800001 to with notice of two clear 5300000 working days hours Put & call - 24 Cert No. 1 to 5 notice latest by 2.00 p.m. Dist Nos. : 001 to 005 on any working day with principal &- interest Put & call 24 hours Cert No. 6 to 7
notice latest by 2.00 p.m. Dist Nos. : 006 to 007 on any working day with principal and interest On Maturity Put & call - 24 hours Cert No. 8 to 12 24th December, 2002 or notice, latest by 2.00 p.m. Dist Nos. : 008 to 012 on exercise of Put/Call on any working day with Option principal :and hours On maturity Put/Call 24 interest Cert No. 13 to 17 1st January, 2003 or on exercise of Put/Call option On maturity notice, latest by 2.00 Dist Nos. : 013 to 017 p.m. on any working day with principalhours Put/Call : 24 and interest Cert No. 18 to 19 27th January, 2003 or on notice, latest by 2.00 p.m. Dist Nos. : 018 to 019 exercise of Put/Call on any working day with Option principal and interest On maturity Put & call : 24 Hours Cert No. 20 to 24 14th February, 2003 or on exercise of Put/Call Option On maturity 28th February, 2003 or on exercise of Put/Call Option On maturity 17th March, 2003 or on exercise of Put/Call Option On maturity 21st March, 2003 or on exercise of Put/Call Option On maturity 3rd April, 2003 or on exercise of Put/Call Option On maturity 4th April, 2003 or on exercise of Put/Call Option notice latest by 2.00 p.m. Dist Nos. : 020 to 024 on any working day with principal &: interest Put & call 24 Hours Cert No. 25 notice latest by 2.00 p.m. Dist Nos. : 025 to 025 on any working day with principal &: interest Put & call 24 Hours Cert No. 26 to 27 notice latest by 2.00 p.m. Dist Nos. : 026 to 027 on any working day with principal &: interest Put & call 24 Hours Cert No. 28 to 32 notice latest by 2.00 p.m. Dist Nos. : 028 to 032 on any working day with principal &: interest Put & call 24 Hours Cert No. 38 to 42 notice latest by 2.00 p.m. Dist Nos. : 038 to 042 on any working day with principal &: interest Put & call 24 Hours Cert No. 33 to 37 notice latest by 2.00 p.m. Dist Nos. : 033 to 037 on any working day with principal & interest
On maturity 9th April, 2003 or on exercise of Put/Call Option On maturity 21st April, 2003 or on exercise of Put/Call Option On maturity 23rd April, 2003 or on exercise of Put/Call Option On maturity 14th May, 2003 or on exercise of Put/Call Option On maturity, 14th July, 2003 or on exercise of Put/Call Option On maturity, 15th July, 2003 or on exercise of Put/Call Option On maturity, 28th July, 2003 or on exercise of Put/Call Option On maturity, 1st August, 2003 on on exercise of Put/Call Option On maturity, 24th September, 2003 or on exercise of Put/Call Option On maturity, 26th September, 2003
Put & call : 24 Hours Cert No. 43 to 43 notice latest by 2.00 p.m. Dist Nos. : 043 to 043 on any working day with principal &: interest Put & call 24 Hours Cert No. 44 to 48 notice latest by 2.00 p.m. Dist Nos. : 044 to 048 on any working day with principal &: interest Put & call 24 Hours Cert No. 49 to 53 notice latest by 2.00 p.m. Dist Nos. : 049 to 053 on any working day with principal &: interest Put & call 24 Hours Cert No. 54 to 54 notice latest by 2.00 p.m. Dist Nos. : 054 to 054 on any working day with principal :24 hours notice, 55 to 59, 055 to 059 Put/Call & interest latest by 2.00 p.m. on any working day with principal and interest Put/Call:24 hours notice, 60 to 64, 060 to 064 latest by 2.00 p.m. on any working day with principal and interest Put & Call:24 hours 65 to 68, 065 to 068 notice, latest by 2.00 p.m. on any working day with principal and interest Put & Call:24 hours 69 to 73, 069 to 073 notice, latest by 2.00 p.m. on any working day with principal and interest Put/Call:24 hours notice, 74 to 75, 074 to 075 latest by 2.00 p.m. on any working day with principal and interest Put/Call:24 hours notice
76 to 80, 076 to 080, 81 latest by 2.00 p.m. on to 85, 081 to 085 any working day with On maturity, 6th October, principal and interest Put & Call:24 hours 86 to 86, 086 to 086 2003 or on exercise of notice, latest by 2.00 p.m. Put/Call Option on any working day with principal & interest On maturity, 28th Put & Call:24 hours 87 to 89, 087 to 089 October, 2003 or on notice latest by 2.00 p.m. exercise of Put/Call on any working day with Option principal and interest On maturity, 21st Put & Call:24 hours 90 to 91, 090 to 091 November, 2003 or on exercise of Put/Call Option notice latest by 2.30 p.m. on any working day with principal & interest
On maturity, 25th Nov, 2003 or on exercise of Put/Call Option On maturity, 22nd December, 2003 or on exercise of Put/Call Option On maturity, 22nd December, 2003 or on exercise of Put/Call Option On maturity, 24th December, 2003 or on exercise of Put/Call Option On maturity, 31st December, 2003 or on exercise of Put/Call Option On maturity, 12th January, 2004 or on exercise of Put/Call Option On maturity, 28th January, 2004 or on exercise of Put/Call Option On maturity, 16th February, 2004 or on exercise of Put/Call Option On Maturity 20/02/2004 or on excercise of Put / Call option. On Maturity 27th Feb 2004 or on excercise of Put / Call option. On Maturity 22nd Mar 2004 or on excercise of Put / Call option. On maturity, 30th June, 2004 or on exercise of Put/Call option On maturity, 2nd July, 2004 or on exercise of Put/Call Option
Put & Call:24 hours 92 to 93, 092 to 093 notice latest by 2.30 p.m. on any working day with principal & interest Put & Call:24 hours 94 to 94, 094 to 094, 97 notice, latest by 2.00 p.m. to 98, 097 to 098 on any working day with principal & interest Put & Call:24 hours 95 to 96, 095 to 096 notice, latest by 2.00 p.m. on any working day with& Call:24 & interest Put principal hours 99 to 103, 099 to 103 notice, latest by 2.00 p.m. on any working day with& Call:24 & interest Put principal hours 104 to 106, 104 to 106 notice, latest by 2.00 p.m. on any working day with principal & interest Put & Call:24 hours 107 to 107, 107 to 107 notice latest by 2.00 p.m. on any working day with principal & interest latest 108 to 109, 108 to 109 Put:24 hours notice by 2.00 p.m. on any working day with principal & interest proceeds latest 110 to 110, 110 to 110 Put:24 hours notice by 2.00 p.m. on any working day with principal & interest proceeds Put & Call:24 hours 111 - 116/(111 - 116) notice, latest by 2.00 PM on any working day with principal and interest Put & Call:24 hours 117 - 121(117 - 121) notice, latest by 2.00 p.m. on any working day with principal and interest Put & Call:May Be 122-126, 122-126 Excercised Daily With One Working Day Notice. Put & Call:Daily, with one 127 to 131, 127 to 131 working day notice Put & Call:Daily, with one 132 to 136, 132 to 136 working day notice
On maturity, 14th July, 2004 or on exercise of Put/Call Option On maturity, 6th August, 2004 or on exercise of Put/Call Option On Maturity 16th August 2004 or on excercise of Put / Call option. On Maturity 24th August 2004 or on excercise of Put / Call option On maturity, 13th September, 2004 or on exercise of Put/Call Option On maturity, 14th September, 2004 or on exercise of Put/Call Option On maturity, 24th Sept, 2004 or on exercise of Put/Call Optioin On maturity, 29th Sept, 2004 or on exercise of Put/Call Option
Put & Call:may be exercised daily with one working day notice
Put & Call:Daily with one 142 to 143, 142 to 143 working day notice Put & Call :Excercisable daily with one working day's notice 144-146, 144-146
Put & Call : Daily with 147 - 148 , 147 - 148 one working day's notice Put & Call:Daily, with one 149, 149 to 149 working day notice Put & Call:Daily, with one 150, 150 to 150 working day notice Put & Call:Daily with one 151 to 155, 151 to 155 working day notice Call:Daily with one working day notice one 156 to 160, 156 to 160 Put & Call:Daily, with working day notice
On maturity 11th October Put & Call:May be 161 - 165, 161 - 165 2004 or on excercise of excercised daily with one Put / Call option working day notice. Quarterly on 1st October, NA 1st January, 1st April 1st July Annually, 31st March 1-2/00001-500000
Quarterly 30th Sept, 31st Dec, 31st March & 30th June Quarterly, 1st July, 1st Oct, 1st Jan & 1st Apr
Put & Call:At the end of 1, 1 to 2000000 18 months from the date of allotment ie. 07th May, 2003 N.A. 48,00,001 - 51,00,000
Half Yearly on 30th Sept Put/Call & 31st March 31st March every year Annually 1st March Half yearly 25th Dec & 25th Jun Half yearly 11th Nov & 11th May Half yearly 1st May & 1st Nov Half yearly 11th Feb & 11th Aug Half yearly 11th Aug & 11th Half yearly 5th July & 5th Jan Half yearly 1st Sep & 1st Mar Half yearly 2st Feb & 2st Aug Half yearly 2nd Aug & 2nd Feb Half yearly 6th Jun & 6th Dec Half yearly 13th Sep & 13th Put/Call : 1st March, 2003 & 1st March, 2004 N.A.
1 to 14113
26090 to 26544
N.A.
N.A.
N.A.
1 to 117 1 to 770000 1 to 86 1to 2000000 1 to 89 1 to 1000000 1 to 127 1 to 1500000 1 to 172 1 to 1500000 1 to 284 1 to 1700000 1 to 84 1 to 1600000 1 to 28 1 to 620000
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half yearly 18th Sep & 18th Mar Half yearly 28th July & 28th Jan Half yearly 27th Aug & 27th Feb Half yearly 22nd Apr & 22nd Oct Half yearly 22nd Jun & 22nd Dec Half yearly 21st July & 21st Jan Half yearly 16th Aug & 16th Feb
N.A.
1 to 100 1 to 2975000 1 to 83 1 to 2541000 1 to 66 1 to 1512500 1 to 122 1 to 2575000 1 to 115 1 to 2282500 1 to 125 1 to 2575000 1 to 7 1 to 476000 1 to 26, 0000000001 to 0000006926 1 to 26, 0000000001 to 0000006926
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually, 16th November Put & Call:16th November, 2003 & 16th October, 2005 Annually, 10th January Put & Call:10th January, 2004 & 10th December, 2005
Put & Call:15th February, 1 to 39, 0000000001 to 2006 0000003096 N.A N.A
Half Yearly 11th Aug & 11th Feb Half Yearly 9th Feb & 9th Aug Half Yearly 5th July & 5th Jan
N.A
N.A
N.A
N.A
Half Yearly 29th Feb & 29th Aug Half Yearly 30th July & 30th Jan Half Yearly 2nd Feb & 2nd Aug Half Yearly 6th June & 6th Dec Half Yearly 13th Sept & 13th Mar Half Yearly 18th Mar & 18th Sept Half Yearly 27th July & 27th Jan Half Yearly 18th Sept & 18th March Half Yearly 27th Feb & 27th Aug Half Yearly 20th Apr & 20th Oct Half Yearly 21st June & 21st Dec Half Yearly 21st July & 21st Jan Half Yearly 18th Sept & 18th Mar
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
Half Yearly 30th June & 31st December Half Yearly 30th June & 31st December
Putl : 30th April, 2003, 000001 to 001074 31st October, 2003, 30th April, 2005, 30th April, Half Yearly, 1st Aug & 1st 2006 Call: N.A. Put & N.A. Feb On maturity 22rd February, 2002 Half Yearly N.A 1 to 1173895
N.A.
Cert No. 00005 Dist Nos. : 0001-0100 Cert No. 00006 Dist Nos. : 0101-0150 Cert No. 00001 Dist Nos. : 0001-0050 Cert No. 00002 Dist Nos. : 0051-0100 Cert No. 00003 Dist Nos. : 0101-0150 & Cert No. 00004 No. Allotment Letter KFL 0003 KFL 0009 , KFL 0010
Half Yearly
N.A.
Half Yearly
N.A.
Half Yearly
N.A.
Half Yearly
N.A.
N.A.
06th of every month-01st Call option - any time 550001 - 1100000 interest payment on 06th from the date of Feb, 2002 allotment/subscription.Ex 06th of every month-01st ercise of option requires 1100001 - 1750000 Call option - any time interest payment on 06th from the date of Feb, 2002 allotment/subscription.Ex ercise of option requires
Monthly Call option -Early 1st Day of each month or redemption option for the on Put/Call Option date issuer anytime from the date option -Early Monthly Call of subscription. With 1st Day of each month or redemption option for the on Put/Call Option date issuer anytime from the date of subscription. With Monthly Put/Call : Early 1st Day of each month Monthly 1st Day of each month Monthly 1st Day of each month Monthly 1st day of each month redemption option for the issuer anytime from the date of subscription. With Early redemption option for the issuer anytime from the date of subscription. Exercise of Early redemption option for the issuer anytime from the date of subscription. Exercise of Put: N.A.
Cert No. 119 Dist Nos. 1750001-4100000 Cert No. 120 Dist Nos. 4100001 - 4100640 Cert No. 121 Dist Nos. 0000001-2350000 Cert No. 122 Dist Nos. 001 to 640 Cert No. 123 Dist Nos. 0000001 to 2350000 124, 001 to 640
Call:Early redemption option for the issuer Monthly, 1st day of each anytime from the date of 125, 001 to 1005 Put : N.A. month Call -Early redemption option for the issuer Monthly, 1st day of each anytime from the date of 001-080 Put : N.A. month Call -Early redemption option for the issuer Monthly, 1st day of each anytime from the date of 081-230 Put : N.A. month Call -Early redemption option for the issuer Monthly, 1st Day of each anytime from the date of 128, 231 to 290 Put : N.A. month Montly, 1st day of each month Monthly 1st day of each month Half Yearly 15th May & 15th Nov Call -Early redemption option for the issuer anytime from the date of 129, 291 to 370 Put : N.A. Call:Earlyredemption option for the Issuer anytimefrom the date of 130, 371 to 520 Put : N.A. Call:Earlyredemption option for the Issuer anytimefrom the date of N.A.
N.A.
Cert No. 1 to 85 Dist Nos : 2988 to 12789 Cert No. 1 to 93 Dist Nos : 12790 to 21295 1 to 1140000
Half Yearly Put/Call : 25th October, 15th April & 15th October 2004 Annually-01st January N.A.
Half Yearly-01st January N.A. & 01st July Half Yearly-01st January N.A. & 01st July Half Yearly-01st January N.A. & 01st July Half Yearly-01st January N.A. & 01st July Half Yearly-01st January N.A. & 01st July Half Yearly-01st January N.A. & 01st July Half Yearly-01st January N.A. & 01st July Half Yearly-01st January N.A. & 01st July Half Yearly-01st January N.A. & 01st July Annually-01st January
1 to
519800
1 to
3100
1 to
218900
1 to
2294189
1 to
1407000
1 to
714800
1 to
1366500
1 to
2761000
1 to
645000
17650
Half Yearly-01st January N.A. & 01st July Half Yearly-01st January N.A. & 01st July Half Yearly-01st January N.A. & 01st July Half Yearly-01st January Put & call- 30th May, & 01st July 2003 & 2004 Annually-01st July
1 to
120000
1 to
630000
1 to
750000
1 to
5771
Put & call- Every year on 1 to 3100 26th June N.A. 1 to 420000
Annually-01st July
Annually-01st July
Put & call- Every year on 1to 300 07th August N.A. 1740501 to 1765500
Annually-01st January
Annually-01st July
N.A.
1 to
150000
Annually-01st July
N.A.
1 to
50000
Half Yearly-01st January Put & call-29th January, & 01st July 2004 & 2005
1 to
6000
Half Yearly-01st January Put & call-04th February, 1 to & 01st July 2004 & 2005 Annually-01st January N.A. 1 to
3579
133000
Annually-01st January
N.A.
1 to
299500
Annually-01st January
N.A.
1 to 6674
Annually-01st January
N.A.
Annually-01st January
N.A.
Annually-01st January
N.A.
1 to
129178
N.A.
1 to 100
Annually 1st January On maturity (i.e 22nd January, 2002) On Maturity (17.04.2002) On maturity -14th May,2002 On maturity -14th May,2002 On maturity -14th May,2002 Half Yearly 10th Jan & 10th July
N.A.
1 to 1140000
N.A
to be allotted
None
N.A.
N.A.
000001 - 000005
N.A.
000001 - 000005
N.A.
000001 - 000005
N.A.
1348 to 1517
On Maturity 12th July, 2002 On Maturity 12th July, 2002 On Maturity (22.07.2002) On Maturity (22.07.2002) Annually 11th Aug At maturity-28th August,2002 Annually on september 13 Annually on September 13
N.A
N.A.
N.A
N.A.
N.A.
0000001-0000010
N.A.
N.A.
N.A.
2117 to 2717
N.A.
N.A.
NA
NA
NA
NA
At maturity-04th October, N.A. 2002 On maturity 25th October, 2002 On maturity 11th Nov, 2002 On maturity 11th Nov, 2002 On maturity-18th Nov.2002 N.A.
N.A.
0000001 TO 0000005
N.A.
0000001 TO 0000005
N.A.
N.A.
N.A.
N.A.
On maturity-18th Nov.2002 On maturity-18th November, 2002 On maturity 19th Nov, 2002 On maturity 19th Nov, 2002
N.A.
N.A.
N.A.
N.A.
N.A.
0000001 TO 0000010
N.A.
N.A.
Annually on August 13
N.A.
N.A.
On maturity 10th March, 2003 On maturity 10th March, 2003 On maturity 17th March, 2003 On maturity 17th March, 2003 On maturity 21st March, 2003 On maturity 21st March, 2003
N.A.
N.A.
N.A
N.A
N.A
N.A
On maturity 24th March, 2003 On maturity 24th March, 2003 On Maturity 27th March, 2003 On Maturity 27th March, 2003 On maturity 3rd April, 2003 On maturity 3rd April, 2003 Annually 4th April On maturity 10th April, 2003 On maturity 10th April, 2003 On maturity 15th April, 2003 On maturity 15th April, 2003 On maturity 17th April, 2003 On maturity 17th April, 2003
N.A
0000001-0000005
N.A
N.A
N.A
0000001 to 0000010
N.A
N.A
N.A
0000001 to 0000001
N.A
N.A
N.A.
0000001 to 0001000
N.A
0000001 to 0000006
N.A
N.A
N.A.
N.A.
N.A.
0000001 to 0000010
N.A.
N.A.
On maturity 28th April, 2003 On maturity 28th April, 2003 On maturity 29th April, 2003 On maturity 29th April, 2003 On maturity 8th May, 2003 On maturity 8th May, 2003 Annually 22nd May On maturity, 26th May, 2003 On maturity, 26th May, 2003 On maturity 30th May, 2003 On maturity 30th May, 2003
N.A.
0000001 to 0000015
N.A.
N.A
N.A.
0000001 TO 0000005
N.A.
N.A.
N.A.
0000001 TO 0000010
N.A.
N.A.
N.A.
N.A
0000001 to 0000005
N.A
N.A.
N.A.
N.A.
0000001-0000005
N.A
On maturity 09th June, 2003 or on exercise of Put/Call Option ie 6th Dec, 2002 On maturity 09th June, 2003 or on exercise of Put/Call Option ie 6th Dec, 2002 On maturity 16th June, 2003 On maturity 16th June, 2003 On maturity 30th June, 2003 On maturity 30th June, 2003 On Maturity
N.A.
0000001 to 0000010
N.A.
N.A.
N.A.
N.A.
NA
0000001-0000010
On Maturity 03rd July, 2003 On maturity 10th July, 2003 On maturity 10th July, 2003 On maturity, 15th July, 2003 On maturity 30th July, 2003 On maturity 30th July, 2003
NA
N.A.
N.A.
0000001 to 0000005
N.A.
N.A.
N.A.
0000001 to 0000025
N.A.
N.A.
On maturity-11th August, N.A. 2003 On maturity-11th August, N.A. 2003 On maturity, 12th August, N.A. 2003 On maturity, 12th August, N.A. 2003 On maturity 14th August, 2003 On maturity 14th August, 2003 On maturity 25th August, 2003 On maturity 25th August, 2003 On maturity 25th August, 2003 On maturity 25th August, 2003 N.A.
0000001 to 0000005
N.A.
0000001 to 0000015
N.A.
N.A.
N.A.
0000001 to 0000010
N.A.
00000001 to 0000010
N.A.
N.A
N.A.
N.A
On maturity, 27th August, N.A 2003 On maturity, 27th August, N.A 2003 On maturity, 5th Sept, 2003 N.A.
0000001 to 0000005
N.A.
0000001 to 10000010
On maturity, 5th Sept, 2003 On maturity, 10th Sept, 2003 On maturity, 10th Sept, 2003 On maturity 11th September, 2003 On maturity 11th September, 2003 Quarterly 13th June, 13th Sept 13th Dec & Quarterly 12th June, 12th Sept 12th Dec & 2003 16th March, & 18th Sept, 2003 18th March, 2003 & 18th Sept, 2003 On maturity 22nd September, 2003 On maturity 22nd September, 2003
Annually-25th September
N.A.
N.A.
N.A.
0000001 to 0000020
N.A.
N.A.
N.A.
N.A.
N.A.
0000001 to 0000010
N.A.
N.A.
N.A
0000001 to 0000005
N.A
N.A.
N.A.
0000001 to 0000020
N.A.
N.A.
N.A.
003501 - 0003630
N.A.
N.A.
N.A
N.A.
0003631 - 0003680
N.A.
0000001 to 0000025
N.A.
N.A.
N.A.
On maturity 15th Dec, 2003 On maturity 15th Dec, 2003 On maturity 29th December, 2003 On maturity 29th December, 2003 On maturity 31st December, 2003 On maturity 31st December, 2003 On maturity 6th January, 2004 On maturity 6th January, 2004
N.A.
0000001 to 0000025
N.A.
N.A
N.A.
N.A.
N.A
N.A.
0000001 to 000000
N.A.
N.A
N.A.
N.A.
On maturity 7th January, 2004 On maturity 7th January, 2004 On maturity 8th January, 2004 On maturity 8th January, 2004 On maturity 13th January, 2004 On maturity 13th January, 2004 On maturity 15th January, 2004 On maturity 15th January, 2004
N.A
N.A
N.A
0000001 to 0000020
N.A
N.A
N.A.
N.A.
N.A.
0000001 to 0000025
N.A.
N.A
Half Yearly N.A. 19th July & 19th January Half Yearly N.A. 19th July & 19th January On maturity 3rd February, 2004 On maturity 3rd February, 2004 N.A.
0000001 to 0000010
N.A.
0000001 to 0000025
N.A.
N.A.
N.A.
0000001 to 0000025
On maturity, 24th February, 2004 Annually 5th March Annually 5th March At maturity-6th March, 2004 At maturity-6th March, 2004
N.A.
N.A.
N.A.
N.A.
N.A.
0000001 to 0000005
N.A.
N.A.
On maturity, 17th March, N.A. 2004 Annually 11th April Annually 11th April Annually 19th July Annually 19th July N.A.
0000001 to 0000010
N.A.
N.A.
0000001 to 0000010
N.A.
N.A.
0000001 to 0000010
6th February, 2004 & 6th N.A. August, 2004 Annually 12th August Annually 12th August Annually on August 13 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
None
N.A.
N.A.
N.A.
Annually-18th January
None
N.A.
Annually-18th January
None
N.A.
On maturity, 16th September, 2003 Half Yearly, 24th Feb & 24th August Half Yearly, 24th Feb & 24th August
N.A.
Put & Call-Monthly, N.A. starting from 15th March, 2003 to 15th August, 2004 Call-Monthly, Put & N.A. starting from 15th March, 2003 to 15th August, 2004
On Maturity 8th December 2003 On Maturity 2nd March 2004 On maturity, 2nd March, 2004 On Maturity 8th March 2004 On Maturity 18th March 2004 On maturity, 25th May, 2004 On maturity, 25th May, 2004 On maturity, 31st May, 2004 On maturity, 9th June, 2004 On maturity, 14th June, 2004 On maturity, 6th July, 2004 On maturity, 9th July, 2004 On Maturity 13th July 2004
NA
Put & Call: after 04th November, 2003 Put & Call: N.A.
NA
N.A.
Put:Put and Call after 10th November 2003 Put & Call after 18th November 2003 Put & Call: N.A.
NA
NA
N.A.
0001 to 0100
N.A.
N.A.
N.A.
0001 to 0100
0001 to 0250
0001-0100
On maturity, 20th July, 2004 On maturity, 9th August, 2004 On maturity, 14th September, 2004
0001 to 0250
0001 to 0200
0001 to 0250
On maturity, 6th October, Put & Call: N.A. 2004 On maturity, 12th October, 2004 On maturity, 9th November, 2004 Put & Call: N.A.
0001 to 0300
0001 to 0250
0001 to 0250
On 24th Jan, 2005 & on Put & Call: N.A. maturity, 25th July, 2005 Annually-First Interest payment on 06-11-01 On redemption NA
0001 to 0250
0001-0500
0001-0500
On redemption (20/10/2001) On redemption (20/10/2001) Halfyearly-30th October & 30th April Annually
NA
0001-0500
NA
0001-0500
None
0001 - 0800
NA
0001-0500
On redemption (07/01/2002)
NA
0001-0500
On Redemption-16/01/02 None
(0001-0500)
On Redemption-16/01/02 None
N.A.
On redemption
NA
0001-500
On redemption
NA
N.A.
NA
0001-0300
None
0001 - 0500
0001-0500
0001-0500
Annually
NA
0001-1500
On redemption
NA
0001-1000
On redemption
NA
N.A.
On maturity-27th Feb,2002
N.A.
0001 -1500
Daily-Put & Call option To be exercised latest by 1400 hrs for redemption on the next N.A.
0001-1000
0001 -1000
NA
0001-0500
None
0001 - 0300
Quarterly
NA
0001-0300
On Redemption-17/04/02 None
(0001-1500)
On Redemption-17/04/02 None
N.A.
On redemption (19/04/2002) On redemption (30/04/2002) On redemption (04/05/2002) On maturity (13th May,2002) On Maturity 14th May, 2002 On maturity 22nd May, 2002
NA
0001-0500
NA
0001-0700
NA
0001-0500
N.A.
0001-0500
N.A.
0001-0400
Daily Put/Call option to be exercised latest by 1500 hours for redemption on the next
0001-1000
On maturity 27th May, 2002 On Redemption (28/05/2002) On maturity-11th June,2002 On maturity-11th June,2002 On maturity-12th June,2002 On maturity-14th June,2002 On maturity-14th June,2002 On maturity-18th June,2002 On maturity-18th June,2002 On maturity-22nd June,2002 On maturity-22nd June,2002 On maturity-22nd June,2002 On maturity-22nd June,2002
N.A.
0001-1000
NA
0001-2000
N.A.
0001-0500
N.A.
N.A.
Daily-Put & Call option To be exercised latest by 1400 hrs for redemption Call option Daily-Put & on the next To be exercised latest by 1400 hrs for redemption Call option Daily-Put & on the next To be exercised latest by 1400 hrs for redemption Call option Daily-Put & on the next To be exercised latest by 1400 hrs for redemption Call option Daily-Put & on the next To be exercised latest by 1400 hrs for redemption on the next N.A.
0001-1000
0001-1000
0001-1000
0001-500
0001-500
0001-0500
N.A
0001-0500
N.A.
0001-0500
N.A
0001-0500
0001-0700
N.A.
On maturity-27th June,2002 On maturity-27th June,2002 On maturity-27th June,2002 Annually-First Interest Payment on 02-07-02 On maturity -07th July, 002 On maturity -09th July, 002 On redemption
N.A
0001-0500
N.A
0001-0500
N.A
0001-0500
N.A
0001-0500
Daily Put/Call option to be exercised latest by 1400 hours for redemption onoption to Daily Put/Call the next be exercised latest by 1400 hours for redemption on the next NA
0001 -1500
N.A
0001-550
On redemption
NA
N.A.
Annually
NA
0001-0500
1-500
On maturity (16th July, 2002) On maturity (16th July, 2002) On maturity -16th July, 2002 On maturity -16th July, 2002 On maturity -21st July, 2002 On maturity -24th July, 2002 On maturity -27th July, 2002 On maturity -30th July, 2002 Annually
N.A.
0001-1000
N.A.
0001-1000
Daily Put/Call option to be exercised latest by 1400 hours for redemption Daily to next Put & call - on the be
0001 -0300
0001 -0500
exercised latest by 1400 hrs on the next working day.(exclusive Saturday) 0001 -1000 Put & call - Daily to be exercised latest by 1400 hrs on the next working day.(exclusive Saturday) 0001 -0500 Put & call - Daily to be exercised latest by 1400 hrs for redemption on the next&working Put call - Daily to be 0001 -0500 exercised latest by 1400 hrs for redemption on the next&working Put call - Daily to be 0001 -0500 exercised latest by 1400 hrs for redemption on the next working NA 0001-1500
Put & call - Daily to be 0001 -0500 exercised latest by 1400 hrs for redemption on the next working NA 0001-0500
On maturity-06th August, Daily. To be execriced 2002 latest by 14.00 hrs. (Excluding Saturday) On maturity-07th August,2002 Put - 07th May,2002
0001-0400
0001 - 1000
N.A.
0001 - 0500
N.A.
N.A
0001-1000
On maturity-09th August, Daily. To be execriced 2002 latest by 14.00 hrs for redemption on the next Annually-first interest on working day (Excluding 12-08-02 Annually-first interest on 12-08-02
On maturity-26th August, 2002
0001-0500
0001-1500
N.A
0001-1500
N.A.
0001-0100
Annually
NA
0001-1500
Annually-27th September NA
0001-0500
0001-0500
N.A.
Annually-10th September NA
0001-0500
Annually-14th September NA
0001-0500
On maturity-23rd September,2002
NA
0001-0500
Annually-27th September NA
0001-0500
N.A
0001-0500
N.A.
N.A.
N.A.
N.A.
NA
0001-0500
On redemption
NA
0001-150
On redemption
NA
N.A.
Annually-29th October
NA
0001-0500
Annually-3rd November
None
0001 - 0500
On maturity-03rd November,2002
N.A.
0001-1000
N.A.
N.A.
NA
0001-0500
Annually-05th November NA
0001-0250
On redemption(5th November,2002 On maturity -7th Nov, 2002 On maturity -7th Nov, 2002 On maturity 15th November, 2002 On maturity 15th November, 2002
On maturity-23rd November, 2002 On maturity-23rd November, 2002
NA
N.A.
N.A.
0001 -1000
N.A.
N.A.
N.A.
0001-0500
N.A.
N.A.
N.A.
0001-0500
N.A.
N.A.
Annually First Int Payment (24/11/2001) On maturity-10th December, 2002 On maturity-10th December, 2002
NA
0001-0500
N.A.
0001-1000
N.A.
N.A.
On maturity-11th December, 2002 On maturity-11th December, 2002 On maturity -13th December,2002 On maturity -13th December,2002 On maturity-13th December, 2002 On maturity-13th December, 2002 Annually-First Interest payment on 30-06-02 Half Yearly-30th June & 30th December On maturity-10th Jan, 2003 On maturity-12th January, 2003 On maturity-12th January, 2003 Annually First Int Payment : 27.07.02 On Maturity : 16th January, 2003
N.A.
0001-0200
N.A.
N.A.
N.A
0001 -0500
N.A
N.A.
N.A.
0001-2500
N.A.
N.A.
0001-3500
N.A.
N.A.
N.A.
0001-0500
Put & call 12-Oct-02( @ 8.55%) Put & call 12-Oct-02( @ 8.55%) NA
0001 - 1000
N.A.
0001-1000
N.A.
0001 to 1000
N.A.
0001 to 1000
N.A.
0001 - 2500
N.A.
0001-0500
N.A.
0001-0500
N.A.
0001-0900
Annually
N.A
0001-0900
Annually
NA
0001-1500
N.A.
0001 to 1000
Half Yearly-06th None September & 06th March On maturity-17th March, 2003 On maturity-17th March, 2003 On maturity-28th March,2003 On maturity-28th March,2003 N.A.
N.A.
0001-0500
N.A.
N.A.
N.A
0001-0500
N.A
0001-0500
On maturity -02nd April, 2003 On maturity -02nd April, 2003 On Maturity 7th April, 2003 On Maturity 7th April, 2003 On maturity 8th April, 2003 On maturity 8th April, 2003 On maturity 9th April, 2003 On maturity 9th April, 2003 On maturity -10th April, 2003 On maturity -10th April, 2003 On maturity 11th April, 2003 On maturity 11th April, 2003 Annually-30th April
N.A.
0001 -0500
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call : Applicable P/C 0001-0500 Rate 7.15% : 8th February, 2003 Put/Call : Applicable P/C N.A. Rate 7.15% : 8th February, 2003 Put/Call : Applicable P/C 0001-1000 Rate 7.15% : 9th February, 2003 Put/Call : Applicable P/C N.A. Rate 7.15% : 9th February, 2003 N.A. 0001 -0030
N.A.
N.A.
N.A.
0001-1000
N.A.
N.A.
None
0001 - 1000
First Int Payment on 16th Aug, 2002, thereafter on 16th April, 2003 On maturity-19th April, 2003 On maturity-19th April, 2003 On maturity, 21st April, 2003 Annually-30th April
N.A
1-500
N.A.
0001-0500
N.A.
N.A.
N.A.
0001 to 0500
None
0001 - 1000
On maturity28th April, 2003 On maturity28th April, 2003 On maturity -2nd May, 2003 On maturity -2nd May, 2003 On Maturity : 6th May, 2003 On Maturity : 6th May, 2003 Annually-8th May
N.A.
0001-1000
N.A.
N.A.
N.A.
0001 -1000
N.A.
N.A.
N.A.
0001 to 0500
N.A.
N.A.
None
0001 - 1000
N.A.
0001 to 1000
On Maturity : 12th May, 2003 On Maturity-22nd May, 2003 On Maturity-22nd May, 2003 On Maturity-23rd May, 2003 On Maturity-23rd May, 2003
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
0001-1000
N.A.
Annaully-31st May
None
0001 - 2000
On Maturity. 03rd June, 2003 On Maturity. 03rd June, 2003 On Maturity. 03rd June, 2003 On Maturity. 03rd June, 2003 On maturity3rd June, 2003
NA
0001-1000
0001-0500
N.A.
N.A.
N.A.
0001-1000
N.A.
N.A.
0001 to 1000
N.A.
On maturity, 6th June, 2003 On maturity - 08th June, 2003 On maturity - 08th June, 2003 On maturity-9th June, 2003 On maturity-9th June, 2003 On maturity-12th June, 2003 On maturity-12th June, 2003 On maturity-19th June, 2003 On maturity 19th June, 2003 On maturity-19th June, 2003
0001 to 1000
0001-0060
N.A.
N.A.
N.A.
0001 to 2000
N.A.
N.A.
N.A.
0001-0500
N.A.
N.A.
N.A.
0001-0500
NA
0001-1000
N.A.
N.A.
On maturity 19th June, 2003 Annually- First Interest Paymesntt on 27-06-02 Annually-first interest payment on 3006-02 Annually 30th June On Maturity. 01st July, 2003 On Maturity. 01st July, 2003 On maturity - 02nd July 2003 On maturity - 02nd July 2003 On maturity, 4th July, 2003 On maturity, 4th July, 2003 On maturity, 4th July, 2003 On maturity, 4th July, 2003 On Maturity. 07th July, 2003
NA
N.A.
0001-0550
0001-1000
N.A.
N.A.
NA
0001-1000
NA
N.A.
N.A.
0001-1000
N.A.
N.A.
N.A
0001 to 1000
N.A.
0001 to 1000
N.A
N.A.
N.A.
N.A.
NA
0001-1000
On Maturity. 07th July, 2003 On maturity8th July, 2003 On maturity8th July, 2003 On Maturity. 11th July, 2003 On Maturity. 11th July, 2003 On maturity-16th July, 2003 On maturity-16th July, 2003
NA
N.A.
N.A.
N.A.
N.A.
N.A.
NA
0001-1000
NA
N.A.
N.A.
0001-1000
N.A.
N.A.
0001 to 1000
N.A.
Annually-24th July
NA
0001-0500
On maturity-2nd August, N.A. 2002 On maturity-2nd August, N.A. 2003 On maturity, 7th August, N.A. 2003
0001-0500
N.A.
0001 to 0500
N.A.
0001 to 0500
On maturity, 7th August, N.A. 2003 On maturity, 7th August, 2003 N.A.
N.A.
N.A.
On maturity-12th August, Put/Call : 7th February, 2003 2003 On maturity-12th August, Put/Call : 7th February, 2003 2003 On maturity 14th August, 2003 On maturity 14th August, 2003 On Maturity : 18th August, 2003 On Maturity : 18th August, 2003 On Maturity : 18th August, 2003 N.A.
0001-0500
N.A.
0001-1000
N.A.
N.A.
N.A.
0001 to 1000
N.A.
0001 to 1000
N.A.
N.A.
0001-1500
N.A.
0001-1000
Put & call-05th March, 2003 Put & call-05th March, 2003 NA
0001-1000
N.A.
0001-0500
On maturity-3rd October, N.A. 2003 On maturity-3rd October, N.A. 2003 On maturity 14th October, 2003 On maturity 14th October, 2003 On maturity 14th October, 2003 On maturity 14th October, 2003 Quarterly 30th July, 30th October, 30th Jan & Quarterly 30th July, 30th October, 30th Jan & 19th On maturity, N.A.
0001-1000
N.A.
0001-0500
N.A.
0001-1000
N.A.
N.A.
N.A.
N.A.
N.A.
0001 -1000
N.A.
N.A.
0001 to 1000
0001-0500
On Maturity : 12th December, 2003 On Maturity : 12th December, 2003 On maturity 15th December, 2003 On Maturity : 15th December, 2003 On maturity 15th December, 2003 On Maturity : 15th December, 2003 On maturity, 15th December, 2003 On maturity, 23rd December, 2003 On maturity, 23rd December, 2003
N.A.
0001 - 1000
N.A.
N.A.
N.A.
0001-1000
N.A.
0001 to 2000
N.A.
N.A.
N.A.
N.A.
0001 to 0500
Put:15th October, 2003 Call:15th October, 2003 Put & Call:15th October, 2003
0001 to 2000
N.A.
On Maturity 2nd January Put & Call:Daily 2004 On maturity, 27th January, 2004 On maturity, 27th January, 2004 or on Put/Call Date whichever is earlier On maturity, 29th January, 2004 Put & Call: N.A.
0001-0400
0001 to 1000
0001 to 1500
N.A.
On maturity, 2nd February, 2004 On maturity, 3rd February, 2004 On maturity, 3rd February, 2004 or on Put/Call date whichever is earlier On maturity, 6th February, 2004 or on Put/Call date whichever is earlier On maturity, 11th February, 2004 On maturity, 13th Feb, 2004 On maturity, 13th February, 2004 On maturity, 17th February, 2004 On maturity, 17th February, 2004 On maturity, 17th February, 2004 On maturity, 17th February, 2004 On maturity, 23rd February, 2004 On maturity, 23rd February, 2004
0001 to 0500
0001 to 1000
0001 to 1000
0001 to 0500
0001 to 1000
0001 to 0500
N.A.
0001 to 0500
N.A.
0001 to 1000
0001 to 2500
0001 to 0500
N.A.
On maturity, 25th February, 2004 Half Yearly 27th Feb & 27th Aug Half Yearly 27th Feb & 27th Aug On 28th February 2004 or Put / Call date whichever is earlier. On maturity, 5th March, 2004 On Put/Call date or on maturity, 19th March, 2004 On maturity-1st April, 2004 On maturity-1st April, 2004 On Maturity : 09th April, 2004 On Maturity : 09th April, 2004 On maturity, 13th April, 2004 On maturity, 13th April, 2004 On maturity, 16th April, 2004
0001 to 2500
N.A.
0001-1000
N.A.
N.A.
0001 - 0700
0001 to 1000
0001 to 1500
N.A.
0001-0500
N.A.
N.A.
N.A.
0001 - 2000
N.A.
N.A.
N.A.
0001 to 0500
N.A.
0001 to 2000
On maturity, 16th April, 2004 or on Put/Call dte whichever is earlier On maturity, 21st April, 2004 On maturity, 21st April, 2004 On maturity, 28th April, 2004 On maturity, 28th April, 2004 On maturity, 3rd May, 2004 On maturity, 3rd May, 2004 On maturity, 4th May, 2004 On maturity, 11th May, 2004 N.A.
001 to 100
0001 to 1000
N.A.
0001 to 1000
N.A.
0001 to 2500
N.A.
N.A.
0001 to 1000
001 to 100
0000001 to 1000000
N.A.
N.A.
0001 to 1500
0001 to 1000
On maturity, 1st June, 2004 On maturity, 2nd June, 2004 On maturity, 2nd June, 2004 On maturity, 2nd June, 2004 On maturity, 2nd June, 2004 On maturity - 04th June, 2004 On maturity, 4th June, 2004 On maturity, 7th June, 2004 On maturity, 7th June, 2004 On maturity, 10th June, 2004 Onmaturity - 11th June, 2004 On maturity, 11th June, 2004 On Maturity 15th June 2004
0001 to 2500
0001 to 1000
0001 to 0500
N.A.
N.A.
0001 - 1000
N.A.
0001 to 2000
Put & Call:9th December, N.A. 2003 Put & Call: N.A. 0001 to 0500
0001 - 0500
N.A.
0001-1000
On maturity, 16th June, 2004 On maturity, 16th June, 2004 On maturity, 17th June, 2004 On maturity, 17th June, 2004 On maturity, 24th June, 2004 On maturity, 24th June, 2004 N.A.
0001 to 0500
001 to 150
0001 to 1000
N.A.
N.A
0001 to 0700
N.A.
N.A.
0001 to 2500
On maturity, 6th July, 2004 On maturity, 16th July, 2004 Annually-23rd July
N.A.
0001 to 2500
0001 to 1000
None
0001-0700
On maturity, 21st July, 2004 Annually 26th July Annually 26th July
001 to 150
NA
0001-0500
NA
N.A.
Annually-2nd August
None
0001 - 1500
On maturity, 3rd August, Put & Call: N.A. 2004 On maturity, 6th August, 2004 Put & Call: N.A.
N.A.
001 to 250
13th February, 2004 & N.A. On Maturity,14th August, 2004 13th February, 2004 & N.A. On Maturity,14th August, 2004 13th February, 2004 & N.A. On Maturity,14th August, 2004 Annually on 16th August N.A.
0001 to 0500
0001 to 0500
N.A.
Annually, 27th Feb, 2004 & on N.A. maturity, 27th Aug, 2004
0001 to 1600
Annually, 27th Feb, 2004 & on N.A. maturity, 27th Aug, 2004
N.A.
N.A.
0001 -0500
N.A.
N.A.
None
0001-2500
0001-1300
Annually-30th August
N.A.
0001-1000
0001 to 2500
On maturity, 6th October, Put & Call: N.A. 2004 On maturity, 12th Oct, 2004 Put & Call: N.A.
001 to 200
001 to 100
On Maturity 13th October Put & Call: N.A. 2004 On maturity, 19th October, 2004 N.A. Put & Call: N.A.
001 - 250
001 to 150
001 to 300
On maturity, 11th November, 2004 On maturity, 12th November, 2004 On maturity, 16th November, 2004 On maturity, 19th November, 2004
0001 to 1000
Put: N.A.
0001 to 1000
0001 to 2500
0001 to 2500
0001-0500
N.A.
On maturity, 2nd December, 2004 On maturity, 2nd December, 2004 On maturity, 10th December, 2004 On maturity, 14th December, 2004 On maturity, 14th December, 2004
0001 to 1000
N.A.
001 to 200
0001 to 0500
0001 to 2500
25th June, 2004 & on N.A maturity, 16th Dec, 2004 On Put / Call date or Maturity whichever is earlier. On maturity, 27th January, 2005 Annually, 8th July, 2004 & on maturity, 2nd February, 2005
0001 to 1500
001 to 200
0001 to 0500
Annually, 29th July, 2004 Put & Call: N.A. & on maturity, 2nd February, 2005 Annually, 15th July, 2004 Put & Call: N.A. & on maturity, 4th February, 2005 On maturity, 10th February, 2005 Put & Call: N.A.
0001 to 2400
0001 to 2500
001 to 100
On maturity, 4th April, 2005 On maturity, 12th April, 2005 On maturity, 14th April, 2005 On Maturity 15th April 2005 On Maturity 20th April 2005 On maturity, 6th May, 2005 On maturity, 28th May, 2005
001 to 100
0001 to 2500
0001 to 0500
0001-1500
0001-1000
001 to 200
0001 to 1000
8th Dec 2004 & 8th June Put & Call: N.A. 2005 On 25th June, 2004 & on N.A. maturity, 16th June, 2005 Annually, 29th July Put & Call: N.A.
0001-5000
0001 to 1000
0001 to 0500
0001 to 1500
On maturity, 9th September, 2005 Annually 18th Oct, 2004 & 17th Oct, 2005
001 to 250
0001-2000
Half Yearly 14th May, 2004, 15th Nov, 2004, 16th May, 2005 & 14th Nov, 200514th Annually,
Put: N.A.
0001 to 2500
Put & Call: N.A. December, 2004 & on maturity, 15th December, 2005 Annually, 8th March, Put & Call: N.A. 2005 & on maturity, 24th February, 2006 1st March, 2005 & on maturity 27th February, 2006 Annually, 17th May Put & Call: N.A.
0001 to 1000
001 to 150
001 to 200
001 to 100
001 to 100
001 to 250
Annually, 20th May & on Put & Call: N.A. maturity, 27th April, 2007
Annually on 16th July Put option on 15/02/2002
001 to 500
1-500
N.A.
1-500
N.A.
1-800
001 - 250
On maturity, 7th July, 2003 On maturity, 22nd Aug, 2003 On maturity, 22nd August, 2003
Put/Call : N.A.
0001 to 1000
0000001 to 0000010
0000001 to 0000035
On maturity, 25th August, Put & Call: N.A. 2003 On maturity - 29th August, 2003 On maturity -01st September, 2003 On maturity, 8th September, 2003
On maturity, 17th Sept, 2003
0000001 to 000010
0000001 - 0000015
0000001 - 0000010
0000001 to 0000005
N.A.
0000001 to 0000010
On maturity, 12th November, 2003 On maturity, 18th November, 2003 On maturity, 18th November, 2003 On maturity, 19th November, 2003
0000001 to 0000005
0000001 to 000010
Put & Call:Daily, to be given before 3 p.m on any working day Put & Call: N.A.
0000001 to 000010
0000001 to 000010
On maturity, 21st Nov, 2003 On maturity, 21st November, 2003 On maturity, 26th November, 2003 On maturity, 27th November, 2003 On maturity, 5th December, 2003 On maturity, 29th December, 2003 On maturity - 27th February, 2004 On maturity, 1st March, 2004 On maturity, 2nd March, 2004 On maturity, 5th April, 2004 On maturity, 10th May, 2004 On maturity, 17th May, 2004 On maturity, 11th June, 2004
0000001 to 0000010
0000001 to 000010
0000001 to 000005
0000001 to 000010
0000001 to 000005
0000001 to 000005
0000001 - 0000025
0000001 to 000010
Put & Call:available from 0000001 to 000015 1st October, 2003 after giving notice of 3 working days Call:Daily, with Put & 0000001 to 000010 Notice to be given before 3.30 p.m. on any working day & Call: N.A. Put 0000001 to 000005
0000001 to 000010
0000001 to 000010
On maturity, 29th July, 2004 On maturity, 6th September, 2004 On maturity, 29th September, 2004
0000001 to 000020
0000001 to 000015
0000001 to 000015
On Maturity 15th October Put & Call: N.A. 2004 On maturity, 12th November, 2004 On maturity, 12th January, 2005 On maturity, 25th February, 2005 On maturity 16th December, 2002 On maturity 22nd January, 2003 On maturity 7th March, 2003 On maturity 11th March, 2003 On maturity 12th March, 2003 On maturity 18th March, 2003 Put & Call: N.A.
0000001-000010
NA.
N.A.
Put & Call:From 1st 0000001 to 000050 October, 2003 after giving notice of 3 working days N.A. 0000001 to 00000005
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Anytime after the expiry 00000001 to 00000040 of 6 months from the date of allotment N.A. 0000001 to 0000010
On maturity, 14th August, N.A. 2005 Annually 31st Dec Annually 31st March Annually 31st March Annually 31st March Quarterly 30th Sept 31st Dec 31st Mar On maturity -30th Jan, 2002 On maturity (22nd February, 2002) On maturity (22nd February, 2002) N.A. Put :05th Dec, 2005 Call : 05th Dec, 2005 Put/ Call End of 5 years ie 24th Jan, 2006 Put/ Call End of 5 years ie 31st Jan, 2006 Put/ Call End of 5 years ie 15th Mar, 2006 N.A
N.A.
Cert No. 1 to 850 Dist Nos. : 00001 to 29736 Cert No. 1 to 30 Dist Nos. : 1 to 5000 Cert No. 1 to 1 Dist Nos. : 1 to 2500 Cert No. 1 to 227 Dist Nos. : 1 to 23042 Cert No One SRNCD/2001/01 NCD/2001-02/005/CC
N.A.
N.A.
N.A.
N.A.
On maturity Daily (26th February, 2002) or on exercise of Put/Call Option On maturity-05th Daily March,2002 or on exercise of Put/Call Option
On maturity-06th March,2002 or on exercise of Put/Call Option On maturity-(11th March,2002) or on exercise of Put/Call Option On maturity-18th March, 2002 On maturity-(19th March,2002) or on exercise of Put/Call Option On maturity-20th March,2002 On maturity - 03rd April, 2002 On maturity - 12th April, 2002 On maturity-19th April, 2002 On maturity-22nd April, 2002 On maturity-22nd April, 2002 or on exercise of Put/Call Option On maturity-23rd April, 2002 or on exercise of Put/Call Option On maturity-08th May, 2002 On maturity 8th May, 2002
Daily
Daily
N.A.
Daily
N.A.
NCD/2001-02/001/BB TO NCD/2001-02/010/BB NCD/2001-02/001/DD to NCD/2001-02/005/DD NCD/2001-02/001/EE NCD/2001-02/010/EE NCD/2001-02/001/FF TO NCD/2001-02/005/FF NCD/2001-02/001/GG TO NCD/200102/005/GG NCD/2001-02/001/HH TO NCD/2001-02/010/HH NCD/2001-02/001/II TO NCD/2001-02/005/II NCD/2001-02/001/KK To NCD/2001-02/005/KK NCD/2002-03/001/B to NCD/2002-03/009/B
N.A.
N.A.
N.A.
N.A.
Daily
N.A.
N.A.
N.A
On maturity (10th May, 2002) or on exercise of Put/Call option On maturity (17th May, 2002) or on exercise of Put/Call option On maturity (21st May, 2002) or on exercise of Put/Call option On maturity (21st May, 2002) or on exercise of Put/Call option On maturity (24th May, 2002) On maturity (24th May, 2002) On maturity (27th May, 2002) On maturity 5th June, 2002 On maturity 10th June, 2002 On maturity 10th June, 2002 On maturity 21st June, 2002 On maturity 25th June, 2002 On maturity 1st July, 2002
Daily
NCD/2001-02/001/LL To NCD/2001-02/009/LL NCD/2001-02/001/MM To NCD/2001-02/005/MM NCD/2001-02/001/OO To NCD/2001-02/005/OO NCD/2001-02/001/OO To NCD/2001-02/005/OO NCD/2001-02/001/PP To NCD/2001-02/010/PP NCD/2001-02/001/RR To NCD/2001-02/005/RR NCD/2001-02/001/SS To NCD/2001-02/010/SS NCD/2001-02/001/TT to NCD/2001-02/005/TT NCD/2001-02/001/UU to NCD/2001-02/005/UU NCD/2001-02/001/VV to NCD/2001-02/007/VV NCD/2001-02/001/WW to NCD/2001-02/005/WW NCD/2001-02/001/XX to NCD/2001-02/005/XX NCD/2002-03/001/A to NCD/2002-03/005/A
Daily
Daily
Daily
N.A
Daily
Daily
N.A
N.A
Daily
N.A
N.A
N.A
On maturity 5th July, 2002 On maturity 8th July, 2002 ON maturity 9th July, 2002 On Maturity 19th July, 2002 On Maturity 24th July, 2002 On Maturity 26th July, 2002 On maturity-29th July, 2002 On Maturity 2nd August, 2002
Daily
NCD/2002-03/001/C to NCD/2002-03/005/C NCD/2002-03/001/D to NCD/2002-03/005/D NCD/2002-03/001/E TO NCD/2002-03/005/E NCD/2002-03/001/G to NCD/2002-03/003/G NCD/2002-03/001/H to NCD/2002-03/010/H NCD/2002-03/001/I
Daily
Daily
Daily
N.A.
N.A.
N.A.
NCD/2002-03/001/CC to NCD/2002-03/005/CC NCD/2002-03/001/K to NCD/2002-03/005/K NCD/2002-03/001/M TO NCD/2002-03/002/M NCD/2002-03/001/J to NCD/2002-03/005/J NCD/2002-03/001/L TO NCD/2002-03/010/L NCD/2002-03/001/N TO NCD/2002-03/005/N NCD/2002-03/001/O TO NCD/2002-03/005/O
N.A.
At maturity-02nd August, N.A. 2002 On Maturity 3rd August, 2002 At maturity-05th August, 2002 At maturity-07th August, 2002 At maturity-13th August, 2002 or on exercise of Put/Call Option N.A.
N.A.
Daily
NCD/2002-03/001/O TO NCD/2002-03/005/O
NCD/2002-03/001/Q to NCD/2002-03/005/Q NCD/2002-03/001/R to NCD/2002-03/005/R NCD/2002-03/001/S to NCD/2002-03/002/S
On maturity 26th Aug or on Put/Call : exercise of Put/Call Option Daily On maturity 26th Aug N.A.
On maturity 27th Aug or on exercise of Put/Call Option On maturity 2nd Sept, 2002 On maturity 2nd Sept
NCD/2002-03/001/T to NCD/2002-03/005/T NCD/2002-03/001/V to NCD/2002-03/005/V NCD/2002-03/001/U to NCD/2002-03/005/U NCD/2002-03/001/W to NCD/2002-03/005/W NCD/2001-02/001/Y to NCD/2001-02/005/Y NCD/2001-02/001/X to NCD/2001-02/005/X NCD/2001-02/001/Z to NCD/2001-02/005/Z NCD/2002-03/001/AA to NCD/2002-03/005/AA NCD/2002-03/001/BB to NCD/2002-03/005/BB
N.A.
On maturity 6th Sept or on exercise of Put/Call Option On maturity 17th Sept, 2002 or on the exercise of Put/call option On maturity 20th Sept, 2002 On maturity 20th Sept, 2002
N.A.
N.A.
On Maturity Put & call - Daily 20th September, 2002 or on put/call date On maturity - 24th September, 2002 Put & call-Daily
N.A.
On maturity 1st October, N.A. 2002 On maturity 1st October, Daily 2002 or on exercise of put/call option On maturity 11th October, 2002 On maturity 14th October, 2002 On maturity 18th October, 2002 On maturity 23rd October, 2002 On maturity 23rd October, 2002 On maturity 25th October, 2002 On maturity 30th October, 2002 On maturity 1st November On maturity 1st November, 2002 On maturity 5th Nov, 2002 N.A.
N.A.
NCD/2002-03/001/GGto NCD/2002-03/010/GG NCD/2002-03/001/GG to NCD/2002-03/010/GG NCD/2002-03/001/JJ to NCD/2002-03/010/JJ NCD/2002-03/001/KK to NCD/2002-03/010/KK NCD/2002-03/001/MM to NCD/2002-03/005/MM NCD/2002-03/001/OO to NCD/2002-03/005/OO NCD/2002-03/001/LL to NCD/2002-03/005/LL NCD/2002-03/001/NN to NCD/2002-03/005/NN NCD/2002-03/001/PP to NCD/2002-03/005/PP
N.A.
N.A.
Daily
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity 15th Nov, 2002 On maturity 20th November, 2002 On maturity 22nd November, 2002 On maturity 22nd November, 2002 On maturity 29th November, 2002 On Maturity 29th November, 2002 Half Yearly 5th July & 5th January On maturity 16th Dec, 2002 On maturity 17th Dec, 2002 On maturity 18th Dec, 2002 Half Yearly -01st Jan & 01st July Half Yearly -01st Jan & 01st July On maturity 24th Dec, 2002 or on exercise of Put/Call Option
N.A.
NCD/2002-02/001/QQ to NCD/2002/005/QQ NCD/2002-03/001/RR to NCD/2002-03/005/RR NCD/2002-03/001/SS to NCD/2002-03/002/SS NCD/2002-03/001/Q to NCD/2002-03/005/Q NCD/2002-03/001/UU to NCD/2002-03/005/UU NCD/2002-03/001/VV to NCD/2002-03/005/VV
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call : 5th June, 2001 NCD/2000-01/SD06/00 to 5th December, 2002 NCD/2002-03/SD06/010 & 5th June, 2002 N.A. NCD/2002-03/001/XX to NCD/2002-03/005/XX NCD/2002-03/001/YY to NCD/2002-03/005/YY NCD/2002-03/001/WW to NCD/2002-03/005/XX LTF/2000/SD05/(001 020) LTF/2000/SD05/(001 020) NCD/2002-03/001/ZZ to NCD/200-03/005/ZZ
N.A.
N.A.
Put & call - 24th June,2002 Put & call - 24th June,2002 Daily
Daily
Put/Call : 5th July, 2001 5th June & 5th December 5th January, 2002 & 5th July, 2002 On maturity 8th January, 2003 On maturity 13th January, 2003 On maturity 20th January, 2003 On maturity 20th January, 2003 On maturity 21st January, 2003 On maturity 21st January, 2003 On maturity 22nd January, 2003 On maturity 27th January, 2003 On maturity 29th Jan, 2003 On maturity 4th February, 2003 On maturity 6th February, 2003 N.A.
N.A.
N.A.
N.A.
N.A.
NCD/2002-03/001/AJ to NCD/2002-03/005/AJ NCD/2002-03/001/AI to NCD/2002-03/005/AI NCD/2002-03/001/AE to NCD/2002-03/005/AE NCD/2002-03/001/AL to NCD/200-03/002/AL NCD/2002-03/001/AK to NCD/2002-03/010/AK NCD/2002-03/001/AM to NCD/2002-03/005/AM NCD/2002-03/001/AQ to NCD/2002-03/005/AQ
N.A.
N.A.
N.A.
N.A.
On maturity 7th February, 2003 On maturity 7th February, 2003 On maturity 12th February, 2003 On Maturity 19th February, 2003 On maturity 19th February, 2003 On maturity 21st February, 2003 On maturity 28th February, 2003 On maturity 14th March, 2003 On maturity 17th March, 2003 On maturity 18th March, 2003 On maturity 25th March, 2003 On maturity 28th March, 2003 On maturity 7th April, 2003
NCD/2002-03/001/AO to NCD/2002-03/005/AO NCD/2002-03/001/AP to NCD/2002-03/010/AP NCD/2002-03/001/AN to NCD/2002-03/005/AN NCD/2002-03/001/AR to NCD/2002-03/005/AR NCD/2002-03/001/AS to NCD/200-03/005/AS NCD/2002-03/001/AT to NCD/2002-03/010/AT NCD/2002-03/001/AU to NCD/2002-03/010/AU LTF/2002-03/001/ AV to LTF/2002-03/005/AV LTF/2002-03/001/ AW to NCD/2002-03/001/ AX to NCD/2002-03/005/AX NCD/2002-03/001/AY to NCD/2002-03/010/AY NCD/2002-03/001/AZ to NCD/2002-03/001/BA to NCD/2002-03/002/BA NCD/2002-03/001/BB to NCD/2002-03/005/BB NCD/2002-03/001/BC
N.A.
Daily
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity 10th April, 2003 On maturity 17th April, 2003 On maturity 17th April, 2003 On maturity 21st April, 2003 On maturity 21st April, 2003 On maturity 24th April, 2003 On maturity 28th April, 2003 On maturity 29th April, 2003 On maturity 5th May, 2003 On maturity 6th May, 2003 On maturity 7th May, 2003 On maturity 12th May, 2003 On maturity 14th May, 2003
N.A.
NCD/2002-03/001/BD to NCD/2002-03/005/BD NCD/2002-03/001/BF to NCD/2002-03/003/BF NCD/2002-03/001/BE to NCD/2002-03/010/BE NCD/2002-03/001/BG to NCD/2002-03/005/BG NCD/2002-03/001/BH to NCD/2002-03/010/BH NCD/2002-03/001/BJ to NCD/2002-03/002/BJ NCD/2002-03/001/BI to NCD/2002-03/005/BI NCD/2002-03/001/BK to NCD/2002-03/005/BK NCD/2002-03/001/BM to NCD/2002-03/005/BM NCD/2002-03/001/BN to NCD/2002-03/005/BN NCD/2002-03/001/BO to NCD/2002-03/005/BO NCD/2002-03/001/BP to NCD/2002-03/005/BP NCD/2002-03/001/BQ to NCD/2002-03/005/BQ
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Daily
N.A.
N.A.
N.A.
On maturity 14th May, 2003 On maturity 14th May, 2003 On maturity 21st May, 2003 On maturity, 28th May, 2003 On maturity,10th June, 2003 On maturity,13th June, 2003 On maturity,13th June, 2003 On maturity, 20th June, 2003 On maturity, 20th June, 2003 On maturity, 25th June, 2003 On maturity, 27th June, 2003 On maturity, 27th June, 2003 On maturity, 27th June, 2003
N.A.
NCD/2002-03/001/BQ to NCD/2002-03/005/BQ NCD/2002-03/001/BR to NCD/2002-03/005/BR NCD/2002-03/001/BS to NCD/2002-03/005/BS NCD/2002-03/001/BT to NCD/2002-03/005/BT & NCD/2002-03/001/BU to NCD/2002-03/005/BU to NCD/2002-03/001/BV NCD/2002-03/010/BV
N.A.
N.A.
N.A.
NCD/2002-03/001/BW to NCD/2002-03/010/BW NCD/2002-03/001/BX to NCD/2002-03/010/BX NCD/2002-03/001/BZ to NCD/2002-03/010/BZ NCD/2002-03/001/BY to NCD/2002-03/010/BY NCD/2002-03/001/CA to NCD/2002-03/005/CA NCD/2002-03/001/CB to NCD/2002-03/005/CB NCD/2002-03/001/CC to NCD/2002-03/005/CC NCD/2002-03/001/CB to NCD/2002-03/005/CB
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 27th June, 2003 On maturity, 14th July, 2003 On maturity, 15th July, 2003 On maturity, 15th July, 2003 On maturity, 15th July, 2003 On maturity, 18th July, 2003 On maturity, 18th July, 2003 On maturity, 22nd July, 2003 On maturity, 25th July, 2003 On maturity, 1st August, 2003 On maturity, 4th August, 2003 or on exercise of Put/Call Option On maturity, 8th August, 2003 or on exercise of Put/Call Option On maturity, 8th August, 2003
N.A.
NCD/2002-03/001/CC to NCD/2002-03/005/CC NCD/2003-04/001/B to NCD/2003-04/005/B NCD/2003-04/001/A to NCD.2003-04/010/A NCD/2003-04/001/C to NCD/2003-04/003/C NCD/2003-04/001/D to NCD/2003-04/003/D NCD/2003-04/001/E to NCD/2003-04/005/E NCD/2003-04/001/F to NCD/2003-04/010/F NCD/2003-04/001/H to NCD/2003-04/002/H NCD/2003-04/001/G to NCD/2003-04/010/G NCD/2003-04/001/J to NCD/2003-04/005/J NCD/2003-04/001/I to NCD/2003-04/005/I NCD/2003-04/001/K to NCD/2003-04/005/K NCD/2003-04/001/L to NCD/2003-04/010/L
Put/Call: N.A.
N.A.
Put:Daily Call:Daily Put: N.A Call: N.A Put:Daily Call:Daily Put: N.A Call: N.A Put: N.A. Call:N.A. Put: N.A. Call-N.A. Put & Call: N.A.
On maturity- 18th August, Put & Call: N.A. 2003 On maturity, 19th Aug, 2003 or on exercise of Put/Call Option On maturity, 25th Aug, 2003 Put & Call:Daily
NCD/2003-04/001/M to NCD/2003-04/005/M NCD/2003-04/001/N to NCD/2003-04/010/N NCD/2003-04/001/O to NCD/2003-04/010/O NCD/2003-04/001/P to NCD/2003-04/002/P LTF/2000/SD02/001 to LTF/2000/SD/02/005
On maturity, 25th August, Put & Call: N.A. 2003 Quarterly 30th Sept, 31st Dec 31st March & 30th June Quarterly 30th Sept, 31st Dec 31st March &17th June On maturity, 30th September, 2003 On maturity, 17th September, 2003 On maturity, 22nd September, 2003 On maturity, 24th September, 2003 On maturity,26th September, 2003 On maturity, 29th September, 2003 On maturity, 29th September, 2003 Put & Call: N.A. N.A.
Put/Call : 4th Sept, 2002 LTF/2000/SD03/001 to LTF/2000/SD/03/020 Put & Call: N.A. NCD/2003-04/001/Q to NCD/2003-04/010/Q & NCD/2003-04/001/R to NCD/2003-04/005/R to NCD/2002-03/001/S NCD/2002-03/010/S Put & Call: N.A. NCD/2002-03/001/T to NCD/2002-03/005/T NCD/2003-04/001/U to NCD/2003-04/010/U NCD/2003-04/001/V to NCD/2003-04/010/V NCD/2003-04/001/W to NCD/2003-04/010/W NCD/2002-03/001/X to NCD/2002-03/010/X
Put/Call:Daily
N.A.
N.A.
On maturity, 9th October, Put & Call: N.A. 2003 On maturity, 10th October, 2003 On maturity, 10th October, 2003 On maturity, 15th October, 2003 or on exercise of Put/Call Option On maturity, 17th October, 2003 On maturity, 17th October, 2003 On maturity, 22nd October, 2003 On maturity, 31st October, 2003 On maturity, 31st October, 2003 On maturity, 5th November, 2003 On maturity, 14th November, 2003 On maturity, 19th November, 2003 On maturity, 21st November, 2003 Put & Call: N.A. Put & Call: N.A.
NCD/2003-04/001/AC to NCD/2003-04/005/AC NCD/2003-04/001/AE to NCD/2003-04/010/AE NCD/2003-04/001/AF to NCD/2003-04/002/AF NCD/2003-04/001/AD to NCD/2003-04/010/AD NCD/2003-04/001/135 to NCD/2003-04/005/135 NCD/2003-04/001/AI/141 to NCD/200304/005/AI/141 to NCD/2003-04/001/136to NCD/2003-04/005/136 NCD/200304/001/AJ/144 to NCD/200304/005/AJ/144 NCD/200304/001/AL/155 to NCD/200304/005/AL/155 NCD/2003-04/001/AK to NCD/2003-04/010/AK
On maturity, 21st November, 2003 or on exercise of Put/Call Option On maturity, 21st November, 2003 On maturity, 25th November, 2003 on Maturity
NCD/2003-04/001005/AQ/165-NCD/200304/001-005/AR/166 NCD/2003-04/001010/AP/164 NCD/2003-04/001010/AS/171 NCD/2003-04/001005/AU/174 NCD/2003-04/001005/AT/173 NCD/2003-04/001010/AV/176 NCD/2003-04/001010/AW/177 LTF/2001-02/SD01/00 to LTF/2001-02/SD01/010 N.A.
On Maturity or on Exercise of Put/Call option On Maturity 22nd December On Maturity 24th December 2003 On Maturity or on Excercise of Put/Call option On Maturity 26th December 2003 On maturity 26th December 2003 Quarterly 31st March, 2002
Put/Call: N.A.
Quarterly 4th January, 2003 31st March 30th June 30th September January, Put & Call: N.A. On maturity, 6th & 2004
NCD/2003-04/001 to 010/AX/179
On maturity, 7th January, Put & Call: N.A. 2004 On Maturity 12th January NA 2004 On Maturity 12th January Put & Call:Daily 2004 or on exercise of Put / Call option. On Maturity 14th January Put & Call: N.A. 2004 On Maturity 16th January Put & Call: N.A. 2004 On maturity, 19th January, 2004 On maturity, 23rd January, 2004 On maturity, 28th January, 2004 Half Yearly 30th July & 30th January Half Yearly 30th July & 30th January On maturity, 30th Jnauary, 2004 On maturity, 30th January, 2004 On maturity, 11th February, 2004 Put & Call: N.A.
NCD/2003-04/001 to 010/AY/180 NCD/2003-04/001005/AZ/181 NCD/2003-04/001005/BA/182 NCD/2003-04/001002/BB/183 NCD/2003-04/001010/BC/184 NCD/2003-04/001005/BD/186, NCD/200304/001-005/BE/187 NCD/2003-04/001003/BF/189 NCD/2003-04/001005/BH/191 LTF/2001-02/SD02/001 TO LTF/2001-02/SD02/010 N.A.
30th July, 2002 30th January, 2003 30th July, 2003 30th July, 2002 30th January, 2003 30th July, 2003 Put & Call:Daily
On maturity, 13th February, 2004 On maturity, 18th February, 2004 On maturity, 18th February, 2004 On maturity, 20th February, 2004 On maturity, 23rd February, 2004 Half Yearly 27th August & 27th February Half Yearly 27th August & 27th February On Maturity 27th February 2004 Annually 28th February Annually 28th February
Put/Call : 27th February, 2003 Put/Call : 27th February, 2003 Put & Call: N.A.
On maturity, 12th March, Put & Call:Daily 2004 On Maturity 19th March 2004 On maturity, 2nd April, 2004 Put & Call: N.A.
On maturity, 5th April, 2004 On maturity, 7th April, 2004 On maturity, 9th April, 2004 On maturity, 13th April, 2004 On maturity, 16th April, 2004 On maturity, 21st April, 2004 On maturity, 28th April, 2004 On maturity, 10th May, 2004 On maturity, 12th May, 2004 On maturity, 14th May, 2004 On maturity, 19th May, 2004 On maturity, 21st May, 2004 On maturity, 11th June, 2004
NCD/2003-04/001010/BZ/237 & NCD/200304/001-005/BY/236 NCD/2003-04/001010/CA/243 NCD/2003-04/001005/CB/244 NCD/2003-04/001005/CC/245 NCD/200-04/001005/CD/249 NCD/2003-04/001010/CE/250 NCD/2003-04/001002/CE/253 NCD/2003-04/0105/CG/254 NCD/2003-04/001005/CH/255 NCD/2003-04/001010/CK/263, NCD/200304/001-005/CJ/262
On maturity, 16th June, 2004 On maturity, 25th June, 2004 On maturity, 30th June, 2004
NCD/2003-04/001010/CI/261 NCD/2003-04/001005/CL/267 NCD/2004-05/001003/CM/275 NCD/2004-05/001010/CN/276 NCD/2004-05/001010/A/277 NCD/2004-05/001005/B/279 NCD/2004-05/001010/C/280 NCD/2004-05/001015/D/281 & NCD/200405/001-010/E/282 NCD/2004-05/001015/G/287 NCD/2004-05/001015/F/286 NCD/2004-05/001005/H/288 NCD/2004-05/001002/B/297 NCD/2004-05/001010/J/300
On maturity, 2nd July, Put & Call:Daily 2004 or on or on exercise of Put/Call Option On maturity, 14th July, 2004 or on exercise of Put/Call option On maturity, 19th July, 2004 On maturity, 19th July, 2004 or on exercise of Put/Call Option On maturity, 20th July, 2004 or on exercise of Put/Call Option On maturity, 27th July, 2004 On maturity, 27th July, 2004 On maturity, 28th July, 2004 On Maturity 11th August 2004 On Maturity or on excercise of Put / Call option Put & Call:Daily
On maturity, 19th August, Put & Call :Daily 2004 or on Exercise of Put/Call Option On maturity, 25th August, Put & Call : N.A. 2004 On maturity, 25th August, Put & Call : Daily 2004 or on exercise of Put/Call option On maturity, 30th August, Put & call : N.A. 2004 On maturity,01st September, 2004 On Maturity,03rd September, 2004 On maturity, 13th September, 2004 On maturity, 29th Sept, 2004 or on exercise of Put/Call Option Put & call : N.A.
NCD/2004-05/001-010/T
On Maturity 15th October Put & Call: N.A. 2004 On maturity, 21st October, 2004 Put & Call: N.A.
NCD/2004-05/001-005/U
10th September, 2004 or Put & Call:10th on maturity, 25th September, 2004 October, 2004 On maturity, 3rd November, 2004 or on exercise of Put/Call Option
Put & Call:Daily from 26th NCD/2004-05/001-030/Y day ie 21st Aug, 2004
Annually 20th November Quarterly 1st Jan 1st April, 1st July & Half yearly30th June & 31st December On maturity, 31st December, 2004
N.A.
N.A.
Half YearlyPut & call- 06th January, LTF/2002-03/SD04/001 06th January & 06th July 2004 to LTF/2002-03/SD04/010 Annually, 7th April Put: 7th April, 2004 Call: 7th April, 2004 Put: 8th April, 2004 Call: 8th April, 2004 Put:Investor will have put option At par in the event of downgrade of the NCDs by one notch by Put:Investor will have put option At par in the event of downgrade of the NCDs by one notch by Not Applicable 4501-4550 LTF/2003-04/SD01/001 to LTF/200304/SD01/015 LTF/2003-04/SD01/016 to LTF/200304/SD01/030
Halfyearly January 29 July 29 Halfyearly January 29 July 29 Halfyearly January 29 July 29 Halfyearly January 29 July 29
Not Applicable
4551-4600
Not Applicable
4601-4650
Not Applicable
4651-4700
Not Applicable
4701-4750
Half Yearly N.A. 30th April & 31st October Half Yearly N.A. 30th April & 31st October Half Yearly N.A. 30th April & 31st October Half Yearly N.A. 30th April & 31st October Half Yearly N.A. 30th April & 31st October Half Yearly N.A. 30th April & 31st October Annually N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually
N.A.
On maturity, 25th February, 2005 On maturity, 28th April, 2005 Annnually, 11th Aug, 2004 & on maturity, 4th Aug, 2005 Annually 31st August
N.A.
Annually 31st August Annually 31st August Annually 31st August Annually 3rd October Annually 3rd October Annually 3rd October Annually 3rd October Annually, 24th December, 2004 & 23rd December, 2005 Annually, 24th December, 2004 & 23rd December, 2005 Annually, 10th January, 2005 & 9th January, 2006
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually, 28th February, Put & Call: N.A. 2005 & 27th February, 2006 Annually, 29th April Put & Call: N.A.
On Maturity-23/11/01
Daily
3073-3092
On Maturity-28/11/01
None
3118-3132
On Maturity-18/12/2001
Daily
3250-3274
On Maturity- 19/12/2001
Daily
3210-3224
None
2291-2315
Daily
On Maturity
None
N.A.
On Maturity
None
N.A.
On Maturity
None
N.A.
At maturity-25th January,2002
None
N.A.
quarterly-31st March,30th 27/12/2001 to 31/12/2001 2471-2495 June,30th September & 31st December Quarterly-31st March,30th June,30th September & 31st December Quarterly-20th February,20th May,20th August & 20th November Quarterly-20th None February,20th May,20th August & 20th November 2496-2510 27/12/2001 to 31/12/2001 2471-2495
None
2496-2510
On Maturity Daily Put/Call Option to N.A. 27th August, 2002 or on be exercised latest by exercise of put/call option 1500 hrs on the previous working dayCall option On maturity-06th Daily-Put & N.A. march,2002 or on To be exercised latest exercise of put/call by 15.00 hrs on the option previous working day On Maturity N.A N.A. (13th Mar, 2002) On matutity -18th March, Put & call - daily to be N.A. 2002 exercised latest by 1500 hrs on the previous working day. On Maturity None N.A. 22nd March, 2002 On maturity - 12th April, 2002 On Maturity 28th April, 2002 On Maturity 27th May, 2002 Quarterly-25th March,25th June,25th September & 25th December Put & call - daily to be N.A. exercised latest by 1500 hrs on the previous working day. Put & call - Daily to be N.A. exercised latest by 1500 hrs on the previous working day. Put option to N.A. Daily Call & be exercised latest by 1500 hrs on the previous working day. None 2713-2762
Quarterly-25th March,25th June,25th September & 25th December On Maturity 15th July, 2002 On Maturity 16th August, 2002
On Maturity 18th August, 2002 On Maturity 19th August, 2002
None
2713-2762
Put & call - Daily to be N.A. exercised latest by 1500 hrs on the previous working day. N.A. N.A.
Daily Put/Call Option to be N.A. exercised latest by 1500 hrs on the previous working day Daily Put/Call Option to be N.A. exercised latest by 1500 hrs on the previous working day
On Maturity Daily Put/Call Option to N.A. 26th August, 2002 or on be exercised latest by exercise of put/call option 1500 hrs on the previous working day Option to N.A. On Maturity Daily Put/Call 31st August, 2002 or on be exercised latest by exercise of put/call option 1500 hrs on the previous working day Option to N.A. On Maturity Daily Put/Call 02-09-02 or on exercise of put/call option On Maturity-6th September 2002 On Maturity-6th September 2002 On Maturity-6th September 2002 On Maturity-6th September 2002 On Maturity 6th Sept, 2002 be exercised latest by 1500 hrs on the previous working day None 3133-3209
Call Option- 7th December 2001,7th March 2002 & 7th June 2002 None
3133-3209
3133-3209
Call Option- 7th December 2001,7th March 2002 & 7th June 2002 Put/Call Option to Daily be exercised latest by 1500 hrs on the previous working day
3133-3209
N.A.
On Maturity 8th Sept, 2002 On Maturity 11th Sept, 2002 On Maturity 4th October, 2002 On Maturity 13th November, 2002 On Maturity 16th November, 2002 On matutity -20th November, 2002 On matutity -25th November, 2002 On matutity -26th November, 2002 On Maturity 4th December, 2002 On Maturity 22nd December, 2002 On Maturity 29th December, 2002 On Maturity 4th January, 2003
Daily Put/Call Option to N.A. be exercised latest by 1500 hrs on the previous working day N.A. N.A.
N.A.
N.A.
Daily Put/Call Option to N.A. be exercised latest by 1500 hrs on the previous working day Option to N.A. Daily Put/Call be exercised latest by 1500 hrs on the previous working day Put & call : Daily to be N.A. exercised latest by 1500 hrs on the previous working day. Put & call : Daily to be N.A. exercised latest by 1500 hrs on the previous working day. Put & call : Daily to be N.A. exercised latest by 1500 hrs on the previous working day. N.A. N.A.
Daily Put/Call Option to N.A. be exercised latest by 1500 hrs on the previous working day Option to N.A. Daily Put/Call be exercised latest by 1500 hrs on the previous working day Option to N.A. Daily Put/Call
be exercised latest by 1500 hrs on the previous working day Option to N.A. On Maturity Daily Put/Call 6th January, 2003 or on be exercised latest by exercise of put/call option 1500 hrs on the previous working day
On Maturity 20th January, 2003 On maturity 26th January, 2003 or on exercise of Put/Call Option On maturity
N.A.
N.A.
Daily Put/Call option to N.A. be exercised lates by 1500 hrs on the previous working day option to Daily Put/Call N.A. 28th January, 2003 or on be exercised lates by exercise of Put/Call 1500 hrs on the previous Option working day Put Option to N.A. On maturity Daily Call & 11th February, 2003 On Maturity 12th February, 2003 or on exercise of put/call option On Maturity 15th February, 2003 On Maturity 19th February, 2003 or on exercise of put/call option On Maturity 28th February, 2003 On Maturity 19th March, 2003 On Maturity 25th March, 2003 On Maturity 7th April, 2003 On maturity 9th April, 2003 or on exercise of Put/Call Option On Maturity 12th April, 2003 be exercised latest by 1500 hours on the previous working day to N.A. Daily Call & Put Option be exercised latest by 1500 hours on the previous working day to N.A. Daily Call & Put Option be exercised latest by 1500 hours on the previous working day to N.A. Daily Call & Put Option be exercised latest by 1500 hrs on the previous working day Put Option to N.A. Daily Call & be exercised latest by 1500 hrs on the previous working day Put option to N.A. Daily Call & be exercised latest by 1500 hrs on the previous working day N.A. N.A.
Daily Put/Call Option to N.A. be exercised latest by 1500 hrs on the previous working day option to Daily Put/Call N.A. be exercised lates by 1500 hrs on the previous working day Option to N.A. Daily Put/Call be exercised latest by 1500 hrs on the previous working day
Quarterly-15th February,15th May,15th May,15th August & 15th August & 15th November November Every Year till redemption. Quarterly-15th 15th February,15th 2668-2692 February,15th May,15th May,15th August & 15th August & 15th November November Every Year till redemption. Put Option to N.A. On Maturity Daily Call & 18th May, 2003 Annually 21st July Annually-11th January be exercised latest by 1500 hours on the previous working day None
Daily Call & Put Option to N.A. be exercised latest by 1500 hours on the previous working day to N.A. Daily Call & Put Option be exercised latest by 1500 hours on the previous working day 15th February,15th 2668-2692
2116-2190
None
2316-2375
If CRISIL rating is not provided on or before 16th Aug, 2002 and if it is CRISILAA+, put option If below rating is not
N.A.
On Maturity-29th September, 2002 or on exercised latest by 1500 exercise of put/call option hrs on the previous working day. to be On Maturity-30th Put & call-Daily September, 2002 or on exercised latest by 1500 exercise of put/call option hrs on the previous working On maturity, 10th June, 2003 Put & call-day.
N.A. provided on or before 31st Aug, 2002 and if it is below AA+, put option will N.A. If CRISIL rating is not provided on or before 31st Aug, 2002 and if it is below call-Daily option will NA Put & AA+, put to be
NA
N.A.
Quarterly first interest payment on 24th September, 2002 Quarterly first interest payment on 24th September, 2002
N.A.
NA
N.A.
NA
On maturity, 17th August, Put & Call:Daily, to be 2003 exercised latest by 1500 hrs on the previous working day to be On maturity, 23rd Put/Call:Daily, September, 2003
N.A.
N.A.
exercised latest by 1500 hrs on the previous On maturity, 5th October, working day Put/Call :Daily, to be N.A. 2003 or on exercise of exercised latest by 1500 Put/Call Option hrs on the previous working day On maturity, 6th Put & Call:Daily, to be N.A. December, 2003 On Maturity 7th December 2003 On Maturity 9th December 2003 On Maturity 16th December 2003 exercised latest by 1500 hrs on the previous working day Put & Call:Daily to be
NA
excercised latest by 1500hrs on the previous working day Excercise NA Put & Call:On
On matuirty date, 14th April, 2004 or on date on which the call option is exercised,(ie31st Mar,04) Call:31st March, 2004 Onmaturity date,14th April, 2004 or on date on which thecall option is exercised (ie.31st Quarterly, 31st March, 30th Call : 31st March, 2004
June, 30th Sept & 31st Dec
NA
N.A.
N.A.
N.A.
Quarterly, 31st Mar, 30th Call:31st March, 2004 June, 30th Sept & 31st Dec
N.A.
N.A
N.A
N.A
44 to 45
N.A
N.A.
N.A
25 to 29
40 to 43
48 to 48
49 to 50
N.A
N.A.
56 to 57
N.A
N.A.
N.A
N.A.
N.A
N.A.
Annually 30th July, 2003 Annually 23rd August Annually 26th September, 2003 Annually 25th September, 2003 Annually 29th October Annually 29th November Annually 2nd December Annually 13th December
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually,7th July
N.A.
N.A.
Put/Call: N.A.
N.A.
N.A.
N.A
N.A
Annually 2nd November Annually 18th February Annually 18th February Annually 27th August Annually 27th August Annually 2nd November Annually 2nd November Annually 18th February Annually 18th February Half Yearly 30th Sept & 31st March Annually 31st March Half Yearly 29th July & 29th January Quarterly31st March, 30th June, 30th September & 31st December
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
1-6/(1 - 1200000)
Half Yearly 30th June & 31st December Half yearly 10th May & 10th November Half yearly 11th Feb & 11th August Half yearly 11th Feb & 11th August
N.A.
N.A.
N.A.
1 to 18
N.A.
1 to 43
Half YearlyN.A. 04th July & 04th January Half yearly01st March & 01st September Half yearly01st Feb & 01st August Half yearly01st Feb & 01st August Half yearly06th June & 06th December Half yearly18th March & 18th September Half yearly27th Feb & 27th August Half yearly21st June & 21st December N.A.
1 to 36
1 to 47
N.A.
1 to 36
N.A.
1 to 22
N.A.
1 to 23
N.A.
1 to 30
N.A.
1 to 13
N.A.
1 to 33
1 to 9
Annually 15th February HALF YEARLY 01/07 & 01/01 HALF YEARLY 01/05 & 01/11 YEARLY 01/11 HALF YEARLY 01/03 & 01/09 HALF YEARLY 01/07 & 01/01 HALF YEARLY 01/07 & 01/01 HALF YEARLY 15/06 & 15/12 YEARLY 03/05/2001 YEARLY 20/02
Put/Call : 15th February, 2006 (At the end of 5th year from the deemed date of 37643
Cert No. : 0000001 to 0000611 Dist Nos : 00000001 to 00010000 100001 101206 101208- 104210 104711- 113216 114217- 201753 200001 115290 /(1 201764 - 202625 202627 - 202632 202634 - 203265
37909
37909
38056
300001 301503 301505-301512/ 83788 92637) 400001400002 400004 - 403215 406552 406556/( 92638 107795) 403216-405318 405819-406526 406529 -406551 /( 107796-117636) 500037-500059 503117-503118 503121-503122/( 119131 140 - 174 121076 357 369/( 19526 23298 40244 - 41579) 1 11/(1 362)
38168
38230
38335
38470
38767
Half Yearly, 31st March & Put & Call: N.A. 30th Sept Half Yearly, 31st March & Put & Call :N.A. 30th Sept Half Yearly, 31st Jan & 31st July Put & Call:15th June, 2002
N.A.
N.A.
Half Yearly, 30th April & 30th October Half Yearly 30th June & 31st December Half Yearly 30th June & 31st December Half Yearly 28th February(29th Feb in leap year) & 31st August Half Yearly 28th February(29th Feb in leap year) & 31st August Half Yearly 28th February(29th Feb in leap year) & 31st August Half Yearly 28th February(29th Feb in leap year) & 31st August N.A.
Put & Call:30th June, 2001, 30th June, 2002, 30th June, 2003 & 30th June, 2004 N.A
N.A
1 to 16605
N.A
1 to 15682
N.A
1 to 24609
N.A
1 to 500
N.A
1 to 1514
Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 14-Feb-03
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
1 to 18140
Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 19-Aug-04
N.A.
N.A.
N.A.
1 to 11896
Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 Put & Call:On or before 20th March, 2005 Put & Call:On or before 29th March, 2005 18-Nov-05
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
1 to 20272
30-Dec-05
1 to 6877
N.A.
31-Mar-03
1 to 3871
Half Yearly 30th June & 31st December Half Yearly 12th May & Nov. Half Yearly 11th Feb. & Aug. Half Yearly 13th Feb. & Aug. Half Yearly 1st March & Sept. Half Yearly 2nd Feb. & Aug. Half Yearly 3rd Feb. & Aug. Half Yearly 7th June & Dec. Half Yearly 19th March & Sept. Half Yearly 30th Jan & July Half Yearly 27th Feb. & Aug. Half Yearly 23rd April & Oct. Half Yearly 22nd June & Dec.
31-Mar-03
1 to 777
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
(1 -79614)
335329 ro 337844
N.A.
339519 to 339568
N.A.
Put & call28th March, 2006 At any time before the final redemption At any time before the final redemption At any time before the final redemption Put & Call:At any time before redemption
On maturity 22nd February, 2003 On maturity 13th May, 2003 On maturity 13th May, 2003 On maturity, 25th July, 2003
N.A.
N.A.
N.A.
N.A.
On maturity, 18th August, Put & Call:At any time 2003 before redemption Annually -01st January Quarterly31st march,30th June , 30th September &31st December N.A.
N.A.
N.A.
2-21/(27001001 27001020)
Annually-22nd May
N.A.
1-30/(38004359 38004658)
Put & call 2 -51/(2200100121-Aug-03(Notice on 21- 27001000) Jul-03) Put & call 17-Oct-03 & 18-Oct-05(Notice on 17Dec-03 & 18-Sep-05 Put & call1-3 5-15 38001091-38002090
Annually-27th April
Quarterly-30th November None 2001,28th Fsebruary 2002 & 31st May 2002 Annually-1st July None FD
(On Maturity 25th January, 2002) On maturity-4th February,2002 On maturity (08th February, 2002) On maturity (12th February, 2002)
Daily
CV/RELE/1/1-10
Daily
N.A.
Daily
Daily
On maturity -05th Put & call - Daily March,2002 or on exercise of put/call option On maturity-13th March,2002 On maturity-18th March,2002 Put & call - daily
DI/SCB/1/(1 - 10)
On maturity -21st march, N.A. 2002 On maturity -22nd March, Put & call -Daily 2002 On maturity -22nd March, Put & call -Daily 2002 On maturity-08th April, 2002 On maturity- 10th April, 2002 On maturity - 10th April, 2002 On maturity - 15th April,2002 On maturity (16th April, 2002) On maturity-26th April 2002 On maturity (30th April, 2002) On maturity (03rd May, 2002) On maturity (8th May, 2002) At maturity-17th May, 2002 N.A.
DN/PICICI/1/(1 -10)
DL/BIRLA/1/(1 - 10)
DM/RELE/1(1 -9)
DR/HDFC/1/(1 - 10)
N.A.
DS/HDFC/1/(1 - 10)
N.A.
DT/MMF/1/(1 - 10)
N.A.
DD/JMMF/1/(1 -10)
N.A
N.A
N.A
Daily
Daily
On Maturity 24th May, 2002 On Maturity (30th May, 2002) On Maturity (30th May, 2002) At maturity-31st May, 2002 At maturity-5th June, 2002 On Maturity 11th June, 2002 On maturity-13th June,2002 On maturity-13th June,2002 On maturity-14th June, 2002 On maturity-18th June,2002 On maturity-18th June,2002 On Maturity 21st June, 2002 On maturity - 24th June,2002
N.A.
FD/IDBIMF/1/(1 to 5)
N.A.
DE/PICICI/1/1-10
N.A.
DE/PICICI/1/(1 -10)
ED/CMF/1/(1 to 5)
EE/BOBMF/1/(1 to 5)
31-May-02
FE/JMMF/1/(1 to 5)
N.A.
DG/PICICI/1/(1 -10)
N.A.
DG/PICICI/1/(1 -10)
EF/SF &C/1/(1 to 5)
No
DJ/SCB/1/(1 - 10)
N.A.
DP/PICICI/1/(1 -20)
N.A
EI/PICICIMF/1/(1 to 10)
N.A.
DP/PICICI/1/(1 - 20)
N.A.
DJ/SCB/1/(1 - 10)
Put/Call : Daily
EK/FIMF/1/(1 to 2)
None
On maturity -26th June,2002 On maturity -26th June,2002 On Maturity 28th June, 2002 1st July, 2002
N.A.
N.A.
DO/STCI/1(1 - 10)
Daily
EL/JMMF/1/ (1 to 10) EM/JMMF/1/ 1 CQ/SCB/1 1 - 10 EN/ILFSMF/1/ (1 to 5) EO/INGST/1/ (1 to 4) ET/BOBMF/1/(1 to 5) EV/JMMF/1/(1 to 5) DQ/SCB/1/(1 - 10)
N.A
On Maturity
None
On Maturity 1st July, 2002 On Maturity 1st July, 2002 On Maturity 5th July, 2002 On maturity - 08th July, 2002 N.A.
Daily
N.A
Daily
N.A.
N.A.
DU/IDBIMF/1/(1 - 5)
N.A.
N.A.
DU/IDBIMF/1/(1 - 5)
On maturity - 08th July, 2002 On Maturity 8th July, 2002 On Maturity 08-07-02 On Maturity 10th July, 2002 On Maturity 10th July, 2002 On Maturity 10th July, 2002 On Maturity 19th July, 2002 On Maturity 24th July, 2002 On Maturity 30th July, 2002 On Maturity
N.A.
DQ/SCMF/1(1 - 10)
N.A
N.A.
N.A
N.A
N.A
EX/TMF/1/(1 to 5)
Daily
FA/IST/1 (1 to 3) FB/SFCMF/1/(1 to 5)
None
N.A.
37295
BW/IDBIIF/1 1-5
N.A.
FM/INGST/1/(1 to 2)
N.A.
FO/TMF/1/(1 to 5)
N.A.
FQ/IDBIMF/1/(1 to 5) FR/IDBIMF/1/(1 to 2)
Bi-Annual--1st March None 2002 & 24th August 2002 On Maturity 28th August, 2002 On Maturity 6th Sept, 2002 On Maturity 11th September, 2002 On maturity-18th September, 2002 On maturity20thSeptember, 2002 On maturity-24th September, 2002 On Maturity 27th September, 2002 On Maturity 1st Oct, 2002 On Maturity 4th Oct, 2002 N.A.
N.A.
GU/JMMU/1/ (1 to 5) GB/SFCMF/1/(1 - 5)
N.A.
GE/PICICIMF/1(1 - 10)
N.A.
N.A.
N.A
N.A.
N.A.
On maturity 4th October, 2002 On Maturity 7th October, 2002 On Maturity 11th October, 2002
N.A.
N.A.
N.A.
CS/SCB/1 1-300000
CS/SCB/1 1-300000
(On Maturity 21st October, 2002) (On Maturity 21st October, 2002) On maturity 1st Nov, 2002 On Maturity 6th November, 2002 On Maturity 8th November, 2002 On maturity (14th Novembe, 2002) On maturity (14th Novembe, 2002) On maturity-19th November,2002
20th January, 2002 20th April, 2002 19th July, 2002 20th January, 2002 20th April, 2002 19th July, 2002 N.A
CT/SCMF/ 1 / 1-10
CT/SCMF/ 1 / 1-10
HL/IDBIMF/1 to 5
N.A.
HR/SCMF/1(1 to 5)
N.A.
HT/IDBIMF/1 to 5
DB/SUNFC/1/(1-5)
On maturity 22nd May, 2002 First Int Payment : 22nd May, 2002 On Maturity 25th November, 2002 On maturity-26th November,2002 On maturity-26th November,2002 On Maturity 26th November, 2002 On Maturity 29-11-02 On Maturity 29-11-02 On Maturity 6th December, 2002 On maturity-11th December, 2002 On maturity-13th December, 2002 On Maturity 20th December, 2002 N.A.
N.A.
DD/ABN/1/(1-10)
N.A.
DD/ABN/1/(1-10)
N.A.
IJ/PICICIMF/1-10
N.A.
FY/PICICICMF/1-5
N.A.
N.A
N.A.
ID/SFCMF/1 - 5
N.A.
IE/SFCMF/1 to 5
N.A.
IH/BMF/1 to 10
N.A.
IT/PICICIMF/1-10
On Maturity 31st December, 2002 On Maturity 31st December, 2002 On Maturity 3rd January, 2003 Annually- 1st August
N.A.
IN/IDBIMF/1-5
N.A.
IR/HDFCBL/1-20
N.A.
IV/IST/1-5
None
None
On maturity (17th January, 2003) On maturity (17th January, 2003) On Maturity 28th January, 2003 On Maturity 30th January, 2003 On Maturity 4th February, 2003 On Maturity 6th February, 2003 On Maturity 12th February, 2003 On Maturity 15th February, 2003
N.A
N.A
N.A.
JC/PICICIMF/1 - 10
N.A.
JF/IDBIMF/1 - 5
N.A.
JH/PICICIMF/1 - 7
N.A.
JI/IDBIMF/1 - 5
Daily
JJ/HSBCMF/1
Daily
JK/IDBIMF/1
On Maturity 17th February, 2003 On maturity 17th February, 2003 On Maturity 18th February, 2003 On maturity 21st February, 2003 On Maturity 26th February, 2003 On Maturity 17th March, 2003 On Maturity 17th March, 2003 On maturity 18th March, 2003 On maturity 25th March, 2003 On Maturity 8th April, 2003 Annually-4th September
JN/HSBCMF/1
N.A.
Daily
JO/HSBCMF/1 - 2
N.A.
JS/PICICIMF/1- 10
N.A.
JX/SFCMF/1-5
Daily
Daily
N.A.
N.A.
JV/IDBIMF/1- 5
N.A.
LC/HDFCBL/ 1 to 10)
None
N.A.
N.A
LH/SFCMF/ 1 to 5
On Maturity 10th April, 2003 On maturity 14th April, 2003 On Maturity 2nd May, 2003 On maturity 6th May, 2003 On Maturity 7th May, 2003 On Maturity 9th May, 2003 On Maturity 12th May, 2003 On maturity, 21st May, 2003
N.A
LJ/HSBCMF/ 1 to 10 JU/SBIMF/1 to 10
N.A.
N.A.
LV/SBIMF/1 - 10
N.A.
N.A.
N.A.
MB/PICICIMF/1 - 15
N.A.
ME/HDFCBL/1 - 10
N.A.
JT/PICICIMF/1-10
JY/SFCMF/1-5
MH/IDBIMF/1-10
37417
W/HDFCMF/1 1 to 15
MM/HDFCBL/1-10
N.A.
N.A.
MI/BMF/1 to 10
On maturity, 13th June, 2003 On Maturity 16th June, 2003 On Maturity 16th June, 2003
On maturity, 16th June, 2003
N.A.
MP/PICICIMF/1 to 10
N.A.
GC/LICMF/1(1 - 5)
N.A.
N.A
MN/HDFCBL/1-0
On maturity, 17th June, 2003 On maturity, 18th June, 2003 Annually- 26th June
N.A.
MP/PICICIMF/1 to 10
N.A.
MO/SCMF/1 to 20
None
Annually-27th June
None
On Maturity 27th June, 2003 On Maturity 27th June, 2003 On Maturity 2nd July, 2003 On Maturity 2nd July, 2003 On maturity, 7th July, 2003
N.A.
N.A.
N.A
N.A.
N.A.
Put/Call: N.A.
MX/HDFCBL/1-10
On maturity, 8th July, 2003 On maturity, 8th July, 2003 On maturity, 8th July, 2003
N.A.
LI/SFCMF/1-5
N.A.
LK/HSBCMF/1-10
Put/Call: N.A.
MY/HDFCBL/1-10
Annually-31st December None 2002 & 7th December 2003 On Maturity 15th July, 2003 On Maturity 15th July, 2003 On maturity, 1st August, 2003 On maturity, 1st August, 2003 N.A.
Interest
HC/PICICIMF/1-2
N.A.
N.A.
NB/KMMF/1-10
NG/HSBCIMF/1-5
On maturity, 1st August, Put & Call: N.A. 2003 On maturity, 4th August, 2003 On maturity, 6th August, 2003 Put & Call: N.A.
NE/PICICIMF/1-10
NPICICIMF/1-10
ND/PICICIMF/1to 15
N.A.
On maturity, 1st October, N.A. 2003 On maturity, 3rd October, N.A. 2003 On maturity, 6th October, Put & Call: N.A. 2003 On Maturity 5th Nov 2003 On Maturity 12th Nov 2003 On maturity, 24th December, 2003 On maturity, 26th December, 2003 Put/Call: N.A.
ON/SCMF/1-20
OQ/HDFCBL/1-10
PP/HDFC/1-10
PR/IDBIMF/1-10
On maturity, 6th January, Put & Call:Daily 2004 On maturity, 20th January, 2004 On maturity, 27th January, 2004 Annually- 16th February Put & Call: N.A.
QN/HDFCBL/1-10
QP/HDFCBL/1-10
None
PU/BMF/1-10
On maturity, 19th March, Put & Call: N.A. 2004 On maturity, 22nd March, Put & Call: N.A. 2004 On maturity, 2nd April, 2004 On maturity, 2nd April, 2004 On maturity, 2nd April, 2004 On maturity, 3rd April, 2004 On maturity, 3rd April, 2004 On maturity, 7th April, 2004 On maturity, 7th April, 2004 Annually - 14th May Put & Call:Daily N.A.
PW/HSBC/1-5
PS/IDBIMF/1-10
MT/IDBIMF/1
N.A.
Put/Call: N.A.
N.A.
N.A.
Put/Call: N.A.
None
None
N.A.
N.A.
On maturity - 08th June,. Put & Call.A. 2004 On maturity, 8th June, 2004 On maturity, 24th June, 2004 Annually on 26th June N.A.
NH(1)/KMCC/1-25
N.A.
NY/IDBIMF/1-7
None
On maturity, 28th June, 2004 On maturity, 1st July, 2004 On maturity, 2nd July, 2004 On maturity, 20th Sept, 2004 On Maturity 9th November 2004 On Maturity 9th November 2004 On maturity, 2nd December, 2004 On maturity, 2nd December, 2004 On maturity, 9th December, 2004
N.A.
OM/AMF/1-15
NX/KMCC/1-15
TS/PICICIMF/1-200
QX-2/KMMF/1-5
QX-1/KMMF/1-5
RH/KMF/1-5
RG/KMF/1-5
RM/IDBIMF/1-5, RN/IDBIMF/1-5
NH(2)/KMCC/1-25
N.A.
N.A.
On maturity, 10th December, 2004 On maturity, 13th December, 2004 On maturity, 22nd December, 2004 On maturity, 14th January, 2005 On maturity, 4th April, 2005 Annually, 10th April
RO/AMF/1 to 10
RP/HSBCMF/1-25
RR/I/PICICIMF/1 to 25
RZ/PMF/1-5
SV/PMF/1-100
NL/IDBIMF/1-5
N.A.
Annually, 10th June, Put & Call: N.A. 2004 & on maturity, 10th April, 2005 Annually, 10th June, N.A. 2004 & on maturity, 10th April, 2005 On maturity, 6th May, 2005 Annually, 7th May Put & Call: N.A.
NI/INGVBL/1-10
N.A.
SR/KMF/1-100
NC/PICICIMF/1-20
N.A.
Annually, 13th November Put: N.A. & on maturity, 13th May, 2005 Annually- 20th May Put & Call: N.A.
QY/PICICIMF/1-25
NJ/HDFCBL/1 - 17
N.A.
NH(3)/KMCC/1-25
N.A.
N.A.
Annually, 24th December Put & Call: N.A. & on maturity, 24th June, 2005 Annually 5th July Annually 5th July Annually, 7th July Put & call : 5th July, 2004 Put & call : 5th July, 2004 Put & Call: N.A.
RR-II/PICICIMF/1-25
GT/UTIBL/1/(1 to 20)
N.A.
OP/PICICIMF/1-20
Annually, 8th December & on maturity, 8th July, 2005 Half Yearly16th February & 16th August Half Yearly 18th July & 18th January
RK/PICICIMF/1-25
N.A.
HU/UTIBL/1 to 20
HD/SFCMF/1-2
N.A.
Half Yearly Put/Call : 31st Jan, 2004 HI/CBMF/1 to 5 11th January & 11th July Half Yearly Put/Call : 31st Jan, 2004 N.A. 11th January & 11th July Annually, 1st August Put & Call: N.A. OZ/UTIBL/1-25
NS/UT0I/1-25
N.A.
N.A.
PI/HSBCMF/1-20
Half Yearly 28th Februay & 28th November Half Yearly 18th March & 18th September Half Yearly 3rd April & 3rd October Half Yearly 3rd April & 3rd October Annually - 15th October 2004 & 15th October 2005. Annually, 15th October
N.A.
IG/UTIBL/1- 20
N.A.
N.A.
N.A.
IQ/UTIBL/1-24
N.A.
N.A.
QJ-1/TAIMF/1-5
QJ-2LICMF/1-15
Half Yearly 23rd April & 23rd October Half Yearly 23rd April & 23rd October
N.A.
IY/UTIBL/1-20
N.A.
N.A
Half Yearly N.A. 25th April & 25th October Annually 25th October Put/Call : 25th October, 2004
IZ/UTIBL/1to 15
JA/FIMF/1to 5
Half Yearly N.A. 25th April & 25th October Annually 25th October Put/Call : 25th October, 2004
N.A
N.A
RB/LICMF/1-15
QZ/DSPMF/1-20
Annually 21st Nov Annually 21st Nov Annually- 26th March 2005 & 27th March 2006
Put & Call - 21st November, 2004 Put & Call - 21st November, 2004 Put & Call: N.A.
JM/IDBIMF/(1 - 5)
N.A
SX/BMF/1-150
Half Yearly, 24th Put & Call: N.A. September & 24th March 1st March, 2005 & on Put & Call: N.A. maturity, 10th April, 2006
SW/PMF/1 to 100
SP/HSBCMF/1-25
TH/SCB/1-250
Half Yearly, 31st Oct & 30th April Annually, 4th July
TL/PICICIMF/1-500
N.A.
OO/UTIBL/1-25
RU-1/LICMF/1-15
OR/UTIBL/1-25
OY/UTIBL/1-50
PJ/DSPMF/1-25
QI-1/UTIMF/1-25
QI-2/UTIMF/1-25
QV/UTIBL/1-25
RT/DSPMMF/1-25
UC/DMF/1-400
TG-2/SCB/601 to 1350
TG-1/SCB/1 to 600
TJ/KB/1 to 250
TI/IL&FSMF/1-100
Half Yearly, 3rd Nov & 3rd May Half Yearly, 28th December & 28th June Annually 7th July
TN/DSPMLMF/1-500
TR/SCB/1-600
TT/SCB/1-250
SemiAnnually 7th Jan & 7th July Half Yearly, 28th Jan & 28th July Half Yearly 28th Sept & 28th March
On matuirty, 10th June, 2003
TZ / DSPMLL / 1-500
UD/SCB/1-250
N.A
AAA/MML/1 (1 to 4)
MM/HDFCBL/1-10
N.A.
N.A.
MK/SMF/1-20
N.A.
ML/TMF/1 to 10
Daily
38005172 to 38005173
On maturity 25th Sept, 2002 On maturity 26th Sept, 2002 On Maturity 14th June 2004 On Maturity 14th June 2004 On maturity, 14th July, 2004 On maturity, 14th July, 2004 On maturity, 19th July, 2004 On maturity, 11th Oct, 2004 On maturity, 15th October, 2004 On maturity, 19th May, 2004 On Maturity 18th June 2004 On maturity, 6th May, 2004 On maturity, 13th May, 2004
Daily
38005225 - 38005230
N.A.
38005231 to 38005232
001 - 020
001 to 040
001 to 013
001 to 040
001 to 025
001 to 018
001-008, 001-010
001 to 020
001 to 030
On maturity, 13th May, 2004 On maturity, 4th June, 2004 On maturity, 19th July, 2004 Half Yearly 31st Jan & 31st July
N.A.
N.A.
On maturity, 4th Put & Call:Daily November, 2003 or at the time of exercise of Put/Call Optionat the time Put & Call:Daily On maturity or of exercising Put/Call Option On Maturity or at the time put/call exercised On maturity, 26th December, 2003 or on exercise of Put & Call/Call Option Annually 16th January Annually 24th August Put & Call: N.A. Put/Call:Daily
N.A.
N.A.
NA
N.A.
N.A.
001-170
Annually 14th Feb Quarterly 30th Sept 31st Dec 31st March, Quarterly 30th June 30th Sept 31st Dec
N.A.
Put & call30th June, 2002 Available to Company and to the Bank 03rd September, 2002 Cert No. 10075001 to 10825000
Quarterly30th June, 30th September 31st December & 31st Quarterly 30th Sept 31st Dec 31st March, Quarterly 30th Sept 31st Dec 31st March, On maturity 21st January, 2003 On maturity 19th February, 2003 On maturity 25th February, 2003 On maturity 13th March, 2003 On maturity 17th March, 2003 On maturity 26th March, 2003 On maturity, 8th August, 2003
N.A.
105/(8575001 - 9575000)
Put/Call : 11325001 to 11825000 30th Oct, 2002 30th Jan, 2003 30th Apr, Available to the 9575001 to 10075000 Put/Call : 2003 Company and to the Bank (At the end of 18 months N.A. N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 14th August, Put & Call: N.A. 2003 On maturity, 14th August, Put & Call: N.A. 2003 On maturity, 5th September, 2003 N.A.
N.A.
N.A.
N.A.
N.A
Put/Call : Rs. 31-Oct-03 1076.41 31-Mar-04 1109.92 Quarterly, 19th Aug, 2003 30-Sep-04 1151.66 of Put & Call:At the end 17th Nov, 2003, 15th every 90 days ie, 19th Feb, 2004 & 15th May, Aug, 2003, 17th Nov, 2004 2003, Call:2nd Sept, 1st 2nd Sept, 1st Oct, 30th Put & 15th Feb, 2004 & Oct, 27th Nov, & 25th Dec, 2003, 22nd Jan, 2004, 19th 17th Oct, 14th 19th Sept, Feb,2004, Nov, & 12th Dec, 2003, 9th Jan, 6th Feb, 5th Mar, 2nd Apr,Oct, 28th 1st Oct, 31st 30th Apr, Nov,26th Dec, 2003, 23rd Jan, 20th Feb, 19th Mar, 16th Apr, 14th March2004 Annually-21st May,
165 to 184 Oct, 30th Oct, 27th Nov, 25th Dec, 2003, 22nd Jan,& Call:19th Sept, Put 2004, 19th 185 to 204 17th Oct, 14th Nov,12th Dec, 2003, 9th Jan, 6th Feb, 5th Mar, 2nd Apr, Put & Call:1st Oct, 31st 205 to 224 Oct, 28th Nov,26th Dec, 2003, 23rd Jan, 20th Feb, 19th Mar, 16th Apr, Dist No.:1 to 14000 Put/Call-21st March, 2005. Notice period :at least 30 days prior notice to the Put/Call-21st March, 2005. Notice period :at least 30 days prior notice to the N.A. Cert No. : 04 to 28 Dist Nos : 1500021 to 1500045 N.A. N.A.
Annually-21st March
Annually 07th February Annually -on 15th November Annually -on 15th November Annually -on 15th February Annually -on 15th February Half Yearly, 25th Aug & 25th Feb
N.A.
N.A.
N.A.
1 to 9000
N.A.
N.A.
N.A.
Half Yearly 1st February & 1st August Half Yearly, 1st Aug & 1st February Half Yearly 1st February & 1st August Annually 1st February Annually 1st February Annually 1st February Annually 1st March Annually-01st March
N.A
N.A.
N.A.
N.A
N.A.
N.A
N.A.
37653
N.A.
37653
N.A.
N.A
N.A.
Put & call-01st April, 2003 Put & call-04th April, 2003 Put & call-22nd March, 2003 Put & call-01st April, 2003 N.A.
N.A.
Annually-01st March
Annually-01st March
Annually-01st March
Annually-01st March
N.A.
N.A.
N.A.
Half Yearly 1st February & 1st August Annually 1st March Half Yearly 1st February & 1st August Annually 1st March Half Yearly 1st February & 1st August Annually, 1st February
N.A
N.A.
N.A.
N.A.
N.A.
N.A
N.A.
N.A.
N.A.
N.A
N.A.
Annually 17th September Put & Call:17th April NA 2005 (To be exercised on or before 17th March, 2005) N.A. Annually 38384 1st February Annually 1st February Annually, 15th March 38384 N.A.
N.A.
Put & Call:15th March, N.A. 2005 (to be exercised on or before 15th February, 2005) Call:15th June, Put & N.A. 2005 (to be exercised on or before 15th May, 2005) Call:16th March, Put & N.A. 2005 (to be exercised on or before 16th February, 2005) Call:18th March, Put & N.A. 2005 (to be exercised lon or before 18th February, 2005) Call:19th April, Put & N.A. 2005 (to be exercised on or before 19th March, 2005) Call:27th April, Put & N.A. 2005 Put & Call:29th April 2005 Put & Call:30th April, 2005 NA
N.A.
N.A.
N.A.
Half Yearly, 01st August & 01st February Annually 1st March Annually 1st March Half Yearly 1st February & 1st August Annually, 1st Jan
N.A.
N.A.
N.A.
N.A.
Put/Call: N.A.
N.A.
N.A.
Annually-1st February
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 31st March & 30th Sept Half Yearly 30th Sept & 31st March Half Yearly 31st March & 30th Sept Half Yearly 30th Sept & 31st March Half Yearly 31st March & 30th Sept Half Yearly 30th Sept & 31st March Half Yearly 31st March & 30th Sept Annually 31st March Annually 31st March Annually 31st March Annually 1st April Annually 1st April Annually 1st April
Dist Nos : 984 to 986 1176 to 1566 1767 to 2838 Put/Call : 30th April, 2003 1567 to 1766 Dist Nos : 2839 to 4228 Put/Call : 14th May, 2003 Put/Call : 20th May, 2003 Put/Call : 1st July, 2003 Dist Nos : 4259 to 4264
Put/Call : 31st Mar, 2004 Dist Nos : 4529 to 8146 8185 to 9028 8147 to 8186 Put/Call : 31st Mar, 2004 Dist Nos : 8740 to 9028
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April
Annually, 1st April
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April Annually 1st April
N.A.
N.A.
N.A.
N.A.
Put/Call : 31st May, 2005 N.A. Put Option at discount of 1% Put/Call : 31st May, 2005 N.A. & 31st May, 2006 Put/Call : 30th June, N.A. 2005 Put Option at discount of 1% Put/Call : 30th June, N.A. 2005 Put & call-31st July, 2002 N.A. Put option at a discount of 1% Put & call-31st July, 2005 N.A.
Put/Call : 31st August, N.A. 2005 Put Option at discount of 1% Put/Call : 31st August, N.A. 2005 Put/Call : 30th N.A. September, 2005 Put Option at discount of 1% Put/Call : 30th N.A. September, 2005 Put/Call : 31st October, N.A. 2005 Put Option at discount of 1%
N.A.
N.A.
N.A.
Annually 1st April Annually 1st April Annually 1st April Annually 1st April Yearly-01st April
30th December, 2005, N.A. Put Option at discount of 1% 30th December, 2005 N.A.
31st January, 2006, Put N.A. Option at discount of 1% 31st January, 2006 N.A.
Put/Call-three years from As per annexure. the date of allotment Put/Call-three years from As per annexure. the date of allotment Put/Call-three years from As per annexure. the date of allotment Put/Call-three years from As per annexure. the date of allotment Put/Call-three years from As per annexure. the date of allotment Put/Call-three years from As per annexure. the date of allotment
Yearly-01st April
Yearly-01st April
Yearly-01st April
Yearly-01st April
Yearly-01st April
Yearly-01st April
Put/Call-three years from As per annexure. the date of allotment Put/Call-three years from As per annexure. the date of allotment Put/Call-three years from As per annexure. the date of allotment Put/Call-three years from As per annexure. the date of allotment
Yearly-01st April
Yearly-01st April
Yearly-01st April
Half Yearly N.A. 22nd Feb & 22nd August Half Yearly 31st Mar & 30th Sept Half Yearly 13th June & 13th Dec Half Yearly 26th Mar & 26th Sept Half Yearly 25th Feb & 25th Aug Half Yearly 25th Feb & 25th Aug Half Yearly, 25th February & 25th August Half Yearly 9th Jan & 9th July Half Yearly 22nd Mar & 22nd Sept N.A.
N.A.
Put/Call : 26th March, 2003 Put/Call : 25th August, 2003 Put/Call : 25th August, 2003 Put & Call: N.A. B/00001 to B-09000
N.A.
N.A.
N.A.
Half Yearly 6th Mar & 6th Sept Half Yearly 28th Jan & 28th July Half Yearly 21st June & 21st December Half Yearly 24th Mar & 24th Sept Semi--Annually28/29th Feb & 31st Aug Semi--Annually28/29th Feb & 31st Aug Annually -1st February
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 1st February Quarterly 15th Mar 15th June, 15th Sept & 15th Dec Monthly 1st Dec, 2002 & 1st January, 2003
N.A.
N.A
000001 to 300000
0001 to 300000
Quarterly 14th Mar, 14th June, 14th Sept & 14th Dec Quarterly 15th Mar, 15th June, 15th Sept & Quarterly 15th Mar, 15th June, 15th Sept- & Annually 01st January
N.A
000001 to 300000
N.A
000001 to 300000
N.A
000001 to 300000
N.A.
1 -29/(1 - 22850)
1 -13305
Annually - 01st Aptil Annually 01st July Annually 01st July Annually 13th September Annually 13th September Annually 15th February Annually-15th February
N.A.
N.A.
N.A.
1 -20030
N.A.
N.A.
N.A.
1 - 16600
N.A.
N.A.
N.A.
2067274
N.A.
N.A.
1 to 17440
Annually-28th March
N.A.
Annually 16th October Annually 16th October Annually 16th October Annually 16th October Semi Annually01st Jan & 01st July Semi Annually01st Jan & 01st July Half Yearly 31st May & 30th November On maturity14th March, 2003
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & call- DailyHDFC 291 to HDFC305 Exercisable by giving one days notice before 2.00 p.m. (T + 1 business On maturity 27th Daily H1 - H50 March,2002 Exercisable by either party at any time after 60 On maturity- 29th March, days subject to Notice by HDFC 21 - HDFC 55 Put/Call Exerciseable of 2002 either party, on after 25.03.2002 with a notice period of one day On maturity 30th Daily HDFC1 - HDFC 20 March,2002 On maturity - 30th June 2002 Exercisable by either party at any time subject to Notice of One Put & call- DailyHDFC 1 to HDFC 50 Exercisable by either party at any time subject to notice of one business
On maturity 30th July, 2002 On maturity -13th September, 2002 On maturity 27thSeptember, 2002 On maturity-25th October, 2002 On maturity-27th October, 2002 On maturity-8th November,2002 On maturity-22nd November,2002 On maturity-27th November,2002 On maturity-02nd December,,2002 On maturity 020th December,2002 On maturity 27th December,2002 On maturity 27th December,2002 On maturity - 13th January, 2003
Exercisable by either HDFC 51 - HDFC 100 party, at any time subject to Notice of One (1) business day (T + 1 Daily HDFC 101 - HDFC 110 Exercisable by either party at any timesubject to Notice of one(1) Daily HDFC 111 - HDFC 150 Exercisable by either party at any time subject to Notice of one(1) Put & call- DailyJ1 to J15 Exercisable by giving one J16 to J35 days notice before 2.00 p.m. (T +Exerciseable by HDFC151 to HDFC 180 Put/Call : 1 business either party at any time subject to notice of one business day toT+1 basis) N.A. Daily-subject ( the notice of 1 business day( T +1 basis) for exercise of option.Provided the notice R1 - R10 Daily-subject to notice is of 1 business day( T +1 S16 - S20 basis) for exercise of SF1 - SF5 option.Provided the notice S21-S25 notice is Daily-subject to of 1 business day( T +1 basis) for exercise of option.Provided the notice A1-A10 Daily-subject to notice is of 1 business day( T +1 basis) for exercise of option.Provided notice is B11 - B20 Put & call - daily( subject to the notice of 1 business day(T + 1 basis) for exercise of option. Daily 1)Rs.30 Crs Subject to Notice of One B 21 - B 50 Business day ( T+1 2) Rs.20Crs basis) for exercise of S 26 -SF 45 Daily SF6 - S 10 Subject to Notice of One Business day ( T+1 basis) call-exercise of Put & for DailyJ36 - J50 Exercisable by giving one day notice before 2.00 p.m. (T + 1 business day)
On maturity 17th January, 2003 On maturity- 20th January, 2003 On maturity 21st Jan, 2003 On maturity 21st Jan, 2003 On maturity 22nd January, 2003 On maturity - 28th January, 2003 On maturity - 06th February, 2003 On maturity - 13th February, 2003 On maturity 18th February, 2003 On maturity 28th February, 2003 On maturity- 2nd March, 2003 On maturity- 2nd March, 2003 On maturity - 4th March, 2003
Put & call- DailyK21 to K35 Exercisable by giving one days notice before 2.00 p.m. (T + 1 business day) RMF1 -RMF25 Daily-subject to notice of 1 business day( T +1 T 31 - T 35 basis) for exercise of option.Provided notice is HDFC201 to HDFC 225 Put & call- DailyExercisable by giving one day notice before 2.00 p.m.& call- DailyPut (T + 1 business day) HDFC151 to HDFC 200 Exercisable by giving one day notice before 2.00 p.m. (T + 1 business day) B 124 - B133 Daily Exercisable by giving one days notice before 2 p.m.call- DailyPut & (T +1 business
B51 - B60
Exercisable by giving one day notice before 2.00 p.m.& call- DailyPut (T + 1 business day) T36 - T40 Exercisable by giving one day notice before 2.00 p.m.& call- DailyPut (T + 1 business day) K6 - K10 Exercisable by giving one day notice before 2.00 p.m.& call- DailyPut (T + 1 business day) J 63 - J 87 Exercisable by giving one day notice before 2.00 p.m.& call- DailyPut (T + 1 business day) HDFC226 - HDFC240 Exercisable by giving one day notice before 2.00 p.m. (T + 1 business day) HDFC241 to HDFC 250 Put/Call : Daily Exerciseable by giving one day Notice before 2 p.m. (T +1 business day) HDFC251 to HDFC 275 Put/Call : Daily Exerciseable by giving one day Notice before 2 p.m.& call- DailyPut (T +1 business day) A1 - A10 Exercisable by giving one day notice before 2.00 p.m. (T + 1 business day)
On maturity14th March, 2003 On maturity 25th March, 2003 On maturity 1st April, 2003 On maturity - 3rd April 2003 On maturity - 4th April 2003 On maturity - 11th April 2003 On maturity-16th April, 2003 On maturity 30th April, 2003 On maturity 1st May, 2003 On maturity 7th May, 2003 On maturity 13th May, 2003 On maturity 15th May, 2003 On maturity 7th June, 2003
Put & call- DailyHDFC 276 to HDFC290 Exercisable by giving one days notice before 2.00 p.m. (T +Daily. Put/Call : 1 business HDFC 306 to HDFC 330 Exercisable by giving one days notice before 2.00 p.m. ( T+1) business day HDFC 331 to HDFC 355 Put/Call : Daily. Exercisable by giving one days notice before 2.00 p.m.& call- DailyPut ( T+1) business day R1 to R15 Exercisable by giving one days notice before 2.00 p.m.& (T + 1 business Put call- DailyA1 to A15 Exercisable by giving one days notice before 2.00 p.m.& (T + 1 business Put call- DailyT1 to T15 Exercisable by giving one days notice before 2.00 p.m.& (T + 1 business Put call- DailyT16 to T25 Exercisable by giving one days notice before 2.00 p.m.& (T + :1Daily Put call business HDFC 356 to HDFC 380 Exercisable by giving one day notice before 2.00 p.m. (T + 1 business day) B1 to B 10 Daily Exercisable by giving one days notice before 2 p.m. (T +1 business Daily Exercisable by giving one days notice before 2 p.m. (T +1 business Daily Exercisable by giving one days notice before 2 p.m. (T +1 business Daily Exercisable by giving one days notice before 2 p.m. (T +1 business Daily Exercisable by giving one days notice before 2 p.m. (T +1 business A 16 to A 20 B 11 - B 30
K 1 - K 10
T 26 - T 35
B 31 - B 43
On maturity-01st July, 2003 On maturity-01st July, 2003 On maturity - 03rd July, 2003 On maturity 16th July, 2003 On maturity-23rd July, 2003 On maturity-29th July, 2003 On maturity-1st August, 2003 On maturity-1st August, 2003 On maturity - 05th August, 2003
Daily - Put & call -subject to Notice of one(1) Business day(T +1 Daily - Put & call -subject to Notice of one(1) Business day(T +1 Put & call- Daily-
T 43 - T 75
S 1 - S 10
A21 - A25 Exercisable by giving one day notice before 2.00 p.m. (T + 1 business day) T 76 - T 83 Daily Exercisable by giving one days notice before 2 p.m.call- DailyPut & (T +1 business C 1 to C 5 Exercisable by giving one days notice before 2.00 p.m.& (T + 1 business Put call- DailyR41 to R45 Exercisable by giving one days notice before 2.00 p.m.& (T + 1 business Put call- DailyT84 to T113 Exercisable by giving one days notice before 2.00 p.m.& (T + 1 business Put call- DailyIL1 to IL8 Exercisable by giving one days notice before 2.00 p.m.& (T + 1 business Put call- DailyB74 to B93
Exercisable by giving one day notice before 2.00 p.m.& Call:Daily, Monthly, at the end of Put (T + 1 business day) HDFC1 to HDFC10 every month starting 31st Exercisable by giving one May, 2003 days notice before 2.00 p.m.& call- business day) K11 - K15 On maturity - 14th Put (T+1 DailyAugust, 2003 Exercisable by giving one day notice before 2.00 p.m.& Call:DailyMonthly-at the end of Put (T + 1 business day) HDFC 11 - HDFC 25 each month starting from exercisable by giving one 31.05.2003 day notice before 2.00 P.M. (T +1 business day) HDFC 26 - HDFC 50 Monthly- at the end of Put & Call:Dailyevery month starting from exrecisable by giving one 31st May, 2003. day notice before 2.00 P.M.(T + 1 business day)
Put & call- DailyID 1 to ID 5 Exercisable by giving one day notice before 2.00 p.m.& Call:Daily, Monthly at the end of Put (T + 1 business day) HDFC 51 to HDFC 90 every month starting 31st Exercisable by giving one May, 2003 days notice before 2.00 p.m. (T+1 business day) S 11 - S 15 On maturity 2nd Sept, Daily 2003 Exercisable by giving one days notice before 2 p.m. (T +1 business On maturity-5th Put/Call : Daily. ID 6 to ID 10 September, 2003 On maturity, 12th September, 2003 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put ( T+1) business day TATA 1 to TATA 10 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily - day) HDFC 91 - HDFC 100 Put (T+1 business HDFC 101 - HDFC 115 ID 11 to ID 15
Monthly - at the end of every month.First interest exercisable by either payment-31st Aug. party giving 1 day notice On maturity-3rd October, before 2.00 p.m. (T+1) Put/Call : Daily Put/Call 2003 On maturity 08th October, 2003 On maturity, 10th October, 2003 On maturity, 15th October, 2003 On maturity 21st October, 2003 On maturity, 24th October, 2003 On maturity, 28th October, 2003 Exerciseable by giving one days notice before beforecall- DailyPut & 2 p.m. (T+1
ST26 - ST40
Exercisable by giving one day notice before 2.00 p.m.& Call:Daily, Put (T + 1 business day) IDBI1 to IDBI20 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 Business day) A31 to A 45, B156 to Exercisable by either party by giving one day notice call- Daily- p.m. Put & before 2.00 B165
ID16 - ID20 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T + 1 business day) SBI 26 to SBI 35, TATA 6 Exercisable by either to TATA 20 party by giving one day notice Call:Daily, p.m. Put & before 2.00 DSP 6 to DSP 20 Exercisable by either party by giving One Day notice before 2.00 p.m.
Put & call- DailyExercisable by giving one day notice before 2.00 p.m.& Call:Daily Put (T + 1 business day) exercisable by either party giving 1 day notice beforeCall:Daily, (T+1) Put & 2.00 p.m. Exercisable by either party by giving one day notice call- Daily- p.m. Put & before 2.00
On maturity, 7th November, 2003 On maturity 8th November, 2003 On maturity 8th November, 2003 On maturity, 11th November, 2003 On maturity, 14th November, 2003 On maturity 15th November, 2003 On maturity, 17th Nov, 2003 On maturity, 19th November, 2003 On maturity 22nd November, 2003 On maturity, 25th November, 2003 On maturity 26th November, 2003
IDBI 21 to IDBI 30
ID 21 - ID30
Exercisable by giving one day notice before 2.00 p.m.& call- DailyPut (T + 1 business day) J51 - J62 Exercisable by giving one day notice before 2.00 p.m.& Call:Daily, Put (T + 1 business day) IL 46 to IL 65 Exercisable by either party by giving one day notice Call:Daily, p.m. Put & before 2.00 Exercisable by either party by giving one day notice call- Daily- p.m. Put & before 2.00
IDBI 31 to IDBI 35
T 1 to T 15 Exercisable by giving one IL9 - IL18 day notice before 2.00 p.m.& Call:Daily, Put (T + 1 business day) T 116 to T 125, IL 66 to Exercisable by either party by giving one day notice Call:Daily, p.m. Put & before 2.00 Exercisable by either party by giving one day notice call- Daily- p.m. Put & before 2.00 IL 70 IL 71 to IL 90
ST 56 - ST 65 Exercisable by giving one day notice before 2.00 p.m.& Call:Daily, Put (T + 1 business day) K26 to K40 Exercisable by either party by giving one day notice before 2.00 p.m. J 88 to J 112 Put/Call : Daily. Exercisable by giving one days notice before 2.00 p.m. ( T+1) business day
on Maturity
On maturity 19th Dec, 2003 On maturity 24th Dec, 2003 On maturity 24th Dec, 2003 On maturity 27th December,2003 On maturity 01st January, 2004 On maturity, 2nd January, 2004 On maturity 3rd January, 2004 On maturity-10th January, 2004 On maturity-10th January, 2004 On maturity - 15th January, 2004 On maturity - 15th January, 2004 On maturity, 16th January, 2004
Put & Call:Daily, Exercisable by either party by giving one day notice before 2.00 p.m. Put/Call : Daily.
B166-B170
DSP1 to DSP 25 Exercisable by giving one days notice before 2.00 p.m. ( T+1) business day A 26 to A 35 Put/Call : Daily. Exercisable by giving one days notice before 2.00 p.m. ( T+1) business day J 113 - J 122 Put/Call : Daily. Exercisable by giving one days notice before 2.00 p.m. ( T+1) business day T 114 to T 123 Put/Call : Daily. Exercisable by giving one days notice before 2.00 p.m. ( T+1) business day SBI 1 to SBI 5 Put/Call : Daily. Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put ( T+1) business day IL91 to 100 Exercisable by either party by giving one day notice before 2.00 p.m. Put/Call : Daily. ST 66 to ST 75 Exercisable by giving one days notice before 2.00 p.m. ( T+1) business day ID 56 to ID 70 Put/Call : Daily Put/Call Exerciseable by giving one days notice before before 2 :p.m. (T+1 Put/Call Daily Put/Call K 61 to K 70 Exerciseable by giving one days notice before beforecall- DailyPut & 2 p.m. (T+1
IL19 to IL28 Exercisable by giving one J123 to J137 day notice before 2.00 p.m.& call- DailyPut (T + 1 business day) J138 to J162 Exercisable by giving one day notice before 2.00 p.m.& Call:Daily, Put (T + 1 business day) K41 to K55 Exercisable by either party by giving one day notice before 2.00 p.m. TATA 21 to TATA 45 IDBI 36 to IDBI 60 B 171 to B 195
On maturity - 17th January, 2004 On maturity 17th January, 2004 On maturity 22nd January, 2004 On maturity 27th January, 2004 On maturity 29th January, 2004 On maturity 30th January, 2004 On maturity 30th January, 2004 On maturity 31st January, 2004 On maturity 4th February, 2004 On maturity 7th February, 2004 On Maturity, 21st February, 2004
On matuirty, 4th March, 2004
Put & call- DailyT134 to T158 Exercisable by giving one day notice before 2.00 p.m. (T + 1 business day) B134 to B138 Put/Call : Daily. Exercisable by giving one days notice before 2.00 p.m.& call- DailyPut ( T+1) business day R46 toR 55 Exercisable by giving one B139 to B153 day notice before 2.00 p.m. (T + 1 business day) T159 to T163 Put/Call : Daily. Exercisable by giving one C16 to C20 days notice before 2.00 p.m.& call : Daily Put ( T+1) business day J163 to J172 Exercisable by giving one day notice before 2.00 p.m.& call 1 Daily Put (T + : business day) ID 71 to ID 95 Exercisable by giving one day notice before 2.00 p.m.& call 1 Daily Put (T + : business day) B 154 to B 163 Exercisable by giving one day notice before 2.00 p.m. (T + 1 business day) T164 to T173 Put/Call : Daily. Exercisable by giving one days notice before 2.00 p.m.& call- DailyPut ( T+1) business day J 173 to J 177 Exercisable by giving one day notice before 2.00 p.m. (T + 1 business day) J178 to J 179 Put/Call : Daily Exercisable by giving one days notice before 2.00 p.m.& call- Daily, Put ( T+1) business day J180 to J204 Exerciseable by giving one days notice before 2.00 callPut &p.m. (T+1 business
Daily, Exerciseable by giving one days notice before 2.00 p.m. (T+1
J205 to J214
On maturity, 12th March, Put & Call:Daily, 2004 Exercisable by either party by giving one day Notice before 2.00 p.m.
B196 to B210
On maturity, 3rd April, 2004 On maturity, 4th April, 2004 On maturity 6th April 2004 On maturity, 7th April, 2004 On maturity, 8th April, 2004 On Maturity 8th April 2004 On maturity, 9th April, 2004 On maturity, 13th April, 2004 On Maturity 15th April 2004 On maturity, 16th April, 2004 On maturity, 17th April, 2004 On maturity, 19th April, 2004 On maturity, 21st April, 2004
Put & call-Daily SC1 to SC25 Exercisable by giving one day notice before 2.00 p.m. (T + 1 business day) T1 to T25 Put/Call:Daily, Exercisable by giving one days notice before 2.00 p.m.& Call:Daily Put (T+1 business day) HDMF 1 - HDMF 15 excercisable by either party by giving one day notice before 2.00 p.m. Put/Call :Daily,
IL1 to IL15
Exercisable by giving one days notice before 2.00 p.m. (T+1 business day) T26 to T50 Put/Call :Daily, Exercisable by giving one days notice before 2.00 p.m.& Call:Daily , day) HSBC 1 - HSBC 15, Put (T+1 business excercisable by either party by giving one day notice before 2.00 Put/Call:Daily, HDMF 16- HDMF 30 C1 to C5, IL26 to IL35, CB1 to CB10, A1 to A10, B1 to B15
Exerciseable by giving one days notice before 2.00& Call:Daily, Put p.m. (T+1 Business HSBC16 to HSBC 20, exercisable by either HSBC21 to HSBC 30, party by giving one day A46 to A65, B211 to notice Call:Daily p.m. before 2.00 B235 31- HSBC 40 Put & HSBC excercisable by either party by giving one day notice before 2.00 pm by J1 to J20 Put:Daily, Exercisable giving one days notice before 2.00 p.m.(T+1) business day Put:Daily, Exerciseable J21 to J40 by giving one days notice before 2.00 p.m. (T+1) business day) Put & SBI 36 to SBI 40 Call:Daily,exercisable by either party by giving one day & Call:Daily, 2.00 Put notice before HSBC41 to HSBC 45 exercisable by either party by giving one day notice before 2.00 p.m. SBI 41 to SBI 45
On maturity, 22nd April, 2004 On maturity, 24th April, 2004 On maturity, 28th April, 2004 On maturity, 28th April, 2004 On maturity, 30th April, 2004 On maturity, 2nd May, 2004 On maturity, 7th May, 2004 On maturity, 10th May, 2004 On maturity, 10th May, 2004 On maturity, 11th May, 2004 On maturity, 12th May, 2004 On maturity, 12th May, 2004 On maturity, 25th May, 2004
Put/Call:Daily, B26 to B50, R1 to R15 Exercisable by giving one days notice before 2.00 p.m.& call:Daily, Put (T+1) business day J41 to J50 Exercisable by giving one days notice before 2.00 p.m. Call:Daily, Put (T+1 business day) K1 to K10 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 Business day) B236 to B250 Exercisable by either party by giving one Day notice Call:Daily, p.m. Put & before 2.00 P1 to P5 exercisable by either party by giving one day notice Call:Daily, p.m. Put & before 2.00
B51 to B75
Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 business day) T51 to T60 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 Business day) B76 to B80 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 business day) T61 to T65 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 business day) HDMF31 to HDMF35 exercisable by either party by giving one day notice Call:Daily, p.m. Put & before 2.00
B81 to B100 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 business day) T66 to T85 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 business day) ING1 to ING10 Exercisable by giving one days notice before 2.00 p.m. (T+1 business day)
On maturity, 31st May, 2004 On maturity, 1st June, 2004 On Maturity 01st June 2004 On Maturity 02nd June 2004 On maturity - 03rd June, 2004 On maturity, 9th June, 2004 On maturity, 14th June, 2004 On maturity, 21st June, 2004 On maturity, 2nd July, 2004 On maturity, 7th July, 2004 On maturity, 9th July, 2004 On maturity, 12th July, 2004 On maturity, 14th July, 2004
Put & Call: Daily, SC26 to SC50 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 business day) CB11 to CB25 Exercisable by giving one days notice before 2.00 p.m.& Call:Excercisable B251- B255 Put (T+1 business day) Daily by either party by giving one day notice beforeCall:Excercisable Put & 2.00 p.m. (T+1) daily by either party by giving one day notice beforeCall:Daily - (T+1) Put & 2.00 p.m.
B 256 - B 265
J51 - J65
exercisable by giving one day notice before 2.00 p.m.& Call:Daily, Put (T + 1 business day) K11 to K 20, SBI 16 to Exercisable by giving one SBI 25 days notice before 2.00 p.m.& Call:Daily, Put (T+1 business day) B101 to B110 Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 business day) HSBC1 to HSBC 25, Exercisable by giving one B111 to B145 days notice before 2.00 p.m.& Call:Daily, Put (T+1 business day) Can 1 to Can 20 Exercisable by either party by giving one day notice Call:Daily, p.m. Put & before 2.00
B146 to B155 Exercisable by giving one days notice before 2.00 p.m.& Call:DailyPut (T+1 business day) B1 to B10 Exercisable by either party by giving one day notice Call: Daily, p.m. Put & before 2.00 IL 36 to IL 45 Exercisable by giving one days notice before 2.00 p.m & Call:Daily, day) C6 to C10 Put (T+1 business Exercisable by giving one days notice before 2.00 p.m. (T+1 business day)
On maturity, 15th July, 2004 On maturity, 19th July, 2004 Quarterly 30th March, 30th June 30th September & Quarterly, 30th March, 30th June, 30th Sept & 31st Dec Quarterly 30th March, 30th June 30th September & Quarterly, 30th March, 30th June, 30th Sept & 31st Dec On maturity, 3rd September, 2004 On maturity, 29th Sept, 2004 On maturity, 1st Oct, 2004
Put & Call:Daily, Exercisable by either party by giving one day notice Call:Daily, p.m. Put & before 2.00 exercisable by either party by giving one day notice before 2.00 p.m. N.A
N.A
Put & Call : Daily, Exercisable by either party by giving one day notice Call:Daily, Put & before 2.00 Exercisable by either party by giving one day notice Call:Daily, p.m. Put & before 2.00
T1 to T10
P1 to P10, Can 21 to Can 35, D41 to D65 R1 to R15, JM1 to JM25, T11 to T45, Can 36 to Can50 B11 - B40 R 16-R40 D 66 -D80 P1 to P20 K11 to K30 1 to 10, 1 to 10
Exercisable by either party by giving one day On Maturity 19th October notice Call:Daily p.m. Put & before 2.00 2004 excercisable by either party by giving one day notice Call:Daily, p.m. On maturity, 12th July, Put & before 2.00 2004 Annually, 26th May exercisable by either party by giving one day notice Call: N.A. p.m. Put & before 2.00
11 to 25, 11 to 25
26 to 35, 26 to 35
On the exercise of Put/Call option or on maturity interest would be paid. Annually on maturity.
Annual or on the exercise of Put/Call option or maturity Annual or on the exercise of Put/Call option or maturity N.A.
to be allotted
To be allotted
DB001 to DB005
on maturiy-27th Put & callJune,2003 or on exercise 27th December, 2002 of put/call option On maturity-01st July, 2003 or on exercise of put/call option Put & call 27-Sep-02 31-Dec-02 Annually on the exercise 01-Apr-03 At the end of Put/ Call of Put/Call option or on one year from deemed maturity interest would be date of allotment i.e. on paid. 26.07.2002 On maturiy-26th Put & callSept,2003 N.A.
To be allotted
To be allotted
N.A.
N.A.
N.A.
NA01 NA036
N.A.
C0000001 to C0025000
Half Yearly 30th June & 31st Dec Half Yearly 30th June & 31st Dec Half Yearly 30th June & 31st Dec Annually 31st Dec Half Yearly 22nd Aug & 22nd Feb Half Yearly 30th Sept & 31st March Half Yearly 22nd Aug & 22nd Feb Half Yearly 01st June & 01st December Half Yearly 01st August & 01st February Half Yearly 13th May & 13th Nov Half Yearly 6th Sept & 6th March Annually on September 1st Annually on September 1st
Put/Call : 5th February, 2001 Put/Call : 27th March, 2001 Put/Call : 30th March, 2001 Put/Call : 1st January, 2005 N.A.
D0000001 to D0000400
E0000001 to E0002050
F0000001 to F0005000
N.A.
Dist Nos : 117536 to 119367 LOA Nos : 2 to 10 12 to 12 : 115023 to Dist Nos 115127 115129 to 117833 117835 to 119368 to Dist Nos : 118182 125997 LOA Nos : 23 to 40 : 1 to 777 Dist Nos
N.A.
Buyback option at par after 01-Dec, 01 on every 781 to 972 interest payment date 975 to 1073 LOANos :. 100001 to Buyback option at par Dist Nos after 01-Feb, 02 on every 100367 interest payment date 100368 to 103028 Put/Call Option at par on LOANos : 100001 to Dist Nos 13th Nov, 2002 N.A. 104230 LOA Nos : 1 to 14 17 to 18 : 101001 to Dist Nos 101010 LOA Nos : 1 to 10 None 1-2000
None
1-2000
N.A.
1 to 6 1 to 2000 N.A.
N.A.
Dist No.-S7/000001 to S7/700000 Cert No. 1 Dist Nos : 001 to 60,00,000 N.A.
Quarterly 31st Mar, 30th June 30th Sept & 31st Dec Quarterly 31st Mar, 30th June 30th Sept & 31st Dec Annually, 27th June
N.A.
N.A.
Quarterly31st March, 30th June, 30th September & 31st Ddecember Quarterly31st March, 30th June, 30th September & 31st Ddecember N.A.
Put: N.A. Call:On the expiry of 3 years from the date of allotment ie 27th June, Put -14-Mar-03
0001 to 0075
1 to 2500
Put-12-Jun-03
2501 to 4000
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
1 to 350
N.A.
N.A.
N.A.
1/(01 -04)
Monthly 2nd of every month Monthly 12th of every month Half yearly. 30th June & 30th December
Put/Call : Daily with effect 001 to 005 from date of issue Put/Call : Daily with effect 006 to 010 from date of issue 10th June, 2004 0001-00025
Every month end. First interest Y payment on 31st March, 2003 Daily, Exerciseable by giving one days notice before 2.00 p.m. (T+1 business day)
PHL1 to PHL10
Monthly at the end of Put & Call:Daily Put/Call P1- P10 every month starting from Excercisable By Giving 30th September 2003 One Day's Notice before Half Yearly-28th March & 2.00 p.m. (T+1) business 20630001 to 20630022 NA 28th September. 20640001 to 20640025 20680001 to 20680011 20660001 to 2066065 Half Yearly-19th June & NA 20510000 to 19th December Half Yearly in March and NA September Half Yearly on 29th Sep and 29th March Put and Call Option on 29/03/2001 20540000 to20540002 20670001 to 20670194 Refer Annexure
Refer Annexure
Half Yearly on 29th Sep and 29th March Half Yearly on 29th Sep and 29th March Half Yearly on 29th Sep and 29th March Half Yearly on 29th Sep and 29th March Half Yearly-30th April & October
Put and Call Option on 06/05/2003 Put and Call Option on 04/06/2001 Put and Call Option on 05/07/2001 Put and Call Option on 25/07/2001 NA
Refer Annexure
Refer Annexure
Refer Annexure
Refer Annexure
1 to 10000/(21000001 21000001) Dist Nos : 1 to 10000 LOA Nos : 21000001 to 21000001 Refer Annexure
Half yearly N.A 30th April & 30th October Half Yearly on 10th Aug and 10th Feb Half Yearly on 10th Aug and 10th Feb Half Yearly on 10th Aug and 10th Feb Put and Call Option on 10/02/2002 Put and Call Option on 10/03/2002 Put and Call Option on 10/04/2002
Refer Annexure
Refer Annexure
Half Yearly in March and Put and Call Option on September 13/11/2002 Half Yearly in March and Put and Call Option on September 18/11/2002 Half Yearly-2ndDecember & June NA
Refer Annexure
Refer Annexure
1 to 5000/(1 - 50)
N.A.
N.A.
Annually-4th January
Put & Call Both 4.1.2005 00000001 to 00028100/(40000001 TO 40000017) Put/Call : 4th Jan, 2005 Dist Nos : 00000001 to 00028100 LOA Nos : 40000001 to 40000017 to 00000001 00001946/(50000001 TO 50000014) Dist Nos : 00000001 to 00001946 LOA Nos : 50000001 to 50000014 to 00001947 00002516/(50000015 TO 50000016)
Annually-14th March
Put & Call Both 14.3.2005 Put/Call : 14th March, 2005 Put & Call Both 29.3.2005 Put/Call : 29th March, 2005
Dist Nos : 00001947 to 00002516 LOA Nos : 50000015 to Put & Call Both 1.6.2005 50000016 to 00000001 00007078/(60000001 TO 60000010) Put/Call : 1st June, 2005 Dist Nos : 00000001 to 00007078 LOA Nos : 60000001 to 60000010 to Put & Call Both 00007079 23.6.2005 00011478/(60000011 TO 60000017) Dist Nos : 00007079 to 00011478 LOA Nos : 60000011 to 60000017 to 00000001 00010259/(71000001 TO 71000025) Dist Nos : 00000001 to 00010259 LOA Nos : 71000001 to 71000025
Put/Call : 23rd June, 2005 Put & Call Both 12.10.2005 Put/Call : 12th October 2005
Annually-1st November
00000001 to 00011016/(72000002 TO 72000034) Dist Nos : 00000001 to 00011016 LOA Nos : 72000002 to 72000034 to 00000001 00048200/(73000001 TO 73000472)
Annually-10th November Put & Call Both 10.11.2005 Annually 10th Nov
Put/Call : 10th November Dist Nos : 00000001 to 2005 00048200 LOA Nos : 73000001 to 73000472 to Annually-20th November Put & Call Both 00000001 20.11.2005 00041902/(74000001 TO 74000253) Annually 20th Nov Put/Call : 20th November Dist Nos : 00000001 to 2005 00041902 LOA Nos : 74000001 to 74000253 Annually 23rd November N.A. N.A.
Annually-9th January
Put & Call Both 9.1.2006 00000001 to 00045175/(80000001 TO 80000308) Put/Call : 9th January 2006 N.A. Dist Nos : 00000001 to 00045175 LOA Nos : 80000001 to 80000308 Dist.No.(F-0900001 to F1000000) N.A. N.A.
Annually 9th Jan Half Yearly 06th June & 6th Dec Annually-31st July
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Half Yearly 04th Feb & 4th Aug Half Yearly 22nd Feb &22nd Aug Half Yearly 06th June & 6th Dec
N.A.
N.A.
N.A.
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Half Yearly 04th Feb & 4th Aug Half Yearly 22nd Feb &22nd Aug Half Yearly 06th June & 6th Dec
N.A.
N.A.
N.A.
N.A.
Half Yearly 27th Oct & 27th April Annually, 17th July
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Half Yearly 04th Feb & 4th Aug Half Yearly 22nd Feb &22nd Aug Half Yearly 06th June & 6th Dec
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 27th Oct & 27th April Annually, 17th July
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Half Yearly 04th Feb & 4th Aug Half Yearly 22nd Feb &22nd Aug Half Yearly 06th June & 6th Dec
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 27th Oct & 27th April Annually, 17th July
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Annually-31st July
N.A.
N.A.
Half Yearly 04th Feb & 4th Aug Half Yearly 22nd Feb &22nd Aug Half Yearly 06th June & 6th Dec
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Quarterly - 30th June, 2003 & 25th August, 2003 Quarterly, 30th Sept, 2003 & on maturity, 26th November, 2003 Quarterly 31st March 30th June 27th August Quarterly 30th Sept, 30th Dec & 18th Feb, 2003 Annually 15th May Annually, 15th May
Put & Call:Daily Cert No.:1; Dist No. BPNexercisable by giving one 1. day notice before 2.00 p.m.& Call: N.A. Put (T + 1 business day) 1, BPN
N.A
Cert No. 1 Dist Nos : BPN-1 Cert No. 1 Dist Nos : BPN-1 1 to 4500
N.A
N.A.
N.A.
1 to 8000
NA
N.A.
N.A.
N.A
N.A
Cert No. : 300001 to 300695 Dist Nos : 389909 to 789772 : 500001 to Cert No. 500078 Dist Nos : 795773 to 819772 : 400001 to Cert No. 400128 Dist Nos : 789773 to 795772
N.A
Half Yearly, 20th March & Put & Call: N.A. 20th Sept Half Yearly, 16th May & 16th Nov Put & Call: N.A.
Half Yearly, 26th Feb & 26th Aug Half Yearly, 14th June & 14th Dec Annually, 31st Dec
1 to 43, 1 to 8054
Annually, 31st December Put & call30th March,2004 Annually, 31st December Put & call19th April, 2004 Annually, 30th Sept Put & Call:30th December, 2004
1 to 101, 1 to 3458
Annually, 30th September Annually, 30th September Annually, 30th September Annually, 30th September Annually, 30th September
Put & Call:28th February, 102, 3459 to 5958 2005 Put & Call:30th March, 2005 Put & Call:30th May, 2005 Put & Call:29th September, 2005 Put & Call:30th December, 2005 103 to 113, 5959 to 6190
1 to 218, 1 to 6562, 220 to 367, 10063 to 14937, 368 to 374, 6563 to 10062 01 to 2000
On maturity, 17th October, 2003 On maturity, 19th December, 2003 On maturity, 29th December, 2003 On maturity, 2nd January, 2004
2001 to 2015
2016 to 2030
Put: N.A.
2031 to 2040
2041 to 2050
On maturity, 25th March, Put & Call: N.A. 2004 On Maturity 4th August 2004 Half Yearly, 1st June & 1st December Quarterly, 23rd June, 22nd Sept, 19th Dec & 22nd March Quarterly, 23rd June, 2003, 22nd Sept, 2003, 19th December, 2003 & 22nd March, 2004 on On put/Call date or maturity, 1st July, 2004 On maturity, 2nd July, Put/Call:2nd January, 2004 or on Put/Call Date 2004 On put/Call date or on maturity, 1st July, 2004 On maturity, 20th January, 2005 Put/Call :2nd January, 2004 Put & Call: N.A. Put & Call : N.A.
2051 to 2065
2066-2080
01 to 1500
Put & call23rd June, 2003 Put & call22nd September, 2003 Put/Call:Daily
01 to 45
01 to 30
01 to 130
01 to 40
01 to 10
01 to 250
On Maturity 10th May 2005 On maturity, 20th May, 2005 On maturity, 20th July, 2005 Semi Annually 5 th November & 5th May Monthly -on 18th
01-200
01 to 500
01 to 700
01-100
01 to 50
On Maturity (24th April, 2002) On maturity21st May, 2002 On Maturity (24th May, 2002) On Maturity (24th June, 2002) 5th July, 2002
N.A
01 to 05
N.A
01 to 10
N.A
01 to 05
N.A
01 to 05
N.A.
01 to 05
N.A.
N.A.
None
01 to 30
N.A.
01 to 10
N.A.
N.A.
On maturity-18th Put & Call -Daily Sep,2002 or on exercise of put/call option On maturity -20th Put & Call - 21st September,2002 or on January,2002 exercise of put/call option Quarterly. First interst payment due on 26/12/2001 Quarterly-26th December,26th arch, 26th une & 26th September On Maturity 27th Sept, 2002 On redemption or on put/call date On redemption or on put/call date On Maturity (14th Oct, 2002) Quarterly (Jan 15, 2002, April 15, 2002 JulyMaturity & 14th On 15, 2002 (17th Oct, 2002) On Maturity Put & call- 22nd April, (23rd Oct, 2002)/On 2002 put/call option (22nd April 2002 At maturity(30th Put/Call-28th October,2002)/on February,2002 put/call( 28th February,2002) None
01 to 15
01 to 20
N.A
None
N.A
29th July, 2002 01 to 50 In the event of Exercise of Put/Call Option on such date, 8th April 2002 put/call on the
None
N.A.
None
N.A.
None
N.A.
N.A.
01 to 35
Put/Call-28th February,2002
N.A.
Put/Call-06th May,2002 maturity(4thNovember,20 02)/on put/call( 6th May,2002) At maturity(4th Put/Call-06th May,2002 November,2002)/on put/call( 6th May,2002) 11th November, 2002 or Put or Call 10th May, entirely on Put/Call date 2002 ie on 10th May, 2002 On maturity-12th Put & Call -30th November,2002 or on April,2002 exercise of put/call option On maturity-12th Put & Call -30th November,2002 or on April,2002 exercise of put/call option On 22nd Feb,2002 & 22nd Nov, 2002 On 22nd Feb,2002 & 22nd Nov, 2002 N.A.
01 to 10
N.A.
N.A.
01 to 05
N.A.
N.A.
N.A.
N.A.
On maturity-25th put & call - 24th November,2002 or on May,2002 exercise of put/call option On maturity-25th put & call - 24th November,2002 or on May,2002 exercise of put/call option On maturity-27th put & call - 26th November,2002 or on June,2002 exercise of put/call option On maturity-27th put & call - 26th November,2002 or on June,2002 exercise of put/call option On maturity-28th November,2002 None
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity-28th November,2002 On Maturity (12th December, 2002) or on Put/ Call Option ie on 25th May & 13th December Half Yearly 14th June, & 13th December Half Yearly (19th June & 18th December)
None
N.A.
01 to 35
01 to 15
N.A.
01 to 15
On maturity -18th Put & call - 18th of every 01 to 50 Dec,2002 or on exercise month of put or call option On maturity -2oth Put & call -21-Jun-02 Dec.2002 or on eexercise of put or call option 0n 21st Yearly Half June,2002 N.A. (04th July & 02nd January) 8th of every month commencing from 8th Feb, 2002 On maturity10th January, 2003 On maturity10th January, 2003 Half yearly 24th July, 2002 & 24th Jan, 2003 On maturity or on Put/Call 01 to 15
01 to 25
Put & call - 08th of every 01 to 05 month(on interest payment dates. Till 11 months) N.A. N.A
N.A.
N.A.
01 to 10
Daily
01 to 05
01 to 40
01 to 25
On maturity 14th Feb, 2003 On maturity 17th Feb 2003 or on put/Call (26th March, 2002) On maturity
17th Feb, 2003
N.A.
N.A.
N.A.
01 to 35
On maturity 17th Feb 2003 or on put/Call (26th March, 2002) On maturity 17th Feb, 2003 On maturity 19th Feb 2003 or on put/Call (12th April, 2002) On maturity 19th Feb 2003 or on put/Call (12th April, 2002) On maturity 26th February, 2003 On maturity 26th Feb 2003 On maturity 26th February, 2003 On maturity 26th Feb 2003
N.A.
N.A.
N.A.
12-Apr-02
01 to 06
12-Apr-02
N.A.
N.A
N.A
N.A
01 to 20
N.A
N.A.
N.A
N.A.
On Put/Call &/or maturity Daily 7th Mar, 2003 On Put/Call &/or maturity Daily 7th Mar, 2003 On maturityDaily 14th March or on Put/Call date Quarterly 31st March, 30th June 30th September & Quarterly 31st March, 30th June 30th September & On maturity14th March or on Put/Call date On maturityPut/Call : every 10 days 17th March or on Put/Call date On maturityPut/Call : every 10 days 17th March or on Put/Call date On maturity21st March. 2003 or on Put/Call date On maturity21st March. 2003 or on Put/Call date Put/Call :on 20th June, 2002 Put/Call :on 20th June, 2002 N.A
N.A.
01 to 50
N.A
N.A.
Daily
N.A.
01 to 29
N.A.
01 to 05
N.A.
On maturityPut/Call :on 25th June, 26th March. 2003 or on 2002 Put/Call date (25th June, 2002) On maturityPut/Call :on 25th June, 26th March. 2003 or on 2002 Put/Call date (25th June, 2002) On maturityPut/Call :N.A 2nd April, 2003
N.A
N.A.
N.A
On maturity2nd April, 2003 On maturity3rd April. 2003 or on Put/Call date On maturity3rd April. 2003 or on Put/Call date On Maturity 4th April, 2003 On maturity4th April. 2003 or on Put/Call date On Maturity 4th April, 2003 On maturity4th April. 2003 or on Put/Call date On maturity14th April, 2003
Put/Call :N.A
N.A.
Daily
N.A
Daily
N.A.
N.A
01 to 10
Daily
N.A
N.A
N.A.
Daily
N.A.
Daily
N.A
On maturityDaily 14th April, 2003 or on the put/call date On maturity2nd May, 2003 or on put/call date On maturity2nd May, 2003 or on put/call date On maturity or on Put/Call Option On maturity or on Put/Call Option Daily
N.A.
01 to 30
Daily
N.A.
Daily
01 to 15
Daily
N.A.
On maturity 16th May, 2003 or on Put/Call Option Date On maturity 16th May, 2003 On maturity 16th May, 2003 or on Put/Call Option Date
Put/Call : 17th of every month Put/Call - 17th November, 2002 Put/Call : Daily after 17th June, 2002
01 to 40
01 to 15
01 to 3
On maturity 16th May, 2003 or on Put/Call Option Date On maturity 16th May, 2003 On maturity 16th May, 2003 or on Put/Call Option Date On maturity02nd June, 2003 or on put/call date On maturity02nd June, 2003 or on put/call date On maturity date 6th June, 2003 or on Put/Call Date 6th Sept, 02, 6th Dec, 02 & 6th Mar, 2003 On maturity date 6th
N.A.
N.A.
Put/Call : Daily after 17th N.A. June, 2002 Put & Call -30th Nov,2002 Put & Call -30th Nov,2002 01 to 25
N.A.
Put & call -06th Sept, 02, 01 to 10 6th Dec, 02 & 6th Mar, 2003
Put & call -06th Sept, 02, N.A. June, 2003 or on Put/Call 6th Dec, 02 & 6th Mar, Date 6th Sept, 02, 6th 2003 Dec, 02 & 6th Mar, 2003 N.A. Annually -18th December 01 to 03
N.A.
N.A.
01 to 25
On maturity 1st July, 2003 On maturity 4th July, 2003 On maturity 4th July, 2003 Quarterly 10th Oct, 2002 8th Jan, 2003, 8th April, 2003 & on Quarterly 10th Oct, 2002 8th Jan, 2003, 8th April, 2003 & on Half yearly 4th August, & 4th Feb On maturity date 1st Sept, 2003 On maturity date 1st Sept, 2003 On Put/Call or on maturity17th Sept, 2003 On Put/Call or on maturity17th Sept, 2003 On Put/Call or on Maturity ie 6th October, 2003 On Put/Call or on Maturity ie 6th October, 2003 On Put/Call or on maturity date 20th October, 2003
N.A.
N.A.
N.A.
01 to 15
N.A.
N.A.
Put & call 10th Oct, 2002 8th Jan, 2003 & 8th April, 2003 Put & call 10th Oct, 2002 8th Jan, 2003 & 8th April, 2003 N.A
01 to 20
N.A.
01 to 05
N.A.
01 to 15
N.A.
N.A.
01 to 50
N.A.
Put/Call : Daily
01 to 50
Put/Call : Daily
N.A.
Daily
01 to 60
On maturity 20th October, 2003 On Put/Call or on maturity date 20th October, 2003 On maturity 20th October, 2003
N.A.
01 to 33
Daily
N.A.
N.A.
N.A.
On maturity Daily 21st October, 2003 or on Put/Call Date On maturity Daily 21st October, 2003 or on Put/Call Date First Interest period : 29th October, 2002 to 28th April, 2003 First Interest period : 29th October, 2002 to 28th April, 2003 Annually on 07th November. N.A.
N.A
N.A.
01 to 55
N.A.
N.A.
Put/Call-07th November,2002
01 to 10
Annually on 07th Put/Call-07th November. Or on put/call November,2002 (07th November, 2002) On maturity 10th November, 2003 On maturity 10th November, 2003 12th November, 2002 & 12th November, 2003 or entirely on Put Call date ie on 12th On maturity 14th November, 2003 or on Put/ Call date N.A.
N.A.
01 to 25
N.A.
N.A.
N.A.
01 to 60
On maturity 14th November, 2003 or on Put/ Call date On maturity 19th November, 2003 On maturity 19th November, 2003 On Put/Call or on Maturity ie 24th November, 2003 On maturity 27th November, 2003 or on Put/Call Date : 28th May, February, 2003, 28th 2003 28th May, 2003 & 28th August, 2003 On maturity 27th November, 2003 On maturity 27th November, 2003 or on Put/Call Date On maturity 27th November, 2003 or on Put/Call Date ie on 28th February, 2003 On maturity 27th November, 2003 or on Put/Call Date : 28th May, February, 2003, 28th 2003 28th May, 2003 & 28th August, 2003 On maturity 27th November, 2003 On maturity 27th November, 2003 or on Put/Call Date
Daily
N.A.
N.A.
01 to 25
N.A.
N.A.
Put/Call : Daily
01 to 15
Put/Call : 28th February, N.A. 2003, 28th May, 2003 & 20th August, 2003 N.A. 01 to 50
Put/Call : 28th February, N.A. 2003, 28th May, 2003 & 20th August, 2003 N.A. N.A.
On maturity 2nd December, 2003 On maturity 2nd December, 2003 On Maturity ie 4th December, 2003 or on Put/Call Date On Maturity ie 4th December, 2003 or on Put/Call Date On Put/Call or on maturity9th Dec, 2003 On Put/Call or on maturity9th Dec, 2003 On Put/Call or on maturity23rd Dec, 2003 On Put/Call or on maturity23rd Dec, 2003 On maturity 26th December, 2003 or on Put/Call Date On maturity 26th December, 2003 or on Put/Call Date
N.A.
01 to 50
N.A.
N.A.
Put/Call : Daily
01 to 40
Put/Call : Daily
N.A.
01 to 20
N.A.
01 to 30
N.A.
Daily
01 to 50
N.A.
On maturity Daily 6th February, 2004 or on Put/Call On maturity Put & Call -Daily 6th February, 2004 or on Put/Call On maturity, 3rd April, 2004 Put/Call: N.A.
01 to 60
N.A.
01 to 63
On maturity, 02nd June, 2004 or on put/call date On maturity, 14th June, 2004
01 to 10
01 to 25
On put/Call Date or Put & Call:Daily maturity, 15th June, 2004 On maturity, 18th June, 2004 N.A.
01 to 25
On Put/Call date or Put & Call:2nd January, maturity, 08th July, 2004 2004 On Put/Call date or Put & Call:2nd January, maturity, 13th July, 2004 2004
01 to 25
01 to 25
On Put/Call date or on Put & Call:Daily, subject 01 to 65 maturity, 19th July, 2004 to a notice period of T+1 business day prior to 2.00 On Put/Call Date ie 2nd p.m.& Call:2nd January, 01 to 250 Put January, 2004 or on 2004 maturity 20th July, 2004 On Put/Call Date ie on Put & Call:21st January, 21st Jan, 2004 or on 2004 matuirty, 21st July, 2004 On maturity,10th Aug, Put & Call:Daily 2004 or on Put/Call Date Half Yearly 13th Feb & 13th Aug Half Yearly 13th Feb & 13th Aug N.A. 01 to 150
01 to 40
01 to 50
N.A.
N.A.
On maturity, 25th August, Put & Call:Daily 2004 or on Put/Call date (Daily)
01 to 75
On maturity,08th Sept, Put & Call:Daily 2004 or on Put/Call Date On maturity, 13th October, 2004 On maturity, 18th October, 2004 Put & Call: N.A.
01 to 450
01 to 500
01 to 250
On Put/Call ie Daily or on Put & Call:Daily maturity, 26th October, 2004 On Put/Call ie Daily or on Put:Daily maturity, 1st November, 2004 On Put/Call ie daily or on Put:Daily maturity, 8th November, 2004 On Put/Call or on Put & Call:19th May, maturity, 17th November, 2004 2004 Annually18th November Annually18th November Half Yearly, 18th May & 18th November N.A.
01 to 500
01 to 1300
01 to 500
01 to 100
01 to 35
N.A.
N.A.
01 to 700
Half Yearly, 31st May, Put & Call:31st May, 2004 & 30th November, 2004 2004 Half Yearly, 23rd June, 2004 & 24th December, 2004 Half Yearly, 2nd July, 2004 & 3rd Jan, 2005 Put & Call:23rd June, 2004 Put & Call: N.A.
01 to 500
01 to 500
01 to 600
Half Yearly, 6th July & 6th January Half Yearly, 12th July, 2004 & 10th January, 2005 On maturity, 28th January, 2005 or on exercise of Put/Call Option On put/call date or on maturity, 3rd February, 2005 On put/Call date or on maturity, 4th February, 2005 Annually 18th February Annually 18th February On Put/Call or on maturity, 18th February, 2005 Annually 19th February Annually 19th February On put/Call or on maturity, 23rd February, 2005 1stperiod:27th May,2004,2nd period : 27th Aug,2004,3rd period:25th or on On put/Call Nov, maturity, 28th February, 2005
01 to 100
01 to 250
01 to 1000
Put & Call:5th May, 2004, 01 to 500 5th Aug, 2004, 5th Nov, 2004 & 3rd Feb, 2005 Put & Call:6th August, 2004 N.A 01 to 200
01 to 15
N.A
N.A.
01 to 350
01 to 25
N.A
N.A.
Put & Call:25th August, 2004 Put & Call:25th November, 2004 Put & Call:1st September, 2004
01 to 500
01 to 500
01 to 300
N.A
01 to 20
N.A
N.A.
On maturity, 30th March, Put & Call:Daily 2005 or on Put/Call 1st Int payment date : 1st Put & Call: N.A. October, 2004 & 2nd int payment date : 1st Apr, 2005 On maturity, 4th April, Put & Call:Daily 2005 or on Put/Call On maturity, 15th April, 2004 or on Put/Call Option On maturity, 20th April, 2005 On Maturity 30th May 2005 On Maturity 31st May 2005 Annually 17th June Annually 17th June On maturity, 24th June, 2005 or on exercise of Put/Call Option Annually 30th July Put & Call:Daily
01 to 500
01 to 750
01 to 750
N.A.
01 to 250
01 - 1000
01 - 800
N.A.
01 to 5
N.A.
N.A.
01 to 250
N.A.
01 to 40
Annually 30th July Half Yearly 9th March & 9th Sept Half Yearly 9th March & 9th Sept Half Yearly 29th June & 29th December Annually 2nd May Annually 2nd May
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
01 to 1
N.A.
01 to 10
N.A.
N.A.
After every 182 days from Put/Call : 18th July, 2005 01 to 60 the deemed date of allotment After every 182 days from Put/Call : 18th July, 2005 N.A. the deemed date of allotment Half Yearly ie on 29th Jan & 29th July Half Yearly ie on 29th Jan & 29th July Half Yearly 30th Jan & 30th July Half Yearly 30th Jan & 30th July On Maturity (24th April, 2002) Put/Call : 29th July, 2005 01 to 30
N.A
NA
On Maturity (24th May, 2002) On Maturity (24th June, 2002) 5th July, 2002
N.A
NA
N.A
NA
N.A.
NA
On Maturity 27th Sept, 2002 On Maturity (12th December, 2002) or on Put/ Call Option ie on 25th May & 13th December Half Yearly (19th June & 18th December)
29th July, 2002 In the event of Exercise of Put/Call Option on such March, 2002 11th date, the
NA
NA
NA
NA
On maturity -20th Put & call -21-Jun-02 Dec.2002 or on exercise of put or call option 0n 21st Yearly Half June,2002 N.A. (04th July & 02nd January) 8th of every month commencing from 8th Feb, 2002 Half yearly 24th July, 2002 & 24th Jan, 2003
NA
NA
Put & call - 08th of every NA month(on interest payment dates. Till 11 months) 25th July 02 Put/Call NA
On maturity or on Daily exercise of put/Call daily On maturity 12th February, 2003 or on put/Call i.e. on 13th Aug 02. 13th August, 2002
NA
NA
Half yearly 4th August, & 4th Feb Annually 11th September Half Yearly 1st April & 1st Oct Quarterly30th June, 30th September 31st December & Quarterly30th June, 30th September 31st December June, Quarterly - 30th & 30th September, 31st December, 31st March Half Yearly 30th Sept & 31st March Half Yearly 30th Sept & 31st March On maturity, 17th May, 2004
N.A
NA
N.A.
Cert No. 1 Dist Nos : 1 to 2500000 Cert No. 1 to 325 & Dist Nos : 000001 to 325000 1/(1 - 2500000)
N.A.
N.A.
N.A.
F. No. 378 12.25/1 4028101 to 4528100 F. No. 391 12.25/1 4528401 to 4528600
Put :At the expiry of 180 16 to 25 days from issue date with 15 days notice Quarterly, 31st Mar, 30th Call & N.A. N.A. Put : Call: 1 to 15 June, 31st Dec & on maturity, 20th May, 2004 5th April, 2005 and on maturity, 23rd September, 2005 Put:23rd August, 2005 with a notice of one month On maturity -22nd March, Call: N.A. N.A. 2002 On maturity -24th May, 2002 N.A. 01 to 100
0000001 -0500000
On maturity -31st May, 2002 On maturity 07th June, 2002 On maturity 17th June 2002
N.A.
HDFC BK 1 Dist Nos 2000001 to 2500000 KMLF1 000001 TO 1000000 BOA1 Dist Nos : 1 to 2000000 RLF1 Dist Nos : 1 to 1500000 PRUICICI Dist Nos : 1 to 1000000 RLF2 1000001 TO 2000000 PRUICICI 1 1000001-2000000 KMLF1 1000001 TO 2000000 SBIMF1 000001 TO 1000000 PRUICICIMF2 000001 TO 1000000 HDFCB K1/(000001 2000000 KMLF1 2000001 to 3000000 KMLF1 Dist Nos : 3000001 to 4000000
N.A.
N.A.
On maturity 15th July 2002 On maturity 19th July 2002 On Maturity (03-09-02) On maturity 06th September, 2002 On maturity 11th Sept, 2002 On maturity 13th Sept, 2002 On maturity-23rd September, 2002 On maturity 4th October, 2002 On maturity 15th November, 2002
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity 20th Nov, 2002 On Maturity 9th December, 2002 On Maturity 11th December, 2002 On maturity 1st January, 2003 On maturity 6th January, 2003 On maturity 29th January, 2003 On maturity 12th February, 2003 On maturity 14th February, 2003 On maturity 28th February, 2003 On maturity 3rd March, 2003 Annually 6th January On Maturity (18th February, 2002) On Maturity 4th December, 2002)
N.A.
RLF1 500001 TO 1500000 HDFCBK1000001 to 2000000 RILMF000001 to 2000000 KMLF1 4000001 TO 5000000 Cert No. BMF1 Dist Nos : 000001 to 1000000 BMF1 1000001 TO 2000000 HDFCCBK1 2000001 to 3500000 PRUICICI1 000001 TO 1000000 BMF 2 000001 TO 1000000 RLF2 000001 TO 1000000
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
At the end of 3 years 0001 TO 5000 from the deemed date of allotment N.A. IDBI MF1 0000001 to 1000000 TMF1 000001 to 1000000
N.A.
NA
NA
76-768
NA
1-400
NA
1-167
NA
NA
1-110
NA
NA
1-110
NA
NA
1-110
NA
NA
1-110
NA
NA
1-110
NA
NA
1-110
NA
NA
1-110
NA
1-100
NA
1-100
NA
1-115
NA
116-165
NA
166-200
NA
1-100
NA
1-100
N.A.
N.A.
ON maturity 19th October, 2002 On maturity 23rd October, 2002 On maturity 24th Nov, 2002 On maturity 2nd Dec, 2002 On maturity-25th December, 2002 On maturity-01st J anuary, 2003
Daily
Dist Nos : 1 to 50
Put & call- Daily at par Dist Nos : 1 to 35 from the date of allotment At par Daily from the date DNR Nos : 1 to 250 of allotment At par Daily from the date DNR Nos : 1 to 315 of allotment Daily - at par DNR Nos : 1 to 85
Daily - at par
On maturity 8th January, At par after 75 days from DNR Nos : 1 to 50 2003 the date of allotment On maturity 13th January, 2003 At par Daily from the date DNR Nos : 1 to 150 of allotment
On maturity 13th January, 2003 On maturity 15th Jan, 2003 On maturity 3rd Feb, 2003 On maturity 10th Feb, 2003 On maturity 3rd March, 2003 On maturity-7th April, 2003 On maturity- 29th April, 2003 On maturity 30th July, 2003
At par after 75 days from DNR Nos : 1 to 200 the date of allotment At par Daily from the date DNR Nos : 1 to 75 of allotment At par Daily from the date DNR Nos : 1 to 200 of allotment At par Daily from the date DNR Nos : 1 to 200 of allotment At par Daily from the date DNR Nos : 1 to 300 of allotment At Par after 80 days from DNR Nos : 1 to 2550 the deemed date of allotment Put & call - Daily at Par DNR Nos : 1 to 15000 from the date of allotment Daily Put/Call Option Dist Nos : 1 to 5000
On maturity, 20th Oct, Put & Call:Daily 2003 or at the exercise of Put/Call Option Annually 20th May Annually 20th May Annually on 1st March N.A.
1 to 10000
N.A.
N.A.
N.A
NA
N.A
NA
Semi annually on 2nd June & 22nd December Annually on 11th July
N.A
NA
N.A
NA
N.A
NA
Annually 7th Aug Annually 7th Aug Annually 18th May Annually 18th May Annually - 19th June
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put option - at the end of DNR Nos : 1 to 1000 365 days from the date of allotment I.e. on 19th June, 2003- with 30 days N.A. Put option at the end of 365 days from the date of allotment I.e. on 19th June, 2003 with 30 days DNR Nos : 1 to 1000 N.A.
N.A.
N.A.
Put option - at the end of DNR Nos : 1 to 1000 365 days from the date of allotment I.e. on 02nd July, 2003 - at the end of N.A. Put option with 30 days 365 days from the date of allotment I.e. on 02nd July, 2003 with 30 days
Annually 19th July Annually 19th July Half Yearly 9th February & 9th August Half Yearly 9th February & 9th August
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 13th July Annually 15th March Annually 15th March N.A.
N.A
001 -050
N.A
N.A
LOA-1, 1 to 1496100
Semi Annually1st January & 1st July Half Yearly 1st January & 1st July
N.A.
N.A.
N.A.
N.A.
(1 TO 1842)
N.A.
N.A.
(1 TO 306)
N.A.
N.A.
(1 TO 2481)
N.A.
N.A.
(1 TO 420)
N.A.
N.A.
(1 TO 404)
N.A.
(1 TO 2500)
N.A.
N.A.
01-510563
Quarterly, on 1st Put & Call:On or before January, 1st April,1st July 06.03.2006 and 1st October Quaterly on 15th January,15th April, 15th july, 15th October NA Put & Call:On or before 09.03.2006 Put:On or before 26.01.2007 Put & Call:On or before 06.03.2007 Put & Call:On or before 09.03.2007
01-510563
01-510563
01-510563
NA
01-510563
NA
01-510563
Half Yearly 31st Mar & 30th Sept Half Yearly 2nd June & 2nd December Half Yearly 29thSept & 29th March
N.A.
N.A
Cert No. 11686 Dist Nos : 1 to 558508 559009 to 650727 950728 to 1319701 Cert No. 1201 to 1210, 1401 to 2009, 2301 to 2699, 2901No.400001 to Cert to 2918 400003, 500001 to 500051, 600001 to 600137 Cert No. 6001 to 6150, 7001 to 7049 Cert No. 400001 to 400150, 500001 to 500297 NA
N.A
Half Yearly N.A 27th July & 27th January Half Yearly 27thSept & 27th March On Redemption / excercise of Put / Call option On redemption / excercise of Put / Call option On maturity, 29th July, 2004 or on exercise of Put/Call Option N.A
NA
N.A.
On maturity, 13th August, Put & Call : Daily 2004 or on exercise of Put/Call option Half Yearly 17th May & 17th November Half Yearly 22nd May & 22nd November Half Yearly 23rd July & 23rd January Half Yarly25th March & 25th September N.A
N.A.
Cert No. , 500001 to 500550, 600001 to 600389 Cert No. 4001 to 4150, 5001 to 5057 Cert No. 600001 to 600200 Cert No. 700001 to 700200
N.A
N.A
N.A
Half Yarly26th May & 26th November Half Yarly26th May & 26th November Half Yearly 1st Sept & 1st March Half Yearly 29thSept & 29th March Annually 30th April Half Yearly 30th Oct & 30th April Annually 30th April On maturity date ie on 30th June, 2006 Half Yearly 30th Oct & 30th April Annually 30th April Annually 30th April Half Yearly 30th Oct & 30th April Annually 30th April
N.A
Cert No. 700201 to 700270 Cert No. 700271 to 700450 Cert No. 2001 to 2041, 5001 to 5025 Cert No. 1001 to 1692, 2042 to 2681, 5026 to 5074
N.A
N.A
N.A
Put/Call : At the end of 3 N.A. years from the date of allotment ie on 30th May, 2004 Put/Call : At the end of 3 N.A. years from the date of allotment ie on 30th June, 2004 the end of 3 N.A. Put/Call : At years from the date of allotment ie on 30th June, 2004 the end of 3 N.A. Put/Call : At years from the date of allotment ie on 30th June, 2004 the end of 3 N.A. Put/Call : At years from the date of allotment ie on 22nd July, 2004 Put/Call : At the end of 3 N.A. years from the date of allotment ie on 22nd July, 2004 Put/Call : At the end of 3 N.A. years from the date of allotment ie on 22nd July, 2004 any time after Put :At N.A. allotment Put :At any time after allotment N.A.
On maturity date ie on 31st July, 2006 Half Yearly 30th Oct & 30th April Annually 30th April On maturity date ie on 31st Aug, 2006 Half Yearly 13thSept & 13th March Semi- Annually - 30th April & 31st October Annually - 30th April
Put :At any time after allotment Put :At any time after allotment Put :At any time after allotment Put :At any time after allotment N.A
N.A.
N.A.
N.A.
N.A.
Put - Any time after allotment Put - Any time after allotment Put - Any time after allotment Any time after allotment
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity(cumulative interest 8.70% on principal & 10% on accumultaed Semi -Annually - 30th April & 31st October Annually - 30th April
N.A.
Put - Any time after allotment Put - Any time after allotment
N.A.
N.A.
On maturity(cumulative interest 8.70% on principal & 10% on accumultaed Semi Annually - 30th April & 31st October Annually - 30th April
N.A.
N.A.
N.A.
On maturity(cumulative interest 8.70% on principal & 10%maturityOn on accumultaed (cumulative interest 8.70% on principal & 10% on accumultaed Semi Annually - 30th April & 31st October Annually - 30th April
N.A.
Put - Any time after allotment Put - Any time after allotment Put - Any time after allotment Any time after allotment
N.A.
N.A.
N.A.
Semi Annually - 30th April & 31st October Annually - 30th April
N.A.
N.A.
On maturity(cumulative interest 8.70% on principal & 10% on accumultaed Semi- Annually - 30th April & 31st October Annually-30th April
N.A.
N.A.
N.A.
N.A.
Semi Annually - 30th April & 31st October Annually - 30th April
Daily -Any time after allotment Daily -Any time after allotment Daily -Any time after allotment Daily Any time after allotment Daily Any time after allotment
N.A.
N.A.
On maturity(cumulative interest 8.70% on principal & 10% on accumultaed Semi Annually - 30th April & 31st October Annually - 30th April
N.A.
N.A.
N.A.
On maturity - Cumulative Daily interest (On Any time after allotment Maturity,8.70% on principal & 10% on Half Yearly 31st October Any time after allotment & 30th April Annually - 30th April Any time after allotment
N.A.
N.A.
N.A.
On maturity 31st March, 2007 Semi Annually - 30th April & 31st October Annually - 30th April
N.A.
Daily Any time after allotment Daily Any time after allotment
N.A.
N.A.
On maturity - Cumulative Daily interest (On Maturity, Any time after allotment 8.70% on principal & 10% on interest) Annually N.A. 31st March
N.A.
N.A.
Half Yearly 31st October Put - Any time after & 30th April allotment Annually - 30th April Put - Any time after allotment Put - Any time after allotment Put - Any time after allotment
N.A.
N.A.
N.A.
N.A.
Half Yearly 31st October Put - Any time after & 30th April allotment Annually - 30th April Put - Any time after allotment Put - Any time after allotment
N.A.
N.A.
N.A.
Put - At the end of 36 months from deemed date of Half Yearly 31st October allotment at Any time Put -at par & 30th April after allotment Annually - 30th April Put -at par at Any time after allotment Put -at par at Any time after allotment
N.A.
N.A.
N.A.
On maturity 30th June, 2007 Annually 31st March Annually 31st March
N.A.
Put - At par at the end of N.A. 36 months from deemed date of allotment end of 36 Put - At the N.A. months from deemed date of allotment
Half Yearly 31st October Put - Any time after & 30th April allotment Annually - 30th April Put - Any time after allotment Put - Any time after allotment
N.A.
N.A.
N.A.
Half yearly Put- At par at any time 31st October & 30th April before 5 years after allotment Annually 30th April On maturitydate 31st August, 2007 Annually 31st March Put- At par at any time before 5 years after allotment Put- At par at any time before 5 years after allotment Put- At par at any time before 5 years after allotment
N.A.
N.A.
N.A.
N.A.
Half yearly Put- At par at any time 31st October & 30th April before 5 years after allotment Annually 30th April On maturitydate 30th Sept, 2007 Annually - 31st March Put- At par at any time before 5 years after allotment Put- At par at any time before 5 years after allotment
N.A.
N.A.
N.A.
Put - at par at the end of N.A. 36 months At par at the end of 36 months from the date of allotment years after allotmentthe end of 36 At par at months from the date of allotment years after allotment N.A.
Half yearly 30th Sept & 31st March Annually 31st March
N.A.
Annually 31st March Half Yearly 30th Sept & 31st March Annually 31st March Annually 31st March Half yearly 30th Sept & 31st March Annually 31st March Annually 31st March Half yearly 30th Sept & 31st March Annually 31st March Annually, 31st March
N.A.
N.A.
Put - At Par at the end of N.A. 36 months from the date of allotment years after allotment at the end of N.A. Put - At Par 36 months from the date of allotment years after allotment N.A. N.A.
Put Option : At par at the N.A. end of 36 months from the date of allotment Put Option : At par at the N.A. end of 36 months from the date of allotment Put- At par at the end of N.A. 36 months from the date of allotment Put Option : At par at the N.A. end of 36 months from the date of allotment Put Option : At par at the N.A. end of 36 months from the date of allotment PutAt par at the end of 36th month from the date of allotment N.A N.A.
Half Yearly 17th August & 17th February Half yearly 30th Sept & 31st March Annually 31st March
Put Option : At par at the N.A. end of 36 months from the date of allotment Put Option : At par at the N.A. end of 36 months from the date of allotment
Put:At par at the end of N.A. 36th month from the date of allotment Cert No. 2001, 3001 to 2047, 4001 to 4107
Half Yearly N.A 26th Sept & 26th March Half yearly 30th Sept & 31st March Annually 31st March Monthly 15th of every month Monthly 15th of every month
Quarterly 15th June 15th Sept 15th Dec & 15th March
Put Option : At par at the N.A. end of 36 months from the date of allotment Put Option : At par at the N.A. end of 36 months from the date of allotment N.A 001 to 1000
N.A
001 to 1000
N.A.
3 Working days notice period and to be exercised after a minimum period notice 3 Working days of 15 period and to be exercised after a minimum period of 15 N.A.
46,00,001 to 57,00,000
57,00,001 to 69,00,000
69,00,001 to 81,00,000
B44 to B53
Put & Call:Daily, BOB 1 to BOB 2 Exercisable by either party by giving one day On Maturity 12th January notice Call:Daily, p.m. Put & before 2.00 B55-B57 2004 Excersible by either party by giving one day notice before 2.00 p.m.(T + 1)
Put & callDaily, Exerciseable by giving one days notice before 2.00 p.m. (T+1
On maturity, 16th January, 2004 On maturity, 30th January, 2004 On maturity, 2nd February,2004 On maturity, 20th February, 2004 On maturity, 7th April, 2004 On maturity, 7th April, 2004 On maturity, 28th April, 2004 On maturity, 13th May, 2004 On maturity, 4th June, 2004 On maturity, 2nd July, 2004 On maturity, 23rd July, 2004 On maturity 04th October, 2002 On maturity - 11th December, 2002
Put & Call:Daily, Exercisable by either party by giving one day notice Call:Daily, p.m. Put & before 2.00
Can 1 to Can 5 Exercisable by either party by giving one day notice before 2.00 p.m. Put:Daily, Exercisable by Can 6 to Can 10 either party by giving one day Notice before 2.00 p.m.& Call :business day BOB3 to BOB 4 Put (T+1) Daily, Exercisable by either party by giving One day notice before 2.00 p.m. Put/Call:Daily,
B1 to B18
Exercisable by giving one days notice before 2.00 p.m.(T+1 business day) B73 to B90 Put & Call:Daily, exercisable by either party by giving one day notice Call:Daily, p.m. Put & before 2.00 SBI1 to SBI12 exercisable by either party by giving one day notice Call:Daily, p.m Put & before 2.00
JM1 to JM10
Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 business day) F1 to F2 Exercisable by giving one days notice before 2.00 p.m. (T+1 business day) B19 to B36 Put/Call:Daily, Exercisable by giving one days notice before 2.00 p.m.& Call:Daily, Put (T+1 business day) JM11 to JM20 exercisable by either B37 to B54 party by giving one day notice before 2.00 p.m. Put/Call : Daily F1 to F3 Exerciseable by giving C1 - C5 one days notice before 2.00 p.m. Daily business C 6 - C 9 Put/Call : ( T+1 Exerciseable by giving one days notice before 2.00 p.m. ( T+1 business
On maturity - 28th April, 2003 On maturity 14th June, 2003 On maturity - 09th September, 2003 On maturity 27th September, 2003 On maturity 4th October, 2003 On maturity 25th October, 2003 On maturity 8th November, 2003 On maturity 6th December, 2003 On maturity - 21st January, 2004 Half yearly 1st March & 1st Sept Half yearly 31st March & 30th Sept
Put/Call : Daily B41 to B43 Exerciseable by giving one days notice before 2.00 p.m. Daily business 01 -50/(1 - 5000000) Put/Call : ( T+1 Exerciseable by giving one days notice before 2.00 p.m. Daily business B 11 - B 20 Put/Call : ( T+1 Exerciseable by giving one days notice before 2.00 p.m. Daily business I1 to I5 Put/Call : ( T+1 Exerciseable by giving one days notice before 2.00 p.m. Daily business I6 to I8 Put/Call : ( T+1 Exerciseable by giving one days notice before 2.00 p.m. Daily business B21 to B25 Put/Call : ( T+1 Exerciseable by giving one days notice before 2.00 p.m. Daily business F1 to F3 Put/Call : ( T+1 Exerciseable by giving one days notice before 2.00 p.m. Daily business B26 to B35 Put/Call : ( T+1 Exerciseable by giving one days notice before 2.00 p.m. Daily business B36 Put/Call : ( T+1 Exerciseable by giving one days notice before 2.00 p.m. ( T+1 business Cert No. 1 to 665 N.A Dist Nos. 1 to 43067 Put Option at the end of Cert No. 1 to 236954 5th year I.e.11-Jan-99 Dist Nos. 1 to 236194 Cert No. 55001 to 55403 Dist Nos. 1 to 63047 Cert No. 60001 to 61349 Dist Nos. 63048 to 122882
Half yearly N.A 1st May & 1st November Yearly 1st May N.A
Half yearly 1st March & 1st Sept Half Yearly 1st February & 1st August
Put/Call option at the Cert No. 1 to 15 end of 5th year ie 31st Dist Nos. 1 to 12327 January, 2002 Put/Call : 11th March, 2004 Cert No : 1 to 2136 Dist Nos. : 1 to 33238 Cert No. 65001 to 65010 Dist Nos. 122883 to 129600 Cert No. 70001 to 70005 Dist Nos. 129601to 130000 Cert No. 1 to 679 Dist Nos. 1 to 111251 Cert No. 1 to 5 Dist Nos. 1 to 8130 Cert No. 1 to 6 Dist Nos. 1 to 4750
Half Yearly 20th May, 2004 1st May & 1st November Yearly 1st May Half yearly 15th March & 15th Sept, Half yearly 15th March & 15th Sept, Annually 15th Sept Annually 1st June Annually 14th October Annually 14th October Annually 14th October Annually 14th October On maturity 31st March, 2003 20th May, 2004
N.A
N.A
Put/Call : 31st May, 2005 Cert No. 1 to 216 Dist Nos. 1 to 53798 N.A. N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
N.A
N.A
N.A
Quarterly Put /call-12th July, 2002 30th September, 31st December, 31st March &1st October Put & Call:Daily On maturity, 30th June
5/(45,00,001 to 55,00,000) 1 to 6
Quarterly 30th June 30th Sept 31st Dec & Quarterly 31st March 30th June 30th Sept 31st March, Quarterly & 30th June, 30th September, 31st December On maturity 13th March, 2003 Half Yearly 23rd Nov & 23rd May Half Yearly 17th Dec & 17th June On Maturity 2nd January, 2003 On Maturity 2nd January, 2003 Half Yearly 30th June & 31st Dec Half Yearly 1st Feb & 1st Aug
N.A
Cert No. 6 Dist Nos. 566660 to 600000 Cert No. 8 Dist Nos. 833330 to 900000 NCD/GCR/05 0000011000000,NCD/GCR/02 11500000 NCD/GCR/03 1500001-3000000, STN02-00001 to STN02-00500 1 to 10 11 to 20 21 to 50 51 to 100 1 to 10 11 to 20 21 to 40 41 toNo. 1 to 3 Cert 90 Dist Nos. : 1 to 3200 3201No. 1 to 4 Cert - 3400 Dist Nos. : 3201 - 3204 Cert Nos : 08/97 to 11/97 Dist Nos : 26 to 50 1
N.A
N.A.
N.A. But the company has right to buy the debentures from the N.A. But the company has right to buy the debentures from the N.A.
N.A.
Half Yearly 30th June & 31st Dec Annually30th November Annual February 1 Annual February 10 Annual March 23 1-368
N.A.
N.A.
1(1 - 754417)
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly Mar-14 & Sep-14 Put /Call : October 20, 2002 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put /Call : February 14, 2003 Put /Call : August 27, 2002
N.A.
N.A.
Put /Call : September 28, 2002 Half Yearly Dec-21 & Jun-21 Put /Call : January 9, 2003 Put /Call : January 10, 2003 Put /Call : April 12, 2003
N.A.
N.A.
Annual January 9 Annual January 10 Annual January 12 Annual January 18 Annual January 22 Annually February 1 Annually February 1 Annually February 8 Annually February 9 Annually February 15 Annually February 25
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put / Call option : February 1, 2003 Put / Call option : February 8, 2003 Put / Call option : February 9, 2003 Put / Call option : May 15, 2003 Put / Call option : February 25, 2003
N.A.
N.A.
N.A.
N.A.
N.A.
Annually February 27 Annually March 4 Annually March 8 Annually March 15 Annually March 15 Annually March 21 Annually March 22 Annually March 28 Annually 1st April Annually 1st April On maturity 31st August, 2005 On maturity 31st August, 2005 1-440
Put / Call option : February 27, 2003 Put / Call option : March 4, 2003 Put / Call option : March 8, 2003 Put / Call option : April 15, 2003 Put / Call option : March 15, 2003 Put / Call option : April 21, 2003 Put / Call option : March 22, 2003 Put / Call option : April 28, 2003 N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually, 28th September Annually 1st April On maturity 30th September 2005 Annually 1st April Annually 1st April On maturity 31st October, 2005 On maturity 31st October, 2005 Annually 1st April Annually 1st April On maturity 30th November, 2005 On maturity 30th November, 2005 Annually 1st April Annually 1st April
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 31st January, 2006 Annually, 1st April & on maturity 28th Feb, 2006 On maturity, 28th February, 2006 Annually, 1st April
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:13th April, 2004 Put & Call:17th September, 2004 Put & Call:17th March, 2004 Put Call:21st April, 2004
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 31st March, Put & Call: N.A. 2006 Annually, 1st April Put & Call: N.A.
N.A.
N.A.
On maturity, 30th April, 2006 One time payment of interest ie. 30th April, 2004 Annually, 1st June
N.A.
N.A.
N.A.
N.A.
One time payment of interest, 31st May, 2004 Annually, 1st June
N.A.
N.A.
N.A.
N.A.
N.A.
One time payment of Put & Call: N.A. interest, 30th June, 2004 Annually, 1st June Put & Call: N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 31st July, 2006 Annually 1st June & on maturity On Maturity 31st August 2006 Annually, 22nd September
N.A.
NA
NA
N.A.
Put & Call:22nd September, 2004 Put & Call:29th September, 2004 Put & Call: N.A.
N.A.
N.A.
NA
NA
NA
On Maturity 30th September 2006 Annually, 1st June & on maturity, 31st Oct, 2006 On maturity, 31st October, 2006
NA
N.A.
N.A.
Annually, 13th November Put/Call :13th November, N.A. 2004 Annually, 1st June Put & Call: N.A. N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:10th February, N.A. 2005 Put & Call: N.A. N.A.
N.A.
Put & Call:17th March, 2005 Put & Call:18th March, 2005 Put & Call:30th April, 2005 Put & Call : N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 31st March, Put & Call : N.A. 2007 Annually 1st April
N.A.
Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed
Annually 1st April On maturity 31st August, 2007 On maturity 31st August, 2007 1 - 370
Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year Yearly deemed Half from the Mar-16 & Sep-16
N.A.
Annually 1st April On maturity 30th September, 2007 Annually, 1st April
Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year& Call:At the end of 3 N.A. Put from the deemed years ie on 30th Sept, 2005
Annually 1st April Annually 1st April On maturity 31st October, 2007 On maturity 31st October, 2007 Annually, 1st April
Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year& Call:At the end of 3 N.A. Put from the deemed years on 31st October, 2005
Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed
Annually 1st April On maturity 30th November, 2007 On maturity 30th November, 2007 1-286
Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year Yearly deemed Half from the Dec-15 & Jun -15
N.A.
Annually 1st April Annually 1st April On maturity 31st December, 2007 On maturity 31st December, 2007
Annually, 1st April
N.A.
Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year from the deemed Both Bondholder & SIDBI N.A. will have the Put/Call option at the end of 3rd year end of 3 years, 31st At the from the deemed
January, 2006
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:At the end of 3 N.A. years ie on 31st Jan, 2006 Put & Call:At the end of 3 N.A. years ie on 31st Jan, 2006 Put & callAt the end of 3 years, ie 28th February, 2006 Put & call At the end of 3 years, ie 28th February, 2006 Half Yearly Sep-03 & Mar-03 N.A.
On maturity, 31st Jan, 2008 Annually, 1st April & on maturity On maturity, 28th February, 2008 1-47
N.A.
N.A.
Put & Call:At the end of 3 N.A. years ie on 31st March, 2006
On maturity, 31st March, Put & Call:At the end of 3 N.A. 2008 years, ie on 31st March, 2006 Annually, 1st April Put & Call:At the end of 3 N.A. years ie on 30th April, 2006 Put & Call:At the end of 3 N.A. years ie on 30th April, 2006 Put & Call:Daily N.A.
On maturity, 30th April, 2008 On maturity, 5th August, 2003 On maturity, 6th August, 2003 On maturity, 12th September, 2003
N.A.
N.A.
On maturity, 29th September, 2003 On maturity, 28th October, 2003 On maturity, 31st October, 2003 On maturity, 5th November, 2003 On maturity, 10th November, 2003 On maturity, 19th December,2003 On maturity ie 26th March, 2004 On maturity, 13th April, 2004 On maturity, 13th April, 2004 On maturity, 20th April, 2004 On maturity, 5th May, 2004 On maturity, 7th May, 2004 On maturity, 12th May, 2004
Put/Call:Daily
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call:Daily
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
On maturity, 18th May, 2004 On maturity, 18th May, 2004 On maturity, 19th May, 2004 On maturity, 31st May, 2004 On maturity, 1st June, 2004 On maturity, 2nd June, 2004 On Maturity - 4th June 2004 On maturity, 2nd July, 2004 On maturity, 5th July, 2004 On maturity, 19th July, 2004 On maturity, 21st July, 2004 On maturity, 21st July, 2004 On maturity, 31st July, 2004
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
NA
N.A.
N.A.
N.A.
N.A.
N.A.
Put & Call:90th day ie, N.A. 1st Aug, 2003, 120th day ie 29th Oct, 2003, 180th day 27th Nov, 2003,
Put & Call :90, 120, 180, N.A. 270 days from date of allotment Put & Call:Daily N.A.
On maturity, 11th August, Put & Call: N.A. 2004 On maturity, 31st August, Put & Call : N.A. 2004 On Maturity 13th August 2004 On Maturity 16th August 2004 On Maturity 16th August 2004 Put & Call :Daily
N.A.
N.A.
NA
NA
NA
On maturity, 24th August, Put & Call :Daily 2004 On maturity, 24th August, Put & Call : N.A. 2004 On maturity, 30th August, Put & Call : Daily 2004 On Maturity 6th September 2004 On maturity, 21st September, 2004 On maturity, 1st Oct, 2004 Put & Call : N.A.
N.A.
N.A.
N.A.
NA
N.A.
N,A.
On Maturity 12th October Put & Call: N.A. 2004 On Maturity 12th October Put & Call:Daily 2004 On matuity, 15th October, 2004 On maturity, 18th December, 2004 Put & Call:Daily
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 29th March & 29th Sept Annually 31st March Annually 31st March Annually 31st March Annually 31st March Annually, 31st March
N.A.
N.A.
Cert No. : 11001 to 11114 Dist Nos : 11001 to :14500 to Cert No. 12001 12067 Dist Nos : 20001 to 30000 : 13001 Cert No. Dist Nos : 30001 to 35000
N.A.
N.A.
Cert No. : 13002 Dist Nos : 35001 to 38000 Cert No. : 13003 to 13011 Dist Nos : 38001 to 40000 1 to 12500
N.A.
N.A.
Annually-31st March
None
1 - 12(1 - 6000)
Annually-31st March
None
1 - 19(1 - 6500)
N.A
0001 to 1200
0001 - 2001
NA
0001 TO 20000
Half yearly -01st January, NA 01st July HALF YEARLY. 18th March, 18th September NA
0001 to 3511
0001 to 2000
N.A.
N.A.
Half yearly -01st January, NA 01st July Half yearly -01st April, 01st October YEARLY. 01st February Put /call-01st February, 2004 Put/call-01st December, 2004 NA
0001 to 4538
0001 to 2000
0001 to 8000
NA
0001 to 1200
NA
0001 to 1980
NA
000I to 8000
NA
0001 to1000
NA
NA
NA
NA
7/1/2005
0001 to3047
1/12/2006
0001 to 2100
NA
0001 to 300
On maturity-04th March,2002 On maturity -29th March,2002 On Maturity 8th May, 2002 On Maturity 29th May, 2002 On Maturity 01st June, 2002
None
(1 to 50,00,000)
N.A.
1 -8000000
N.A.
1 to 20,00,000
Daily
1 to 50,00,000
Daily
1 to 50,00,000
On maturity-5th July, 2002 On maturity-8th July, 2002 At maturity-09th August, 2002 On maturity 9th August, 2002 At maturity-12th August, 2002 At maturity-16th August, 2002 On maturity 21-08-02
N.A.
1 to 10
N.A.
1 to 10
1 -1 0
N.A.
1 to 6
01 to 10
01 to 15
N.A.
On maturity 26-08-02
N.A.
On maturity 28-08-02
N.A.
On maturity-16th Sept, 2002 On maturity 20th Sept, 02 On maturity -30th Dec, 2002 On maturity -31st Dec, 2002
N.A.
1 to 5
Daily
1 to 25
Daily
1 to 5
Daily
1 to 10
N.A.
1- 14/(1 - 14)
On maturity 22nd February, 2003 On maturity 4th March, 2003 On maturity 20th March, 2003 On maturity 28th March, 2003 On maturity-10th April, 2003 Quarterly30th June, 2002 30th September, 2002 31st December, 2002 On maturity-10th April, 2003 Quarterly30th June, 2002 30th September, 2002 31st December, 2002 On maturity, 20th May, 2003
N.A.
N.A.
N.A.
1 to 10
N.A.
N.A.
1 - 100,00,000
N.A.
1 - 75,00,000
N.A.
N.A.
N.A.
N.A.
N.A.
1 to 4500000
On maturity,02nd June, 2003 On maturity, 13th June, 2003 On maturity, 1st August, 2003
N.A.
1 to 4000000
N.A.
1 to 40,00,000
1 to 5
On maturity, 4th August, 2003 On maturity, 5th August, 2003 On maturity, 8th August, 2003 On maturity, 8th August, 2003
1 to 5
1 to 5
N.A.
1 to 10
N.A.
1 to 10
On maturity, 14th August, Put & Call:Daily 2003 On maturity, 14th August, Put & Call:Daily 2003 On maturity, 20th August, Put & Call:Daily 2003 On maturity - 29th August, 2003 On maturity, 10th September, 2003 On maturity, 19th September, 2003 Half Yearly 30th Sept & 31st March
1 to 45
1 to 5, 1 to 10
1 to 10, 1 to 5
Put & Call:Daily 1 - 40 exercisable by giving one day notice before 2.00 p.m.& Call1: business day) 1 to 40 Put (T + N.A.
1 to 10
N.A.
1 to 4 1 to 15 1 to 10
On maturity, 1st October, Put & Call: N.A. 2003 On maturity, 3rd October, Put & Call: N.A. 2003
N.A.
1 to 10
Put/Call: N.A.
1-7
On maturity
Put/Call: N.A.
1-3
On Maturity 5th November 2003 On maturity, 7th November, 2003 On maturity, 10th November, 2003 On maturity, 17th November, 2003 On Maturity
1-10
1 to 5
1 to 45
1 to 5
Put/Call: N.A.
1-15
On maturity, 26th November, 2003 On Maturity 5th december 2003 On maturity, 15th December, 2003 Quarterly, 30th June, 2003 30th Sept, 2003 31st Dec, 2003 & 31st March, 2004 Annually 1st July
1 to 40
1-40
1 to 2
1 to 75,00,000
1 to 50 1 to 100
N.A.
1 to 25
N.A.
N.A.
N.A.
N.A.
N.A.
Dist.No.6500001 &9000000 1 to 10
N.A.
11 to 20
N.A.
1 to 50
N.A.
N.A.
N.A.
51 to 150
N.A.
N.A.
Quarterly, 31st March, 30th N.A. June, 30th Sept & 31st Dec
Quarterly, 31st March, 30th June, 30th Sept & 31st Dec On maturity 19th December, 2002 On maturity 21st January, 2003 Quarterly 31st Mar 30th June 30th Sept Quarterly 31st Mar 30th June 30th Sept 6th April, On maturity, 2005 On maturity, 11th April, 2005 On maturity, 2nd May, 2005 On maturity, 10th May, 2005 On maturity, 19th May, 2005 Annually, 30th April
Put & callQuarterly, 31st March, 30th June, 30th Sept & 31st Dec N.A
N.A.
N.A
N.A.
Put & Call Quarterly 31st March 30th& Call Put June Quarterly 31st March 30th& Call: N.A. Put June
N.A
001 to 200
001 to 100
001 to 100
001 to 100
001 to 200
001 to 250
001 to 150
001 - 200
001 to 050
001 to 150
On Redemption-16th November 2001(Interest from 9th Nov, 2000) Annually 30th Nov Annually 13th Dec On redemption-5th April,2002(interest from 11th Dec, 2000) Quarterly 9-Jul, 9-Oct, 9-Jan, 9-Apr On redemption-1st June 2002 Quarterly 9-Jan, 9-Apr 9-Jul, 9-Oct,
N.A
0001-0500
N.A
0001-1500
N.A
0001-1000
N.A
0001-0500
N.A
0001-1000
N.A
0001-0500
37238
0001-1000
On redemption-24th June N.A 2002 Quarterly 5-May, 5-Aug,5-Nov, 5Feb, On redemption-3rd August 2002 Annually 1st Oct N.A
0001-1000
0001-1500
N.A
0001-1000
N.A
0001-5000
Annually 31st Oct Annually 6th Dec Annually 4th Jan On maturity8th May, 2003 On maturity8th May, 2003 On maturity09th May, 2003 On maturity09th May, 2003 Annually 24th Nov On maturity07th June, 2003 N.A.
37376
0001-2500
N.A
0001-2500
N.A
0001-2500
N.A.
0001 - 2000
N.A.
N.A.
N.A
0001-1500
N.A
N.A.
N.A
0001-0500
N.A
0001-2000
N.A
N.A.
Quarterly 13-Mar, 13-Jun, 13-Sep, 13-Dec, Annually 26th June Annually 29th June
N.A
0001-0455
N.A
0001-0500
N.A
0001-8000
Quarterly 29-Mar, 29-Jun, 29-Sep, 29-Dec, On maturity 30th July, 2003 On maturity 30th July, 2003 On maturity 30th July, 2003 On maturity 30th July, 2003 On maturity 26th September, 2003 On maturity 26th September, 2003 Quarterly 1-Jan, 1-Apr, 1-Jul, 1-Oct On maturity07th December, 2003 Quarterly 07th September 07th December 07th March & Annually 13th Dec Half-yearly 25-Jun & 25-Dec Annually 29th Dec
N.A
0001-0025
N.A.
0001 to 1000
N.A.
0001 to 1000
N.A.
N.A.
N.A.
N.A.
N.A.
0001 to 1000
N.A.
N.A.
N.A
0001-1500
N.A
0001-1000
N.A
N.A.
N.A
0001-0500
N.A
0001-1000
N.A
0001-2000
Annually 26th Feb Annually 30th April Annually 30th April Annually09th May Annually09th May Annually24th May Annually24th May On maturity, 4th June, 2004 On maturity, 16th June, 2004 Half-yearly 25-Jun & 25-Dec On maturity, 25th June, 2004 On maturity, 25th June, 2004 On maturity, 9th July, 2004
37313
2001-2300
N.A
0001 to 1000
N.A
N.A.
Put & call09th Npovember, 2003 Put & call09th November, 2003 N.A.
0001 - 1000
N.A.
0001 - 1000
N.A.
N.A.
N.A.
0001 to 2000
N.A.
0001 to 1000
37432
0001-0500
N.A.
0001 to 0500
N.A.
0001 to 2000
0001 to 2000
N.A.
0001 to 2000
N.A.
N.A.
On maturity, 25th August, Put & Call: N.A. 2004 Annually 13th Sept Annually 13th Sept On maturity, 29th October, 2004 Annually 28th November Annually 28th November Annually 28th November Annually 28th November Annually 7th December Annually 7th December On maturity, 24th December, 2004 N.A.
0001 to 2000
0001 to 0500
N.A.
N.A.
0001 to 1000
N.A
0001-1000
N.A
0001-1000
N.A
N.A.
N.A
N.A.
N.A
0001-2000
N.A
N.A.
001 to 200
On maturity, 27th December, 2004 On maturity, 29th December, 2004 Annually 31st December Annually 31st December
001 to 100
001 to 100
N.A
0001-1500
N.A
N.A.
On maturity, 5th January, Put & Call: N.A. 2005 On maturity, 6th January, Put & Call: N.A. 2005 On maturity, 28th January, 2005 or on exercising the option On maturity, 29th January, 2005 or on exercising the option On maturity, 1st February, 2005 or on exercising the Put/Call Option Quarterly05th April, 05th July, 05th October & Quarterly05th April, 05th July, 05th October & Quarterly05th April, 05th July, 05th October & Quarterly05th April, 05th July, 05th October & Put & Call:Daily
001 to 200
001 to 100
001 to 350
001 to 300
001 to 100
0001 - 2000
2001-2500
N.A.
N.A.
N.A.
0001 to 2000
0001 to 2000
N.A.
0001 to 2000
N.A.
N.A.
0001 to 1000
0001 to 1000
Annually 27th Sept Annually 27th Sept Annually 27th Sept Annually 27th Sept Annually, 30th September Quarterly 5th Jan 5th April, 5th July & Annually 28th November
N.A.
0001 to 0500
N.A.
0001 to 1000
N.A.
N.A.
N.A.
N.A.
0001 to 1000
Daily
0001-3000
N.A
0001-1000
Quarterly 5th Jan 5th April, 5th July & Annually 28th November Annually 7th December Annually 7th December Annually 7th December Annually 7th December Quarterly, 5th Apr, 5th July, 5th Oct & 5th Jan Annually, 1st March
Daily
N.A.
N.A
N.A.
N.A
0001-1000
N.A
0001-1000
N.A
N.A.
N.A
N.A.
N.A.
001 to 650
Quarterly, 5th April, 5th Put & Call:On a daily July, 5th Oct & 5th Jan or basis at the time of exercising the option 5th Apr, 5th Quarterly, Put & Call: Daily July, 5th Oct & 5th Jan Annually, 1st March Put & Call: N.A.
0001 - 1500
0001 to 2500
001 to 450
N.A.
0001 to 0500
N.A.
N.A.
N.A.
0001 to 1000
N.A.
0001 to 1000
N.A.
N.A.
N.A.
N.A.
Annually 28th June Annually 28th June Annually 2nd July Annually 2nd July
Half Yearly, 30th May & 30th Nov
N.A.
0001 to 0500
N.A.
N.A.
N.A.
0001 to 2000
N.A.
N.A.
N.A.
N.A.
Half Yearly 16th Feb & 16th August Half Yearly 16th Feb & 16th August Half Yearly 30th May & 30th Nov N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Monthly - 13th of every month On maturity 18th January, 2003 Quarterly 31st March 30th June 30th Sept Quarterly 31st March 30th June 30th Sept Quarterly 31st March 30th June 30th Sept 1st August, On maturity, 2003
N.A
N.A
N.A
001 to 005
N.A
006 to 006
N.A
002 to 005
01 to 500
On maturity, 21st August, Put & Call: N.A. 2003 On maturity, 29th Sept, 2003 On maturity, 19th November, 2003 Half Yearly 1st Jan & 1st July Annually 1st Jan Annually 1st Jan Half Yearly, 16th June & 16th Dec Put & Call : N.A.
01 to 500
01 to 500
01 to 500
N.A.
1 to 12600
N.A.
1 to 12600
N.A.
1 to 12600
Put & Call:At the end of 3rd year ie 15th June, 2004
1 to 19583
Half Yearly 1st January & 1st July Half Yearly 1st January & 1st July Annually 10th January Half Yearly 1st January & 1st July Annually 1st November Annually 1st November Half Yearly 10th May & 10th Nov Half Yearly 9th August & 9th Feb Half Yearly 11th Feb & 11th August Half Yearly 5th Jan & 5th July Half Yearly 2nd Mar & 2nd Sept Half Yearly 10th Aug & 10th Feb Half Yearly 14th Feb & 14th Aug
N.A.
Cert No. 1 to 44 Dist Nos : 1 to 22000 Cert No. 1 to 35 Dist Nos : 1 to 30000 Cert No. 1 to 275 Dist Nos : 1 to 52486 Cert No. 1 to 34 Dist Nos : 1 to 30000 Cert No. 1 to 102 Dist Nos : 1 to 23845 Cert No. 1 Dist Nos : 1 to 10000 Cert No. 54 to 68 Dist Nos : 1 to 79750 Cert No. 70 to 83 Dist Nos : 1 to 33000 Cert No. 299 to 313 Dist Nos : 1 to 198500 Cert No. 314 to 336 Dist Nos : 1 to 51500 Cert No. 337 to 344 Dist Nos : 1 to 100000 Cert No. 345 to 358 Dist Nos : 1 to 150000 Cert No. 359 to 379 Dist Nos : 1 to 140000
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Cert No. 380 to 407 Dist Nos : 1 to 180000 Cert No. 408 to 430 Dist Nos : 1 to 210000 Cert No. 431 to 454 Dist Nos : 1 to 180000 Cert No. 242 to 264 Dist Nos : 1 to 140250 Cert No. 456 to 471 Dist Nos : 1 to 167500 Cert No. 265 to 298 Dist Nos : 1 to 211750 Cert No. 472 to 495 Dist Nos : 1 to 140500 Cert No. 501 to 514 Dist Nos : 1 to 67000 Cert No. 1 to 41 Dist Nos : 1 to 8782 Cert No. 1 to 75 Dist Nos : 8783 to 24101 Cert No. 1 to 155 Dist Nos : 24102 to 43873
Half Yearly N.A. 24th April & 24th October Half Yearly 12th Feb & 12th August Half Yearly 1st Sept & 1st Mar Half Yearly 19th May & 19th Nov Half Yearly 21st June & 21st Dec Half Yearly 11th Feb & 11th August Half Yearly 25th Mar & 25th Sept Half Yearly 15th May & 15th Nov Half Yearly 15th March & 15th Sept Half Yearly 15th June & 15th Dec Annually 15th Sept Quarterly 03rd Feb, 03rd May, 03rd August & 03rd November N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Put/Call : 15th Sept, 2005 Cert No. 1 to 146 Dist Nos : 43874 to 57117 N.A. 5000000
Quarterly 30th June 30th September 31st December Annually 05th November Annually 05th November Annually 05th November Annually 05th November Annually 05th November Annually 05th November Half Yearly 31st Dec & 30th June
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A
Dist Nos. 61 to 64
Payable on Conversion, None from the date of allotment to 30th March, 2002 At maturity-11th November,2002/on Put/Call -12th December,2001 Half yearly01st June & 01st December Half Yearly N.A. 1st June & 1st December Put/Call option-12th December,2001.(With 7 days prior notice) N.A.
N.A.
N.A.
Cert No. 00001 to 00006 Dist Nos : 0000001 to 11500000 Cert No. 00001 to 00008 Dist Nos : 00000001 to 00000600
Half Yearly Put/Call : 23rd July, 2003 Cert No. 00009 to 00019 1st June & 1st December (at the end of 5th year Dist Nos : 00000601 to from the date of 00001740 allotment)
Annually 11th August Annually 7th October Annually 7th October Annually 30th December Half-yearly07-Apr-03 06-Oct-03 05-Apr-04 Half-yearly07-Apr-03 06-Oct-03 05-Apr-04 on January Half Yearly 30 and July 30 Annually on June 12
N.A.
Call Option -07th October, 2005 Call Option -06th October, 2005 Put Option at the end of 2 to 6 years from the date of allotment (ie from 30th Dec, 2001 N.A.
N.A.
N.A.
N.A.
None
2-5/51-150
Monthly at the end of Put & Call: N.A. each calendar month and on redemption On maturity, 5th June, 2004 On maturity, 6th June, 2004 On maturity, 09th June, 2004 On maturity, 10th June, 2004
N.A.
Put & Call:30th June, N.A. 2003, 31st July, 2003 and any day upto 88 days from the date of allotment N.A. Put & Call:2nd September, 2003 Put & Call: N.A. N.A.
N.A.
On maturity, 15th July, 2004 On maturity, 16th July, 2004 On Maturity 11th September 2004 On Maturity 12th September 2004 On Maturity 15th September 2004
N.A.
Put & Call: 12th October, N.A. 2003 Put & Call:29th September 2003 Put & Call:31st December 2003 NA
NA
Half Yearly on 30th June None and 30th December Quarterly on31st Sep, 31st December, 31st March, & 31st June
N.A.
Put option to the extent of 12-21/26-50 4 debentures on 09/03/2004 and 09/03/2005 N.A. I/B/1-I/B/11
I/B/1-I/B/47
N.A.
N.A.
I/B/1-II/B/12 II/B/1-II/B/12
N.A.
N.A.
] I/D/1-I/D/11 I/D/1-I/D/47
N.A.
N.A.
I/E/1-I/E/11 I/E/1-I/E/47
N.A.
N.A.
II/E/1-II/E/12 II/E/1-II/E/12
N.A.
N.A.
I/A/1-I/A/11 I/A/1-I/A/47
N.A.
N.A.
I/F/1-I/F/11 I/F/1-I/F/47
N.A.
N.A.
Quarterly Put/Call : 8th November, N.A. 12th Nov, 2002 12th Feb 12th May & 12th January Put & Call: N.A. On Maturity 001 , 001-010 2004 On Maturity 23rd February 2004 On Maturity 8th March 2004 On Maturity 12th March 2004 On maturity, 23rd June, 2004 Put & Call: N.A. 001 , 001-025
001 , 001-025
002, 001-025
001, 001-010
On maturity, 19th August, Put & Call: N.A. 2004 On maturity, 6th September, 2004 On maturity, 29th December, 2004 Put & Call: N.A.
15th Sep 2004, 15th Mar Put & Call: N.A. 2005
N.A
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually-01st June
Annually on October 1
N.A
1 to 10
1 to 10
Annually on October 1
N.A
11 to 30
11 to 30
Annually on October 1
N.A
31 to 40
31 to 40
Semi annual June. 1st December 1st Semi annual Feb 1st August. 1st On maturity-13th February, 2003 Semi annual May 1st November. 1st
Quarterly 30th August, 30th Nov, 28th Feb &
N.A.
001-1000
N.A.
001-1000
N.A.
1-5/(1 -5)
N.A.
001-2000
N.A
N.A
On maturity 12th February, 2003 Annually 1st August Annually 1st August Annually 1st December Annually 1st December Annually, 1st June
N.A
1 to 50
N.A
1 to 125
N.A
N.A.
N.A
1 to 125
N.A
N.A
1 to 100
Annually 1st December Annually 1st December Half Yearly 30th June & 31st Dec Half Yearly 30th June & 31st Dec Annually-08th July
N.A
126 to 200
N.A
N.A
N.A.
Cert No __ to 85132 Dist Nos : 8112856 to 13394704 Cert No __ to 85132 Dist Nos : 8112856 to 13394704 1 - 100
N.A.
On maturity 09th July,2002 0r the option exercise date whichever is earlier N.A.
Put & call - exercisable N.A. by the subsriber/idduer at the end of every 30 days from the date of N.A. N.A.
N.A.
N.A.
N.A.
N.A.
(001 to 2000000
N.A.
LOA (D)/15/2002
Half Yearly on 30th Sept N.A. and 31st March Annually 1st November Annually 1st November N.A.
N.A.
N.A.
N.A.
N.A.
Annually 6th September Annually 6th September Annually 18th October Annually 18th October Annually 3rd May Annually 3rd May Annually 27th May Annually 27th May Annually 1st December Annually 1st December Annually 1st Dec
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Annually 1st Dec On Maturity 10th June, 2002 On Maturity 12th June, 2002 On Maturity 7th October, 2002 or on exercise of Put/Call Option On Maturity 4th December, 2002 or on exercise of Put/Call Option On Maturity 11th December, 2002 or on exercise of Put/Call Option On Maturity 19th March, 2003 On Maturity 28th March, 2003 On maturity, 11th June, 2004 Annually 9th July Annually 9th July Annually 31st March Annually 31st March
N.A.
N.A.
N.A
25,00,001 to 35,00,000
N.A
35,00,001 to 40,00,000
Daily
55,00,001 to 57,00,000
Daily
70,00,001 to 80,00,000
Daily
80,00,001 to 85,00,000
N.A.
N.A.
N.A.
1 to 90
N.A.
N.A.
N.A
0001 - 0872
N.A
On Maturity 10th July, 2002 On Maturity 6th Sept, 2002 On Maturity 18th December, 2002 or on exercise of Put/Call Option On Maturity 6th January, 2003 On Maturity 28th January, 2003 On Maturity 9th October, 2002 On Maturity 27th August 2004 On maturity, 20th October, 2004
N.A
50,00,001 to 55,00,000
N.A
40,00,001 to 50,00,000
Put/Call : Daily
85,00,001 to 88,00,000
N.A
97,00,001 to 102,00,000
N.A
102,00,001 to 104,00,000
N.A
57,00,001 to 62,00,000
64600001 - 65100000
65100001 to 65600000
On Maturity Daily 25th October, 2002 or on exercise of Put/Call option On Maturity N.A. 27th November, 2002 On Maturity Daily 31st December, 2002 or on exercise of Put/Call option On Maturity N.A. 29th April, 2003 On Maturity 6th May, 2003 N.A.
62,00,001 to 65,00,000
65,00,001 to 70,00,000
92,00,001 to 97,00,000
On maturity, 8th July, 2003 On maturity, 28th July, 2003 On maturity - 29th August, 2003
Put/Call:On daily basis to 15700001 to 16700000 be exercised by Investor/Issuer by giving notice in writing to reach 29000001 to 30000000 Put/Call:On Daily basis to be exercised by Investor/Issuer by giving notice Call:Daily-to reach 23700001 to 24200000 Put & in writing to be
exercised by the investor giving notice in writing to On maturity, 3rd October, reach the issuer 15 hrs to 31400000 to 32400000 Put/Call:On daily basis in 2003 be exercised by Investor/Issuer by giving notice Call: N.A. to reach 32900001 to 33100000 On maturity, 13th Put & in writing October, 2003 On maturity, 14th October, 2003 On maturity, 24th November, 2003 On maturity, 24th November, 2003 On maturity, 25th November, 2003 On maturity, 1st December, 2003 Put & Call: N.A. 33100001 to 33600000
36100001 to 37100000
35100001 to 36100000
37100001 to 37600000
37600001 to 38600000
38600001-39100000
391000001 to 39600000
41100001 to 42100000
On maturity, 22nd December, 2003 On maturity, 25th February, 2004 On maturity, 3rd March, 2004 On maturity, 8th March, 2004
40100001 to 41100000
43600001 to 46600000
46600001 to 47100000
47100001 to 48100000
On maturity, 17th March, Put & Call: N.A. 2004 On maturity, 19th March, Put & Call: N.A. 2004
48100001 to 48600000
48600001 to 50600000
On maturity, 29th March, Put & Call:On daily basis 50600001 to 51600000 2004 after one month On maturity, 13th April, 2004 On maturity, 19th April, 2004 On maturity, 24th May, 2004 On maturity, 31st May, 2004 On maturity, 4th June, 2004 On maturity, 28th June, 2004 Put & Call: N.A. 51600001 to 52100000
52100001 to 52600000
52600001 to 55600000
55600001 to 56100000
56100001 to 57100000
58100001 to 59100000
59100001 to 61600000
On maturity, 19th August, Put & Call : N.A. 2004 Annually 1st April Annually 1st April Annually 1st April N.A.
61600001 to 64600000
Cert No. 1 to 71 Dist Nos : 1 to 1660 Cert No. 1 to 4* (Cert Nos not given to those opted for demat mode) Dist Nos 5 1 to 1375 Cert No. : to 13* (Cert Nos not given to those opted for demat mode) Dist 25) : 1376 to 2620 (1 - Nos
N.A.
N.A.
(1 - 25)
Quarterly31st March, 30th June, 30th Yearly Half September & (6th May & 6th November) N.A.
callPP6/1/(001 - 5000000) 1/3rd of face value on 01Oct-00 & 01-Oct-01 7th May, 2003 1& 000001 - 500000 1 -18/(1 -90) 19/(91) Allotment Letter No. 1 & Dist Nos. : 000001 500000 1/(1 - 500)
N.A.
Half Yearly (8th April & 8th October) Half yearly-01st October & 01st April Half yearly-01st October & 01st April
N.A.
N.A.
2/(501 - 600)
Half yearly-01st October & 01st April Annually 2nd March Annually 2nd March Annually 2nd March Annually 2nd March Annually 31st December Annually 1st March On maturity, 6th April, 2003 On maturty 27th January, 2003 On maturty 29th April, 2003 N.A.
N.A.
3 -7/(601 - 1000)
Put : 02nd March 2004 02nd March 2005, 02nd March 2006 Put : 02nd March, 2003, 02nd March 2004 02nd March 2005, N.A.
N.A
N.A
N.A
N.A.
N.A
N.A
N.A
N.A
N.A
Daily
42001 to 43000
40001 to 41000
1 to 100
N.A.
N.A.
Call : 16th Jan, 2003 &/or 101 to 150 16th July, 2003
Annually 16th July Annually 16th July Annually 16th July On Maturity 2nd March, 2002 On Maturity 5th April, 2002 On Maturity 22nd July, 2002 On Maturity 21st Sept, 2002 On Maturity 2nd December, 2002 Half Yearly, 1st April & 1st October Half Yearly31st March & 30th September Yearly-31st March
Call : 16th Jan, 2003 &/or N.A. 16th July, 2003 Call : 16th Jan, 2003 &/or 151 to 259 16th July, 2003 Call : 16th Jan, 2003 &/or N.A. 16th July, 2003 N.A H1-H30
N.A
H1-H30
N.A
H1-H30
N.A
H31-H60
N.A
H61-H75
N.A.
1 to 500, 1 to 500000000
N.A.
0001 - 0022/(0001--2000)
N.A.
001-011/(0001-0765)
Yearly-31st March
N.A.
N.A.
Half Yearly 15th Jan & 15th July Half Yearly 15th June & 15th Dec Half Yearly 30th Sept & 31st Mar Annually 31st March Annually 31st March Annually 31st March
Annually 15th March
1 to 8764
Cert Nos : 98000001 to 98000953 Dist. No. ; 1 to 27521 Cert Nos 99000001 to 99001985 Dist Nos : 01000001 to 01001985 Cert Nos : 99001986 to 99002060 Dist Nos : :01001986 to Cert Nos 20000001 to 20002683 Dist Nos : 1 to 2683
N.A
N.A
N.A
N.A.
Quarterly 31st March, 30th June 30th September & Annually- 18th October
N.A.
1 Onwards
N.A.
N.A.
Annually 31st Dec Half Yearly 1st April & 1st October Annually
Put/Call : 15th Feb, 2000 15th Feb, 2001 15th Feb, 2002 & 15th N.A
1 Onwards
1 onwards
N.A.
N.A.
1 Onwards
N.A.
1 Onwards
Annually-28th February
1 onwards
Annually-07th March
1 onwards
Put/Call : Any time after 26th Nov, 2003 by giving 90 days notice and On maturity, 14th March, payment of premium N.A. 2004 On maturity, 14th March, Put & Call: N.A. 2004 Annually 13th March Annually 29th January Annually 13th March Annually 9th November Annually 29th Dec
Annually 15th May
N.A.
N.A.
N.A.
Cert No. 1 to 153 Dist Nos 1 to 3850 Cert No. 3851 to 3993 Dist Nos 154 to 167 Cert No. 3851 to 7000 Dist Nos. 7001 to 8800 Cert No. 3994 Dist Nos 1 8801 to 9000 Cert No. : to 153 Dist Nos 1 to 3850 Cert No. 3851 to 3993 Dist Nos 1 to 25 7000 Cert No. 3851 to 1 to 3020
N.A.
N.A.
N.A.
N.A.
None
1 onwards
N.A.
N.A.
1 -2/(1 - 165) 6 -6/(873 -972) 8 - 11/(1673 - 1865) 15 - 17/(1901 - 2010) 1 - 68/(1 - 7210) 70 - 73/(7221 - 7500) 76 - 77/(7211 - 7220)
Half Yearly - 01st Feb. & N.A. 01st August Half Yearly - 01st Feb. & N.A. 01st August Half Yearly - 01st Feb. & N.A. 01st August Half Yearly - 01st Feb. & N.A. 01st August Annually - 01st February N.A.
17/(1371 - 1870)
1 -7/(1 -345) 9-14/(378 - 764) 16 -28/(787 - 1177) 30 - 31/(1185 - 1209) 23/(5922 - 6421)
2 -6/(151 - 347) 8 - 22/(418 - 5921) 59/(672001 - 692000) 88 - 90/(761451 761850) 5/(46001 - 66000) 22/(339301 - 439300) 2 -33/(56 - 581) 35 - 40/(682 - 992) 42 - 44/(1 - 55) 38 - 42/(879 - 904)
Half Yearly - 01st Feb & 01st August Annually - 01st October
N.A.
N.A.
N.A.
1-2/(1 - 600)
N.A.
2 - 12/(1 - 200)
N.A.
Half Yearly - 01st Jan. & 1st July Annually -01st January
46/(1030 - 1329)
Annually-01st Feb
N.A.
N.A.
Annually-01st August
1 -39/91 - 1324)
Quarterly 31st March, 30th June, 30th Sept & Quarterly 31st March, 30th June, 30th Yearly, 1st March & Half Sept & 1st Sept Half Yearly 1st March & 1st Sept Quarterly 31st March 30th June 30th Sept & 28th July, On maturity, 2003 or exercising of Put/Call Option On maturity, 29th September, 2003 or on exercising of Put/Call Option
N.A.
Cert No. G Dist Nos : 2400009 to 2400020 Cert No. G Dist Nos : 2400009 to 2400020 1 to 29 224 to 6417
N.A.
Put & call14th February, 2005 Put & call-26th March, 2005
12856 to 12916 13066 to 13635 13651 to 14643 Put/Call : 31st December, 14687 to 001 Cert No. 14731 2000 & 30th June, 2002 Dist Nos : 000001 to 100000 Put & Call:Daily Notice by 1 to 20 1.30 p.m. on previous working day Put/Call:Daily Notice by 1.30 p.m. on previos working day 1 to 15
On maturity, 10th October, 2003 or on exercise of Put/Call Option Half Yearly 1st May & 1st November On maturity, 2nd January, 2004 or on exercise of Put / Call Option Annually 14th Dec Annually 14th Dec N.A.
Put & Call:Daily Notice by 1 to 20 1.30 p.m. on previous working day N.A. Cert Nos : 1 to 20 Dist Nos : 1 to 20
Put & Call:Daily Notice by 1 to 20 1.30 p.m. on previous working day Put/Call : 14th December, 2004 Put/Call : 14th December, 2004 Put: N.A. Call: N.A. Put: N.A. Call: N.A. Put: N.A. Call: N.A. Put: N.A. Call: N.A. Put: N.A. Call: N.A. Put & call -after 19th April,2002 Put & call -after 30th Nov.2002 N.A 2/(B1 to B300) N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Quarterly31st March 30th June 30th September Quarterly 31st Dec. 31st March 30th Yearly Half June & 30th Sept & 31st March
A1/(A1 to A200000)
N.A
N.A
None
2316-2375
Annually 22nd July Annually 25th January Annually 8th February Annually 15th September Annually 1st September
Annually 5th February
If CRISIL rating is not provided on or before 16th Aug, 2002 and if it is CRISILAA+, put option If below rating is not
N.A.
N.A.
provided on or before 31st Aug, 2002 and if it is below AA+, put option will Cert No. 1001 to 1106 N.A. Dist Nos : 1 to 10,000 N.A. Cert No. 1 to 924 Dist Nos : 1 to 50,000 Cert No. 1001 to 1133 Dist Nos : 1 to 10,000
N.A.
N.A.
N.A.
1 - 924/(1 - 50000)
Quarterly on 30th June, N.A. 30th Sept, 30th Dec and 30th Mar. Annually 31st Mar On maturity, 27th April, 2004 On maturity, 19th July, 2004 N.A.
01/01-1000000
N.A.
On maturity, 23rd July, 2004 On maturity, 8th September, 2004 On Maturity 17th September 2004 On maturity, 15th April, 2005
N.A.
N.A.
NA
Put :11th September, N.A. 2004, Seven days advance notice to be On maturity -29th March, given by the clear working 01 -1000000 Daily-with 3 party who is 2002 days notice On maturity -3rd Sept, 2002 On maturity -10th Sept, 2002 On maturity -4th Dec, 2002 On maturity 11th Dec, 2002 On maturity 9th January, 2003 On maturity 16th January, 2003 On maturity -11th April, 2003 On maturity -15th April, 2003 Put/Call :Daily (2 Clear Working days) N.A.
Daily-may be exercised N.A. by either party with notice of 2 clear working days Put/Call :Daily (2 days from either side) Put/Call : (2 days from either side) Put/Call :Daily (2 days from either side) Put/Call : (2 days from either side) Put/Call : 2 days from either side Put/Call : 2 days from either side 0001 to 50000
01 to 5,00,000
N.A.
001 - 500000
001 to 5,00,000
01 to 5,00,000
Put/Call:2 days from either side Put/Call:2 days from either side
001 to 005
001 to 005
On maturity, 8th October, Put & Call:2 days from 2003 either side On maturity, 12th October, 2003 On maturity -4th June, 2002 On maturity -10th June, 2002 Put & Call:2 days from either side
001 to 0500000
001 to 50000
Daily-with 2 clear working 01 -5,00,000 days notice Daily-with 2 clear working 01 -5,00,000 days notice
On Maturity 12th January Put & Call:May be NA 2004 excercised by either party with notice of two clear On Maturity 19th January working days. be Put & Call:May NA 2004 excercised by either party with notice of two clear Annually-03rd December working days. N.A. 1 -21/(1 -2240)
Annually-27th March
N.A.
On maturity 9th February, 2003 On maturity 26th February, 2003 On maturity 13th May, 2003
At any time before the date of redemption At any time before the date of redemption At any time before the date of redemption
N.A.
N.A.
At any time before the date of redemption Put & Call:At any time before the date of redemption
N.A.
N.A.
On maturity, 15th August, Put & Call:At any time 2003 before redemption Annually 31st March Quarterly 6th January 6th April 6th July &3rd June Annually, N.A
N.A.
Cert No. 1 to 25
N.A
Cert No. 1 to 35
N.A.
Half Yearly 15th May & 15th Nov Half Yearly 15th March & 15th Sept Half Yearly 15th March & 15th Sept Annually 16th Aug 01st of every month
N.A.
Cert No. 1 to 49 Dist Nos : 1 to 7950 Cert No. 1 to 62 Dist Nos : 7951 to 23279 Cert No. 1 to 236 Dist Nos : 23280 to 53960
N.A.
N.A.
Put/Call : 15th Sept, 2005 Cert No. 1 to 238 Dist Nos : 53960 to 76450 Call option - any date from the date of subscription.With a minimum notice of 2 Call option - any date 161/(5350001 - 5350005)
162/(5350006 - 5350010)
from the date of subscription.With a 01st day of each month minimum Both the issuer 163/(5850001 to Put/Call : notice of 2 or on Put/Call Option & holder of the bonds 5850020) Date will have early redemption option, with a
06th Of every month(interest rate daily on compounding basis) 06th Of every month (interest rate daily on compounding basis) 01st of every month
Call option - any date 3900001 - 4670000) from the date of subscription/allotment.Ex ercise of option requires 46710001 - 4700000 Call option - any date from the date of subscription/allotment.Ex ercise of option requires 160/(4700001 - 5350000) Call option - any date
from the date of subscription.With a 01st day of each month minimum notice of 1 Early redemption option or on Put/Call Option for the issuer anytime Date from the date of subscription. With the Month Both the Issuer and 1st Day of each month or on Put/Call date First Int payment : month 01st day of each 1st or on Put/Call Option Date (Interest rates daily on compounding basis) 01st day of each month or on Put/Call Option Date Holder of the Bonds will have early redemption option, with a minimum Early redemption option for the issuer anytime from the date of subscription. With Call -Early redemption
162/(5550001 to 5850000) Cert No. : 165 Dist Nos. : 6600021 to 6600040 161/(5350001 to 5550000) 163/(5850021 to 6150020)
option for the issuer anytime from the date of subscription. With the Cert No. : 201 Month Both the Issuer and 1st Day of each month Holder of the Bonds will Dist Nos. : 1001 to 1020 have early redemption Monthly 01st day of each option, withredemption Call -Early a minimum Cert No. 166 month option for the issuer 000001 to 650000 anytime from the date of subscription. Exercise of Cert No. : 202 Month Both the Issuer and the 1st Day of each month Month 1st Day of each month Month 1st Day of each month Monthly 1st Day of each month Holder of the Bonds will have early redemption option, with a minimum Early redemption option Dist Nos. : 1001 to 1020
Cert No. : 167 for the issuer anytime Dist Nos. : 000001 to from the date of 300000 subscription. Exercise of Cert No. : 168 Early redemption option for the issuer anytime Dist Nos. : 300001 to from the date of 500000 subscription. Exercise of Cert No. : 169 Call -Early redemption option for the issuer Dist Nos. : 500001 to anytime from the date of 1250000 subscription. Exercise of
Monthly 1st Day of each month Monthly 1st Day of each month Monthly 1st Day of each month Monthly 1st Day of each month
Both the Issuer and the Holder of the Bonds will have early redemption option, withredemption Call -Early a minimum
Cert No. : 203 option for the issuer Dist Nos. : 000001 to anytime from the date of 650000 subscription. Exercise of 170, 0000001 to 0200000 Call -Early redemption option for the issuer anytime from the date of subscription. Exercise of 171, 0200001 to 0375000 Call -Early redemption
option for the issuer anytime from the date of subscription. Exercise of 172, 0375001 to 1050000 Monthly Call -Early redemption 1st Day of each month option for the issuer anytime from the date of Monthly, 1st day of each subscription. Exercise of 205, 1001 to 1020 Put & Call:Both the month Issuer & the Holder of the Bonds will have early Monthly, 1st day of each redemption option, with a 206, 001 to 525 Put : N.A. month Call -Early redemption option for the issuer Monthly, 1st day of each anytime from the date of 001-075 Put : N.A. month Call -Early redemption option for the issuer Monthly, 1st day of each anytime from the date of 076-825 Put : N.A. month Call -Early redemption option for the issuer Monthly, 1st day of each anytime from the date of 209, 826 to 1457 Put : N.A. month Call:Early redemption option for the issuer anytime from the dateaof Cert No. : AEB0146Monthly Put & call - daily(with First Int Payment : 6th Jan, 2002 Monthly (First interest payment for broken period from the date of allotment to 31st Monthly (First interest payment for broken period from the date of allotment to 31st minium notice period of 2 AEBO148 working days. Dist Nos. 65701 - 66450 Daily-Both for the issuer and the Holder of the Bonds & early redemption with a Same as above Cert No. : 151 Dist Nos. 66451 - 66950 Cert No. : 152 -154 Dist Nos. : 66951 - 68450
Monthly First Int Payment : 6th Jan, 2002 On maturity 24th April 2002
Put & call - daily(with a Cert No. : AEB0146minium notice period of 2 AEBO148 working days. Dist Nos. 65701 - 66450
Daily. Both the issuer and Cert No. : 160 Bond Holder will have Dist Nos. 70951 - 71200 early redemption option with a minimum notice Monthly Same as above Cert No. : 155-156 (First interest payment for Dist Nos. 68451 - 69450 broken period from the date of allotment to 31st Daily Both the issuer and Cert No. : 157-159 Monthly 1st day of each month or on Put/Call Option Date Monthly 1st day of each month or on Put/Call Option Date Monthly 1st day of each month or on Put/Call Option Date Monthly 1st day of each month or on Put/Call Option Date Monthly 1st day of each month or on Put/Call Option Date Monthly 1st day of each month or on Put/Call Option Date Monthly the Holder of the Bonds Dist Nos. 69451 - 70950 & early redemption option with a: minimum Notice Daily Both the issuer Cert No. : 161 and the Holder of the Dist Nos :79051 to 79335 Bonds will have early redemption option with a Cert No. : 162 Daily : Both the issuer and the Holder of the Dist Nos : 79336 to Bonds will have early 79620 redemption option with a Cert No. : 163 Daily : Both the issuer and the Holder of the Dist Nos : 79621 to Bonds will have early 80050 redemption option with a 164/(80051 to 81050) Daily : Both the issuer and the Holder of the Bonds will have early redemption option with a 165/(81051 to 81500) Daily : Both the issuer and the Holder of the Bonds will have early redemptionfor the issuer Cert No. : 173 Daily Both option with a Dist Nos. 88651 to 89650 174/(89651 - 91150)
and the Holder of the 1st Day of each month or Bonds will have early on Put/Call Option Date redemption with & the Monthly Both the Issuer a (1st July) 01st day of every month or on the put/call date Holder of the Bonds will have early redemption option with a minimum Both the Issuer & the
176/(101 to 850)
Holder of the Bonds will have early redemption Monthly-01st day of each option with a minimum Put/Call : Both the issuer Cert No. 180 month or on Put/Call and the Holder of the Dist Nos : 1001 to 2880 option date Bonds will have early redemption option with a
On maturity-22nd November,2002
001/(01 -10)
Monthly-01st day of each Daily - the issuer of the 166/(71210-73100) month Bonds will have early redemption with a Monthly-01st day of each minimum Notice period of 197/(73101-76300) Daily - the issuer of the month Bonds will have early redemption with a Monthly-01st day of each minimum Notice period of 168/(76301-79050) Daily - the issuer of the month Bonds will have early redemption with a Monthly-01st day of each minimum Notice period of 169/(81501-82750) Daily - the issuer of the month Bonds will have early 170/(82751-83800) redemption with a Monthly-01st day of each minimum Notice period of 171/(83801-84050) Daily - the issuer of the month Bonds will have early redemption with a Monthly-01st day of each minimum Notice period of 172/(84051-84150) Daily - the issuer of the month Bonds will have early redemption with a Monthly-01st day of each minimum Notice period of Cert No. 175 Early redemption option month for the Issuer anytime Dist Nos : 84151 to from the date of 84300 subscription. Exercise of Cert No. 177 Monthly-01st day of each Put/Call : Early month redemption option for the Dist Nos : 84301 to issuer anytime from the 84600 Monthly-01st day of each date of subscription. Put/Call : Early Cert No. 178 month redemption option for the Dist Nos : 84601 to issuer anytime from the 85500 Monthly-01st day of each date of subscription. Put/Call : Early Cert No. 179 month redemption option for the Dist Nos : 85501 to issuer anytime from the 86150 Monthly-01st day of each date of subscription. Early redemption option Cert No. 180 month for the issuer anytime Dist Nos 86151-86250 from the date of Monthly-01st day of each subscription. Exercise of Cert No. 181 Put/Call : Early month redemption option for the Dist Nos : 86251 to issuer anytime from the 86650 date of subscription.
Monthly-01st day of each Put/Call : Early month redemption option for the issuer anytime from the Monthly-01st day of each date of subscription. Early redemption option month
183/(86851-86900) for the Issuer anytime from the date of subscription. Exercise of 184/(86901 to 87200) Monthly Early redemption option 01st day of each month for the Issuer anytime from the date of Monthly-01st day of each subscription. Exercise of Cert No. 185 Put/Call : Early month redemption option for the Dist Nos : 87201 to issuer anytime from the 87300 date of subscription. Quarterly. NA 204 (3000001-6000000) 31st March 30th June 30th September Quarterly. 31st March 30th June 30th September Quarterly. 31st March 30th June 30th September Annually-31st March
NA
205-207 (60000017500000) NA
NA
N.A.
Cert No.000001 - 000412 Dist No. 00001 - 18000 Cert No.000001 - 00156 Dist No. 00001 - 06000 Cert No.000001 - 00267 Dist No.0001 - 10234 N.A.
Annually-31st March
N.A.
Annually-31st March
N.A.
Half Yearly 23rd January & 23rd July Half Yearly 30th Sept & 31st March Half Yearly 10th Feb & 10th Aug
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 4th July & 4th January Half Yearly 28th Feb & 28th Aug Half Yearly 1st Feb & 1st Aug Half Yearly 5th June & 5th Nov Half Yearly 18th March & 18th Sept Half Yearly 29th July & 29th Jan Half Yearly 26th Feb & 26th Aug Half Yearly 22nd April & 22nd Oct Half Yearly 21st June & 21st Dec Half Yearly 21st July & 21st Jan Half Yearly 18th Sept & 18th March Half Yearly 31st March & 30th Sept Half Yearly 31st March & 30th Sept
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
N.A.
Half Yearly 30th December & 30th June Half Yearly 31st March & 30th Sept Half Yearly 30th June & 31st December
Half Yearly, 31st Dec & 30th June
Put/Call : 30th November Dist Nos : 1 to 31463 2004 Put/Call : 6th May, 2005 Dist Nos : 1 to 116860
1 to 12240
1 to 52780
Half Yearly Put & call-22nd February, 00001 to 00005 30th April & 31st October 2001 Quarterly 31st Dec 31st Mar 30th June Half Yearly 31st March & 30th September Annually 01st December Annually 01st December 31st Jan, 2002 with 30 days notice 31st Jan, 2002 with 30 days notice N.A. 00001 to 00005
00001 to 00010
N.A
N.A.
N.A
Quarterly, 31st March, 30th June, 30th Sept & 31st Dec
N.A.
1,
1 to 25,00,000
Call Option at the end of each month from 28th Feb, 2002 to 31st Jan, 2003
To be allotted
At Maturity (24th February,2002 On maturity, 25th October, 2004 On maturity 10th May, 2002 On maturity 30th May, 2002 On maturity 13th July, 2002 On maturity 31st July, 2002 On maturity 30th September, 2002 On maturity 11th October, 2002 On maturity 20th December, 2002 On maturity 7th January, 2003 On maturity 10th January, 2003 On maturity 6th April, 2003 On maturity, 13th July, 2003
Put & Call-Daily(with a N.A. notice period of 2 working days) Put & Call:27th July, 2004 119950001 to 119950025
Put/Call: Daily at any Dist Nos. : 71050001 to time after the 76550000 subscription, with a notice period of 2 working days. Dist Nos. : 76550001 to Put/Call: Daily Exerciseable by 82950000 either party at any time after the subscription, N.A. N.A.
N.A.
N.A.
N.A.
90950001 to 96450000
Put/Call option exists and 101950001 to 102950000 is exercisable by either parties with two days notice N.A. 97950001 to 101450000
N.A.
101450001 to 101950000
Put/Call option exists and 102950001 to 106450000 is exercisable by either parties with two days notice Put/Call:Exercisable by 106450001 to 109950000 either parties with 2 days notice
On maturity -09th August, Put & Call:Daily-with two N.A. 2003 days notice On maturity, 8th October, Put & Call:With 2 days 2003 notice On maturity, 11th October, 2003 114950001 to 116450000
Put & Call:Exercisable by 111450000 to 114950000 either party with 2 days notice
On maturity, 8th January, Put & Call:Exercisable by 116450001 to 119950000 2004 either parties with 2 days notice
Registrar with BP Id No. Address where Remarks Physical Securities is to be sent INTIME SPECTRUM Mr. Rajesh Gothi REGISTRY Manager (Taxation) IN200094 Taxation Dept Aarti Industries Ltd. R AND D Mr. Rajesh Gothi CONSULTANTS LTD IN200588 R AND D CONSULTANTS LTD IN200588 R AND D CONSULTANTS LTD IN200588 Manager (Taxation) Taxation Dept Aarti Industries Ltd. Mr. Rajesh Gothi Manager (Taxation) Taxation Dept Aarti Industries Ltd. Mr. Rajesh Gothi
Manager (Taxation) Taxation Dept SHAREPRO SERVICES Aarti Industries Ltd. Mr. Mohan P. Sonar IN200043 Company Secretary Secretarial Dept. SHAREPRO SERVICES AARTI INDUSTRIES Mr. Mohan P. Sonar IN200043 Company Secretary Secretarial Dept. SHAREPRO SERVICES AARTI INDUSTRIES Mr. Mohan P. Sonar IN200043 Company Secretary Secretarial Dept. SHAREPRO SERVICES AARTI INDUSTRIES Mr. Mohan P. Sonar IN200043 Company SecretarySecretarial Dept SHAREPRO SERVICES AARTI INDUSTRIES Mr. Mohan P. Sonar IN200043 Company SecretarySecretarial Dept SHAREPRO SERVICES AARTI INDUSTRIES Mr. Mohan P. Sonar IN200043 Company SecretarySecretarial Dept SHAREPRO SERVICES AARTI INDUSTRIES Mr. Mohan P. Sonar IN200043 Company SecretarySecretarial Dept Intime Spectrum Registry AARTI INDUSTRIES Mr. Rajesh Gothi Ltd. (IN200094) Manager (Taxation) Taxation Dept Aarti Industries Ltd.
Intime Spectrum Registry Mr. Rajesh Gothi Ltd. Manager (Taxation) (IN200094) Taxation Dept Intime Spectrum Registry Aarti Industries Ltd. Mr. Rajesh Gothi Ltd. (IN200094) Manager (Taxation) Taxation Dept Intime Spectrum Registry Aarti Industries Ltd. Mr. Rajesh Gothi Ltd. Manager (Taxation) (IN200094) Taxation Dept Aarti Industries Ltd. INTIME SPECTRUM Mr. Rajesh Gothi REGISTRY IN200094 R AND D CONSULTANTS LTD IN200588 MCS Limited(IN200019) Manager (Taxation) Taxation Dept Aarti Industries Ltd. Mr.V.B. Shah General Manager R & D Consultants 610, Dalamal Tower , Mr. Rajesh Satardekar, Manager, Central Processing Dept., MCS Limited, Same as above
MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019)
Same as above
Mr. L. Vedanarayanan Chief Operating Officer ABN Amro Securities (India) as above Same Pvt. Ltd.
Mr. L. Vedanarayanan Chief Operating Officer ABN Amro Securities (India) as above Same Pvt. Ltd.
Mr. L. Vedanarayanan Chief Operating Officer ABN Amro Securities (India) Pvt. Ltd.
MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019)
Mr. L. Vedanarayanan Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India) as above Same Pvt. Ltd.
Same as above
Same as above
Mr. L. Vedanarayanan Chief Operating Officer ABN Amro Securities (India) as above Same Pvt. Ltd.
Same as above
Mr. L. Vedanarayanan Chief Operating Officer ABN Amro Securities (India) as above Same Pvt. Ltd.
MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019)
Mr. L. Vedanarayanan Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India) Pvt. Ltd.
MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019
Mr. L. Vedanarayanan Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India)Vedanarayanan Mr. L. Pvt. Ltd. Chief Operating Officer ABN Amro Securities (India) Pvt. Ltd.
MCS IN200019
Mr. L. Vedanarayanan Chief Operating Officer ABN Amro Securities Pinnacle Shares Registry (India) as above Same Pvt. Ltd. Pvt. Ltd. (IN200060) ABC Computers Pvt. Ltd.(IN200297) ABC Computers Pvt. Ltd.(IN200297) AXC Computers Pvt. Ltd.(IN200297) AXC Computers Pvt. Ltd.(IN200297) AXC Computers Pvt. Ltd.(IN200297) Karvy Consultants Ltd. (IN200035) INTIME SPECTRUM REGISTRY IN200094 Maheswari Datamatics pvt. Ltd.(IN200369) Mr.D. Ganguly, Asst. Manager, ABC Computers Pvt. Ltd., National Council Of Mr.D. Ganguly, Asst. Manager, ABC Computers Pvt. Ltd., National Council Of Mr.D. Ganguly, Asst. Manager, AXC Computers Pvt. Ltd., National Council Of Mr.D. Ganguly, Asst. Manager, AXC Computers Pvt. Ltd., National Council Of Mr.D. Ganguly, Asst. Manager, AXC Computers Pvt. Ltd., National Council Of Mr. Jasbir Singh Company Secretary Agro Dutch Industries Ltd. Nitin Shah Mr. General Manager Accounts ALEMBIC LTD. Mr.T.K.Biswas,
Manager-Shares, Maheswari Datamatics Maheshwari Datatmatics Pvt.Tapan Kumar Biswas Mr. Ltd.,. Pvt. Ltd. Manager - Secretarial (IN200369) Services Maheshwari Datatmatics INTIME SPECTRUM Mr. Premkumar REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 Asst. Manager - Legal Alok Industries Ltd. 108, Shah & Nahar Mr. Premkumar Asst. Manager - Legal Alok Industries Ltd. 108, Shah & Nahar
Mr. Premkumar Asst. Manager - Legal Alok Industries Ltd. Intime Spectrum Registry 108, Shah & Nahar Mr.Kishore Thakkar, pvt ltd(Bp Id IN200094 Director, Intime Spectrum Private Intime Spectrum Registry Ltd., Mr.Kishore Thakkar, pvt ltd(Bp Id IN200094 Direstor, Intime Spectrum Private Intime Spectrum Registry Ltd., Mr. Premkumar Pvt. LTd( IN200094) Asst. Manager - Legal Alok Industries Ltd. Intime Spectrum Registry 108, Shah & Nahar Mr.Kishore Thakkar Pvt. LTd( IN200094)
AMTRAC MGMT SERVICES LTD IN200192
AMTRAC MGMT SERVICES LTD IN200192 Sharex (India) Pvt. Ltd. in200393 Sharex (India) Pvt. Ltd. in200393 Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Beetal Financial & Computer Services. (IN200504) Beetal Financial & Computer Services. (IN200504)
Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Sasikumar Branch Manager Sharex (India) Pvt. Ltd. 17/B, Dena Bank Bldg Mr. Sasikumar Branch Manager Sharex (India) Pvt. Ltd. 17/B, Dena Bank Bldg Mr. S. Gopalan General Manager Amrutanjan Finance Ltd. New No. 103, Old No. 42Mr. S. Gopalan General Manager Amrutanjan Finance Ltd. NewIqneet Kaur No. 42Ms. No. 103, Old Company Secretary Amtek Auto Ltd. Bhanot Apartments Same as above
Beetal Financial & Computer Services. (IN200504) BEETAL FINAN.AND COMPU. IN200504 BEETAL FINAN.AND COMPU. IN200504 BEETAL FINAN.AND COMPU. IN200504 Beetal Financial & Computer Services. (IN200504) MCS Ltd. (IN200019)
Same as above
Mr. Dinesh Kumar Company Secretary Amtek Auto Ltd. Bhanot Apartments Mr. Dinesh Kumar Company Secretary Amtek Auto Ltd. Bhanot Apartments Mr. Dinesh Kumar Company Secretary Amtek Auto Ltd. Bhanot Apartments Mr. Dinesh Kumar Company Secretary Amtek Auto Ltd. Bhanot Apartments Mr. T.R. Ramabhadran Company Secretary Merchant Banking Division above Same as
KARVY IN200035 Karvy Consultants ltd/(IN200035) Karvy Consultants ltd/(IN200035) Same as above
Mr. S. Ravindra Kumar DGM - Finance & Operations Andhra Fuels Private Mr. V.K.Jayaraman Asst/General Manager Karvy Consultants Limited Mr. V.K.Jayaraman Asst/General Manager Karvy Consultants Limited above Same as
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
XL Softech Systems Ltd. Mr. K. Ramesh (IN200529) Manager XL Softech Systems Ltd. XL Softech Systems Ltd. 3, Sagar Society Road Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529)
XL Softech Systems Ltd. Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529) XL Softech Systems Ltd. Same as above (IN200529) INTEGRATED ENTP. (I) Mr. L. Lakshmi Narayana LTD Reddy IN200264 Dy. General Manager Secretarial Integrated Enterprises Mr. L. Lakshmi Narayana (India) Limited. (IN200264) Reddy Dy. General Manager Pinnacle Shares Registry Secretarial V. Shah Mr. Gautam Pvt. Ltd. General Manager (IN 200060 ) Pinnacle Shares Registry P. Ltd MCS Mr.Digish Shah IN200019 Same as above Manager-Secretarial Ashima Limited 210, Ashima House Same as above
Mr. S. Balasubramanian Sr. Vice President Mr. Suresh Babu K. Senioras above Same Manager
Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited.(IN200264) Integrated Enterprises (India) Limited.(IN200264) Same as above
Mr. S. Balasubramanian Sr. Vice President Mr. Suresh Babu K. Senioras above Same Manager
Mr. S. Balasubramanian Sr. Vice President Mr. Suresh Babu K. Senioras above Same Manager
Mr. S. Balasubramanian Sr. Vice President Mr. Suresh Babu K. Senior Manager Ms. Sudha Sreenivasan Executive - Treasury Ashok Leyland Finance Ltd. as above Same
Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Same as above
Ms. Sudha Sreenivasan Executive - Treasury Ashok Leyland Finance Ltd. Sudha Sreenivasan Ms. Executive - Treasury Ashok Leyland Finance Ltd. as above Same
Same as above
Mr. S. Balasubramanian Sr. Vice President Mr. Suresh Babu K. Senioras above Same Manager
Same as above
Same as above
Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264)
Ms. Sudha Sreenivasan Executive - Treasury Ashok Leyland Finance Ltd. S. Balasubramanian Mr. Sr. Vice President Mr. Suresh Babu K. Senior Balasubramanian Mr. S. Manager Sr. Vice President Mr. Suresh Babu K. Senior Balasubramanian Mr. S. Manager Sr. Vice President Mr. Suresh Babu K. Senior Balasubramanian Mr. S. Manager
Sr. Vice President Mr. Suresh Babu K. INTEGRATED ENTP. (I) Senior Sampath Kumar/ Mr. N. Manager LTD Ms. Sudha Sreenivasan IN200264 Executive Director INTEGRATED ENTP. (I) Finance Mr. N. Sampath Kumar/ LTD IN200264 Ms. Sudha Sreenivasan Executive Director INTEGRATED ENTP. (I) Finance Mr. N. Sampath Kumar/ LTD Ms. Sudha Sreenivasan IN200264 Executive Director INTEGRATED ENTP. (I) Finance Mr. S. Balasubramanian LTD IN200264 Sr. Vice President Mr. Suresh Babu K. INTEGRATED ENTP. (I) Senior Balasubramanian Mr. S. Manager LTD Sr. Vice President IN200264 Mr. Suresh Babu K. Senior Manager
Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264)
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INTEGRATED ENTP. (I) Mr. N. Sampath Kumar/ LTD Ms. Sudha Sreenivasan IN200264 Executive Director Finance Integrated Enterprises Ms. Sudha Sreenivasan (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Executive - Treasury Ashok Leyland Finance Ltd. Sudha Sreenivasan Ms. Executive - Treasury Ashok Leyland Finance Ltd. Sudha Sreenivasan Ms.
Executive - Treasury Ashok Leyland Finance INTEGRATED ENTP. (I) Ltd. N. Sampath Kumar/ Mr. LTD Ms. Sudha Sreenivasan IN200264 Executive Director Finance above Integrated Enterprises Same as (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Same as above
INTEGRATED ENTP. (I) Mr. N. Sampath Kumar/ LTD Ms. Sudha Sreenivasan IN200264 Executive Director INTEGRATED ENTP. (I) Finance Mr. N. Sampath Kumar/ LTD IN200264 Ms. Sudha Sreenivasan Executive Director INTEGRATED ENTP. (I) Finance Mr. N. Sampath Kumar/ LTD Ms. Sudha Sreenivasan IN200264 Executive Director Finance above Integrated Enterprises Same as (India) Limited. (IN200264)
Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264)
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Mr.N.Sundararajan, Company Secretary, Ashok Leyland ltd., Building No.2,7th Floor, Same as above
INTEGRATED ENTP. (I) Mr.N.Sundararajan, LTD Company Secretary, IN200264 Ashok Leyland ltd., Building No.2,7th Floor, Integrated Enterprises Mr.N.Sundararajan, (India) Limited. (IN200264) Integrated Enterprises (India) Limited. (IN200264) Company Secretary, Ashok Leyland ltd., Building No.2,7th Floor, Mr.N.Sundararajan,
Company Secretary, Ashok Leyland ltd., Intime Spectrum Registry Building No.2,7th Floor, Mr. Rajkumar C. Ltd. (IN200094) Company Secretary Asianet Satellite Intime Spectrum Registry Communications Ltd. Mr. Rajkumar C. Ltd. (IN200094) Company Secretary Asianet Satellite Intime Spectrum Registry Communications Ltd. Mr. Rajkumar C. Ltd. (IN200094) Company Secretary Asianet Satellite Intime Spectrum Registry Communications Ltd. Mr. Rajkumar C. Ltd. (IN200094) Company Secretary Asianet Satellite Intime Spectrum Registry Communications Ltd. Mr. Rajkumar C. Ltd. (IN200094) Company Secretary Asianet Satellite Intime Spectrum Registry Communications Ltd. Mr. Rajkumar C. Ltd. (IN200094) Company Secretary Asianet Satellite Communications Ltd.
Intime Spectrum Registry Mr. Rajkumar C. Ltd. (IN200094) Company Secretary Asianet Satellite Intime Spectrum Registry Communications Ltd. Mr. Rajkumar C. Ltd. (IN200094) Company Secretary Asianet Satellite Intime Spectrum Registry Communications Ltd. Mr. Rajkumar C. Ltd. (IN200094) Company Secretary Asianet Satellite Communications Ms. Swati Kulkarni Ltd. E-SERVE INTL IN200377 E-SERVE INTL IN200377
E-SERVE INTL IN200377 Manager Associates India Financial Services Pvt. Limited
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni
Manager Associates India Financial Services Pvt. Limited
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E-SERVE INTERNATIONAL LIMITED IN200377 INTL E-SERVE IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Mr. Ashish Sethi
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Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Same as above
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E-serve International (BP Mr. Ashish Sethi Id IN IN200377). Asst. Manager Treasury Operations Associates India
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Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Same as above
E-serve International is Mr. Ashish Sethi Coupon Rate will be the Registrar [IN200377] Asst. Manager Treasury 8.75% if put option is Operations exercised Associates Sethi India E-serve International is Mr. Ashish the Registrar [IN200377] Asst. Manager Treasury Operations Associates India Same as above Same as above
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Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Ms. Swathi Kulkarni Manager Associates India Financial Services Pvt. Mr. Ashish Sethi
E-serve International is the Registrar [IN200377] Asst. Manager Treasury Operations Associates India
E-serve International is Mr. Ashish Sethi the Registrar [IN200377] Asst. Manager Treasury Operations Associates Sethi E-serve International Mr. Ashish India [IN200377] IN200377 (E-Serv International) IN200377 (E-Serv International) E-serve International [IN200377] E-serve International [IN200377] Asst. Manager Treasury Operations Associates Sethi Mr. Ashish India Asst. Manager - Treasury Operations Associates Sethi Mr. Ashish India Asst. Manager - Treasury Operations Associates Sethi Mr. Ashish India Asst. Manager Treasury Operations Associates India Ms. Swathi Kulkarni Manager Associates India Financial Services Pvt. Mr. Ashish Sethi
E-serve International is the Registrar [IN200377] Asst. Manager Treasury Operations Associates India Same as above Same as above
E-serve International is Mr. Ashish Sethi the Registrar [IN200377] Asst. Manager Treasury Operations Associates India Same as above Same as above
Date of put/call-At 1 day notice to either party (before 2p.m. on the day before the Put/Call Date of put/call-At 1 day notice to either party (before 2p.m. on the day before the Put/Call
Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Same as above
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Ms. Swati Kulkarni Manager Treasury Associates India Financial above Pvt. Same as Services
Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Same as above
Date of put/call-At 1 day notice to either party (before 2p.m. on the day before the Put/Call Same as above
SAME AS ABOVE
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Date of put/call-At 1 day notice to either party (before 2p.m. on the day before the Put/Call Same as above
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Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Same as above
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Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Same as above
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E-serve International (BP Mr. Ashish Sethi Id IN IN200377). Asst. Manager Treasury Operations Associates India Same as above Same as above
E-serve International (BP Mr. Ashish Sethi Id IN IN200377). Asst. Manager Treasury Operations E-serve International (BP Associates Sethi Mr. Ashish India Id IN IN200377). E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] Asst. Manager Treasury Operations Associates Sethi Mr. Ashish India Asst. Manager Treasury Operations Associates India Ms. Swati Kulkarni Manager Treasury Associates India Financial above Pvt. Same as Services
E-serve International is Mr. Ashish Sethi the Registrar [IN200377] Asst. Manager Treasury Operations Associates India E-serve International Ms. Swathi Kulkarni [IN200377] Manager Associates India Financial Services Pvt.
E-serve International is Mr. Ashish Sethi the Registrar [IN200377] Asst. Manager Treasury Operations Associates India E-serve International Ms. Swathi Kulkarni [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] Manager Associates India Financial Services Pvt. Mr. Ashish Sethi Asst. Manager Treasury Operations Associates Sethi Mr. Ashish India Asst. Manager Treasury Operations Associates Sethi Mr. Ashish India Asst. Manager Treasury Operations Associates India Ms. Swathi Kulkarni Manager Associates India Financial Services Pvt. Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Ms. Swathi Kulkarni Manager Associates India Financial Services Pvt. Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Ms. Swathi Kulkarni Manager Associates India Financial Services Pvt. Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Ms. Swathi Kulkarni Manager Associates India Financial above Pvt. Same as Services
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E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-serve International [IN200377] E-serve International [IN200377] Same as above
Ms. Swati Kulkarni Manager Treasury Associates India Financial above Pvt. Same as Services
Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial above Pvt. Same as Services
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E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] Same as above
Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial above Pvt. Same as Services
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Ms. Swati Kulkarni Manager Treasury Associates India Financial above Pvt. Same as Services
E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377]
Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Limited
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Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India
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E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt.
Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Same as above
E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377 E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
Ms. Swati Kulkarni Manager Treasury Associates India Financial above Pvt. Same as Services
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt.
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni
Manager Associates India Financial Services Pvt. Limited
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Mr. Ashish Sethi Asst. Manager Treasury Operations Associates India Same as above
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-serve International [IN200377]
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt.
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Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial above Pvt. Same as Services
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E-SERVE INTL
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Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swathi Kulkarni Manager Associates India Financial Services Pvt.
E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
Ms. Swathi Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt.
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 Same as above
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial above Pvt. Same as Services
E-serve International (BP Mr. Ashish Sethi Id IN IN200377). Asst. Manager Treasury Operations Associates India E-serve International Ms. Swati Kulkarni [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 Manager Treasury Associates India Financial above Pvt. Same as Services
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt.
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt.
E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] Same as above
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial above Pvt. Same as Services
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E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377]
Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt.
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
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Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Ms. Swati Kulkarni Pvt.
Manager Treasury Associates India Financial Services Pvt. Limited
E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377
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Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial above Pvt. Same as Services
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E-SERVE INTL IN200377 E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL
Ms. Swati Kulkarni Manager Associates India Financial above Pvt. Same as Services
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Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial above Pvt. Same as Services
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Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt.
E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-serve International [IN200377] E-serve International [IN200377]
Ms. Swati Kulkarni Manager Associates India Financial above Pvt. Same as Services
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt.
E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Treasury Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt.
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377] E-serve International [IN200377]
Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Pvt. Ms. Swati Kulkarni Manager Associates India Financial Services Ms. Swati Kulkarni Pvt.
Manager Treasury Associates India Financial Services Pvt. Limited
Same as above
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PINNACLE SHR REGY P Mr.Gautam Shah LTD General Manager IN200060 Near Ashoka Mills, Naroda Road, Karvy Consultants Mr. K. Sreedhara Murthy Limited(IN200035) KARVY IN200035 BAJAJ AUTO IN100132 BAJAJ AUTO IN100132 BAJAJ AUTO IN100132 RIS Dept. Karvy Consultants Ltd. 46, Avenur-4, Street No.1 Mr. K. Sreedhara Murthy RIS Dept. Karvy Consultants Ltd. 46, Avenur-4, Street No.1 Mr. Pradeep Parakh Company Secretary BAJAJ HINDUSTHAN LIMITED Mr. Pradeep Parakh Company Secretary BAJAJ HINDUSTHAN LIMITED Mr. Pradeep Parakh Company Secretary BAJAJ HINDUSTHAN LIMITED
Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Ltd Ms. Neerja Sharma
Company Secretary First India Place Tower C Mehrauli-Gurgaon Road
RCMC SHARE REGISTRY IN200301 RCMC SHARE REGISTRY IN200301 RCMC SHARE REGISTRY IN200301 RCMC SHARE REGISTRY IN200301 RCMC SHARE REGISTRY IN200301
RCMC SHARE REGISTRY IN200301
Mr. Naresh Chander Director RCMC Share Registry (P) Ltd Manoj Chaturvedi Mr. Director RCMC Share Registry Pvt. Ltd Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Ltd Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt.Naresh Gupta Mr. Ltd Dirtector RCMC Share Registry Pvt. Manoj Chaturvedi Mr. Ltd.
Director RCMC Share Registry Pvt. Ltd 1515, 1st Floor Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Ltd 1515, 1st Floor
RCMC SHARE REGISTRY IN200301 RCMC SHARE REGISTRY IN200301 RCMC SHARE REGISTRY IN200301 RCMC Share Registry Pvt. Ltd. (IN200301) RCMC Share Registry Pvt. Ltd. (IN200301)
Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt.Naresh Gupta Mr. Ltd Director RCMC Share Registry Pvt. Ltd. Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Neerja Sharma, Ms. Ltd Company Secretary, Ballarpur Industries ltd., First India Place,
RCMC Share Registry Pvt. Ltd. (IN200301) RCMC Share Registry Pvt. Ltd. (IN200301) RCMC Share Registry Pvt. Ltd. (IN200301) Same as above
Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Neerja Sharma, Ms. Ltd Company Secretary, Ballarpur Industries ltd., First India Place, Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Ltd above Same as
RCMC Share Registry Pvt. Ltd. (IN200301) RCMC Share Registry Pvt. Ltd. (IN200301) RCMC Share Registry Pvt. Ltd. (IN200301) Same as above
Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Ltd Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Ltd Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Ltd above Same as
Mr. Manoj Chaturvedi Director RCMC Share Registry RCMC Share Registry Pvt. Pvt. Ltd Mr. Manoj Chaturvedi
Ltd. (IN200301) Director RCMC Share Registry Pvt. Ltd
RCMC Share Registry Pvt. Ltd. (IN200301) RCMC Share Registry Pvt. Ltd. (IN200301) RCMC SHARE REGISTRY IN200301
Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Ltd Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Ltd Mr. Manoj Chaturvedi Director RCMC Share Registry Pvt. Ltd
In House Connectivity(IN100116) In House Connectivity(IN100116) In House Connectivity(IN100116) In House Connectivity(IN100116) BALRAMPUR CHINI MILLS IN100116 Canbank Computer Services Limited (IN200570)
Mr.S.K. Agarwal, Co.Secretary, Balrampur Chini Mills ltd, FMC Fortuna, Mr.S.K. Agarwal, Co.Secretary, Balrampur Chini Mills ltd, FMC Fortuna, Mr.S.K. Agarwal, Co.Secretary, Balrampur Chini Mills Ltd, FMC Fortuna, Mr.S.K. Agarwal, Co.Secretary, Balrampur Chini Mills Ltd, FMC Fortuna, Mr.S.K. Agarwal, Co.Secretary, Balrampur Chini Mills Ltd, FMC Fortuna, Mr. V.P.Prathap
Vice President Canbank Computer Services Limited Karvy Consultants Limited (BP Shri. Chandra Mohan
Id IN200035). Unit : Bank of Baroda Karvy Consultants Limited Karvy House Karvy Consultants Limited (BP Shri. Chandra Mohan Id IN200035). Unit : Bank of Baroda Karvy Consultants Limited Karvy House
Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd The Maharashtra Executor & Trustee Co. Ltd. C/o. Bankabove Same as of Maharashtra
Same as above
Same as above
The Maharashtra Executor & Trustee Co. Ltd. C/o. Bank of Maharashtra
Karvy Consultants Limited (BP Id IN200035). Tata Consultancy Services (IN200272) Tata Consultancy Services (IN200272) Tata Consultancy Services (IN200272)
Mr. V. Mahesh Vice President Karvy Consultants Limited Pednekar Mr. D.P. Manager - Operations Tata Consultancy Services Pednekar Mr. D.P. Manager - Operations Tata Consultancy Services Pednekar Mr. D.P.
Manager - Operations Tata Consultancy Intime Spectrum Registry Services Mr. V. Ramanathan, (IN200094) GM (Finance), Bharat Aluminium Intime Spectrum Registry Company Ltd. Mr. V. Ramanathan, (IN200094) GM (Finance), Bharat Aluminium Intime Spectrum Registry Company Ltd. Mr. V. Ramanathan, (IN200094) GM (Finance), Bharat Aluminium Company Ltd. INTIME SPECTRUM Mr. V. Ramanathan REGISTRY IN200094 MCS Ltd. IN200019 Vice President-Finance Bharat Aluminium Company Ltd. Mr. S.S. Seth Company Secretary Secretarial Dept Bharat Forge Ltd. Ms. Shanti Chandrasekaran Secretary BharatR. Menon Bank Mr. K. Overseas Executive Director Shri Venkatesh Bhawan 212 K. Sahapur Jat Mr. A R. Menon Executive Director Shri Venkatesh Bhawan 212 O.P. Davra Jat Mr. A Sahapur Company Secretary Bhushan Steel & Strips Ltd.
Cameo Corporate Services Ltd. (IN200176) MCS Limited (BP Id IN200424). MCS Limited (BP Id IN200424). RCMC Share Registry Pvt. Ltd. (IN200301)
RCMC SHARE REGISTRY IN200301 Tata Share Registry Ltd. (IN200125) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) KARVY IN200035 IIT Corporate Services Limited(IN200150) IIT Corporate Services Limited(IN200150) IIT Corporate Services Limited(IN200150) IIT Corporate Services Limited(IN200150) IIT CORPORATE - SR IN200150 IIT CORPORATE - SR IN200150 IIT CORPORATE - SR IN200150 EIH Limited (BP Id IN200408).
Mr. O.P. Davra Company Secretary Bhushan Steel & Strips Ltd. Vikram Mehmi Mr. Chief Financial Officer Birla Tata AT & T Ltd. Sharda Centre Desai Mr. Rakesh T. Director Blueberry Trading Company Pvt. Ltd. Mr. Rakesh T. Desai Director Blueberry Trading Company Pvt. Ltd. Mr. Rakesh T. Desai Director Blueberry Trading Company Pvt. Ltd. Mr.K.Sanjeeve, Vice President, IIT Corporate Services Limited, Mr.K.Sanjeeva Vice President, IIT Corporate Services Limited, Mr.K.Sanjeeva Vice President, IIT Corporate Services Limited, Mr.K.Sanjeeva Vice President, IIT Corporate Services Limited, Mr.K.Sanjeeva Vice President, IIT Corporate Services Limited, Mr.K.Sanjeeva Vice President, IIT Corporate Services Limited, Mr.K.Sanjeeva Vice President, IIT Corporate Services Limited, Mitra Mr. Ashish General Manager (Treasury & Taxation) BOC India Limited
Mr. Ashish Mitra General Manager (Treasury & Taxation) Mondkar Computers Pvt. BOC India Limited Mr. B.N. Bhattacharjee Ltd. Asst. Manager - Shares & (IN200512) Legal Borosil Glass Works Ltd. Sathguru Management Sathguru Management Consultants Limited(IN200352) Karvy Consultants Limited (BP Id IN200035). Karvy Consultants Limited (BP Id IN200035). Karvy Consultants Limited (BP Id IN200035). Consultants Ltd. Plot No.15, Hindi Nagar Punjagutta Mr. S. Kannan AGM Karvy Consultants Limited above Same as
N.A.
N.A.
Same as above
N.A.
Karvy Consultants Limited (BP Mr. S. Kannan Id IN200035). AGM Karvy Consultants Limited 51/2, T K N Complex, Opp.
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Same as above
Karvy Consultants Limited (BP Id IN200035). Karvy Consultants Limited (BP Id IN200035). Same as above
Same as above
N.A.
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N.A.
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Same as above
N.A.
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Same as above
N.A.
M/s.Sharepro Services(IN B.K.Guha, 200043) Asst.Manager-Share Registry Britannia Industries KARVY RIL Mr. K.V.S. Sastry IN200078 In-house Connectivity (IN100077) In-house Connectivity (IN100077) In-house Connectivity (IN100077) In-house Connectivity (IN100077) In-house Connectivity (IN100077) In-house Connectivity (IN100077) In-house Connectivity (IN100077) In-house Connectivity (IN100077) In-house Connectivity (IN100077) In-House Connectivity(BSES Limited)(IN100077) Addl.General Manager & Company Secretary 6-3-1090/A, Raj Mr. D.N. Modi Company Secretary BSES Infrastructure Finance Ltd. Mr. D.N. Modi Company Secretary BSES Infrastructure Finance Ltd. Mr. D.N. Modi Company Secretary BSES Infrastructure Finance Ltd. Mr. D.N. Modi Company Secretary BSES Infrastructure Finance Ltd. Mr. D.N. Modi Company Secretary BSES Infrastructure Finance Ltd. Same as above
Mr. D.N. Modi Company Secretary BSES Infrastructure Finance Ltd. Same as above
Mr. D.N. Modi Company Secretary BSES Infrastructure Finance Ltd. Mr.Madhukar General Manager(Accounts & Finance)
In-House Connectivity(BSES Limited)(IN100077) In-House Connectivity(BSES Limited)(IN100077) In-House Connectivity(BSES Limited)(IN100077) In-House Connectivity(BSES Limited)(IN100077)
Mr.Madhukar General Manager(Accounts & Finance) Mr.Madhukar General Manager(Accounts & Finance) Mr.Madhukar General Manager(Accounts & Finance) Mr.Madhukar
General Manager(Accounts & PINNACLE SHR REGY P LTD Finance) Mr. Gautam V. Shah IN200060 General Manager Pinnacle Shaers PINNACLE SHR REGY P Registry Pvt.V. Shah Mr. Gautam Ltd. LTD IN200060 General Manager Pinnacle Shaers PINNACLE SHR REGY P Registry Pvt.V. Shah Mr. Gautam Ltd. LTD General Manager IN200060 Pinnacle Shaers PINNACLE SHR REGY P Registry Pvt.V. Shah Mr. Gautam Ltd. LTD IN200060 General Manager Pinnacle Shaers Pinnacle Shares Registry Registry Pvt. Ltd. Same as above Pvt. Ltd. (IN200060) Pinnacle Shares Registry Mr. Gautam V. Shah Pvt. Ltd. General Manager (IN200060) Pinnacle Shaers Pinnacle Shares Registry Registry Pvt.V. Shah Mr. Gautam Ltd. Pvt. Ltd. (IN200060) General Manager Pinnacle Shaers Pinnacle Shares Registry Registry Pvt.V. Shah Mr. Gautam Ltd. Pvt. Ltd. General Manager (IN200060) Pinnacle Shaers Pinnacle Shares Registry Registry Pvt.V. Shah Mr. Gautam Ltd. Pvt. Ltd. (IN200060) General Manager Pinnacle Shaers Registry Pvt. Ltd.
Pinnacle Shares Registry Same as above Pvt. Ltd. (IN200060) Pinnacle Shares Registry Same as above Pvt. Ltd. (IN200060) Pinnacle Shares Registry Same as above Pvt. Ltd. (IN200060) Same as above Same as above
Same as above
Same as above
Canbank Computer Services Limited(IN200570) Canbank Computer Services Limited(IN200570) Canbank Computer Services Limited(IN200570)
V.P.Prathap, Vice President, Canbank Computer Services Limited, V.P.Prathap, Vice President, Canbank Computer Services Limited, V.P.Prathap,
Vice President, Canbank Computer SHAREPRO SERVICES Services Limited, Mr.Balasubramanian IN200043 Vice President (Finance) SHAREPRO SERVICES & Company Secretary Mr.Balasubramanian IN200043 Vice President (Finance) SHAREPRO SERVICES & Company Secretary Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary Canbank Factors Limited
SHAREPRO SERVICES Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr. S.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr. S.Balasubramanian IN200043 Vice President (Finance) & Company Secretary Canbank Factors Limited
SHAREPRO SERVICES Mr. S.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr. S.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr. S.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr.Balasubramanian IN200043 Vice President (Finance) SHAREPRO SERVICES & Company Secretary Mr. S.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr. S.Balasubramanian IN200043 Vice President (Finance) & Company Secretary SHAREPRO SERVICES Canbank Factors Limited Mr. S. Balasubramanian IN200043 Vice President & Company Secretary SHAREPRO SERVICES CANBANK FACTORS Mr. S. Balasubramanian IN200043 Vice President & Company Secretary SHAREPRO SERVICES CANBANK FACTORS Mr. S. Balasubramanian IN200043 Vice President & Company Secretary SHAREPRO SERVICES CANBANK FACTORS Mr. S. Balasubramanian IN200043 Vice President & Company Secretary SHAREPRO SERVICES CANBANK FACTORS Mr. S. Balasubramanian IN200043 Canbank Computer Services Ltd. (IN200570) Vice President & Company Secretary CANBANK FACTORS Mr. V.P.Prathap Vice President Canbank Computer Services Limited
Canbank Computer Services Ltd. (IN200570) Karvy Consultants Limited (BP Id IN200035). KARVY IN200035 TCS IN200272
Mr. V.P.Prathap Vice President Canbank Computer Services Limited Kumar Mr. S. Dhanvanth Company Secretary Carborundum Universal Limited Mr. S. Dhanvanth Kumar Company Secretary Carborundum Universal Limited Elavia Mr. T.M. Company Secretary Ceat Ltd. 463, Dinesh Menghrajani, Shri Dr. A.B. Road
MCS Limited,Mumbai(IN20001 Senior Manager, 9) MCS Limited, Shri Padmavathi Bhavan, MCS Shri Dinesh Menghrajani, Limited,Mumbai(IN20001 Senior Manager, 9) MCS Limited, Shri Padmavathi Bhavan, MCS Shri Dinesh Menghrajani, Limited,Mumbai(IN20001 Senior Manager, 9) MCS Limited, Shri Padmavathi Bhavan, MCS Shri Dinesh Menghrajani, Limited,Mumbai(IN20001 Senior Manager, 9) MCS Limited, Shri Padmavathi Bhavan, MCS Shri Dinesh Menghrajani, Limited,Mumbai(IN20001 Senior Manager, 9) MCS Limited, Shri Padmavathi Bhavan, MCS Shri Dinesh Menghrajani, IN200019 MCS Limited (IN200019) MCS Ltd. (IN200019) MCS Limited(IN200019) Senior Manager, MCS Limited, Shri Padmavathi Bhavan, Shri Dinesh Menghrajani, Senior Manager, MCS Limited, ShriSanjay Sawant Mr. Padmavathi Bhavan, Company Secretary Centurion Bank Ltd. 1201, Raheja Centre Mr. R.S. Kabra, Manager ( Share Department), Century Enka Limited,
COMPUTECH INTERNATIONAL IN200328 COMPUTECH INTERNATIONAL IN200328 COMPUTECH INTERNATIONAL IN200328 COMPUTECH INTERNATIONAL IN200328 COMPUTECH INTERNATIONAL IN200328 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382
Mr. S.P. Yadav Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd. Rajiv Gupta Mr. Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block,
Asst. Manager Zuari Investments Ltd. Computech International 2nd S.P. Yadav Mr. Floor, F-Block, Ltd. Senior Manager (IN200328) Computech International Computech International Ltd. S.P. Yadav Mr. Ltd. (IN200328) Senior Manager Computech International Ltd.
Computech International Mr. S.P. Yadav Ltd. Senior Manager (IN200328) Computech International Computech International Ltd. S.P. Yadav Mr. Ltd. (IN200328) Senior Manager Computech International Computech International Ltd. S.P. Yadav Mr. Ltd. Senior Manager (IN200328) Computech International Computech International Ltd. S.P. Yadav Mr. Ltd. (IN200328) Senior Manager Computech International Computech International Ltd. S.P. Yadav Mr. Ltd. Senior Manager (IN200328) Computech International Ltd. S.P. Yadav COMPUTECH Mr. INTERNATIONAL IN200328 COMPUTECH INTERNATIONAL IN200328 COMPUTECH INTERNATIONAL IN200328 COMPUTECH INTERNATIONAL IN200328 COMPUTECH INTERNATIONAL IN200328 COMPUTECH INTERNATIONAL IN200328 COMPUTECH INTERNATIONAL IN200328 COMPUTECH INTERNATIONAL IN200328 Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd.
Mr. S.P. Yadav Senior Manager Computech International Ltd. S.P. Yadav Mr. Senior Manager Computech International Ltd. S.P. Yadav Mr.
Senior Manager MCS Limited,(Computech Computech International International Ltd.) Mr. R.K. Jain Ltd. Asst. Manager - Investor (IN200328) Relations ZUARI INVESTMENTS Chambal Gupta Mr. Rajiv Fertilisers & LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd. Floor, F-Block, Mr. Rajiv Gupta Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Floor, F-Block,
ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 ZUARI INVESTMENTS LIMITED IN100382 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035
Mr. Rajiv Gupta Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Rajiv Gupta Mr. Floor, F-Block, Asst. Manager Zuari Investments Ltd. 2nd Floor, F-Block, Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment Ms.P.Sujatha, and Finance
Company Secretary, Cholamandalam Investment and Finance Company Limited, Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Company Limited, Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Company Limited, Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Company Limited,
KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 Karvy Consultants Limited(IN200035) Same as above
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
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Karvy Consultants Limited (IN200035) Karvy Consultants Limited (IN200035) Karvy Consultants Limited (IN200035) Karvy Consultants Limited (IN200035) Same as above
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Same as above
Same as above
Karvy Consultants Limited (IN200035) Karvy Consultants Limited (IN200035) Same as above
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Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035)
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and
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Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Same as above
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Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Same as above
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
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Karvy Consultants Ltd. (IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Same as above
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Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
Karvy Consultants Limited(IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Limited (IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Ltd. (IN200035)
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Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Same as above
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Limited(IN200035) KARVY IN200035 Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035)
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Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Same as above
Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035
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Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and
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Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
Based on issuer's request new ISIN allotted against existing isin INE121A08BE1 which
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
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Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and
KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 Karvy Consultants Limited(IN200035) Karvy Consultants Ltd. (IN200035) KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and
KARVY IN200035 KARVY IN200035 KARVY IN200035 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) KARVY IN200035 Same as above
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Same as above
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KARVY IN200035 Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
Same as above
Same as above
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and
KARVY IN200035 KARVY IN200035 Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) KARVY IN200035 Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035)
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
Same as above
Same as above
Same as above
Same as above
Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) KARVY IN200035 Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035)
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Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Same as above
Same as above
Same as above
Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Ltd. (IN200035) KARVY IN200035
Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Finance Ms.P.Sujatha, Company Secretary, Cholamandalam Investment and Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND
KARVY IN200035
KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 Same as above
Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND Ms. P. Sujatha Company Secretary CHOLAMANDALAM INVESTMENT AND Same as above
Same as above
Same as above
Same as above
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Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Finance India Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] Citicorp Finance India Same as above
Same as above
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Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] Citicorp Finance India Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] Citicorp Finance India Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Finance India Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Finance India Same as above
Same as above
Same as above
Same as above
Same as above
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-Serve Intl (IN200377)
Mr. Rahul Bhandari Operations & Technology Head CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] Citicorp Finance India
Mr. Rahul Bhandari Operations & Technology Head, CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] Citicorp Finance India Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Finance India Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Finance India Same as above
Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Finance India
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] Citicorp Finance India Mr. Rahul Bhandari Operations & Technology Head, CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] Citicorp Finance India
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Finance India Mr. Rahul Bhandari Operations & Technology Head, CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Finance India [Operations & Technology Head] Citicorp Finance India Mr. Rahul Bhandari Operations & Technology Head Citicorp Finance India Mr. Rahul Bhandari Operations & Technology Head, Citicorp Finance India Ms. Swati Kulkarni *Reference Rate: mid fix Assistant Vice President rate of 6month MIOIS as CITICORP FINANCE set on page IRS08of (INDIA) LIMITED Reuters at 4.30pm.In the Ms. Swati Kulkarni Asst. Vice PresidentOperations CITICORP FINANCE Same as above
Same as above
Same as above
Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
Same as above
Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
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Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance
Same as above
Same as above
E-serve International is Mr. Mir Rashaduddin the Registrar [IN200377] [Operations & Technology Head] Citicorp Maruti Finance Same as above Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
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Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance
Same as above
Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
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Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
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Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-Serve Intl (IN200377)
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari [Operations & Technology Head] Citicorp Maruti Finance
Mr. Rahul Bhandari [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari [Operations & Technology Head] Citicorp Maruti Finance Mr. Mir Rashaduddin
[Operations & Technology Head] Citicorp Maruti Finance Limited
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance
Same as above
Same as above
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-Serve Intl (IN200377)
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari Operations & Technology Head CITICORP MARUTI Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari Head - Operations & Technology CITICORP FINANCE Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-Serve Intl (IN200377)
Mr. Rahul Bhandari [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Rahul Bhandari Head - Treasury Operations CITICORPBhandari Mr. Rahul MARUTI [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
Mr. Rahul Bhandari [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari [Operations & Technology Head] Citicorp Maruti Finance
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-Serve Intl (IN200377)
Mr. Rahul Bhandari [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORP MARUTI Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
SAME AS ABOVE
SAME AS ABOVE
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
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Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-Serve Intl (IN200377)
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Mr. Rahul Bhandari [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Same as above
Same as above
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari Operations & Technology Head CITICORP MARUTI Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-Serve Intl (IN200377)
Mr. Mir Rashaduddin [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORP MARUTI Mr. Mir Rashaduddin [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] CiticorpRashaduddin Mr. Mir Maruti Finance [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Head - Treasury Operations CITICORPBhandari Mr. Rahul MARUTI Head - Treasury Operations CITICORPBhandari Mr. Rahul MARUTI Head - Treasury Operations CITICORP MARUTI
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
Mr. Rahul Bhandari Head - Treasury Operations CITICORPBhandari Mr. Rahul MARUTI [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari [Operations & Technology Head] Citicorp Maruti Finance Mr. Rahul Bhandari Operations & Technology Head CITICORP MARUTI FINANCE Mr. Rahul Bhandari Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Operations & Technology Head CITICORPBhandari Mr. Rahul MARUTI Head - Treasury Operations CITICORPKulkarni Ms. Swati MARUTI Asst. Vice PresidentOperations CITICORPKulkarni Ms. Swati FINANCE AVP, Operations CitiFinancial Consumesr Finance India Limited Ms. Swati Kulkarni Manager CitiFinancial Consumesr Finance India Limited
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
Ms. Swati Kulkarni AVP, Operations CitiFinancial Consumesr Finance India Limited Ms. Swati Kulkarni Asst. Vice President Operations CITIFINANCIAL Ms. Swati Kulkarni Manager CitiFinancial Consumesr Finance India Limited Ms. Swati Kulkarni AVP, Operations CitiFinancial Consumesr Finance India Limited Ms. Swati Kulkarni AVP, Operations CitiFinancial Consumer Finance India Limited Ms. Swati Kulkarni AVP, Operations CitiFinancial Consumesr Finance India Limited Ms. Swati Kulkarni AVP, Operations CitiFinancial Consumesr Finance India Limited Ms. Swati Kulkarni AVP, Operations CitiFinancial Consumesr Finance India Limited Ms. Swati Kulkarni AVP, Operations CitiFinancial Consumesr Finance India Limited Ms. Swati Kulkarni Asst. Vice President Operations CITIFINANCIAL Ms. Swati Kulkarni Asst. Vice President Operations CITIFINANCIAL Ms. Swati Kulkarni AVP, Operations CitiFinancial Consumer Finance India Limited Ms. Swati Kulkarni Asst. Vice President Operations CITIFINANCIAL
E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
Ms. Swati Kulkarni Asst. Vice President Operations CITIFINANCIAL Ms. Swati Kulkarni Asst. Vice President Operations CITIFINANCIAL Ms. Swati Kulkarni Asst. Vice President Operations CITIFINANCIAL Ms. Swati Kulkarni Asst. Vice President Operations CITIFINANCIAL Ms. Swati Kulkarni Asst. Vice President Operations CITIFINANCIAL Ms. Swati Kulkarni Asst. Vice President Operations CITIFINANCIAL Ms. Swati Kulkarni Asst. Vice President Operations CITIFINANCIAL Mr. Mir Rashaduddin
E-serve International is the Registrar [IN200377] [Operations & Technology Head] CitiFinancial Retail E-serve International is Mr. Mir Rashaduddin
the Registrar [IN200377] [Operations & Technology Head] CitiFinancial Retail E-Serve International Mr. Mir Rashaduddin, Ltd.(IN 200377) Same as above Operations & Technology Head, Citifinancial Retail Same as above
Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Same as above
E-serve International is Mr. Mir Rashaduddin the Registrar [IN200377] [Operations & Technology Head] CitiFinancial Retail Same as above Same as above
e-Serve International Ltd.(IN 200377) e-Serve International Ltd.(IN 200377) e-Serve International Ltd.(IN 200377) Same as above
Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Same as above
Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Same as above
E-Serve International Ltd.(IN 200377) E-Serve International Ltd.(IN 200377) E-Serve International Ltd.(IN 200377) E-Serve International Ltd.(IN 200377)
E-SERVE INTL IN200377
Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin,
Operations & Technology Head, Citifinancial Retail Services
E-Serve International Ltd.(IN 200377) E-Serve International Ltd.(IN 200377) E-Serve International Ltd.(IN 200377) E-Serve International Ltd.(IN 200377) E-Serve International Ltd.(IN 200377) E-SERVE INTL IN200377 E-Serve International Ltd.(IN 200377) E-SERVE INTL IN200377 E-Serve International Ltd.(IN 200377) E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Same as above
Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail
Mr. Rahul Bhandari Operations & Technology Head, Citifinancial Retail Mr. Rahul Bhandari Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Rahul Bhandari Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail
E-SERVE INTL
E-Serve International Ltd.(IN 200377) E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377 E-SERVE INTL IN200377
E-SERVE INTL IN200377 E-Serve International Ltd.(IN 200377) E-SERVE INTL IN200377 AXC Computer Pvt. Ltd.(IN200297) AXC Computer Pvt. Ltd.(IN200297) AXC Computer Pvt. Ltd.(IN200297) AXC Computer Pvt. Ltd.(IN200297) AXC Computer Pvt. Ltd.(IN200297)
Mr. Rahul Bhandari Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Mir Rashaduddin, Operations & Technology Head, Citifinancial Retail Mr. Goutam Chatterjee SOM/Finance Coal India Ltd. 10, Netajiabove Road Same as Subhas
Same as above
Same as above
Same as above
AXC Computers Pvt. Ltd. Mr. Sandip Chatterjee (IN200297) Controller - Finance & Accounts Coates of India Ltd. Sharepro Services Mr. Roshan Gandhi (IN200043) Sharepro Services (IN200043) KARVY IN200035 KARVY IN200035 Sr. Manager - Finance & Taxation Corbel Estate & Mr. Roshan Gandhi Sr. Manager - Finance & Taxation CorbelMahesh& Mr. V. Estate Vice President Karvy Consultants Ltd. Karvy House, 46, Avenue Mr. V. Mahesh Vice President Karvy Consultants Ltd. Karvy House, 46, Avenue
Same as above
Same as above
Karvy Consultants Ltd. Hyderabad (IN200035) Karvy Consultants Ltd. Hyderabad (IN200035) Alankit Assignmets Ltd (IN200086) Tata Share Registry Ltd. (IN200125) CB Management Services Pvt. Ltd (IN200221) CB Management Services Pvt. Ltd (IN200221) CB Management Services Pvt. Ltd (IN200221) CB Management Services Pvt. Ltd (IN200221) CB Management Services Pvt. Ltd (IN200221) CB Management Services Pvt. Ltd (IN200221) CB Management Services Pvt. Ltd (IN200221) CB Management Services Pvt. Ltd (IN200221)
Mr. N. Parameshwar Asst. Manager Secretarial Coromandel Fertilisers Mr. N. Parameshwar Asst. Manager Secretarial Coromandel Fertilisers Mr. Atul Mittal Company Secretary Cosmo Films Ltd. 30, Community Centre Ms. Shilpa M. Likhite Company Secretary Secretarial Cyrus Investments Ltd. Mr. P. Kusari Registrar of Bonds Damodar Valley Corporation Same as above
Same as above
Same as above
Same as above
Same as above
CB Management Services Pvt. Ltd (IN200221) CB Management Services Pvt. Ltd (IN200221) CB Management Services Pvt. Ltd (IN200221) CB Management Services Pvt. Ltd (IN200221) MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424
Same as above
Same as above
Same as above
Same as above
Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Mr.S.P. Bansal, Bhavan,
Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan,
Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan,
MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424
Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr. Amarjeet Singh Sr. Manager MCS LTD. Sri Venkatesh Bhavan, Mr. Amarjeet Singh Sr. Manager MCS LTD. Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan,
MCS LTD IN200424 MCS LTD IN200424 MCS Ltd. (IN200424) MCS Ltd. (IN200424) MCS Ltd. (IN200424) MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 KARVY IN200035 KARVY IN200035
Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Mr. Amarjeet Singh MCS Limited, Sri Venkatesh Bhavan, Mr. S.P. Bansal Mr. Amarjeet Singh MCS Ltd. Sri Venkatesh Bhawan Mr. S.P. Bansal Mr. Amarjeet Singh MCS Ltd. Sri Venkatesh Bhawan Mr. B.L. Sachdeva Dy. G.M. (Company Law) DCM Shriram Consolidated Ltd. Mr. S.P. Bansal Mr. Amarjeet Singh MCS Ltd. Sri Venkatesh Bhawan Mr. S.P. Bansal Mr. Amarjeet Singh MCS Ltd. Sri Venkatesh Bhawan Mr. S.P. Bansal Mr. Amarjeet Singh MCS Ltd. Sri Venkatesh Bhawan Mr. S.P. Bansal Mr. Amarjeet Singh MCS Ltd. Sri Venkatesh Bhawan Mr. S.P. Bansal Mr. Amarjeet Singh MCS Ltd. Sri Venkatesh Bhawan Mr. V. Mahesh, Vice President Karvy Consultants Limited Jayaraman Mr. V.K.
Asst. General Manager, (RIS) Intime Spectrum Registry Karvy Consultants Ltd., Mr. K. Rajeeva Ltd.(IN200094) Sr. Manager - Secretarial Opp. Golf Course Shastri Nagar
Intime Spectrum Registry Mr. K. Rajeeva Ltd.(IN200094) Sr. Manager - Secretarial Opp. Golf Course Intime Spectrum Registry ShastriRajeeva Mr. K. Nagar Ltd.(IN200094) Sharepro Services (IN200043) IIT CORPORATE - SR IN200150 IIT CORPORATE - SR IN200150 IIT CORPORATE - SR IN200150 IIT CORPORATE - SR IN200150 IIT CORPORATE - SR IN200150 IIT Corporate Services Ltd.(IN200150) IIT Corporate Services Ltd.(IN200150) IIT Corporate Services Ltd.(IN200150) Karvy Consultants Limited (IN200035) Sr. Manager - Secretarial Opp. Golf Course Shastri Nagar Mr. S.R. Vaidya Sr. Manager Deepak Nitrite Ltd. 9/10, Kun Society Mr. D.J. Bagchi Company Secretary Dewan Housing Finance Corporation Ltd. Mr. D.J. Bagchi Company Secretary Dewan Housing Finance Corporation Ltd. Mr. D.J. Bagchi Company Secretary Dewan Housing Finance Corporation Ltd. Mr. D.J. Bagchi Company Secretary Dewan Housing Finance Corporation Ltd. Mr. D.J. Bagchi Company Secretary Dewan Housing Finance Corporation Ltd. Same as above
Same as above
Mr. D.J. Bagchi Company Secretary Dewan Housing Finance Corporation Ltd. Ms. G. Jalaja
Company Secretary E.I.D. Parry (India) Ltd. Intime Spectrun Resgistry 'Dare House' Mr.Sanjeev Nandu/ Mr. Limited(IN200094) Nikunj, Director/Deputy Manager, Intime Spectrum Registry
Same as above
Same as above
Same as above
Same as above
Intime Spectrum Registry Mr. H.N. Modi Ltd. Director (IN200094) Intime Spectrum Registry Ltd. Karvy Consultants Limited (BP Ms. G. Jalaja
Id IN200035). Company Secretary E.I.D. Parry (India) Limited Dare House
Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369)
Ramesh Kumar Laddha, Sr.Manager(F & A), ElectroSteel Castings Ltd., Mr. Ramesh Kumar Laddha, Sr.Manager(F & A), ElectroSteel Castings Mr. Ramesh Kumar Laddha, Sr.Manager(F & A), ElectroSteel Castings Mr. Ramesh Kumar Laddha, Sr.Manager(F & A), ElectroSteel Castings Mr. Ramesh Kumar Laddha, Sr.Manager(F & A), ElectroSteelKumar Mr. Ramesh Castings Laddha, Sr.Manager(F & A), ElectroSteel Castings Ramesh Kumar Laddha, Sr.Manager(F & A), ElectroSteel Castings Ltd., Ramesh Kumar Laddha, Sr.Manager(F & A), ElectroSteel Castings Ltd., Mr. Ramesh Kumar Laddha Sr.Manager(F & A) ElectroSteel Castings
Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369) Maheswari Datamatics Pvt. Ltd.(IN200369) Sharepro Services (IN200043)
Mr. Ramesh Kumar Laddha Sr.Manager(F & A) ElectroSteel Castings Mr. Ramesh Kumar Laddha, Sr.Manager(F & A), ElectroSteel Castings Mr. Ramesh Kumar Laddha, Sr.Manager(F & A), ElectroSteel Castings Ramesh Kumar Laddha, Sr.Manager(F & A), ElectroSteel Castings Ltd.,Pinkie Garg Ms. Executive (Finance & Accounts) ElectroSteel Castings Mr. M. Karmakar
G.M. Finance & Company Secretary SHAREPRO SERVICES Enercon (India) Ltd. Mr. M. Karmakar IN200043 G.M. Finance & Company Secretary SHAREPRO SERVICES Enercon (India) Ltd. Mr. M. Karmakar IN200043 G.M. Finance & Company Secretary SHAREPRO SERVICES Enercon (India) Ltd. Mr. M. Karmakar IN200043 G.M. Finance & Company Secretary SHAREPRO SERVICES Enercon (India) Ltd. Mr. M. Karmakar IN200043 G.M. Finance & Company Secretary SHAREPRO SERVICES Enercon (India) Ltd. Mr. M. Karmakar IN200043 G.M. Finance & Company Secretary Enercon (India) Ltd. Sharepro Services Mr. M. Karmakar (IN200043) G.M. Finance & Company Secretary SHAREPRO SERVICES Enercon (India) Ltd. Mr. M. Karmakar IN200043 G.M. Finance & Company Secretary Enercon (India) Ltd.
SHAREPRO SERVICES Mr. J Balasubramaniam IN200043 A.G.M.-Finance & Banking SHAREPRO SERVICES Enercon (India) Ltd. MrM. Karmakar IN200043 G.M.-Finance & Banking Enercon (India) Ltd. SHAREPRO SERVICES Kolsite House, Plot No. MrM. Karmakar IN200043 G.M.-Finance & Banking Enercon (India) Ltd. SHAREPRO SERVICES Kolsite House, Plot No. Mr J. Balasubramaniam IN200043 AGM-Finance & Banking Enercon (India) Ltd. Kolsite House, Plot No. Mr. Vinod Dixit
InHouseconnectivity(IN100 Dy. General Manager 157) Escorts Limited Escorts Corporate Centre InMr. Vinod Dixit Houseconnectivity(IN100 Dy. General Manager 157) Escorts Limited Escorts Corporate Centre ESCORTS LIMITED Mr. Vinod Dixit IN100157 Dy. General Manager Escorts Limited Escorts Corporate Centre Mr. Vinod Dixit
InHouseconnectivity(IN100 Dy. General Manager 157) Escorts Limited Escorts Corporate Centre ESCORTS LIMITED Mr. Vinod Dixit IN100157 MCS Ltd. (IN200019) SHAREX IN200393 Dy. General Manager Escorts Limited Escorts Corporate Centre Mr. P.H. Ananthakrishnan Asst. Vice President MCS Ltd. Sri Venkatesh Bhavan, Mr. K.C. Ajitkumar
Director Sharex (India) Pvt. Ltd. Data Software Research 17B, 2nd above Dena Same as Floor, Company Pvt. Ltd. (IN200230) SHAREX IN200393
Mr. K.C. Ajitkumar Director Sharex (India) Pvt. Ltd. 17B, 2nd Floor, Dena Bank
Re-Structured Issue
Shrepro Services(IN200043) IN2000 (Shrepro Services) Sharepro Services(IN200043) Sharepro Services(IN200043) Sharepro Services(IN200043) IN2000 (Shrepro Services) Sharepro Services(IN200043) Sharepro Services(IN200043) Sharepro Services(IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) IN2000 (Shrepro Services) Sharepro Services(IN200043)
Mr. Anil Sathe Manager (Depositories) Sharepro Services 3rd Anil Sathe Estate Mr. floor, Satam Manager (Depositories) Sharepro Services 3rd Anil Sathe Estate Mr. floor, Satam Manager (Depositories) Sharepro Services 3rd Anil Sathe Estate Mr. floor, Satam Manager (Depositories) Sharepro Services 3rd Surjesingh Nepali Mr. floor, Satam Estate Dy. Manager - Investor Relations Essel Propack Ltd. Mr. Anil Sathe Manager (Depositories) Sharepro Services 3rd Sujresingh Nepali Mr. floor, Satam Estate Dy. Manager - Investor Relations Essel Propack Nepali Mr. Sujresingh Ltd. Dy. Manager - Investor Relations Essel Propack Nepali Mr. Sujresingh Ltd. Dy. Manager - Investor Relations Essel Propack Nepali Mr. Sujresingh Ltd. Dy. Manager - Investor Relations Essel Propack Nepali Mr. Sujresingh Ltd. Dy. Manager - Investor Relations Essel Propack Ltd. Mr. Anil Sathe Manager (Depositories) Sharepro Services 3rd Surjesingh Nepali Mr. floor, Satam Estate Dy. Manager - Investor Relations Essel Propack Ltd.
Sharepro Services(IN200043)
Same as above
SHAREPRO SERVICES Mr. Sujresingh Nepali IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Sujresingh Ltd. IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Sujresingh Ltd. IN200043 Dy. Manager - Investor Relations Essel Propack Ltd. IN2000 (Shrepro Mr. Anil Sathe Services) Manager (Depositories) Sharepro Services SHAREPRO SERVICES 3rd Sujresingh Nepali Mr. floor, Satam Estate IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Sujresingh Ltd. IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Surjesingh Ltd. IN200043 Dy. Manager - Investor Relations Essel Propack Ltd. SHAREPRO SERVICES Mr. Surjesingh Nepali IN200043
Dy. Manager - Investor Relations Essel Propack Ltd.
SHAREPRO SERVICES Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Ltd. Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Ltd. Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Ltd. Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations Essel Propack Ltd.
SHAREPRO SERVICES Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Ltd. Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Surjesingh Ltd. IN200043 Dy. Manager - Investor Relations Essel Propack Ltd. Sharepro Same as above Services(IN200043) SHAREPRO SERVICES Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations Essel Propack Ltd. Sharepro Same as above Services(IN200043) IN2000 (Shrepro Services) Mr. Anil Sathe Manager (Depositories) Sharepro Services SHAREPRO SERVICES 3rd Sujresingh Nepali Mr. floor, Satam Estate IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Sujresingh Ltd. IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Sujresingh Ltd. IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Sujresingh Ltd. IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Sujresingh Ltd. IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Sujresingh Ltd. IN200043 Dy. Manager - Investor Relations Essel Propack Ltd.
SHAREPRO SERVICES Mr. Sujresingh Nepali IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Sujresingh Ltd. IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Nepali Mr. Surjesingh Ltd. IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Ltd. Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Ltd. Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Ltd. Mr. Surjesingh Nepali Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Ltd. Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Ltd. Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations SHAREPRO SERVICES Essel Propack Ltd. Mr. Surjesingh Nepali IN200043 Dy. Manager - Investor Relations Essel Propack Ltd. Shrepro Services Mr. Anil Sathe (IN200043) CB Management Services Limited(IN200221) CB Management Services Limited(IN200221) CB Management Services Limited(IN200221) Manager (Depositories) Sharepro Services 3rd floor, Satam Estate Mr.Biswajit Mitra, Head-Treasury, Exide Industries Limited, Exide House, Mr.Biswajit Mitra, Head-Treasury, Exide Industries Limited, Exide House, Mr. Shankar Ghosh Sr. Manager - Operations CB Management Services Pvt. Limited
Mr. Barun Das Divisional Head - Legal & Company Secretary Exide Industries Ltd. Mr. T.S. Sampath Executive Assistant Expert Horticulture & Culinary Institute Pvt. Ltd The Investors will have Shri. J. Mitra Asst. General Manager, the option to hold bonds Operations ( R &T) in the form of Promissory Datamatics Financial Note, an entry willan Shri. J. Mitra The Investors in have Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial SAME AS ABOVE the option to hold bonds in the form of Promissory Note, an entry willan The Investors in have the option to hold bonds in the form of Promissory Note, an entry willan The Investors in have the option to hold bonds in the form of Promissory Note, an entry in an The Bonds are maintained by the issuer in book enty form. Statement of Holding is The Bonds are maintained by the issuer in book enty form. Statement of Holding is The Bonds are maintained by the issuer in book enty form. Statement of Holding is The Bonds are maintained by the issuer in book enty form. Statement of Holding is The Bonds are maintained by the issuer in book enty form. Statement of Holding is The Bonds are maintained by the issuer in book enty form. Statement of Holding is The Bonds are maintained by the issuer in book enty form. Statement of Holding is
DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 Datamatics Financial Software & Services Ltd.(IN200336) SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Same as above
Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Same as above
The Investors will have the option to hold bonds in the form of Promissory Note, an entry in an
The Bonds are maintained by the issuer in book enty form. Statement of Holding is The Bonds are maintained by the issuer in book enty form. Statement of Holding is The Bonds are maintained by the issuer in book enty form. Statement of Holding is
Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336)
Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Same as above
Same as above
Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial
The Investors will have the option to hold bonds in the form of Promissory Note, an entry willan The Investors in have the option to hold bonds in the form of Promissory Note, an entry willan The Investors in have the option to hold bonds in the form of Promissory Note, an entry willan The Investors in have the option to hold bonds in the form of Promissory Note, an entry in an
Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) DATAMATICS IN200336 MCS Ltd (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) Cameo Corporate Services Ltd. (IN200176)
Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Mr. J. Mitra Asst. General Manager, Operations(R&T) Datamatics Financial Mr.R.G.D. Silva Company Secretary Finolex Cables Ltd. 26/27, Mumbai Pune Mr. Nilesh P. Kamat Secretarial Officer Finolex Industries Ltd. D-1/10, MIDCKamat Mr. Nilesh P. Secretarial Officer Finolex Industries Ltd. D-1/10, MIDC Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of
The Investors will have the option to hold bonds in the form of Promissory Note, an entry willan The Investors in have the option to hold bonds in the form of Promissory Note, an entry willan The Investors in have the option to hold bonds in the form of Promissory Note, an entry in an
The Investors will have the option to hold bonds in the form of Promissory Note, an entry willan The Investors in have the option to hold bonds in the form of Promissory Note, an entry willan The Investors in have the option to hold bonds in the form of Promissory Note, an entry willan The Investors in have the option to hold bonds in the form of Promissory Note, an entry in an
Same as above
Same as above
Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of Same as above
Same as above
Same as above
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Same as above
Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176
Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of
CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176
Mr. S. Hari Prasad Company Secretary Secretarial Dept FirstDeepa Chellam Ms. Leasing Company of Company Secretary Secretarial Dept FIRST Hari Prasad Mr. S. LEASING Company Secretary Secretarial Dept FirstDeepa Chellam Ms. Leasing Company of Company Secretary Secretarial Dept FIRST Hari Prasad Mr. S. LEASING Company Secretary Secretarial Dept First Leasing Company of Mr. S. Hari Prasad Company Secretary Secretarial Dept FirstDeepa Chellam Ms. Leasing Company of Company Secretary/Secretarial No.749 Anna Salai Ms. Deepa Chellam Company Secretary Secretarial Dept FIRST LEASING Ms. Deepa Chellam Company Secretary/Secretarial No.749 Anna Salai Ms. Deepa Chellam Company Secretary Secretarial Dept FIRST LEASING Ms. Deepa Chellam Company Secretary Secretarial Dept FIRST Hari Prasad Mr. S. LEASING Company Secretary Secretarial Dept. First Leasing Co. of Mr. S. Hari Prasad Company Secretary Secretarial Dept. First Leasing Co. of
Intime Spectrum Registry R.Chandan Ltd (IN200094) Manager Streasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr.R.Chandan Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr.R.Chandan Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr.R.Chandan Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr.R.Chandan Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Same as above Ltd (IN200094) Intime Spectrum Registry Mr.R.Chandan Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr.R.Chandan Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr.R.Chandan Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Mahindra Ltd.
Intime Spectrum Registry Mr.R.Chandan Ltd (IN200094) Manager Treasury/Finance Dept. Ford Credit Kotak Same as above Same as above
Intime Spectrum Registry Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. R.Chandan Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford CreditABOVE SAME AS Kotak Ltd (IN200094) Intime Spectrum Registry Same as above Ltd (IN200094) Intime Spectrum Registry R.Chandan Ltd (IN200094) Manager Streasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra above Same as Ltd. Ltd (IN200094) Intime Spectrum Registry Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Mahindra Ltd.
Intime Spectrum Registry Same as above Ltd (IN200094) Intime Spectrum Registry Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra above Same as Ltd. Ltd (IN200094) Intime Spectrum Registry Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Same as above Ltd (IN200094) Intime Spectrum Registry Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Ford Credit Kotak
Intime Spectrum Registry Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Ford Credit Kotak INTIME SPECTRUM Mr. V. Jayram REGISTRY IN200094 Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra above Same as Ltd. Ltd (IN200094)
Intime Spectrum Registry Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra Ltd. Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr. V. Jayram Ltd (IN200094) Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak Mr.R.Chandan Ltd (IN200094) Manager Treasury/Finance Dept. Ford Credit Kotak INTIME SPECTRUM Mr. V. Jayram REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 Treasury Manager Ford Credit Kotak Mahindra Ltd. Mr. V. Jayram Treasury Manager Ford Credit Kotak Mahindra Ltd. Mr. V. Jayram Treasury Manager Ford Credit Kotak Mahindra Ltd. Mr. V. Jayram Treasury Manager Ford Credit Kotak Mahindra Ltd. Mr. V. Jayram Treasury Manager Ford Credit Kotak Mahindra Ltd. Mr. V. Jayram Treasury Manager Ford Credit Kotak Mahindra Ltd.
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Mr. V. Jayram Treasury Manager Ford Credit Kotak Mahindra Ltd. Mr. V. Jayram Treasury Manager Ford Credit Kotak Mahindra Ltd. Mr. V. Jayram
Treasury Manager Ford Credit Kotak Intime Spectrum Registry Mahindra above Same as Ltd. Ltd (IN200094) Intime Spectrum Registry Same as above Ltd (IN200094) INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 Mr. V. Jayram Treasury Manager Ford Credit Kotak Mahindra Ltd. Mr. V. Jayram Manager Treasury/Finance Dept. Ford Credit Kotak Mr. V. Jayram
Manager Treasury/Finance Dept. Intime Spectrum Registry Ford Credit Kotak R.Chandan Ltd (IN200094) Manager Streasury/Finance Dept. Ford Credit Kotak Same as above Same as above
Same as above
Same as above
Same as above
Same as above
INTIME SPECTRUM REGISTRY IN200094 MCS Limited, Mumbai. (IN 200019) Sharepro Services (IN200043)
MCS Ltd. IN200019
Mr. V. Jayram Treasury Manager Ford Credit Kotak Mahindra Ltd. Sam Manipadam, Company Secretary, Ford India Limited, #159/A,1st Floor,Vinay Mrs. Veena Nagpal Company Secretary Gammon India Ltd. Gammon House Mr. Milan Dholakia
Asst. Vice President Garden Silk Mills Ltd. Manek Mahal
Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Dholakia Mr. MilanMahal
Asst. Vice President Garden Silk Mills Ltd. Manek Mahal
MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019
Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal
MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019
Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal
MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) IN100181(In house connectivity) In House(IN 100181)
Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Milan Dholakia Asst. Vice President Garden Silk Mills Ltd. Manek Mahal Mr. Vaman Sabharwal Treasury Operations Controller GE Capital ABOVE India SAME AS Services
In House Connectivity (IN 100181) In House Connectivity (IN 100181) In House Connectivity (IN 100181) In House Connectivity (IN 100181) In House Connectivity (IN 100181) IN100181 (In house connectivity)
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India
In House(IN 100181)
Same as above
Mr. Vaman Sabharwal Treasury Operations Controller GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital ABOVE India SAME AS Services
Same as above
Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Same as above
IN100181 (In house connectivity) IN100181(In house connectivity) IN100181 (In house connectivity) Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
IN100181 (In house connectivity) IN100181 (In house connectivity) In House Connectivity (IN 100181) IN100181 (In house connectivity) In House(IN 100181)
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital ABOVE India SAME AS Services
Same as above
Same as above
IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) In House Connectivity (IN 100181) In House Connectivity (IN 100181) IN100181 (In house connectivity) Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Same as above
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Capital Services Same as above
Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India
Same as above
IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181(In house connectivity) In House(IN 100181)
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Vaman Sabharwal, GE Capital Services India, Treasury Operations Vaman Sabharwal, GE Capital Services India, Treasury Operations Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India
In House(IN 100181)
In House(IN 100181)
Same as above
In House(IN 100181)
SAME AS ABOVE
IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) In House(IN 100181)
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Vaman Sabharwal, GE Capital Services India, Treasury Operations Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Capital Services Same as above
SAME AS ABOVE
SAME AS ABOVE
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Capital Services
Same as above
Same as above
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Capital Services Same as above
IN100181 (In house connectivity) IN100181 (In house connectivity) In House Connectivity (IN 100181) Same as above
Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Capital Services Same as above
IN100181 (In house connectivity) IN100181 (In house connectivity) In House Connectivity (IN 100181) IN100181 (In house connectivity) In House Connectivity (IN 100181) Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Capital Services Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) In House Connectivity (IN 100181) IN100181 (In house connectivity)
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India
In House Connectivity (IN 100181) In House Connectivity (IN 100181) In House Connectivity (IN 100181) SAME AS ABOVE
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE CapitalABOVE SAME AS Services
IN100181 (In house connectivity) In House Connectivity (IN 100181) Same as above
Same as above
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Capital Services Same as above
Same as above
Same as above
IN100181 (In house connectivity) In House Connectivity (IN 100181) Same as above
Same as above
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Capital Services Same as above
Same as above
Same as above
Same as above
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Capital Services Same as above
IN100181 (In house connectivity) In House Connectivity (IN 100181) IN100181 (In house connectivity) IN100181 (In house connectivity) In House Connectivity (IN 100181) IN100181 (In house connectivity) Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Same as above
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Vaman Services Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Same as above
IN100181 (In house connectivity) IN100181 (In house connectivity) Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE CAPITAL SERVICES GE Capital Sabharwal, Mr.Vaman Services India IN100181 Head - Middle Office & Cash Management GE Countrywide In House(IN100181) Vaman Sabharwal, GE Capital Services India, Treasury Operations Same as above
IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity)
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India
IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity)
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity)
GE CAPITAL SERVICES IN100181
Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services Mr. Vaman Sabharwal India
Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services India IN100181 Same as above (In house connectivity)
IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity)
GE CAPITAL SERVICES IN100181
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services Mr. Vaman Sabharwal India
Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) Head Middle Office & Cash Management GE Capital Services India Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services India IN100181 Same as above (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) Same as above
Same as above
Same as above
Same as above
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 IN100181 (In house connectivity) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal
Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity)
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 IN100181 (In house connectivity) IN100181 (In house connectivity) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India
Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Consumer Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Consumer
Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services Mr. Vaman Sabharwal India
Head Middle Office & Cash Management GE Capital Services India
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal
Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services India IN100181 Same as above (In house connectivity) IN100181 (In house connectivity) Same as above
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) IN100181 (In house connectivity) Head Middle Office & Cash Management GE Capital Services India Same as above
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) GE CAPITAL SERVICES IN100181 IN100181 (In house connectivity) IN100181 (In house connectivity) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India
IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity)
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal
Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) Head Middle Office & Cash Management GE Capital Services India
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal
Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 IN100181 (In house connectivity) IN100181 (In house connectivity) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal
Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) IN100181 (In house connectivity) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181
GE CAPITAL SERVICES IN100181
Head Middle Office & Cash Management GE Capital Services Mr.Vaman Sabharwal, India
Head - Middle Office & Cash Management GE Countrywide Consumer
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr.Vaman Sabharwal, IN100181 Head - Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services GE CAPITAL SERVICES Mr. Vaman Sabharwal India IN100181
Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 IN100181 (In house connectivity) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal
Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181
GE CAPITAL SERVICES IN100181
Head Middle Office & Cash Management GE Capital Services Mr. Vaman Sabharwal India
Head Middle Office & Cash Management GE Capital Services India
Same as above
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services GE CAPITAL SERVICES Mr. Vaman Sabharwal India IN100181 IN100181 (In house connectivity)
Head Middle Office & Cash Management GE Capital Services India
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India
Same as above
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 IN100181 (In house connectivity) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal
Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 In House Connectivity (IN 100181) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal,
Head - Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Vaman Services India IN100181 Mr. Capital Sabharwal (In house connectivity) IN100181 (In house connectivity) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal
Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 IN100181 (In house connectivity) Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Services India Mr. Capital Sabharwal IN100181 Head - MiddleOffice & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. CAPITAL SERVICES IN100181 Head - MiddleOffice & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. CAPITAL SERVICES IN100181 Head - MiddleOffice & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. CAPITAL SERVICES IN100181 In House(In 200181) Head - MiddleOffice & Cash Management GE CAPITAL SERVICES Vaman Sabharwal,
GE Capital Services India, GE CAPITAL SERVICES Treasury Operations Mr. Vaman Sabharwal IN100181 Head - MiddleOffice & Cash Management GE CAPITAL SERVICES In House(In 100181) Vaman Sabharwal, GE Capital Services India, Treasury Operations Same as above
Same as above
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Capital Services Same as above
Mr. Vaman Sabharwal, Head - Middle Office & Cash Management GE Capital Services
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) IN100181 (In house connectivity) In House(IN 200181)
Mr. Vaman Sabharwal Head Middle Office & Cash Management GE Vaman Services India Mr. Capital Sabharwal Head Middle Office & Cash Management GE Capital Services India Same as above
Same as above
In House(IN 200181)
In House(IN 100181)
Mr.Vaman Sabharwal, GE Countrywide Consumer Financial Services Ltd. Mr.Vaman Sabharwal, GE Capital Services India, Treasury Operations Same as above
Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Same as above
Same as above
Same as above
In House Connectivity (IN100181) In House Connectivity (IN100181) In House Connectivity (IN100181) In House Connectivity (IN100181) In House Connectivity (IN100181) In House Connectivity (IN100181) In House Connectivity (IN100181) In House Connectivity (IN100181) IN100181 (In house connectivity)
In House Connectivity (IN100181)
Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Same as above
Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Same as above
Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Mr.Vaman Sabharwal,
Head - Middle Office & Cash Management GE Countrywide Consumer
Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Consumer
IN100181 (IN-HOUSE CONNECTIVITY) In House Connectivity (IN100181) In House Connectivity (IN100181) In House Connectivity (IN100181) In House Connectivity (IN100181) In House Connectivity (IN100181) In House Connectivity (IN100181)
Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Same as above
Mr.Vaman Sabharwal, Head - Middle Office & Cash Management GE Countrywide Same as above
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 In House Connectivity (IN100181) Head Middle Office & Cash Management GE Countrywide Mr.Vaman Sabharwal,
Head - Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE Countrywide
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 In House Connectivity (IN100181) Head Middle Office & Cash Management GE Countrywide Mr.Vaman Sabharwal,
Head - Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management GE Countrywide
GE CAPITAL SERVICES Mr. Vaman Sabharwal IN100181 Head Middle Office & Cash Management GE CAPITAL SERVICES GE Vaman Sabharwal Mr. Countrywide IN100181 Head Middle Office & Cash Management SHAREPRO SERVICES GE Countrywide Mr.Dilip Sawant IN200043 Manager - Depository Sharepro Services, Satam Estate,3rd MCS LTD Mr. S.P. Bansal/Mr. IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 Same as above Amarjeet Singh MCS Ltd. Sri Venkatesh Bhavan, Mr. S.P. Bansal/Mr. Amarjeet Singh MCS Ltd. Sri Venkatesh Bhavan, Mr. S.P. Bansal/Mr. Amarjeet Singh MCS Ltd. Sri Venkatesh Bhavan, Mr. S.P. Bansal/Mr. Amarjeet Singh MCS Ltd. Sri Venkatesh Bhavan, Mr. S.P. Bansal/Mr. Amarjeet Singh MCS Ltd. Sri Venkatesh Bhavan, Same as above
Karvy Consultants Limited (BP Id IN200035). Karvy Consultants Limited (BP Id IN200035). KARVY IN200035 KARVY IN200035
Same as above
Mr.M.S.Madhusudhan, AGM-Registrar & Investor Services, Karvy Consultants Mr.M.S.Madhusudhan, AGM-Registrar & Investor Services, Karvy Consultants Mr.M.S.Madhusudhan, AGM-Registrar & Investor Services, Karvy Consultants
KARVY IN200035 KARVY IN200035 KARVY IN200035 Karvy Consultants Limited (BP Id IN200035). Same as above
Mr. Abhishek Thareja Asst. Company Secretary GLENMARK PHARMACEUTICALS Mr. Abhishek Thareja Asst. Company Secretary GLENMARK PHARMACEUTICALS Mr. V. Mahesh Vice President Karvy ComputerShare P.LTd. Mr.M.S.Madhusudhan, AGM-Registrar & Investor Services, Karvy Consultants Same as above
Karvy Consultants Limited (BP Id IN200035). Karvy Consultants Limited (BP Id IN200035). KARVY IN200035 KARVY IN200035 Same as above
Mr. V. Mahesh Vice President Karvy ComputerShare P.LTd. 'Karvy Mahesh 46, Mr. V. House', Vice President Karvy ComputerShare P.LTd. 'Karvy as above Same House', 46,
KARVY IN200035 Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336)
Mr. Abhishek Thareja Asst. Company Secretary GLENMARK PHARMACEUTICALS Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial Shri. J. Mitra Asst. General Manager, Operations ( R &T) Datamatics Financial
Aarthi Consultants Pvt. Limited (IN200256) Aarthi Consultants Pvt. Limited (IN200256) Aarthi Consultants Pvt. Limited (IN200256) Aarthi Consultants Pvt. Limited (IN200256) Aarthi Consultants Pvt. Limited (IN200256) Aarthi Consultants Pvt. Limited (IN200256)
Mr. G. Bhaskar Murty Manager Aarthi consultants Pvt. LimitedBhaskar Murty Mr. G. Manager Aarthi consultants Pvt. LimitedBhaskar Murty Mr. G. Manager Aarthi consultants Pvt. LimitedBhaskar Murty Mr. G. Manager Aarthi consultants Pvt. LimitedBhaskar Murty Mr. G. Manager Aarthi consultants Pvt. LimitedBhaskar Murty Mr. G.
Manager Aarthi consultants Pvt. Limited Mennen Financial Services Mr. R.S. Pandey
Ltd. (IN200682) Mr. Sandeep Sr. Manager /Manager Mennen Financial Services Mennen Financial Services Same as above Ltd. (IN200682) Mennen Financial Services Same as above Ltd. (IN200682)
Alankit Assignment Limited(IN200086) Alankit Assignment Limited(IN200086) Alankit Assignment Limited(IN200086) Alankit Assignment Limited(IN200086)
Same as above
Mr.Ashish Mathur, Chief Manager - Finance, Goetze (India) Limited, Corporate Centre, Same as above
Mr.Ashish Mathur, Chief Manager - Finance, Goetze (India) Limited, Corporate Centre,
Alankit Assignment Limited(IN200086) Alankit Assignment Limited(IN200086) Alankit Assignment Limited(IN200086) Alankit Assignment Limited(IN200086) Alankit Assignment Limited(IN200086) Alankit Assignment Limited(IN200086) Alankit Assignment Limited(IN200086)
ALANKIT ASSIGNMENTS LTD IN200086
Mr.Ashish Mathur, Chief Manager - Finance, Goetze (India) Limited, Corporate Mathur, Mr.Ashish Centre, Chief Manager - Finance, Goetze (India) Limited, Corporate Centre, Same as above
Mr.Ashish Mathur, Chief Manager - Finance, Goetze (India) Limited, Corporate Mathur, Mr.Ashish Centre, Chief Manager - Finance, Goetze (India) Limited, Corporate Mathur, Mr.Ashish Centre, Chief Manager - Finance, Goetze (India) Limited, Corporate Mathur, Mr.Ashish Centre, Chief Manager - Finance, Goetze (India) Limited, Corporate Centre, Mr.Ashish Mathur,
Dy. Gen. Manager - Finance Goetze (India) Limited, Corporate Centre,
Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze Mathur, Mr.Ashish(India) Limited,
Dy. Gen. Manager - Finance Goetze (India) Limited, Corporate Centre,
ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086
Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited,
ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 Alankit Assignment Limited(IN200086) ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086
Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Chief Manager - Finance, Goetze (India) Limited, Corporate Mathur, Mr.Ashish Centre, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited,
ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086
Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited, Mr.Ashish Mathur, Dy. Gen. Manager Finance Goetze (India) Limited,
Mr.Ashish Mathur, Chief Manager - Finance, Goetze (India) Limited, Corporate Mathur, Mr.Ashish Centre,
Chief Manager - Finance, Goetze (India) Limited, Alankit Assignments Ltd. Corporate Mathur, Mr.Ashish Centre, (IN200086) Chief Manager - Finance, Goetze (India) Limited, Alankit Assignments Ltd. Corporate Mathur, Mr.Ashish Centre, (IN200086) Chief Manager - Finance, Goetze (India) Limited, Alankit Assignments Ltd. Corporate Mathur, Mr.Ashish Centre, (IN200086) Chief Manager - Finance, Goetze (India) Limited, Alankit Assignments Ltd. Corporate Mathur, Mr.Ashish Centre, (IN200086) Chief Manager - Finance, Goetze (India) Limited, Alankit Assignments Ltd. Corporate Mathur, Mr.Ashish Centre, (IN200086) Chief Manager - Finance, Goetze (India) Limited, Alankit Assignments Ltd. Corporate Mathur, Mr.Ashish Centre, (IN200086) Chief Manager - Finance, Goetze (India) Limited, Alankit Assignments Ltd. Corporate Mathur, Mr.Ashish Centre, (IN200086) Chief Manager - Finance, Goetze (India) Limited, Corporate Centre, MCS Limited, 1.)Mr. Shiva Kumar Interest will be Mumbai. Sr. Officer/Share Deptt. compounded daily except (IN 200019) Grasim Industries over bank holidays in Limited, Mumbai. In-house Connectivity 1.)Mr. Shiva Kumar (BP Id IN100190). In-house Connectivity (BP Id IN100190). In-house Connectivity (BP Id IN100190). Sr. Officer/Share Deptt. Grasim Industries Limited, above Same as
Same as above
Same as above
Sharepro Services (BP Id Mr. N. Mahadevan Iyer IN200043). Senior Manager Sharepro Services SHAREPRO SERVICES Satam Estate, 3rd Floor Mr. Anil Sathe IN200043 Senior Manager (Depository) Sharepro Services (BP Id Sharepro Services Iyer Mr. N. Mahadevan IN200043). Senior Manager Sharepro Services SHAREPRO SERVICES Satam Estate, 3rd Floor Mr. Anil Sathe IN200043 Senior Manager (Depository) SHAREPRO SERVICES Sharepro Services Mr. Anil Sathe IN200043 Senior Manager (Depository) Sharepro Services (BP Id Sharepro Services Iyer Mr. N. Mahadevan IN200043). Senior Manager Sharepro Services Sharepro Services (BP Id Satam Mahadevan Floor Mr. N. Estate, 3rd Iyer IN200043). Senior Manager Sharepro Services Satamas above Floor Same as above Same Estate, 3rd
SHAREPRO SERVICES Mr. Anil Sathe Senior Manager (Depository) SHAREPRO SERVICES Sharepro Services Mr. Anil Sathe IN200043 Senior Manager (Depository) Sharepro Services (BP Id Sharepro Services Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services
Sharepro Services (BP Id Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services (BP Id Sharepro Services Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services (BP Id Sharepro Services Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services (BP Id Sharepro Services Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services (BP Id Sharepro above Same as Services IN200043). Sharepro Services (BP Id Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services (BP Id Sharepro Services Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services (BP Id Sharepro Services Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services (BP Id Sharepro Services Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services (BP Id Sharepro above Same as Services IN200043). Sharepro Services (BP Id Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services (BP Id Sharepro Services Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services (BP Id Sharepro Services Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services
Sharepro Services (BP Id Mr. Anil Sathe IN200043). Senior Manager (Depository) Sharepro Services MCS Limited Mr. J.P.Metha, (IN200019) Same as above Asst. Vice President, MCS Limited, Neelam apartment, Same as above
Same as above
Same as above
MCS IN200019
Mr. J.P.Metha, Asst. Vice President, MCS Limited, MCS Limited (IN200019) Neelam apartment, Mr. Hari Singh Gahlot Senior Manager MCS Limited MCS Limited (IN200019) 101, shatdal Complex, Mr. Hari Singh Gahlot Senior Manager MCS Limited MCS Limited (IN200019) 101, shatdal Complex, Mr. Hari Singh Gahlot Senior Manager MCS Limited 101, shatdal Complex, Amtrac Management Mr. Girish Parlikar, Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar Director Amtrac Management Services Ltd Mr. Girish Parlikar, Director, Amtrac Management Services Ltd,
Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services ltd., (IN200192)
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd,
Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar,
Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd,
AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services ltd., (IN200192) AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192
Mr.Girish G.Paralikar Director AMTRAC MGMT SERVICES LTD Mr. Girish Parlikar Director Amtrac Management Services Ltd Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd,
MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019)
Mr. Hari Singh Sr.Manager Mcs Limited 101, Shatdal Complex, Mr. Hari Singh Sr.Manager Mcs Limited 101, Shatdal Complex, Mr. Hari Singh Sr.Manager Mcs Limited 101, Shatdal Complex, Mr. Hari Singh Sr.Manager MCS Limited 101, Shatdal Complex, Mr. Hari Singh
Sr.Manager Mcs Limited NICHE TECHNOLOGIES 101, Shatdal Complex, Mr. S. Abbas IN200490 Niche Technologies Pvt. Ltd. Sharepro Services (BP Id D-511, Bagree Market, Mr.Anil Sathe, IN200043). Sharepro Services Manager Dematerialisation Dept Sharepro Services, Mr.Anil Sathe, Manager, Sharepro Services, Satamas above Same Estate,3rd
Sharepro Services
Sharepro Services
Same as above
Sharepro Services
Same as above
Sharepro Services
Same as above
Sharepro Services
Same as above
Sharepro Services
Same as above
Sharepro Services
Same as above
Sharepro Services
Same as above
Same as above
Same as above
Sharepro Services
Same as above
Sharepro Services
Same as above
Sharepro Services
Same as above
Sharepro Services
Same as above
Sharepro Services
Same as above
Sharepro Services
Same as above
Sharepro Services
Same as above
Pinnacle Shares Registry Mr. Gautam V. Shah Pvt. Ltd. General Manager (IN Pinnacle Shares Registry Pvt. Ltd. G.Paralikar AMTRAC MGMT Mr.Girish SERVICES LTD IN200192 Director AMTRAC MGMT SERVICES LTD
Sathguru Management Consultants Pvt. Ltd. (IN200352) Sathguru Management Consultants Pvt. Ltd. (IN200352) Sathguru Management Consultants Pvt. Ltd. (IN200352) Sathguru Management Consultants Pvt. Ltd. (IN200352) SATHGURU MGMT CONSULTANT IN200352 SATHGURU MGMT CONSULTANT IN200352 C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221)
Mr. R. Chandrasekhar Sr. Manager Sathguru Management Consultants Pvt. Ltd. Same as above
Mr. R. Chandrasekhar Sr. Manager Sathguru Management Consultants Pvt. Ltd. Mr. R. Chandrasekhar Sr. Manager Sathguru Management Consultants Pvt. Ltd. Mr. R. Chandrasekhar Sr. Manager Sathguru Management Consultants Pvt. Ltd. Mr. R. Chandrasekhar Sr. Manager Sathguru Management Consultants Pvt. Ltd. Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Mr. Aloke Kr. Chattopadhyay General Manager -Legal & Dy. Company
C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221) C B Management Services (p) ltd.(IN200221)
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
KARVY CONSULTANTS Mr. Francis J. Fernandes IN200035 Dy. General Manager Karvy Consultants Limited
Intime Spectrum Registry Mr. S. Balasubramaniam Ltd. Director (IN200094) Harrisons Malayalam Financial Services Ltd. MCS Ltd. Ms. Sylvia Furtado (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019)
MCS Ltd. (IN200019)
Legal & Secretarial Dept HDFC Bank Ltd. Kamala Mills Compound, Same as above
Same as above
Same as above
Bhagyesh Thakar Manager Secretarial Dept HDFC Bank Ltd. Bhagyesh Thakar Manager Secretarial Dept HDFC Bank Ltd. Bhagyesh Thakar Manager Secretarial Dept HDFC Bank Ltd. Bhagyesh Thakar Manager Secretarial Dept HDFC Bank Ltd. Bhagyesh Thakar Manager Secretarial Dept HDFC Bank Ltd. Bhagyesh Thakar Manager Secretarial Dept HDFC Bank Ltd.
Same as above
Same as above
MCS Limited(IN200424)
Mr. S.P. Bansal Asst. Vice President MCS Ltd. Sri Venkatesh Bhawan
MONDKAR COMPUTERS P.LTD IN200512 MCS IN200019 MCS IN200019 MCS IN200019
MCS Limited (BP Id IN200019).
Mr. Sham V. Wahalekar V P & Company Secretary HIKAL LIMITED Mr. L.S. Kothari Manager - Shares Hindalco Industries Limited Kothari Mr. L.S. Manager - Shares Hindalco Industries Limited Kothari Mr. L.S. Manager - Shares Hindalco Industries Limited Mr. Anil Malik
Manager (Shares) Ahura Centre, 1st Floor Mahakali Caves Road Mr. Anil Malik Manager Shares Hindalco Industries Limited Ahura Centre, 1st Floor
As per the scheme of merger between IndoGulf Corporation Ltd and Hindalco Industries Ltd.
Face Value (Rs 33/- and Rs 34/- has already been redeemed on 11 May 1999 and 11 May 2000.)
MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019)
Mr. Anil Malik Manager - Shares Hindalco Industries Limited above Same as
Mr. Anil Malik Manager - Shares Hindalco Industries Limited Malik Mr. Anil Manager - Shares Hindalco Industries Limited above Same as
Same as above
Mr. Anil Malik Manager - Shares Hindalco Industries SHAREPRO SERVICES Limited Sathe, Mr.Anil IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Alpha Systems Pvt. Ltd. (IN200248) Alpha Systems Pvt. Ltd. (IN200248) Alpha Systems Pvt. Ltd. (IN200248) Alpha Systems Pvt. Ltd. (IN200248) Alpha Systems Pvt. Ltd. (IN200248) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) Manager, Sharepro Services, Satam Ramprasad Mr. S. Estate,3rd Vice President Alpha Systems Pvt. Ltd. 30, Ramana Residency Same as above
Mr. S. Ramprasad Vice President Alpha Systems Pvt. Ltd. 30, Ramana Residency Same as above
Mr. S. Ramprasad Vice President Alpha Systems Pvt. Ltd. 30, Ramana Residency Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Same as above
MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019)
MCS LIMITED IN200019
Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Same as above
Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. Santosh Kadam Asst. Manager MCS Ltd. PlotV.P. 27, Road No.11 Mr. No. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial HindustanJadhav Mr. Vinay Construction Dy. General Manager Hincon House Lal Bahadur Shastri Marg Mr. Vinay Jadhav Dy. General Manager Hincon House Lal Bahadur KulkarniMarg Mr. V.P. Shastri Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction
MCS IN200019
MCS IN200019
MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019
Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction
MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019
Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial HindustanJadhav Mr. Vinay Construction Dy. General manager HINDUSTAN CONSTRUCTION CO. Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary / Legal & Secretarial Hindustan Construction Mr. V.P. Kulkarni Company Secretary/Legal & Secretarial Mr. V.P. Kulkarni Company Secretary/Legal & Secretarial Mr. V.P. Kulkarni Company Secretary/Legal & Secretarial Mr. V.P. Kulkarni Company Secretary/Legal & Secretarial Mr. V.P. Kulkarni
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
HLL IN100069 MCS Ltd. (IN200019) MCS Ltd. (IN200019) INTIME SPECTRUM,DELHI IN200449 Niche Technologies Pvt. Ltd.(IN200490) Niche Technologies Pvt. Ltd.(IN200490) Niche Technologies Pvt. Ltd.(IN200490) Niche Technologies Pvt. Ltd.(IN200490) Niche Technologies Pvt. Ltd.(IN200490) Niche Technologies Pvt. Ltd.(IN200490)
Mr. Dilip Kulkarnai Team Head - Back Office Hindustan Lever Ltd. Investor Service Dept. Mr. Manoj Pradhan Sr. Accounts Officer (Treasury Dept) Hindustan Pradhan Mr. Manoj Petroleum Sr. Accounts Officer (Treasury Dept) Hindustan Petroleum Mr. V.K. Ajmera Gen. Manager (Corporate Finance) Hindustan sanitary & Mr. Jai Prakash Tulshan,. Secretary & Compliance Officer, Hindusthan Seals Ltd., Mr. Jai Prakash Tulshan,. Secretary & Compliance Officer, Hindusthan Seals Ltd., Mr. Jai Prakash Tulshan,. Secretary & Compliance Officer, Hindusthan Seals Ltd., Mr. Jai Prakash Tulshan,. Secretary & Compliance Officer, Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara Secretary & Compliance Officer, Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara Secretary & Compliance Officer, Hindusthan Seals Ltd.,
Niche Technologies Pvt. Ltd.(IN200490) Niche Technologies Pvt. Ltd.(IN200490) Niche Technologies Pvt. Ltd.(IN200490) Niche Technologies Pvt. Ltd.(IN200490) Niche Technologies Pvt. Ltd.(IN200490)
Mr. Sunil Kumar Maskara Secretary & Compliance Officer, Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara Secretary & Compliance Officer, Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara Secretary & Compliance Officer, Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara Secretary & Compliance Officer, Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara
Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara IN200490 Secretary & Compliance Officer, Hindusthan Seals Ltd.,
NICHE TECHNOLOGIES Mr. Sunil Kumar Maskara IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Seals Ltd., Mr. Sunil Kumar Maskara IN200490 Secretary & Compliance Officer, Hindusthan Sultania NICHE Mr. Sandip Seals Ltd., TECHNOLOGIES IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Sultania Mr. Sandip Seals Ltd., IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Sultania Mr. Sandip Seals Ltd., IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Sultania Mr. Sandip Seals Ltd., IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Sultania Mr. Sandip Seals Ltd., IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Sultania Mr. Sandip Seals Ltd., IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Sultania Mr. Sandip Seals Ltd., IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Sultania Mr. Sandip Seals Ltd., IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Sultania Mr. Sandip Seals Ltd., IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Sultania Mr. Sandip Seals Ltd., IN200490 Secretary & Compliance Officer, Hindusthan Seals Ltd.,
NICHE TECHNOLOGIES Mr. Sandip Sultania IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Hindusthan Sultania Mr. Sandip Seals Ltd., IN200490 Same as above Secretary & Compliance Officer, Hindusthan Seals Ltd., Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Karvy Consultants Limited (IN200035) KARVY IN200035 In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). HDFC IN100010 In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010).
Mr.S.Kannan, Asst. General Manager, No.51/2,T.K.N.Complex, Opp. Naitonal College, Mr.S.Kannan, Asst. General Manager, Karvy Consultants Ltd. No.51/2,T.K.N.Complex, Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation
In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086)
Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankitas above Same Assignmets Ltd
Same as above
Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) ALANKIT ASSIGNMENTS LTD IN200086 Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) ALANKIT ASSIGNMENTS LTD IN200086 Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086)
Same as above
Same as above
Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd
Alankit Assignmets Ltd (IN200086) ALANKIT ASSIGNMENTS LTD IN200086 Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086)
Alankit Assignmets Ltd (IN200086)
Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Mr. Harish Aggarwal Ltd
Vice President/ Share Registry Dept Alankit Assignmets Ltd
Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd
Alankit Assignments Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignments Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignments Ltd (IN200086) Alankit Assignments Ltd (IN200086) Alankit Assignments Ltd (IN200086)
Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086)
Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankitas above Same Assignmets Ltd
Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankitas above Same Assignmets Ltd
Same as above
Same as above
Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd
Same as above
Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086)
Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankitas above Same Assignmets Ltd
Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd
Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) In-house Connectivity (BP Id IN100010). in-house (BP Id IN100010) IN100010 (In-house connectivity) Same as above
Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal Vice President/ Share Registry Dept Alankit Assignmets Ltd Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Ms.Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Ms. Lakshmi K Wig (Officer Secretarial) Housing Development Finance Corpn. Ltd., Same as above
In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). HDFC IN100010 In-house Connectivity (BP Id IN100010). HDFC IN100010
Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Ms. Lakshmi K. Wig Officer Secretarial- Share Department HOUSING Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mr. Dayanand V Shetty Manager - Secretarial HOUSING DEVELOPMENT
In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010). In-house Connectivity (BP Id IN100010).
Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation Mrs. Lakshmi K. Wig Officer Secretarial Housing Development Finance Corporation
ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 Same as above
Mr. Harish Aggarwal President/ Share Registry Dept Alankit Assignmets Ltd Mr. Harish Aggarwal President/ Share Registry Dept Alankitas above Same Assignmets Ltd
Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086)
Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department
Interest rate will be reset (subject to redemption of bonds if earlier) on June 10, 2008 and June 10,
Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086) Alankit Assignmets Ltd (IN200086)
Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department
Interest rate will be reset (subject to redemption of bonds if earlier) on Dec 15, 2006 subject to a
Alankit Assignmets Ltd (IN200086) ICICI Infotech Services Limited (BP Id IN200027) ICICI Infotech Services Limited (BP Id IN200027) ICICI Infotech Services Limited (BP Id IN200027) ICICI Infotech Services Limited (BP Id IN200027) ICICI Infotech Services Limited (BP Id IN200027) ICICI Infotech Services Limited (BP Id IN200027) ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH LIMITED IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH LIMITED IN200027
Mr. Harish Aggarwal Alankit Assignmets Ltd Vice President/ Share Registry Department Shri B. Krishnamurthi (Manager) ICICI Infotech Services Limited Krishnamurthi Shri B. (Manager) ICICI Infotech Services Limited above Same as
Interest rate will be reset (subject to redemption of bonds if earlier) on Dec 15, 2006 subject to a
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Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor
ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH LIMITED IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH LIMITED IN200027 ICICI INFOTECH LIMITED IN200027 ICICI INFOTECH LIMITED IN200027 ICICI INFOTECH LIMITED IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH LIMITED IN200027
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ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH
Shri Ratan Das (AGM),Shri L.N. Rajan (AGM), Shares Krishnamurthi Shri V.H.. (AGM)/Shri L.N. Rajan (AGM) ICICI Infotech Limited Shri B. Krishnamurthi (Manager) ICICI Infotech Services Limited Shri Ratan Das (AGM),Shri L.N. Rajan (AGM), Shares Krishnamurthi Shri V.H.. (AGM)/Shri L.N. Rajan (AGM) ICICI Infotech Limited Mr. L. N. Rajan
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ICICI INFOTECH IN200027
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Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi
(Manager) ICICI Infotech Limited Tower # 6, 6th Floor
Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi
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ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027
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Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor
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Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri V.H. Krishnamurthi / Mr. L N Rajan Asst. General Manager ICICI Infotech Limited Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor
ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027
Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor
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Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor
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Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor
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Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi Manager ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor
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Shri B. Krishnamurthi (Manager) ICICI Infotech Services Limited Krishnamurthi Shri B. (Manager) ICICI Infotech Services Limited Krishnamurthi Shri B. (Manager) ICICI Infotech Services Limited Krishnamurthi Shri B. (Manager) ICICI Infotech Services Limited above Same as
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Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Services Limited Krishnamurthi Shri B. (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi
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Shri B. Krishnamurthi (Manager) ICICI Infotech Services Limited Krishnamurthi Shri B. (Manager) ICICI Infotech Services Limited
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Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower Krishnamurthi Mr. B. # 6, 6th Floor Manager ICICI Infotech Ltd. Tower#6, 6th Floor, Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower Krishnamurthi Mr. B. # 6, 6th Floor Manager ICICI Infotech Ltd. Tower#6, 6th Floor, Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower as6, 6th Floor Same # above
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Shri B. Krishnamurthi (Manager) ICICI Infotech Services Limited Krishnamurthi Shri B. (Manager) ICICI Infotech Services Limited Krishnamurthi Shri B. (Manager) ICICI Infotech Limited Tower as6, 6th Floor Same # above
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Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Services Limited Krishnamurthi Shri B. (Manager) ICICI Infotech Services Limited above Same as
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ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI Infotech Services Limited (BP Id IN200027) ICICI INFOTECH IN200027 ICICI Infotech Limited (BP Id IN200027) ICICI Infotech Services Limited (BP Id IN200027) ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI INFOTECH IN200027 ICICI Infotech Limited (BP Id IN200027) ICICI Infotech Limited (BP Id IN200027)
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Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor Shri B. Krishnamurthi (Manager) ICICI Infotech Limited Tower # 6, 6th Floor
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ICICI Infotech Services Shri Ratan Das/Shri L N Limited (BP Id Rajan AGM (Private IN200027) Placement Bonds Department) ICICI Same as Above Same as Above
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ICICI Infotech Services Limited (BP Id IN200027) ICICI Infotech Services Limited (BP Id IN200027)
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Mr. Santosh Nambiar Ms. Jasmine Desai Operations Dept ICICI Securities & Finance
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SHAREPRO SERVICES IN200043
Mr. Rasesh Jhavaeri Ms. Sameer Kazi Operations Dept ICICI Securities & Mr. Sameer Kazi Mr. Rasesh Jhaveri Associate ICICI Securities & Mr. Sameer Kazi Mr. Rasesh Jhaveri Associate ICICI Securities & Mr. Sameer Kazi Mr. Rasesh Jhaveri Associate ICICI Securities & Mr. Sameer Kazi Mr. Rasesh Jhaveri Associate ICICI Securities & Mr. Sameer Kazi Mr. Rasesh Jhaveri Associate ICICI Securities & Mr. Rasesh Jhavaeri Ms. Sameer Kazi Operations Dept ICICI Securities & Mr. Sameer Kazi Mr. Rasesh Jhaveri Associate ICICI Securities & Mr. Sameer Kazi Mr. Rasesh Jhaveri Associate ICICI Securities & Mr. Sameer Kazi
Mr. Rasesh Jhaveri Associate ICICI Securities & Finance
SHAREPRO SERVICES Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Associate SHAREPRO SERVICES ICICI Securities & Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Associate SHAREPRO SERVICES ICICI Securities & Mr. Sameer Kazi Mr. Rasesh Jhaveri Associate ICICI Securities &
SHAREPRO SERVICES Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Operations Dept ICICI Securities & Sharepro Services Mr. Rasesh Jhavaeri (IN200043) Ms. Sameer Kazi Operations Dept SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Operations Dept SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Operations Dept SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhaveri IN200043 Ms. Sameer Kazi Operations Dept SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhaveri IN200043 Ms. Sameer Kazi Operations Dept SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhaveri IN200043 Ms. Sameer Kazi Operations Dept SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhaveri IN200043 Ms. Sameer Kazi Operations Dept SHAREPRO SERVICES ICICI Securities & Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Associate SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Associate SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Operations Dept SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Associate SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Associate ICICI Securities Ltd.
SHAREPRO SERVICES Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Associate SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri AssT. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri AssT. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President ICICI Securities Ltd.
SHAREPRO SERVICES Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Sameer Kazi IN200043 Mr. Rasesh Jhaveri Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Asst. Vice President ICICI Securities &
SHAREPRO SERVICES Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Ms. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities & Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President ICICI Securities Ltd.
SHAREPRO SERVICES Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President ICICI Securities Ltd.
SHAREPRO SERVICES Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President ICICI Securities Ltd.
SHAREPRO SERVICES Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhavaeri IN200043 Mr. Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI Securities Ltd. Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI SECURITIES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI SECURITIES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI SECURITIES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI SECURITIES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI SECURITIES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI SECURITIES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI SECURITIES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI SECURITIES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI SECURITIES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President ICICI SECURITIES
SHAREPRO SERVICES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI SECURITIES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President SHAREPRO SERVICES ICICI SECURITIES Mr. Rasesh Jhaveri/Mr. IN200043 Sameer Kazi Asst. Vice President INVESTOR SERVICES ICICI SECURITIES MS.PURNIMA S.RAO/ OF INDIA LTD.(IN200553) Same as above MR. AJIT ALEX AGM/ AM INVESTOR SERVICES Same as above
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Investor Services of India MS.PURNIMA S.RAO/ Ltd MR. AJIT ALEX (IN200553) AGM INVESTOR SERVICES Same as above Same as above
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MS.PURNIMA S.RAO/ MR. AJIT ALEX AGM/ AM INVESTOR SERVICES Same as above
Investor Services Of India Mr. Pradhan Ltd.(IN200553) Chief Executive Officer Investor Services Of India Investor Services Of India Ltd. Pradhan Mr. Ltd.(IN200553) Chief Executive Officer Investor Services Of India Ltd.
Investor Services Of India Mr. Pradhan Ltd.(IN200553) Chief Executive Officer Investor Services Of India Investor Services Of India Ltd. Pradhan Mr. Ltd.(IN200553) Chief Executive Officer Investor Services Of India Investor Services Of India Ltd. Pradhan Mr. Ltd.(IN200553) Chief Executive Officer Investor Services Of India Ltd. Pradhan INVESTOR SERV OF Mr. INDIA IN200553 Tata Share Registry Ltd. (IN200125) Tata Share Registry Ltd. (IN200125) Tata Share Registry Ltd. (IN200125) Tata Share Registry Ltd. (IN200125) Tata Share Registry Ltd. (IN200125) Tata Share Registry Ltd. (IN200125) Tata Share Registry Ltd. (IN200125) Tata Share Registry Ltd. (IN200125) Tata Share Registry Ltd. (IN200125) Chief Executive Officer Investor Services Of India Ltd. Vikram Mehmi Mr. Chief Financial Officer Idea Cellular Ltd. Sharda Centre Mr. Vikram Mehmi Chief Financial Officer Idea Cellular Ltd. Sharda Centre Mr. Vikram Mehmi Chief Financial Officer Idea Cellular Ltd. Sharda Centre Mr. Vikram Mehmi Chief Financial Officer Idea Cellular Ltd. Sharda Centre Mr. Vikram Mehmi Chief Financial Officer Idea Cellular Ltd. Sharda Centre Mr. Vikram Mehmi Chief Financial Officer Birla Tata AT & T Ltd. Sharda Centre Mr. Vikram Mehmi Chief Financial Officer Idea Cellular Ltd. Sharda Centre Mr. Vikram Mehmi Chief Financial Officer Idea Cellular Ltd. Sharda Centre Mr. Vikram Mehmi Chief Financial Officer Idea Cellular Ltd. Sharda Centre
Tata Share Registry Ltd. (IN200125) TSRL IN200125 TSRL IN200125 TSRL IN200125 TSRL IN200125
Same as above
Mr. Vikram Mehmi Chief Financial Officer Idea Cellular Ltd. Sharda Centre Mr. Satish Rajgarhia VP (Corp. Fin) & Company Secretary Idea Cellular Ltd. Mr. Satish Rajgarhia VP (Corp. Fin) & Company Secretary Idea Cellular Ltd. Mr. Satish Rajgarhia
VP (Corp. Fin) & Company Secretary Idea Cellular In-house Share Registry (BP Id Mr. R.K. ChopraLtd.
IN200449). Deputy General Manager IFCI Limited IFCI Tower In-house Share Registry (BP Id Mr. R.K. Chopra IN200449). Deputy General Manager IFCI Limited IFCI Tower In-house Share Registry (BP Id Mr. R.K. Chopra IN200449). Deputy General Manager IFCI Limited IFCI Tower Intime Spectrum , Delhi Mr. A K Choudhary IN200449. General Manager IFCI Ltd. IFCI Tower Intime Spectrum , Delhi Mr. A K Choudhary IN200449. General Manager IFCI Ltd. IFCI Tower In-house Share Registry (BP Id Mr. R.K. Chopra IN200449). Deputy General Manager IFCI Limited IFCI Tower
Same as above
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehruabove New Same as Place,
INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 In-house Share Registry (IN200449)
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, NehruJindal New Mr. Punit Place, Manager IFCI Ltd. IFCI Tower
In-house Share Registry (IN200449) INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 Same as above
Same as above
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehruabove New Same as Place,
INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New
INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449 INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Mr.D.Ghosh, President, ABC Computer Private Ltd. as above Same
Same as above
Same as above
Same as above
Same as above
MCS Ltd. (IN200424) MCS Ltd. (IN200424) MCS Ltd. (IN200424) MCS Ltd (IN200424)
Mr. S. N. Sridhar Company Secretary India Glycols Ltd C-124,as above Same Okhla Industrial
Mr. S. N. Sridhar Company Secretary India Glycols Ltd C-124,B. Bhowmick Mr. N. Okhla Industrial [Executive Investor Services] Indian B. Bhowmick Mr. N. Aluminium Executive Investor Services Indian B. Bhowmick Mr. N. Aluminium [Executive Investor Services] Indian B. Bhowmick Mr. N. Aluminium [Executive Investor Services] Indian B. Bhowmick Mr. N. Aluminium [Executive Investor Services] Indian Aluminium
Mr. N. B. Bhowmick [Executive Investor Services] Indian B. Bhowmick Mr. N. Aluminium [Executive Investor Services] Indian B. Bhowmick Mr. N. Aluminium [Executive Investor Services] Indian Aluminium Mr. R.D. Ramasamy General Manager Cameo Corporate Services Ramasamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. Same as above
Cameo Corporate Services Ltd.(IN200176) Cameo Corporate Services Ltd.(IN200176) Same as above
MCS Limited(IN200019)
MCS Limited(IN200019)
Mr. Sunil C. Patel Director Scrips Financial Services Private Limited Mr. J.B. Mehta Manager MCS Limited Neelam Mehta Mr. J.B. Apartment Manager MCS Limited Neelam Mehta Mr. J.P. Apartments Manager MCS Ltd. Neelam Apartments Same as above
MCS Limited(IN200019)
MCS Limited(IN200019)
Same as above
MCS Limited(IN200019)
Mr. J.P. Mehta Manager MCS Limited Neelam Apartments Same as above
Karvy Consultants Ltd. (IN200078) Karvy Consultants Ltd. (IN200078) Karvy Consultants Limited - RIL (BP Id IN200078). KARVY RIL IN200078 KARVY RIL IN200078 KARVY RIL IN200078 MCS Limited(IN200019)
Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited C. Patel Mr. Sunil Director Scrips Financial Services PrivateMahesh, Vice Mr. V. Limited President Karvy Consultants Limited C. Patel Mr. Sunil Director Scrips Financial Services PrivateMahesh, Vice Mr. V. Limited President Karvy Consultants Limited above Same as
Mr. V. Mahesh, Vice President Karvy Consultants Limited Mehta Mr. J.P. Manager MCS Limited Neelam Apartments
Karvy Consultants Ltd. (IN200078) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Same as above
Same as above
Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
Same as above
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Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035)
Karvy Consultants Ltd(IN200035) KARVY IN200035 KARVY IN200035 KARVY IN200035 Same as above
Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
KARVY IN200035 KARVY IN200035 Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035)
Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
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Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Same as above
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KARVY IN200035 Karvy Consultants Ltd(IN200035) KARVY IN200035 KARVY IN200035 Same as above
Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
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Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Same as above
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Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
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Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
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Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
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Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
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Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Same as above
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Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
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Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
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KARVY IN200035
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Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) KARVY IN200035 KARVY IN200035 Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035)
Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
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Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Same as above
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KARVY IN200035 Karvy Consultants Ltd(IN200035) KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449)
Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RISCentre India Habitat Core-4'A', East Court 01st Floor, Lodhi Road New Delhi - 110 003. Same as above
Same as above
In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-House Connectivity (IN100044)
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Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
As per the Scheme of merger, this debenture issued by erstwhile by Indo Gulf Corporation
In-House Connectivity (IN100044) Indo Gulf Corporation (IN100044)_ In-House Connectivity (IN100044) Indo Gulf Corporation (IN100044)_ Indo Gulf Corporation (IN100044)_ In-House Connectivity (IN100044) In-House Connectivity (IN100044)
Intime Spectrum Registry Private Limited (BP Id IN200094).
Mr. Rakesh Saxena Asst. Manager Secretarial Indo Gulf Corporation Mr. Rakesh Saxena Asst. Manager Secretarial Indo Gulf Corporation Mr. Rakesh Saxena Asst. Manager Secretarial Indo Gulf Corporation Mr. Rakesh Saxena Asst. Manager Secretarial Indo Gulf Corporation Mr. Rakesh Saxena Asst. Manager Secretarial Indo Gulf Corporation Mr. Rakesh Saxena Asst. Manager Secretarial Indo Gulf Corporation Mr. Rakesh Saxena Asst. Manager Secretarial Indo Gulf Corporation Mr. Kishore Thakkar
Director Intime Spectrum Registry Private Limited
As per the Scheme of merger, this debenture issued by erstwhile by Indo Gulf Corporation
As per the Scheme of merger, this debenture issued by erstwhile by Indo Gulf Corporation
As per the Scheme of merger, this debenture issued by erstwhile by Indo Gulf Corporation
Intime Spectrum Registry Mr. Kishore Thakkar Private Limited (BP Id Director IN200094). Intime Spectrum Registry Investor Services of India Private Limited MS.Sara Samuel Ltd (IN200553) AGM Invester Services Of India Investor Services of India Ltd. as above Same Ltd (IN200553) Investor Services of India Same as above Ltd (IN200553) Investor Services of India Same as above Ltd (IN200553)
Investor Services of India Same as above Ltd (IN200553) Investor Services of India Same as above Ltd (IN200553) Investor Services of India Same as above Ltd (IN200553) Investor Services of India Same as above Ltd (IN200553) Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services of India Investor Services Of India Smt. Poornima Rao Ltd Shri Ajit Alex (IN200553) AGM Investor Services Of India IInvester Services Of Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services of India Investor Services Of India Smt. Poornima Rao Ltd Shri Ajit Alex (IN200553) AGM Investor Services Of India Invester Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) Mr. Ajit Alex AGM Investor Services Of India Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) Mr. Ajit Alex AGM Investor Services Of India
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr.
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India
Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr.
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) AGM Investor Services Of India Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) Mr. Ajit Alex AGM Investor Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) Mr. Ajit Alex AGM Investor Services Of India Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553
INVESTOR SERV OF INDIA IN200553
Mr. Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Purnima S.Rao/ Mr. Ajit
Alex AGM Investor Services Of India Ltd.
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) Mr. Ajit Alex AGM Investor Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 Ajit Alex AGM Investor Services Of India
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
The Bonds are also held in the Book Entry form(Certificate of holdings)
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India INVESTOR SERV OF Ms.Poornima S.Rao/ Mr. INDIA IN200553 Ajit Alex AGM Investor Services Of India
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Same as above Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Mr. S.V. Raju Dy. General Manager Karvy Consultants Ltd. Karvy House, 46, Avenue Mr. S.V. Raju Dy. General Manager Karvy Consultants Ltd. Karvy House, 46, Avenue Interest is payable Mr. S.V. Raju Dy. General Manager monthly either by direct Karvy Consultants Ltd. credit to bank acount or Karvy House, 46, Avenue by way of post-dated Same as above
Same as above
Same as above
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Same as above Same as above
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India INVESTOR SERV OF INDIA Ms.Purnima S.Rao/ Mr. Ajit
IN200553 Alex AGM Investor Services Of India Ltd.
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553)
INVESTOR SERV OF INDIA IN200553
Ajit Alex AGM Investor Services Of India Ms.Purnima S.Rao/ Mr. Ajit
Alex AGM Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ltd.
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. holdings)
Same as above
Same as above
Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) Mr. Ajit Alex AGM Investor Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India Ms.Purnima S.Rao/ Ltd.(IN200553) Shrei, Peter AGM Investor Services Of India Investor Services Of India Same as above Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERVICES OF INDIA LTD.(IN200553) Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India MS.PURNIMA S.RAO/ MR. AJIT ALEX AGM/ AM INVESTOR SERVICES
Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Purnima S.Rao/ Mr. Ajit
Alex AGM Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ltd.
Investor Services of India Smt. Poornima Rao Ltd Shri Ajit Alex (IN200553) AGM Invester Services Of India INVESTOR SERV OF Ms.Poornima S.Rao/ Mr. INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) INVESTOR SERVICES Ltd. MS.PURNIMA S.RAO/ OF INDIA LTD.(IN200553) INVESTOR SERV OF INDIA IN200553 MR. AJIT ALEX AGM/ AM INVESTOR SERVICES Ms.Purnima S.Rao/ Mr.
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services of India Investor Services Of India The Bonds are also held Same as above Ltd in the Book Entry (IN200553) form(Certificate of holdings) are also held Investor Services of India Same as above The Bonds Ltd (IN200553) in the Book Entry form(Certificate of holdings) are also held The Bonds
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. holdings)
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) AGM Investor Services Of India Investor Services of India Ltd. Poornima Rao Smt. Ltd Shri Ajit Alex (IN200553) AGM Investor Services Of India Invester Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services of India Ltd. Purnima Rao Ms. The Bonds Ltd. (IN200553) Mr. Ajit Alex Asst. General Manager Investor Services of India Investor Services of Same as above Ltd. (IN200553) Same as above Same as above in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Investor Services Of India Ms.Purnima S.Rao Ltd.(IN200553) Mr. Peter AGM Investor Services Of India Investor Services OfMr. The Bonds are also held Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex in the Book Entry AGM form(Certificate of Investor Services Of India Investor Services Of India holdings) are also held Same as above The Bonds Ltd.(IN200553) in the Book Entry form(Certificate of holdings)
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. Ms.Purnima S.Rao/ Mr. holdings)
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India INVESTOR SERV OF Ms.Poornima S.Rao/ Mr. INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms.Purnima S.Rao Ltd.(IN200553) Mr. Ajit Alex in the Book Entry AGM form(Certificate of Investor Services Of India holdings) are also held Investor Services Of India Same as above The Bonds Ltd.(IN200553) in the Book Entry form(Certificate of Investor Services Of India Ms.Savitha Gokhale/ Mr. holdings) are also held The Bonds Ltd.(IN200553) Ajit Alex in the Book Entry AGM form(Certificate of Investor Services Of India Investor Services OfMr. holdings) are also held Ms.Purnima S.Rao/ India The Bonds Ltd.(IN200553) Ajit Alex in the Book Entry AGM form(Certificate of Investor Services Of India Investor Services Of India holdings) are also held Same as above The Bonds Ltd.(IN200553) in the Book Entry form(Certificate of Investor Services Of India Ms.Savitha Gokhale/ Mr. holdings) are also held The Bonds Ltd.(IN200553) Ajit Alex in the Book Entry AGM form(Certificate of Investor Services OfMr. holdings) INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA Ajit Alex IN200553 AGM Investor Services Of India
MS.PURNIMA S.RAO/ MR. AJIT ALEX AGM/ AM INVESTOR SERVICES Ms.Purnima S.Rao/ Mr.
Ajit Alex AGM Investor Services Of India Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) Mr. Ajit Alex AGM Investor Services Of India INVESTOR SERV OF Ms.Poornima S.Rao/ Mr. INDIA IN200553 Karvy Consultants Ltd. (IN200035) Same as above Ajit Alex AGM Investor Services Of India Mr. S.V. Raju Dy. General Manager Karvy Consultants Ltd. Karvy House, 46, Avenue Same as above
Investor Services Of India Ms.Purnima S.Rao Ltd.(IN200553) Mr. Ajit Alex AGM Investor Services Of India Investor Services Of India Ms.Purnima S.Rao Ltd.(IN200553)
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds
Mr. Ajit Alex in the Book Entry AGM form(Certificate of Investor Services OfMr. holdings) India Investor Services Of India Ms.Purnima S.Rao/ Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. The Bonds are also held Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India INVESTOR SERV OF Ms.Poornima S.Rao/ Mr. INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Datamatics Financial Software & Services Ltd.(IN200336) Ajit Alex AGM Investor Services Of India Shri. R.D. Kumbhar
General Manager Datamatics Financial Investor Services Of India Software & ServicesMr. Ms.Purnima S.Rao/ Ltd. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services Of India Ms.Purnima S.Rao/ Ltd.(IN200553) Shrei, Peter AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. holdings)
MS.PURNIMA S.RAO/ MR. AJIT ALEX AGM/ AM INVESTOR SERVICES Shri. R.D. Kumbhar
General Manager Datamatics Financial Software & Services Ltd. Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ltd.
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India INVESTOR SERV OF Ms.Poornima S.Rao/ Mr. INDIA IN200553 Ajit Alex AGM Investor Services Of India
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) AGM Investor Services Of India Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
The Bonds are also held in the Book Entry form(Certificate of holdings)
Ajit Alex AGM/ AM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 KARVY IN200035 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Mr. M.R.V. Subrahmanyam Asst. General Manager Karvy Consultants Mr. Ms.Purnima S.Rao/ Ajit Alex AGM Investor Services Of India
Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services of India Investor Services Of India The Bonds are also held Smt. Poornima Rao Ltd Shri Ajit Alex in the Book Entry (IN200553) AGM form(Certificate of IInvester Services Of INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr.
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Poornima S.Rao/ Mr. holdings) INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ltd.(IN200553) Ajit Alex AGM Investor Services Of India
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. Ltd.(IN200553)
The Bonds are also held in the Book Entry form(Certificate of holdings)
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. S.V. Raju holdings) Karvy Consultants Ltd. Mr. (IN200035) Dy. General Manager Karvy Consultants Ltd. Investor Services Of India Karvy House, 46, Avenue The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) AGM Investor Services Of India Ltd. in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. Ms.Purnima S.Rao/ Mr. holdings)
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) Mr. Ajit Alex AGM Investor Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) AGM Investor Services Of India Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. INDIA IN200553 in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds
AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ajit Alex AGM Investor Services Of India
Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr.
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. holdings)
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) AGM Investor Services Of India Ltd. R.D. Kumbhar Datamatics Financial Shri. Software & Services Ltd.(IN200336)
The Bonds are also held in the Book Entry form(Certificate of holdings)
General Manager Datamatics Financial Investor Services Of India Software & Gokhale Ltd. The Bonds are also held Ms. Savita Services Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. Ms.Purnima S.Rao/ Mr. holdings)
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 Ajit Alex AGM Investor Services Of India
INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Poornima S.Rao/ Mr. holdings) INDIA IN200553 Ajit Alex AGM Investor Services Of India
Investor Services of India Smt. Poornima Rao Ltd Shri Ajit Alex (IN200553) AGM Invester Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India INVESTOR SERV OF INDIA Ms.Purnima S.Rao/ Mr. Ajit
IN200553 Alex AGM Investor Services Of India Ltd.
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) AGM Investor Services Of India Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. INDIA IN200553
The Bonds are also held in the Book Entry form(Certificate of holdings)
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553)
DATAMATICS IN200336
AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. holdings) Shri. R.D. Kumbhar
General Manager Datamatics Financial Software & Services Ltd.
INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Investor Services Of India Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 Ajit Alex AGM Investor Services Of India
Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. Ms.Purnima S.Rao/ Mr. holdings)
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) AGM Investor Services Of India INVESTOR SERVICES Ltd. MS.PURNIMA S.RAO/ OF INDIA LTD.(IN200553) MR. AJIT ALEX AGM/ AM Investor Services of India INVESTOR SERVICES Smt. Poornima Rao Ltd Shri Ajit Alex (IN200553) AGM Investor Services Of India IInvester Services Of Ms. Savita Gokhale
The Bonds are also held in the Book Entry form(Certificate of holdings)
The Bonds are also held Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. INVESTOR SERV OF Ms.Poornima S.Rao/ Mr. holdings) INDIA Ajit Alex IN200553 AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms. Savita Gokhale Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of holdings) are also held Investor Services Of India Ltd. Savita Gokhale Ms. The Bonds Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553
INVESTOR SERV OF INDIA IN200553
AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. Ms.Purnima S.Rao/ Mr. holdings) Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Ms.Purnima S.Rao/ Mr. Ajit
Alex AGM Investor Services Of India Ltd.
INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 KARVY IN200035 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Mr. M.R.V. Subrahmanyam Asst. General Manager Karvy Consultants Mr. Ms.Poornima S.Rao/ Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India INVESTOR SERV OF Ms.Poornima S.Rao/ Mr. INDIA IN200553 Ajit Alex AGM Investor Services Of India
INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr.
Ajit Alex AGM Investor Services of India Investor Services Of India The Bonds are also held Smt. Poornima Rao Ltd Shri Ajit Alex in the Book Entry (IN200553) AGM form(Certificate of IInvester Services Of Mr. holdings) INVESTOR SERV OF Ms.Poornima S.Rao/ INDIA IN200553
INVESTOR SERV OF INDIA IN200553
Ajit Alex AGM Investor Services Of India Ms.Purnima S.Rao/ Mr. Ajit
Alex AGM Investor Services Of India Ltd.
DATAMATICS IN200336 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Same as above
Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd. Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Same as above
Same as above
Same as above
Same as above
Same as above
Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Mr. R.D. Kumbhar
General Manager Datamatics Financial Investor Services Of India Software & Gokhale Ltd. The Bonds are also held Ms. Savita Services Ltd.(IN200553) AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. as above holdings) Same as above Same
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) AGM Investor Services Of India Investor Services Of India Ltd. Savita Gokhale Ms. Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 KARVY IN200035 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds
AGM in the Book Entry Investor Services Of India form(Certificate of Ltd. holdings) Ms.Purnima S.Rao/ Shrei, Peter AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Mr. M.R.V. Subrahmanyam Assistant General Manager above Same as
INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India
DATAMATICS IN200336 INVESTOR SERV OF INDIA IN200553 Karvy Consultants Ltd. (IN200035)
Mr. R.D. Kumbhar General Manager Datamatics Financial Software & ServicesMr. Ms.Purnima S.Rao/ Ltd. Ajit Alex AGM Investor Services Of India Mr. S.V. Raju
Dy. General Manager Karvy Consultants Ltd. Investor Services of India Karvy House, 46, Avenue The Bonds are also held Same as above Ltd in the Book Entry (IN200553) form(Certificate of holdings) are also held Investor Services of India Same as above The Bonds Ltd. (IN200553) DATAMATICS IN200336 Mr. R.D. Kumbhar General Manager Datamatics Financial Software Kumbhar Ltd. Mr. R.D. & Services in the Book Entry form(Certificate of holdings)
Datamatics Financial Software & Services Ltd. Mr. Mehul Joshi (IN200336) General Manager Datamatics Financial Datamatics Financial Same as above Software & Services Ltd. (IN200336) Datamatics Financial Same as above Software & Services Ltd. (IN200336) Datamatics Financial Same as above Software & Services Ltd. (IN200336) INVESTOR SERVICES OF INDIA LTD.(IN200553)
MS.PURNIMA S.RAO/ MR. AJIT ALEX AGM/ AM Investor Services Of India INVESTOR SERVICES Same as above Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 Ms. Poornima Rao/Mr. Ajit Alex Asst. General Manager Investor Services Of
The Bonds are also held in the Book Entry form(Certificate of holdings)
Investor Services Of India Ms. Savita Gokhale Ltd.(IN200553) Mr. Ajit Alex AGM Investor Services Of India KARVY Mr. M.R.V. IN200035 Subrahmanyam Assistant General Investor Services Of India Manager Gokhale Ms. Savita Ltd.(IN200553) AGM Investor Services Of India Ltd. INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Same as above Ltd.(IN200553) in the Book Entry form(Certificate of INVESTOR SERV OF Ms.Purnima S.Rao/ Mr. holdings) INDIA IN200553 Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Same as above Ltd.(IN200553) in the Book Entry form(Certificate of holdings) Datamatics Financial Same as above Software & Services Ltd. (IN200336) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Mr. S.V. Raju Dy. General Manager Karvy Consultants Ltd. Karvy House, 46, Avenue Mr. S.V. Raju Dy. General Manager Karvy Consultants Ltd. Karvy House, 46, Avenue
Mr. S.V. Raju Dy. General Manager Karvy Consultants Ltd. Karvy House, 46, Avenue Ms.Purnima S.Rao/ Mr.
Ajit Alex AGM Investor Services Of India Investor Services Of India The Bonds are also held Ms.Purnima S.Rao Ltd.(IN200553) Mr. Ajit Alex in the Book Entry AGM form(Certificate of Investor Services Of India Investor Services OfMr. holdings) are also held Ms.Purnima S.Rao/ India The Bonds Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 Ajit Alex in the Book Entry AGM form(Certificate of Investor Services OfMr. holdings) Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India
Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Ajit Alex AGM Investor Services Of India Shri. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd. Shri. R.D. Kumbhar
General Manager Datamatics Financial Investor Services of India Software & Services Ltd. The Bonds are also held Smt. Poornima Rao Ltd Shri Ajit Alex in the Book Entry (IN200553) AGM form(Certificate of Investor Services Of India IInvester Services Of Ms.Purnima S.Rao/ Mr. holdings) Ltd.(IN200553) Ajit Alex AGM Investor Services Of India Investor Services OfMr. Ms.Purnima S.Rao/ India Ltd.(IN200553) Ajit Alex AGM Investor Services Of India
Investor Services Of India Ms.Purnima S.Rao/ Mr. Ltd.(IN200553) Ajit Alex AGM Investor Services OfMr. INVESTOR SERV OF Ms.Purnima S.Rao/ India INDIA IN200553 INVESTOR SERV OF INDIA IN200553
DATAMATICS IN200336
Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services Shri. R.D. Kumbhar Of India
General Manager Datamatics Financial Software & Services Ltd. Shri. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd. Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services Of India Ltd.
DATAMATICS IN200336
INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India
INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 INVESTOR SERV OF INDIA IN200553 KARVY IN200035 KARVY IN200035
Ms.Purnima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Ms.Poornima S.Rao/ Mr. Ajit Alex AGM Investor Services OfMr. Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Mr. M.R.V. Subrahmanyam Asst. General Manager Karvy Consultants Mr. M.R.V.
Subrahmanyam Asst. General Manager Investor Services Of India Karvy Consultants Mr. The Bonds are also held Ms.Savitha Gokhale/ Ltd.(IN200553) Ajit Alex in the Book Entry AGM form(Certificate of Investor Services Of India holdings) are also held Investor Services Of India Ms.Savitha Gokhale/ Mr. The Bonds Ltd.(IN200553) INVESTOR SERV OF INDIA IN200553 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Ajit Alex in the Book Entry AGM form(Certificate of Investor Services OfMr. holdings) Ms.Purnima S.Rao/ India Ajit Alex AGM Investor Services Of India Mr. M.R.V. Subrahmanyam Mr. V. Mahesh Vice President Mr. M.R.V. Subrahmanyam Mr. V. Mahesh Vice President Mr. M.R.V. Subrahmanyam Mr. V. Mahesh Vice President
KARVY IN200035
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
Karvy Consultants Ltd. (IN200035)
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds
President, Karvy in the Book Entry Consultants Ltd. 46, form(Certificate of Avenuee 4, Street No. 1, holdings) Same as above
Same as above
Same as above
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
Karvy Consultants Ltd. (IN200035)
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds
President, Karvy in the Book Entry Consultants Ltd. 46, form(Certificate of Avenuee 4, Same as above Street No. 1, holdings)
Same as above
Same as above
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
Karvy Consultants Ltd. (IN200035)
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds
President, Karvy in the Book Entry Consultants Ltd. 46, form(Certificate of Avenuee 4, Street No. 1, holdings) Same as above
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings)
Same as above
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds
President, Karvy in the Book Entry Consultants Ltd. 46, form(Certificate of Avenuee 4, Same as above Street No. 1, holdings)
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
KARVY IN200035 KARVY IN200035 KARVY IN200035 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
Karvy Consultants Ltd. (IN200035)
Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Vice Mr. V. Mahesh, President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds
President, Karvy in the Book Entry Consultants Ltd. 46, form(Certificate of Avenuee 4, Same as above Street No. 1, holdings)
Same as above
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Same as above Street No. 1,
The Bonds are also held in the Book Entry form(Certificate of holdings)
Same as above
Same as above
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
Karvy Consultants Ltd. (IN200035)
Same as above
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds
President, Karvy in the Book Entry Consultants Ltd. 46, form(Certificate of Avenuee 4, Same as above Street No. 1, holdings)
Mr. V. Mahesh Vice President Karvy Consultants Ltd. 46, Avenue Same as above 4, Street No.
Same as above
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
Karvy Consultants Ltd. (IN200035)
Same as above
Same as above
Same as above
Same as above
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) KARVY IN200035 KARVY IN200035 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) KARVY IN200035 Karvy Consultants Ltd. (IN200035)
Same as above
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. V. Mahesh, Vice
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds
President, Karvy in the Book Entry Consultants Ltd. 46, form(Certificate of Avenuee 4, Street No. 1, holdings) Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Vice Mr. V. Mahesh,
The Bonds are also held President, Karvy in the Book Entry Consultants Ltd. 46, form(Certificate of Avenuee 4, Street No. 1, holdings) Mr. M.R.V.Subrahmanyam Asst. General Manager Karvy Consultants Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Same as above Street No. 1,
The Bonds are also held in the Book Entry form(Certificate of holdings)
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Same as above Street No. 1,
The Bonds are also held in the Book Entry form(Certificate of holdings)
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Same as above Street No. 1,
The Bonds are also held in the Book Entry form(Certificate of holdings)
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1,
The Bonds are also held in the Book Entry form(Certificate of holdings)
Same as above
KARVY IN200035
Karvy Consultants Ltd. (IN200035)
Karvy Consultants Ltd. (IN200035) KARVY IN200035 KARVY IN200035 KARVY IN200035
Karvy Consultants Ltd. (IN200035)
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
Same as above
Same as above
KARVY IN200035
Karvy Consultants Ltd. (IN200035)
Same as above
Same as above
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Same as above Street No. 1,
The Bonds are also held in the Book Entry form(Certificate of holdings)
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) KARVY IN200035 KARVY IN200035
Karvy Consultants Ltd. (IN200035)
Same as above
Same as above
Same as above
Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
Same as above
Karvy Consultants Ltd. (IN200035) KARVY IN200035 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Mr. M.R.V.Subrahmanyam Asst. General Manager/RIS Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings)
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings)
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings)
Same as above
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Same as above
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd (IN200035 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Mr. V Mahesh, Vice President, Kervy Consultants Ltd. 46, Avenue, 4 Street, No.1 Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings)
The Bonds are also held in the Book Entry form(Certificate of holdings)
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings)
Same as above
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
Same as above
Same as above
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Same as above
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Same as above
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) MCS Limited(IN200019)
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings)
Same as above
Same as above
Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Mr.V Mahesh, Vice President, Karvy Consultants Ltd.46, Avenue, 4, Street, No.1 Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings) are also held The Bonds in the Book Entry form(Certificate of holdings)
MCS IN200019 MCS IN200019 MCS Limited (BP Id IN200019). MCS Limited(IN200019)
Mr. Rajesh Satardekar / Mr. Ayan Chakroborty Manager / Senior Secretarial Officer Mr. Rajesh Satardekar / Mr. Ayan Chakroborty Manager / Senior Secretarial Officer Mr. Rajesh Satardekar / Mr. Ayan Chakroborty Manager / Senior Secretarial Officer Mr. Rajesh Satardekar / Mr. Ayan Chakroborty Manager / Company Secretary Satardekar / Mr. Rajesh Mr. Ayan Chakroborty Manager / Senior Secretarial Officer
MCS Limited(IN200019)
MCS Limited (BP Id IN200019). MCS Limited (BP Id IN200019). MCS Limited(IN200019)
Mr. Rajesh Satardekar / Mr. Ayan Chakroborty Manager / Senior Secretarial Officer Mr. Rajesh Satardekar / Mr. Ayan Chakroborty Manager / Company Secretary Satardekar / Mr. Rajesh Mr. Ayan Chakroborty Manager / Company Secretary Satardekar / Mr. Rajesh Mr. Ayan Chakroborty Manager / Senior Secretarial Officer Mr. Rajesh Satardekar / Mr. Ayan Chakroborty Manager / Senior Secretarial Officer Mr. Rajesh Satardekar / Mr. Ayan Chakroborty Manager / Senior Secretarial Officer Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Mr. Narendra Gangan, Ltd,
Manager(Corporate), Infrastructure Leasing & Financial Services Ltd,
MCS Limited(IN200019)
MCS IN200019 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
INTIME SPECTRUM REGISTRY IN200094
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd,
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 Same as above
Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial above Ltd, Same as Services
Same as above
Same as above
Same as above
Same as above
Intime Spectrum Registry Mr. Narendra Gangan, Ltd Manager(Corporate), (IN200094) Infrastructure Leasing & Financial above Ltd, Same as above Same as Services
Same as above
Same as above
Intime Spectrum Registry Mr.Narendra Gangan, Ltd Manager(Corporate)/Secr (IN200094) etarial, Infrastructure Leasing & Same as above Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Intime Spectrum Registry Mr. Narendra Gangan Ltd Manager (IN200094) (Corporate)/Secretarial Infrastructure Leasing & Same as above Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Intime Spectrum Registry Same as above Ltd. (IN200094) Intime Spectrum Registry Mr. Narendra Gangan Ltd Manager (IN200094) (Corporate)/Secretarial Infrastructure Leasing & Same as above Same as above
Same as above
Same as above
Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial above Ltd, Same as above Same as Services
Intime Spectrum Registry Mr. Narendra Gangan Ltd Manager (IN200094) (Corporate)/Secretarial Infrastructure Leasing & Same as above Same as above
Intime Spectrum Registry Same as above Ltd. (IN200094) Intime Spectrum Registry Mr. Narendra Gangan, Ltd Manager(Corporate), (IN200094) Infrastructure Leasing & Financial above Ltd, Same as above Same as Services
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial above Ltd, Same as Services Ltd. (IN200094) Intime Spectrum Registry Same as above Ltd. (IN200094) Same as above Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial above Ltd, Same as Services Ltd. (IN200094) Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial above Ltd, Same as above Same as Services
Same as above
Intime Spectrum Registry Same as above Ltd. (IN200094) Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial above Ltd, Same as above Same as Services
Intime Spectrum Registry Same as above Ltd. (IN200094) Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial Services Ltd,
Intime Spectrum Registry Same as above Ltd. (IN200094) Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial above Ltd, Same as Services Ltd. (IN200094) Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial above Ltd, Same as Services Ltd. (IN200094) Same as above Same as above
Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial above Ltd, Same as Services Ltd. (IN200094) Intime Spectrum Registry Same as above Ltd. (IN200094) Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial above Ltd, Same as above Same as Services
Same as above
Same as above
Intime Spectrum Registry Same as above Ltd. (IN200094) Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial above Ltd, Same as Services Ltd. (IN200094) Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial above Ltd, Same as Services Ltd. (IN200094) Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial Services Ltd,
Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial above Ltd, Same as above Same as Services
Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial Services Ltd,
Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Same as above Manager(Corporate), Infrastructure Leasing & Financial above Ltd, Same as Services
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Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial above Ltd, Same as Services Ltd. (IN200094) Intime Spectrum Registry Same as above Ltd. (IN200094) INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 Same as above Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial above Ltd, Same as Services
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Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial Services Ltd,
Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial Services Ltd, INTIME SPECTRUM Mr. Narendra Gangan, REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan,
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Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial above Ltd, Same as above Same as Services
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Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Intime Spectrum Registry Mr. Narendra Gangan, Manager(Corporate), Ltd. Infrastructure Leasing & (IN200094) Intime Spectrum Registry Mr. Narendra Gangan, Ltd Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd (IN200094) Same as above Manager(Corporate), Infrastructure Leasing & Financial above Ltd, Same as Services
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Intime Spectrum Registry Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. (IN200094) Manager(Corporate), Infrastructure Leasing & Intime Spectrum Registry Financial Services Ltd, Mr. Narendra Gangan, Ltd. Manager(Corporate), (IN200094) Infrastructure Leasing & Financial Services Ltd, INTIME SPECTRUM Mr. Narendra Gangan, REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 Same as above Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial Services Ltd, Mr. Narendra Gangan, Manager(Corporate), Infrastructure Leasing & Financial above Ltd, Same as Services
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Intime Spectrum Registry Mr. A.N. Thakkar Ltd. (IN200094) Company Secretary Instant Trading & Investment Company Ltd. Beetal Financial & Mr. A.K. Shringhi Computer Services. (IN200504) Company Secretary cum DGM (F&A) KARVY CONSULTANTS Instrumentation Limited STRPP-> Separately M.S. MADHUSUDHAN LIMITEDHYDERABADB ASSTT.GENL.MGR. Tranferable Redeemable P ID NO.IN200035 KARVY HOUSE, Principal Parts KARVY CONSULTANTS 46, AVENUE 4, M.S. MADHUSUDHAN STRPP-> Separately LIMITEDHYDERABADB ASSTT.GENL.MGR. P ID NO.IN200035 KARVY HOUSE, KARVY CONSULTANTS 46, AVENUE 4, M.S. MADHUSUDHAN LIMITEDHYDERABADB ASSTT.GENL.MGR. P ID NO.IN200035 KARVY HOUSE, KARVY CONSULTANTS 46, AVENUE 4, M.S. MADHUSUDHAN LIMITEDHYDERABADB ASSTT.GENL.MGR. P ID NO.IN200035 KARVY HOUSE, 46, AVENUE 4, In-House Mr. G. Srinivas Connectivity(ITC Bhadrachalam) (IN100085) ITC Limited (IN200124) Alpha Systems Pvt. Ltd. (IN200248) Alpha Systems Pvt. Ltd. (IN200248) Alpha Systems Pvt. Ltd. (IN200248) Alpha Systems Pvt. Ltd. (IN200248) Alpha Systems Pvt. Ltd. (IN200248) Junior Manager(Shares) ITC Bhadrachalam Paperboards Ltd. Mr. R. Satish Asst. Manager - Finance (Corporate Finance) ITC Ramaprasad S. Mr. Ltd. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Ramaprasad S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Ramaprasad S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Ramaprasad S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Ramaprasad S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Tranferable Redeemable Principal Parts STRPP-> Separately Tranferable Redeemable Principal Parts STRPP-> Separately Tranferable Redeemable Principal Parts
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Mr. Ramaprasad S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Ramaprasad S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Ramaprasad S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Ramaprasad S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Ramaprasad S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Ramaprasad Sr. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. K. Sambasivam Director Alpha System Pvt. Ltd. 30, Ramana Residency Mr. K. Sambasivam Director Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Ramaprasad S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Sridhar S. Asst. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Sridhar S. Asst. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Sridhar S. Asst. Vice President Alpha Systems Pvt. Ltd. 30, Ramana Residency Mr.Sridhar S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency
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Mr.Sridhar S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr.Sridhar S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr.Sridhar S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Sridhar S. Asst. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Sridhar S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Sridhar S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr.Sridhar S. Vice President Alpha System Pvt. Ltd. 30, Ramana Residency Mr. Sunil Gupta Company Secretary Jammu & Kashmir State Power as above Same Development
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Mr. R Sajjan Rao Deputy General Manager (Zone-I) KARNATAKA STATE Mr. R Sajjan Rao Deputy General Manager (Zone-I) KARNATAKA STATE Mr. R Sajjan Rao Deputy General Manager (Zone-I) KARNATAKA STATE Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd.
Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176)
Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd. Mr. D. Satishkumar Company Secretary Cameo Corporate Services Ltd.
Integrated Enterprises (India) Limited.(IN200264) Integrated Enterprises (India) Limited.(IN200264) SKDC CONSULTANTS LTD. IN200465
Mr. V.S. Senthil Fund Manager Kerala Infrastructure Investment Fund Board Same as above
Mr.K. Narendra Managing Director SKDC Consultants ABC Computers Pvt. Ltd. Limited Ojha Mr. G.K. (IN200297) Manager - Share & Registrar Kesoram above Same as above Same as Industries Ltd.
Same as above
Same as above
Intime Spectrum Registry Ms. Samita Lahiri Ltd. Company Secretary (IN200094) Kinetic Finance Ltd. 4704, Pune Mumbai Same as above Same as above
Same as above
Same as above
Intime Spectrum Registry Ms. Samita Lahiri Ltd. Company Secretary (IN200094) Kinetic Finance Ltd. 4704, PuneDaftary INTIME SPECTRUM Mr. Nikunj Mumbai REGISTRY IN200094 MCS Limited(IN200019) Head - Depository IPO Intime Spectrum Registry Ltd., Surreash, Mr. N. Sr. Manager, MCS Limited, Sri Venkatesh Bhavan, Same as above
Same as above
MCS Limited(IN200019)
MCS Limited(IN200019)
Mr. Sanjay Chudnaik Asst. Manager Kitchen Appliances India Ltd. Sanjay Chudnaik Mr. Asst. Manager Kitchen Appliances India Ltd. Sanjay Chudnaik Mr. Asst. Manager Kitchen Appliances India Ltd. Sanjay Chudnaik Mr. Asst. Manager Kitchen Appliances India Ltd. Mr.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr.Sanjay Chudnaik/Mr. Benny Anthony Asst. Manager/Officer Kitchen Appliances Mr.Sanjay Chudnaik/Mr. Benny Anthony Asst. Manager/Officer Kitchen Appliances Mr.Sanjay Chudnaik/Mr. Benny Anthony Asst. Manager/Officer Kitchen Appliances Mr.Sanjay Chudnaik/Mr. Benny Anthony Asst. Manager/Officer Kitchen Appliances Mr.Sanjay Chudnaik/Mr. Benny Anthony Asst. Manager/Officer Kitchen Appliances Mr.Sanjay Chudnaik/Mr. Benny Anthony Asst. Manager/Officer Kitchen Appliances Mr.Sanjay Chudnaik/Mr. Benny Anthony Asst. Manager/Officer Kitchen Appliances Mr. R.S. Pandey Mr. Sandeep T. Madhavi Sr. Manager /Manager Dept - R & T
MCS Limited(IN200019)
MCS Limited(IN200019)
MCS Limited(IN200019)
MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 Mennen Financial Services Ltd. (IN200682)
Mennen Financial Services Ltd. (IN200682) Mennen Financial Services Ltd. (IN200682) Same as above
Same as above
Same as above
Same as above
Shri. B. Satyanarayana Company Secretary Konkan Railway Corportion Limited Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
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Same as above
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Same as above
Same as above
Same as above
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Same as above
Same as above
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Same as above
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Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Sharex Dynamic (India) Pvt. Mr. B. Satyanarayanan Ltd. Company Secretary IN200393 KONKAN RAILWAY CORPORATION LIMITED
Mr. R. Parab Asst. Company Secretary Intime Spectrum Registry Konkan Railway Mr. Mahesh Natarajan Pvt. Ltd., Executive-Treasury (IN200094) Kotak Mahindra Finance Intime Spectrum Registry Ltd., Mr. Mahesh Natarajan (IN200094) Same as above Executive - Treasury 36-38A, Nariman Bhavan 227, Nariman Point Same as above
Same as above
Same as above
Same as above
Same as above
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Ltd.
Intime Spectrum Registry Mr. Mahesh Natarajan Limited Executive Treasury (BP Id IN200094). Department Kotak Mahindra Finance Same as above Same as above
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Executive - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Same as above Ltd. (IN200094) Same as above Same as above
Intime Spectrum Registry MR. Mahesh Natarajan Pvt. LTd( IN200094) Executive-Treasury Kotak mahindra Finance limitedas above Same as above Same
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Executive - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Executive - Treasury Kotak Mahindra Finance Ltd.
Same as above
Same as above
Same as above
Same as above
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum IN200094 Intime Spectrum IN200094 Mr. Mahesh Natarajan Executive - Treasury 36-38A, Nariman Bhavan 227, Nariman Point Same as above
Intime Spectrum Registry Mr. Mahesh Natarajan Limited (BP Id Executive Treasury IN200094). Department Intime Spectrum Registry Kotak Mahindra Finance Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Intime Spectrum Mr. IN200094 Intime Spectrum IN200094 Intime Spectrum IN200094 Intime Spectrum IN200094 Asst. Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr. Asst. Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr. Asst. Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr. Asst. Manager - Treasury Kotak Mahindra Finance Ltd.
Mr. Mahesh Natarajan Asst. Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr.
Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. Executive - Treasury (IN200094) 36-38A, Nariman Bhavan Intime Spectrum Registry 227, Nariman Point Same as above Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. Executive - Treasury (IN200094) 36-38A, Nariman Bhavan Intime Spectrum Registry 227, Nariman Point Same as above Ltd. (IN200094) Intime Spectrum Registry Same as above Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. Executive - Treasury (IN200094) 36-38A, Nariman Bhavan Intime Spectrum Registry 227, Nariman Point Same as above Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Ltd.
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Same as above Ltd. (IN200094) INTIME SPECTRUM REGISTRY LIMITED IN200094 INTIME SPECTRUM REGISTRY LIMITED IN200094 Mr. Mahesh Natarajan Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr.
Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum IN200094 Intime Spectrum IN200094 Mr. Mahesh Natarajan Executive - Treasury 36-38A, Nariman Bhavan 227, Nariman Point Same as above
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Limited Executive Treasury (BP Id IN200094). Department Intime Spectrum Registry Kotak Mahindra Finance Same as above Limited (BP Id IN200094). Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) INTIME SPECTRUM REGISTRY IN200094 Mr. Mahesh Natarajan Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Ltd.
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr. Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr.
Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) INTIME SPECTRUM REGISTRY LIMITED IN200094 INTIME SPECTRUM REGISTRY LIMITED IN200094 INTIME SPECTRUM REGISTRY IN200094 Asst. Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr. Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr. Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr. Manager - Treasury Kotak Mahindra Finance Ltd.
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Mr. Mahesh Natarajan Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr. Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan Mr.
Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Executive - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. Executive - Treasury (IN200094) 36-38A, Nariman Bhavan Intime Spectrum Registry 227, Nariman Point Same as above Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Ltd.
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Ltd.
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Ltd.
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Ltd. Mahesh Natarajan INTIME SPECTRUM Mr.
REGISTRY IN200094
Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Executive - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) INTIME SPECTRUM REGISTRY IN200094 Mr. Mahesh Natarajan Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. as above Same Ltd. (IN200094) Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Manager - Treasury Kotak Mahindra Finance Ltd.
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Intime Spectrum Registry Ltd. Mahesh Natarajan Mr. Ltd. (IN200094) Asst. Manager - Treasury Kotak Mahindra Finance Ltd. as above Same as above Same
Same as above
Same as above
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Executive - Treasury 36-38A, Nariman Bhavan Intime Spectrum Registry 227, Nariman Point Mr. Mahesh Natarajan Ltd. (IN200094) Same as above Executive - Treasury Kotak Mahindra Finance Ltd. as above Same
Same as above
Same as above
Intime Spectrum Registry Mr. Mahesh Natarajan Ltd. (IN200094) Executive - Treasury Kotak Mahindra Finance Ltd. Sachin Samant INTIME SPECTRUM Mr. REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 Associate Vice-President Kotak Mahindra Investments Ltd. Mr. Sachin Samant Associate Vice-President Kotak Mahindra Investments Ltd. Mr. Sachin Samant Associate Vice-President Kotak Mahindra Investments Ltd.
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Mr. Sachin Samant Associate Vice-President Kotak Mahindra Investments Ltd. Mr. Sachin Samant Associate Vice-President Kotak Mahindra Investments Ltd. Mr. Sachin Samant Vice President KOTAK MAHINDRA INVESTMENTS LIMITED Mr. Sachin Samant Associate Vice-President Kotak Mahindra Investments Ltd. Mr. Sachin Samant Associate Vice-President Kotak Mahindra Investments Ltd. Mr. Sachin Samant Vice President KOTAK MAHINDRA INVESTMENTS LIMITED Mr. Priya Subbaraman Legal Dept KOTAK MAHINDRA INVESTMENTS LIMITED Mr. Sachin Samant Vice President KOTAK MAHINDRA INVESTMENTS LIMITED Mr. Sachin Samant Vice President KOTAK MAHINDRA INVESTMENTS LIMITED Mr. Sachin Samant Vice President KOTAK MAHINDRA INVESTMENTS LIMITED Mr. Govind Pednekar Sr. Executive - Treasury Kotak Mahindra Investments Ltd Mr. Priya Subbaraman Legal Dept KOTAK MAHINDRA INVESTMENTS LIMITED Mr. Sachin Samant Vice President KOTAK MAHINDRA INVESTMENTS LIMITED
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM,DELHI IN200449
Mr. Sachin Samant Vice President KOTAK MAHINDRA INVESTMENTS LIMITED Mr. Sachin Samant Vice President KOTAK MAHINDRA INVESTMENTS LIMITED Mr. Govind Pednekar Sr. Executive - Treasury Kotak Mahindra Investments Ltd Mr. Govind Pednekar Sr. Executive - Treasury Kotak Mahindra Investments Ltd Mr. Govind Pednekar Sr. Executive - Treasury Kotak Mahindra Investments Ltd Mr. Govind Pednekar Sr. Executive - Treasury Kotak Mahindra Investments Ltd Mr. Govind Pednekar
Sr. Executive - Treasury Kotak Mahindra IntimeSpectrum Registry Investments Shah, Ms.Shwetal Ltd (IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum registry Ltd Mahindra Primus Kotak (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST Intime Spectrum registry Road, Mahindra Primus Kotak Kalina, Santacruz (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST Intime Spectrum registry Road, Mahindra Primus Kotak Kalina, Santacruz (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST IntimeSpectrum Registry Road, Kalina, Santacruz Ms.Shwetal Shah, (IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum registry Ltd Mahindra Primus Kotak (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST Road, Kalina, Santacruz
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Intime Spectrum registry Kotak Mahindra Primus (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST IntimeSpectrum Registry Road, Kalina, Santacruz Ms.Shwetal Shah, (IN200094) Same as above Sr.Officer, Kotak Mahindra Primus Ltd Same as above
CLXXVI
Intime Spectrum Registry Same as above Ltd.(IN200094) Same as above Same as above
CC
Intime Spectrum registry Kotak Mahindra Primus (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST IntimeSpectrum Registry Road, Kalina, Santacruz Ms.Shwetal Shah, (IN200094) Sr.Officer, Kotak Mahindra Primus IntimeSpectrum Registry Ltd Ms.Shwetal Shah, (IN200094) Sr.Officer, Kotak Mahindra Primus Ltd Same as above Same as above
CLIII
Intime Spectrum registry Kotak Mahindra Primus (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST Intime Spectrum Registry Road, as above Same Kalina, Santacruz Ltd.(IN200094) Same as above Same as above
CCIII
CCIII
IntimeSpectrum Registry Ms.Shwetal Shah, Ltd. (IN200094) Sr.Officer, Kotak Mahindra Primus Ltd
Intime Spectrum Registry Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Ltd Same as above Same as above
Same as above
Same as above
IntimeSpectrum Registry Ms.Shwetal Shah, (IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum registry Ltd Mahindra Primus Kotak (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST IntimeSpectrum Registry Road, Kalina, Santacruz Ms.Shwetal Shah, (IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Intime Spectrum registry Ltd Mahindra Primus Kotak (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST Intime Spectrum registry Road, Mahindra Primus Kotak Kalina, Santacruz (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST Intime Spectrum registry Road, Mahindra Primus Kotak Kalina, Santacruz (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST Intime Spectrum Registry Road, Kalina, Santacruz Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Limited (BP Id Sr.Officer, IN200094). Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer, Kotak Mahindra Primus Ltd
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Intime Spectrum Registry Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum registry Ltd Mahindra Primus Kotak (IN200094) Same as above Limited, 159-A, Vinay Bhavya Complex, CST Road, as above Same Kalina, Santacruz
CLXXI
Same as above
Same as above
Intime Spectrum Registry Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd.(IN200094) Same as above Sr.Officer,(Treasury), Kotak Mahindra Primus Ltd Same as above
Same as above
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Intime Spectrum Registry Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer, Kotak Mahindra Primus Ltd Same as above Same as above
IntimeSpectrum Registry Ms.Shwetal Shah, (IN200094) Sr.Officer, Kotak Mahindra Primus Ltd Same as above Same as above
Same as above
Same as above
Intime Spectrum Registry Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd.(IN200094) Same as above Sr.Officer,(Treasury), Kotak Mahindra Primus Ltd Same as above
Same as above
Same as above
Intime Spectrum Registry Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Intime Spectrum Registry Ltd Same as above Ltd.(IN200094) Same as above Same as above
CCI
Intime Spectrum registry Kotak Mahindra Primus (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST Intime Spectrum Registry Road, Kalina, Santacruz Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer, Kotak Mahindra Primus Ltd
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Intime Spectrum Registry Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer, Kotak Mahindra Primus Ltd Same as above Same as above
Intime Spectrum Registry Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Intime Spectrum Registry Ltd Same as above Ltd.(IN200094) Intime Spectrum Registry Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer,(Treasury), Kotak Mahindra Primus Intime Spectrum registry Ltd Mahindra Primus Kotak (IN200094) Limited, 159-A, Vinay Bhavya Complex, CST Intime Spectrum Registry Road, as above Same Kalina, Santacruz Ltd.(IN200094) Intime Spectrum Registry Ms.Shwetal Shah, Ltd.(IN200094) Sr.Officer, Kotak Mahindra Primus IntimeSpectrum Registry Ltd Ms.Shwetal Shah, Ltd. (IN200094) Sr.Officer, Kotak Mahindra Primus IntimeSpectrum Registry Ltd Ms.Shwetal Shah, (IN200094) Sr.Officer, Kotak Mahindra Primus Ltd
CXXIII
Same as above
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If Put Option is exercised, the interest rate will be reduced to 8.60% Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
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Intime Spectrum Registry Ms.Shwetal Shah, Ltd. (IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd. (IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd. (IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Sr.Officer, Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd. (IN200094) Sr.Officer, Kotak Mahindra Primus Ltd Intime Spectrum Registry Same as above
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Intime Spectrum Registry Same as above Ltd.(IN200094) IntimeSpectrum Registry Ms.Shwetal Shah, (IN200094) Sr.Officer, Kotak Mahindra Primus IntimeSpectrum Registry Ltd Ms.Shwetal Shah, (IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd. (IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd. (IN200094) Sr.Officer, Kotak Mahindra Primus Intime Spectrum Registry Ltd Same as above Ltd. (IN200094) Intime Spectrum Registry Same as above Ltd. (IN200094) Intime Spectrum Registry Same as above Ltd. (IN200094) INTIME SPECTRUM REGISTRY LIMITED IN200094 INTIME SPECTRUM REGISTRY IN200019 INTIME SPECTRUM REGISTRY LIMITED IN200094 INTIME SPECTRUM REGISTRY IN200019 Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms.Shwetal Shah, Sr.Officer, Kotak Mahindra Primus Ltd Ms.Shwetal Shah,
Coupon rate has been changed from 11.20% to 10.20% w.ef. 30 th December, 2002.
Sr.Officer, Kotak Mahindra Primus Intime Spectrum Registry Ltd Ms.Shwetal Shah, Ltd. (IN200094) Sr.Officer, Kotak Mahindra Primus Ltd
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INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Intime Spectrum Registry Limited (BP Id IN200094).
Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms. Manisha Naik/ Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Ms. Shwetal Shah Primus
Treasury Department Kotak Mahindra Primus Limited Ms. Shwetal Shah Treasury Department Kotak Mahindra Primus Limited Ms. Shwetal Shah Treasury Department Kotak Mahindra Primus Limited
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
INTIME SPECTRUM REGISTRY IN200094
Ms. Manisha Naik/ Ms. Shilpa Bagul Executive Treasury KOTAK MAHINDRA Ms. Manisha Naik Ms. Shilpa Bagul Executive - Treasury Kotak Mahindra Primus Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati
Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor
Conv Rate: 4000 pref shares of Rs. 100/-each at a premium of Rs.2400 /- per of Conversion : Date share, Div 22nd August, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 25th August, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 29th August, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 01st September, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 08th September, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 17th September, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 12th November, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 18th November, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 18th November, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati
Associate Vice President 19th November, 2003 Kotak Securities Ltd. Conversion Rate : 4,000 Bakhtawar, 1st Floor preference shares of Rs.
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati
Conv Rate: 4000 pref shares of Rs. 100/-each at a premium of Rs.2400 /- per of Conversion : Date share, Div 21st November, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 26th November, 2003 Conversion Rate :4000 pref shares of Rs. 100/Date of Conversion : 27th November, 2003 Conversion Rate :4000 pref shares of Rs. 100/Date of Conversion : 05th December, 2003 Conversion Rate :4000 pref shares of Rs. 100/Date of Conversion:29/12/2003 4000 pref shares of Rs. 100/- of Conversion : Date each at a premium 27th February, 2004 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 01st March, 2004 Conversion Rate :4000 pref shares of Rs. 100/Date of Conversion :02nd March, 2004 Conversion Rate :4000 pref shares of Rs. 100/Date of Conversion: 05th
Associate Vice President April, 2004 Kotak Securities Ltd. Redemption date : 60 Bakhtawar, 1st Floor days from the date of Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Date Of Conversion: Associate Vice President 11/06/2004 Kotak Securities Ltd. Conversion Rate : 4000 Bakhtawar, 1st Floor pref shares of Rs. 100/-
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY, MUMBAI IN200094 INTIME SPECTRUM REGISTRY, MUMBAI IN200094 INTIME SPECTRUM REGISTRY IN200094
Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms. Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms. Rupal Talati Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor Ms.Rupal Talati
Date of Conversion:29/07/2004 4000 pref shares of Rs. 100/- Of Conversion: Date each at a premium 06/09/2004 Conversion Rate : 4000 pref shares of Rs. 100/Date of Conversion:29/09/2004 4000 pref shares of Rs. 100/- of Conversion :15th Date each at a premium October, 2004 Conversion Rate :4000 pref shares of Rs. 100/Date of Conversion: 12th November, 2004 Redemption date : 30 days from the date of Date of Conversion: 12th January, 2005 Redemption date : 30 days from the date of Date of Conversion : 25th February 2005 Conversion Rate :4000 pref shares of Rs. 100/Date of Conversion : 16th December, 2002 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 22nd January, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 07th March, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 11th March, 2003 Conversion Rate : 4,000 preference shares of: Rs. Date of Conversion 12th March, 2003 Conversion Rate : 4,000 preference shares of Rs.
Associate Vice President Kotak Securities Ltd. Intime Spectrum Registry Bakhtawar, 1st Floor Ms.Rupal Talati Ltd. Associate Vice President (IN200094) Kotak Securities Ltd. Intime Spectrum Registry Bakhtawar, 1st Floor Ms.Rupal Talati Ltd. (IN200094) Associate Vice President Kotak Securities Ltd. Intime Spectrum Registry Bakhtawar, 1st Floor Mr. Vishwanath Eswar Ltd. Vice President (IN200294) Kotak Securities Ltd. Intime Spectrum Registry Bakhtawar, 1st Floor Ms.Rupal Talati Ltd. (IN200094) Associate Vice President Kotak Securities Ltd. Intime Spectrum Registry Bakhtawar, 1st Floor Ms.Rupal Talati Ltd. Associate Vice President (IN200094) Kotak Securities Ltd. Intime Spectrum Registry Bakhtawar, 1st Floor Ms.Rupal Talati Ltd. (IN200094) Associate Vice President Kotak Securities Ltd. Bakhtawar, 1st Floor
Intime Spectrum Registry Ms.Rupal Talati Ltd. Associate Vice President (IN200094) Kotak Securities Ltd. Intime Spectrum Registry Bakhtawar, 1st Floor Ms.Rupal Talati Date of Conversion : Ltd. Associate Vice President 21st April, 2003 (IN200094) Kotak Securities Ltd. Conversion Rate : 4,000 Bakhtawar, 1st Floor RCMC SHARE Mr. Manoj Chaturvedi preference shares of Rs. REGISTRY IN200301 Canbank Computer Services Limited (IN200570) Same as above Director RCMC Share Registry Pvt.V.P.Prathap, Mr. Ltd Vice President, Canbank Computer Services Limited, Same as above
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Mondkar Computers Pvt. Mr. Jayesh Merchant Ltd. Manager - Share Dept (IN200512) Krishna Knitwear Technology Dept Same as above Same as above
Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Same as above
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Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Same as above
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Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Same as above
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Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Same as above
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Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers
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Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers
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Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Same as above
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Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Same as above
Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Same as above
Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Same as above
Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Same as above
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Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers
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SHAREPRO SERVICES Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers
SHAREPRO SERVICES Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Sharepro Services (IN200043) Sharepro Services (IN200043) Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar
Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers
SHAREPRO SERVICES Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers
SHAREPRO SERVICES Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Sharepro Services (IN200043) Sharepro Services (IN200043) Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar
Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers
SHAREPRO SERVICES Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Same as above Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Same as above
Same as above
Same as above
SHAREPRO SERVICES Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers
SHAREPRO SERVICES Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Sharepro Services Mr. G.K. Shettigar (IN200043) Sharepro Services (IN200043) Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar
Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Same as above Same as above
Same as above
Same as above
SHAREPRO SERVICES Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers
SHAREPRO SERVICES Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers
SHAREPRO SERVICES Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED 802, Swastik Chambers,
SHAREPRO SERVICES Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED SHAREPRO SERVICES 802, Swastik Chambers, Mr. G.K. Shettigar IN200043 Group Head Treasury L & T FINANCE LIMITED 802, Swastik Chambers,
Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Mr. G.K. Shettigar
Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. 802, Swastik Chambers Sharepro Services Mr. G.K. Shettigar (IN200043) Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr. G.K. Shettigar IN200043 Group Head - Treasury L & T Finance Ltd. SHAREPRO SERVICES 802, Swastik Chambers Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) Manager, Sharepro Services, Satam Estate,3rd B.Narasimhan Executive Director Sri Venkatesh Bhavan Plot No.27, Road No.11, B.Narasimhan Executive Director Sri Venkatesh Bhavan Plot No.27, Road No.11, B.Narasimhan Executive Director Sri Venkatesh Bhavan Plot No.27, Road No.11, B.Narasimhan Executive Director Sri Venkatesh Bhavan Plot No.27, Road No.11,
MCS Limited Mumbai (IN 200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Ltd. (IN200019) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 Cameo Corporate Services Ltd. (IN200176)
B.Narasimhan Executive Director Sri Venkatesh Bhavan Plot No.27, Sajan. No.11, Mrs. Valsa Road AVP. MCS Ltd. Sri Venkatesh Bhavan. Mrs. Valsa Sajan. AVP. MCS Ltd. Sri Venkatesh Bhavan. Same as above
Same as above
Same as above
Same as above
Mr. G. Sundararajan (Dy. General Manager Accounts) Lakshmi General Mr. G. Sundararajan (Dy. General Manager Accounts) Lakshmi General Mr. G.Sundararajan General Manager (Accounts) Lakshmi General Mr. P. Viswanathan Vice President & Secretary LAKSHMI GENERAL Mr. P. Vishwanathan Secretary Lakshmi General Finance Ltd Mr. P. Vishwanathan Secretary Lakshmi General Finance Ltd
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176
Same as above
Mr. P. Vishwanathan Secretary Lakshmi General Finance Ltd Mr. P. Vishwanathan Secretary Lakshmi General Finance Ltd Mr. P. Vishwanathan Secretary Lakshmi General Finance Ltd Mr. P. Vishwanathan Secretary Lakshmi General Finance Ltd Same as above
Mr. P. Vishwanathan Secretary Lakshmi General Finance Ltd Mr. G.Sundararajan General Manager (Accounts) Lakshmi General Mr. G.Sundararajan General Manager (Accounts) Lakshmi General Mr. G.Sundararajan General Manager (Accounts) Lakshmi General Mr. G.Sundararajan General Manager (Accounts) Lakshmi General Mr. P. Viswanathan Vice President & Secretary LAKSHMI GENERAL Mr. P. Vishwanathan Secretary Lakshmi General Finance Ltd
CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043)
Mr. P. Vishwanathan Secretary Lakshmi General Finance Ltd Mr. G.Sundararajan General Manager (Accounts) Lakshmi General Mr. P. Viswanathan Vice President & Secretary LAKSHMI GENERAL Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Same as above
Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satamas above Same Estate,3rd
Same as above
Same as above
Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe,
Manager, Sharepro Services, Satam Estate,3rd Same as above
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Same as above
Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satamas above Same Estate,3rd
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043)
Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satamas above Same Estate,3rd
Same as above
Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043)
Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satamas above Same Estate,3rd
Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr. Anil Sathe Manager Sharepro Services Satam Estate, 3rd Floor Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr. Anil Sathe Manager Sharepro Services Satam Estate, 3rd Floor Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Same as above
Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satamas above Same Estate,3rd
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043)
SHAREPRO SERVICES IN200043
Mr. Anil Sathe Manager Sharepro Services Satam Estate, 3rd Floor Mr. Anil Sathe Manager Sharepro Services Satam Estate, 3rd Floor Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe,
Manager, Sharepro Services, Satam Estate,3rd Floor,Above
Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, Satam Sathe SHAREPRO SERVICES Mr. Anil Estate,3rd
IN200043 Senior Manager (Depository) Sharepro Services
IN200043
SHAREPRO SERVICES Mr.Anil Sathe, IN200043 Manager, Sharepro Services, Satam Estate,3rd
Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Same as above
Same as above
Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Same as above Bhavan,
Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Same as above
MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424
Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan,
Same as above
Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Same as above
MCS Ltd. (IN200424) MCS Ltd. (IN200424) MCS Ltd. (IN200424) MCS Ltd. (IN200424) MCS Ltd. (IN200424) MCS Ltd. (IN200424) MCS Ltd. (IN200424) MCS Ltd. (IN200424)
Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Same as above
Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan,
MCS Ltd. (IN200424) MCS Ltd. (IN200424) MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 Dynamic Superways & Exports Ltd. (IN200623)
Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. Amarjeet Singh Sr. Manager MCS LTD. Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhavan, Mr. B.S. Balliga Director Dynamic Superways & Exports Ltd.
Dynamic Superways & Exports Ltd. (IN200623) Dynamic Superways & Exports Ltd. (IN200623) Dynamic Superways & Exports Ltd. (IN200623) Dynamic Superways & Exports Ltd. (IN200623) Dynamic Superways & Exports Ltd. (IN200623) Dynamic Superways & Exports Ltd. (IN200623) Dynamic Superways & Exports Ltd. (IN200623) Same as above
Mr. B.S. Balliga Director Dynamic Superways & Exports Ltd. Mr. B.S. Balliga Director Dynamic Superways & Exports Ltd. Same as above
Mr. B.S. Balliga Director Dynamic Superways & Exports Ltd. Mr. B.S. Balliga Director Dynamic Superways & Exports Ltd. Same as above
Mr. B.S. Balliga Director Dynamic Superways & Exports Ltd. Same as above
Same as above
Same as above
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176)
Same as above
Same as above
Mr. R.D. Ramasamy General Manager Cameo Corporate Intime Spectrum Registry Services Bhagwat Mr. P.S. Ltd. Ltd. Sr. Manager - Investor (IN200094) Relationship Division Lupin Ltd.
Integrated Enterprises (India) Limited. (IN200264) Karvy Consultants Ltd.(IN200035) Karvy Consultants Ltd.(IN200035) Karvy Consultants Ltd.(IN200035) Karvy Consultants Ltd.(IN200035) Karvy Consultants Ltd.(IN200035) Karvy Consultants Ltd.(IN200035) Karvy Consultants Ltd.(IN200035) Karvy Consultants Ltd.(IN200035) Karvy Consultants Ltd.(IN200035) Karvy Consultants Ltd.(IN200035) Karvy Consultants Ltd.(IN200035) Karvy Consultants Ltd.(IN200035)
Mr. Suresh Babu Senior Manager Integrated Enterprises (India) Mahesh Mr. V. Ltd. Vice President Karvy Consultants Ltd. 21, Avenue 4, Street Mr. V. Mahesh Vice President Karvy Consultants Ltd. 21, Avenue 4, Street Mr. V. Mahesh Vice President Karvy Consultants Ltd. 21, Avenue 4, Street Mr. V. Mahesh Vice President Karvy Consultants Ltd. 21, Avenue 4, Street Mr. V. Mahesh Vice President Karvy Consultants Ltd. 21, Avenue 4, Street Mr. V. Mahesh Vice President Karvy Consultants Ltd. 21, Avenue 4, Street Mr. V. Mahesh Vice President Karvy Consultants Ltd. 21, Avenue 4, Street Mr. V. Mahesh Vice President Karvy Consultants Ltd. 21, Avenue 4, Street Mr. V. Mahesh Vice President Karvy Consultants Ltd. 21, Avenue 4, Street Mr. V. Mahesh Vice President Karvy Consultants Ltd. 21, Avenue 4, Street Mr. V. Mahesh Vice President Karvy Consultants Ltd. 21, Avenue 4, Street Mr. V. Mahesh Vice President Karvy Consultants Ltd. 21, Avenue 4, Street
Intime Spectrum Registry Mr. T.P.M. Nair Ltd.(IN200094) Dy. General Manager Computronics Financial Computeronics Financial Services (India) Ltd. Computronics Financial Services (IN200658) Same as above Services India Ltd. Unit No 53-56 Electronics Sadanas above Same No.1.
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MENNEN FIN.SERVICES LTD IN200682 MENNEN FIN.SERVICES LTD IN200682 MENNEN FIN.SERVICES LTD IN200682
Mr. R.S. Pandey Mr. Sandeep T. Madhavi Sr. Manager /Manager -R & T R.S. Pandey Mr. Dept Mr. Sandeep T. Madhavi Sr. Manager /Manager -R & T R.S. Pandey Mr. Dept Mr. Sandeep T. Madhavi Sr. Manager /Manager -R & T Dept
Mr. R.S. Pandey Mr. Sandeep T. Madhavi Sr. Manager /Manager -R & T Dept above Same as
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MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019
Mr. Dinesh Mengharajani Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. Shri Padmavathi Bhavan
MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019
Mr. Dinesh Mengharajani Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. Shri Padmavathi Bhavan
MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS Ltd. (IN200019) MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019
Mr. Dinesh Mengharajani Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. Shri Padmavathi Bhavan
MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019
Mr. Dinesh Mengharajani Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. Shri Padmavathi Bhavan
MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019
Mr. Dinesh Mengharajani Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. Shri Padmavathi Bhavan
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MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 Same as above
Mr. Dinesh Mengharajani Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. ShriDinesh Mengharajani Mr. Padmavathi Bhavan Sr. Manager MCS Ltd. Shri Padmavathi Bhavan Same as above
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Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043)
Mr. M.B. Joshi Manager - Accounts Dept Maharashtra State Financial above Same as Corporation
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Intime Spectrum Registry MR. S. Vijaygopal, Pvt. Ltd(IN200094) Deputy Manager(Shares), Kirloskar Computer INTIME SPECTRUM Ms. Suma H.S. REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 Same as above Junior Officer Kirloskar Computer Services Limited, Ms. Suma H.S. Junior Officer Kirloskar Computer Services Limited, Same as above
MENNEN FIN.SERVICES LTD IN200682 Skyline Financial Services Pvt. Ltd.(IN200432) Skyline Financial Services Pvt. Ltd.(IN200432) Skyline Financial Services Pvt. Ltd.(IN200432)
Mr. R.S. Pandey Mr. Sandeep Sr. Manager /Manager Mennen Financial Services
Mr. Vipin Gupta Company Secretary Secretarial Mr. Sanjay Gupta Mr. Vipin Gupta Company Secretary Secretarial Mr. Sanjay Gupta Mr. Vipin Gupta
Company Secretary Secretarial SKYLINE FIN.SERV PVT Mr. Sanjay Gupta Mr. Vipin Gupta LTD Company Secretary IN200432 Secretarial SKYLINE FIN.SERV PVT Mr. Sanjay Gupta Mr. Vipin Gupta LTD IN200432 Skyline Financial Services Pvt. Ltd.(IN200432) Same as above Company Secretary Secretarial Mr. Sanjay Gupta Mr. Vipin Gupta Company Secretary Secretarial Mr. Sanjay Gupta Same as above
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Mr.Nitin Shah, Manager-Finance Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Manager-Finance Mahindra &Mahindra Financial above Ltd, Same as Services
M/s Sharepro Services(IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) M/s Sharepro Services (IN200043) Same as above
Mr.Nitin Shah, Manager-Finance Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Manager-Finance Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Manager-Finance Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Manager-Finance Mahindra &Mahindra Financial above Ltd, Same as Services
Mr.Nitin Shah, Manager-Finance Mahindra &Mahindra Financial above Ltd, Same as Services
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Mr.Nitin Shah, Manager-Finance Mahindra &Mahindra Financial above Ltd, Same as Services
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Mr.Nitin Shah, Manager-Finance Mahindra &Mahindra Financial above Ltd, Same as Services
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Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial above Ltd, Same as Services
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SHAREPRO SERVICES IN200043
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SHAREPRO SERVICES IN200043
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SHAREPRO SERVICES Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra Financial Services Ltd, SHAREPRO SERVICES Mr.Nitin Shah, Treasurer IN200043 SHAREPRO SERVICES Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 M/s Sharepro Services(IN200043) M/s Sharepro Services(IN200043) Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Manager-Finance Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah,
Manager-Finance Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra Financial Services Ltd,
SHAREPRO SERVICES Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra FinancialShah IN200043 (Sharepro Mr. Nitin Services Ltd, Services) Mahindra & Mahindra Financial Services Ltd. SHAREPRO SERVICES Manager-Finance Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra Financial Services Ltd,
SHAREPRO SERVICES Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra Financial Services Ltd,
SHAREPRO SERVICES Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra Financial Services Ltd, Sharepro Services Mr.Nitin Shah, (IN200043) Sharepro Services (IN200043) Treasurer Mahindra &Mahindra Financial above Ltd, Same as Services
SHAREPRO SERVICES Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Sharepro Services (IN200043) Sharepro Services (IN200043) Treasurer Mahindra &Mahindra Financial above Ltd, Same as Services
Same as above
Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial above Ltd, Same as Services
SHAREPRO SERVICES Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Sharepro Services (IN200043) Treasurer Mahindra &Mahindra Financial above Ltd, Same as Services
SHAREPRO SERVICES Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra Financial Services Ltd, Sharepro Services Mr.Nitin Shah, (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah,
Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra Financial Services Ltd,
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043)
Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial above Ltd, Same as Services
Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah,
Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Sharepro Services (IN200043) Sharepro Services (IN200043) Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah,
Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra Financial Services Ltd,
SHAREPRO SERVICES Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra Financial Services Ltd, SHAREPRO SERVICES Mr.Nitin Shah, IN200043
SHAREPRO SERVICES Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra Financial Services Ltd,
SHAREPRO SERVICES Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Treasurer Mahindra &Mahindra SHAREPRO SERVICES Financial Services Ltd, Mr.Nitin Shah, IN200043 Sharepro Services (IN200043)
SHAREPRO SERVICES IN200043
Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial Services Ltd, Mr.Nitin Shah, Treasurer Mahindra &Mahindra Financial Services Ltd, Ms.Shanthi Santhanam/Mr. Subodh Shetty/Mr. Dinesh Kumar Executive(Corporate
SHAREPRO SERVICES
Santhanam/Mr. Subodh Shetty/Mr. Dinesh Kumar NICHE TECHNOLOGIES Executive(Corporate Mr. Sandip Sultania IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Manaksia Limited Mr. Sandip Sultania IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Manaksia Limited Mr. Sandip Sultania IN200490 Secretary & Compliance Officer NICHE TECHNOLOGIES MANAKSIASultania Mr. Sandip LIMITED IN200490 Secretary & Compliance Officer NICHE TECHNOLOGIES MANAKSIASultania Mr. Sandip LIMITED IN200490 Secretary & Compliance Officer NICHE TECHNOLOGIES MANAKSIASultania Mr. Sandip LIMITED IN200490 Secretary & Compliance Officer NICHE TECHNOLOGIES MANAKSIASultania Mr. Sandip LIMITED IN200490 Secretary & Compliance Officer NICHE TECHNOLOGIES MANAKSIASultania Mr. Sandip LIMITED IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES MANAKSIASultania Mr. Sandip LIMITED IN200490 Secretary & Compliance Officer NICHE TECHNOLOGIES MANAKSIASultania Mr. Sandip LIMITED IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Manaksia Limited Mr. Sandip Sultania IN200490 Secretary & Compliance Officer, Manaksia Limited,
NICHE TECHNOLOGIES Mr. Sandip Sultania IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Manaksia Limited Mr. Sandip Sultania IN200490 Secretary & Compliance Officer, NICHE TECHNOLOGIES Manaksia Limited Mr. Sandip Sultania IN200490 Secretary & Compliance Officer, Manaksia Limited MCS Ltd. Mr. B.Narasimhan (IN200019) MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MAS Services Pvt. Ltd. (IN200133) KARVY IN200035 Karvy Consultants Ltd. (IN200035) MAS Services Pvt. Ltd. (IN200133) MAS Services Pvt. Ltd. (IN200133) Executive Director Sri Venkatesh Bhavan PlotL.K. Gupta No.11, Mr. No.27, Road Vice President (Finance) & Company Secretary Mangalore Refinery & Mr. L.K. Gupta Vice President (Finance) & Company Secretary Mangalore Refinery & Mr. L.K. Gupta Vice President (Finance) & Company Secretary Mangalore Refinery & Mr. L.K. Gupta Vice President (Finance) & Company Secretary Mangalore Refinery & Mr. V. Krishnan Dy. Company Secretary Mr. B. Das Sr. Asst. Jayaraman/Mr. Mr. V.K. Manager K.S. Reddy Asst. General ManagerRIS S.K. Bajpai Mr. Company Secretary Mirza Tanners Ltd. 14/6, Civil Lines Mr. P.K. Singh Company Secretary, Legal & Secretarial MorepenSingh Mr. P.K. Laboratories Company Secretary, Legal & Secretarial Morepen Laboratories
MAS Services Pvt. Ltd. (IN200133) MAS Services Pvt. Ltd. (IN200133) MAS Services Pvt. Ltd. (IN200133) MCS Ltd (IN200424)
Mr. P.K. Singh Company Secretary, Legal & Secretarial MorepenSingh Mr. P.K. Laboratories Company Secretary, Legal & Secretarial MorepenSingh Mr. P.K. Laboratories Company Secretary, Legal & Secretarial Morepen Laboratories Mrs. Minni Katariya Company Secretary Moser Baer India Ltd. W-123, Greater Kailash Mrs. Minni Katariya Company Secretary Moser Baer India Ltd. W-123, Greater Kailash Mrs. Minni Katariya Company Secretary Moser Baer India Ltd. W-123, Greater Kailash Mrs. Minni Katariya Company Secretary Moser Baer India Ltd. W-123, Greater Kailash Mrs. Minni Katariya Company Secretary Moser Baer India Ltd. W-123, Greater Kailash Mrs. Minni Katariya Company Secretary Moser Baer India Ltd. W-123, Greater Kailash Mrs. Minni Katariya Company Secretary Moser Baer India Ltd. W-123, Greater Kailash Mrs. Minni Katariya Company Secretary Moser Baer India Ltd. W-123, Greater Kailash Mrs. Minni Katariya Company Secretary Moser Baer India Ltd. W-123, Greater Kailash Mrs. Minni Katariya Company Secretary Moser Baer India Ltd. W-123, Greater Kailash
MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424
Intime Spectrum Registry Mr. Ajay Vaidya Ltd. Mr. Krishnan Iyer (IN200094) Authorised Signatories CANBANK COMPUTER Multifaced Finstock Mr. V.P.Prathap SERVICE IN200570 Vice President Canbank Computer CANBANK COMPUTER Services Limited Mr. V.P.Prathap SERVICE Vice President IN200570 Canbank Computer CANBANK COMPUTER Services Limited Mr. V.P.Prathap SERVICE IN200570 Vice President Canbank Computer CANBANK COMPUTER Services Limited Mr. V.P.Prathap SERVICE Vice President IN200570 Canbank Computer Services Limited In House ConnectivityMr. D.M.Rao, NALCO(IN100049) In House ConnectivityNALCO(IN100049) IIT Corporate Services Ltd. (IN200150) In House Connectivity (IN 100149) In House ConnectivityNALCO (IN 100149) In House Connectivity (IN 100149) Same as above Sr.Manager(Share Registry), National Aluminium Co. Mr. D.M.Rao, Sr.Manager(Share Registry), National Aluminium Co. Ms. Asha Shetty Manager IIT Corporate Services Ltd. D.M.Rao, Mr. Sr.Manager(Share Registry), National Aluminium Co. Mr. D.M.Rao, Sr.Manager(Share Registry), National Aluminium Co. Mr. D.M.Rao, Sr.Manager(Share Registry), National Aluminium Co. Same as above
DATAMATICS IN200336
Datamatics Financial Software & Services Ltd.(IN200336) DATAMATICS IN200336 Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336)
Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept
Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 Datamatics Financial Software & Services Ltd.(IN200336) DATAMATICS IN200336 Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) DATAMATICS IN200336
Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept
DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336)
Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr. L.S. Iyer Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept
DATAMATICS IN200336 Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Karvy Consultants Limited(IN200035)
Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Shri.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept Mr.V.M. Balekundri Asst General Manager Resource Mobilisation Dept as above Same
Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) Karvy Consultants Limited(IN200035) MCS Ltd. (IN200424)
Same as above
Mr. V.K. Jayaraman Asst. Gen. Manager Karvy Consultants Ltd. No. V.K.Avenue -4, Street Mr. 21, Jayaraman Asst. Gen. Manager Karvy Consultants Ltd. No. V.K.Avenue -4, Street Mr. 21, Jayaraman Asst. Gen. Manager Karvy Consultants Ltd. No. 21, Avenue -4, Street Same as above
Mr. V.K. Jayaraman Asst. Gen. Manager Karvy Consultants Ltd. No. 21, Avenue -4, Street Same as above
Mr. V.K. Jayaraman Asst. Gen. Manager Karvy Consultants Ltd. No. V.K.Avenue -4, Street Mr. 21, Jayaraman Asst. Gen. Manager Karvy Consultants Ltd. No. V.K.Avenue -4, Street Mr. 21, Jayaraman Asst. Gen. Manager Karvy Consultants Ltd. No. K.R.Avenue -4, Street Mr. 21, Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Same as above
Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan
Same as above
Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Same as above
Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Mr. K. R. Menon Bhawan
Executive Director MCS Limited Sri Venkatesh Bhawan Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhawan
Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan
Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan
Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Mr. K. R. Menon Bhawan
Executive Director MCS Limited Sri Venkatesh Bhawan Mr. K. R. Menon Executive Director MCS Limited Sri Venkatesh Bhawan
Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhawan Same as above
MCS Limited, Delhi (BP Id IN200424 MCS Limited, Delhi (BP Id IN200424 MCS Limited, Delhi (BP Id IN200424 MCS Limited, Delhi (BP Id IN200424 MCS Limited, Delhi (BP Id IN200424 MCS Limited, Delhi (BP Id IN200424
Same as above
Same as above
Same as above
Same as above
Same as above
MCS Limited, Delhi (BP Id IN200424 MCS Limited, Delhi (BP Id IN200424 MCS Limited, Delhi (BP Id IN200424 MCS Limited, Delhi (BP Id IN200424 Beetal Financial & Computer Services. (IN200504) Beetal Financial & Computer Services. (IN200504) Beetal Financial & Computer Services. (IN200504) Beetal Financial & Computer Services. (IN200504) Beetal Financial & Computer Services. (IN200504) Beetal Financial & Computer Services. (IN200504) BEETAL FINAN.AND COMPU. IN200504 Beetal Financial & Computer Services. (IN200504) Beetal Financial & Computer Services. (IN200504)
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Mr. Ramesh Gupta Director Mrs. Saroj Gupta Director above Same as
Same as above
Beetal Financial & Computer Services. (IN200504) BEETAL FINAN.AND COMPU. IN200504 BEETAL FINAN.AND COMPU. IN200504 Beetal Financial & Computer Services. (IN200504) Beetal Financial & Computer Services. (IN200504) Beetal Financial & Computer Services. (IN200504) Beetal Financial & Computer Services. (IN200504) RCMC Share Registry(IN200301) Same as above
Same as above
Mr. Ramesh Gupta Director Mrs. Saroj Gupta Director Mr. Ramesh Gupta Director Mrs. Saroj Gupta Director above Same as
Same as above
Same as above
Same as above
Mr. Jayant Kumar, Senior Manager(Finance & Accounts), National Hydroelectric Same as above
RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) Sharepro Services (IN200043) Sharepro Services (IN200043)
Mr. Jayant Kumar, Senior Manager(Finance & Accounts), National Hydroelectric Mr. Jayant Kumar, Senior Manager(Finance & Accounts), National Hydroelectric Mr. U.M. Karnik Vice President - Legal & Company Secretary National Organic Mr. U.M. Karnik Vice President - Legal & Company Secretary National Organic
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Alankit Assignments Ltd.(IN200086) Alankit Assignments Ltd.(IN200086) Alankit Assignments Ltd.(IN200086) Alankit Assignments Ltd.(IN200086) Alankit Assignments Ltd.(IN200086) Alankit Assignments Ltd.(IN200086) Alankit Assignments Ltd.(IN200086) Alankit Assignments Ltd.(IN200086) ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086
Mr. U.M. Karnik Vice President - Legal & Company Secretary National Organic Mr. U.M. Karnik Vice President - Legal & Company Secretary National Organic Mr. U.M. Karnik Vice President - Legal & Company Secretary National Rustagi, Mr. J.P. Organic Manager - Shares, Alankit Asignmetns Limited, Rustagi, Mr. J.P. Manager - Shares, Alankit Asignmetns Limited, Rustagi, Mr. J.P. Manager - Shares, Alankit Asignmetns Limited, Rustagi, Mr. J.P. Manager - Shares, Alankit Asignmetns Limited, Rustagi, Mr. J.P. Manager - Shares, Alankit Asignmetns Limited, Rustagi, Mr. J.P. Manager - Shares, Alankit Asignmetns Limited, Rustagi, Mr. J.P. Manager - Shares, Alankit Asignmetns Limited, Rustagi, Mr. J.P. Manager - Shares, Alankit Asignmetns Limited, Rustagi, Mr. J.P. Manager - Shares, Alankit Asignmetns Limited, Rustagi, Mr. J.P. Manager - Shares, Alankit Asignmetns Limited,
Mr. J.P. Rustagi, Manager - Shares, Alankit Asignmetns Limited, Bansal, Mr.S.P. Asst.Vice President, MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Asst.Vice President, MCS Limited, Sri Venkatesh Bhavan, Same as above
MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Limited(IN200424)
Mr.S.P. Bansal, Asst.Vice President, MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Asst.Vice President, MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Asst.Vice President, MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Asst.Vice President, MCS Limited, Sri Venkatesh Bhavan, Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
MCS Limited(IN200424)
MCS Limited(IN200424)
Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192)
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd.
Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Same as above
Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Same as above
Same as above
Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services ltd., (IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192)
Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd.
Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192)
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd.
Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192
Same as above
Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Same as above
Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd.
Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd.
Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192)
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd.
AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd.
Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192
AMTRAC MGMT SERVICES LTD IN200192
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Parlikar, Mr. Girish Ltd.
Director, Amtrac Management Services Ltd,
AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192
Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd.
AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd.
AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd.
AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192) AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr.Girish G.Paralikar Director AMTRAC MGMT SERVICES LTD Mr.Girish G.Paralikar Director AMTRAC MGMT SERVICES LTD Mr.Girish G.Paralikar Director AMTRAC MANAGEMENT Mr.Girish G.Paralikar Director AMTRAC MGMT SERVICES LTD Mr.Girish G.Paralikar Director AMTRAC MGMT SERVICES LTD Mr. K.K. Darbha Vice President-Legal & Company Secretary NIITK.K. Darbha Mr. Limited Vice President-Legal & Company Secretary NIIT Limited
Mr. K.K. Darbha Vice President-Legal & Company Secretary NIIT Limited Same as above
Same as above
Same as above
IN200043 (Shrepro Services) IN200043 (Shrepro Services) Sharepro Services(IN200043) Shrepro Services(IN200043) Shrepro Services (IN200043)
MR. Hasit Shukla Company secretary Nirma Limited Nirma House MR. Hasit Shukla Company secretary Nirma Limited Nirma House Mr. Hasit Shukla Company secretary Nirma Limited Nirma House Mr. Hasit Shukla Company secretary Nirma Limited Nirma House Mr. Hasit Shukla
Company secretary Nirma Limited Sharepro Services (BP Id Nirma House Mr. Hasit Shukla IN200043). Company Secretary Nirma Limited Nirma House, Ashram Sharepro ServicesMr. Hasit Shukla (IN200043) Sharepro Services(IN200043)
Sharepro Services (BP Id IN200043).
Company secretary Nirma Limited Nirma House Mr. Hasit Shukla Company secretary Nirma Limited Nirma House Mr. Hasit Shukla
Company Secretary Nirma Limited Nirma House
MCS Limited (IN200424) MCS Limited (IN200424) MCS Limited (IN200424) MCS Limited (IN200424) Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125).
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
SRG Infotech Limited(IN Mr. Suresh Jain 200184) Sr. Vice President SRG Infotech Limited "Devraha House" A-256, SRG Infotech Limited Mr. Suresh Jain Sr. Vice President SRG Infotech Limited "Devraha House" A-256,
Mr. S.P. Bansal Asst. Vice President MCS Ltd. Sri Venkatesh Bhawan Mr. S.P. Bansal
Asst. Vice President MCS Ltd. Intime Spectrum Registry Sri Venkatesh Bhawan Mr. S. Rengarajan Ltd.(IN200094) Chief Operating Officer ORIX Auto Finance(India) In-house Share Registry Limited Mr. Chander Dang (IN200449) In-house Share Registry (IN200449) INHOUSE SHARE REGISTRY IN200449 Compliance Officer Oscar Invesments Ltd. 55, HanumanDang Mr. Chander Road Compliance Officer Oscar Invesments Ltd. 55, HanumanDang Mr. Chander Road
Compliance Officer Oscar Invesments Ltd. Intime Spectrum Registry 55, Hanuman Road Same as above Ltd.(IN200094) Intime Spectrum Registry Mr. Kishor Thakkar Ltd.(IN200094) Director Intime Spectrum Registry Ltd. Share Registry Ltd. Tata Share Registry Tata Ltd.(IN200125) Tata Share Registry Ltd.(IN200125) Tata Share Registry Ltd.(IN200125) Tata Share Registry Ltd.(IN200125) Tata Share Registry Ltd.(IN200125) Army & Navy Building 148, Mahatma Gandhi RoadShare Registry Ltd. Tata Army & Navy Building 148, Mahatma Gandhi Road Ms. Nandini Nair Manager Operations Tata Share Registry Limited Ms. Nandini Nair Manager Operations Tata Share Registry Limited Shastri Mr. R.R. Director Panatone Finvest Ltd. Bombay House, 1st Floor
TSRL IN200125 Tata Share Registry Ltd.(IN200125) TSRL IN200125 In-House Share Registry(IN200449)
Mr. R.R. Shastri Director Panatone Finvest Ltd. Bombay House, 1st Floor Mr. R.R. Shastri Director Panatone Finvest Ltd. Bombay House, 1st Floor Mr. R.R. Shastri Director Panatone Finvest Ltd. Bombay House, 1st Floor Mr.Bharat,
In-house Share Registry(A unit of A O K In-House Share Registry In-house Securities Ltd.), Mr.Bharat (IN200449) In-house Share Registry 3, Community Centre In-House Share Registry Near PVTabove Same as Cinema (IN200449) Adroit Corporate Services Mr. Sadashiv Shetty. (IN200607) Director. Adroit Corporate Services Pvt. Ltd. 19, Jaferbhoy Industruial AMTRAC MGMT SERVICES Mr. Girish Parlikar,
LTD IN200192 Director, Amtrac Management Services Ltd,
Mr. Girish Parlikar, Director, Amtrac Management RCMC Share Registry (p) Services Ltd, Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. IN200301 GM(Finance-RMU), Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. IN200301 GM(Finance-RMU), Power Finance Corporation Ltd.,
The Company has issued Post Dated Warrants along with the security. The Company has issued Post Dated Warrants along with the security.
RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. IN200301 GM(Finance-RMU), Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. IN200301 GM(Finance-RMU), Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (P) Corporation Ltd., Same as above Ltd. (IN200301) RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. IN200301 GM(Finance-RMU), Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. IN200301 GM(Finance-RMU), Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. IN200301 GM(Finance-RMU), Power Finance RCMC Share Registry (p) Corporation Ltd., Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance Corporation Ltd.,
The Company has issued Post Dated Warrants along with the security. The Company has issued Post Dated Warrants along with the security. The Company has issued Post Dated Warrants along with the security. The Company has issued Post Dated Warrants along with the security.
The Company has issued Post Dated Warrants along with the security. The Company has issued Post Dated Warrants along with the security. The Company has issued Post Dated Warrants along with the security. The Company has issued Post Dated Warrants along with the security. The Company has issued Post Dated Warrants along with the security.
Same as above
Same as above
RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (P) Corporation Ltd., Same as above Ltd. (IN200301) RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (P) Corporation Ltd., Same as above Ltd. (IN200301) RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (P) Corporation Ltd., Same as above Ltd. (IN200301) RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (P) Corporation Ltd., Same as above Ltd. (IN200301) RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (P) Corporation Ltd., Same as above Ltd. (IN200301) RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (P) Corporation Ltd., Same as above Ltd. (IN200301)
RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (P) Corporation Ltd., Same as above Ltd. (IN200301) RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (P) Corporation Ltd., Same as above Ltd. (IN200301) RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (P) Corporation Ltd., Same as above Ltd. (IN200301) Same as above Same as above
RCMC Share Registry (p) Mr. R.Nagarajan, Ltd. GM(Finance-RMU), IN200301 Power Finance RCMC Share Registry (P) Corporation Ltd., Same as above Ltd. (IN200301) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) Intime Spectrum Registry, Delhi (IN200449) Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Same as above
Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
INTIME SPECTRUM REGISTRY LIMITEDDELHI IN200449Share Registry In-house (IN200449) In-house Share Registry (IN200449) Intime Spectrum Registry, Delhi (IN200449) Same as above
Mr.Sanjeev Kapoor Head(North India Operations) Intime as above Registry Same Spectrum
Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
INTIME SPECTRUM REGISTRY LIMITEDDELHI IN200449Share Registry In-house (IN200449) In-house Share Registry (IN200449) Intime Spectrum Registry, Delhi (IN200449) Same as above
Mr.Sanjeev Kapoor Head(North India Operations) Intime as above Registry Same Spectrum
Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Same as above
Same as above
Same as above
Same as above
Same as above
In House Share Registry Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Same as above Same as above
In House Share Registry Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share In House Share Registry Registry(A unit of A O K Same as above
In-house Share Registry (IN200449) Intime Spectrum Registry, Delhi (IN200449) Same as above
Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O Mr.Bhabagrahi Pradhan,K
Company Secretary, In-house Share Registry(A unit of A O K In-house
Same as above
INTIME SPECTRUM REGISTRY LIMITEDDELHI IN200449Share Registry In-house (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) Intime Spectrum Registry, Delhi (IN200449) Intime Spectrum Registry, Delhi (IN200449) Same as above
Mr.Sanjeev Kapoor Head(North India Operations) Intime Spectrum Registry Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Same as above
Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
INTIME SPECTRUM REGISTRY LIMITEDDELHI IN200449Share Registry In-house (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) In-house Share Registry (IN200449) Intime Spectrum Registry, Delhi (IN200449)
Mr.Sanjeev Kapoor Head(North India Operations) Intime as above Registry Same Spectrum
Same as above
Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K
Mr.Bhabagrahi Pradhan, Company Secretary, In-house Share Registry(A unit of A O K Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Mr.Sanjeev Kapoor Head(North India Operations) Intime as above Registry Same Spectrum
Same as above
KARVY IN200035 KARVY IN200035 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) MCS Limited (IN200424) MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) BEETAL FINAN.AND COMPU. IN200504 BEETAL FINAN.AND COMPU. IN200504
Mr. Gopalakrishnamacharyul u Vice President Mr. Gopalakrishnamacharyul u Vice President Mr. G. Gopalakrishanmacharyul u Vice President Mr. V. Mahesh Vice President Karvy Consultants Ltd Karvy House, 46, Avenue Mr. S.P. Bansal Asst. Vice President MCS Ltd. Sri Venkatesh Bhavan Mr.S.P. Bansal, Asst.Vice President, MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Asst.Vice President, MCS Limited, Sri Venkatesh Bhavan, Mr.S.P. Bansal, Asst.Vice President, MCS Limited, Sri Venkatesh Bhavan, Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhavan Same as above
Mr. K.R. Menon Executive Director MCS Ltd. Sri Venkatesh Bhavan Mr. Puneet Mittal Manager M/s Beetal Financial & Computer Services (P) Mr. Puneet Mittal Manager M/s Beetal Financial & Computer Services (P)
BEETAL FINAN.AND COMPU. IN200504 BEETAL FINAN.AND COMPU. IN200504 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 ALANKIT ASSIGNMENTS LTD IN200086 MCS LTD IN200424
Mr. Puneet Mittal Manager M/s Beetal Financial & Computer Services (P) Mr. Puneet Mittal Manager M/s Beetal Financial & Computer Services (P) Mr. Mahesh Jairath Vice-President Alankit Assignments Ltd., 205-208, Anarkali Maket Mr. Mahesh Jairath Vice-President Alankit Assignments Ltd., 205-208, Anarkali Maket Mr. Mahesh Jairath Vice-President Alankit Assignments Ltd., 205-208, Anarkali Maket Mr. Mahesh Jairath Vice-President Alankit Assignments Ltd., 205-208, Anarkali Maket Mr. Mahesh Jairath Vice-President Alankit Assignments Ltd., 205-208, Anarkali Maket Mr. Mahesh Jairath Vice-President Alankit Assignments Ltd., 205-208, Anarkali Maket Mr. Mahesh Jairath Vice-President Alankit Assignments Ltd., 205-208, Anarkali Maket Mr. Sajjan Singh Asst. General Manager & Secretary PUNJAB STATE Mr. Sajjan Singh Asst. General Manager & Secretary PUNJAB STATE Mr. Mahesh Jairath Vice President Alankit Assignments Ltd. 205-208, Anarkali Market, Mr. Mahesh Kaushal Associate Vice PresidentFinance& Company Secretary
MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424
Mr. Mahesh Kaushal Associate Vice PresidentFinance& Company Secretary Kaushal Mr. Mahesh Associate Vice PresidentFinance& Company Secretary Kaushal Mr. Mahesh Associate Vice PresidentFinance& Company Secretary Kaushal Mr. Mahesh Associate Vice PresidentFinance& Company Secretary Kaushal Mr. Mahesh Associate Vice PresidentFinance& Company Secretary Kaushal Mr. Mahesh Associate Vice PresidentFinance& Company Secretar Mr. Narayan Iyer/Ms. Archana Dhayagude Manager -Treasury Operations Mr. Amit Majumdar Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Operations Mr. Narayan Iyer/Ms. Archana Dhayagude Manager -Treasury Operations
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INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Mr. Narayan Iyer/Ms. Archana Dhayagude Manager -Treasury Operations Iyer/Ms. Mr. Narayan Archana Dhayagude Manager -Treasury Operations Iyer/Ms. Mr. Narayan Archana Dhayagude Manager -Treasury Operations Iyer/Ms. Mr. Narayan
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Intime Spectrum Registry Mr. Amit Mazumdar /Ms. Pvt. Ltd., Archana Dhayagude (IN200094) Treaasury Operations Intime Spectrum Registry Rabo India Finance Pvt. Mr. Amit Mazumdar /Ms. Pvt. Ltd., (IN200094) Same as above Archana Dhayagude Treaasury Operations Rabo India Finance Pvt. Same as above
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Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Treasury Operations Intime Spectrum Registry 2nd Amit Majumdar Mr. Floor,Forbes Ltd (IN200094) Ms. Archana Dhayagude Treasury Operations 2nd Floor,Forbes
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Intime Spectrum Registry Amit Majumdar/Archana Ltd(IN200094) Dhayagude Treasury Operations 2nd Floor,Forbes Same as above Same as above
Intime Spectrum Registry Mr. Amit Majumdar Ltd Ms. Archana Dhayagude (IN200094) Treasury Operations Intime Spectrum Registry Rabo India Finance Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Treasury Operations Intime Spectrum Registry RaboMajumdar/Archana Amit India Finance Ltd(IN200094) Dhayagude Treasury Operations Rabo India Finance Pvt. Same as above Same as above
Intime Spectrum Registry Amit Majumdar/Archana Ltd(IN200094) Dhayagude Treasury Operations Intime Spectrum Registry Rabo India Finance Pvt. Mr. Amit Majumdar Ltd (IN200094) Same as above Ms. Archana Dhayagude Treasury Operations 2nd Floor,Forbes Same as above
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Intime Spectrum Registry Mr. Amit Majumdar Ltd Ms. Archana Dhayagude (IN200094) Treasury Operations 2nd Floor,Forbes Same as above Same as above
Intime Spectrum Registry Mr. Amit Majumdar Ltd Ms. Archana Dhayagude (IN200094) Treasury Operations 2nd Floor,Forbes Same as above Same as above
Intime Spectrum Registry Mr. Amit Majumdar Ltd Ms. Archana Dhayagude (IN200094) Treasury Operations Intime Spectrum Registry Rabo India Finance Mr. Amit Majumdar Ltd (IN200094) Same as above Ms. Archana Dhayagude Treasury Operations 2nd Floor,Forbes Same as above
Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Operations Same as above Ltd (IN200094) Intime Spectrum Registry Amit Majumdar/Archana Ltd. Dhayagude (IN200094) Treasury Operations Intime Spectrum Registry RaboMajumdar/Archana Amit India Finance Ltd. (IN200094) Dhayagude Treasury Operations Rabo India Finance
Intime Spectrum Registry Mr. Amit Majumdar Ltd Ms. Archana Dhayagude (IN200094) Treasury Operations Rabo India Finance Intime Spectrum Registry Same as above
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Intime Spectrum Registry Mr.Amit Ltd. Majumdar/Ms.Archana (IN200094) Dhayagude Executiveabove Same as above Same as -Treasury
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Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Treasury Operations Intime Spectrum Registry Rabo India Finance Pvt. Same as above Ltd (IN200094) Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Treasury Operations Intime Spectrum Registry Rabo India Finance Pvt. Same as above Ltd (IN200094) Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Treasury Operations Intime Spectrum Registry Rabo India Finance Pvt. Same as above Ltd (IN200094) Same as above Same as above
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Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Treasury Operations Intime Spectrum Registry Rabo India Finance Pvt. Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Operations Same as above Ltd (IN200094) Intime Spectrum Registry Same as above Ltd (IN200094) Intime Spectrum Registry Same as above Ltd (IN200094) Intime Spectrum Registry Same as above Ltd (IN200094) Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Operations Same as above Ltd (IN200094) Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Operations Same as above Ltd (IN200094)
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Mr. Amit Majumdar Ms. Archana Dhayagude Manager Treasury Operations Same as above
Mr. Amit Majumdar Ms. Archana Dhayagude Manager Treasury Operations Intime Spectrum Registry Mr. Amit Majumdar Ms. Archana Dhayagude Ltd (IN200094) Manager Treasury Operations
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Intime Spectrum Registry Mr. Amit Mazumdar /Ms. Pvt. Ltd., Archana Dhayagude (IN200094) Manager Treaasury Operations
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Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Majumdar Mr. Amit Operations Ltd (IN200094) Same as above Ms. Archana Dhayagude Treasury Operations 2nd Floor,Forbes Same as above
Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Treasury Operations
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Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Majumdar Mr. Amit Operations Ltd (IN200094) Ms. Archana Dhayagude Treasury Operations Intime Spectrum Registry 2nd Amit Majumdar Mr. Floor,Forbes Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Majumdar Mr. Amit Operations Ltd (IN200094) Ms. Archana Dhayagude Treasury Operations Intime Spectrum Registry 2nd Floor,Forbes Amit Majumdar/Archana Ltd(IN200094) Dhayagude Manager (Treasury Intime Spectrum Registry Operations) - Rabo India Amit Majumdar/Archana Ltd(IN200094) Dhayagude Manager (Treasury Intime Spectrum Registry Operations) - Rabo India Amit Majumdar/Archana Ltd(IN200094) Dhayagude Manager (Treasury Intime Spectrum Registry Operations) - Rabo India Amit Majumdar/Archana Ltd(IN200094) Dhayagude Manager (Treasury Intime Spectrum Registry Operations) - Rabo India Mr. Amit Mazumdar /Ms. Pvt. Ltd., Archana Dhayagude (IN200094) Manager Intime Spectrum Registry Treaasury Operations Mr. Amit Mazumdar /Ms. Pvt. Ltd., (IN200094) Archana Dhayagude Manager Intime Spectrum Registry Treaasury Operations Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Majumdar Mr. Amit Operations Ltd (IN200094) INTIME SPECTRUM REGISTRY IN200094 Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Operations
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Mr. Amit Majumdar Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Operations Amit Majumdar/Archana Dhayagude Manager (Treasury Operations) - Rabo India Mr. Amit Majumdar Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations
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INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
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Mr. Narayan Iyer/Ms. Archana Dhayagude Manager - Treasury Operations Iyer/Ms. Mr. Narayan Archana Dhayagude Manager - Treasury Operations Mr. Amit Majumdar Ms. Archana Dhayagude Manager Treasury Operations Mr. Narayan Iyer/Ms. Archana Dhayagude Manager - Treasury Operations Iyer Mr. Narayan Ms. Archana Dhayagude Manager Treasury Operations Same as above
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Mr. Amit Majumdar Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Operations Mr.Amit Ltd. Majumdar/Ms.Archana (IN200094) Dhayagude Intime Spectrum Registry Executiveabove Same as -Treasury Ltd. (IN200094) INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 Mr. Amit Majumdar Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Majumdar Mr. Amit Operations Ms. Archana Dhayagude Manager Treasury Operations
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Intime Spectrum Registry Same as above Ltd (IN200094) Intime Spectrum Registry Mr. Amit Mazumdar /Ms. Pvt. Ltd., Archana Dhayagude (IN200094) Manager Intime Spectrum Registry Treaasury Operations Same as above Pvt. Ltd., (IN200094) Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Majumdar Mr. Amit Operations Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Operations Same as above Ltd (IN200094) Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Operations Same as above Ltd (IN200094) Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Operations Same as above Ltd (IN200094) Intime Spectrum Registry Mr. Amit Majumdar Ltd (IN200094) Ms. Archana Dhayagude Manager Intime Spectrum Registry Treasury Operations Same as above Ltd (IN200094) Intime Spectrum Registry Mr. Amit Majumdar Ltd Ms. Archana Dhayagude (IN200094) Treasury Operations Rabo India Finance Pvt
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Intime Spectrum Registry Mr. Amit Majumdar Ltd Ms. Archana Dhayagude (IN200094) Treasury Operations RABO INDIA FINANCE Sharepro Services Mr. Anil Sathe (IN200043) IIT Corporate Services Ltd.(IN200150) Tata Share Registry Ltd. (IN200125) Tata Share Registry Ltd. (IN200125) TSRL IN200125 Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 INTIME SPECTRUM,DELHI IN200449 MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) Sr. Manager, Depository Sharepro Services Satam Estate, 3rd Floor Mr. D.K. Sharma Secretary Rajasthan State Industrial Development & Ms. Nandini Nair Manager Operations Tata Share Registry Limited Ms. Nandini Nair Manager Operations Tata Share Registry Limited Ms. Nandini Nair Manager Operations Tata Share Registry LimitedKrishnan Mr. S. Company Secretary Ramco Industries Ltd. Auras Corporate Centre Mr. S. Krishnan Company Secretary Ramco Industries Ltd. Auras Corporate Centre Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd.Kapoor Mr. Sanjeev Head (North India Operations) Intime Spectrum Registry Mr. B.Narasimhan Executive Director Sri Venkatesh Bhavan PlotB.NarasimhanNo.11, Mr. No.27, Road Executive Director Sri Venkatesh Bhavan Plot No.27, Road No.11,
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Mr. B.Narasimhan Executive Director MCS Limited Sri Venkatesh Bhavan Mr. B.Narasimhan Executive Director Sri Venkatesh Bhavan PlotB.NarasimhanNo.11, Mr. No.27, Road Executive Director Sri Venkatesh Bhavan PlotB.NarasimhanNo.11, Mr. No.27, Road Executive Director MCS Limited Sri Venkatesh Bhavan Mr. B.Narasimhan Executive Director MCS Limited Sri Venkatesh Bhavan Mr. B.Narasimhan Executive Director MCS Limited Sri Venkatesh Bhavan Mr. B.Narasimhan Executive Director MCS Limited Sri Venkatesh Bhavan Mr. B.Narasimhan Executive Director MCS Limited Sri Venkatesh Bhavan Mr. B.Narasimhan Executive Director MCS Limited Sri Venkatesh Bhavan Mr. B.Narasimhan Executive Director MCS Limited Sri Venkatesh Bhavan Mr. B.Narasimhan President MCS Limited Sri Venkatesh Bhavan Mr. B.Narasimhan Executive Director Sri Venkatesh Bhavan PlotB.NarasimhanNo.11, Mr. No.27, Road Executive Director MCS Ltd. Sri Venkatesh Bhavan
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KARVY RIL IN200078 Karvy Consultants Limited (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078).
Mr. M.R.V. Subrahmanyam Assistant General Manager Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited above Same as
Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). KARVY RIL IN200078 Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited (IN200078) Karvy Consultants Limited (IN200078)
Same as above
Same as above
Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited above Same as
Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh (Vice President) Karvy Consultants Ltd "Karvy Mahesh (Vice Mr. V. House", 46, President) Karvy Consultants Ltd "Karvy House", 46,
5/15/2002
Karvy Consultants Limited (IN200078) Karvy Consultants Limited (IN200078) Karvy Consultants Limited (IN200078) Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078).
Mr. V. Mahesh (Vice President) Karvy Consultants Ltd "Karvy Mahesh (Vice Mr. V. House", 46, President) Karvy Consultants Ltd "Karvy Mahesh (Vice Mr. V. House", 46, President) Karvy Consultants Ltd "Karvyas above46, Same House",
Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited
5/15/2002
Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). Karvy Consultants Limited - RIL (BP Id IN200078). KARVY RIL IN200078 Karvy Consultants Ltd. (IN200078) Karvy Consultants Limited (BP Id IN200078). Karvy Consultants Limited (BP Id IN200078). KARVY RIL IN200078 Karvy Consultants Ltd.(IN200078) Karvy Consultants Ltd.RIL (IN200078)
Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh Vice President Karvy Consultants Ltd. "Karvy Mahesh, Vice Mr. V. House" President Karvy Consultants Limited Mr. V. Mahesh, Vice President Karvy Consultants Limited Mr. V. Mahesh Vice President Karvy Consultants Limited Mr. S.P.Shukla, President - Wireless Wireless Departmetn, Reliance Centre, Mr. Kalpana Srinivasan Company Secretary Reliance Telecom Limied Old ICI Godown
Karvy Consultants Limited (IN200035) Karvy Consultants Limited (IN200035) Karvy Consultants Limited (IN200035) Karvy Consultants Limited (IN200035) Karvy Consultants Limited (IN200035) Karvy Consultants Limited -RIL(IN200078) Karvy Consultants Limited -RIL(IN200078) SATHGURU MGMT CONSULTANT IN200352 SATHGURU MGMT CONSULTANT IN200352 SATHGURU MGMT CONSULTANT IN200352 SATHGURU MGMT CONSULTANT IN200352 SATHGURU MGMT CONSULTANT IN200352 SATHGURU MGMT CONSULTANT IN200352
Mr.V.Mahesh, Vice President, Karvy Consultants Limited, Mr.V.Mahesh, Vice President, Karvy Consultants Limited, Mr.V.Mahesh, Vice President, Karvy Consultants Limited, Mr.V.Mahesh, Vice President, Karvy Consultants Limited, Mr.V.Mahesh, Vice President, Karvy Consultants Limited, Mr.V.Mahesh, Vice President, Karvy Consultants Limited, Mr.V.Mahesh, Vice President, Karvy Consultants Limited, Mr. K. Krishna Rao Sr. General Manager (Fin) & Company Secretary Mr. K. Krishna Rao Sr. General Manager (Fin) & Company Secretary Mr. K. Krishna Rao Sr. General Manager (Fin) & Company Secretary Mr. K. Krishna Rao Sr. General Manager (Fin) & Company Secretary Mr. K. Krishna Rao Sr. General Manager (Fin) & Company Secretary Mr. K. Krishna Rao Sr. General Manager (Fin) & Company Secretary
Intime Spectrum Registry Mr. Pramod Mehendale Ltd. Director (IN200094) Intime Spectrum Registry Ltd. A.B.L. Srivastava Same as above Mr. Chief (Finance & Accounts) REC Rakesh Jamwal Shri. Ltd. Manager, MCS Limited 212-!, Shahpurjat Shri. Rakesh Jamwal Manager, MCS Limited 212-!, Shahpurjat Shri. Rakesh Jamwal Manager, MCS Limited 212-!, Shahpurjat Ms Taruna Gupta Finance Executive RURAL ELECTRIFICATION Mr. Naresh Chander Director RCMC Share Registry (P) Ltd. Naresh Chander Mr. Director RCMC Share Registry (P) Ltd. Naresh Chander Mr. Director RCMC Share Registry (P) Ltd. Rakesh Jamwal Shri. The Company has Manager, issued Post Dated MCS Limited Warrants along with the 212-!, Shahpurjat security. Shri. Rakesh Jamwal Manager, MCS Limited 212-!, Shahpurjat Shri. Rakesh Jamwal The Company has Manager, MCS Limited 212-!, Shahpurjat Shri. Rakesh Jamwal Manager, MCS Limited 212-!, Shahpurjat issued Post Dated Warrants along with the security. The Company has issued Post Dated Warrants along with the security.
Same as above
Same as above
The Company has issued Post Dated Warrants along with the security.
Same as above
RCMC SHARE REGISTRY IN200301 RCMC SHARE REGISTRY IN200301 RCMC SHARE REGISTRY IN200301 RCMC SHARE REGISTRY IN200301 Same as above
The Company has issued Post Dated Warrants along with the security.
Same as above
Same as above
Same as above
Same as above
Same as above
Shri. Rakesh Jamwal Manager, MCS Limited 212-!, Shahpurjat Shri. Rakesh Jamwal Manager, MCS Limited 212-!, Shahpurjat Shri. Rakesh Jamwal Manager, MCS Limited 212-!, Shahpurjat Shri. Rakesh Jamwal Manager, MCS Limited 212-!, Shahpurjat Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Same as above
The Company has issued Post Dated Warrants along with the security. The Company has issued Post Dated Warrants along with the security.
Same as above
Same as above
MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424)
Coupon rate upto 36th month from the date of allotment -8.33%. From 37th month for the Coupon rate upto 36th month from the date of allotment -8.50%. From 37th month for the Coupon rate upto 36th month from the date of allotment -8.50%. + 10% From 37th month for the Coupon rate upto 36th month from the date of allotment -8.33%. From 37th month for the Coupon rate upto 36th month from the date of allotment -8.50%. From 37th month for the Coupon rate upto 36th month from the date of allotment -8.50%. + 10% From 37th month for the Coupon rate upto 36th month from the date of allotment -8.50%. From 37th month for the Coupon rate upto 36th month from the date of allotment -8.70%. From 37th month for the
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) Same as above
Same as above
Same as above
Coupon rate upto 36th month from the date of allotment -8.70%. + 10% From 37th month for the
Same as above
Same as above
MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) Same as above
Shri. Rakesh Jamwal Manager, MCS Limited 212-!, Shahpurjat Same as above
Same as above
Same as above
Mr. A.B.L. Srivastava Chief (Finance & Accounts) REC Ltd.above Same as
Same as above
Same as above
MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424)
Mr. A.B.L. Srivastava Chief (Finance & Accounts) REC Ltd.above Same as
MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) Same as above
Same as above
Mr. A.B.L. Srivastava Chief (Finance & Accounts) REC Ltd.above Same as
Same as above
Same as above
MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) Same as above
Mr. A.B.L. Srivastava Chief (Finance & Accounts) REC Ltd.above Same as
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424)
Mr. A.B.L. Srivastava Chief (Finance & Accounts) REC Ltd. Srivastava Mr. A.B.L. Chief (Finance & Accounts) REC Ltd. Srivastava Mr. A.B.L. Chief (Finance & Accounts) REC Ltd.
Mr. A.B.L. Srivastava Chief (Finance & Accounts) REC Ltd.above Same as
Same as above
Same as above
MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Limited(IN200424)
Mr. A.B.L. Srivastava Chief (Finance & Accounts) REC Ltd. Srivastava Mr. A.B.L. Chief (Finance & Accounts) REC Ltd. Srivastava Mr. A.B.L. Chief (Finance & Accounts) REC Ltd. Jamwal Mr. Rakesh Manager MCS Ltd. Sri Venkatesh Bhavan Same as above
Same as above
Same as above
Same as above
MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424)
Mr. A.B.L. Srivastava Chief (Finance & Accounts) REC Ltd.above Same as
Same as above
Same as above
MCS Limited(IN200424)
MCS Limited(IN200424)
Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. A.B.L. Srivastava Chief (Finance & Accounts) REC Ltd. Srivastava Mr. A.B.L. Chief (Finance & Accounts) REC Ltd. Srivastava Mr. A.B.L. Chief (Finance & Accounts) REC Ltd. Jamwal Mr. Rakesh Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Same as above
MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424) MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Limited(IN200424)
Same as above
MCS Ltd., New Delhi (IN200424) MCS Ltd., New Delhi (IN200424)
Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan
MCS Limited(IN200424)
MCS Limited(IN200424)
Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Same as above
MCS Limited(IN200424)
Same as above
MCS Limited(IN200424)
MCS Limited(IN200424)
Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Same as above
MCS Limited(IN200424)
Same as above
MCS Limited(IN200424)
MCS Limited(IN200424)
Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Same as above
MCS Limited(IN200424)
MCS Limited(IN200424)
Same as above
MCS Limited(IN200424)
MCS Limited(IN200424)
Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan
MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Limited(IN200424)
Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Shri. Rakesh Jamwal Manager, MCS Limited 212-!, Shahpurjat Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan
MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Limited(IN200424)
MCS Limited(IN200424)
Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Shri. Rakesh Jamwal Manager, MCS Limited 212-!, Shahpurjat Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. Rakesh Jamwal Manager MCS Ltd. Sri Venkatesh Bhavan Mr. V. Mahesh Vice President Karvy Consultants Ltd. Karvy House Mr. V. Mahesh Vice President Karvy Consultants Ltd. Karvy House Same as above
MCS Limited(IN200424)
MCS Limited(IN200424)
Mr. Ramesh Vaidya Senior Secretarial Officer Sandvik AsiaVaidya Mr. Ramesh Ltd. Senior Secretarial Officer Sandvik AsiaVaidya Mr. Ramesh Ltd. Senior Secretarial Officer Sandvik Parlikar, Mr. GirishAsia Ltd.
Director, Amtrac Management Services Ltd,
AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192
Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd,
AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 AMTRAC MGMT SERVICES LTD IN200192 Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192)
Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar, Director, Amtrac Management Services Ltd, Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd.
Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Mr. Harisingh Gehlot Sr.Manager, Mcs Limited, 101, Shatdal Complex, Same as above
Same as above
Same as above
MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019) MCS Limited (IN200019)
Mr. Harisingh Gehlot Sr.Manager, MCS Limited, 101, Shatdal Complex, Mr. Harisingh Gehlot Sr.Manager, Mcs Limited, 101, Shatdal Complex, Mr. Harisingh Gehlot Sr.Manager, Mcs Limited, 101, Shatdal Complex, Mr. Harisingh Gehlot Sr.Manager, Mcs Limited, 101, Shatdal Complex, Mr. Harisingh Gehlot
Sr.Manager, Mcs Limited, Intime Spectrum Registry 101, Shatdal Complex, Mr. Pravin Attawar Ltd (IN200094) Asst. Manager (Shares) Saurashtra Cement Ltd. N.K. Mehta International
Intime Spectrum Registry Mr. Pravin Attawar Ltd (IN200094) Asst. Manager (Shares) Saurashtra Cement Ltd. In-House Share Registry N.K. Sunil Jain Mr. Mehta International (IN200449) COMPUTRONICS FIN SERV IN200658 Beetal Financial & Computer Services. (IN200504) Beetal Financial & Computer Services. (IN200504) MCS IN200019 Company Secretary Saw Pipes Ltd. 28, Najafgarh Road Ms. Amita Joshi Company Secretary SBI FACTORS AND COMMERCIAL Mr. V.R. Rao Authorised Signatory Shamken Multifab Ltd. Shamken House Mr. V.R. Rao Authorised Signatory Shamken Multifab Ltd. Shamken House Mr. Rajesh Satardekar /
Mr. Ayan Chakroborty Manager / Senior Intime Spectrum Registry Secretarial Officer Mr. Chandrahas C Ltd.(IN200094) Charekar Dy. General Manager Intime Spectrum Registry Treasury Dept C Mr. Chandrahas Ltd.(IN200094) Charekar Dy. General Manager Intime Spectrum Registry Treasury Dept C Mr. Chandrahas Ltd.(IN200094) Charekar Dy. General Manager Intime Spectrum Registry Treasury Dept Mr. Ramanujam (IN200094) Director Intime Spectrum Registry Intime Spectrum Registry Ltd. Ramanujam Mr. (IN200094) Director Intime Spectrum Registry Ltd. J.N. Panthaky Tata Share Registry Mr. Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Company Secretary SKF Bearings India Ltd. Mahatma Gandhi Mr. J.N. Panthaky Company Secretary SKF Bearings India Ltd. Mahatma Gandhi
Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336)
Mr. J.N. Panthaky Company Secretary SKF Bearings India Ltd. Mahatma Gandhi Ms.Nandini Nair, Senior Manager Dematerialisation, Tata Share Registry Mr. Praveen.K. Agrawal
Asst. General Manager/ Resources Management Department, Same as above
Same as above
Same as above
Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings)(Certificate of
Same as above
Face Value per security was not mentioned in the Term Sheet
Same as above
Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings)(Certificate of
Same as above
Face Value per security was not mentioned in the Term Sheet
Same as above
Same as above
Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336)
Same as above
Same as above
Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings)(Certificate of
Same as above
Same as above
Same as above
Same as above
Mr. Praveen K. Agrawal Asst. Gen. Manager Resources Management Department, Same as above
Same as above
Same as above
Same as above
Same as above
Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Datamatics Financial Software & Services Ltd.(IN200336) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Datamatics Financial Software & Services Ltd.(IN200336)
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Same as above
Same as above
Same as above
Same as above
The Bonds are also held in the Book Entry form(Certificate of holdings)(Certificate of
DATAMATICS IN200336 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
Ms. Manisha Srivastva Executive Datamatics Financial Software & Services Ltd. Same as above
Same as above
Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd.
Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd.
KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035
KARVY IN200035 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035
Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Ms. Manisha Srivastva Executive Datamatics Financial Software & Services Ltd. Ms. Manisha Srivastva Executive Datamatics Financial Software & Services Ltd. Ms. Manisha Srivastva Executive Datamatics Financial Software & Services Ltd. Ms. Manisha Srivastva Executive Datamatics Financial Software & Services Ltd. Ms. Manisha Srivastva Executive Datamatics Financial Software & Services Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd.
KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 DATAMATICS IN200336
Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr.P.K. Agarwal Asst. General Manager Karvy Consultants Ltd. Karvy House, 46, Avenue Mr.P.K. Agarwal Asst. General Manager Karvy Consultants Ltd. Karvy House,Srivastava Ms. Manisha 46, Avenue Executive Datamatics Financial Software & Services Ltd.
The bonds have a Lock in Period of 3 years from the deemed date of allotment iehave a Lock The bonds till 29th June, in Period of 3 years from the deemed date of allotment iehave a Lock The bonds till 29th June, in Period of 3 years from the deemed date of allotment iehave a Lock The bonds till 29th June, in Period of 3 years from the deemed date of allotment iehave a Lock The bonds till 29th June, in Period of 3 years from the deemed date of allotment iehave a lock in The bonds till 29th June, period of three years from their deemed date of allotment. The bonds have a lock in period of three years from their deemed date of allotment. The bonds have a lock in period of three years from their deemed date of allotment. The bonds have a lock in period of three years from their deemed date of allotment.
DATAMATICS IN200336 DATAMATICS IN200336 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 DATAMATICS IN200336 KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035
Ms. Manisha Srivastava Executive Datamatics Financial Software & Services Ltd. Ms.Manisha Srivastva Executive Datamatics Financial SoftwareAgrawal Mr.P. K. & Services Ltd. The bonds have lock in Asst. General Manager period of three years for KARVY three years from deemed Karvy K. Agrawal date bonds have lock in Mr.P. House, The of allotment till Asst. General Manager KARVY Karvy K. Agrawal Mr.P. House, Asst. General Manager KARVY Karvy K. Agrawal Mr.P. House, Asst. General Manager KARVY Karvy House,Srivastava Ms. Manisha Executive Datamatics Financial Software & Services Ltd. Ms. Manisha Srivastava period of three years for three years from deemed date bonds have lock in The of allotment till period of three years for three years from deemed date bonds have lock in The of allotment till period of three years for three years from deemed date bonds have a lock in The of allotment till period of three years from deemed date of allotment-till October 30, The bonds have a lock in
Executive period of three years Datamatics Financial from deemed date of Software & Services Ltd. allotment-till October 30, Ms. Manisha Srivastava Executive Datamatics Financial Software & Services Ltd. The bonds have a lock in Mr. Ganapathy Subramaniam period of three years Vice President from deemed date of Karvy Consultants Ltd. allotment-till November in Mr. Ganapathy The bonds have a lock Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. period of three years from deemed date of allotment-till November in The bonds have a lock period of three years from deemed date of allotment-till December in The bonds have a lock period of three years from deemed date of allotment-till December
DATAMATICS IN200336 KARVY IN200035 KARVY IN200035 Datamatics Financial Software & Services Ltd.(IN200336) DATAMATICS IN200336 KARVY IN200035 KARVY IN200035 DATAMATICS IN200336 DATAMATICS IN200336 DATAMATICS IN200336 KARVY IN200035 KARVY IN200035 Karvy Consultants Ltd. (IN200035)
Shri. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd. The Bonds have lock-in Mr. Ganapathy Subramaniam period for 3 years from Vice President deemed date of allotment Karvy Consultants Ltd. ie. 30th January, 2007 Mr. Ganapathy The Bonds have lock-in Subramaniam Vice President Karvy Consultants Ltd. Same as above period for 3 years from deemed date of allotment ie. 30th January, 2007 The Bonds are also held in the Book Entry form(Certificate of holdings)(Certificate of
Ms. Manisha Srivastava Executive Datamatics Financial Software & Services Ltd. Bonds have a lock in Mr. Ganapathy Subramaniam period of 3 years for 3 Vice President years from deemed date Karvy Computershare of allotment tilllock in Mr. Ganapathy Bonds have a Feb Subramaniam Vice President Karvy Computershare Ms. Manisha Srivastava Executive Datamatics Financial Software & Services Ltd. Ms. Manisha Srivastava Executive Datamatics Financial Software & Services Ltd. Ms. Manisha Srivastava Executive Datamatics Financial Software & Services Ltd. Bonds have a lock in Mr. Ganapathy Subramaniam period of 3 years for 3 Vice President years from deemed date Karvy Computershare of allotment tilllock in Mr. Ganapathy Bonds have a March Subramaniam Vice President Karvy Computershare Same as above period of 3 years for 3 years from deemed date of allotment till March period of 3 years for 3 years from deemed date of allotment till Feb
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Datamatics Financial Software & Services Ltd.(IN200336) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) KARVY IN200035 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) KARVY IN200035 Karvy Consultants Ltd. (IN200035)
Same as above
Same as above
Same as above
Mr. Abhay Sarfare Datamatics Financial Software and Services Limited, above Same as
The Bonds are also held in the Book Entry form(Certificate of holdings)(Certificate of
Same as above
Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd.
The Bonds have lock-in period for 3 years from deemed date of allotment ie. 30th October, 2006
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Datamatics Financial Software & Services Ltd.(IN200336) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
KARVY CONSULTANTS LIMITED IN200035 KARVY CONSULTANTS LIMITED IN200035 KARVY CONSULTANTS LIMITED IN200035 KARVY CONSULTANTS LIMITED IN200035 KARVY CONSULTANTS LIMITED IN200035
Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Same as above
Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd.
The Bonds are also held in the Book Entry form(Certificate of holdings)(Certificate of
KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 Datamatics Financial Software & Services Ltd.(IN200336) KARVY IN200035 KARVY IN200035 KARVY IN200035 KARVY IN200035 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424
Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Same as above
Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. Ganapathy Subramaniam Vice President Karvy Consultants Ltd. Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road,
The Bonds are also held in the Book Entry form(Certificate of holdings)(Certificate of
MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424
Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road,
MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LIMITED, KOLKATA IN200328 MCS LIMITED, KOLKATA IN200328 MCS -KOLKATA IN200328 MCS, KOLKATA IN200328 MCS, KOLKATA IN200328 MCS LTD IN200424
Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road,
MCS LTD IN200424 COMPUTECH INTERNATIONAL IN200328 MCS KOLKATA IN200328 MCS, KOLKATA IN200328 MCS KOLKATA IN200328 MCS, KOLKATA IN200328 MCS, KOLKATA IN200328 MCS KOLKATA IN200328 MCS, KOLKATA IN200328 MCS, KOLKATA IN200328 MCDS, KOLKATA IN200328 MCS, KOLKATA IN200328 MCS, KOLKATA IN200328
Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Limited 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road,
MCS Ltd.KOLKATA IN200328 MCS Ltd.KOLKATA IN200328 MCS LTD, KOLKATA IN200328 MCS LTD, KOLKATA IN200328
MCS LTD IN200424
Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Hazra Road, Mr. S.K. Jhawar President MCS Ltd. 77/2A, Jhawar Mr. S.K.Hazra Road,
President MCS Limited 77/2A, Hazra Road,
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176)
Mr. R.D. Ramasamy General Manager Cameo Corporate Services Ltd. Same as above
Same as above
Same as above
Same as above
KARVY CONSULTANTS Mr. V.K. Jayaraman LTD Asst. General Manager IN200035 46, Avenue 4, Street No.1Anil Swami, Ankit Consultancy Pvt. Shri Ltd.(IN200481) Ankit Consultancy Pvt. Ltd.(IN200481) Dy.Manager, State Bank of Indore(H.O.), Shri Anil Swami, Dy.Manager, State Bank of Indore(H.O.),
Canbank Computer Services Ltd. (IN200570) RCMC SHARE REGISTRY IN200301 RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) MCS Limited, New Delhi(IN200424) MCS Limited, New Delhi (IN200424) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301)
Mr. V.P. Prathap Vice President Canbank Computer Services Ltd. Mr. S. K. Gupta Manager (Bonds & Services) STEEL AUTHORITY OF Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, S.K.Gupta, Manager(bonds), Steel Authbority of India Ltd., Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y,
RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) RCMC Share Registry(IN200301) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Same as above
Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta Manager(bonds) Steel Authbority of India Ltd., Mr.S.K.Gupta Manager(bonds) Steel Authbority of India Ltd., Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.S.K.Gupta/Mr. Deninder Kumar, Manager(bonds)/Secretar y, Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe Manager Sharepro Services, Satamas above Same Estate,3rd
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Same as above
Same as above
Mr.Anil Sathe, Manager - Depository Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager - Depository Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager - Depository Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager - Depository Sharepro Services, Satamas above Same Estate,3rd
Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager - Depository Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager - Depository Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satamas above Same Estate,3rd
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Same as above
Mr.Anil Sathe, Manager - Depository Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe Manager Sharepro Services, Satamas above Same Estate,3rd
SHAREPRO SERVICES Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, Satam Estate,3rd
SHAREPRO SERVICES Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Sharepro Services (IN200043) Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe,
Manager - Depository Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, Satam Estate,3rd
SHAREPRO SERVICES Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr. Gautam Arora IN200043 AGM - Treasury Sterlite Industries (India) SHAREPRO SERVICES Limited Sathe, Mr.Anil IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Sharepro Services (IN200043) Manager, Sharepro Services, Satam Estate,3rd Mr.Anil Sathe, Manager - Depository Sharepro Services, Satam Estate,3rd
Mr.Anil Sathe, Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Manager, Sharepro Services, SHAREPRO SERVICES Satam Estate,3rd Mr.Anil Sathe, IN200043 Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043)
MCS LIMITED IN200019
Manager, Sharepro Services, Satam Estate,3rd Mr.Joy Basu, Chief Finance Officer, Sterlite Optical Technologies Limited, Same as above
Mr.Anil Sathe, Dematerialisation Dept Sharepro Services, Satam Estate,3rd Mr. Agnelo J. Rodrigues Dy. Company Secretary Sterlite Optical Technologies Ltd. Same as above
Same as above
Mr. Agnelo J. Rodrigues Dy. Company Secretary Sterlite Optical Technologies Ltd. Mr. Dinesh Menghrajani
Mr. Madhusudan Senior Manager MCS Limited
MCS IN200019 MCS Ltd. (IN200019) MCS Ltd. (IN200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176
Mr. Dinesh Menghrajani Mr. Madhusudan Senior Manager MCS Limited Mr. Dinesh Menghrajani Senior Manager/Issue MCS Limited ShriDinesh Menghrajani Mr. Padmavati Bhavan Senior Manager/Issue MCS Limited ShriDinesh S. Bhavan Mr. Padmavati Menghrajani Mr. Madhusudan Sr. Manager Mr. Dinesh S. Menghrajani Mr. Madhusudan Sr. Manager Mr. R.D. Ramaswamy General Manager Cameo Corporate SerivicesRamaswamy Mr. R.D. Ltd General Manager Cameo Corporate SerivicesRamaswamy Mr. R.D. Ltd General Manager Cameo Corporate SerivicesRamaswamy Mr. R.D. Ltd General Manager Cameo Corporate SerivicesRamaswamy Mr. R.D. Ltd General Manager Cameo Corporate SerivicesRamaswamy Mr. R.D. Ltd General Manager Cameo Corporate SerivicesRamaswamy Mr. R.D. Ltd General Manager Cameo Corporate Serivices Ltd Mr. P N Srikant Assistant Secretary SUNDARAM FINANCE LIMITED
CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 SAME AS ABOVE
Mr. R.D. Ramaswamy General Manager Cameo Corporate SerivicesRamaswamy Mr. R.D. Ltd General Manager Cameo Corporate Serivices Ltd SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
Floor Rate-9.00%
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) SAME AS ABOVE
Same as above
Same as above
Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. SAME AS ABOVE
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) SAME AS ABOVE
Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ltd. Same as above
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) SAME AS ABOVE
Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Same as above
Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Same as above
Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
SAME AS ABOVE
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 SAME AS ABOVE
Mr. P. Sundararajan Dy. Secretary & DGM (Audit Sundaram Finance Ltd. Mr. P. Sundararajan Dy. Secretary & DGM (Audit Sundaram Finance Ltd. Same as above
Same as above
Same as above
Same as above
Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. SAME AS ABOVE
CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176
Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd.
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) CAMEO CORPORATE SERV LTD IN200176 Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) CAMEO CORPORATE SERV LTD IN200176 Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) CAMEO CORPORATE SERV LTD IN200176
Same as above
Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ltd. Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ltd.
CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176)
Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. Same as above
Same as above
Same as above
Same as above
CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) CAMEO CORPORATE SERV LTD IN200176 Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176)
Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. Same as above
Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. Same as above
Same as above
Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd.
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD CAMEO CORPORATE SERV LTD IN200176 CAMEO CORPORATE SERV LTD IN200176 Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176)
Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ltd. Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176)
Same as above
Same as above
Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Same as above
Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance Same as above
Mr. P. Sundararajan Dy. Secretary & Dy. General Manager (Audit) Sundaram Finance CAMEO CORPORATE SERV Mr. R.D. Ramaswamy Mr. R.D. Ramaswamy
LTD IN200176 General Manager Cameo Corporate Services Ltd. General Manager Cameo Corporate Services Ltd.
Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) Cameo Corporate Services Ltd (IN200176) INTIME SPECTRUM REGISTRY IN200094
Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ramaswamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. Mr. Adrish Ghosh Manager IL & FS Trust Company Limited
In-House Share Registry Mr. Tarun Goel (IN200449) Secretarial Dept Surya Roshni Ltd. In-House Share Registry Padma Tower 1 Mr. Tarun Goel (IN200449) Secretarial Dept Surya Roshni Ltd. In-House Share Registry Padma Tower 1 Same as above (IN200449) In-House Share Registry Same as above (IN200449) In-House Share Registry Mr. Tarun Goel (IN200449) Secretarial Dept Surya Roshni Ltd. Padma Tower 1 MCS LTD Mr. S.P. Bansal IN200424 MCS LTD IN200424 MCS LTD IN200424 MCS LTD IN200424 Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Asst. Vice President MCS Limited Sri Venkatseh Bhawan, Mr. S.P. Bansal Asst. Vice President MCS Limited Sri Venkatseh Bhawan, Mr. S.P. Bansal Asst. Vice President MCS Limited Sri Venkatseh Bhawan, Mr. S.P. Bansal Asst. Vice President MCS Limited Sri Venkatseh Bhawan, Mr. S. Ganapathy Subramanian Vice President Karvy Consultants Ltd. Same as above
Same as above
INTEGRATED ENTP. (I) Mr. M. Maheswari Bai LTD Dy. Financial Controller IN200264 (Funds) TamilNadu Electricity
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Same as above
Mr. R.D. Ramasamy General Manager Cameo Corporate Services Ramasamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ltd. Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176)
Mr. A.R. Alagappan General Manager ( F &R) The Tamilnadu Industrial Investment Company Ltd. Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Mennen Financial Services Ltd. (IN200682) Mennen Financial Services Ltd. (IN200682) Mennen Financial Services Ltd. (IN200682) Mennen Financial Services Ltd. (IN200682) Tata Share Registry Limited (BP Id IN200125).
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Mr. R.S. Pandey Mr. Sandeep T. Madhavi Sr. Manager /Manager Dept - as & T Same R above
Same as above
Same as above
Mr. N.J. Driver Chief Accountant Tata Industries Ltd. Bombay House
MCS Ltd. (IN200019) Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Same as above
Mr. R.S. Joshi Manager MCS Ltd. 1st Floor, 116-118, Mr. B. Renganathan Dy. Company Secretary Tata Chemicals Ltd. Bombay House Mr. B. Renganathan Dy. Company Secretary Tata Chemicals Ltd. Bombay House Same as above
Mr. B. Renganathan Dy. Company Secretary Tata Chemicals Ltd. Bombay House Same as above
Mr. B. Renganathan Dy. Company Secretary Tata Chemicals Ltd. Bombay House Same as above
Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125).
Ms. S.R. Billimoria Sr. Manager Tata Share Registry Limited Mr.Pradeep D.Oak, CEO, Tata Share Registry Ltd., Army & Navy Bldg, Same as above
Ms. S.R. Billimoria Sr. Manager Tata Share Registry Limited above Same as
Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (IN200125) Tata Share Registry Limited (IN200125) TATA FINANCE LTDSHR IN100270 TSRL IN200125 TSRL IN200125 TSRL IN200125 TSRL IN200125
Same as above
Same as above
Ms. S.R. Billimoria Sr. Manager Tata Share Registry Limited above Same as
Ms. S.R. Billimoria Sr. Manager Tata Share Registry Limited Billimoria Ms. S.R. Sr. Manager Tata Share Registry Limited Ms. Nandini Nair Manager Tata Share Registry Limited Ms. Nandini Nair Manager Tata Share Registry Limited Mathews Mr. Titus Sr. Manager - Shares Dept Tata Finance Limited Mr. Titus Mathews Sr. Manager - Shares Dept Tata Finance Limited Mr. Titus Mathews Sr. Manager - Shares Dept Tata Finance Limited Mr. Titus Mathews Sr. Manager - Shares Dept Tata Finance Limited Mr. Titus Mathews Sr. Manager - Shares Dept Tata Finance Limited
TSRL IN200125 TSRL IN200125 TATA FINANCE LTDSHR IN100270 TATA FINANCE LTDSHR IN100270 TATA FINANCE LTDSHR IN100270 Tata Share Registry Limited (IN200125) Tata Share Registry Limited (IN200125)
Tata Share Registry Limited (BP Id IN200125).
Mr. Titus Mathews Sr. Manager - Shares Dept Tata Finance Limited Mr. Titus Mathews Sr. Manager - Shares Dept Tata Finance Limited Mr. Titus Mathews Sr. Manager - Shares Dept Tata Finance Limited Mr. Titus Mathews Sr. Manager - Shares Dept Tata Finance Limited Mr. Titus Mathews Sr. Manager - Shares Dept TataNandini Nair Ms. Finance Limited Manager Tata Share Registry Limited Ms. Nandini Nair Manager Tata Share Registry Limited Ms. Nandini Nair
Manager Tata Share Registry Limited Army & Navy Building Ms. Nandini Nair Manager Tata Share Registry Limited Army & Navy Building Ms. Nandini Nair Manager Tata Share Registry Limited Army & Navy Building Ms. Nandini Nair Manager Tata Share Registry Limited Army & Navy Building Ms. Nandini Nair Manager Tata Share Registry Limited Army & Navy Building Ms. Nandini Nair Manager Tata Share Registry Limited Army & Navy Building
Ms. Nandini Nair Manager Tata Share Registry Limited Army & Navy Building Ms. Nandini Nair Manager Tata Share Registry Limited Army & Navy Building
Tata Share Registry Ltd., Mr. Titus Mathews (IN200125) Sr. Manager - Shares Dept TataS.R. Billimoria TSRL Ms. Finance Ltd. IN200125 TSRL IN200125 TSRL IN200125 TSRL IN200125 TSRL IN200125 TSRL IN200125 TSRL IN200125 TSRL IN200125 TSRL IN200125 TSRL IN200125 Sr. Manager Tata Share Registry Limited Billimoria Ms. S.R. Sr. Manager Tata Share Registry Limited Billimoria Ms. S.R. Sr. Manager Tata Share Registry Limited Billimoria Ms. S.R. Sr. Manager Tata Share Registry Limited Ms. Nandini Nair Manager TATA SHARE REGISTRY LTD. Ms. S.R. Billimoria Sr. Manager Tata Share Registry Limited Ms.Kashmira Mewawala General Manager Tata Share Registry LTd Army & Navy Building Ms. Nandini Nair Manager TATA SHARE REGISTRY LTD. Ms. Nandini Nair Manager TATA SHARE REGISTRY LTD. Ms. S.R. Billimoria Sr. Manager Tata Share Registry Limited
Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Same as above
Ms. S.R. Billimoria Sr. Manager Tata Share Registry Limited Ms.Nandini Nair, Manager, Tata Share Registry Ltd, Army & Navy Building, Ms.Nandini Nair, Manager, Tata Share Registry Ltd, Army & Navy Building, Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Ms.Nandini Nair, Manager, Tata Share Registry Ltd, Army & Navy Building, Ms.Nandini Nair,
Manager, Tata Share Registry Ltd, Tata Share Registry Ltd., Army & Navy Building, Mr. R. R. Shastri (IN200125) Dy. Company Secretary Tata Sons Ltd., Tata Share Registry Ltd., Bombay House, 24, Homi Mr. R. R. Shastri (IN200125) Dy. Company Secretary Tata Sons Ltd., Tata Share Registry Ltd., Bombay House, 24, Homi Mr. R. R. Shastri (IN200125) Dy. Company Secretary Tata Sons Ltd., Bombay House, 24, Homi Same as above Same as above
Tata Share Registry Ltd., Mr. R. R. Shastri (IN200125) Dy. Company Secretary Tata Sons Ltd., Bombay House, 24, Homi Same as above Same as above
Same as above
Same as above
Same as above
Same as above
Tata Share Registry Ltd., Mr. R. P. Wadia (IN200125) Asst. Manager,Secretarial Tata Sons Ltd., Same as above Same as above
Tata Share Registry Ltd., Mr. R. P. Wadia (IN200125) asst. Manager-Secretarial & Admin. Tata Share Registry Ltd., Tata Sons Ltd., Mr. R. R. Shastri (IN200125) Dy. Company Secretary Tata Sons Ltd., Tata Share Registry Ltd., Bombay House, 24, Homi Mr. R. R. Shastri (IN200125) Dy. Company Secretary Tata Sons Ltd., Tata Share Registry Ltd., Bombay Wadia 24, Homi Mr. R.P. House, (IN200125) Asst. Manager Secretarial & Tata Share Registry Ltd., Administration Mr. R.P. Wadia (IN200125) Asst. Manager Secretarial & Administration TSRL Mr. R.P. Wadia IN200125 Asst. Manager Secretarial & Administration
Mr. R. R. Shastri Dy. Company Secretary Tata Sons Ltd., Bombay House, 24, Homi
Tata Share Registry Ltd., Mr. R.P. Wadia (IN200125) Asst. Manager Secretarial & Tata Share Registry Ltd., Administration Mr. R.P. Wadia (IN200125) Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Asst. Manager Secretarial & Administration Ms. Nandini Nair Manager Operations Tata Share Registry Limited Ms. Nandini Nair Manager Operations Tata Share Registry Limited Mewawala/Ms. Mrs. K.R.
Madhuri Narang General Manager/Deputy XL SOFTECH SYSTEMS Manager Mr. K Ramesh LTD Manager IN200529 XL Softech Systems Limited Mewawala/Ms. Tata Share Registry Mrs. K.R. Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125). SKDC Consultants Ltd. (IN200465) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) Madhuri Narang General Manager/Deputy Manager Mewawala/Ms. Mrs. K.R. Madhuri Narang General Manager/Deputy Manager Mr. A. Azhagesan Company Secretary Telco Construction Equipmetnt Co. Ltd. Mr. A. Azhagesan Company Secretary Telco Construction Equipmetnt Co. Ltd. Mr. K. Narendra Managing Director S.K.D.C Consultants Ltd. 11,S.N. Layout, Street Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department) Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department)
IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity) IN100036 (In-House Connectivity)
Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department) Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department) Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department) Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department) Mr. P.K. Sinor Director & Company Secretary Mr. R. Padmanabhan Mr. P.K. Sinor Director & Company Secretary Mr. R. Padmanabhan Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department) Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department) Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share as above Same Department)
Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department) Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department) Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department)
IN100036 (In-House Connectivity) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043)
Mr. R. Padmanabhan Senior Manager (Shares) ACC Limited (In-house Share Department) Mr. Dilip Somani Dy. General Manager Finance TheDilip Somani Mr. Bombay Dyeing & Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani
Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & Sharepro Services (BP Id Mfg D. J.Ltd. Mr. Co. Vyas Manager Secretarial The Great Eastern Sharepro Services (BP Id Shipping Vyas Mr. D. J. Company IN200043). Manager Secretarial The Great Eastern Big Share Services Pvt. ShippingAgrawal Mr. P.K. Company IN200043). Ltd. (IN200117) Company Secretary The Bank of Rajasthan Big Share Services Pvt. Ltd. P.K. Agrawal Mr. Ltd. Company Secretary (IN200117) The Bank of Rajasthan Ltd.
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043)
Mr. Dilip Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani
Dy. General Manager Finance SHAREPRO SERVICES TheDilip Somani Mr. Bombay Dyeing & IN200043 Dy. Manager- Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg. Co. Somani Mr. Dilip Ltd. IN200043 Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Dy. Manager- Finance The Bombay Dyeing & Mfg. Co. Somani Mr. Dilip Ltd. Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Dilip Ltd. Mr. Co. Somani Dy. Manager - Finance The Bombay Dyeing & Mfg Co. Ltd.
SHAREPRO SERVICES Mr. Dilip Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & Mfg Co. Ltd.
SHAREPRO SERVICES Mr. Dilip Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & Mfg Co. Ltd.
SHAREPRO SERVICES Mr. Dilip Somani IN200043 Dy. Manager - Finance The Bombay Dyeing & SHAREPRO SERVICES Mfg Dilip Ltd. Mr. Co. Somani IN200043 SKDC Consultants Ltd. (IN200465) SKDC Consultants Ltd. (IN200465) SKDC Consultants Ltd. (IN200465) MCS Limited (IN 200424) MCS Limited (IN 200424) Same as above Dy. Manager- Finance The Bombay Dyeing & Mfg. K.P. Ltd. Mr. Co. Mohanakumar Company Secretary Board & Shares Dept The Catholic Syrian Same as above
Same as above
Mr.K.R.Menon, Executive Director, MCS Limted, Srivenkatesh Bhavan, Mr.K.R.Menon, Executive Director, MCS Limted, Srivenkatesh Bhavan, Same as above
Mr. G. Balakrishnan Company Secretary The India Cements Ltd. "Dhun as above Same Building"
Mr. G. Balakrishnan Company Secretary The India Cements Ltd. Tata Share Registry Ltd. 827, B.D. Nariman Mr. Anna Salai (IN200125) Vice President - Legal & Company Secretary Tata Share Registry Ltd. The Indian Hotels Same as above (IN200125)
Tata Share Registry Ltd. Same as above (IN200125) Tata Share Registry Ltd. Mr. B.D. Nariman (IN200125) Vice President - Legal & Company Secretary The Indian Hotels Same as above Same as above
Same as above
Same as above
Same as above
Same as above
Integrated Enterprises (India) Ltd. (IN200264) Integrated Enterprises (India) Ltd. (IN200264) CAMEO CORPORATE SERV LTD IN200176 Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043)
Mr. S. Venkateswaran Company Secretary, Secretarial Dept TheS. Venkateswaran Mr. Lakshmi Vilas Bank Company Secretary, Secretarial Dept TheR.D. Ramaswamy Mr. Lakshmi Vilas Bank General Manager Cameo Corporate Services Ramasamy Mr. R.D. Ltd. General Manager Cameo Corporate Services Ramasamy Mr. R.D. Ltd. General Manager Cameo Corporate ServicesSathe Mr. Anil Ltd. Manager Sharepro Services Satam Estate, 3rd Floor Mr. Anil Sathe Manager Sharepro Services Satamas above Floor Same Estate, 3rd
Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) Amtrac Management Services Ltd. ( IN200192) MCS LTD IN200424
Mr. Anil Sathe Manager Sharepro Services Satamas above Floor Same Estate, 3rd
Mr. Anil Sathe Manager Sharepro Services Satam Estate, 3rd Floor Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Mr. Girish Parlikar Director Amtrac Management Services Ltd. Ms. Niti Sethi
Company Secretary THE NATIONAL SMALL Intime Spectrum Registry INDUSTRIESPai Mr. R. Srikar Ltd (IN200094) Company Secretary The Nedungadi Bank Intime Spectrum Registry Limited above Same as Ltd (IN200094) Intime Spectrum Registry Same as above Ltd (IN200094) SKDC Consultants Ltd. (IN200465) Mr. R.V. Sridharan Company Secretary The Peria Karamalai Tea & Produce Co. Ltd.
In-house Share Registry (IN200449) In-house Share Registry (IN200449) Tata Consultancy Services (IN200272) Same as above
Mr. S.C. Rastogi Sr. Manager The Pradeshiya Industrial above Same as & Investment
Mr. C.T. Gopalakrishnan Manager Projects Tata Consultancy Services above Same as
Same as above
Same as above
Same as above
Same as above
Tata Consultancy Services (IN200272) Tata Share Registry Limited (IN200125) Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (IN200125) Tata Share Registry Limited (BP Id IN200125). Same as above
Mr. C.T. Gopalakrishnan Manager Projects Tata Consultancy Services Ms. Nandini Nair Manager Tata Share Registry Limited Ms.Nandhini Nair, <Manager-Operations, Tata Share Registry Limited. Ms. Nandini Nair Manager Tata Share Registry Limited Mrs.Nandini Nair, Manager-Operations, Tata Share Registry Limited. above Same as
15 days prior to each interest payment date except the last interest payment before early /
Same as above
Same as above
Tata Share Registry Limited (BP Id IN200125). Tata Share Registry Limited (BP Id IN200125).
Manager-Operations, Tata Share Registry Tata Share Registry Ltd. Limited. Ms. Nandini Nair (IN200125) Manager (Operations) Tata Share Registry Ltd., ArmyShare Registry Ltd. TSRL Tata & Navy Bldg, IN200125 TSRL IN200125 Same as above Army & Navy Building 148, Mahatma Gandhi Marg Ms.Kashmira Mewawala General Manager Tata Share Registry Ltd. Army & Navy Building Same as above
Same as above
Same as above
IIT Corporate Services Ltd. (IN200150) IIT Corporate Services Ltd. (IN200150) Bigshare Services Pvt. Ltd. (IN200117)
RCMC Share Registry (P) Ltd. (IN200301)
Ms. Asha Shetty IIT Corporate Services Ltd. IIT House Shetty Ms. Asha IIT Corporate Services Ltd. IIT House Appa Rao Mr. M.V.S. Corporate Secretary The Vysya Bank Ltd. No. 72, St. Mark;s Mr. Rakesh Sehgal Road
Sr. Manager - Legal Thomson Press (India) Ltd. C/o. Living Media India Ltd.
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Computech International Mr. S.P. Yadav (IN200328) Dy. G.M. & Company Secretary Computech International Same as above Same as above
Same as above
Same as above
Trident Investment & Portfolio Services Pvt. Ltd. (IN200473) Trident Investment & Portfolio Services Pvt. Ltd. (IN200473) KARVY IN200035 KARVY IN200035
Same as above
Mr. P.B. Sampath Vice President (Finance) & Secretary Tractors Jayaraman Mr. V.K. & Farm Asst. General Manager 46, Avenue 4, Street No.1 Mr. V.K. Jayaraman
Asst. General Manager 46, Avenue 4, Street Data Software Research No.1 Chandrasekhar Mr. S. Company Pvt. Ltd. Manager Data Software Research Company Pvt. Ltd. KARVY Mr. S. Suresh IN200035 KARVY IN200035 (Company Secretary) Tube Investments of India Ltd. Mr. S. Suresh (Company Secretary) Tube Investments of India Ltd.
KARVY IN200035 Karvy Consultants Ltd(IN200035) KARVY IN200035 Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035)
Mr. S. Suresh (Company Secretary) Tube Investments of India Ltd. Mr. S. Suresh (Company Secretary) Tube Investments of India Ltd. Mr. S. Suresh
(Company Secretary) Tube Investments of TRIDENT INVESTMENT India Ltd.Raghavan Mr. R.S. AND PORTFOLIO Head (Treasury & SERVICES (P) LTD. Finance) & Secretary IN200473 INVESTMENT TVS Finance & Services TRIDENT Mr. R.S. Raghavan AND PORTFOLIO SERVICES (P) LTD. IN200473 INVESTMENT TRIDENT AND PORTFOLIO SERVICES (P) LTD. IN200473 INVESTMENT TRIDENT AND PORTFOLIO SERVICES (P) LTD. IN200473 INVESTMENT TRIDENT AND PORTFOLIO SERVICES (P) LTD. IN200473 Enterprises Integrated (India) Ltd.(IN200264) Integrated Enterprises (India) Ltd.(IN200264) Same as above Head (Treasury & Finance) & Secretary TVS Finance & Services Mr. R.S. Raghavan Head (Treasury & Finance) & Secretary TVS Finance & Services Mr. R.S. Raghavan Head (Treasury & Finance) & Secretary TVS Finance & Services Mr. R.S. Raghavan Head (Treasury & Finance) & Secretary TVS Finance & Services Mr. P. Ramesh, Secretary - Secretarial, TVS Srichakra Limited, No.10 Ramesh, Road, Mr. P. Jawahar Secretary - Secretarial, TVS Srichakra Limited, No.10 as above Road, Same Jawahar
Karvy Consultants Ltd. (IN200035) Sharepro Services (IN200043) Sharepro Services (IN200043) Sharepro Services (IN200043) R & D Consultants Ltd. (IN200588)
Mr. V. Mahesh Vice President Karvy Consultants Ltd. 46, Avenue 4, Street No. Mr.Anil Sathe, Manager, Sharepro Services, Satam Estate,3rd Mr. Anil Sathe Manager Sharepro Services Satamas above Floor Same Estate, 3rd
Mr. V.B. Shah Sr. Executive R & D Consultants Ltd. Intime Spectrum Registry 610, Dalamal Kavatkar Mr. Satyavan Tower Ltd. Manager (IN200094) Intime Spectrum Registry Ltd. as above R & D Consultants Ltd. Same (IN200588)
KARVY COMPUTERSHARE PVT. LTD. IN200035 Mr. R.V. Subrahmanyam Asst. General Manager Karvy Computershare Pvt. Ltd. 46, Avenue 4, Street No.1
Intime Spectrum Registry Mr. Satyavan Kavatkar Ltd(IN200094) Manager Intime Spectrum registry P. Ltd. Alankit Assignment Mr. Tarun . V. Kotak Limited(IN200086) ABC Computers Pvt. Ltd. (IN200297) Dy. General Manager Unitech Limited 6, Community Centre Mr. D. Ganguly
Asst. Manager ABC Computers Pvt. Ltd. SHAREPRO SERVICES National Council of Mr. M.B. Trivedi IN200043 Company Secretary UNITED PHOSPHORUS SHAREPRO SERVICES LIMITED Trivedi Mr. M.B. IN200043 Company Secretary UNITED PHOSPHORUS LIMITED
SHAREPRO SERVICES Mr. M.B. Trivedi IN200043 Company Secretary UNITED PHOSPHORUS SHAREPRO SERVICES LIMITED Trivedi Mr. M.B. IN200043 Company Secretary UNITED PHOSPHORUS SHAREPRO SERVICES LIMITED Trivedi Mr. M.B. IN200043 Company Secretary UNITED PHOSPHORUS SHAREPRO SERVICES LIMITED Trivedi Mr. M.B. IN200043 ABC Computers Pvt. Ltd.(IN200297) ABC Computers Pvt. Ltd.(IN200297) AXC Computers Pvt. Ltd.(IN200297) Company Secretary UNITED PHOSPHORUS LIMITED Mr. D. Ganguly, Asst. Manager, ABC Computers Pvt. Ltd. National Council Of Mr. G.D. Lakhotia Asst. Manager - Finance Usha Beltron Ltd. 2/A,D. Ganguly, Mr. Shakespeare
Asst. Manager, AXC Computers Pvt. Ltd. AXC Computers Pvt. Ltd. National Council Of Mr. D. Ganguly, (IN200297) Asst. Manager, AXC Computers Pvt. Ltd. AXC Computers Pvt. Ltd. National Council Of Mr. D. Ganguly, (IN200297) Asst. Manager, AXC Computers Pvt. Ltd. AXC Computers Pvt. Ltd. National Council Of Mr. D. Ganguly, (IN200297) Asst. Manager, AXC Computers Pvt. Ltd. AXC Computers Pvt. Ltd. National Council Of Mr. D. Ganguly, (IN200297) AXC Computers Pvt. Ltd.(IN200297) AXC Computers Pvt. Ltd.(IN200297) Asst. Manager, AXC Computers Pvt. Ltd. National Council Of Mr. D. Ganguly, Asst. Manager, AXC Computers Pvt. Ltd. National Council Of Mr. D. Ganguly, Asst. Manager, AXC Computers Pvt. Ltd. National Council Of
AXC COMPUTERS IN200297 AXC COMPUTERS IN200297 AXC COMPUTERS IN200297 AXC COMPUTERS IN200297 ABC Computers Pvt. Ltd.(IN200297) Same as above
Mr. D. Ganguly, Asst. Manager, AXC Computers Pvt. Ltd. National Council Of Mr. D. Ganguly, Asst. Manager, AXC Computers Pvt. Ltd. National Council Of Mr. D. Ganguly, Asst. Manager, AXC Computers Pvt. Ltd. National Council Of Mr. D. Ganguly, Asst. Manager, AXC Computers Pvt. Ltd. National Council Of Mr. D. Ganguly, Asst. Manager, ABC Computers Pvt. Ltd. National Council Of Same as above
CB MGMT SERV PVT. LTD IN200221 CB MGMT SERV PVT. LTD IN200221 Karvy Consultants Ltd(IN200035) Karvy Consultants Ltd(IN200035) Skyline Financial Services Pvt. Ltd.(IN200432) Skyline Financial Services Pvt. Ltd.(IN200432) Skyline Financial Services Pvt. Ltd.(IN200432)
Mr. Shankar Ghosh Sr. Manager - Operations CB Management Services Pvt.Ghosh Mr. Shankar Limited Sr. Manager - Operations CB Management Services Pvt. Limited / Shri. V. K. Jayaraman Shri. M. Murlikrishnan Asst. General Manager RIS V. K. Jayaraman / Shri. Shri. M. Murlikrishnan Asst. General Manager RIS Vipin Gupta Mr. Mr. G.K. Sharma Company Secretary Secretarial Mr. Vipin Gupta Mr. G.K. Sharma Company Secretary Secretarial Mr. Vipin Gupta Company Secretary Secretarial Vardhman Spinning &
Mr. Vipin Gupta Company Secretary Secretarial SKYLINE FIN.SERV PVT Vardhman Spinning & Mr. Vipin Gupta LTD Company Secretary IN200432 Secretarial SKYLINE FIN.SERV PVT Vardhman Spinning & Mr. Vipin Gupta LTD IN200432 Skyline Financial Services Pvt. Ltd.(IN200432) Skyline Financial Services Pvt. Ltd.(IN200432) Company Secretary Secretarial Vardhman Spinning & Mr. Vipin Gupta Mr. G.K. Sharma Company Secretary Secretarial Mr. Vipin Gupta
Mr. G.K. Sharma Company Secretary SKYLINE FIN.SERV PVT SecretarialJindal Mrs. Sakti LTD Company Secretary IN200432 Vardhman Spinning & General Mills Ltd. Mennen Financial Mr. R.S. Pandey Services Ltd. (IN200682) Mennen Financial Services Ltd. (IN200682) Mennen Financial Services Ltd. (IN200682) Mennen Financial Services Ltd. (IN200682) Same as above Mr. Sandeep T. Madhavi Sr. Manager /Manager Dept - R Pandey Mr. R.S. & T Mr. Sandeep T. Madhavi Sr. Manager /Manager Dept - R Pandey Mr. R.S. & T Mr. Sandeep T. Madhavi Sr. Manager /Manager Dept - R Pandey Mr. R.S. & T Mr. Sandeep T. Madhavi Sr. Manager /Manager Dept - as & T Same R above
Same as above
Same as above
Same as above
Same as above
MCS Limited(IN200019)
Same as above
Mr.N. Surrreash, Sr.Manager, Sri Venkatesh Bhavan, Plot #27, above Same as
MCS Limited(IN200019)
MCS Limited(IN200019)
Mr/.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr. Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr/.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr. Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr. Sanjay Chudnaik Asst. Manager Videocon Appliances Limited above Same as
MCS Limited(IN200019)
MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019)
Mr. Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr/.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr/.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited above Same as
MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 MCS IN200019 Same as above
Mr.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr. Sanjay Chudnaik/Mr. Benny Anthony Asst. Manager Videocon Appliances Mr.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited Mr.Sanjay Chudnaik Asst. Manager Videocon Appliances Limited above Same as
Mr. N. Surresash Sr. Manager MCS Ltd. Sri Venkatesh Bhavan Same as above
Same as above
Same as above
Mr. Sanjay Chudnaik Asst. Manager Videocon International Ltd. as above Same
MCS Ltd (IN200019) MCS Ltd (IN200019) MCS Ltd (IN200019) MCS Ltd (IN200019) MCS Ltd (IN200019) MCS Ltd (IN200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019)
Mr. Sanjay Chudnaik Asst. Manager Videocon International Ltd. Sanjay Chudnaik Mr. Asst. Manager Videocon International Ltd. Sanjay Chudnaik Mr. Asst. Manager Videocon International Ltd. Sanjay Chudnaik Mr. Asst. Manager Videocon International Ltd. Sanjay Chudnaik Mr. Asst. Manager Videocon International Ltd. as above Same
Mr. Sanjay Chudnaik Asst. Manager Videocon International Ltd. Mr/.Sanjay Chudnaik Asst. Manager Videocon International Limited Mr.Sanjay Chudnaik Asst. Manager Videocon International Limited above Same as
Same as above
Same as above
MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019)
Mr. Sanjay Chudnaik Asst. Manager Videocon International Ltd. as above Same
Same as above
Same as above
Same as above
Same as above
Mr. Sanjay Chudnaik Asst. Manager Videocon International Ltd. Sanjay Chudnaik Mr. Asst. Manager Videocon International Ltd. as above Same
Same as above
Mr. Sanjay Chudnaik Asst. Manager Videocon International Ltd. Sanjay Chudnaik Mr. Asst. Manager Videocon International Ltd.
MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS Limited Mumbai (IN 200019) MCS IN200019
Same as above
Mr. Sanjay Chudnaik Asst. Manager Videocon International Ltd. Mr.Sanjay Chudnaik Asst. Manager Videocon International Ltd. Sanjay Chudnaik Mr. Asst. Manager Videocon International Ltd. Sanjay Chudnaik Mr. Asst. Manager Videocon International Ltd. Sanjay Chudnaik Mr. Asst. Manager Videocon International Ltd. as above Same
MCS IN200019
MCS IN200019
MCS Limited, Mumbai(IN200019) MCS Limited, Mumbai(IN200019) MCS Limited, Mumbai(IN200019) CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221)
Mr. P.N. Rao Executive Director MCS Ltd. Sri Venkatesh Bhavan Same as above
Same as above
Mr. M.M. Chakraborty General Manager West Bengal Financial Corporation Same as above
Same as above
CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221) CB Management Services Pvt. Ltd. (IN200221) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Same as above
Mr. V. Mahesh Mr. V.K. Jayaraman Vice President Karvy Consultants Same as above
Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035) Karvy Consultants Ltd. (IN200035)
KARVY IN200035
Mr. V. Mahesh Mr. V.K. Jayaraman Vice President Karvy Consultants Same as above
Same as above
KARVY IN200035
Mr. V. Mahesh Mr. V.K. Jayaraman Vice President Karvy Consultants Limited Mr. V. Mahesh Mr. V.K. Jayaraman Vice President Karvy Consultants Limited
Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) Cameo Corporate Services Ltd. (IN200176) MCS Ltd. (IN200424) MCS Ltd. (IN200424) Same as above
Mr. S. Srivathsan Vice President (Finance) & Secretary Wheels India Ltd. Same as above
Mr. S. Srivathsan Vice President (Finance) & Secretary Wheels India Ltd. Mr. N.C. Khanna Company Secretary Whirlpool of India Ltd. 7th Floor, Atmaram Mr. N.C. Khanna Company Secretary Whirlpool of India Ltd. 7th Floor,above Same as Atmaram
Interest rate has been revised from 9,85% to 8.5% , 8.00% & 7.75% and now it is 7.50% w.e.f
Mr. L.R. Neelakanta DGM (Finance) & Company Secretary Zuari Cement Ltd.
Intime Spectrum Registry Mr. L.R. Neelakanta Ltd. DGM (Finance) & (IN200094) Company Secretary Zuari Cement Ltd.
Intime Spectrum Registry Mr.R.Y.Patil, Ltd.(IN200094) Company Secretary Secretarial & Legal Dept "JAIR.Y. Patil BHAWAN", INTIME SPECTRUM Mr. KISAAN REGISTRY IN200094 Same as above General Manager-Legal Affairs & Company Secretaryabove Same as
Intime Spectrum Registry Mr.R.Y.Patil, Ltd.(IN200094) Company Secretary Secretarial & Legal Dept Intime Spectrum Registry Zuari Industries Ltd. Mr.R.Y.Patil, Ltd.(IN200094) Company Secretary Secretarial & Legal Dept Intime Spectrum Registry Zuari Industries Ltd. Mr.R.Y.Patil, Ltd.(IN200094) Company Secretary Secretarial & Legal Dept Intime Spectrum Registry Zuari Industries Ltd. Mr.R.Y.Patil, Ltd.(IN200094) Company Secretary Secretarial & Legal Dept Intime Spectrum Registry Zuari Industries Ltd. Mr.R.Y.Patil, Ltd.(IN200094) Company Secretary Secretarial & Legal Dept Intime Spectrum Registry Zuari Industries Ltd. Mr.R.Y.Patil, Ltd.(IN200094) Company Secretary Secretarial & Legal Dept Intime Spectrum Registry Zuari Industries Ltd. Mr.R.Y.Patil, Ltd.(IN200094) Company Secretary Secretarial & Legal Dept Intime Spectrum Registry Zuari Industries Ltd. Same as above Ltd.(IN200094) Intime Spectrum Registry Mr.R.Y.Patil, Ltd.(IN200094) Company Secretary Secretarial & Legal Dept Zuari Industries Ltd. INTIME SPECTRUM Mr.R.Y.Patil, REGISTRY IN200094 Company Secretary Secretarial & Legal Dept Zuari Industries Ltd.
INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094 INTIME SPECTRUM REGISTRY IN200094
Mr.R.Y.Patil, Company Secretary Secretarial & Legal Dept Zuari Industries Ltd. Mr.R.Y.Patil, Company Secretary Secretarial & Legal Dept Zuari Industries Ltd. Mr.R.Y.Patil, Company Secretary Secretarial & Legal Dept Zuari Industries Ltd. Mr.R.Y.Patil, Company Secretary Secretarial & Legal Dept Zuari Industries Ltd.